10. According to the inventory life cycle,
after a retailer receives products, the next
step is
• A. to display products.
• B. that the retailer prices products.
• C. inventory is purchased.
• D. that the customer shops the store.
B

Answers

Answer 1

Answer:

B. that the retailer prices products.

Explanation:

Answer 2
Final answer:

In the inventory life cycle, after a retailer receives products, the usual next step is to display the products, arranging them properly for customer viewing and ensuring they have accurate price tags.

Explanation:

According to the inventory life cycle in the retail business, after a retailer receives products, the next step is usually to display products (Option A). This is because once products are received, the goal is to prepare them for sale to customers as quickly as possible. Proper product display includes arranging goods attractively, often following visual merchandising principles, and making sure all items have accurate price tags so customers can make informed purchasing decisions. Following product display, customers can then shop the store (Option D).

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Related Questions

all of the following are characteristics of fha-insured loans, except: group of answer choices no downpayment owner-occupancy requirement mortgage insurance premiums more lenient underwriting standards

Answers

The characteristic of "no downpayment" is not correct. FHA-insured loans typically require a down payment, although the down payment amount may be lower compared to traditional mortgages.

An FHA loan is a government-backed mortgage. FHA house loans have lower credit score and down payment requirements than many conventional loans, making them especially popular with first-time homebuyers. It is insured by the Federal Housing Administration

What are the disadvantages of FHA loans?

You must pay a mortgage insurance premium (MIP)There are borrowing limitsMinimum property criteria existSome sellers may be less willing to accept offers from FHA purchasers.You may end up spending more in the long run.

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suppose you live through age 90. how much money will you be able to bequeath (i.e. pass on in your will)?

Answers

It is impossible to answer this question as the amount of money you will be able to bequeath in your will depends on a variety of factors such as your income, savings, investments, and lifestyle.

The amount of money that you can bequeath depends on many factors such as your income, lifestyle, investments, and other sources of wealth. It is impossible to answer this question without knowing more information about your financial situation.

Depending on your resources, you may be able to leave a large sum or a small amount. Ultimately, the amount of money that you can bequeath will depend on your individual circumstances.

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jacob decided that the only way he could pay back his student loans was to filter funds from the company where he worked directly into his personal account. he also knows that if he gets caught, he will probably spend time in jail. jacob's choice represents a violation of:

Answers

Indictments for robbery, adultery, incest, & cannibalism are only a few examples of mores. Several societies have codified some mores as laws.

What does survival cannibalism entail?

Emergency cannibalism refers to the use of cannibalism to prevent starvation rather than as a cultural practice (or survival cannibalism). Both the renowned Donner Team of 1846 and the Uruguayan rugby squad that perished in the Mountain Ranges of Chile in 1972 practiced this type of cannibalism.

When did the last cannibal go extinct?

Even in modern times, people experiencing famine have occasionally turned to cannibalism as a last resort. Some well-known instances include the unfortunate Donner Party (1846–1877) and, less recently, the accident of Uruguayan Army Air Flight 571. (1972),

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The​ pro-globalization argument from the​ mid-1940s until the early 2000s was based on the idea that free trade and open borders created a benefit for all countries. This argument is based on​_________.A. the law of comparative advantageB. parochialismC. the law of competitive advantageD. uncertainty avoidanceE. social responsibility

Answers

The pro-globalization argument from the mid-1940s until the early 2000s was based on the idea that free trade and open borders created a benefit for all countries. This argument is based on: A. the law of comparative advantage.

What is the  law of comparative advantage?

The law of comparative advantage is a fundamental concept in economics that suggests that countries should specialize in producing goods and services in which they have a lower opportunity cost than other countries, and then trade with each other to maximize their overall economic welfare.

By allowing countries to specialize and trade freely with each other, the law of comparative advantage suggests that all countries can benefit and achieve greater levels of economic growth and prosperity.

Therefore the correct option is A.

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what explains the rapid growth of ridesharing companies such as uber and lyft? do these same factors explain the growth of similar companies such as bird and lime (scooters)?

Answers

The rapid growth of ridesharing companies ridesharing company also referred to as transportation network company or ride-hailing service matches customers with drivers of vehicles for hire that, unlike taxicabs, cannot be legally flagged down on the street via websites and mobile apps. These vehicles are referred to as app-taxis or e-taxis.

Depending on the jurisdiction, ridesharing businesses may or may not be allowed; in other places, they have been outlawed and are regarded as illegal taxicab operations.

Regulations can cover things like minimum salary requirements, fare limits, insurance regulations, license requirements, and background check specifications for drivers.

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a us company that chooses to use suppliers outside of the united states to provide labor, goods, or services, is practicing _______.

Answers

Outsourcing occurs when a US company chooses to use suppliers from other countries to provide labor, goods, or services.

What is Outsourcing?

The practice of employing a third party from outside a business to carry out tasks or produce commodities that were previously completed in-house by the business's own employees and personnel is known as outsourcing.

Foreign and domestic contracting are both included in outsourcing, which may also involve nearshoring or offshore (moving a corporate function to another country) (transferring a business process to a nearby country).

Outsourcing and offshoring are not mutually exclusive; either one can exist.

They can be combined (offshore outsourcing), reversed separately or collectively, in part or entirely, using techniques like reshoring, inshoring, and insourcing.

A US business that decides to hire suppliers from abroad to offer labor, products, or services is engaging in outsourcing.

Therefore, outsourcing occurs when a US company chooses to use suppliers from other countries to provide labor, goods, or services.

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taylor and lucy were divorced on september 24, 2021. neither has any dependents. neither has remarried. the correct filing status they should each use is:

Answers

Taylor and Lucy were divorced on September 24, 2021. Neither has any dependents. Neither has remarried. The correct filing status they should each use is Single.

What is Filing Status?

Because filing requirements, some credits and above-the-line deductions, tax brackets, and the standard deduction are dependent on filing status, tax law distinguishes between filing statuses.

The primary justification for categorizing taxpayers based on filing status is the assumption that, given an identical income, single people can afford to pay a higher tax rate than those with children, and that, by enabling joint filing, married couples can file their taxes more easily. Five filing statuses exist:

Single, Head of Household, Married Filing Jointly, Married Filing Separately (MFS), Qualifying Widow(er) with Dependent Chil

Therefore, The correct filing status they should each use is Single.

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most of the easily accessible oil and gas fields are in the early part of their production life expectancies. group of answer choices true false

Answers

Most of the easily accessible oil and gas fields are in the early part of their life expectancies - False

Most readily accessible oil and gas reserves have already been found and exploited, and they are now nearing the end of their useful lives. It gets more difficult and expensive to extract the remaining oil and gas as these fields are near their useful lifespan. This is due to the fact that the residual supplies are frequently located in smaller, more dispersed pockets, necessitating the adoption of more sophisticated extraction techniques like deep-sea drilling and hydraulic fracturing.

Because of this, the oil and gas sector is continuously looking for new deposits, frequently in more complex or isolated areas such as deep underground or offshore. These new assets may also require substantial expenditures in infrastructure and technology to access, and are often more expensive and challenging to extract.

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a​ ________ is a multinational company that has a global scope and does not consider any particular country as its​ base, home, or headquarters.
a. Foreign subsidiary
b. transnational organization
c. global company

Answers

b. transnational organization, a transnational organization  is a multinational company that has a global scope and does not consider any particular country as its​ base, home, or headquarters.

A transnational organisation is a multinational company with a worldwide focus that does not regard any one nation as its base, residence, or headquarters. Instead of being bound to a single area or region, multinational corporations conduct activities across several nations and strive to function as a cohesive global organisation. This enables businesses to make the most of their global reach and operational effectiveness while also allowing them to adjust to local markets and laws. Although transnational organisations may have centralised management structures, they also permit a high level of local autonomy to cater to the particular requirements of each market.

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the auto insurance industry estimates that it costs three times the original purchase price (in parts and labor) to reconstruct a wrecked automobile. why is there such a large discrepancy?

Answers

The high cost of reconstructing a wrecked automobile is due to the complexity and specialized nature of the work, as well as the cost of materials and labour.

The cost of reconstructing a wrecked automobile is often much higher than the original purchase price due to a number of factors. One of the main reasons is the complexity of the work involved, which often requires specialized skills and equipment. Additionally, the cost of replacement parts, especially for newer vehicles, can be significantly higher than the original cost of the parts. Another factor that contributes to the high cost of reconstructing a wrecked automobile is the cost of labour. Auto repair shops charge a premium for their services, as the work involved in reconstructing a vehicle is often time-consuming and requires a high level of expertise. Furthermore, there are also hidden costs associated with reconstructing a vehicle, such as storage fees, rental cars for the owner, and other expenses that can add up quickly. All of these factors combined contribute to the high cost of reconstructing a wrecked automobile, which can be three times or more than the original purchase price in parts and labour.

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lowden company uses job order costing and applies overhead to each job at the rate of 160% of direct materials cost. during the current period, direct labor cost is $67,000 and direct materials cost is $73,000. how much overhead cost should lowden company apply in the current period? multiple choice $41,875. $73,000. $45,625. $67,000.

Answers

The direct material cost is the cost of the parts and raw materials required to manufacture a product. It must be simple to tell what ingredients are in the finished product.

What is direct material cost?

Direct materials have a clear pricing that is directly correlated to the production unit. Materials are a variable cost that must be paid directly while manufacturing a good or service.

Materials are needed by a business to produce an item, hence these costs directly affect the price of the good. In a manufacturing corporation, direct costs are referred to as the cost of goods sold.

Direct materials cost          85000

X Predetermined overhead rate 160%

Overhead cost applied         136000

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outside providers of market research, artwork, printing, photography, and other services or materials do not allow agencies to take a commission. to cover the cost of administering these services while making a reasonable profit for their efforts, agencies apply a mark-up called

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To cover the cost of administering these services while making a reasonable profit for their efforts, agencies apply a mark-up called percentage charges.

Agencies add a markup known as percentage charges to the cost of providing these services in order to pay those costs and still make a profit that is fair for their work. A commission can't be taken by agencies from outside vendors of market research, artwork, printing, photography, or other goods or services. Percentage Charge is the sum of the amounts generated by dividing the following percentages by the total balances of the Funding Accounts as of the prior January 31. A percentage is a division by 100, also referred to as percent. A percentage, which is defined as "per 100," denotes a component of an overall amount. For instance, 45% represents the number 45 out of 100. Calculating a percentage is the process of finding the proportion of a whole in terms of 100. equally manual calculations.

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_____segmentation is a very specific form of behavioral segmentation by which segments are formed based on when a product or service is purchased or consumed.

Answers

Temporal segmentation is a very specific form of behavioral segmentation by which segments are formed based on when a product or service

What exactly is spatial segmentation?

One type of behavioral segmentation is temporal segmentation, in which consumers are divided into groups based on when they buy or use a product or service.

Using this method, a market can be divided into groups based on how long customers spend using a product or service. Businesses that offer goods or services that are only available during specific times of the year, such as clothing for the holidays or other special occasions, can benefit greatly from this kind of segmentation.

Businesses can better target their marketing and sales efforts, optimize production schedules, and enhance the overall customer experience by comprehending the temporal patterns of customer behavior.

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the current yield curve for default-free zero-coupon bonds is as follows: maturity (years) ytm 1 9.3 % 2 10.3 3 11.3 a. what are the implied one-year forward rates? if you purchase a three-year zero-coupon bond now, what is the expected total rate of return over the next year? (hint: compute the current and expected future prices.) ignore taxes.

Answers

The expected total rate of return over the next year is 27.2%.

To calculate the implied one-year forward rates, we can use the formula:

(1 + YTM)n = (1 + f1) * (1 + f2) * ... * (1 + fn)

where YTM is the yield to maturity for each respective maturity, and f1, f2, ..., fn are the one-year forward rates for each respective year.

Using this formula, we can calculate the implied one-year forward rates as follows:

(1 + 0.093)^1 = (1 + f1)

(1 + 0.103)^2 = (1 + f1) * (1 + f2)

(1 + 0.113)^3 = (1 + f1) * (1 + f2) * (1 + f3)

Solving for f1, f2, and f3, we get:

f1 = 0.1028, f2 = 0.1153, f3 = 0.1291

Therefore, the implied one-year forward rates are 10.28%, 11.53%, and 12.91% for the first, second, and third years, respectively.

To calculate the expected total rate of return for a three-year zero-coupon bond over the next year, we need to first calculate the current price and expected future price.

The current price of the three-year bond can be calculated as:

P0 = FV / (1 + YTM)^n = 1000 / (1 + 0.113)^3 = $713.78

where FV is the face value of the bond.

To calculate the expected future price, we can use the one-year forward rates. The expected price in one year is the future value of the bond after one year at the prevailing one-year forward rate. Therefore, we can calculate the expected future price as:

P1 = FV / (1 + f1)^1 = 1000 / (1 + 0.1028)^1 = $908.04

where f1 is the one-year forward rate for the first year.

The total rate of return over the next year is then:

Expected total rate of return = (P1 - P0) / P0 = ($908.04 - $713.78) / $713.78 = 27.2%

Therefore, if you purchase a three-year zero-coupon bond now, the expected total rate of return over the next year is 27.2%.

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What four financial statements can be found in a firm's 10-K filing? What checks are there on the accuracy of these statements?
1. The statement of financial position.
2. The income statement.
3. The statement of cash flows.
4. The statement of stockholders' equity

Answers

The four financial statements that can be found in a firm's 10-K filing are: 1) the statement of financial position, 2) the income statement, 3) the statement of cash flows, and 4) the statement of stockholders' equity.

These financial statements provide important information about a company's financial health and performance.
There are several checks on the accuracy of these statements. First, the company's management is responsible for the accuracy and completeness of the financial statements. Second, the company's independent auditors review the financial statements and provide an opinion on their accuracy.

Third, the Securities and Exchange Commission (SEC) requires that the financial statements be filed in accordance with generally accepted accounting principles (GAAP) and may review the statements for compliance. Finally, investors and analysts also review the financial statements and may raise questions or concerns about their accuracy.

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Several studies found that strategic planning does not benefit smaller companies, as they very seldom see improvements in financial performance from this type of planning.True/False

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False. While it is true that strategic planning may not always provide immediate financial benefits to smaller companies, it is not accurate to say that they "very seldom" see improvements in financial performance from this type of planning.

In fact, several studies have found that strategic planning can be beneficial for smaller companies. For example, a study published in the Journal of Small Business Management in 2016 found that small businesses that engaged in strategic planning were more likely to experience revenue growth and increased profitability compared to those that did not engage in strategic planning.

Additionally, strategic planning can help smaller companies identify and prioritize their goals, allocate resources more efficiently, and adapt to changes in the market, which can ultimately lead to improved financial performance.

Of course, the success of strategic planning depends on a variety of factors, including the quality of the planning process and the company's ability to execute the plan effectively. But overall, it is not accurate to say that smaller companies do not benefit from strategic planning.

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is nike a small, medium, or large cap company? how do you know?

Answers

Due to their size and stability, large cap corporations often expand more slowly and are less risky. As a result, a lot of large caps are awarded the Blue Chip moniker.

What are corporations?

A company is a separate legal entity from its shareholders. Many of the same legal rights and obligations apply to corporations as to people. They are able to sign contracts, make loans and take loans, sue and be sued, hire staff, possess assets, and pay taxes.

Limited liability, which prevents its shareholders from being held personally liable for the company's obligations, is a crucial component of a corporation.

An individual or group of individuals with a common objective may establish a corporation. Making money is not a must for all of that.

A corporation is formed when a group of shareholders incorporates the business with the intention of pursuing a shared objective and sharing ownership of the business, as evidenced by their ownership of stock shares.

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the u.s. government limits the amount of sugar that can be purchased from foreign sugar producers. select the term that best fits the scenario.A. Black marketB. LicenseC. Price ceilingD. QuotaE. Price Floor

Answers

The u.s. government restricts how much sugar that can be bought from foreign sugar producers. select the term that best fits the scenario by Quota. Imports of sugar into the US are administered by duty rate quantities. option (D) is correct.

The in-quota sums are designated to 40 outside nations based on earlier import designs. These limitations forestall cheaper unfamiliar sugar from coming down on U.S. costs. Sugar imports are at present confined to around 15% of the U.S. market.

Sugar strategy is contained in a regulation known as the Ranch Bill, which comes up for reauthorization like clockwork. The bill approves the U.S. Division of Horticulture (USDA) to offer credits for sugar being put away for customers by America's sugar makers.

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_______segmentation is a very specific form of behavioral segmentation by which segments are formed based on when a product or service is purchased or consumed.

Answers

Occasion segmentation is a very specific form of behavioral segmentation by which segments are formed based on when a product or service is purchased or consumed.

Occasion segmentation involves dividing the market into groups based on the specific occasions when customers are most likely to purchase or use a product or service. This approach allows marketers to develop targeted marketing campaigns that are tailored to the specific needs and preferences of each segment, and to time their marketing activities to coincide with key purchasing or usage occasions. Occasion segmentation can be used for a wide range of products and services, from consumer goods and personal care products to travel and entertainment services. By understanding the occasions that drive customer purchases, marketers can create more effective marketing strategies that resonate with their consumer target audience and drive higher levels of engagement and conversion.

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which of the following statements regarding an option prior to expiration is correct? the maximum value of: a) a european put is equal to the maximum value of an american put. b) a european put is less than the maximum value of an american put. c) an american call is less than the maximum value of a european call. d) all of the above are correct.

Answers

The correct option is (b): a European put is less than the maximum value of an American put.  An option is a contract that gives the holder the right, but not the obligation, to buy or sell an underlying asset at a specified price, known as the strike price.

There are two types of options: American and European. American options can be exercised at any time before expiration, while European options can only be exercised on the expiration date. For a put option, the maximum value is the difference between the strike price and the underlying asset price, or zero if the underlying asset price is higher than the strike price. The maximum value of an American put option is the greater of the maximum value of a European put option and the intrinsic value of the option at any point in time. The intrinsic value of a put option is the difference between the strike price and the underlying asset price if the underlying asset price is below the strike price, or zero otherwise. Since an American put option can be exercised early, it has more value than a European put option because it gives the holder the option to sell the underlying asset at a higher price before the expiration date if the underlying asset price drops. Therefore, the maximum value of a European put option is less than the maximum value of an American put option. For a call option, the maximum value is the difference between the underlying asset price and the strike price, or zero if the underlying asset price is lower than the strike price. The maximum value of an American call option is the greater of the maximum value of a European call option and the intrinsic value of the option at any point in time. Since a call option gives the holder the right to buy the underlying asset at a lower price, there is no benefit to early exercise, and the maximum value of an American call option is equal to the maximum value of a European call option.

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Different amounts demanded at every price, causing the demand curve to shift to the left or the right.a. Change in demandb. Change in quantity demandedc. Complementsd. Income effecte. Substitutes

Answers

Option A. A change in demand is a shift of the entire demand curve to the left or right.

It occurs when the quantity demanded changes at every price level due to a factor other than price, such as a change in consumer preferences, income, or the availability of substitute goods or services.

In contrast, a change in quantity demanded (B) refers to a movement along the demand curve in response to a change in price, holding all other factors constant. Complements (C) are goods or services that are consumed together, so a change in the price of one good affects the demand for the other. The income effect (D) is the change in quantity demanded of a good or service resulting from a change in the consumer's purchasing power due to a change in income. Substitutes (E) are goods or services that can be used in place of one another, so a change in the price of one good affects the demand for the other.

Therefore, the correct answer is A. Change in demand.

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Different amounts demanded at every price, causing the demand curve to shift to the left or the right.

A. Change in demand

B. Change in quantity demanded

C. Complemented

D. Income effect

E. Substitutes

the formal measure of u.s. gdp may tend to understate the actual size and value of the national economy due to the exclusion of which category of goods and services?

Answers

The formal measure of U.S. GDP tends to understate the actual size and value of the national economy due to the exclusion of non-market goods and services.

Non-market goods and services refer to goods and services that are not bought and sold in the marketplace, such as childcare and housework.

These goods and services are not included in the calculation of GDP, which means that the formal measure of GDP does not take into account the true size and value of the national economy.

This can lead to an inaccurate picture of the U.S. economy and can lead to policy decisions that are based on incorrect information.

Thus, the formal measure of U.S. GDP tends to understate the actual size and value of the national economy due to the exclusion of non-market goods and services.

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how do costanza and daly define development? increasing the amount of matter and energy that the economy converts into wealth increasing the human well-being that the economy produces from a given amount of matter and energy increasing the well-being that the economy provides to plants and animals

Answers

Development is described as "raising the human well-being which the economy provides from the a given amount of matter and energy" by Costanza and Daly.

Explain about development.

The set of procedures and equipment needed to create the code for a programme or piece of software constitutes a development environment. Development, staging, and production servers are all included in the infrastructure that aids the process in its whole. Promotes human well-being without jeopardizing the capacity of future generations to fulfill their own needs, which is the significance of sustainable development. They contend that, despite the fact that economic activity entails the conversion of energy and matter into riches, the long-term well-being of people and the world may suffer if material gain is the only goal. They therefore support a broader definition of progress that takes into account both the economic and social effects of economic activity.

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In order to fully leverage the talents of the best and brightest employees, a firm should be concerned with
Multiple Choice
·
rewards, training, and customer support.
·
hiring, retention, and training.
·
hiring, firing, and redistribution.
·
rewards, training, and customer support.

Answers

In order to fully leverage the talents of the best and brightest employees, a firm should be concerned with hiring, retention, and training.

In order to fully leverage the talents of the best and brightest employees, a firm must focus on attracting and hiring top talent, retaining them through effective employee engagement and development programs, and providing them with opportunities for continuous learning and skill development through training and career advancement programs. While rewards and customer support are important factors, they alone are not sufficient to attract and retain top talent. Firms must also create a supportive and inclusive workplace culture that encourages innovation, collaboration, and personal growth, and provide employees with opportunities to apply their skills and talents to meaningful and challenging projects. By focusing on these key sales areas, firms can create a motivated and high-performing workforce that can drive innovation, growth, and competitive advantage.

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$3000 are invested in a bank account at an interest rate of 4 percent per year. find the amount in the bank after 13 years if interest is compounded annually. correct find the amount in the bank after 13 years if interest is compounded quarterly. $832.54$incorrect 5033.0667643888 find the amount in the bank after 13 years if interest is compounded monthly. finally, find the amount in the bank after 13 years if interest is compounded continuously.

Answers

The amount in the bank after 13 years if interest is compounded annually is: A = $5,259.16

A = P(1 + r/n)^(nt)

A = 3000(1 + 0.04/1)^(1*13)

A = $5,090.05

The amount in the bank after 13 years if interest is compounded quarterly is:

A = P(1 + r/n)^(nt)

A = 3000(1 + 0.04/4)^(4*13)

A = $5,201.80

The amount in the bank after 13 years if interest is compounded monthly is:

A = P(1 + r/n)^(nt)

A = 3000(1 + 0.04/12)^(12*13)

A = $5,246.75

The amount in the bank after 13 years if interest is compounded continuously is:

A = Pe^(rt)

A = 3000e^(0.04*13)

A = $5,259.16

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in an acquisition where 100% control is acquired, how would the land accounts of the parent and the land accounts of the subsidiary be reported on consolidated financial statements? parent subsidiary a) book value book value b) book value fair value c) fair value fair value d) fair value book value e) cost cost

Answers

The acquisition technique utilised and the fair value of the assets determine how the land accounts are treated in a consolidated financial statement.

When a parent firm buys out a subsidiary at 100%, the land accounts of the parent and the subsidiary are combined and presented on consolidated financial statements. The specific accounting technique utilised for the acquisition determines the valuation methodology to be used to report the land accounts. If the book value method is used to account for the acquisition, the land accounts for the parent and the subsidiary are each recorded on the consolidated financial statements at their respective book values. Based on this methodology, the assets of the subsidiary are valued at their historical cost less accumulated depreciation and amortisation.

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what is a trial balance? a summary document containing assets, liabilities, and equities and comprising one of the three primary financial statements a schedule reconciling the sum of the revenues with the sum of expenses and dividends a listing of all of the ledger accounts and their balances an initial transaction analysis performed whenever inventory is sold on credit

Answers

A trial balance is a listing of all of the ledger accounts and their balances.

A trial balance is a list of all the accounts a company has with their respective balances. The trial balance is a snapshot of the financial status of a company and is used to verify that the total debits equal the total credits in the general ledger. It is typically used to prepare financial statements, such as the balance sheet and income statement. It also helps detect errors in the accounting system before preparing the financial statements.

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what is the duration of a 4-year bond with an annual coupon rate of 9%? its value at maturity is $1,000, the current bond price is $1,103.96, and the yield to maturity is 6%. the present values of cash flows from year 1 through year 4 are $84.91, $80.10, $75.57, and $863.38. 4.1 3.56 3.23 2.44

Answers

The duration of a 4-year bond with an annual coupon rate of 9% is 3.56 years.

To calculate the duration of this bond, we first need to calculate the total present value of the cash flows. This can be done by adding up the present values of the individual cash flows:[tex]PV = $84.91/(1+0.06)^1 + $80.10/(1+0.06)^2 + $75.57/(1+0.06)^3 + $863.38/(1+0.06)^4[/tex]= $84.91 + $75.47 + $65.84 + $717.14

= $943.36

Next, we need to calculate the weight of each cash flow. This can be done by dividing the present value of each cash flow by the bond price:

w1 = $84.91/$1,103.96 = 0.0769

w2 = $80.10/$1,103.96 = 0.0726

w3 = $75.57/$1,103.96 = 0.0684

w4 = $863.38/$1,103.96 = 0.7821

The duration of the bond can then be calculated as the weighted average of the times to receipt of the cash flows, where the weights are the present values of the cash flows divided by the bond's price: Duration = w1t1 + w2t2 + w3t3 + w4t4

where t1, t2, t3, and t4 are the times to receipt of the individual cash flows. For this bond, the annual coupon rate is 9%, so the cash flows are received annually, and the times to receipt are 1, 2, 3, and 4 years. Thus, we have: Duration = 0.07691 + 0.07262 + 0.06843 + 0.78214

= 3.56 years

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How would a manufacturer benefit by using fewer scarce resources?

The product would be less expensive to produce.
The product would better satisfy consumer needs.
The product would be popular and readily available.
The product would provide a more satisfactory profit.

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The manufacturer would benefit because the  product would be less expensive to produce.

How would a manufacturer benefit by using fewer scarce resources?

A manufacturer would benefit by using fewer scarce resources in several ways:

Lower production costs: Using fewer scarce resources would result in lower production costs for the manufacturer. This would allow them to price their products more competitively, potentially leading to increased sales and market share.

Improved efficiency: Using fewer resources often requires manufacturers to find more efficient ways of producing their products. This could lead to improved production processes, reduced waste, and more streamlined supply chains.

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Answer:

The product would be less expensive to produce.

Explanation:

a management statement that the inventory shown on the balance sheet was available for sale at the balance sheet date is an example of the

Answers

A management statement that the inventory shown on the balance sheet was available for sale at the balance sheet date is an example of the existence assertion.

A balance sheet is a financial statement that presents a company's financial position at a given point in time. It shows the company's assets, liabilities, and equity, providing a snapshot of its financial health.

Assets include anything that the company owns or controls that has monetary value, such as cash, property, equipment, and inventory. Liabilities are the company's obligations, such as loans, accounts payable, and taxes owed. Equity is the residual interest in the assets after deducting liabilities. The balance sheet provides crucial information for investors, creditors, and analysts who use it to evaluate a company's financial strength and liquidity. It helps them determine the company's ability to pay its debts and its overall financial stability.

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Complete Question:

A management statement that the inventory shown on the balance sheet was available for sale at the balance sheet date is an example of the _________.

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