TRUE/FALSE. Common stocks always provide higher returns than bonds and money market
investments.

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Answer 1

Common stocks do not always provide higher returns than bonds and money market investments. False

The return on any investment is dependent on various factors such as market conditions, economic indicators, and company-specific factors. Historically, common stocks have provided higher returns than bonds and money market investments over the long term, but there is no guarantee that this trend will continue in the future.

Furthermore, the risk associated with investing in common stocks is generally higher than that of bonds and money market investments. It is important to consider one's investment objectives, risk tolerance, and investment horizon when deciding between common stocks, bonds, and money market investments.

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multiple select question select all that apply which of the statements below explains how technology has impacted internal control systems? (check all that apply.) multiple select question. technology has reduced the number of processing errors. technology can be designed to require the use of password before access to the system is granted. technologically advanced systems can record who made entries, the date and time of the entry and the source of the entry. technology increases job creation and fewer job consolidations. technology has encouraged the growth of e-commerce, which means that there is a higher risk of credit card number theft. need help? review these concept resources.

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The statements that explain how technology has impacted internal control systems are as follows:
- Technology has reduced the number of processing errors.
- Technology can be designed to require the use of password before access to the system is granted.


Passwords can be implemented to ensure only authorized personnel have access to the system, which enhances security. Advanced systems can also record who made entries, the date and time of the entry, and the source of the entry, which improves traceability and accountability. However, technology also poses new risks, such as the higher risk of credit card number theft due to the growth of e-commerce.

1. Technology has reduced the number of processing errors.
2. Technology can be designed to require the use of a password before access to the system is granted.
3. Technologically advanced systems can record who made entries, the date and time of the entry, and the source of the entry.
4. Technology has encouraged the growth of e-commerce, which means that there is a higher risk of credit card number theft.

1. Technology has improved data processing, making it more accurate and efficient, thus reducing processing errors in internal control systems.
2. Security measures, such as requiring passwords, have been implemented in technology to limit unauthorized access to internal control systems.
3. Advanced systems can track and record user activity, providing an audit trail that enhances the transparency and accountability within internal control systems.
4. The growth of e-commerce, facilitated by technology, has led to an increased risk of credit card number theft, making it necessary for internal control systems to address these risks.

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In calculating EPS, preferred stock dividends are subtracted from the numerator because EPS represents earnings available to ________ shareholders.

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In calculating EPS, preferred stock dividends are subtracted from the numerator because EPS represents earnings available to common shareholders

Dividends received from common shares are not taken into account when calculating net income. Because the number of outstanding common shares can fluctuate throughout the year, the weighted average is used to calculate EPS.

Preferred dividends must be paid out before ordinary shareholders receive anything since only the earnings available to common shareholders are reflected by EPS, which is why they are subtracted from EPS.

For EPS calculations, preferred share dividends are subtracted from net income. Preferred shareholder dividends must be deducted from EPS calculations because common shareholders are not allowed to receive them.

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By offering a standardized product to the global marketplace and manufacturing that product in each nation in which it does business irrespective of production costs, a multinational company can realize substantial scale economies.
a. True
b. False

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By offering a standardized product to the global marketplace and manufacturing that product in each nation in which it does business irrespective of production costs, a multinational company may not necessarily realize substantial scale economies.  True

This approach of manufacturing in every country where the company does business irrespective of production costs is known as a multi-domestic strategy. A multi-domestic strategy aims to maximize local responsiveness by customizing products, advertising, and distribution channels to suit local preferences, rather than taking advantage of scale economies.

In contrast, a multinational company may realize substantial scale economies by using a global standardization strategy. Under a global standardization strategy, a company offers a standardized product to the global marketplace and manufactures it in a few locations worldwide to take advantage of economies of scale.

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discuss which of the five generic competitive strategies is most likely to be best suited for an industry where the product is a commodity.

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In an industry where the product is a commodity, the most suitable generic competitive strategy is likely to be cost leadership.

Cost leadership involves producing and delivering the product at a lower cost than competitors, while maintaining a reasonable level of quality. In a commodity industry, where products are largely similar and price-sensitive, businesses can gain a competitive advantage by offering lower prices than their competitors.

By keeping costs low through efficient production and supply chain management, a company can offer lower prices while still achieving profitability. Additionally, in a commodity industry, customers are less likely to be loyal to a specific brand or company, making price a key factor in their purchasing decisions. Therefore, businesses that can offer the lowest prices are more likely to succeed in a competitive commodity industry.
In an industry where the product is a commodity, the most suitable generic competitive strategy is likely to be the Cost Leadership strategy. In a competitive commodity market, differentiation among products is minimal, and price becomes the primary factor influencing customers' purchasing decisions. By achieving cost leadership, a company can offer lower prices than its competitors while maintaining profitability. This approach can provide a competitive advantage by attracting price-sensitive customers and increasing market share in the industry. Remember to continually improve cost efficiency to maintain this advantage, as competitors will also strive to lower their costs.

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consult the following marginal cost (mc) and average total cost (atc) information for a typical firm. quantity mc atc 3 3.5 11 4 5 9.5 5 7 9.0 6 10 9.2 7 13 9.7 8 17 10.6 suppose that in the long-run if a firm invests additional capital it will face the following costs: quantity mc atc 3 3 11.7 4 4 9.8 5 6 9.0 6 9 9.0 7 10 9.1 8 10 9.3 how many units will the firm produce if the market is in long-run equilibrium?

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In the short run, the firm will produce where marginal cost (MC) equals marginal revenue (MR) in order to maximize profits. Using the information provided, we can see that the profit-maximizing output level is 5 units, where MC = $7 and ATC = $9.0.

In the long run, the firm will adjust its capital and production levels to minimize its average total cost (ATC) and remain competitive in the market. Based on the new cost information provided, we can see that the long-run equilibrium output level for the firm is where MC = ATC.

Using the new information, we can see that the long-run equilibrium output level is also 5 units, where MC = $6 and ATC = $9.0. Therefore, the firm will continue to produce 5 units in the long run in order to remain competitive in the market and minimize its costs.

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common-size analysis requires the analyst to be aware that percentages can change because of all of the following except: a. interaction effects between the numerator and denominator b. changes in sales independent of changes in expenses c. changes in expenses in the numerator independent of changes in sales d. all of these are possible explanations.

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Common-size analysis is a technique used by analysts to compare financial statements by expressing line items as a percentage of a common base.

However, it's important to note that percentages can change for different reasons. Changes in sales independent of changes in expenses and changes in expenses in the numerator independent of changes in sales are both possible explanations for changes in percentages. Therefore, the correct answer to the question is d) all of these are possible explanations for changes in percentages in common-size analysis.

However, interaction effects between the numerator and denominator can also impact percentages. For example, if a company's sales increase by 10% but its cost of goods sold (denominator) increases by 15%, the percentage of cost of goods sold to sales will increase even though sales have also increased.
In common-size analysis, the one factor that does not cause changes in percentages is:

b. changes in sales independent of changes in expenses

Common-size analysis involves expressing financial statement items as a percentage of a base figure, like sales or total assets. This helps in comparing companies of different sizes. The other options (a, c, and d) are possible explanations for percentage changes in common-size analysis, as they involve interactions or independent changes between the numerator and denominator. However, option b highlights a situation where sales change independently of expenses, which does not directly impact the percentages in common-size analysis.

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On average, purchase costs account for about ______ percent of water costs; disposal costs account for the remaining ______ percent.

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On average, purchase costs account for about 70 percent of water costs; disposal costs account for the remaining 30 percent.

The sum of money used to generate a company's goods or services is considered the cost of the firm. It is determined by how much money the business invests in order to manufacture a certain volume of a product. In a word, it is the sum of money that a business spends on costs such as labour, services, raw materials, and other expenses.

Costs are the monetary value of purchases made of supplies, services, labour, goods, equipment, and other assets for use by a business or other accounting entity. It is the amount that appears as the invoice price and is noted in bookkeeping records as an expense or asset cost basis.

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true or false? in recent years, many pharmaceutical companies have changed their promotional strategies from a push to a pull strategy in terms of their communication approach in order to get physicians to write scripts for their brand of drugs.

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True. In recent years, many pharmaceutical companies have shifted their promotional strategies from a push approach to a pull approach in terms of their communication with physicians.

This means that instead of bombarding doctors with ads and sales reps, companies are now focusing on providing valuable information and resources to physicians, such as clinical data and patient support programs.

The goal is to establish trust and credibility with doctors, ultimately leading to increased prescription rates for their brand of drugs. This shift in communication approach reflects a growing recognition that traditional push strategies are often ineffective and can even damage the reputation of pharmaceutical companies.
True. In recent years, many pharmaceutical companies have shifted their communication approach from a push to a pull strategy. This change in promotional strategies is aimed at encouraging physicians to write prescriptions for their specific brand of drugs. By focusing on effective communication and providing valuable information, pharmaceutical companies can build trust and credibility with healthcare professionals, ultimately influencing their prescribing decisions.

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The aging of the population, changes in ethnic composition, and effects of the baby boom are ____
a. macroeconomic changes
b. demographic changes
c. global changes
d. sociocultural changes

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The aging of the population, changes in ethnic composition, and effects of the baby boom are:

b. demographic changes

These factors are related to the characteristics of human populations, such as age, ethnicity, and birth rates, which fall under the category of demographic changes.

What is the meaning of demographic change?

Demographic change refers to shifts in migration, birth rates, and death rates that affect population size and structure. Today's Western industrialized nations are undergoing a demographic transition characterized by declining birthrates below population replacement levels and increasing life expectancy.

What is the cause of demographic change?

Various include variations in the economic factors that determine the timing and rate of various demographic change drivers, such as fertility and death rates, urbanization, migration patterns, and population growth rates across time.

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Which of the following comprise barriers to entry? I. Large economies of scale required to be profitable II. Established brand loyalty III. Patent protection for the firm's product IV. Rapid industry growth O III and IV only O 1,11 and III only I and II only I1, IIl and IV only

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Comprise barriers to entry brand loyalty large economies of scale required to be marketing, brand loyalty is the determination of a customer to persistently use a brand's goods. The correct answer is III. Patent protection for the firm's product.

Services in spite of flaws, rivalry-related behaviour, or environmental changes. It can also be demonstrated by other means, such as effective word-of-mouth advertising. Customers show corporate brand loyalty when they pick one manufacturer's products over those from rival suppliers. It's critical to distinguish between habit, which requires less emotional commitment and attention, and loyalty, which requires dedication. Companies that rely heavily on client brand loyalty to uphold their moral obligations, such as ESG obligations, adopt the loyalty business model.

Complete question:

Which of the following comprise barriers to entry? multiple choice questions

I. Large economies of scale required to be profitable II. Established brand loyalty

III. Patent protection for the firm's product

IV. Rapid industry growth

O III and IV only O 1,11 and III only I and II only I1, IIl and IV only.

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what is the annual holding cost of keeping a trained flight attendant in the trained pool before the service?

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The annual holding cost of keeping a trained flight attendant in the trained pool before the service can vary depending on a few factors. One of the most significant factors is the length of time that the flight attendant spends in the trained pool. If the flight attendant is only in the trained pool for a short period, the annual holding cost will be lower than if they remain in the pool for an extended period.

Additionally, the cost of training the flight attendant can also impact the annual holding cost. The cost of training includes not only the direct costs associated with training, such as instructor fees and materials, but also the indirect costs, such as the time spent away from regular duties. Other factors that can impact the annual holding cost of keeping a trained flight attendant in the trained pool before the service include the salary and benefits paid to the flight attendant while in the pool, the cost of maintaining their certifications and licenses, and any administrative expenses associated with managing the trained pool.

Overall, the annual holding cost of keeping a trained flight attendant in the trained pool before the service can range from several thousand to tens of thousands of dollars, depending on the factors mentioned above. It is important for airlines to carefully manage their trained pool to minimize these costs while ensuring that they have a sufficient number of trained flight attendants available for service.

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Why would the sale of a secondhand car not be included in a calculation of gdp?.

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The sale of a secondhand car is not included in the calculation of GDP because GDP only measures the value of goods and services produced within a country's borders during a specific time period, typically a year.

When a new car is produced, it is included in GDP because it represents a new addition to the economy's production of goods. However, when a used car is sold, it is not considered a new addition to the economy's production of goods, but rather a transfer of ownership. This is because the car was already included in GDP when it was originally produced and sold as a new car. Additionally, including the sale of secondhand cars in GDP calculations would lead to double-counting of economic activity. For example, if someone buys a used car and then sells it the following year, both transactions would be counted in GDP, even though the car only represents one unit of economic activity.

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for which of the following would a diverse team be better than a homogeneous team? multiple choice on tasks requiring a high degree of cooperation in situations where the team must reach the performing stage of team development quickly in finding viable solutions to difficult problems in most organizational activities as they will have fewer conflicts

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Tasks requiring a high degree of cooperation, When the success of a project or task depends on the ability of team members to work together closely and effectively, a diverse team can be advantageous.

A diverse team brings different perspectives, experiences, and skills to the table, which can help to promote creative problem-solving and prevent groupthink.

Situations where the team must reach the performing stage of team development quickly: The performing stage is the stage where a team is most productive, efficient, and effective. However, reaching this stage can take time, especially for homogeneous teams that may struggle with communication and collaboration.

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which would be the best strategy if a dysfunctional norm is very deeply ingrained in a team? multiple choice disband the group and replace it with people having more favorable norms. introduce rewards that support the dysfunctional norm. supplement the existing group with one or two people having more favorable norms. tell the group that corporate leaders are willing to tolerate the dysfunctional norm.

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The best strategy for addressing a deeply ingrained dysfunctional norm in a team would be to supplement the existing group with one or two people having more favorable norms.

This is because disbanding the group and replacing it with new members may not necessarily solve the issue as the dysfunctional norm may still persist. Introducing rewards that support the dysfunctional norm would only reinforce the behavior, which is counterproductive. Telling the group that corporate leaders are willing to tolerate the dysfunctional norm sends the message that it is acceptable, which is not conducive to creating a positive and productive work environment.

Therefore, bringing in new members who embody more positive and functional norms can help shift the team's culture in a more positive direction over the long term. This approach may take time, but it is the most effective way to address a deeply ingrained dysfunctional norm in a team.The best strategy if a dysfunctional norm is very deeply ingrained in a team would be to "supplement the existing group with one or two people having more favorable norms."

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Out of the given options, the best strategy would be to supplement the existing group with one or two people having more favorable norms.

Firstly, it's important to note that changing a deeply ingrained dysfunctional norm in a team can be a challenging and complex process that requires a long-term approach.

Therefore, a "quick fix" strategy may not be effective in the long run.

Out of the given options, the best strategy would be to supplement the existing group with one or two people having more favorable norms.

This approach involves bringing in new team members who already exhibit positive norms and behaviors, which can gradually influence the dysfunctional norms of the existing team.
Disbanding the group and replacing it with people having more favorable norms may seem like a viable solution, but it can be costly and disruptive to the team's dynamics.

Additionally, introducing rewards that support the dysfunctional norm may reinforce the negative behavior and not address the root cause of the issue.

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assume the perpetual inventory system is used. determine the costs assigned to ending inventory when costs are assigned based on the fifo method.

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When using the FIFO (first-in, first-out) method to assign costs to ending inventory in a perpetual inventory system. The costs assigned to the ending inventory will be based on the assumption. The items that were purchased or produced first are also the ones that were sold first. This means that the cost of the most recently acquired items will not be included in the ending inventory calculation.

To calculate the costs assigned to ending inventory under the FIFO method, you would start with the oldest inventory items (those that were purchased or produced first) and assign their costs to the ending inventory until you have accounted for all the inventory on hand. The costs assigned would be based on the purchase or production costs of those items at the time they were acquired.
For example, let's say a company had the following inventory transactions during the year:
- Beginning inventory: 100 units at $10 each
- Purchase 1: 200 units at $12 each
- Purchase 2: 300 units at $15 each
- Sales: 400 units at various prices
Using the FIFO method, we would assume that the first 100 units sold were the ones from the beginning inventory, followed by 200 units from Purchase 1, and then 100 units from Purchase 2. This means that the costs assigned to ending inventory would be based on the remaining 200 units from Purchase 2, which cost $15 each. Therefore, the costs assigned to ending inventory would be $3,000 (200 units x $15 each).
In summary, when using the FIFO method to assign costs to ending inventory in a perpetual inventory system, the costs assigned will be based on the assumption that the oldest inventory items are sold first. The costs assigned will be the purchase or production costs of those items at the time they were acquired.

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steve would like to purchase a $1,000,000 20-year endowment policy. he is 21-years old at the time the policy is set up. what will be his annual premium?

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Consulting with a life insurance agent or company to obtain the necessary information and determine the exact annual premium for his 20-year, $1,000,000 endowment policy.

To calculate the annual premium for Steve's 20-year endowment policy with a face value of $1,000,000, we'll need to consider a few factors such as the mortality rate, interest rate, and his age at the time the policy is set up. However, without that specific information, I cannot provide an exact amount for his annual premium.

In general, the process to calculate the annual premium for an endowment policy involves the following steps:

1. Determine the mortality rate for Steve's age group. This can usually be found in a life insurance table.

2. Calculate the net single premium (NSP) using the mortality rate and the interest rate. The NSP represents the present value of the benefits provided by the policy.

3. Determine the policy reserve, which is the present value of future benefits minus the present value of future premiums.

4. Calculate the annual premium by dividing the net single premium minus the policy reserve by the present value of an annuity for the policy term.

Without the specific rates and values, it's not possible to give an exact premium amount for Steve's policy. I recommend consulting with a life insurance agent or company to obtain the necessary information and determine the exact annual premium for his 20-year, $1,000,000 endowment policy.

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But where do you find μDDLT and σDDLT ?

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The terms "μDDLT" and "σDDLT" are not commonly used in any specific field or context that I am aware of.

Therefore, it is difficult to say where you might find these terms or what they might refer to without additional information. If you have any additional context or information about the specific field or context in which these terms are being used, I may be able to provide more assistance. It is possible that these terms are specific to a particular industry, academic discipline, or scientific field, and may not be widely used or understood outside of that context.

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mc qu. 28 money owed to a business by credit... money owed to a business by credit customers is referred to as

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Money owed to a business by credit customers is referred to as accounts receivable. Accounts receivable is a term used in accounting to describe the amount of money that a business is owed by its customers for goods or services that have been sold on credit.

It is important for businesses to keep track of their accounts receivable, as it is a measure of their financial health. If too much money is tied up in accounts receivable, it can negatively impact the business's cash flow and ability to pay bills and expenses. On the other hand, if the accounts receivable balance is too low, it may indicate that the business is not selling enough on credit and may be missing out on potential revenue.

In summary, accounts receivable is the term used to describe the money owed to a business by its credit customers. This is an important aspect of a business's financial health, as it affects cash flow and revenue. Money owed to a business by credit customers is referred to as Accounts Receivable.

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A federal income tax exists to provide revenue for:.

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A federal income tax exists to provide revenue for the federal government.

The federal government needs money to operate and fund its programs and services, such as national defense, social security, and healthcare. The federal income tax is one way in which the government generates revenue to fund these programs and services.


Federal income tax is collected by the government from individuals and businesses based on their earned income. This revenue is used to fund various government operations, such as defense, education, healthcare, and infrastructure, as well as to pay off government debts and support social welfare programs.

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select the correct answer. which of the following crops is grown at lower elevations? a. wheat b. coffee c. apples d. bananas

Answers

The correct answer is d. bananas. Bananas are typically grown in tropical regions with low elevations and warm climates. They require a lot of water and humidity, which is why they thrive in areas with consistent rainfall and high temperatures.

On the other hand, wheat is a staple crop in many parts of the world and is grown in a variety of climates and elevations. It can be grown in temperate regions with cooler temperatures and higher elevations, as well as in low-lying areas with warmer temperatures. Coffee is also a crop that requires a specific climate and altitude to grow. It is typically grown in regions with higher elevations and cooler temperatures, such as mountainous areas. Finally, apples are another crop that can be grown in a range of climates and elevations. They are commonly grown in temperate regions with moderate temperatures and are able to tolerate colder temperatures than many other fruit trees. In conclusion, of the options provided, bananas are the crop that is typically grown at lower elevations.

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Answer:

bananas

Explanation:

you plan to invest in securities that pay 11.6%, compounded annually. if you invest $5,000 today, how many years will it take for your investment to grow to $9,140.20? a. 6.10 b. 6.43 c. 5.50 d. 4.18 e. 4.73

Answers

The correct answer is option e. 4.73 years.

To solve this problem, we need to use the formula for compound interest:
A = P(1 + r/n)^(nt)
P = $5,000
r = 11.6% or 0.116 (since it is compounded annually)
A = $9,140.20
t = log(A/P) / log(1 + r/n)
t = log(9140.20/5000) / log(1 + 0.116/1)
t = log(1.82804) / log(1.116)
t = 4.18 years (rounded to two decimal places)
So the answer is d. 4.18 years.
Future Value (FV) = Present Value (PV) * (1 + interest rate)^number of years
number of years = log(FV/PV) / log(1 + interest rate)
number of years = log(9140.20/5000) / log(1 + 0.116)
number of years ≈ 4.73

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lg has two design options for a new line of high-resolution monitors: i. design i has a 90% probability of yielding 65 good monitors per 100 (i.e., yield rate is 65%) and a 10% probability of yielding 80 good monitors per 100. this development will cost $1,000,000 as initial investment. this type of monitor can be sold for $150. ii. design option ii has a 80% probability of yielding 64 good units per 100 and a 20% probability of yielding 59 good units per 100. this development will cost $1,350,000 as initial investment. this type of monitor can be sold for $155. the production of each monitor (whether defective or not) will cost $75. lg must pay production costs on all monitors, whether defective or perfect. but it can sell only perfect monitors. the life cycle for this model is two years with 100,000 units of demand per year. note that the output of the production line will be less than 100,000 units based on yield rates. lg does not necessarily aim to satisfy all the demand. develop a decision tree, calculate payoffs for the branches of the tree, and calculate emvs of the alternatives. a) which design should be chosen based on emvs? b) assuming part a), defective monitors have an estimated salvage value since many parts of it can be recycled and used in other products. design i has salvage value $25 per unit, while design ii has salvage value $30 per unit. which design should be chosen based on emvs? show your calculations. no need to draw a new decision tree. (yield rate means the rate of perfect monitors produced by the process. for example, if yield rate is 80%, it means out of 100 monitors, 80 monitors are perfect and 20 monitors are defective.)

Answers

Design i has a 90% probability of yielding 65 good monitors per 100 (i.e., yield rate is 65%) and a 10% NVP value probability of yielding 80 good monitors per 100 of monitors are perfect and 20 monitors are defective.

In order to calculate the NPV of the profit over a three-year period, all growth assumptions pertaining to sales volume, sales price variables, and fixed costs were initially taken into account.

I estimated annual sales revenue, variable and fixed expenses after accounting for the assumptions. Sales less variable and fixed costs equals profit. defective monitors have an estimated salvage value since many parts of it can be recycled and used in other products.

Finally, I used the formula 1/(1+r)N, where r is the rate of 4% and N is the pertinent year, to discount the profit to present. Please see the attached spreadsheet.Actually, in a free market, demand is distributed to sellers who can create items at the lowest cost, while supply is distributed to buyers who value commodities the most as determined by their willingness to purchase them.

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a store picks a pricing goal in relation to a specific gross margin, producing a desirable profit margin. what is this type of pricing called?

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The type of pricing that a store picks in relation to a specific gross margin, producing a desirable profit margin is called cost-plus pricing. Cost-plus pricing is a pricing strategy that involves determining the cost of producing a product or service and then adding a markup or profit margin on top of it to determine the final selling price.

In this pricing strategy, the goal is to set the selling price high enough to cover all costs and generate a desired profit margin. To calculate the cost-plus price, the company would first calculate the total cost of producing the product or service, including all variable and fixed costs. This would include the cost of materials, labour, overhead expenses, and any other costs associated with producing the product or service. Once the total cost is calculated, the company would then add a markup or profit margin on top of the cost to determine the final selling price.

The markup or profit margin would be based on the company's desired profit margin, which is typically a percentage of the total cost. For example, if the total cost to produce a product is $100 and the desired profit margin is 20%, the company would add a markup of $20 (20% of $100) to arrive at a cost-plus price of $120. Overall, cost-plus pricing is a popular pricing strategy for many businesses as it ensures that all costs are covered and a desired profit margin is achieved.

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on a new issue of municipal bonds, the bond counsel will evaluate all of the following documents except:a enabling legislationb feasibility study

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The bond counsel plays a critical role in the issuance of municipal bonds. They are responsible for evaluating the legality of the bond issue and ensuring that all necessary legal requirements are met.

As part of their evaluation, they typically review several documents related to the bond issue, such as the official statement, the bond resolution, and the bond indenture. However, the bond counsel generally does not evaluate the enabling legislation or the feasibility study. Enabling legislation is the law that authorizes the bond issue, and it is typically reviewed by the issuer's legal counsel. The feasibility study, on the other hand, is a document that evaluates the viability of the project being financed by the bonds and is typically reviewed by underwriters or financial advisors.

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Place the steps of the policy-making process in order.

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The policy-making process involves several steps, which can vary depending on the specific policy and governing body. The policy-making process is a complex and iterative process that requires collaboration and input from various stakeholders.

However, a general order of the steps is as follows:

1. Issue identification: The problem or issue that requires policy action is identified and brought to the attention of policymakers.

2. Agenda setting: Policymakers prioritize the issues that require policy action and determine which issues to focus on.

3. Policy formulation: Policymakers develop and propose policies that address the identified issue.

4. Policy adoption: The proposed policy is reviewed and debated by governing bodies and stakeholders, and a decision is made to adopt or reject the policy.

5. Policy implementation: The adopted policy is put into action by the appropriate agencies and individuals.

6. Policy evaluation: The policy is monitored and evaluated to determine its effectiveness and any necessary adjustments that need to be made.

7. Policy revision: Based on the evaluation, policymakers may revise or replace the policy to better address the issue at hand.

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The difference between advertising and publicity is that advertising is.

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The difference between advertising and publicity is that advertising is a paid form of promotion that is usually controlled by the advertiser, while publicity is a form of free promotion that is not necessarily controlled by the organization or individual being promoted. Advertising is typically designed to reach a specific target audience through various media channels such as television, radio, print, or online, while publicity is usually generated through media coverage or word-of-mouth referrals.

Additionally, advertising usually has a specific call-to-action, such as buying a product or visiting a website, while publicity may simply aim to raise awareness or generate interest in a particular topic or brand.


The difference between advertising and publicity is that advertising is a paid form of communication used by businesses to promote their products or services, while publicity is the free exposure a company or individual receives through media coverage or public relations efforts.

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Carl and Jenny adopt a Korean orphan. The adoption takes 2 years and two trips to Korea and is finalized in 2022. They pay $8,000 in 2021 and $7,500 in 2022 for qualified adoption expenses. In 2022, Carl and Jenny have AGI of $150,000.
If an amount is zero, enter "0".
If required, carry any division out to four decimal places and round final answers to the nearest dollar.
a. What is the adoption credit Carl and Jenny can claim in 2022?
b. How much credit could they claim if the adoption falls through and is never finalized?
c. How much credit could they claim if their AGI was $229,410?

Answers

Their total qualified adoption expenses are $7,500. Thus, the credit would be 20% of $7,500, which equals $1,500.

a. The adoption credit Carl and Jenny can claim in 2022 is calculated as 20% of their qualified adoption expenses, up to a maximum of $14,440. Their absolute qualified reception costs are $7,500. Hence, the credit would be 20% of $7,500, which approaches $1,500.

b. If the adoption falls through and is never finalized, Carl and Jenny would not be eligible for the adoption credit since the credit is available only for finalized adoptions.

c. If their AGI was $229,410, the phase-out threshold for the adoption credit would apply. The credit begins to phase out when AGI exceeds $216,660 and is completely phased out when AGI reaches $256,660. Since their AGI falls within this range, the credit amount they could claim would be reduced. The exact reduction depends on their AGI and is calculated using a formula provided by the IRS.

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jason aldeen bought a house for $275,000. he made a down payment of 15%. the interest rate is 4.2% for 15 years. use the loan payment calculator to answer the following questions. (do not use commas or dollar signs in your answer)

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Using a loan payment calculator with the given information, Jason Aldeen's loan amount would be $233,750 (which is 85% of the original purchase price after his down payment). With an interest rate of 4.2% and a loan term of 15 years, his monthly mortgage payment would be $1,758.29. Throughout the 15-year loan, he would pay a total of $316,891.20, with $83,141.20 of that being interest.

It's important to note that these calculations are based on the assumption that the interest rate and payment amount remain constant over the entire 15-year loan term. Any changesto the interest rate or payment schedule would alter the final numbers.
To determine Jason Aldean's monthly mortgage payment for his $275,000 house with a 15% down payment, a 4.2% interest rate, and a 15-year term, follow these steps:

1. Calculate the down payment: 275,000 * 0.15 = 41,250
2. Subtract the down payment from the purchase price to find the loan amount: 275,000 - 41,250 = 233,750
3. Convert the interest rate from a percentage to a decimal: 4.2% / 100 = 0.042
4. Calculate the monthly interest rate: 0.042 / 12 = 0.0035
5. Determine the number of payments for a 15-year term: 15 * 12 = 180
6. Use the loan payment formula: P = L[r(1 + r)^n] / [(1 + r)^n – 1], where P is the monthly payment, L is the loan amount, r is the monthly interest rate, and n is the number of payments.

Plugging the values into the formula: P = 233,750 * [0.0035(1 + 0.0035)^180] / [(1 + 0.0035)^180 - 1]
7. Calculate the result: P ≈ 1,653.56

So, Jason Aldean's monthly mortgage payment for his $275,000 house with a 15% down payment, a 4.2% interest rate, and a 15-year term are approximately $1,653.56.

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during the formation of beecky partnership, sam contributed property with an adjusted basis of $100,000 in exchange for a 30% interest in beecky. the fair market value of the contributed property was $190,000 and the property was encumbered by a $150,000 mortgage, which was assumed by the p/s. what amount of gain or loss, if any, should sam report as a result of the contribution?

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Sam should report a taxable gain of $40,000 ($190,000 fair market value minus $150,000 mortgage) on the contribution of property to the Beecky partnership.

This is because the adjusted basis of the property was $100,000, and the fair market value was $190,000, resulting in a $90,000 increase in value. Since Sam only contributed 30% of the property, the taxable gain would be 30% of $90,000, which is $27,000. However, because the gain exceeds the adjusted basis, the entire gain of $27,000 is taxable.

During the formation of the Beecky partnership, Sam contributed property with an adjusted basis of $100,000 in exchange for a 30% interest. The fair market value of the contributed property was $190,000 and the property was encumbered by a $150,000 mortgage, which was assumed by the partnership.

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Refer to the above figure. The economy is currently operating at point C. Which of the following actions would you recommend to the president of the United States?

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If the economy is currently operating at point C, the economy is at equilibrium with Real GDP at its potential level, and the price level is relatively stable.

In this case, the President of the United States may not need to take any immediate actions as the economy is already at its potential output level. However, if the President wishes to improve the economy's performance further, there are several actions that could be taken. For example, the government could:

Implement policies that increase aggregate demand, such as increasing government spending, cutting taxes, or implementing expansionary monetary policy.Implement supply-side policies that increase productivity and potential output, such as investing in education and training programs, improving infrastructure, or reducing regulations that hinder business growth.Address any structural issues in the economy that may be limiting growth, such as addressing income inequality or improving access to credit for small businesses.

Ultimately, the best course of action will depend on the specific economic conditions and the President's policy objectives.

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