A 15% return on a stock means that the stock is worth 15% more at the end of the year than at the beginning.
15% return on a stock means that the stock is worth 15% more at the end of the year than at the beginning, so the seller will receive 15% of the original purchase price of the stock back at the end of the year. This does not necessarily mean that 15% of the people who purchased the stock will see a return, as the stock may have lost value since it was originally sold. A return can be expressed negligibly as the change in dollar value of an investment over time. A return can also be expressed as a chance deduced from the rate of profit to investment. Returns can also be presented as net results (after freights, levies, and affectation) or gross returns that don't regard for anything but the price change. Return on investment, or ROI, is a generally used profitability rate that measures the quantum of return, or profit, an investment generates relative to its costs. ROI is expressed as a chance and is extremely useful in assessing individual investments or contending investment openings. Prudent investors know that a precise description of return is situational and dependent on the fiscal data input to measure it.
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Describe the complement of the given event.
75%
of subscribers to a fitness magazine are over the age of 38
which of the following is the key business objective behind the technologies implemented by pcl construction, as discussed in the chapter-opening case? group of answer choices creation of a new business model survival increased supplier intimacy operational excellence improved employee morale
The main commercial goal of the technologies adopted by pcl construction, as stated in the chapter-opening scenario, is to reduce document management delays.
The major commercial objective of the technology PCL Construction uses is to lessen inefficiencies in document management.
According to PCL officials, the Autodesk Revit add-in PartsLab will revolutionise the way that the construction industry creates and maintains construction records.
The application, a native Autodesk Revit component, aims to improve project team communication and lessen the need for future field employees to recreate models.
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Out of the choices provided above, it can be ascertained that the business objective behind the technologies implemented by PCL construction will be to achieve operational excellence. Therefore, the option C holds true.
The business objectives of every organization are to achieve a greater level of effectiveness in the way it handles the different operations that it handles. Every business must learn to manage the functions and operations with excellence in order to see itself as a leading organization in terms of the same.
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How does tesla cutting prices affect the US economy?
Answer:
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Explanation:
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refer to table 2-1. a student has only a few hours to prepare for two different exams tomorrow morning. the above table shows alternative possible exam outcomes with three alternative uses of the student's time. the opportunity cost of scoring an 84 on the history exam rather than 76 is: possibility a economics history i 94 76 ii 87 84 iii 77 91 table 2-1
The opportunity cost of getting an 84 on the history test rather than a 76 on the economics test is (B) 7 points.
The term "opportunity cost" refers to the positive return from one good that is surrendered in order to obtain units of another one. People can never have it all, and they frequently have to make sacrifices in order to achieve their goals.
The results for the two subjects are displayed in the table. And it follows that if the student wants to get 84 instead of 76 in history, he will have to settle for 87 rather than 94 in economics to satisfy himself. The end consequence would be that in order to get 84 in history, the student would have to give up seven points in economics, which would be considered an opportunity cost.
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COMPLETE QUESTION:
Possibility A Economics History
I 94 76
II 87 84
III 77 91
A student has only a few hours to prepare for two different exams tomorrow morning. The above table shows alternative possible exam outcomes with three alternative uses of the student's time. The opportunity cost of scoring an 84 on the history exam rather than 76 is:
a) 10 points on the economics exam.
b) 7 points on the economics exam.
c) 8 points on the history exam.
d) 12 points on the economics exam.
Cost of money
Everyone uses money, and it is important to understand what factors affect the cost of money.
Consider the following scenario:
Due to recent political and economic events, general prices of goods and services are expected to increase significantly over the next five years. You were about to purchase a five-year bond. You now require a higher return on the bond than you did before you found out about these expected price increases.
Based on your understanding of the factors that affect the cost of money, identify which of the following statements is true:
O Interest is the price paid to borrow funds.
O Higher risk leads to lower interest rates.
O Higher inflation leads to lower interest rates.
Based on my understanding of the factors that affect the cost of money, Higher inflation leads to lower interest rates. It can also lead to an increase in unemployment and can have a negative effect on economic growth.
What do you mean by Inflation?
Inflation is an economic phenomenon that is characterized by an overall increase in the prices of goods and services. It occurs when the money supply in an economy increases. This causes a decrease in the purchasing power of money, which leads to an increase in the prices of goods and services. Inflation is usually measured by the Consumer Price Index (CPI) which tracks the prices of a basket of goods and services that are representative of the overall economy. Inflation is generally considered harmful because it erodes the purchasing power of people's money. It can also lead to an increase in unemployment and can have a negative effect on economic growth.
So, Higher inflation leads to lower interest rates.
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which of the following clauses protects the broker against any liability for damages incurred because of information given to the broker by the seller in the listing agreement?
The Indemnification Clause safeguards the broker from any liability for losses caused as a result of facts provided by the seller in the listing agreement.
This clause states that the dealer agrees to compensate and hold the broker inoffensive from any and all claims, damages, losses, and charges (including attorney's freights) arising out of or in connection with any information handed by the dealer to the broker in the table agreement. indemnification clauses appear in nearly all marketable agreements. They're an essential threat allocation tool between the parties, and as similar, they're one of the most generally and heavily negotiated vittles in a contract. A typical indemnification clause consists of two separate and distinct scores an obligation to compensate, and an obligation to defend. remuneration clauses in construction are current, especially since there’s heavy use of contractors and subcontractors. One party won’t get criticized for another’s artificer or bond.
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mike derr owns both sailing passions and dockside digs. in preparing financial statements for dockside digs, mike makes sure that the expense transactions of sailing passions are kept separate from dockside digs's transactions and financial statements.
Business Entity Assumption is the accounting principle followed in this particular situation while preparing financial statements for dockside digs.
Business entity assumption, occasionally appertained to as separate entity assumption or the profitable entity conception, is an accounting principle that states that the fiscal records of any business must be kept separate from those of its possessors or any other business. All income deduced from the company's operation must be recorded as earnings and all charges must be those belonging solely to the business. Any particular charges of the proprietor shouldn't be passed on to the company. This strict adherence to separation allows the business to be estimated for profitability and duty purposes grounded on accurate fiscal data rather than a muddled blend of particular and business finances. It's also applied to all businesses indeed if fairly a business and its proprietor as viewed as the same reality.
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1. You are the manager of a small store that specializes in hats, sunglasses, and other accessories. You are considering a sales promotion of a new line of hats and sunglasses. You will offer the sunglasses only to those who purchase two or more hats, so you will sell at least twice as many hats as pairs of sunglasses. Moreover, your supplier tells you that, due to seasonal demand, your order of sunglasses cannot exceed 100 pairs. To ensure that the sale items fill out the large display you have set aside, you estimate that you should order at least 210 items in all. Assume that you will lose $3 on every hat and $2 on every pair of sunglasses sold. Given the constraints above, how many hats and pairs of sunglasses should you order to lose the least amount of money in the sales promotion? [Using Graphic method]
We should order 70 hats and 140 pairs of sunglasses to lose the least amount of money in the sales promotion. It is calculated using linear optimization.
What is linear optimization?Linear programming (LP), also known as linear optimization, is a method for achieving the best outcome (such as maximum profit or lowest cost) in a mathematical model with linear relationships representing the requirements.
This is a linear optimization problem that can be solved using the graphic method.
The problem is set up as follows:
Let x be the number of hats and y be the number of pairs of sunglasses.
The constraints are:
y = 2x (because for every 2 hats sold, 1 pair of sunglasses is sold)
y <= 100 (because the supplier can only provide 100 pairs of sunglasses)
x + y >= 210 (because we want to sell at least 210 items in total)
x, y >= 0 (because the number of items sold cannot be negative)
The objective function is: -3x - 2y (because we lose $3 on every hat sold and $2 on every pair of sunglasses sold)
To graph the constraints, we can start by plotting the inequality y <= 100. This creates a line that goes from the origin (0,0) to (50,100) and is shaded in below the line.
Next, we can plot the inequality x+y >= 210 which creates a line that goes from (0, 210) to (210, 0) and is shaded in above the line.
Finally, we can plot the equation y = 2x, which represents the relationship between the number of hats and sunglasses sold.
The feasible solution for this problem is the point where the lines intersect and that lies within the feasible region. In this case, the point where the three lines intersect is (70, 140) which is the optimal solution.
Therefore, we should order 70 hats and 140 pairs of sunglasses to lose the least amount of money in the sales promotion.
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prepare a brief one-page summary of the legal risks faced by the profession of accounting. refer to the ultramares and zzzz case studies from your readings and relate the material to current regulations. resources provided in earlier modules such as the link to the pcaob and the aicpa should be referenced. where possible, cite a specific area or paragraph to defend your position.
Some of the biggest challenges for accounting teams continue to be cash flow, recruiting new personnel, adjusting to new tax and regulatory changes, and continuing with remote work.
What is cash flow?The influx and outflow of cash from a business is known as cash flow. It is essential for daily operations, taxes, inventory purchases, paying personnel, and covering operating expenses. An increase in a company's liquid assets is indicated by positive cash flow. The net balance of money coming into and going out of a business at a particular period is referred to as cash flow. A firm constantly receives and expends cash. For instance, when a retailer buys merchandise, money leaves the company and goes to its suppliers.
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The formula to calculate the Future Value of your investment account is FV=PV(1 + i)"
, where FV is the future value, PV is the Present Value, i is the interest rate, and n is the
I
number of compounding periods. Calculate the Future Value of a retirement account, if
PV = $50,000, i = 10%, and n is 4. (Hint: change your interest rate to its decimal value
before calculating with it).
$7,320
$800,000
$73,205
$7,320,500
Submit answer
Contact
Exit
The formula for future value (FV) can be written as follows: FV= PV*(1+i)n, where PV is the present value, I is the interest rate, and n is the number of time periods.
What is future value ?Future value is a time value of money (TVM) concept that denotes the anticipated worth as of a specific future date as a result of compounding present dollar amounts. The formula for future value (FV) can be written as follows: FV= PV*(1+i)n, where PV is the present value, I is the interest rate, and n is the number of time periods. Using quantities invested and current rates of return, investors can utilize future value calculations to project how much money they will have at various future times.For instance, in 7 years, the investor would have $1,503.63 ($1,000 * (1+.06)7) if they invested $1,000 today and were able to receive interest of 6.0% annually. As more factors are introduced, such as potential future contributions or withdrawals, fluctuating interest rates, or compounding frequency, future value equations, like all time value of money calculations, get increasingly complex.To Learn more About future value refer To:
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Deregulation of the financial services industry encouraged the growth of globalized capital markets. For example, the US, the UK and other countriesO allowed banks to perform both commercial and investment banking functions.O reduced restrictions on mergers of international investment firms.O allowed for global licensing of securities trading firms.O created international systems for collecting and distributing share dividends.
Deregulation of the financial services industry encouraged growth of the globalized capital markets. For example, the US, the UK and other countries allowed banks to perform both commercial and investment banking functions. Thus, option A is correct.
What is Deregulation?Deregulation is the process of removing or reducing state regulations, usually in the economic sphere. It is the abolition of governmental economic regulation.
As a result of new trends in economic thinking about the inefficiencies of government regulation and the risk that regulatory agencies would be controlled by the regulated industry to its benefit, harming consumers and the broader economy, it became widespread in advanced industrial economies in the 1970s and 1980s.
During the Gilded Age, progressive reforms were pushed as being necessary to control externalities like corporate abuse, unsafe child labour, monopolisation, pollution, and to lessen boom and bust cycles.
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while preparing end-of-year financial statements, a parent company translates its financial statements for a foreign subsidiary. if the foreign currency has depreciated over the past year and the company has a net asset balance sheet position, which of the following statements is most accurate? a. It will record a positive translation adjustment.
b. It will record no transaction gain or loss.
c. It will record a negative translation adjustment.
d. It will record no translation adjustment.
While preparing end-of-year financial statements it will record a negative translation adjustment
The activities and financial success of a firm are detailed in financial statements. Government organisations, accounting companies, etc. frequently audit financial statements to guarantee accuracy and that for tax, financing, or investing purposes. The balance sheet, financial statements, statement of financial position, and balance sheets are the four basic financial statements for for-profit entities. A similar but distinct financial statement set is used by nonprofit organisations. Balance sheets are a group of summaries of information regarding the cash flows, financial position, and financial results of an organisation. They consist of the cash flows statement, capital structure, and income statement.
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the demand curve for british pounds slopes downward because as the dollar __, british goods become __ for americans. therefore, americans purchase __ british goods and the quantity of pounds demanded increases.
The demand for British pounds is sloping downward. As the value of the dollar rises, British goods become more affordable to Americans. Americans buy more British goods, and the number of pounds requested rises.
Why is the demand curve for currency sloping downward?
The curve of pounds slopes downhill because foreigners seek more pounds when the value of the local currency falls. Because the pound rises in value relative to the dollar, the supply curve in pounds slopes higher.
In terms of the US dollar, the demand curve in British pounds is a typical downward-sloping demand curve. British imports become less expensive as the value of the pound falls. Because US buyers want to buy additional British goods, they require more British pounds.
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magine that a marketing team has a trove of historical data. the team makes data models based on collected browsing histories. they use these models to identify the right audience for a successful campaign early on
On the basis of acquired browsing histories, the team creates data models. These algorithms are used by them to quickly pinpoint the ideal audience for a campaign. It is called the "Predictive analytics".
Explain the Predictive analytics in marketing?Predictive analytics is a sort of study that employs data to foretell future events and marketing trends.
You may develop powerful marketing strategies and influence even better decisions by combining data-driven AI with predictive analytics.The only way to stay competitive in the market today is to use predictive analytics to keep up with customer trends and preferences. Marketing professionals can use predictive analytics to identify customer trends and habits, anticipate future changes, and tailor their efforts accordingly. For instance, when a customer buys a cinema ticket, the ticket seller's computer system records the transaction and stores it in its database.On the basis of acquired browsing histories, the team creates data models. These algorithms are used by them to quickly pinpoint the ideal audience for a campaign.
Thus, it is called the "Predictive analytics".
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The complete question is-
Imagine that a marketing team has a trove of historical data. The team makes data models based on collected browsing histories. They use these models to identify the right audience for a successful campaign early on.
Which application of big data does this describe?
Autonomous marketing
Predictive analytics
Real-time analytics
Multi-channel marketing analytics
given a relevant discount rate of 14 percent per year, calculate the profit the firm will make on this asset.
The present value of the future cash flows is calculated by discounting the future cash flows at the given discount rate of 14 percent per year.
The discount rate is the interest rate used to determine the present value of unborn cash overflows in a blinked cash inflow (DCF) analysis. This helps determine if the unborn cash overflows from a design or investment will be worth further than the capital disbursement demanded to fund the design or investment in the present. The cost of capital is the minimal rate demanded to justify the cost of a new adventure, where the discount rate is the number that needs to meet or exceed the cost of capital. An applicable discount rate can only be determined after the establishment has approached the design's free cash inflow. Once the establishment has arrived at a free cash inflow figure, this can be blinked to determine the net present value (NPV). The reduction rate makes it possible to estimate how important the design's unborn cash overflows would be worth in the present.
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assume that you purchased 200 shares of ge common stock on margin at $70 per share from your broker. if the initial margin (percentage down payment; percentage financed by you) is 55%, how much did you borrow from the broker? (hint: first calculate the value of the stock position. next, determine how much of the purchase cost you borrowed. if you paid 55% of the total cost out of your pocket, how much of it then did you borrow?) group of answer choices $7,000 $6,000 $6,300 $7,700
The total amount borrowed by self is $6,300
Total shares purchased = 200
Common stock on margin = $70
Percentage down payment = 55%
Calculating the total purchase price of shares -
Total shares x Stock margin
= 200 x $70
= $14,000.
Calculating the own money utilised -
Down payment percentage x Total share price
= 55% x $14,000
= 55/100 x $14,000
= 55 x $ 140
= $7,700
Calculating the amount borrowed from the broker -
= Total share price - Own money utilised
= $14,000 - $7,700
= $6,300.
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in the market - leasing commissions sub-tab, which commissions unit is best described by the following definition: entries in the new lc field and the renew lc field are interpreted as percentages of the entire lease value over the term.
Both the new LC field and the revised LC field treat leasing commission entries as fixed commission rates per square units of measure currency/area.
What is a leasing commission?
The standard method for calculating leasing commissions is to use a dollar amount per square foot per year or a percentage of the total base rent that the tenant will pay over the course of the lease. The leasing commission is normally paid in full at the beginning of a new lease or at the time of a lease renewal, but renewal commission rates are frequently lower than those for new leases.
A tenant representative might be paid a lease commission of 6.0%, for illustration. The agent may be entitled to $28,800 (8,000 square feet times $12.00 per square foot times 5 years times 6.0%) if the tenant she represents rents 8,000 square feet at a cost of $12.00 per square foot for five years.
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Dropbox is a provider of cloud-based storage. It offers free cloud storage but revenues are generated from its paid premium service. Its clients include both businesses and individual consumers. The company has been more successful in securing consumers than businesses. There is more intense competition to provide cloud storage and related services to businesses. In the few years since Dropbox was founded, it has focused on staffing coders. As a cloud storage provider, coding is the manufacturing process that enables the service to exist. It is the sales department that is responsible for building a paid client base, however, and this department was understaffed. Dennis Woodside, Dropbox's chief operations officer, recognized the need to fill open positions in functional departments. He also opened five offices abroad to improve accessibility to customers outside the United States. Woodside doubled the number of employees at Dropbox, with most of the increase in the sales department. A benefit of using a structure with departments that specialize in different types of work is that dropbox can refrain from staffing open positions in less critical functions create dual lines of authority throughout the organization that respond to marketplace changes create new cloud storage services that can be sold at lower prices minimize the inefficiency of duplicated efforts across multiple locations
Although it provides free cloud storage, its paid premium service is what brings in money. Business clients as well as private consumers make up its clientele. The business...
What can fit in a 10x10 unit?
While it provides free cloud storage, its expensive premium service is where it makes its money. Both corporations and regular consumers are among its clients. A 10x10 unit is a suitable size for the belongings found in a modest one- or two-bedroom apartment, a family room, or two bedrooms, according to the firm. Mattress sets, desks, couches, dining room sets, and several boxes can all be stored in a 10x10 storage space along with a few major appliances and pieces of large furniture.
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Suppose you just bought a 25-year annuity of $7,900 per year at the current interest rate of 12 per cent per year.
a) What is the value of your annuity today?
b) What happens to the value of your investment if interest rates suddenly drop to 7 per cent?
c) What if interest rates suddenly rise to 17 per cent?
The value of the annuity today is $100,958.22
The present value would increase if it drops
If interest rises to 17 percent , then the value would drop
How to solve for the annuitya) To determine the present value of a 25-year annuity of $7,900 per year at an interest rate of 12% per year, we can use the formula:
Present Value = (Annual Payment) / (Interest Rate / (1 - (1 / (1 + Interest Rate)^(Number of Years))))
Plugging in the given values, we get:
Present Value = $7,900 / (0.12 / (1 - (1 / (1 + 0.12)^25)))
Present Value = $7,900 / (0.12 / (1 - 0.3533))
Present Value = $7,900 / 0.0787
Present Value = $100,958.22
b) If interest rates suddenly drop to 7%, then the present value of the annuity would increase. This is because a lower interest rate means that future payments are worth more in today's dollars. To calculate the new present value, we can use the same formula as before, but with the new interest rate:
Present Value = $7,900 / (0.07 / (1 - (1 / (1 + 0.07)^25)))
Present Value = $7,900 / (0.07 / (1 - 0.3795))
Present Value = $7,900 / 0.0436
Present Value = $180,792.41
c) On the other hand, if interest rates suddenly rise to 17%, then the present value of the annuity would decrease. A higher interest rate means that future payments are worth less in today's dollars. Using the formula again, with the new interest rate:
Present Value = $7,900 / (0.17 / (1 - (1 / (1 + 0.17)^25)))
Present Value = $7,900 / (0.17 / (1 - 0.2951))
Present Value = $7,900 / 0.1174
Present Value = $67,622.27
It's important to note that these calculations are based on the theoretical values, and the actual value of the annuity can be affected by other factors such as inflation, taxes, and other variables.
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A positive balance on the goods-and-services account of the balance of payments indicates an excess of exports over imports which must be added to the nation's gross domestic product.
a. True
b. False
A positive balance on the goods-and-services account of the balance of payments indicates an excess of exports over imports which must be added to the nation's gross domestic product is true.
The exchange of money, products, or services for goods and services in reasonable amounts that have been previously agreed upon by all parties is known as payment. Any system of hourly, weekly, or daily compensation that is either used in place of overtime pay is referred to as a "all-in payment." A payment can be made using cryptocurrency, cash, checks, credit cards, debit cards, or the exchange of services. It can also be done using wire transfers, checks, and cash. How your clients can purchase your good or service is referred to as the "payment methods." Benefits from Social Security, unemployment insurance, and welfare programmes are all examples of government transfer payments. In terms of transfer payments, taxes are included. Fees, penalties, and contributions from people and corporations are other forms of transfer payments that governments receive.
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before the industrial revolution, the economy of north america under the colonists was characterized by
Subsistence farming dominated the pre-industrial colonial economy of what would become the United States. The role of a limited government is one of the most crucial elements of a market economy, also known as a free enterprise economy.
Instead of the government, buyers and sellers make the majority of economic decisions. A market economy that is competitive encourages resource management that is effective. The American economy is heterogeneous, showing elements of both capitalism and socialism. When it comes to the utilisation of capital, such a mixed economy supports the free market, but it also permits government involvement for the greater good.
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anti dumping law has been called unfair for all of the following reasons, except antidumping law has been called unfair for all of the following reasons, except: a. They do not reflect currency fluctuation
b. They are based on average variable cost
c. They are based on average total cost
d. all of these are reasons to call these laws unfair
The correct answer is OPTION D all of these are reasons to call these laws unfair. Any domestic regulation intended to stop a country's Products trading partners from "dumping".
Products into domestic markets at any price that is less than fair is known as an anti-dumping law. Dumping eliminates domestic competition by artificially inflating a product's price in the target nation. The practise of flooding a market with goods priced so lowly that rivals are unable to compete is frequently considered as an unfair strategy. Anti-dumping duties are often imposed when a foreign company sells a good for a lot less than it costs to make it.
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the process of identifying prospective buyers, understanding them intimately, and developing favorable long-term favorable perceptions of the organization is called blank .
The process of identifying prospective buyers, understanding them intimately, and developing favorable long-term favorable perceptions of the organization is called Customer relationship management (CRM ) .
What does customer relationship management refer to?
Customer relationship management (CRM) is a technology that organizes all of your business's interactions and relationships with current and potential clients.
The objective is straightforward: to foster better commercial ties. Companies can enhance profitability, optimize operations, and customer relations with the use of a CRM system.
What purposes does CRM (customer relationship management) serve?
With the use of a CRM solution, you can manage marketing campaigns, uncover sales possibilities, track customer service issues, and save contact information for customers and prospects all in one convenient area.
You can also make data about each customer interaction accessible to anybody at your company who might require it.
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examples human capital per worker natural resources per worker physical capital per worker technological knowledge an autocomplete plug-in that allows programmers to write code more rapidly the additional education workers receive from new computer science course offerings the server hardware on which data is stored the rare earth metals that serve as inputs to production of computers
Skills in communication, education, technical skills, creativity, experience, problem-solving abilities, mental health, and personal resilience are all examples of human capital.
What is an example of human capital Class 9?
Human capital investment is the investment in things like education, training, and medical care.
What are the most important examples of human capital and physical capital?
Inanimate assets like cash, property, job site equipment, and inventory make up physical capital. In contrast, human capital refers to the capabilities, knowledge, and skills of an organization's staff.
Which four types of capital are there?
Working capital, debt, equity, and trading capital are the four main types of capital.
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Economists often find it worthwhile to make assumptions that do not necessarily describe the real world.True or False
The answer is true. It is frequently advantageous for economists to create assumptions that do not necessarily reflect the real world. Think about Figure 2-14.
The possible outcomes for this economy are A, B, and D. Land, labour, and capital are examples of production factors in the circular-flow diagram. These assumptions presumptions, like the economic notion of utility, aid in a better understanding of human decision-making. The main goal of economists' assumptions is to regulate or omit variables that don't contribute to the assessment of predictive power. Economics' core tenet is that "individuals manage their scarce resources so as to make themselves as well off as possible."
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Jillian Company purchased a van with a fair market value of $55,000 for $40,000 and then leased this van for 5 years to the Bryant Corporation. Jillian Company typically resells these vans but has decided lease them as a favor for Bryant Corp. Which of the following statements is true?
Question 11 options:
A. If the van has an expected life of 8 years, then both parties must report the transaction as a capital lease per US GAAP.
B. Since this van is normally sold, Bryant must report it as a sales-type lease.
C. If the van has an expected life of six years, then both parties must report the transaction as a capital lease per US GAAP.
D. Since this vehicle is normally sold, the lease contract should be recorded as a capital lease by Jillian.
The correct response is C. If the van has an expected life of six years, then both parties must report the transaction as a capital lease per US GAAP.
The following are a few examples of transactions: paying a supplier after receiving products or services from them. acquiring ownership of a property the seller previously owned by paying the seller with cash and a note. remuneration for hours done. A bank transaction is any transfer of funds into or out of your bank account. There are numerous various ways to conduct a bank transaction, including withdrawals and deposits of cash, checks, internet payments, debit card charges, wire transfers, and loan payments. A transaction is a contract made between a buyer and a seller. In a transaction, the seller offers products, services, or other financial assets in return for money in the form of currency.
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suppose mike and john are two brothers who are given $110 to split. given this information, which of the following is not an example of pareto efficiency?
When no economic reform can improve the situation of one person without also improving it for at least one other person, that situation is referred to as the Pareto optimal condition of the economy.
How are Pareto efficient distributions calculated?A Pareto improvement must be attainable in order to establish whether an allocation is a Pareto efficiency. In other words, is there a method to help one person without hurting someone else? The aforementioned example lends itself to a Pareto improvement.
How can one locate Pareto-efficient distributions in a trade economy?If the slopes of the two people's indifference curves passing through the allocation have the same values, or if they are tangent, the allocation will be Pareto optimum. If an allocation results in indifference curves,
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the following transactions pertain to year 1, the first year of operations of the barlett company. all inventory was started and completed during year 1. assume that all transactions are cash transactions.acquired $2,000 cash by issuing common stock.paid $400 for materials used to produce inventory.paid $600 to production workers.paid $200 rental fee for production equipment.paid $160 to administrative employees.paid $80 rental fee for administrative office equipment.produced 300 units of inventory of which 200 units were sold at a price of $7.00 each.requiredcomplete the income statement and balance sheet shown.
1. Income Statement
Revenues: $1,400
Cost of Goods Sold: ($1,200)
Gross Profit: $200
Expenses:
Materials: ($400)
Production Workers: ($600)
Rental Fees - Production Equipment: ($200)
Administrative Employees: ($160)
Rental Fees - Administrative Office Equipment: ($80)
Net Income: $60
2. Balance Sheet
Assets
Cash: $2,060
Inventory: $1,400
Total Assets: $3,460
Liabilities
None
Equity
Common Stock: $2,000
Retained Earnings: $460
Total Equity: $2,460
Total Liabilities and Equity: $3,460
What is mean by income statement? An income statement, also referred to as a profit and loss statement (P&L) or a statement of operations, is a financial statement that summarizes a company's revenues, expenses, and profits/losses over a specified period of time. It is used to measure the performance and financial position of a company. The income statement measures a company's performance over a specific period of time, usually a fiscal quarter or year. It is one of the primary financial statements used by investors and analysts to evaluate a company's financial performance. The income statement includes revenue, expenses, gains, and losses that are incurred over the specified period. It also shows the net income or net loss for the period. The income statement can also be used to compare a company's financial performance to other companies in the same industry. It is also used to assess a company's ability to generate profits and cash flow.To learn more about income statement refer to:
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have you signed an agreement or other document, with any prior or current employer, which restricts your ability to be hired by other employers, provide services to or solicit particular clients or potential clients, and/or solicit personnel such as your former colleagues? *
Yes, In the employment have signed an agreement or other document, with any prior or current employer.
The employment is the term which means the individual who has the ability to do work and get hired by the any organization and earn money or salary on the annual year or per month.
A non-solicitation agreement means that if you work for a competitor, you won't solicit any clients, bring over any employees. This restricts your ability to be hired by other employers, provide services to or solicit particular clients or potential clients, and/or solicit personnel such as your former colleagues
The rules of employment is to have the power to choose when to exist from the job with the help of resignation letter. No one focus the individual to stay on the job according to the organization.
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Universal Electronics, Inc. (UEI), which started operations one year ago, has two divisions: Consumer and Commercial. Both divisions invest heavily in R&D, which is assumed to benefit five years. R&D spending is made uniformly throughout the year. UEl has a cost of capital of 11 percent. Selected financial information for the two divisions (in thousands of dollars) for the year just completed follows. -------------------------------------------------------Consumer---------Comercial------------- Sales revenue $60,000 $ 94,000 Divisional income 13,300 13,860 Divisional investment 37,000 42,000 Current liabilities 4,800 4,600 R&D 4,800 4,800 _______________________________________________________________ . Required: Evaluate the performance of the two divisions assuming UEl uses economic value added (EVA). (Enter your answers in dollars rounded to 1 decimal place.) EVA of Consumer division $ 13,175.6 EVA of Commercial division $ 13,153.6 Which division performed better? The Consumer division performed better
The Consumer section produced 30% of the total.
What does the term "residual income" mean?
In order to calculate your residual income, subtract your monthly expenses like your mortgage and credit card payments from your monthly income.
Your financial condition can be enhanced by residual income, which will enable you to boost your retirement savings, accelerate the repayment of debt, and pay down other outstanding obligations.
Residual income = Divisional income / Divisional investment
ROI of consumer division 30%
ROI of commercial division 30%
which division performed better both
Residual income = Divisional income / Divisional investment
consumer division consumer division
A divisional income $10,650 $11,925
B divisional investment $35,500 $39,750
C=A/B Residual income 30% 30%
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