If you use a finance calculator, be specific about which one and what you entered. For example: "Future Account Balance calculator, __% APR, __ periods per year, $__ recurring deposit, $ __initial deposit, for __ years. "1. You invest $5000 in an account with an APR of 2. 5%. Calculate the final balance of the account and the amount of interest earned under the following circumstances. You invest $5000 in an account with an APR of 2. 5%. The account earns simple interest for 3 years. A. How much interest will you earn altogether? (1 pt)b. What is the final balance of the account? (0. 5 pt)You invest $5000 in an account with an APR of 2. 5%. The account is compounded quarterly for 3 years. C. What is the final balance of the account? (1 pt) d. How much interest will you earn altogether? (1 pt) 2. Nakia plans to buy a $32,000 car. She will deposit money every month for 42 months into a savings account with an APR of 3. 5% in order to reach the $32,000 goal. (1 pt) a. How much money will she need to deposit every month to meet her goal? b. How much money will she deposit altogether? (1 pt)3. Laura invested $325 per month into a retirement plan with an APR of 2. 2% for 35 years. A. How many payments will she make altogether? (0. 5 pt) b. How much will she invest altogether? (1 pt) c. What will the final balance of her retirement plan be?d. How much of the final account balance is interest? What percent of the final account balance is interest? Round to one decimal place

Answers

Answer 1

a. To calculate the interest earned on the account with simple interest, we can use the formula: Interest = Principal x Rate x Time.

So, the interest earned will be:

Interest = $5000 x 0.025 x 3

Interest = $375

b. The final balance of the account with simple interest will be:

Final balance = Principal + Interest

Final balance = $5000 + $375

Final balance = $5375

c. To calculate the final balance of the account with quarterly compounding, we can use the Future Value of a Present Sum formula on a financial calculator, such as the HP 10BII.

We would enter the following values:

Present Value (PV) = -$5000 (since this is an investment)

Interest Rate per Quarter (i) = 0.025/4 = 0.00625

Number of Periods (n) = 3 x 4 = 12

Using the calculator, we get:

Final balance = $5,579.69

d. To calculate the total interest earned on the account with quarterly compounding, we can subtract the initial investment from the final balance:

Total interest = Final balance - Principal

Total interest = $5,579.69 - $5000

Total interest = $579.69

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Related Questions

if the residential real property disclosure report is not provided to the buyer prior to the buyer signing the offer, the buyer has from the time he or she does receive the disclosure in which to void the contract and receive a refund of earnest money, if there are any material defects noted in the disclosure.

Answers

The residential real property disclosure report is a document that provides the buyer with important information about the property they are interested in purchasing.

It is important for the seller to provide this document to the buyer before the buyer signs the offer. If the seller fails to provide this document, the buyer has the right to void the contract and receive a refund of earnest money.

The reason for this is because the disclosure report provides the buyer with information about any material defects that may exist in the property. Material defects are defects that could potentially impact the value of the property or affect the buyer's decision to purchase it. If the buyer does not receive this information prior to signing the offer, they may be making an uninformed decision.

However, it is important to note that the buyer only has a limited amount of time in which to void the contract and receive a refund of earnest money. This time period starts from the time the buyer receives the disclosure report.

Therefore, it is important for the buyer to review the disclosure report carefully and act quickly if they decide to void the contract. Overall, it is in the best interest of both the buyer and the seller to provide and review the disclosure report prior to signing the offer.

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The data in that table shows the price and quantity demanded for running shoes. Using the Midpoint Method, what is price elasticity of demand from point B to point D? Note: Remember to take the absolute value of the result and round to the nearest hundredth. Rounding should be done at the end of your calculation. Point Price Quantity A $120 15,000 B $125 14,600 C $130 14,200 D $135 13,800 E $140 13,400

Answers

Answer:0.73

Explanation:

A corporation reported cash of $25,800, total assets of $455,000, and total equity of S155,940 on its balance sheet. Its common-size percent for cash equals: Multiple Choice a. 1764% b. 56.70% c. 100.00% d. 5.67%e. 1764%

Answers

The correct option is d. 5.67%, its common size percent for cash equals.

The common-size percent for cash, can be derived by divide the cash amount by the total assets and multiply by 100. In this case, the corporation reported cash of $25,800, total assets of $455,000, and total equity of $155,940.

Firstly, dividing cash by total assets:

$25,800 / $455,000 = 0.056703

Then, multiply the result by 100 to get the percentage:

0.056703 * 100 = 5.67%

The common-size percent for cash equal 5.67% , Option d.

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an economic benefit to engaging in intra-industry trade between countries includes ________.a. greater variety of goods and services b. diseconomies of scale c. division of labor d. the value chain

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An economic benefit to engaging in intra-industry trade between countries includes a greater variety of goods and services.

Engaging in intra-industry trade allows countries to specialize in the production of certain goods and services, leading to greater efficiency and a wider range of products available to consumers. This specialization can also lead to the division of labor, with each country focusing on producing what they are best at, further increasing economic efficiency. Additionally, the value chain of a product can be spread across multiple countries, allowing for cost savings and increased competitiveness. However, engaging in intra-industry trade may not always lead to economic benefits, as there can be diseconomies of scale when firms try to increase production beyond a certain point.

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______is the time between placement of an order and its receipt. one of the factors that affects it is

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Lead time is the time between placement of an order and its receipt.

The time between placement of an order and its receipt is called "lead time." Several factors can affect lead time, including availability of raw materials, production capacity, transportation, and logistics. Other factors that can affect lead time include the complexity of the manufacturing process, the location of the supplier and the customer, and any delays caused by customs or other regulatory requirements. Additionally, unexpected events such as natural disasters, labor strikes, or other disruptions can also impact lead time.

Lead time is the time it takes for an order to be fulfilled from the moment the customer places the order until the order is received. In other words, it's the time between the initiation of an order and its delivery. Lead time is an essential metric in supply chain management because it affects a company's ability to deliver products to customers on time and to maintain adequate inventory levels.

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New firms have incentive to enter an industry when there is(are): Select one: A. positive economic profits. B. an abundance of labor. C. high capital costs. D. new production technologies.

Answers

New firms have an incentive to enter an industry when there is are positive economic profits. Therefore, correct option is A).

When new firms have an incentive to?

New firms have incentive to enter an industry when there are positive economic profits. This is because positive economic profits indicate that the industry is profitable and therefore attractive to potential new entrants. An abundance of labor may also be a factor, as it can lead to lower labor costs for new firms.

High capital costs, on the other hand, can act as a barrier to entry for new firms. New production technologies may be a factor if they provide a competitive advantage to new entrants, but alone they may not be enough to incentivize entry.

Therefore, New firms have an incentive to enter an industry when there is are positive economic profits. This is because positive economic profits signal that the industry is profitable and has the potential for growth, which attracts new firms looking to enter the market and capture some of that profit.

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a report by responsibility center that shows budgeted amounts, actual amounts and the variances between those amounts is called a(n) ______ report.

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"variance analysis report".

This report helps in comparing the actual performance with the planned performance, identifying any discrepancies, and taking corrective actions if necessary.

The one-way analysis of variance is used to determine if there are statistically significant differences between the means of two or more independent groups. If we use three separate hypothesis tests, we will have a type I error associated with each test and that would lead to more risk of committing type I error. The use of one-way ANOVA helps us to solve this problem by comparing two or more groups using a single type I error usually 5%.

The main difference between one-way ANOVA and two-way ANOVA is that: One-way ANOVA has one factor or one independent variable, while two-way ANOVA has two factors or two independent variables.

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Microchip-X is a company that specializes in producing microchips. It sells these microchips to high-tech manufacturers of electronic control devices. The cost of producing a microchip is $30, Microchip-X can sell the chips to other high-tech manufacturers for $55. Microchip-X can produce, at most, 1 million microchips each year.
Suppose now that the workers' unions of many of the key high-tech manufacturers of electronic control devices (Microchip-X's customers) go on strike. Under these new market conditions, Microchip-X receives outside orders of only 800,000 units from the high-tech manufacturers (at the same price of $55), and so it has some idle capacity.
As a result, the company is considering producing a certain electronic control device by itself. Producing each control device involves putting in two microchips plus an additional $50 in labor costs. To open this new product line, Microchip-X must rent a new plant, which costs $2 million each year. It also needs to borrow $20 million as working capital (the annual interest rate is 5%). The company can sell each control device for $150.
a. Suppose that Microchip-X can now decline some outside orders of microchips if it wants to produce more electronic control devices by itself. What is the cost of producing an additional electronic control device if Microchip-X uses more microchips than its 200,000-unit unused capacity? Should Microchip-X decline any outside orders?

Answers

If Microchip-X uses more than its 200,000-unit unused capacity, the cost of producing an additional electronic control device will be $110. This is calculated by adding the cost of two microchips ($30 x 2 = $60) and the additional labor cost ($50) for a total cost of $110 per control device.

To determine whether Microchip-X should decline any outside orders, the company needs to consider the potential revenue it would generate from producing and selling electronic control devices compared to the revenue it would earn from selling microchips to high-tech manufacturers.

If the revenue from producing and selling electronic control devices is greater than the revenue from selling microchips, then it would make sense for Microchip-X to decline some outside orders and produce more control devices.

However, if the revenue from selling microchips is greater, then it would be more profitable for the company to focus on selling microchips instead of producing electronic control devices. Ultimately, Microchip-X needs to weigh the potential costs and benefits of each option before making a decision.

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Re-engineering is almost always about cost cutting and is therefore usually associated with layoffs. True False

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The statement "re-engineering is almost always about cost-cutting and is therefore usually associated with layoffs." is false because re-engineering does not necessarily always lead to layoffs.

While cost-cutting is often one of the goals of re-engineering, it is not the only goal, and re-engineering does not necessarily always lead to layoffs. Re-engineering is a process of redesigning and restructuring business processes in order to improve efficiency, quality, and customer satisfaction. The focus is on identifying and eliminating inefficiencies, reducing waste, and streamlining operations.

While some organizations may use re-engineering as an opportunity to reduce costs and potentially eliminate positions, this is not always the case. Re-engineering can also create new opportunities for employees to learn new skills, take on new responsibilities, and contribute to the organization in new ways. Additionally, re-engineering can lead to improved customer satisfaction and increased revenue, which can create new opportunities for growth and expansion, rather than simply cost-cutting.

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Use View Duty Status to view duty status for one Member at a time. (True or False)

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True, the View Duty Status feature is designed to allow you to view the duty status of one member at a time.

This tool is particularly useful for tracking individual responsibilities and progress within a team or organization. By focusing on a single member's duty status, you can gain insight into their workload, deadlines, and completed tasks. This information can then be used to inform decision-making and resource allocation within the group.

Moreover, keeping track of individual duty statuses ensures that each member is accountable for their work, promoting a more efficient and collaborative environment. In summary, the View Duty Status feature is a valuable resource for managing tasks and responsibilities on a one-on-one basis.

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If a large number of diverse securities are added to a portfolio comprised of three stocks, then the:
weighted average of the APT factor betas goes to zero.
weighted average expected return goes to zero.
return on the portfolio will equal the risk-free rate.
weighted average of the unsystematic risk goes to zero.
return of the portfolio goes to zero.

Answers

Adding a large number of diverse securities to a portfolio comprised of three stocks will result in a better-diversified portfolio with reduced risk. The return of the portfolio will not equal the risk-free rate or go to zero, but rather be more stable and likely higher than the risk-free rate due to the remaining systematic risk.

When a large number of diverse securities are added to a portfolio comprised of three stocks, we can expect the following effect on the portfolio's return and risk:
1. Diversification: Adding a large number of diverse securities helps in spreading the risk across various investments, thereby reducing the overall risk associated with the portfolio. This is achieved by selecting securities that are not perfectly correlated with each other, meaning that they do not move in the same direction simultaneously.

2. Systematic and Unsystematic Risk: In a well-diversified portfolio, unsystematic risk, which is unique to individual securities, tends to decrease. However, the systematic risk, which affects the entire market, cannot be eliminated through diversification.

3. Portfolio Return: The return on the diversified portfolio will not necessarily equal the risk-free rate. The risk-free rate represents the return on investment with zero risk, usually associated with government bonds. A well-diversified portfolio still carries some level of risk, even if it's lower compared to a less diversified one. The return of the portfolio will likely be higher than the risk-free rate but lower than the average return of the individual securities.

4. Return of the Portfolio: The return of the portfolio will not go to zero due to diversification. Instead, the diversified portfolio is expected to have a more stable return as the overall risk is reduced.

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discuss what an organization should consider before making a decision to purchase data mining software.

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An organization should carefully evaluate their data mining needs, the capabilities of the software they are considering, and the costs and potential benefits of the software.

Before an organization decides to purchase data mining software, there are several factors that need to be considered. Firstly, the organization should have a clear understanding of their data mining needs and goals. They should identify what types of data they want to mine, what insights they hope to gain from the data, and how they plan to use those insights to make informed decisions.

Secondly, the organization should evaluate the capabilities of the data mining software they are considering. They should look at factors such as the software's ease of use, scalability, and compatibility with their existing systems. Additionally, they should consider whether the software can handle the volume and complexity of their data.

Thirdly, the organization should evaluate the cost of the data mining software, including the initial purchase price, ongoing maintenance costs, and any necessary training costs. They should also consider the potential return on investment that the software could provide in terms of increased efficiency, cost savings, and improved decision-making.

Overall, before making a decision to purchase data mining software, an organization should carefully evaluate their data mining needs, the capabilities of the software they are considering, and the costs and potential benefits of the software. By taking these factors into account, they can make an informed decision that will help them achieve their data mining goals and improve their overall decision-making processes.

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what are the strong points of the behavioral critique of the efficient market hypothesis?what are some problems with the critique?

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The behavioral critique of the efficient market hypothesis suggests that markets are not always fully efficient due to the presence of human biases and irrational behaviors.

This perspective highlights several strong points, such as the ability to explain market anomalies and the potential for profitable investment strategies based on these anomalies.

One of the key arguments of the behavioral critique is that human emotions and cognitive biases can lead to irrational behavior in financial markets. For example, investors may overreact to news or market events, leading to exaggerated price movements that cannot be explained by fundamental analysis.

The behavioral critique can also explain the presence of momentum and value effects, which are inconsistent with the efficient market hypothesis. However, there are also some problems with the behavioral critique. Critics argue that the behavioral perspective is based on anecdotal evidence and lacks a clear theoretical foundation.

Additionally, some suggest that the behavioral critique can be self-fulfilling, as investors may use behavioral models to justify their own biases and irrational behavior. Overall, while the behavioral critique of the efficient market hypothesis offers a compelling alternative perspective on market efficiency, it is important to consider both the strengths and limitations of this approach.

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Assuming all four companies are in the same industry, which company appears to have the greatest likelihood of paying its current obligations?
A.Danforth
B.Lewis
C.Garner
D.Martin

Answers

Garner company appears to have the greatest likelihood of paying its current obligations. The answer is OPTION C.

In conclusion, Gartner is a company that offers research and consulting services to companies in the IT industry. It works with businesses to create technology strategies, plans, and budgets as well as choose the best technologies for their operations. For more than 40 years.

The Texas-based emergency response company Garner has provided disaster response and recovery services both domestically and abroad. Technology research is conducted by Gartner, Inc., a Stamford, Connecticut-based research and consulting company, and it is shared through private consultation, executive programs, and conferences. For IT leaders to develop their strategy and aid in decision-making, Gartner offers strategic market research and tools.

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Garner company appears to have the greatest likelihood of paying its current obligations. The answer is OPTION C.

In conclusion, Gartner is a company that offers research and consulting services to companies in the IT industry. It works with businesses to create technology strategies, plans, and budgets as well as choose the best technologies for their operations. For more than 40 years.

The Texas-based emergency response company Garner has provided disaster response and recovery services both domestically and abroad. Technology research is conducted by Gartner, Inc., a Stamford, Connecticut-based research and consulting company, and it is shared through private consultation, executive programs, and conferences. For IT leaders to develop their strategy and aid in decision-making, Gartner offers strategic market research and tools.

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the cost associated with the difference between the standard hours and the actual hours of direct labor spent producing a commodity is called the:

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The labour efficiency variance is the cost related to the discrepancy between the standard hours and the actual hours of direct labour spent manufacturing goods for commodity.

It is a measurement of the discrepancy between the actual hours of direct labour that went into creating a good or service and the hours of direct labour that would have been necessary to achieve the same output under normal circumstances.

The labour efficiency variance is used in variance analysis to determine the causes of the discrepancy between the standard and actual direct labour hours, which may include things like modifications to work procedures, problems with employee training, or inefficiencies in the manufacturing process. The real cost of a unit's direct materials, direct labour, and overhead is known as the actual cost.

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10. A firm has beginning inventory of 300 units at a cost of $11 each. Production during the period was 650 units at $12 each. If sales were 700 units, what is the value of the ending inventory using FIFO?
A. $2,750
B. $3,000
C. $3,300
D. $2,550

Answers

he value of the ending inventory using FIFO is $2,950.A firm has beginning inventory of 300 units at a cost of $11 each. Production during the period was 650 units at $12 each. If sales were 700 units,

The value of the ending inventory using the FIFO method can be calculated by first assuming that the units sold came from the beginning inventory and the units produced during the period. This means that the cost of goods sold for the 700 units is calculated as (300 x $11) + (400 x $12) = $5,500 + $4,800 = $10,300.

Next, we need to calculate the value of the ending inventory. Using the FIFO method, we assume that the units produced during the period are sold last and the beginning inventory is sold first. This means that the cost of the remaining 250 units in the ending inventory is calculated as (50 x $11) + (200 x $12) = $550 + $2,400 = $2,950.

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Problem 3-13 (Algorithmic)
Quality Air Conditioning manufactures three home air conditioners: an economy model, a standard model, and a deluxe model. The profits per unit are $65, $97, and $139, respectively. The production requirements per unit are as follows:
Number of
Fans Number of
Cooling Coils Manufacturing
Time (hours)
Economy 1 1 8
Standard 1 2 12
Deluxe 1 4 14
For the coming production period, the company has 350 fan motors, 360 cooling coils, and 3000 hours of manufacturing time available. How many economy models (E), standard models (S), and deluxe models (D) should the company produce in order to maximize profit? The linear programming model for the problem is as follows:
Max 65E + 97S + 139D s.t. 1E + 1S + 1D ≤ 350 Fan motors
1E + 2S + 4D ≤ 360 Cooling coils
8E + 12S + 14D ≤ 3000 Manufacturing time
E, S, D ≥ 0 The sensitivity report is shown in the figure below.
Optimal Objective Value = 23070.00000
Variable Value Reduced Cost E 340.00000 0.00000 S 10.00000 0.00000 D 0.00000 22.00000 Constraint Slack/Surplus Dual Value Fan motors 0.00000 33.00000 Cooling coils 0.00000 32.00000 Manufacturing time 160.00000 0.00000 Variable Objective
Coefficient Allowable
Increase Allowable
Decrease E 65.00000 11.00000 16.50000 S 97.00000 33.00000 7.33333 D 139.00000 22.00000 Infinite Constraint RHS
Value Allowable
Increase Allowable
Decrease Fan motors 350.00000 10.00000 170.00000 Cooling coils 360.00000 40.00000 10.00000 Manufacturing time 3000.00000 Infinite 160.00000 Identify the range of optimality for each objective function coefficient. If there is no limit, then enter the text "NA" as your answer. If required, round your answers to one decimal place.
Objective Coefficient Range
Variable lower limit upper limit
E S D Suppose the profit for the economy model (E) is increased by $6 per unit, the profit for the standard model (S) is decreased by $2 per unit, and the profit for the deluxe model (D) is increased by $4 per unit. What will the new optimal solution be? If required, round your answers to three decimal places. If your answer is zero, enter "0".
Optimal Solution
E S D If required, round your answer for Total Profit to two decimal places.
Total Profit: $
Identify the range of feasibility for the right-hand-side values. If there is no limit, then enter the text "NA" as your answer. If required, round your answers to one decimal place.
Right-Hand-Side-Range
Constraints lower limit upper limit
Fan motors Cooling coils Manufacturing time If the number of fan motors available for production is increased by 30, will the dual value for that constraint change?
Yes because the allowable increase for fan motors is without changing the optimal solution.

Answers

The range of optimality for each objective function coefficient is infinite and the dual value of fan motors constraint will change.

Objective Coefficient Range
Variable lower limit upper limit
E NA 16.5
S 7.33333 33
D NA Infinite

If the profit for the economy model (E) is increased by $6 per unit, the profit for the standard model (S) is decreased by $2 per unit, and the profit for the deluxe model (D) is increased by $4 per unit, the new objective function becomes:

Max 71E + 95S + 143D

Using the same linear programming model and solving for the new objective function, the new optimal solution is:

Optimal Solution
E S D
320 20 0

Total Profit: $23,480.00

The range of feasibility for the right-hand-side values is:

Right-Hand-Side-Range
Constraints lower limit upper limit
Fan motors 10 170
Cooling coils 40 10
Manufacturing time NA 160

If the number of fan motors available for production is increased by 30, the dual value for that constraint may or may not change. It depends on whether or not the new optimal solution still uses all 350 fan motors. If the new optimal solution uses less than 350 fan motors, then the dual value for the fan motors constraint will change.

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how long is amazon's lookback window from the point of conversion, used in reporting ad-attributed metrics?

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Amazon's lookback window from the point of conversion used in reporting ad-attributed metrics can vary depending on the specific metric being measured.

For example, for Sponsored Products and Sponsored Brands, the default attribution window is seven days after a customer click on an ad. This means that if a customer clicks on an ad and makes a purchase within seven days, that purchase will be attributed to the ad.

However, advertisers can also choose to extend the attribution window up to 90 days for Sponsored Products and 180 days for Sponsored Brands by enabling the Amazon Attribution program.

For Amazon DSP (Demand-Side Platform), the lookback window can vary from one day to 30 days, depending on the type of attribution being used.

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You just took out a​ $12,000 loan for your small business. The loan has a four year term and repayment is in the form of four equal endminus−ofminus−year payments. The interest rate on the loan is​ 11. 5%. Consider the final loan payment. How much interest do you pay in the final​ payment?

Answers

The interest paid in the final loan payment is $1,380

To calculate the interest paid in the final loan payment, we need to first calculate the total interest paid over the four-year term of the loan, and then divide that by four to determine the amount of interest paid in each end-of-year payment.

Using the formula for calculating simple interest, we can find the total interest paid over the four-year term:

Total Interest = Principal x Rate x Time

where Principal is the loan amount, Rate is the interest rate, and Time is the length of the loan in years.

Plugging in the values given in the problem, we get:

Total Interest = $12,000 x 0.115 x 4 = $5,520

So the total interest paid over the four-year term is $5,520.

Dividing this by four, we get the amount of interest paid in each end-of-year payment:

Interest in final payment = $5,520 / 4 = $1,380

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.

the large trade deficits in the u.s. during the 1990's were primarily associated with a rise in domestic investment spending rather than a rise in the budget deficit. TRUE OR FALSE?

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The statement "The large trade deficits in the U.S. during the 1990s were primarily associated with a rise in domestic investment spending rather than a rise in the budget deficit" is TRUE.

During the 1990s, the U.S. experienced large trade deficits. These deficits were primarily associated with an increase in domestic investment spending, which led to higher economic growth and increased demand for imported goods.

The budget deficit, on the other hand, was not the main contributor to the trade deficits during this period.

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Phyllis Jones purchased 50 shares of stock at $23.50 per share. Her Internet broker charger her $14.95 commission. What is the total amount Phyllis paid for the stock? a. $427.50 b. $747.50 c. $1,175.00 d. $1.189.95

Answers

The answer is option d) $1,189.95. The total amount Phyllis paid for the stock iis $1.189.95.


To calculate the amount Phyllys paid for the stock:
Total cost = (50 shares x $23.50 per share) + $14.95 commission
Total cost = $1,175 + $14.95
Total cost = $1,189.95

Or without the commission:
1. First, calculate the cost of the stocks without the commission: 50 shares * $23.50 per share = $1,175.
2. Next, add the commission fee to the cost of the stocks: $1,175 + $14.95 = $1,189.95.

So, the total amount Phyllis paid for the stock is $1,189.95 (option d).

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Laws requiring employers to provide health insurance to their employees put the burden of health insurance costs: a. mostly on employers if labor demand is less elastic than labor supply. b. solely on firms (labor demanders), which will most likely lead to increases in unemployment. c. mostly on employees if labor supply is more elastic than labor demand. d. mostly on employees if labor supply is less elastic than labor demand.

Answers

The burden of health insurance costs is mostly on employees if labor supply is less elastic than labor demand.

What is labor supply?

When labor supply is less elastic than labor demand, employers have more bargaining power and can shift the burden of health insurance costs onto employees by reducing wages. Therefore, laws requiring employers to provide health insurance to their employees put the burden of health insurance costs mostly on employees if labor supply is less elastic than labor demand. However, if labor supply is more elastic than labor demand, employees have more bargaining power and may be able to negotiate higher wages to offset the cost of health insurance, shifting the burden mostly onto employers.

When labor demand is less elastic than labor supply, employers may have to bear most of the cost of health insurance because they cannot easily replace workers who demand higher wages to cover health insurance costs. If the burden is solely on firms (labor demanders), it may lead to increases in unemployment as firms may reduce their demand for labor due to higher labor costs.

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When common causes of variation are treated as special causes of variation, the usual result isa. Failure to perform root cause analysisb. Failure to take timely corrective actionc. Misclassification of in-specification productd. Over-adjustment of the process

Answers

The usual result when common causes of variation are treated as special causes of variation is c. Misclassification of in-specification product.

This occurs because the process is over-adjusted based on the false belief that a special cause of variation is present, leading to unnecessary adjustments that may actually introduce more variability into the process. This can lead to misclassification of products as either in-specification or out-of-specification, which can have negative consequences such as higher costs and lower quality. It is important to properly identify and distinguish between common and special causes of variation in order to perform effective root cause analysis and take timely corrective action, which can ultimately improve the overall performance of the process and reduce inflation.
about the consequences of treating common causes of variation as special causes. The usual result is d. Over-adjustment of the process. This occurs because inflation and misclassification may arise from misinterpreting the nature of the variation, leading to unnecessary adjustments that can negatively impact the process.

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An adjusting journal entry contains a debit to an expense account and a credit to a contra account. This is an example of a(n). a. Depreciation expense b. Accrued revenue c. Deferred revenue d. Accrued expense

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An adjusting journal entry that debits an expense account and credits a contra account is used to record an accrued expense (option d).

This is an expense that has been incurred but not yet paid or recorded in the accounts. By making this adjusting entry, the expense is recognized in the period in which it was incurred, and the contra account is used to offset the expense account, showing that the payment is still outstanding. This is a common adjustment made at the end of an accounting period to ensure that the financial statements accurately reflect the company's financial position.

The answer is d. Accrued expense.

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George has received a final order from the Florida Real Estate Commission, ordering his license revoked. If George wishes to appeal this order, what would be his next step?(a) Seek an injunction from the Florida Real Estate Commission. (b) Seek a writ of mandamus from the Circuit Court. (c) Request an injunction from the Department of Business and Professional Regulation. (d) File an appeal with the District Court of Appeal.

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Seeking a writ of mandamus from the Circuit Court would not be applicable as mandamus is a legal order to compel someone to do something, and in this case, there is already a final order from the Commission.

If George wishes to appeal the final order from the Florida Real Estate Commission revoking his license, his next step would be to file an appeal with the District Court of Appeal. Seeking an injunction from the Florida Real Estate Commission or requesting an injunction from the Department of Business and Professional Regulation would not be the appropriate next step in this situation. Additionally, seeking a writ of mandamus from the Circuit Court would not be applicable as mandamus is a legal order to compel someone to do something, and in this case, there is already a final order from the Commission.

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Critical performance goals for KPIs and BRs require greater improvement than stretch performance goals T or F

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The statement is True. Critical performance goals for KPIs (Key Performance Indicators) and BRs (Business Results) require greater improvement than stretch performance goals.

Critical performance goals are the minimum acceptable level of performance needed to meet organizational objectives, while stretch goals are more ambitious targets that go beyond what is expected or required.

Therefore, meeting critical performance goals is crucial for ensuring that the organization achieves its desired outcomes and performs at a satisfactory level, while achieving stretch goals can result in even greater success and performance.

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7) A country will be able to consume a combination of goods that is not attainable solely from domestic production if
A) the world terms of trade differ from its domestic relative costs.
B) the country specializes in one product.
C) the country avoids international trade.
D) the world terms of trade equal the domestic relative costs.
E) the country's domestic production value equals world relative value.

Answers

A country will be able to consume a combination of goods that is not attainable solely from domestic production if A) the world terms of trade differ from its domestic relative costs.

This means that if a country can obtain goods at a lower cost through international trade than it can produce them domestically, then it can consume a combination of goods that is not attainable solely from domestic production. By specializing in producing goods that it can produce most efficiently, the country can then trade for other goods it needs at a lower cost than if it tried to produce everything domestically.

Therefore, international trade can allow a country to consume a wider variety of goods than it could produce on its own.

Option A is answer.

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Stock H has a beta of 1.8, while Stock L has a beta of 0.4. If investors’ aversion to risk increased...
a. the risk premium of Stock H would increase by more. b. the risk premium of Stock L would increase by more. c. the risk premiums of Stock H and L would remain unchanged. d. the risk premiums of Stock H and L would increase by the same amount.

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Investors seek a bigger risk premium for owning a certain stock as their aversion to risk rises.  Therefore, option a is the best choice: Stock H's risk premium would rise higher. Option a is Correct.

A stock's beta is closely correlated with its risk premium. Investors want a bigger risk premium as beta increases. Similar to this, less risk premium is needed by investors the lower the beta.

Because of this, Stock H's risk premium, which has a beta of 1.8, would rise more than Stock L's, which has a beta of 0.4, as investors' aversion to risk grows. Option a is Correct.

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This summer we have been taking the truck to different local community events. This involves a great deal of driving every day, but sometimes they are not well attended. should we look at other options? Which of the 4 Ps does Silas think they need to to change?
1. Product 2. Promotion 3. Price 4. Place

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the issue is with the "Place" element of the marketing mix

Marketing Mix

The problem appears to be with the "Place" component of the marketing mix. The company takes the truck to various local community events, but they are not always well attended. This suggests that the current "Place" or location may not be the best fit for the target audience.To address this issue, the company could look into other "Place" options, such as finding new locations with higher foot traffic or attending events that are more targeted towards their ideal customers. They might also think about collaborating with local businesses or organisations to increase visibility and reach a larger audience.While the other components of the marketing mix (product, promotion, and price) may need to be adjusted to optimise performance,

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the issue is with the "Place" element of the marketing mix

Marketing Mix

The problem appears to be with the "Place" component of the marketing mix. The company takes the truck to various local community events, but they are not always well attended. This suggests that the current "Place" or location may not be the best fit for the target audience.To address this issue, the company could look into other "Place" options, such as finding new locations with higher foot traffic or attending events that are more targeted towards their ideal customers. They might also think about collaborating with local businesses or organisations to increase visibility and reach a larger audience.While the other components of the marketing mix (product, promotion, and price) may need to be adjusted to optimise performance,

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If the expected default rate on a particular mortgagebacked security is 4 percent per year, and the corresponding Treasury security carries a 3 percent annual interest rate, what should be the interest rate on the mortgage-backed security? What happens if the expected default rate rises to 8 percent?

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If the expected default rate rises to 8 percent, the interest rate on the mortgage-backed security should be 11% per year.

To determine the interest rate on the mortgage-backed security, you should consider both the expected default rate and the interest rate on the corresponding Treasury security.

Step 1: Add the expected default rate to the Treasury security interest rate.
- In this case, the expected default rate is 4 percent per year, and the Treasury security interest rate is 3 percent per year.

Step 2: Calculate the total interest rate.
- 4% (default rate) + 3% (Treasury security rate) = 7%

So, the interest rate on the mortgage-backed security should be 7% per year.

Now, let's consider what happens if the expected default rate rises to 8 percent.

Step 1: Add the new expected default rate to the Treasury security interest rate.
- In this case, the new expected default rate is 8 percent per year, and the Treasury security interest rate remains at 3 percent per year.

Step 2: Calculate the total interest rate.
- 8% (new default rate) + 3% (Treasury security rate) = 11%

If the expected default rate rises to 8 percent, the interest rate on the mortgage-backed security should be 11% per year.

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