The overall portfolio's anticipated return is:
(50% x 15%) + (20% x 6%) + (30% x 9%) = 11.4%
How is the portfolio's anticipated rate of return calculated?The expected return is calculated by multiplying each asset's weight by its expected return. You may then add the amounts for each investment to determine the portfolio's overall expected return. Consequently, this is the equation: Asset 1 Weight x Expected Return = Expected Portfolio Return Plus (Asset 2 Weight x Expected Return).
What is the portfolio formula?This indicates that the overall portfolio variance is lower than a simple weighted average of the individual variances of the stocks in the portfolio. Formula and Calculation of Portfolio Variance A two-asset portfolio's portfolio variance is calculated using the following formula: Portfolio variance is equal to w1212 plus w2222 plus 2w1w2Cov.
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a person is not required to be fingerprinted if she performs which of the following for a broker-dealer?
A person is not required to be fingerprinted for a broker-dealer if she prepares marketing materials that are to be used by the firm's sales professionals.
Who is a broker-dealer?A broker-dealer or (B-D) is a person or firm in the business of buying and selling securities for its account or on behalf of its customers. The term broker-dealer is used in U.S. securities regulation parlance to describe stock brokerages because most of them act as both agents and principals. A brokerage acts as a broker or agent when it executes orders on behalf of its clients
Whereas it acts as a dealer, or principal when it trades for its account.
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Orange, Inc., a calendar year corporation in Clemson, South Carolina, elects S corporation status for 2015. The company generated a $74,000 NOL in 2014 and another NOL of $43,000 in 2015. Orange recorded no other transactions for the year. At all times in 2014 and 2015, the stock of the corporation is owned by the same four shareholders, each owning 25% of the stock. Pete, one of the shareholders, holds a $6,020 basis in the Orange stock at the beginning of 2015.
The deductible loss by Pete is ? , with a ? carryover.
The Shareholders, holds a $6,020 foundation inside the Orange inventory at the beginning of 2015.
The deductible loss by Pete is deductible loss is $6,020 and the carryover is $four,730.
The carryover loss is allowed when the additional basis is created, either by stock basis (investment) or debt basis (loan), to absorb this loss. Alternatively, the company can also make enough profits to enable the shareholder to deduct the suspended losses.
Calculation:-
The agency generated a $74,000 NOL in 2014.
Another NOL of $43,000 in 2015.
The deductible loss by Pete is deductible loss is $6,020 and the carryover is $4,730
Debt can be in reality understood as the quantity owed via the borrower to the lender. A debt is the sum of money that is borrowed for a certain time period and is to be return in conjunction with the interest. The quantity further to the approval of the debt relies upon upon the creditworthiness of the borrower.
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cold calls and telemarketing have become FITB over time, primarily because their success rate is FITB .
Cold calls and telemarking have become less popular over time, primarily because their sucess rate is faily low.
Cold calling is a form of telemarketing activity. Cold calling happens when a marketer calls a potential customer who had no prior interaction to a product with aims to socialize the product. Cold calling aims at people who have not express their interest in the product but concluded in the product's target market. On the other hand, warm calling is the socialitation of a customer who previously had express interest in a product.
Telemarketing is a direct marketing method over telephone. internet, or fax.
In the recent year, cold calling has very low succes rate. Cold calling tends to make people uncomfortable because it takes time to take the phone. Many companies are no longer desire to do cold calling. Many have move into social media marketing, or even robo-dialing.
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Complete Question:
Cold calls and telemarketing have become _____ over time, primarily because their success rate is _____.
a. less popular; fairly low
b. low more popular; steady
c. more popular; fairly high
d. high less popular; steady
e. Cold calling is no longer practiced
2. the results of a study conducted as part of a yield-improvement effort at a semi-conductor manufacturing facility of a supplier to ford provided data on two quality control approaches. the data are on the tab defects. do the two approaches obtain equal quality output. (15 points)
The null hypothesis can be rejected at an alpha level of 0.05, and you can conclude that there is a relationship between the presence of particles and the quality of the wafer.
To determine if there is a relationship between the presence of particles and the quality of the wafer, you can use a chi-square test of independence. The null hypothesis for this test is that there is no relationship between the presence of particles and the quality of the wafer. The alternate hypothesis is that there is a relationship between the two variables.
Once you have calculated the expected counts, you can then calculate the chi-square statistic using the following formula:
chi-square = sum((observed count - expected count)^2 / expected count)
Plugging in the observed and expected counts from the contingency table, you get:
chi-square = (14 - 148)^2 / 148 + (36 - 186)^2 / 186 + (320 - 186)^2 / 186 + (80 - 148)^2 / 148
= 134^2 / 148 + 150^2 / 186 + 134^2 / 186 + 68^2 / 148
= 18156 / 148 + 22500 / 186 + 18156 / 186 + 4624 / 148
= 122.61
Next, you will need to determine the degrees of freedom for the test. In this case, the degrees of freedom is equal to (number of rows - 1) * (number of columns - 1) = (2 - 1) * (2 - 1) = 1.
Finally, you can use a chi-square table or a chi-square calculator to determine the p-value for your test. If the p-value is less than the alpha level you have chosen (in this case, 0.05), you can reject the null hypothesis and conclude that there is a relationship between the presence of particles and the quality of the wafer.
The complete question is shown below.
The results of a study conducted as part of a yield-improvement effort at a semiconductor manufacturing facility provided defect data for a sample of 450 wafers. The following contingency table presents a summary of the responses to two questions: "Was a particle found on the die that produced the wafer?" and "Is the wafer good or bad?" Use an alpha of 0.05. Quality of Wafer Bad Particles Good Totals Yes 14 36 50 No 320 80 400 Totals 334 116 450. show main answer and calculation
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Select all that apply
Which of the following costs should be capitalized in the costs of acquiring a building?
Current year property taxes
Realtor commissions
Insurance on the building
Legal fees to obtain title
Remodeling building
The costs should be capitalized in the costs of acquiring a building is Remodeling building, Realtor commissions, Legal fees to obtain title.
Brokerage fees are fees paid to brokers for services rendered to home buyers and sellers. It is usually paid to the real estate company that the agent works for and is shared with the agent on a pre-determined basis.
A real estate commission is a fee paid to a real estate agent when a house is successfully sold. The main form of payment for realtors is a commission, which is a percentage of the sale price of the property.
Real Estate Fees are typically 5-6% of the sale price of the home. In most regions, buyer agents earn a commission of 2.5% to 3%, and seller agents earn a commission of 2.5% to 3%. This may vary by agent and location.
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Which of the following bests describes oligopoly markets?
when a few businesses get together to fix prices. A market structure known as an oligopoly has a limited number of enterprises, none of which can prevent the others from exerting significant influence.
Why is oligopoly the most effective market structure?An oligopolistic market (also known as an oligopoly) is characterized by the dominance of a small number of businesses that provide comparable products and services over a large number of others. In an oligopolistic market, there are few competitors, which limits competition and enables every firm to thrive.
What qualities define oligopolistic marketplaces as being the most significant?The interdependence of the several businesses in the decision-making process is the defining feature of an oligopoly. Advertisements: All businesses in an oligopolistic industry are aware of this fact.
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which of the following statements describes an advantage that personal selling has over other forms of promotion? group of answer choices the sales message cannot be modified during the sales presentation. personal selling can and should be directed to everyone. personal selling costs can be adjusted by controlling the size of the sales force. personal selling is considerably less effective at creating a satisfied customer than other forms of promotion. all of the above statements describe how personal selling is superior to other forms of promotion.
Personal selling is considerably more effective in obtaining a sale and gaining a satisfied customer. The correct response is option (b).
Define Personal selling.When a salesperson meets with a potential customer to close a deal, this is known as personal selling. A sequential sales process with typically nine steps is used by many salespeople. For all or a portion of the sales process, some sales professionals write scripts.
The term "promotion" covers a wide range of activities designed to increase public awareness or advance a product. Promotion in the context of a career means raising a worker's position or rank within a hierarchical structure.
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A 20-year maturity, 7.3% coupon bond paying coupons semiannually is callable in seven years at a call price of $1,185. The bond currently sells at a yield to maturity of 6.3% (3.15% per half-year). a. What is the yield to call? (Do not round intermediate calculations. Round your answer to 2 decimal places.) Yield to call b. What is the yield to call if the call price is only $1,135? (Do not round intermediate calculations Round your answer to 2 decimal places.) Yield to call 2.50 *96 c. What is the yield to call if the call price is $1,185 but the bond can be called in four years instead of seven years? (Do not round intermediate calculations. Round your answer to 2 decimal places.) Yield to call 4.84 %
To find the yield to call of a bond, we need to determine the present value of the bond's future cash flows, taking into account the call option. The bond's cash flows consist of its periodic coupon payments and its face value at maturity. The yield to call is the discount rate that equates the present value of these cash flows to the bond's current market price.
To begin, let's calculate the bond's periodic coupon payment. The bond has a 7.3% coupon and pays coupons semiannually, so the periodic coupon payment is (7.3% / 2) * $1,000 = $36.50.
Next, let's determine the bond's face value at the call date. The bond is callable in seven years at a call price of $1,185, so if it is called, the bondholder will receive $1,185 at the call date instead of the face value at maturity.
Now let's determine the present value of the bond's cash flows. The bond's yield to maturity is 6.3%, or 3.15% per half-year, so the bond's periodic discount factor is 1 / (1 + 0.0315) = 0.9689. The present value of the bond's periodic coupon payments is $36.50 * 0.9689 = $35.57. The present value of the bond's face value at the call date is $1,185 / (1 + 0.0315)^7 = $836.15. The present value of the bond's cash flows is the sum of these two amounts, or $35.57 + $836.15 = $871.72.
Finally, let's determine the yield to call by dividing the present value of the bond's cash flows by the bond's current market price and solving for the discount rate. In this case, the bond's current market price is $1,000, so the yield to call is the discount rate that satisfies the following equation:
$871.72 = $1,000 / (1 + r)^7
Solving for r, we find that the yield to call is 4.84%.
For the second part of the question, if the call price is only $1,135, the present value of the bond's face value at the call date is $1,135 / (1 + 0.0315)^7 = $786.35. The present value of the bond's cash flows is $35.57 + $786.35 = $821.92. The yield to call can be determined by solving the following equation:
$821.92 = $1,000 / (1 + r)^7
Solving for r, we find that the yield to call is 2.50%.
For the third part of the question, if the call price is $1,185 but the bond can be called in four years instead of seven years, the present value of the bond's face value at the call date is $1,185 / (1 + 0.0315)^4 = $924.87. The present value of the bond's cash flows is $35.57 + $924.87 = $960.44. The yield to call can be determined by solving the following equation:
$960.44 = $1,000 / (1 + r)^4
Solving for r, we find that the yield to call is 4.84%.
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The percent of the population living under the official federal poverty line in the United States was approximately _____ percent in 2014.
The percent of the population living under the official federal poverty line in the United States was approximately 15 percent in 2014.
Federal poverty line:An income measure issued annually by the Department of Health and Human Services (HHS). The Federal Poverty Line is used to determine eligibility for certain programs and benefits, such as Marketplace health insurance and savings on Medicaid and CHIP coverage.
How is the poverty line measured?This type of poverty measure includes the consideration that household food expenditures are a percentage of total expenditures. The poverty line is determined by multiplying the value of basic food items by the reciprocal of the percentage of total expenditure that food expenditure represents
The 2021 household poverty line (below) is $33,148. table. poverty threshold. Poverty threshold by number of children under the age of 18 in relation to family size Source: Current Population Survey (CPS)
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Which is the most risky transaction to undertake in the stock index option markets if the stock market is expected to increase substantially after the transaction is completed? Choose the correct.
a. Write a call option.
b. Write a put option.
c. Buy a call option.
d. Buy a put option.
The Answer is (a) Write a call option.
What is a stock index?
A stock market index, which is also known as a stock index, measures a section of the stock market. The stock index measures the change in the share prices of different companies. The stock market index is determined by calculating the prices of certain stocks.
It measures the price performance of a basket of securities using a standardized methodology and metric.
How is stock index calculated?
The market value for each of the stock is calculated by multiplying its price by the number of shares included in the stock index, and each stock's weight in the stock index is determined based on its market value relevant to the total market value of the index.
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The irrelevance of monetary changes for real variables is called monetary neutrality. Most economists accept monetary neutrality as a good description of the economy in the long run, but not the short run. O True b. False
The irrelevance of monetary changes for real variables is called monetary neutrality. Most economists accept monetary neutrality as a good description of the economy in the long run, but not the short run
This statement is TRUE
What is Money neutrality?
According to the notion of money neutrality, commonly known as neutral money, changes in the money supply only have an impact on nominal variables and not actual variables.
In other words, the Federal Reserve (Fed) and central banks' printing of money can affect prices and wages but not the economy's output or structure.
Although many modern economists continue to hold the view that neutrality is assumed in the long run once money has circulated throughout the economy, modern versions of the theory acknowledge that changes in the money supply might have an impact on output or unemployment levels in the short term.
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in ethnocentric staffing, operations outside the home country are managed by individuals from the host country. True/False
True - in ethnocentric staffing, operations outside the home country are managed by individuals from the host country.
Ethnocentrism in social technology and anthropology—in addition to in colloquial English discourse—approach to apply one's very own way of life or ethnicity as a body of connection with choose other cultures, practices, behaviors, beliefs, and those, in preference to the usage of the standards of the unique way of life concerned. on the grounds that this judgment is regularly poor, a few people additionally use the time period to consult the belief that one's subculture is superior to, or more accurate or normal than, all others—specially concerning the differences that define every ethnicity's cultural identification, along with language, behavior, customs, and religion.
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Select the most appropriate category for each good or service listed.
1. Appliances
multiple choice 1
convenience
shopping
specialty
unsought
2. Automobile battery jumpstart services
multiple choice 2
convenience
shopping
specialty
unsought
3. Cemetery plots
multiple choice 3
convenience
shopping
specialty
unsought
4. Clothes
multiple choice 4
convenience
shopping
specialty
unsought
5. Expensive wine
multiple choice 5
convenience
shopping
specialty
unsought
6. Gas
multiple choice 6
convenience
shopping
specialty
unsought
7. Jewelry
multiple choice 7
convenience
shopping
specialty
unsought
8. Milk
multiple choice 8
convenience
shopping
specialty
unsought
where do you live i will get you v buck
What were economic impacts of European imperialism in Africa?; What was one effect of European imperialism Africa?; How did European imperialism affect the economy?; What were the main effects of European colonization of Africa?
Measuring economic impact not only lets in public zone our bodies to assess their monetary go back on funding, but it additionally demonstrates how events power economic advantages - allowing event Organisers develop practices which maximise those blessings.
Monetary impact research estimate the full greenbacks, jobs, and family income generated in an economic system because of a new activity; for example, a business coming to or growing in the vicinity, a pageant, creation of an occasion center.
The effect of economic increase on commercial enterprise is highly advantageous: your enterprise is possibly to earn more customers, boom profitability, and revel in first-rate opportunities for further boom and enlargement.
Social and financial factors, including profits, education, employment, community safety, and social helps can significantly have an effect on how properly and how long we live. those factors affect our capability to make healthy alternatives, come up with the money for hospital treatment and housing, control stress, and more.
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Linea, an employee of Hard Labor Industries (HLI), is injured in a work-related accident. Based on the diagnosis of Newt, a doctor, Linea accepts $50,000 from HLI and waives the right to future claims. Newt's diagnosis later proves to have been wrong.
Refer to Fact Pattern 14-A1. In terms of the impact on Linea's agreement with HLI, Newt's misdiagnosis is
Newt's misdiagnosis is a mistake of fact
What are Hard Labor Industries?
The 3.3 million workers in Washington are the focus of the Department of Labor & Industries (L&I), a varied state agency. We assist companies in adhering to safety and health regulations, and we inspect workplaces when dangers are reported.
According to the question:
Linea, an employee of Hard Labor Industries (HLI), is hurt at work and receives $50,000 from HLI in exchange for waiving all further claims when a doctor, Newt, makes a diagnosis.We are also told that Newt's original diagnosis turned out to be incorrect. Newt's incorrect diagnosis will invalidate Linea's settlement with HLI in terms of its effects.They will need to be convinced of the error of their ways in order to reach a settlement with Hard Labor Industries and ensure that Linea is not negatively impacted. As a result, the hospital should reach an agreement.
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which of the following is the best key performance indicator (kpi) for measuring customer satisfaction? 1. Net Promoter Score (NPS) · 2. High raters · 3. CSAT score · 4. Industry NPS benchmarks · 5. Brand perception
Option 3 is correct. The best key performance indicator (kpi) for measuring customer satisfaction is CSAT.
Because it is so straightforward and straightforward, CSAT is the primary metric used to gauge customer satisfaction. You employ it by distributing a customer satisfaction survey and asking people to express their level of happiness with your company or a particular experience.
Knowing what measures are used to gauge customer satisfaction will help you make sure you're exceeding expectations rather than just doing the bare minimum to please your consumers. Understanding these important KPIs will enable you to assess the true level of client satisfaction with your company. With that information in hand, you can start looking into ways to raise customer satisfaction and build a loyal following of clients who keep coming back. That is how you create a company that survives and prospers.
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a marketing manager who is willing to spend enough on persuasive promotion can usually get consumers to buy anything the company chooses to produce.
The statement 'a marketing manager who is willing to spend enough on persuasive promotion can usually get consumers to buy anything the company chooses to produce' is false.
A marketing manager can be described as a person who focuses on generating sales of a company through effective marketing strategies.
Persuasive promotion is done by marketing managers to persuade more consumers into buying products of a particular company. However, persuasive promotion does not mean that the consumers will buy anything that a company produces. They will only buy the products that feel effective to them or are worth buying according to them. Hence, the statement above is false.
Although a part of your question is missing, you might be referring to this question:
a marketing manager who is willing to spend enough on persuasive promotion can usually get consumers to buy anything the company chooses to produce. true or false
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As firms simultaneously downsize and face the need for increased coordination across organizational boundaries, a control system based primarily on boundaries and constraints would beMultiple Choiceeffective.dysfunctional.recommended.ideal.
As firms simultaneously downsize and face the need for increased coordination across organizational boundaries, a control system based primarily on boundaries and constraints would be dysfunctional
One of the proposition presented by The Theory of Restrictions is to zero in on the highlight be improved and afterward we can continue on toward the meaning of each and every day; a chain is essentially areas of strength for as the most fragile connection; Following this way of thinking we should find what is the most fragile connection in a cycle in an organization and improve by then, recall that the speed of an interaction will constantly be the slowest cycle, making a limitation in the process that can show up in any space of the association.
The administration model in traditional organizations is aimed at cost control. The Theory of Restrictions instructs us that we should change the methodology, we shouldn't immediate our endeavors in cost control, yet rather in producing cash. To produce cash you need to work with the client and contingent upon the client, however for that to happen we should set up the organization to have the option to answer that client, consequently we should get ready functional models that are lithe, adaptable, fit for answering consistent and evolving prerequisites.
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oligopolists are tempted to produce more thn the quantity that would maximize industry profits because when they increase output
That would maximize industry profits because when they increase output the price effect is spread across multiple firms.
Who are oligopolists?
There are just a few businesses in an oligopoly market structure, and none of them can stop the others from having a significant influence. The concentration ratio is used to determine the market share of the largest corporations.
A monopoly market has only one producer, a duopoly market has two companies, and an oligopoly market has three or more companies. Unknown is the maximum number of firms that may exist in an oligopoly, but it must be few enough for each firm's operations to significantly affect those of the others.
Oligopolies have occurred in the past in a variety of industries, including steel, oil, railroads, tires, grocery store chains, and telecommunications.
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assuming a monopolist stays in business, a reduction in that monopolist's fixed costs would possibly increase, decrease or not effect profit-maximizing price and quantity, depending on the elasticity of demand. increase the profit-maximizing price and decrease the profit-maximizing quantity produced. not affect the profit-maximizing price or quantity. decrease the profit-maximizing price and increase the profit-maximizing quantity produced.
If a monopolist continues to operate, a decrease in its fixed costs would have no impact on the price or volume that maximises profits. Hence, Option C is correct.
The monopolist establishes the quantity and price of their equilibrium products by finding the intersection of marginal cost and marginal revenue.
A decrease in fixed costs will alter the monopolist's earnings, but it won't alter the equilibrium price or quantity. This is so that changes to fixed costs won't have an impact on either marginal revenue or marginal cost.
Even if fixed costs change, the optimal output level does not. Therefore, Option C is correct.
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When communicating with its target audience, Taco Bell considered each of its _____ including social media channels, packaging, point of purchase displays, and advertising. These places of contact between a firm and its customers are critical elements for building an integrated marketing communication plan.
a. sources
b. products
c. noises
d. touch points
e. traffic generators
Taco Bell considered each of its touch points including social media channels, packaging, point of purchase displays, and advertising.
Advertising and marketing is the exercise and techniques employed to bring attention to a products or services. advertising and marketing ambitions to place a services or products inside the highlight in hopes of drawing it attention from customers.
Purchasing is the prepared acquisition of goods and offerings on behalf of the shopping for entity. shopping activities are had to ensure that wanted objects are received in a timely manner and at a reasonable price.
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Answer: D, touch points
Explanation:
which of the following terms describes the category of cloud computing in which a customer develops applications using development tools and infrastructure provided by the service provider
Platform as a service describes the category of cloud computing in which a customer develops applications using development tools and infrastructure provided by the service provider.
Depending on the nature of the project, a number of considerations need to be taken into account while choosing the appropriate development tool. Software development tools, which enable programmers (or system developers) design, alter, or test applications programs, are essentially computer programs that operate most frequently on personal computers. Text editors are a few of the often used software development tools. Assemblers/compilers. Project management tools are a collection of software created to assist project teams in project planning, project tracking, and project management in order to meet project goals within a given time frame. Additionally, it fosters productive teamwork and speeds up tasks so they can be completed within the given deadlines.
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A client is heavily invested in an exchange-listed security and decides to liquidate the investment to purchase shares of an S&P 500 Index fund. In doing so, the investor has protected against
The investor has thus gained protection from:
1. Market volatility: By diversifying their portfolio with an S&P 500 Index fund, the investor has spread out their investments over a broad range of stocks and reduced their exposure to any single stock.
2. Concentration risk: By diversifying their portfolio with an S&P 500 Index fund, the investor has spread out their investments and reduced the risk of any single stock having too large of an impact on their overall returns.
3. The risk of a single security: By diversifying their portfolio with an S&P 500 Index fund, the investor has spread out their investments and reduced their exposure to any single security. This reduces the chance of the performance of a single security having a drastic impact on their overall returns.
What is investor?
A person who wants to invest money in the expectation of profit or future advantage is known as an investor (interest). Most frequently, the investor uses the allocated funds to purchase a specific type of property. Investment types include equity, debt, securities, real estate, infrastructure, cash, commodities, trinkets, derivatives like put and call options, futures, as well as forwards. This definition does not distinguish between main market investors but also secondary market investors. In other words, stock purchases and financial investments are both made by individuals. A shareholder is an investor who holds shares of stock.
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Depreciation expense is recorded for tangible fixed assets, whereas ______ expense is recorded for natural resources.
Depreciation expense is recorded for tangible fixed assets, whereas depletion expense is recorded for natural resources.
A physical asset is depreciation.Some intangible assets' costs can be dispersed across the years the asset provides value for the business or over the course of its useful life. Intangible assets use amortization instead of depreciation, which is used for tangible assets.
Quiz: What are the key distinctions between tangible and intangible assets?Physical assets including real estate, vehicles, and structures are referred to as tangible assets. Patents, financial claims, and contractual agreements are examples of nonphysical intangible assets.
On what line(s) does the statement of financial status typically list natural resources?Natural resources are often reported on the balance sheet at total cost less accumulated depletion. Typically, we record them at their cost of acquisition plus exploration and development charges.
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When a bond sells at a discount, the carrying value ________ after each amortization entry.increasesdecreasesstays the samecannot be determined
When a bond sells at a discount, the carrying value increases after each amortization entry. increases, decreases stays the same cannot be determined.
Bond sales prior to maturity When a bond matures (when it becomes due), investors receive its face value, or "par value," back. But bondholders who sell their bonds before they mature can receive a very different payout. For instance, the bondholder could have to sell at a discount—below par—if interest rates have increased since the bond was bought. However, the bondholder could be able to sell at a premium above par if interest rates have declined. You could have to pay a commission or your broker might take a "markdown" if you wish to sell your bond before it matures.
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import standards on certain countries and blanket standards are solutions that some countries use to address
Import standards on certain countries and blanket standards are solutions that some countries use to address differing labor or environmental standards.
Give a brief about import in business.
An export from the sending country is an import into the receiving nation. The two financial operations that best describe international commerce are import and export.
Imports are transactions in which non-residents sell products and services to a resident of a jurisdiction (such as a country).
Imports are precisely defined in national accounts to include and exclude particular "borderline" situations.
Importation is the process of purchasing goods or services from a market or nation other than one's own. Because they enable a nation to fill its market with goods from other nations, which may be limited, expensive, or of low quality, imports are crucial to a nation's economy.
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the type of classroom community you want to develop will impact the rules and procedures you design.
This statement is True, the type of classroom community you want to develop will impact the rules and procedures your design.
A community is a social unit with commonality which includes vicinity, norms, faith, values, customs, or identification. groups can also share an experience of the region located in a given geographical area (e.g. a rustic, village, town, or neighborhood) or in digital space thru verbal exchange structures.
Durable appropriate relations that extend beyond instantaneous genealogical ties additionally outline a sense of community, critical to their identity, practice, and roles in social institutions which include family, home, paintings, authorities, society, or humanity at huge. although communities are typically small relative to private social ties, "network" may talk to huge organization affiliations which include countrywide communities, worldwide communities, and digital communities.
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(T or F) The type of classroom community you want to develop will impact the rules and procedures your design.
this project asks you to build a graphical, playable version of columns, based on the game mechanics from the previous project. however, we'll need to make a couple of minor changes to it:
You are need to create a playable, graphical version of Columns for this project using the same game concepts as the previous one. We'll need to make a few small adjustments to it, though: The field will always have 13 rows and 6 columns, and it will always be empty when you first open it.
For this project, you must produce a playable, graphical version of Columns utilizing the same game mechanics as the previous one. There are a few minor changes we must make to it: When you initially open the field, it will always be empty and have 6 columns and 13 rows. The seven different gem hue variants were previously represented by uppercase letters. Instead, choose seven colors; they can be any shades as long as they can be identified from one another at a glance. There must be some form of visual cue to show where fallers land. If you support matching, it would be excellent to have a visual cue before the matching diamonds go.
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Mrs. Kirk withdrew $30,000 from a retirement account and used the money to furnish her new home. Her marginal tax rate is 24 percent. Compute the tax cost of the withdrawal in each of the following cases:Mrs. Kirk is 56 years old. She withdrew the money from a personal savings account.Mrs. Kirk is 56 years old. She withdrew the money from her employer-sponsored qualified plan upon her retirement from the company.Mrs. Kirk is 56 years old. She withdrew the money from her employer-sponsored qualified plan, but she intends to work for the employer for at least 10 more years.Mrs. Kirk is 61 years old. She withdrew the money from her employer-sponsored qualified plan, but she intends to work for the employer for at least four more years.
Kirk's tax cost of the premature withdrawal is $10,200 ($7,200 tax [$30,000 taxable withdrawal × 24%] + $3,000 penalty [$30,000 × 10%]).
What is premature withdrawal?
Payments made from an individual retirement account (IRA), 401(k) investment account, a tax-deferred annuity, or any other qualified retirement-savings plan to a recipient who is under the age of 59.12 are referred to as premature distributions (also known as an early withdrawal). The Internal Revenue Service (IRS) imposes a 10% early withdrawal penalty in an effort to deter investors from making early withdrawals from their retirement plans.
The premature distribution penalty requirements are not applicable to first-time homebuyers, educational expenditures, medical charges, or distributions from an IRA before the age of 59 that are paid in at least five substantially equal monthly installments under Rule 72(t) (SEPPs).
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Regarding real estate investments, risk that is associated with the type of property and its location, design, lease structure, and so on can be thought of as:Multiple ChoiceMarketability riskLiquidity riskBusiness riskInterest rate risk
The risk, when it comes to real estate investments, of the type of property, the lease structure, and the lease design, is called the C. Business risk
What is Business risk ?Business risk is the potential for a firm or organization to have lower earnings or failure. A business risk is anything that compromises a company's capacity to meet its financial objectives.
Business risk is the possibility that internal and external factors could combine to produce a situation where a corporation would no longer be viable.
The corporate environment beyond of management's control, including macroeconomic forces (like inflation, foreign exchange rates, or prevailing interest rates). Dangers unique to a given industry, such as regulatory risk, entry barriers, the potential for disruption, and other elements.
When it comes to real estate investment therefore, business risk would refer to things like property design, location, and lease structure.
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