Real Income must increase by 1.33 percent.
Real income is nominal income that has been adjusted for inflation. It represents a person's position in the context of purchasing items the standard of living. It has an impact on everyone's purchasing process.
The amount by which the money growth rate increases immediately adjusts nominal income growth. With the potential rate of output growth remaining constant, the long-run inflation rate will rise in tandem with the higher rate of money supply growth.
Real Income = Nominal Income/Price level
Real Income = 4/3
Real Income = 1.33
A one point three three percent increase in real income is required.
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why is allowance for doubtful accounts credited, instead of accounts receivable, when recording the adjusting entry for bad debts? multiple choice question. allowance for doubtful accounts is not credited; accounts receivable is credited when recording the adjusting entry for bad debts. allowance for doubtful accounts is credited because if accounts receivable were credited, the assets would be overstated. allowance for doubtful accounts is credited because if accounts receivable were credited, the assets would be understated. accounts receivable consists of many customer accounts and thus cannot be credited unless it is known which specific customer is not going to pay.
The allowance for doubtful accounts credited, instead of accounts receivable when recording the adjusting entry for bad debts Because accounts receivable is made up of numerous client accounts, it cannot be credited unless it is known which particular customer will not pay.
The provision for questionable accounts is referred to as a "counter asset" since it reduces the value of an asset, in this example, the accounts receivable. The compensation, often known as a doubtful account, is management's projection of the amount of accounts receivable that customers will not pay. Let's assume, using the aforementioned example, that on June 30 a business reports an accounts receivable debit balance of $1,000,000. The business predicts that $50,000 will not be converted into cash and expects some consumers won't be able to pay the full amount.
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if a firm uses a project-specific cost of capital for evaluating all projects, which situation(s) will likely occur?
A situation where the firm will accept projects with average risk will probably happen if it uses a project-specific cost of capital for all of its project evaluations.
Financially speaking, risk is the possibility that the results or returns on risk an investment will not match expectations. Risk encompasses the firm potential for losing a portion or the entirety of a starting investment.
Risk is typically quantified by taking into account past actions and results. A frequent statistic used to measure risk in finance is standard deviation. A measure of asset price volatility in relation to historical averages over a risk specific time period is provided by standard deviation.
Overall, managing investment risks is possible and wise if one is aware firm of the fundamentals of risk and how it is calculated. understanding the dangers that may be present in various situations.
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the cost-benefit-risk analysis is a set of practical procedures for guiding public expenditure decisions. used by the private sector to determine whether certain projects should be undertaken. difficult when benefits and costs are hard to evaluate. all of the above.
The cost-benefit-risk analysis is a set of practical procedures for guiding public expenditure decisions difficult when benefits and costs are hard to evaluate.
Comparing the anticipated or predicted costs and benefits (or opportunities) connected expenditure with a project choice in order to assess whether it makes sense from a business standpoint is known as a cost-benefit analysis. For instance: The cost to build a new product will be $100,000, and sales of $100,000 per unit are anticipated (unit price = 2). Therefore, 200,000 advantages are sold. The straightforward CBA calculation for this project is 200,000 in financial benefit minus 100,000 in cost, which results in a net benefit of 100,000.
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Suppose you are working with two factor portfolios, portfolio 1 and portfolio 2. The portfolios have expected returns of 15% and 6%, respectively. Based on this information, what would be the expected return on well-diversified portfolio A, if A has a beta of 0. 80 on the first factor and 0. 50 on the second factor? The risk-free rate is 3%
Using the CAPM multifactor model:
Expected return of the portfolio A = risk free rate Rf + beta 1 * ( expected return of portfolio 1 - risk free rate) + beta2* ( expected return of portfolio 2 - risk free rate)
= 3 + 0.8 * ( 15-3 ) + 0.5 * ( 6-3 )
= 14.1%
So, the expected return on well - diversified portfolio A is 14.1 %
What is CAPM multifactor model?
The Capital Asset Pricing Model (CAPM) describes the relationship between systematic risk, or the general perils of investing, and expected return for assets, particularly stocks.
It is a finance model that establishes a linear relationship between the required return on an investment and risk. The model is based on the relationship between an asset's beta, the risk-free rate (typically the Treasury bill rate), and the equity risk premium, or the expected return on the market minus the risk-free rate.
CAPM evolved as a way to measure this systematic risk. It is widely used throughout finance for pricing risky securities and generating expected returns for assets, given the risk of those assets and cost of capital.
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which promotional element refers to a two-way flow of communication between a buyer and a seller and is designed to influence the buyer's purchase decision? multiple choice question. advertising sales promotion personal selling public relations
The promotional element that refers to a two-way flow of communication between the buyer of a good and the seller, is called personal selling.
How does personal selling work?Personal selling is a promotional element that is designed to help influence a person's decision to purchase a good or service. It works by the seller directly communicating with the buyer to convince them to make a purchase.
This means that personal selling requires a two - way flow of communication between the seller and the buyer. The seller cannot be the only one communicating in the hopes of reaching out to several buyers, but instead talks to a buyer at a time.
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lark's company has been operating for several years, contracting with the government to create solar arrays. in a recent election, the administration changed and several contracts for solar arrays were canceled. lark has been meeting with his staff to figure out how to adapt to the lack of funds and keep the business going. this is an example of .
Lark has been meeting with his staff to figure out how to adapt to the lack of funds and keep the business going. This is an example of punctuated equilibrium.
A well-known theoretical paradigm for explaining fundamental modifications in organizational activity patterns is the punctuated equilibrium model of organizational transition. According to the punctuated equilibrium model of development, organizations undergo relatively lengthy periods of stability (equilibrium periods) in their core activity patterns, which are then interspersed with brief bursts of major changes (revolutionary periods).
The model of change with punctuated equilibrium is nonlinear. Origins of this model can be found in the 1980s and 1990s. In actuality, the model originated in the fields of biology and anthropology even though it is used to map organizational changes and business strategy.
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samantha manages the marketing department for a large company and has just hired a new employee to run the company's cooperative advertising program. the most appropriate way for samantha to advise staff members that a new employee will be joining their team is by
During the weekly departmental meeting is the most opportune time for Samantha to annoucement staff members that a new employee will be joining their team.
In a nutshell, what is an announcement?A statement given to the public or to the media that provides information about something that has occurred or will occur is known as an announcement. After speaking with the President, Sir Robert made his announcement. Neither administration has made a formal announcement.
What is a message of announcement?An announcement email is a promotional communication distributed to inform recipients of a new development, revision, or change within your company. They are employed to publicize things like: The launch of a new product. a launch of a limited quantity.
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in a period of rising prices, management of a company that reports under ifrs is least likely to attempt to influence analysts' opinions of its financial results by:
A company's assets, liabilities, and shareholder equity are all listed on a balance sheet, which is a financial statement. One of the three fundamental financial statements used to evaluate a company is the balance sheet.
As of the publication date, it provides a snapshot of a company's finances, including what it owns and owes.
Why is it necessary for countries' accounting standards to become more comparable?Standards that are more comparable have the potential to make global capital markets more efficient and cut costs for both those who use financial statements and those who prepare them.
What is a balance sheet used for?You can get a snapshot of your company's financial situation at any given time from a balance sheet. A balance sheet, like an income statement and a cash flow statement, can be used by business owners to look at how their company is doing financially.
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in the figures below, the first graph represents individual firms and the second the market as a whole. if there are 100 competitive firms of the size represented by ac1, how much does an individual competitive firm produce?
'in the figures below, the first graph represents individual firms and the second the market as a whole. if there are 100 competitive firms of the size represented by ac1, 1.1m an individual competitive firm produces.
It makes similar products at all sellers. There are many buyers and sellers, each small compared to the market as a whole, or many potential sellers.
A perfect competitor is a price taker. That is, you must accept the equilibrium price at which you sell your goods. A perfectly competitive company will not sell if it tries to exceed the market price even a little.
A competitive firm is one that (1) has many buyers and sellers in the market. (2) Products offered by different sellers are almost identical. (3) Firms are generally free to enter and exit the market. 2. Figure 2 shows the cost curve for a typical company.
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caroline company began operations in 2018. the company reported $128,000 of depreciation expense on its income statement in 2018 and $84,000 in 2019. on its tax returns, the company deducted $192,000 for depreciation in 2018 and $112,000 in 2019. the 2019 tax return shows taxes due of $132,000 based on a 25% tax rate. how much deferred tax liability will caroline report at the end of 2019?
The deferred tax liability of Caroline report at the end of 2019 is $23,000. Taxes that are due but won't be paid until a later time are recorded as a deferred tax liability on a company's balance sheet.
Define deferred tax liability.When there are brief discrepancies between book and tax accounting that result in either lower tax revenue or higher tax expense than book expense, the corporation will record a deferred tax obligation. For the purposes of financial reporting (bookkeeping), taxable income for an income tax return will be smaller in both scenarios than pre-tax income.
As a result, actual taxes paid will be less than the tax expenses recorded for the current reporting period's bookkeeping purposes. This disparity will soon reverse to zero because it is just transitory. Future tax payments will exceed the book income tax expense when it reverses. As a result, there is a deferred tax liability for accounting purposes in the present period.
Required
Temporary differences -
2018: $192,000 - $128,000 = $64,000;
2019: ($192,000 + $112,000) - ($128,000 + $84,000) = $92,000
Deferred tax liability -
2018: $64,000 x 25% = $16,000;
2019: $92,000 x 25% = $23,000
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which factor is least likely to add to the pressure for a firm to be locally responsive? multiple choice host-government demands differences in consumer tastes and preferences differences in infrastructure switching costs for consumers
Option d.) switching costs for consumers is the correct answer as consumer tastes and preferences, infrastructure, accepted business practices and distribution channels, and host government requirements create pressure on local capacity. At the very least, it could increase the pressure on companies to seek local responses.
Switching costs are the costs that consumers pay as a result of switching brands or products. Switching costs can be financial, psychological, effort-based, and time-based. Switching costs can be categorized into high switching costs and low switching costs.
To meet the pressure to go local, companies need to differentiate their products and marketing strategies by country to take into account these factors that tend to increase a company's cost structure.
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the most important concerns regarding the costs of fdi for the home (source) country generally center on:
The most important concerns regarding the costs of FDI for home-country center on balance-of-payments and the employment effects of outward FDI.
What is FDI?An entity with its headquarters in another nation makes an investment in another country in the form of controlling ownership stake in a company operating in first country. Consequently, a concept of direct control sets it apart from a foreign portfolio investment. The investment may be done "organically" by growing the operations of an existing business in the target nation, or "inorganically" by purchasing a company there. Neither method affects whether the investment qualifies as an FDI under the law. In a strict sense, foreign direct investment only refers to the construction of new facilities and a long-term management stake (10 percent or more of voting shares) in a company that operates in a different economy from the investor.
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if the real exchange rate for coal is 1.5, the price of coal in the united states is $50 per ton, and the price of coal in britain is 20 british pounds per ton, what is the nominal exchange rate? a. 5/3 or 1.67 pounds per dollar b. 4/15 or 2.67 pounds per dollar c. 3/5 or 0.6 pounds per dollar d. 15/4 or 3.75 pounds per dollar
The nominal exchange rate is 3/5 based on the information provided. Hence, the correct option is (c.) 3/5 or 0.6 pounds per dollar.
What is a nominal exchange rate?The nominal exchange rate, or the price of one currency in terms of another, is well known to most people. It is generally stated as the foreign currency's domestic price.
Given:
Real exchange rate=1.5
Price(United state)=$50 per ton
Price(Britain)=20 pounds per ton
Hence:
1.5 = Nominal Exchange rate ×50/20
Nominal Exchange rate = 1.5 × 20/50
Nominal Exchange rate = 30/50
Nominal Exchange rate = 3/5
In conclusion, the nominal exchange rate is 3/5 or 0.6 pounds per dollar.
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a company can increase its return on investment (roi) by . multiple select question. increasing sales increasing operating assets borrowing additional funds reducing operating expenses
A company can increase its return on investment (roi) by increasing sales
and reducing operating expenses. Hence, B and C are the correct answers.
Return on investment, also referred to as return on costs, is the ratio of net income to investments. If the ROI is high, the investment's benefits outweigh its costs. ROI is used as a performance metric to assess an investment's effectiveness or to compare the effectiveness of multiple distinct investments.
ROI gauges how much a return on investment compares to the cost of the investment. It is a baseline for developing future marketing plans and is utilised as part of analytics.
The most popular is ROI, which is calculated as
ROI = Net income %Cost of Investment X 100.
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chinese automaker, geely, acquired volvo from ford, because it mostly needed the volvo to compete on the global stage.
Chinese automaker, Greely, acquired Volvo from Ford, because it mostly needed the Volvo core competencies to compete on the global stage.
Which of the following accounts for failed mergers and acquisitions?Acquisitions and mergers are frequently time- and money-consuming. The high recovery costs are one of the primary causes of their failure. Successfully integrating two firms can frequently be challenging. As a result, the new business may need to invest in new systems and procedures, which could result in substantial recovery costs.
What dangers do vertical integration pose, excluding those listed below?Vertical integration carries all of the following hazards, WITH THE EXCEPTION of: a lack of command over important resources.
Is the purchase of another company through a stock purchase made with cash or with issuing debt?Acquisitions: When one company purchases another, it may do it with cash, stock, or debt. Mergers are when two businesses combine or consolidate to form a new legal entity.
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10. a fedex sorting machine that cost $10,000 with a usual life of five years and a residual value of $2,000 was purchased on january 1. what is straight-line depreciation for each year?
When a fedex sort machine which cost $10,000 with a normal lifestyle of 5 years and a remaining balance of $2,000 was bought on January 1st, there was a $1,600 straight-line depreciation for every year.
What is the purchased Meaning?bought; purchasing. to get by the payment of money or its equivalent: transitive verb buy. : to attain (real estate) through methods apart from descent. : through toil, peril, or sacrifice.
What is purchased in account?"Actually bought on account" is a term that refers to any lending purchases. In order to improve payables, a business that pays other organization money for delivered goods or services will record the entire sum as a credit entry. The outstanding sum will remain in existence until the owing party receives complete payment.
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according to the dual cycle identity model, the formation cycle of identity development includes which of the following?
According to the dual-cycle model, self-identity is a construct made up of five dimensions: commitment making, identification with commitment, investigation in breadth and depth, and ruminative exploration.
What is the dual cycle identity model?Two identity formation processes (exploration in breadth and commitment making) and two assessment processes make up the dual-cycle model developed by Luyckx et al (exploration in depth and identification with commitment). In other words, decisions are made after exploring various life areas.
The establishment of identity commitments, which represent decisions taken in identity-relevant areas, is the primary emphasis of the first cycle. This cycle includes both the broad investigation and commitment-making stages. In a dual cycle, fuel injection begins just as the piston approaches TDC. Due to its lower cut-off ratio than the diesel cycle, the dual cycle will be more efficient than the diesel cycle at the same compression ratio.
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What type of market competition is described in the following passage?
Local power plants are typically the sole providers of electricity in their communities, and thus have significant control over output and prices. This market structure is an example of a(n) ______
Since they are frequently the only sources of electricity in their localities, local power plants have a large amount of control over output and costs. This type of market arrangement is a monopoly.
What is Monopoly?
A scenario known as a monopoly occurs when one company or individual controls the supply of a good or service. A mopolisitic market structure results from the circumstances.
As the name suggests, a monopolistic market is one where one corporation dominates the whole industry. In other words, there is simply one business that caters to the general population.
Due to the company's status as the sole provider, it is able to increase prices, limit output, and make above-average profits.
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jane makes 1000 items a day. each day she spends 8 hours producing those items. if hired elsewhere she could have earned $250 an hour. the item sells for $15 each. production occurs seven days a week. if the explicit costs total $150,000 per month, what is her accounting profit?
If the explicit costs total $150,000 per month, the accounting profit is $300,000
Revenue equals 1000 items per day $15/item30days = $450,000.
Explicit costs are given as $150,000.
Therefore, accounting profit = $450,000-$150,000 = $300,000
What is Revenue?Yield is a term used to describe the profits made and realised on an investment over a specific time frame. Based on the amount invested, the security's current market value, or its face value, it is expressed as a percentage. Yield is made up of the interest or dividends that come with holding a specific security.
Revenue is the total amount of money made from the sale of products or services related to a business's core operations. Because it appears at the top of the income statement, revenue, also known as gross sales, is frequently called the "top line."
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as spending increases, there will be upward pressure on the price of inputs including wages. as the cost of production rises, businesses start to increase prices as they attempt to produce more. this scenario best describes .
The scenario best describes Movement along the aggregate supply curve.
The movement of the supply curve is mostly caused by price. Businesses report better earnings as price levels rise in the short term. Their overall productivity level rises as a result. Production decreases as a result of losses caused by falling price levels. The aggregate demand curve will change as a result of price and other elements affecting the level of expenditure by consumers, governments, businesses, and foreigners.
Consumption is more likely to increase when consumers are more confident about avoiding unemployment, which moves the aggregate demand curve to the right. However, when consumers are unconfident, they spend less, which causes the AD curve to move to the left.
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based on what you have learned and your own research can you provide examples of completion in the education market?
Geographic location also plays a role in competition. Schools in good areas will have more students or more wealthy students because parents prefer their children to study in their neighborhood.
In geography, location or place refer to a region on the Earth's surface or beyond. The term location often suggests a higher degree of certainty than place, the latter often signifying an entity with an uncertain boundary, relying more on human or social aspects of place identity and sense of place than on geometry. A locality, settlement, or populated location is likely to have a well-defined name, but a boundary that is not well defined fluctuates depending on context. London, for example, has a legal limit, but this is unlikely to be totally consistent with common usage. An area within a town, such as Covent Garden in London, nearly always contains some ambiguity regarding its extent.
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your client owns a portfolio of blue-chip equity securities and would like to reduce his risk of a market downfall through the use of options. the most effective way to achieve this objective is to:
Writing covered calls is the investor's most conservative approach to achieving his goal.
How do you write a covered call?You sell someone else the right to buy a stock that you already own, at a set price, within a given time frame when you write a covered call. To use this technique, you must own at least 100 shares for each call contract you intend to sell because one option contract typically equals 100 shares. The investor's most cautious strategy for accomplishing his objective is to write covered calls. His stock portfolio's yield will increase as a result of the call premium he receives because it will increase the amount of money the stock's dividends bring in. Although a covered call is frequently thought of as a low-risk options strategy, this isn't always the case. Despite the fact that the writer has limited the option's danger
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the supply of a good will be more elastic, the a. more the good is considered a luxury. b. broader is the definition of the market for the good. c. larger the number of close substitutes for the good. d. longer the time period being considered.
The correct answer is Option D.
The longer the time period under consideration, the more elastic the supply of a good will be.
What is supply of goods ?The following are included in a supply of goods: the agreement-based transfer of property rights over things. the commission-based sale of tangible things because of an auctioneer or dealer acting under his and her own name but following another person's instructions. delivery of items under a hire-purchase agreement.In general, supply refers to the complete amount of goods and services that such a producer is ready to provide at a specific price and location.Even as a profession, selling products or services counts as a supply under the GST. Therefore, the sale would represent supply even if a well-known politician created paintings for charities and sold them, even once.To learn more about supply of goods refer to :
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discuss and name two actual standards numbers/descriptions required for the auto industry supply chain
Two actual standard numbers required for the auto industry supply chain are IATF 16949 and AEC-Q100.
Manufacturers must adhere to strict industry standards throughout the production and testing processes in order for a component to be certified for use in automobiles. IATF 16949, AEC-Q100, and AEC-Q200 are three important standards. The quality management system benchmark for the entire automotive industry.
The IATF 16949-certified facilities are typically expected to manufacture, assemble, and test parts for the automotive industry. The standard tests for active components, such as switches and power amplifiers, are defined by AEC-Q100.
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abc bank is a commercial bank with a 20% reserve requirement and no excess reserves. citizens deposit $80,000 in the bank. a) what is the maximum amount that abc can lend out after the new $80,000 deposit? b) what is the money multiplier for this system? c) how much does the total money supply eventually increase if abc bank makes the loan referenced in part b
The highest loan amount that ABC Bank, a commercial bank with a 20% reserve requirement and no surplus reserves, can make is $64,000 following the new $80,000 deposit. People put $80,000 in the bank.
Money held in a bank is referred to as a deposit in the financial industry. When money is transferred to another party for safekeeping, the deposit transaction is known as a deposit. A part of money, however, that is used as security or collateral for the delivery of a good is referred to as a deposit.
There are two distinct definitions of a deposit. In one type of deposit, money is given to someone else to keep safe. By this definition, a Bank deposit is any cash that an investor deposits into a savings or checking account with a bank or credit union.
In this case, the deposited funds remain the property of the individual or organization who made the deposit, and they are always free to take them out again.
a)
Required Reserve ratio =20%
New deposit of $80,000 made hence 20% of 80,000 will go to maintain reserve therefore amount left for lending is (1-0.2)(80000=$64,000
B)
Money Multiplier =1/reserve ratio=1/0.2=5
C)
When Bank makes loan Money supply increases by $64000*5=$320,000
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What of the following is a way to help an individual pay lower interest rates on future loans?.
Inquire with your lender about any fees associated with making extra payments. Making additional payments now will also provide you with a buffer if interest rates increase in the future.
What are the three most important factors in obtaining a lower interest rate?
There are three factors that influence your interest rate.
Credit rating. Your credit score is a three-digit number that carries the most weight when determining your personal creditworthiness.Loan-to-value (LTV) ratio.Debt-to-incomeReal interest rates are fundamentally determined by the degree of saving and fixed investment in the economy. All else being equal, if saving increases as well as fixed investment decreases, the real interest rate falls; if saving decreases or fixed investment increases, the real interest rate rises.
Therefore, any extra money you put in during that time period will reduce the amount of interest you pay but also shorten the term of your loan.
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a proposed new investment has projected sales of $645,000. variable costs are 40 percent of sales, and fixed costs are $168,000; depreciation is $83,000. prepare a pro forma income statement assuming a tax rate of 21 percent. what is the projected operating cash flow of the project?
According to the given information, the projected operating cash flow of the project is $107,440
Net Income = (Revenues - Expenses - Depreciation - Interest) x (1 - Tax
Rate)
Net Income = (645,000 -(645,000 ×0.40) - 168,000 - 83,000) x (1 - 0.21)
Net Income = $107,440
Operating cash flow is a measure of the financial impact of a company's net income (NI) from its core operations. On the cash flow statement, the first section is titled operating cash flow, also known as cash flow from operating activities.The focus of operating cash flows is on cash inflows and outflows associated with a company's primary business operations, such as buying and selling inventory, offering services, and paying salaries. Borrowing, investing, financing, purchasing capital goods, and paying dividends are all excluded from the operating cash flows section and reported separately. On a company's statement of cash flows, which is segmented into cash flows from operations, investing, and financing, operating cash flow can be found.Learn more about Operating cash flow, here
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on may 1, a two-year insurance policy was purchased for $50,400 with coverage to begin immediately. what is the amount of insurance expense that would appear on the company's income statement for the first year ended december 31?
Amount of insurance expense that would appear on the company's income statement for the first year ended December 31 = 50,400 x 8/24 = $16,800.
Insurance is a form of financial loss protection in which, in exchange for a fee, one party undertakes to compensate another party in the case of a certain loss, damage, or injury. It is a type of risk management that is generally used to protect against the risk of a contingent or uncertain loss. An insurer, insurance business, insurance carrier, or underwriter is a company that sells insurance. A policyholder is a person or entity who purchases insurance, while an insured is a person or entity who is covered by the policy.
Policyholder and insured are frequently used interchangeably, although they are not synonymous, as coverage can sometimes extend to extra insureds who did not purchase the insurance.
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aloha, inc., has 8 percent coupon bonds on the market that have 5 years left to maturity. if the ytm on these bonds is 10.12 percent, what is the current bond price?
The current bond price is N 5 x 2, I 10.12 / 2, PMT 40, FV 1000..... PV 918.39 having 8 percent coupon bonds on the market that have 5 years left to maturity.
What is bond price and what is the current bond price of aloha inc having 8 percent coupon bonds on the market?When a person willing to make a bond and a bond is made then the person needs to pay some amount for the bond.The price paid by the investors for the bond is what we call bond price and is expressed in terms of face value.Here the question is asked of if ytm on these bonds is 10.12 percent then what would be the current bond price.The answer would be the current bond price is N 5 x 2, I 10.12 / 2, PMT 40, FV 1000..... PV 918.39 having 8 percent coupon bonds on the market that have 5 years left to maturity.There is a specific way investors and the financial bond makers use to make bonds and for that is needed face value, ytm that is yield to maturity and number of periods till maturity.To know more about market visit:
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which is not an seo puzzle? group of answer choices extreme seo market cycles long-run underperformance negative market reaction on average upon seo announcements very costly to hire underwriters
It's best to choose option (B). Long-term performance issues are not an SEO conundrum.
Does SEO have a long-term outlook?The SEO (search engine optimization) procedure is a long-term investment because it takes time for any great investment to mature. If your business is spending money on traditional marketing initiatives, it is crucial to spend money on SEO and online advertising as well.
Which SEO strategy is the most effective over the long haul?Aligning your website's objectives with those of search engines is the greatest long-term SEO approach. Search engines strive to give users the best possible experience. Your website will be ranked first if it offers the best solution for the term.
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