Select a topic under International Trade Finance and present a
term paper. TOPIC=methods of payment 10 pages

Answers

Answer 1

methods of payment are an important aspect of international trade finance. The choice of payment method depends on various factors, including the level of trust between the parties, the risk of non-payment, and the cost of the transaction.

International trade finance refers to the process of financing and protecting international trade transactions. It involves the use of financial instruments, currencies, and payment methods to facilitate cross-border transactions. Methods of payment are an essential component of international trade finance. They refer to the means of settling financial obligations between importers and exporters in cross-border transactions. The choice of payment method depends on various factors such as the level of trust between the parties, the risk of non-payment, and the cost of the transaction. This term paper focuses on the different methods of payment used in international trade finance.
The first method of payment is cash in advance. This method involves the importer making full payment for the goods before shipment. This method is suitable for transactions where the importer has a high level of trust in the exporter and the risk of non-payment is low. However, it may not be ideal for transactions involving large amounts of money as it requires the importer to have sufficient cash flow.
The second method is open account. This method involves the exporter shipping the goods and allowing the importer to pay at a later date. This method is suitable for transactions between parties with a long-standing business relationship and a high level of trust. However, it exposes the exporter to the risk of non-payment.
The third method is documentary collection. This method involves the use of banks to facilitate the transaction. The exporter ships the goods and sends the shipping documents to their bank, which then forwards them to the importer's bank. The importer's bank releases the shipping documents to the importer on payment of the invoice. This method is suitable for transactions between parties with a moderate level of trust and is less risky than open account.
The fourth method is letters of credit. This method involves the use of a bank to guarantee payment to the exporter. The importer's bank issues a letter of credit to the exporter, which guarantees payment on presentation of the shipping documents. This method is suitable for transactions between parties with a low level of trust and is the least risky of all the methods.

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Related Questions

For 14 years, Janet saved $450 at the beginning of every month in a fund that earned 3.25% compounded annually.
a. What was the balance in the fund at the end of the period?
b. What was the amount of interest earned over the period?

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The balance in the fund at the end of the 14-year period is approximately $10,466.94, and the amount of interest earned over the period is approximately $2,633.06.

To calculate the balance in the fund at the end of the period and the amount of interest earned, we can use the formula for the future value of a series of periodic payments:

FV = PMT * ((1 + r)^n - 1) / r

Where:

FV = Future value (balance at the end of the period)

PMT = Monthly payment

r = Annual interest rate (compounded annually) divided by 12 to get the monthly rate

n = Total number of payments (number of years multiplied by 12)

Let's plug in the given values:

PMT = $450

Annual interest rate = 3.25%

Monthly interest rate = 3.25% / 12 = 0.27083%

Number of payments = 14 years * 12 = 168

Now, we can calculate the balance in the fund at the end of the period:

FV = $450 * ((1 + 0.0027083)^168 - 1) / 0.0027083

Using a financial calculator or spreadsheet software, the balance in the fund at the end of the period is approximately $10,466.94.

To calculate the amount of interest earned over the period, we subtract the total amount saved from the balance:

Interest = (PMT * n) - FV

Interest = ($450 * 168) - $10,466.94

The amount of interest earned over the period is approximately $2,633.06.

Therefore, the balance in the fund at the end of the 14-year period is approximately $10,466.94, and the amount of interest earned over the period is approximately $2,633.06.

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The
Shasta Company stock could experience the following percentage
returns: 30% with probability 0.20 , 17% with probability 0.30, and
-24% with probability 0.50. What is the expected rate of retun fo

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The expected rate of return for Shasta Company stock is 2.1%. This means that, on average, investors can anticipate a return of 2.1% on their investment in Shasta Company stock.

To calculate the expected rate of return for Shasta Company stock, we need to multiply each possible return by its corresponding probability and sum them up.

Let's denote the returns as follows:

Return 1: 30%

Return 2: 17%

Return 3: -24%

And the probabilities:

Probability 1: 0.20

Probability 2: 0.30

Probability 3: 0.50

Now we can calculate the expected rate of return:

Expected Rate of Return = (Return 1 * Probability 1) + (Return 2 * Probability 2) + (Return 3 * Probability 3)

Expected Rate of Return = (0.30 * 0.20) + (0.17 * 0.30) + (-0.24 * 0.50)

Expected Rate of Return = 0.06 + 0.051 + (-0.12)

Expected Rate of Return = 0.021

Therefore, the expected rate of return for Shasta Company stock is 2.1%.

The expected rate of return is a measure of the anticipated average return on an investment based on its probabilities and potential returns. In this case, we have three possible returns with their respective probabilities. By multiplying each return by its probability and summing them up, we can find the expected rate of return.

It's important to note that expected returns are based on probabilities and may not necessarily represent the actual return realized in the future. Investors should consider other factors and perform further analysis before making investment decisions.

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Please in your own words! answer this question!:
Is it necessary for teams to have a leader, why or why
not?

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Yes, it is necessary for teams to have a leader. This is because a team without a leader would be like a ship without a captain. Every successful team needs someone to guide them, coordinate their efforts, and motivate them to work towards achieving a common goal.

The leader is responsible for setting the direction, defining objectives, and making key decisions that would help the team achieve success. In addition, the leader provides the team with a sense of purpose and direction, and helps them stay focused and on track.

They ensure that everyone is working towards the same goals, and that everyone is working together effectively.

The leader is also responsible for ensuring that everyone is aware of their roles and responsibilities, and for holding team members accountable when necessary. This helps to prevent confusion and conflict within the team and ensures that everyone is pulling in the same direction.

Overall, having a leader is essential for a team to function efficiently and achieve success.

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The Dahia Medical Center has 35 labor rooms, 20 combination tabor and delivery rooms, and delivery rooms. Al of the facts and the clock Test nortons is from today with an average of about a day. The average uncomplicated delivery is about one hour in the delivery room. The average time in a combination blivery room is about 4 hours During an exceptionally busy three-day period, thy babies were bom at Daria Medical Center. 50 babies were bom separate box and women were bom in combined and rooms. Which of the facilities (labor roomra, combination or and delivery rooms, or delivery rooms) ad the greatest izationale? The had the highest on rate of Enter your response as a percent rounded to decimal places combination labor and delivery rooms labor rooms delivery rooms A process currently services an average of 63 customers per day Observations in recent works show that is ons about to pero wow fox at 10 percentation and is no be 75 percent of the current level in five years and management want to have a city cushion of just percent while should be plan? The readed capacity requirement is customers per day (Enter your response rounded up to the rest whole number An are company must plante capacity and its long term schedule of age For one fight gent, the number of customers per day is 70, which pro the equipment assigned to the flight grent demand is expected to increase to customers to get inte att anger dooms that a capacity Cushion of 15 percent is appropriate The needed capacity requirement customers per day. (Enter your response rounded up to the rest whole number)

Answers

The process currently servicing 63 customers per day is expected to decrease to 10 percent of its current level in five years. To plan for this, management wants to have a capacity cushion of just 15 percent. The needed capacity requirement, rounded up to the nearest whole number, is 8 customers per day.

In the context of the given information, "customers" refers to individuals who are being served or utilizing the services of a particular facility or business. It could represent patients visiting a medical center, individuals receiving service from a company, or any other entity that benefits from or interacts with a specific business or service provider. The term "customers" generally refers to the recipients or consumers of goods or services.

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A homeowner takes out a $387,000, 30-year fixed-rate mortgage at a rate of 5.35 percent. What are the monthly mortgage payments? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

The homeowner's monthly mortgage payment is $2,172.60.

To calculate the monthly mortgage payments, we can use the formula for a fixed-rate mortgage payment:

M = P * (r * (1+r)^n) / ((1+r)^n - 1)

Where:

M = Monthly mortgage payment

P = Principal amount (loan amount)

r = Monthly interest rate (annual rate divided by 12)

n = Total number of monthly payments (number of years multiplied by 12)

In this case, the principal amount is $387,000, the annual interest rate is 5.35 percent, and the loan term is 30 years.

First, we need to convert the annual interest rate to a monthly rate:

Monthly interest rate = (5.35 / 100) / 12 = 0.00445833

Next, we calculate the total number of monthly payments:

Total number of payments = 30 years * 12 months/year = 360

Finally, we can plug these values into the mortgage payment formula:

M = 387,000 * (0.00445833 * (1+0.00445833)^360) / ((1+0.00445833)^360 - 1)

Calculating this equation, we find that the monthly mortgage payment is approximately $2,172.60.

Therefore, the homeowner's monthly mortgage payment is $2,172.60.

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discuss the various duties, responsibilities, and liabilities of the Principal-Agent (employer -employee) relationship as outlined

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The principal-agent relationship refers to a legal relationship in which one person is legally empowered to act on behalf of another.

The person granting the authority is known as the principal, while the person who is authorized to act is referred to as the agent. An example of this relationship is the employer-employee relationship. The employer, or principal, delegates certain responsibilities and duties to the employee, or agent. The principal-agent relationship refers to a legal relationship in which one person is legally empowered to act on behalf of another. Here are the various duties, responsibilities, and liabilities of the Principal-Agent (employer -employee) relationship as outlined: Duties of the Principal: Provide proper guidance to the agent regarding the job Monitor the agent's performance Provide compensation to the agent Provide a safe working environment for the agent Duties of the Agent: Be loyal to the principal and act in their best interests Perform assigned duties to the best of their abilities Maintain the confidentiality of the principal's affairs Avoid conflicts of interest Liabilities of the Principal: In case the agent makes any mistakes or errors while carrying out his job, the principal can be held liable for them. If the principal fails to provide adequate resources or fails to address any issues raised by the agent, the principal can be held liable. Liabilities of the Agent: If the agent acts against the principal's best interests, he/she can be held liable for any losses or damages caused. If the agent fails to fulfill his/her duties or acts negligently, he/she can be held liable for any losses or damages caused.

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deming suggested that organizations could improve quality if they acted on the basis of hard data. the process used to do this has become known as the pdca cycle. this activity is important because managers' knowledge of these steps can enhance their ability to enact total quality management (tqm) in their organizations in the interest of continuous improvement. the goal of this activity is to challenge your knowledge of the pdca cycle. match each description with the corresponding stage of the pdca cycle.

Answers

The PDCA cycle, also known as the Plan-Do-Check-Act cycle or Deming cycle, is a four-step model used for continuous quality improvement.

The stages of the PDCA cycle are as follows:

Plan: The initial stage of the PDCA cycle involves identifying a problem or opportunity for improvement and developing a plan to address it. This stage includes setting objectives, collecting relevant data, and analyzing the data to determine the necessary changes.

Do: In the Do stage, the plan developed in the previous step is executed. The changes identified in the plan are implemented, and the process or system is put into action. During this stage, data is collected to monitor the results of the changes.

Check: The Check stage focuses on reviewing and evaluating the results obtained from the Do stage. Data is analyzed to determine if the implemented changes have achieved the desired objectives. This stage helps in assessing the effectiveness of the changes and identifying any deviations or areas that require further improvement.

Act: The Act stage involves taking appropriate actions based on the results obtained in the Check stage. If the changes have been successful in meeting the objectives, they are standardized and adopted as the new standard practice. If the objectives have not been met, the PDCA cycle is repeated, starting with the Plan stage, to identify and implement further improvements.

Overall, the PDCA cycle promotes a systematic approach to continuous improvement by emphasizing the importance of planning, implementing, evaluating, and acting upon data-driven changes. This iterative process helps organizations enhance their quality management efforts and achieve continuous improvement in their operations.

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: One distributor lists ink-jet printers with 360 dpi and six scalable fonts that can print envelopes, labels, and transparencies for $180.33 with a trade discount series of 10/10/20. Another distributor lists the same brand and model printer at $223 with a trade discount series of 10/20/20 Which is the better deal if all other aspects of the deal, such as shipping, time of availability, and warranty are the same or equivalent? Which is the better deal? O The second deal-$223 with the 10/20/20 discount series The first deal-$180.33 with the 10/10/20 discount series A man is an accounts payable officer for his company and must calculate cash discounts before paying invoices. He is paying bills on June 15 and has an invoice dated June 9 with terms 2/10, n/30. If the net price of the invoice is $1.296.45, how much of a cash discount can the man take? CTED The cash discount the man can take is S (Simplify your answer. Round to the nearest cent as needed)

Answers

Given that a distributor lists ink-jet printers with 360 dpi and six scalable fonts that can print envelopes, labels, and transparencies for $180.33 with a trade discount series of 10/10/20, whereas another distributor lists the same brand and model printer at $223 with a trade discount series of 10/20/20.

Both deals are to be compared with each other to determine which is better.The first deal provides a 10% discount for the first 10 days followed by 10% for the next 10 days and 20% for the next 20 days. Thus, the cash price the buyer has to pay is:Cash price = List price - Trade discount= $180.33 - 10% × $180.33 - 10% × $180.33 - 20% × $180.33= $180.33 - $18.03 - $18.03 - $36.06= $108.21

The second deal provides a 10% discount for the first 20 days followed by 20% for the next 20 days. Thus, the cash price the buyer has to pay is: Cash price = List price - Trade discount= $223 - 10% × $223 - 20% × $223= $223 - $22.3 - $44.6= $156.10Therefore, the second deal with $156.10 is a better deal as compared to the first deal with $108.21.

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Please watch the video "stand by me- playing for change- song around the world" on you tube then answer the following questions
1. How does the video relate to Intercultural Communications?
2. How is music a form of communication?

Answers

1.The video is about hope and friendship through music, which relates to Intercultural Communication because music transcends language.

2. A lot is communicated with just sound, percussive rhythms tell stories, chord progressions invoke moods and lyrical song lyrics can evoke memories or feelings long after they're forgotten by their author or composer.

1) Music is a universal language that can be used to unite people from different cultures and parts of the world together, as shown in this video with all the different people playing different instruments together. It's also a form of communication because it tells an emotional story without using words.

Music is fundamental to human expression and thought: how we speak, how we make love, how we think. My hope is that people will start to take pleasure from living their lives more creatively. Express yourself through your music. Make every day a musical experience.

2) The carpe diem beat of drums and the primal instinct of rhythm in all human beings, the music of the body, of heartbeats and footsteps, persists today as a form of communication within our modern society.

In the 1960s, pop was arguably the most important medium through which international communication was achieved

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Boots Roofing just paid its annual dividend of $.90 a share. The firm recently announced that all future dividends will be increased by 3.5 percent annually. What is one share of this stock worth to you if you require a 12 percent rate of return? a. $10.30 b. $10.35 c. $10.59 d. $10.78 e. $10.96 To whoever answers this can you please write down the calculator inputs please? I'd like to be able to do these on my own and giving me the answer alone doesn't help me. Thank you.

Answers

To calculate the present value of the stock using a financial calculator, you can follow these steps:

Input the required rate of return: 12% or 0.12 as the interest rate.

Input the initial dividend payment: $0.90 as the cash flow.

Input the dividend growth rate: 3.5% or 0.035 as the growth rate.

Using these inputs, you can calculate the present value of the stock. The correct option will be the one that matches the calculated present value.

Using the formula for the present value of a growing perpetuity, the calculation can be done as follows:

PV = D0 / (r - g)

Where:

PV = Present value of the stock

D0 = Initial dividend payment

r = Required rate of return

g = Dividend growth rate

Calculating the present value:

PV = $0.90 / (0.12 - 0.035)

PV ≈ $10.96

Therefore, the correct answer is e) $10.96.

Keep in mind that financial calculators may vary slightly in their inputs and functions, so it's best to refer to your specific calculator's user manual for accurate instructions.

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Paper money (bank notes) issued by state chartered banks A. was a liability of the bank; B. was convertible into gold or silver on demand; C. was backed by the federal government; D. Both A and B are correct. 56. After the demise of the Second Bank of the United states A. we see a period of inflation fueled be specie inflows; B. the Third Bank of the United States is chartered; C. we enter a period of financial crisis in 1837 and again in 1839; D. Both A and C are correct.

Answers

This caused great financial chaos and resulted in a financial crisis in 1837 and again in 1839. So, the correct option is D. Both A and C are correct. Thus, we see that the correct answer is D.

Paper money (bank notes) issued by state-chartered banks was a liability of the bank and was convertible into gold or silver on demand. The correct option is D. Both A and B are correct. It was the era when each bank used to print its currency, which had different values and was not accepted by other states. It was during this period that the term "Wildcat Banking" was coined. After the Second Bank of the United States' demise, there was a period of inflation fueled by specie inflows. This caused great financial chaos and resulted in a financial crisis in 1837 and again in 1839. So, the correct option is D. Both A and C are correct. Thus, we see that the correct answer is D.

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A marketing dashboard is live view of the people and activities vital to the corporation. Select one: O True O False

Answers

False. A marketing dashboard is live view of the people and activities vital to the corporation.

A marketing dashboard is a visual representation of key marketing metrics and data that provides an overview of marketing performance and effectiveness. It typically includes various metrics such as website traffic, leads generated, conversion rates, social media engagement, and campaign performance. The purpose of a marketing dashboard is to provide marketers and decision-makers with real-time or near real-time insights into marketing activities, enabling them to track progress, identify trends, and make data-driven decisions.

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In no more than 2000 words Review progress of sustainable goals in any PICs. What are the roles of regional agencies in managing climate related challenges for the region?

Answers

As climate change continues to be a global issue, it has become increasingly evident that Pacific Island Countries (PICs) are particularly vulnerable. With a limited amount of natural resources and a reliance on these resources for economic development, the livelihoods of people in these countries are being threatened.

However, the region has made a significant amount of progress in sustainable development. In this answer, we will review the progress of sustainable goals in PICs and the roles of regional agencies in managing climate-related challenges for the region. In response, the Pacific region has adopted sustainable development goals, which are aimed at promoting sustainable economic growth, social development, and environmental protection.

These goals aim to increase economic growth and promote social development, while at the same time ensuring that the region's natural resources are preserved for future generations.The Pacific region has made significant progress in sustainable development in the past few years. For instance, many countries in the region have implemented renewable energy projects.

Finally, the Pacific region has also received support from a range of international development partners. International organizations, such as the United Nations Development Programme (UNDP) and the World Bank, have provided funding and technical support for a range of sustainable development initiatives in the region.

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How does Disney effectively communicate and convey their messages to their stakeholders according to or using the following:
1) public Information Model
2) Two-Way Asymmetric PR Model
3) Two-way Symmetric Model

Answers

Walt Disney Company has employed different Public Relations models for communicating and conveying messages to its stakeholders.

What are the models?

Let's discuss each of the models the company has employed:

1. Public Information Model.

Under the Public Information Model, the Walt Disney Company utilizes its Public Relations department to disseminate information to the stakeholders. The goal of this model is to ensure that accurate and reliable information is provided to stakeholders as quickly as possible. The company produces press releases, social media updates, and news releases to keep stakeholders informed of upcoming events, product releases, and changes in the company's operations.

2. Two-Way Asymmetric PR Model-

Disny utilizes this model to influence its stakeholders. The company's goal is to make the stakeholders feel good about the company's actions, even if they are not in the stakeholders' best interests.

To do this, Disney tries to understand what the stakeholders want and need, and then designs its communication messages to address those needs and wants.

The company also uses different PR techniques, such as opinion polls and focus groups, to gauge the stakeholders' attitudes and opinions.

3. Two-way Symmetric Model-

Under the Two-way Symmetric Model, Disney's goal is to have a dialogue with the stakeholders, listen to their needs and wants, and then address those needs and wants in its communication messages. The company uses feedback from stakeholders to shape its communication messages.

This model also allows the company to build trust with its stakeholders and create long-lasting relationships based on mutual respect and understanding. The Two-way Symmetric Model is the most effective PR model since it prioritizes feedback from the stakeholders.

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Suppose that "widgets" are produced using capital (K) and labor (L) according to the production function, Q-SK2+5L³. Given this production function, consider the following statements. I. Capital and labor are perfect substitutes. II. The MRTS (of L for K)- 10K/15 L2. O a. I is true but II is false. O b.I is false but it is true. Oc. Both I and II are true. O d. Neither I nor II is true

Answers

(b) I is false but II is true.

Statement I: Capital and labor are perfect substitutes. This statement is false. In the given production function, Q = K^2 + 5L^3, the exponents of capital (K) and labor (L) are different. This indicates that the production function exhibits decreasing marginal rate of technical substitution (MRTS) between capital and labor. In other words, the more capital is already being used, the larger the increase in labor needed to produce an additional unit of output.

Statement II: The MRTS (of L for K) is 10K/15L^2. This statement is true. The MRTS represents the rate at which capital (K) can be substituted for labor (L) while keeping output (Q) constant. In the given production function, the MRTS is derived by taking the partial derivative of the production function with respect to K and dividing it by the partial derivative with respect to L. The resulting MRTS expression, 10K/15L^2, demonstrates the diminishing rate at which capital can be substituted for labor in the production process.

Therefore, the correct answer is that statement I is false but statement II is true.

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Brian deposited $9000 into a savings account for which interest is compounded monthly at a rate of 2.36%. How much interest will he earn after 11 years?
Which formula would you use to solve this problem?
o I=Prt
o A-P
o A=P(1+r/n)^nt

Answers

The formula that would be used to solve this problem is A = P(1 + r/n)^nt.The amount of interest Brian will earn after 11 years is  $2,596.50

The cost associated with borrowing money is expressed in terms of interest. While the interest rate used to compute interest is often reported as an annual percentage rate(s), interest expense or revenue is frequently expressed as a dollar figure.where A is the amount after n years including interest, P is the principal amount, r is the annual interest rate, n is the number of times that interest is compounded per year, and t is the number of years. Brian deposited $9000 into a savings account for which interest is compounded monthly at a rate of 2.36%. To find the interest he will earn after 11 years, we will substitute the values given into the formula: A = P(1 + r/n)^ntA = 9000(1 + 0.0236/12)^(12 x 11)A = 9000(1 + 0.001967)^132A = 9000(1.001967)^132A = 9000 x 1.2885A = $11,596.50Therefore, the amount of interest Brian will earn after 11 years is $11,596.50 - $9,000 = $2,596.50. The answer is $2,596.50.

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What business-level strategy should Tata Starbucks pursue?

Answers

Tata Starbucks should pursue a differentiation business-level strategy to attain and maintain its competitive advantage over its competitors in the Indian market. This strategy should seek to make Tata Starbucks products and services unique to its customers in comparison to the other market players.

A differentiation strategy enables a company to offer unique and superior quality products and services, which are different from those of its competitors. This approach allows a company to charge premium prices for its products and earn higher profit margins. Tata Starbucks should focus on developing unique products and services by offering premium-quality coffee, superior customer service, and an overall enhanced Starbucks experience to its customers.

Tata Starbucks should work on incorporating Indian flavours and culture into its products and services to make it more attractive and unique to the Indian customers. In addition, Tata Starbucks should leverage technology by adopting digital payment systems and other innovative technologies to enhance customer experiences.

To implement this strategy, Tata Starbucks should invest in research and development to develop and test new products that can differentiate it from its competitors. The company should invest in employee training and development to improve the quality of customer service offered. It should also invest in marketing and advertising campaigns that emphasize the company's unique products and services to attract new customers and retain its existing ones.

In conclusion, Tata Starbucks should pursue a differentiation strategy to remain competitive in the Indian market. This strategy will enable the company to offer unique and superior products and services, enhance customer experiences, and earn higher profit margins.

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Per capita gross national income (GNI) increases when a. GNI and the population increase at the same rate.
b. GNI does not change and the population increases. c. GNI and the population decrease at the same rate. d. GNI increases and the population does not change.

Answers

Per capita gross national income (GNI) increases when GNI and the population increase at the same rate. Thus, option A is correct.

GDP or GNI (per capita): According to Statista, the national debt of the United States will be about $92,528 per person in 2022. Population: The United States is expected to have 332,915,073 people living there as of May 24, 2023.

Government debt as a percentage of GDP: In 2022, the United States' government debt as a percentage of GDP was 129 percent, according to Trading Economics. Unemployment: As of April 2023, the United States has a 3.6 percent unemployment rate.

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more Companies are doing less. customer segments. O a. mass marketing; engagement marketing O b. personal selling; digital activities O c. public relations activities; digital activities O d. digital activities; mass marketing 1 points Save Answer as a result of the explosive developments in communication technologies to better target smaller A

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As a result of the explosive developments in communication technologies, many companies are doing less mass marketing and instead focusing on better targeting smaller customer segments through digital activities.

This approach is known as engagement marketing.In the past, mass marketing was the primary approach for companies to reach as many potential customers as possible. However, with the advancement of technology, companies can now identify and target specific customer segments that are more likely to be interested in their products or services.

By doing this, companies can save money and resources by avoiding marketing to people who are unlikely to buy their products or services.Engagement marketing is all about creating meaningful interactions with customers. It involves using digital tools and platforms to reach out to customers and engage with them in a way that is relevant to their needs and interests.

This can include personalized emails, social media posts, or targeted ads that are tailored to specific customer segments. By doing this, companies can build stronger relationships with customers and create a more loyal customer base.In summary, as a result of technological advancements, companies are shifting away from mass marketing and towards engagement marketing.

This approach allows companies to better target smaller customer segments and create more meaningful interactions with customers.

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pick a hotel to create a 8-12 slide PowerPoint presentation marketing the hotel for 2023
You must include: • Your target market(s) • Your Hotel Features & Benefits: This includes accommodations, amenities, services, food, restaurants, and catering (meetings/event space), local attractions, etc. • What your cost structure will be for customers • HOW ARE YOU GOING TO MAKE A PROFIT? • SWOT Analysis • Unique Selling Point • Photos of the property, and how they practice energy efficiency. • WHY WILL IT SUCCEED?

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The Grand Hotel is a five-star hotel situated on the beach of Lake Michigan in Mackinac Island, Michigan. The target market for this hotel would be travelers who are willing to pay a high price for an unforgettable luxury experience.

In this PowerPoint presentation, we are going to discuss the features and benefits of the Grand Hotel, the cost structure for customers, how the hotel is going to make a profit, a SWOT analysis, unique selling point, photos of the property, how they practice energy efficiency, and why this hotel will succeed. Accommodations The Grand Hotel provides luxurious accommodations that are richly furnished and reflect the Victorian era. Every room is uniquely designed with exquisite décor. Amenities The hotel has an outdoor pool, a full-service spa, a fitness center, a golf course, a tennis court, and a variety of water sports activities. Services The hotel offers services such as 24-hour room service, dry cleaning, and laundry services. Food The hotel has several restaurants and bars, including the Main Dining Room, which offers a fine dining experience, and the Jockey Club, which offers casual dining. Catering The Grand Hotel has over 22,000 square feet of meeting and event space for hosting various events such as conferences, weddings, and banquets. Local Attractions

The hotel is located on Mackinac Island, which has various local attractions such as Mackinac Island State Park, Fort Mackinac, and the Mackinac Island Butterfly House & Insect World. Cost Structure The hotel will charge a high price for its luxury accommodations, amenities, services, and food. It will also charge additional fees for catering and events. Profit The hotel will make a profit by charging a high price for its services and amenities. SWOT Analysis Strengths: The hotel's strengths are its location, luxurious accommodations, and amenities. Weaknesses: The hotel's weaknesses are its high prices and limited accessibility to the island. Opportunities: The hotel's opportunities are its potential for expansion and growth. Threats: The hotel's threats are competition from other luxury hotels and a decrease in tourism. Unique Selling Point The unique selling point of the Grand Hotel is its Victorian era design, luxurious accommodations, and its location on the beach of Lake Michigan. Photos The hotel practices energy efficiency by using LED light bulbs, low flow showerheads, and organic cleaning products. The hotel will succeed because it offers a unique and unforgettable luxury experience that travelers are willing to pay a high price for.

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Using illustration drawn from the market of your choice discuss
the strategies in which brand developing may help to make target
marketing more effective

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Branding strategies, when integrated with target marketing, can make campaigns more effective by enabling better customer engagement, improved customer loyalty, and a more focused marketing effort.

Brand development strategies are critical tools in successful target marketing. When consumers have a positive perception of a brand, they are more likely to be receptive to its marketing efforts. Branding strategies often involve building a strong brand identity, creating a unique value proposition, and establishing a strong online presence. These strategies can make target marketing more effective by enabling better customer engagement, improved customer loyalty, and a more focused marketing effort.

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A monopoly has a market demand described by For a price 1.000 –TL è 25.000 units will be sold § For a price 600 –TL è 30.000 units will be sold The only costs of production are the initial sunk costs of building a plant. The monopoly firm has already invested in the capacity to produce up to 25.000 units. Suppose an entrant in this industry could capture 50% of the market if it invested 10 million TL to construct a plant. Would the firm enter?

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It would be profitable for the entrant to enter the market and construct a plant. To determine whether the entrant would enter the market, we need to compare the costs and benefits of entry.

The market demand for the monopoly is given for two different price levels and the corresponding quantities sold. The monopoly has already invested in the capacity to produce up to 25,000 units. The entrant has the opportunity to capture 50% of the market by investing 10 million TL to construct a plant.

To analyze the profitability of entry, we need to compare the potential revenue the entrant would gain with the costs of investment. With 50% market share, the entrant would be able to sell:

25,000 units x 0.5 = 12,500 units

Given the demand information, we can determine the corresponding price level at which 12,500 units would be sold. The demand equation can be written as:

P = a - bQ

where P is the price, Q is the quantity, and a and b are constants. We can solve for a and b using the given demand information:

1,000 = a - 25,000b

600 = a - 30,000b

Solving these two equations simultaneously, we find that a = 31,000 and b = 0.00004.

Now we can calculate the price at which 12,500 units would be sold:

P = 31,000 - 0.00004(12,500) = 31,000 - 0.5 = 30,999.5

The potential revenue for the entrant would be:

Revenue = Price x Quantity = 30,999.5 x 12,500 = 387,493,750 TL

Comparing this potential revenue with the cost of investment, which is 10 million TL, we can see that the potential revenue exceeds the cost of investment. Therefore, it would be profitable for the entrant to enter the market and construct a plant.

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How does economic productivity affect living standards and how does public policy affect both?

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Economic productivity plays a significant role in determining living standards, and public policy can have a significant impact on both economic productivity and living standards. It is important for policymakers to take these factors into account when designing policies that affect the economy and society as a whole.

Economic productivity refers to the measure of a nation's economic output per unit of input. In other words, it’s the amount of output that can be generated by the production of goods and services. Economic productivity has a significant impact on living standards. When productivity increases, it can lead to a rise in incomes, which ultimately leads to an increase in the standard of living.
One of the most important factors that affect productivity is the level of human capital in a nation. Human capital refers to the education and training of the workforce. In general, nations with more educated and trained workforces tend to be more productive than those with lower levels of education and training.
Public policy can affect both economic productivity and living standards in a number of ways. For example, policies that promote investment in education and training can increase the level of human capital and, in turn, increase productivity. Additionally, policies that promote investment in research and development can lead to technological advancements that increase productivity.
On the other hand, policies that restrict trade, create barriers to entry for new businesses, or impose excessive regulations can hinder productivity growth. This, in turn, can negatively impact living standards.

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1. Is it realistic to assume, in accordance with ‘public interest theory', that the regulators will not be driven by their own self-interest when designing regulations?

2. If individuals have access to insider information and are able to make large gains on a securities market as a result of using information that is not widely known, then is this an indication that the market is inefficient?

3. What are some perceived benefits that flow from the decision that a country will adopt IFRS?

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1. It is not realistic to assume that regulators will always act purely in accordance with the "public interest theory" and without any self-interest when designing regulations.

Regulators, like any individuals, may have personal motivations, biases, or conflicts of interest that can influence their decision-making process.

2. If individuals can consistently make large gains in a securities market by using insider information not available to the general public, it suggests that the market is inefficient. In an efficient market, information is quickly and accurately reflected in prices, making it difficult for individuals to consistently outperform the market based on private information.

3. Some perceived benefits of adopting the International Financial Reporting Standards (IFRS) include improved comparability of financial statements across countries, enhanced transparency and disclosure, increased investor confidence, and easier access to global capital markets. IFRS adoption can facilitate international investment, reduce information asymmetry, and promote harmonization and consistency in financial reporting practices worldwide. These perceived benefits can lead to improved decision-making, better resource allocation, and increased efficiency in capital markets. However, the actual benefits may vary depending on the specific circumstances and implementation of IFRS in each country.

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5. How did South Korea overcome its problem of trade deficit due to reliance on imports of
capital goods?
6. How did South Korea effectively utilize its abundant human resources?

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5. South Korea's strategy to overcome its problem of trade deficit due to reliance on imports of capital goods South Korea had a problem of trade deficit due to their reliance on imports of capital goods. This issue was overcome by the Korean government through a change in economic strategy.

They introduced export-oriented industrialization, in which the country shifted from import substitution to export promotion. This was achieved by investing in capital goods to create a strong manufacturing sector.The Korean government created a trade regime that was export-oriented and attracted foreign investment. Policies were put in place to create an export-oriented manufacturing industry. The Korean government provided incentives for firms to export their goods. The government also used its foreign reserves to provide credit guarantees for firms that wished to invest in exports. As a result of these measures, South Korea began to export capital goods, leading to a significant increase in foreign exchange earnings.

6. South Korea's effective utilization of abundant human resources South Korea's effective utilization of abundant human resources was due to its investment in human capital development. They had a government-led strategy that focused on education and training to develop highly skilled workers.

South Korea invested heavily in education and training to develop highly skilled workers to support its export-oriented manufacturing industry. They encouraged investment in education and vocational training to create a skilled workforce. This led to a highly skilled workforce and allowed South Korea to develop a technological advantage in the production of goods. The investment in education and training created an atmosphere of innovation, entrepreneurship, and development of new technologies. South Korea was thus able to produce high-quality goods at a lower cost, leading to increased export earnings.

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Which one of the following statements is true about ordinary shares? A)Ordinary shareholders have unlimited liability. B)Ordinary Shares are considered to have a fixed maturity. C)Owners of ordinary shares are guaranteed dividend payment by the company. D)Owners of ordinary shares have the lowest-priority claim on the company's assets in the event of insolvency.

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The true statement about ordinary shares is D) Owners of ordinary shares have the lowest-priority claim on the company's assets in the event of insolvency.

Ordinary shares, also known as common shares or common stock, represent ownership in a company. The owners of ordinary shares are considered the residual owners of the company, meaning they have the lowest priority claim on the company's assets in case of liquidation or insolvency. This means that in the event of the company's bankruptcy or dissolution, ordinary shareholders will be paid after all other claims, such as those of debt holders and preferred shareholders, have been satisfied.

Ordinary shareholders do not have unlimited liability (A). Their liability is limited to the amount they have invested in the shares. Ordinary shares also do not have a fixed maturity (B) as they represent a perpetual ownership interest in the company. Lastly, ordinary shareholders are not guaranteed dividend payments by the company (C). Dividends are discretionary and depend on the company's profitability and decision to distribute profits to shareholders.

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the journal ostry Componen wa po pre pan y A back darke Mers. Pippy A Accounts CHECK FROURES: 2. Det Expens lies showed the hilling se planie w 31/16 During 2020, the following selected transactions pour A Sales totalled $2,800,000, of which 25% were cash sales Set of seles $1.805.0 Sales returns were $108,000, half regarding credit sales. The returned merchandise was screpped An account for 324,000 was recovered. A of several accounts were written off $25.000 Collections from credit customers totalled $1.790,000 (excluding the recovery in A Part A Required 1. Journalize transactions (a) through (e). You may find it useful to post your entries to T-accounts for Accounts Receivable and Allowance for Doubtful Accounts Part B Required 2. Prepare the December 31, 2020, adjusting entry to estimate bad debts assuming that uncollectible accounts are estimated to be 1% of net credit sales. 3. Show how accounts receivable will appear on the December 31, 2020, balance sheet. 4. What will bad debt expense be on the income statement for the year ended December 31, 20207 Part C (independent of Part B) Required 5. Prepare the December 31, 2020, adjusting entry to estimate bad debts assuming that uncollectible accounts are estimated to be 3% of outstanding receivables. 6. Show how accounts receivable will appear on the December 31, 2020, balance sheet. 7 What will bad debt expense be on the income statement for the year ended December 31, 20207 585 palance jegury Problem 2

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The required journal entries for the company is prepared. The Bad debt adjusting entry and accounts receivable T- account is made. The bad debt expense for the year is $20460. The bad debt expense on the income statement will be $6900.

A receivable that a customer won't pay is a bad debt. Anytime a business extends credit to its clients, bad debts are a possibility. They develop when a business gives a consumer too much credit who is unable to pay it back, which leads to a payment that is either missed, decreased, or delayed.

A consumer who misrepresents themselves to obtain a deal on credit and has no intention of ever paying the seller may likewise incur a bad debt.

All the required calculations are attached below.

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Describe the meaning of contextual congruency. How does it differ from strategic congruency?

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Contextual congruency refers to the relationship between an advertisement and the context or environment in which it is displayed. For example, a car advertisement displayed in a car magazine is contextually congruent.Strategic congruency, on the other hand, refers to the relationship between an advertisement and the product or brand it is promoting.

For example, an advertisement for a luxury watch that highlights its durability and functionality would be strategically incongruent since luxury watches are typically promoted based on their aesthetics and exclusivity.The main difference between contextual congruency and strategic congruency is that the former relates to the environment in which an advertisement is displayed, while the latter relates to the product or brand being promoted.

While both are important considerations in advertising, contextual congruency is particularly important in digital advertising since ads can be displayed across a wide range of contexts and environments, including social media, search engines, and other websites.To achieve contextual congruency, advertisers must consider factors such as the audience demographics, the website or platform where the ad will be displayed, and the overall message of the advertisement. By ensuring that an ad is contextually congruent, advertisers can increase its effectiveness and engagement with their target audience.

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WHY LATIN AMERICA IS LESS ECONOMICALLY DEVELOPED AND
POLITICALLY STABLE THAN THE USA?

Answers

Latin America's relative lack of economic development and political stability compared to the United States can be attributed to various factors:

Historical Factors: Latin America has experienced a history of colonization, exploitation, and political instability. The legacy of colonialism, including the extraction of resources and establishment of unequal economic structures, has hindered economic development and perpetuated social inequalities. Economic Factors: Latin America faces challenges such as income inequality, high poverty rates, and limited access to quality education and healthcare. Dependence on primary commodity exports and volatile international markets can also contribute to economic instability.

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Helton Investment Co. is a Malaysian firm that executes a carry trade in which it borrows Pound and invests in US Dollar. Helton uses Malaysian Ringgit (MR) 150,000 of its own funds and borrows an additional 900,000 Pounds for 28 days and convert to US dollar. It will pay 6% annual interest on pounds borrowed and will earn 8% on funds invested in US dollar. Assume that the Pound's spot rate is 1.2 MR and that the US $ spot rate is MR.70 Helton uses today's spot rate as its best guess of the spot rate 28 days from now. Calculate Helton's expected profits from its carry trade.

Answers

Helton Investment Co.'s expected profits from its carry trade are $24,986.85.

To calculate Helton Investment Co.'s expected profits from its carry trade, we need to consider the interest earned on the US dollar investment and the interest paid on the pounds borrowed, as well as any exchange rate changes.

First, let's calculate the amount of US dollars Helton will receive from converting the borrowed pounds:

Amount in US dollars = Borrowed pounds * Pound spot rate = 900,000 * 1.2 = $1,080,000

Next, let's calculate the interest earned on the US dollar investment:

Interest earned on US dollar investment = Amount in US dollars * Interest rate * Time = $1,080,000 * 8% * (28/365) = $66,301.92

Now, let's calculate the interest paid on the pounds borrowed:

Interest paid on pounds borrowed = Borrowed pounds * Interest rate * Time = 900,000 * 6% * (28/365) = $41,315.07

Lastly, let's consider any potential exchange rate changes. Since Helton uses today's spot rate as its best guess for the future spot rate, we assume no exchange rate changes.

Expected profits from the carry trade = Interest earned on US dollar investment - Interest paid on pounds borrowed = $66,301.92 - $41,315.07 = $24,986.85

Therefore, Helton Investment Co.'s expected profits from its carry trade are $24,986.85.

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