southwest airlines has gained a competitive edge and built long-term profits by putting its (fill in the blank) first.

Answers

Answer 1

Southwest airlines has gained a competitive edge and built long-term profits by putting its employees first.

Three Reasons why Putting Employees First is Just Good Business

Reduce turnover and the need to hire and onboard new workers. Some turnover is inevitable. Increase productivity; make the most of your team.  A positive employee experience spread outward.

Employee engagement is increased when people are prioritized. Employee engagement improves retention, job satisfaction, output, quality, productivity, customer satisfaction, top line revenue, and bottom-line profits.

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Related Questions

When responding to a message, what should a professional always do? Choose 2 answers.

A. End on a positive note.

B. Respond within 24 hours.

C. Throw the company under the bus only if they are guilty.

D. Answer the most important questions.

Answers

When responding to a message, by virtue of the communications etiquette, a professional will always do the followings:

A. End on a positive note.B. Respond within 24 hours.

Why is communications etiquette important?

Basically, a communication etiquette means the accepted ways of communicating with others in the workplace. A typical communication etiquette includes behavior and strategies that can help you relay information clearly while maintaining positive relationships with your supervisors, colleagues and clients.

Adhering to communications etiquette can label someone as an effective communicator, suggesting that you possess leadership qualities and potentially leading to greater professional opportunities in the future.

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customer relationship management (crm) is based on the idea that retailers can increase their earnings by

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Customer relationship management(CRM) is based on idea that retailers can increase earnings by providing a better selection of merchandise.

Who is a Customer relationship management?

Customer relationship management (CRM) is a process that allows businesses and other organizations to manage their interactions with customers by studying vast amounts of data and using data analysis in most cases.

They enable companies to gain a better understanding of the needs of their target markets and how to best meet those needs, retaining customers and boosting sales. With past, present, or potential customers, CRM can be applied. CRM stands for customer relationship management, and it refers to the ideas, practices, and guidelines that a business uses to communicate with its clients. The market for CRM is expected to reach $69 billion globally in 2020, according to Gartner.

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the panic of 1819: group of answer choices resulted partly from an upsurge in european demand for american farm products that the united states was unprepared to meet. led to impossibly high prices for western lands. prompted some states to suspend debt collections, which helped debtors but hurt creditors. enhanced trust in banks because they did such a good job of weathering the economic storm.

Answers

The Panic of 1819 was the result of over-speculation on newly available western lands, which led to high prices on land and banks foreclosing on western lands. It caused an international financial crisis.

The panic of 1819:

a. was partially caused by an increase in the demand for American farm products in Europe, which the United States was ill-equipped to meet.

b. caused western land prices to skyrocket.

c. increased trust in banks as a result of their excellent handling of the economic crisis.

d. led to the suspension of debt collection efforts in some states, which benefited debtors but hurt creditors.

e. motivated John Marshall's decision in Gibbons v. Ogden to side against the banking power.

The Second Bank of the United States (SBUS), which was heavily involved in these inflationary practices, started sharply reducing the amount of loans made by its western branches in 1818 in order to make up for its lax approach to controlling the state bank credit market. The state-chartered banks started foreclosing on the heavily mortgaged farms and commercial properties they had financed after the SBUS presented them with their own banknotes for redemption and they failed to provide gold specie from their reserves. A sudden increase in European agricultural production in 1817 and the ensuing financial panic both resulted in widespread bankruptcies and high unemployment.

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if the physician believes that the insurance company will pay only $185.00 of the $225.00 fee, how should

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The physician must notify the patient that they will be charged an additional $70.00 once the insurance company pays the claim and bill the insurance company for $255.00.

Who is a physician?

A physician, often known as a doctor, is a medical professional who focuses on promoting, maintaining, or restoring health through the investigation, diagnosis, prognosis, and treatment of illness, trauma, and other physical and mental impairments. A physician can decide to perform general practice, which involves offering ongoing, comprehensive medical care to individuals, families, and communities, or they can choose to specialize in treating specific diseases, patient demographics, and therapy methods. The science of medicine and the art or craft of medicine both call for a respectable level of expertise in its practical application. Correct medical practice requires a complete comprehension of the academic subjects, such as anatomy and physiology, underlying illnesses, and their treatment.

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monopolies use their market power to group of answer choices increase the quantity sold as they increase price. charge a price that is higher than marginal cost. dump excess supplies of their product on the market. charge prices that equal minimum average total cost.

Answers

If a competitive firm increases price, it loses all customers: they have perfect substitutes available from numerous other firms. Monopoly power, also called market power, is the ability to set price.

Firms with market power face a downward sloping demand curve. A monopolist is considered to be a price maker and can set the price of the product that it sells. However, the monopolist is constrained by consumer willingness and ability to purchase the good, also called demand. Once a monopolist determines how much to produce, the price of its output is determined by the maximum amount that consumers are willing to pay for the good. A monopolist produces a quantity such that marginal revenue equals marginal cost. The price is determined by the demand curve.

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the financial statements of the sheffield corp. reported net sales of 300000 and accounts receivable of 56400 and 33600 at the beginning of the year and the end of the year, respectively. what is the average collection period for accounts receivable in days? (use 365 in days for calculation) 54.8

Answers

The average calculation period for accounts receivable will be 54.8 days.

In the question, it is given that the Sheffield corp. reports a net sales of $300,000 with accounts receivable of $56,400 at the beginning of the year and $33,600 at the end. We have to calculate the accounts receivable turnover ratio.

To find that we have the formula:

Ratio = (Net sales)/(Average accounts receivable)

First, we will find the average accounts receivable.

=> (Beginning + End)/2

=> (56400 + 33600)/2

=> Average = 45,000

Now we will find the Ratio:

=> Ratio = 300000/45000

=> Ratio = 6.66

To convert that into days, we will divide 365 by the ratio.

=> Receivable turnover ratio in days = 365/6.66

=> R = 54.8

Hence, we get the Account receivable ratio in days as 54.8.

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those organizations that assist in the movement of goods and services from producer to industrial and consumer users are known as: a. directed marketers b. marketing intermediaries c. supplementary marketers d. distributive specialists

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Marketing intermediaries are organizations that help in assisting in the movement of goods and services from producers to industrial and consumer users.

Marketing intermediaries act as a distributive channel linking producers to the consumer with the middle functionary things in order to deliver the optimum level of services to the consumers. Producers of the product do not supply their products directly to the final consumer, they take the help of marketing intermediaries who assist and help in distribution through various phrases.

Structuring the right channel for the distribution of the products is a challenging task for marketing specialists. Some of the intermediaries such as wholesalers, retailers, brokers, and distributors all together help in sending finished goods and services to the consumers as a middleman for that company.

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megamart provides the following information on its two investment centers. investment center sales income average assets electronics $ 44,500,000 $ 3,560,000 $ 17,800,000 sporting goods 26,220,000 2,622,000 13,800,000 1. compute return on investment for each center. using return on investment, which center is most efficient at using assets to generate income? 2. assume a target income of 11% of average assets. compute residual income for each center. which center generated the most residual income? 3. assume the electronics center is presented with a new investment opportunity that will yield a 15% return on investment. should the new investment opportunity be accepted? the target return is 11%.

Answers

1. Electronics have a return on investment of 18% and 17%, respectively. In terms of return on investment, the electronics division is best at utilizing resources to generate revenue for the company.

2. As a result, there is a residual income for electronics of $960,000 and $600,000. We can estimate that the electronics division has given the company the most residual income.

3. Since the new investment opportunity will bring larger returns and earnings down the road, it should be pursued.

A measure of net income to investors is return on investment, also referred to as return on costs. A high ROI shows that the return on investment outweighs the expenses. ROI is a performance metric that is used to assess an investment's effectiveness or to compare the effectiveness of different investments.

1. To calculate return on investment, apply the following equation:

Net Income multiplied by the average amount of invested assets equals return on investment.

So,

Regarding electronics,

$2,880,000 divided by $16,000,000, or 18%, is the ROI.

sporting goods

Calculating the ROI is as simple as dividing $2,040,000 by 12,000,000, or 17%.

Returns on investment for electronics are 18% and 17%, respectively. The electronics division is best at using resources to make a profit for the company in terms of return on investment.

2. The calculation of residual income is shown below.

Net income equals the targeted level of revenue.

where the anticipated amount of income is equivalent to 12% of all invested assets

So,

residual earnings from electronics

= $2,880,000 - 12% × $16,000,000

= $960,000

residual income from sporting goods

= $2,040,000- 12% × $12,000,000

= $600,000

Therefore, the residual income for electronics is $960,000 and $600,000, respectively. We can infer that the electronics business has contributed the most residual income to the company.

3. The new investment opportunity should be pursued because it will ultimately result in higher returns and earnings.

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esther pays $532 per month for 4 years for a car. she made a down payment of $3,700. if the loan costs 7.1% per year compounded monthly, what was the cash price of the car? a) $33,131.29 b) $18,473.44 c) $25,731.29 d) $22,173.44 e) $25,873.44 f) none of the above.

Answers

$25873.44 is the cash price of the car. The price paid or received for immediate delivery of a good or asset is known as the cash price. The current supply and demand for that good or asset determines the cash price.

What is cash price?

The price paid or received for immediate delivery of a good or asset is known as the cash price. The current supply and demand for that good or asset determines the cash price. Cash prices, sometimes referred to as spot prices, are used to set the pricing for futures or forwards and are associated with them.

The price at which items may be purchased using cash as payment, often known as the cash price of the commodities. The total sum that the hire-purchaser is required to pay under the terms of the agreement is referred to as the hire-purchase price. The Price to Cash Ratio aims to determine a share's value in relation to its Cash holdings.

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what might explain why the insurance companies would require a slightly higher effective annual yield on the coupon bonds compared to the bonds with no coupons?

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Bonds with longer maturities yield more than those with shorter maturities under a normal yield curve. Regular coupon interest payments are like little zero-coupon bonds that mature earlier since they are due before the bond's maturity date.

Because zero coupon bonds do not offer any coupons that can be reinvested, long-term bonds have higher yields than short-term bonds under a normal yield curve. Interest payments shorten the waiting period and lower the risk, which lowers predicted returns as well.

The return on a bond when the bondholder reinvests interest payments (or coupons) at the same rate is known as the effective yield. In contrast to nominal yield, which is the reported interest rate of the investment, effective yield is the overall yield received by the investor.

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Which economic measure is the percentage of people in the labor force who are willing to work, are looking for work, but are unable to find work?.

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The labor force is the percentage of people in the labor force who are willing to work, are looking for work, but are unable to find work.

The labor force is made up of both employed people and unemployed people, and the unemployment rate is calculated by dividing the number of jobless people by the total labor force. If a person works for compensation or runs their own business for at least an hour any day of the week, including the twelfth of the month, they are regarded to be employed.

The percentage of the population that is of working age and either employed or actively seeking employment is known as the labor force participation rate. This rate is a crucial indicator of the state of the labor market since it shows the proportion of labor resources that are readily available for the creation of goods and services.

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would you consider setting new goals about the number of online positive reviews attributed to your customer service?

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Examples of customer service goals include: improving how you measure customer service, speeding up response times, making it easy for customers to get in touch, and creating a customer-centric culture.

In sales, trade, and economics, a purchaser (every now and then known as a client, consumer, or patron) is the recipient of a great, carrier, product or idea - acquired from a vendor, seller, or dealer via an economic transaction or alternate for money or a few different valuable attention. Early societies relied on a present economic system based totally on favors. Later, as commerce evolved, much less permanent human family members had been fashioned, relying extra on transitory wishes instead of enduring social goals on. Clients are normally stated to be the clients of goods and services, whilst customers are folks that get hold of customized recommendations and answers.

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The accompanying dataset provides data on monthly unemployment rates for a certain region over four years. Compare​ 3- and​ 12-month moving average forecasts using the mad criterion. Which of the two models yields better​ results? explain.

Answers

In this instance, the MAD value of the 3-month moving average is less than that of the 12-month moving average. Therefore, the 3-month moving average forecasting method yields the best results.

Forecasts using a 3-month moving average:

How to calculate the moving average in Excel, step-by-step:

Rates data should be entered into an Excel sheet.Access DataThen select Data Analysis.Click "Moving Average" and then "OK."Choose the rates column under "Input Range."Type 3 for Interval.Click "OK."

Excel Result:

Rate(Actual)     forecast   Error = (Actual − Forecast)

7.7                      #N/A  

8.4                      #N/A  

8.6                      8.233333                0.366667

8.8                       8.6                        0.2

9.2                      8.866667               0.333333

9.4                      9.133333               0.266667

9.4                       9.333333               0.066667

9.7                        9.5                       0.2

9.8                       9.633333               0.166667

9.9                       9.8                       0.1

9.9                      9.866667               0.033333

9.7                      9.833333               0.133333

9.8                      9.8                        0

9.9                      9.8                        0.1

9.8                      9.833333                 0.033333

10.1                      9.933333                 0.166667

9.7                      9.866667                 0.166667

9.6                       9.8                          0.2

9.7                       9.666667                  0.033333

9.6                       9.633333                  0.033333

9.6                       9.633333                  0.033333

9.4                       9.533333                  0.133333

9.7                       9.566667                  0.133333

9.1                       9.4                          0.3

8.9                      9.233333                 0.333333

8.8                      8.933333                 0.133333

8.9                      8.866667                 0.033333

9.1                      8.933333                 0.166667

9.2                      9.066667                 0.133333

9.1                      9.133333                 0.033333

9.2                      9.166667                 0.033333

8.9                     9.066667                 0.166667

9.1                     9.066667                 0.033333

8.7                      8.9                         0.2

8.4                     8.733333                 0.333333

8.4                      8.5                          0.1

8.4                      8.4                          0

8.2                    8.333333                  0.133333

8.1                    8.233333                  0.133333

8.1                    8.133333                  0.033333

8.3                    8.166667                  0.133333

8.1                    8.166667                  0.066667

8.4                    8.266667                   0.133333

8.3                     8.266667                   0.033333

7.8                     8.166667                    0.366667

7.8                     7.966667                    0.166667

7.8                      7.8                             0

7.9                     7.833333                    0.066667

∑Error = 6.166667

Therefore, MAD = ∑Error / Number of Errors

MAD =  6.166667 / 40 = 0.134

Forecasts using a 12-month moving average:

How to calculate the moving average in Excel, step-by-step:

Rates data should be entered into an Excel sheet.Access DataThen select Data Analysis.Click "Moving Average" and then "OK."Choose the rates column under "Input Range."Enter 12 for Interval.Click "OK."

Excel Result:

Rate(Actual)     forecast   Error = (Actual − Forecast)

7.7                      #N/A  

8.4                      #N/A  

8.6                      #N/A

8.8                      #N/A

9.2                      #N/A

9.4                      #N/A

9.4                      #N/A

9.7                      #N/A

9.8                      #N/A

9.9                      #N/A

9.9                      #N/A

9.7                      9.208333              0.491667

9.8                      9.383333              0.416667

9.9                      9.508333              0.391667

9.8                      9.608333              0.191667

10.1                      9.716667              0.383333

9.7                      9.758333              0.058333

9.6                      9.775                      0.175

9.7                      9.8                      0.1

9.6                     9.791667              0.191667

9.6                     9.775                      0.175

9.4                     9.733333               0.333333

9.7                     9.716667               0.016667

9.1                     9.666667               0.566667

8.9                     9.591667               0.691667

8.8                     9.5                       0.7

8.9                     9.425                       0.525

9.1                     9.341667               0.241667

9.2                     9.3                       0.1

9.1                     9.258333               0.158333

9.2                     9.216667               0.016667

8.9                     9.158333               0.258333

9.1                     9.116667               0.016667

8.7                     9.058333               0.358333

8.4                     8.95                       0.55

8.4                     8.891667               0.491667

8.4                     8.85                        0.45

8.2                     8.8                        0.6

8.1                     8.733333                0.633333

8.1                     8.65                        0.55

8.3                     8.575                        0.275

8.1                     8.491667                0.391667

8.4                     8.425                        0.025

8.3                     8.375                        0.075

7.8                     8.266667                0.466667

7.8                     8.191667                0.391667

7.8                     8.141667                0.341667

7.9                     8.1                         0.2

∑Error = 12

Therefore, MAD = ∑Error / Number of Errors

MAD =  12 / 37 = 0.324

In this case, the 3-month moving average's MAD value is lower than the 12-month moving average's MAD value. Consequently, the 3-month moving average forecasting approach produces the greatest outcomes.

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assume zap industries reported the following adjusted account balances at year-end. 20212020 accounts receivable$ 1,640,200$ 1,290,920 allowance for doubtful accounts(87,000)(71,800) accounts receivable, net$ 1,553,200$ 1,219,120 assume the company recorded no write-offs or recoveries during 2021. what was the amount of bad debt expense reported in 2021? multiple choice $15,200 $71,800 $87,000 $30,400

Answers

The amount of Bad Debt Expense zap industries reported in 2021 was $15,200 if company has recorded no write-offs or recoveries.

How to calculate Bad Debt Expense ?

When a receivable is no longer recoverable as a result of a customer's inability to pay an outstanding debt owing to bankruptcy or other financial issues, a bad debt expense is recorded.

Bad debt expenses equation can be recognized using two methods:

Direct Method With this approach, the business directly records the cost of bad debt. Since this procedure does not adhere to the matching concept specified in the "generally accepted accounting principle," the business does not typically employ it.Allowance Method According to this method, bad debts are recognised as a portion of sales made or outstanding debtors based on their ageing and are transferred to a different account known as Allowance for Doubtful Debts.

The opening balance of the allowance account =  $71,800

The closing balance of the allowance account = $87,000

The amount of bad debt expense = $87,000-  $71,800

                                                        = $15,200

The amount of bad debt expense reported in 2021 is $15,200.

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mcpherson company must purchase a new milling machine. the purchase price is $50,000, including installation. the machine has a tax life of 5 years, and it can be depreciated according to the following rates. the firm expects to operate the machine for 4 years and then to sell it for $12,500. if the marginal tax rate is 40%, what will the after-tax salvage value be when the machine is sold at the end of year 4? year depreciation rate 1 0.20 2 0.32 3 0.19 4 0.12 5 0.11 6 0.06

Answers

The after-tax salvage value be when the machine is sold at the end of year 4 $10,900

Is the value of salvage always subject to tax?

The price at which an asset was sold after being liquidated is referred to as the "before tax salvage value. This sum is recorded as income and is taxable on the balance sheet. The amount you have left over after subtracting tax from that sum is referred to as the "after-tax salvage value.

How is after-tax salvage determined?

Asset sales price less tax paid on the difference between sales price and book value is the asset's after-tax salvage value.

How does depreciation work?

to reduce a product's cost or assessed worth. Deducting from taxable income over a period of years a portion of the initial cost of (a business asset) as the asset's value declines. verb intransitive: to decrease in value.

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the amount that investors are willing to pay for each dollar of annual earnings is reflected in the: group of answer choices return on assets. return on equity. debt-equity ratio. price-earnings ratio. dupont identity.

Answers

The amount that investors are willing to pay for each dollar of annual earnings is reflected in the price earning ratio. The correct answer would be option B.

Price earning ratio is the ratio for valuing a firm that compares its current stock price to its earnings per share (EPS). The price multiple or earnings multiple are other names for the price earnings ratio.

Investors and analysts use P/E ratios to assess the comparative value of a company's equity in a comparison. It can also be used to contrast a company with its past performance or to compare broad markets over time or to one another. P/E estimates can be made either forward or on a trailing basis.

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valuing preferred stock fegley , inc., has an issue of preferred stock outstanding that pays a $3.80 dividend every year in perpetu this issue currently sells for $93 per share, what is the required return ?

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A company pays the dividend to eligible common stockholders out of the profit it makes from regular business operations. A company can also distribute additional dividends on common stock.

What Is a Profit?

The distribution of a company's earnings to shareholders is known as a dividend and is decided by the board of directors. The distribution of dividends, which can take the form of cash or reinvestment in additional stock, typically occurs quarterly.

What is an example of a dividend?

A dividend is money distributed to shareholders from profits. Typically, they are paid quarterly. For instance, AT&T has been making such distributions for a number of years, with its $2.08 per share offering for the third quarter of 2021.

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Deductions and credits can _______ what you owe in taxes each year. Increase reduce double share with others.

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Deductions and credits can reduce what you owe in taxes each year.

What is the impact of the Deductions and credits on the owed taxes?

The  impact of the Deductions and credits on the owed taxes is differnt, it should be noted that the Deductions can bring about the reduction in the income that you make by the time that you will now statrt to make the calculation of the tax that you have been owing.

It should  be nopted that the Credits  can as wellk bring about the reduction and can as well  increase your tax refund.

Therefore, the second option is correct.

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Answer:

B. Reduce

Explanation:

the market system directs resources to the production of goods and services that are the most desired by society. which market system virtue does this reflect?

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The enhanced productivity, innovation, and efficiency of a market economy are notable advantages.

A market economy is a form of economic system in which supply and demand, rather than government intervention, control the economy. An economy with a fully free market is one in which every resource is privately owned.

Which four market systems are there?

The four types of economic market structures are oligopoly, monopoly, perfect competition, and monopolistic competition. The following characteristics explain why the categories are different: In oligopoly, there are few producers, many in perfect and monopolistic competition, and one in monopoly. The organisational layout and other features of a market serve as the best definition of the market structure. We concentrate on factors that influence price and the nature of competition, but it's crucial to avoid putting too much emphasis on the market share of already-existing companies in an industry. The word "market" typically refers to a specific location where goods are bought and sold, but in the field of economics, it has a much broader definition.

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1. what is (keynesian) fiscal policy? (explain/discuss with emphasis what is the difference between discretionary fiscal policy and automatic stabilizers? why is this important?

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Fiscal policy is using authorities' spending and taxation to steer the economic system. Governments usually use financial coverage to sell robust, sustainable increases and decreases in poverty.Discretionary fiscal policy is a planned strive through the authorities to stabilize the economic system thru taxes and spending, even as automated stabilizers are fees and tax sales which can be non-planned and routinely extra de ranges to be able to stabilize the economic system.Automatic stabilizers have a comparative benefit over discretionary measures as they're timely, temporary, and targeted. Further, even as they're usually powerful in stabilizing family profits in maximum OECD economies, there are large variations throughout countries.

There are three kinds of fiscal policy. They are namely:

Neutral policy. Expansionary policy.Contractionary policy.

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explain organizational challenges of designing effective structure and control in strategy implementation

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It may be necessary for leaders to inspire and coach rather than use command and control while implementing strategic plans.

What is strategic planning?

Strategic planning is the process by which an organization determines its strategy or direction and decides how to allocate its resources to achieve its strategic goals. It might also include constraints for directing how the plan is put into action. In the 1960s, corporations started to prioritize strategic planning, which is still a crucial component of strategic management today. The process is carried out by strategic planners or strategists who conduct extensive research and analyze the organization and how it interacts with the marketplace. While the term "strategy" has many different meanings, most definitions include the following: setting strategic goals, deciding on actions to achieve the goals, establishing a timeline, and mobilizing resources to carry out the actions.

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a 4,000.00 principal earns 5% intrest, compound annually. after 4 years, what is the balance in the account jiska

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If a principal of 4,000.00 earns 5% interest, compound yearly, the account balance would be 4862.03. 4 years after.

The interest rate is 5% per year. The relative value of interest will be 1.05 after 4 years.

Multiplying that by the initial funding yields the result 4000 * 1.05 * 4 = 4862.03

The fee paid for the right to borrow money is called interest. In contrast interest to how the interest rate used to calculate interest is typically expressed, which is as an annual percentage rate, interest expense or account balance revenue is frequently expressed as a dollar amount. Interest is the payment a lender or financial organization makes in exchange for interest extending credit. A stockholder's ownership stake in a corporation, which is typically expressed as a percentage, is another account balance definition of interest.

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the demand curve for each seller's product in perfect competition is horizontal at the market price because

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The demand curve of an uncompetitive business is a horizontal line at the market price. This means that it receives the same price for each unit sold.

The negligible income got by the firm is the adjustment of absolute income from selling another unit, which is the steady market cost.

In perfect competition, why is price horizontal?

Because the prices are determined by the forces of supply and demand in the market, the demand curve is horizontal for each company in a market that is highly competitive. As a result, the businesses take prices. Customers will not be willing to purchase from a business that attempts to charge more than the current market price.

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btl company purchased a tractor at a cost of $60,000 on january 1, year 1. the tractor has an estimated salvage value of $10,000 and an estimated life of 8 years. if btl uses the straight-line method, what is the book value at january 1, year 5?

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$35000 is the book value at january 1, year 5, if btl uses the straight-line method for 8 years at an estimated salvage amount of $10,000 and original cost of  $60,000.

given data,

original cost =  $60,000

accumulated amount =  $10,000

the formula is;

straight line amount=original cost-accumulated amount/useful life

                                     = (60000-10000)/8

straight line amount= 6250 per year

accumulated amount= 6250*4

                              = 25000

book value = 60000-25000

                   = 35000

the book value is $35000

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joe smith wishes to have $100,000 in five years. if he can earn annual interest of 3%, how much must he invest today?

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Joe smith should invest $86000 today to get a future value of $100000

In the world of finance, present and future values refer to the future and current net worth of the money that we currently possess. Generally speaking, both the time worth of money and its monetary idea, which is used daily by business owners or investors, are the origins of the present value vs. future value concept. The basic tenet is that money received today is worth more than money received tomorrow or at any other time in the future.

Calculating the amount Joe Smith wishes to have in 5 years:

Present value = Future value*Present value of $1 for a period of 5 years at 3%

= $100,000*0.86

= $86000

The present value of the factor for 5 periods at 3% interest is 0.86

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(6 points) country day's scholarship fund received a gift of $47000. the money was invested in stocks, bonds, and cds for one year. the cds paid 1% interest, the bonds paid 3% interest, and the stocks paid 8% interest. the amount invested bonds was $18000 more than the amount invested in cds, and the total income for one year from the investments was $2620. how much was invested in each type?

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Amount invested in cds is 2000, bonds is 20000 and stocks is 25000

Total fund received = $47000

Interest on cds = 1%

Interest on bonds = 3%

Interest on stocks = 8%

Let x be the amount invested in CDs be x, then the amount invested in bonds = x+18000 and the amount invested in stocks will be y

Formulating the equation we get:

x + x+18000 +y = 47000

2x + y = 29000-----(1)

Another equation:

1%of x + 3% of x+18000 + 8% of y = $2620

0.01x + 0.03x + 540 + 0.08y = 2620

0.04x + 0.08y = 2080

4x + 8y = 208000

Dividing by 2 we get

2x + 4y = 104000----(2)

Equating (1) and (2) we get:

3y = 75000

y = 25000

Substituting y in (1) we get

2x = 4000

x = 2000

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issuing an installment note in exchange for cash (select all that apply): multiple select question. does not affect equity decreases assets does not affect liabilities increases liabilities decreases equity decreases liabilities increases assets does not affect assets increases equity need help? review these concept

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Option d.) increases assets does not affect equity increases liabilities is the correct answer as, this is because the debt will also increase. Because assets need to be balanced against liabilities and equity, it is useful for issuing installment certificates against cash.

Borrowing money from a bank increases a company's cash position, thereby increasing its balance sheet. In addition, the liability account, bills payable, increases as the company borrows money from the bank. When a company borrows money from a bank, the amount received is recorded as a cash debit and credited to liability accounts such as bills payable and loans payable recorded on the company's balance sheet.

All's assets are everything owned by the company. Liabilities and equity are what your company owes to third parties and owners. The golden rule of accounting to balance the books is that assets equal liabilities and equity.

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which type of 3pl relationship is characterized by a win-win relationship, driven by innovation, and characterized by gainsharing?

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Strategic collaboration is a type of 3PL relationship characterized by a win-win relationship, driven by innovation, and characterized by gainsharing.

Companies that provide third-party logistics (3PL) services aid eCommerce retailers in managing their supply chains. They frequently offer services including order fulfillment, order management, shipping coordination, retail distribution, exchanges, and returns.

Since many businesses are having trouble navigating the supply chain's unknown variables, they collaborate with third-party logistics providers who are skilled at handling shipping and order fulfillment and who manage the inventory in the warehouse, including picking, packing, and shipping the products to their customers.

90% of 3PL providers acknowledged a successful collaboration with eCommerce businesses, saying that they worked together to focus on objectives and overcome obstacles, according to Penske Logistics' 2022 third-party logistics research.

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assume roger's income to spend on books and movie tickets is $48, and his budget constraint is represented by line b. what would cause his budget constraint to move to a?

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A person’s ability to purchase a given amount of a good or service depending on their income and the cost of the good or service is indicated by the budget limitation line.

Therefore, points on the line can be determined using the following equation: = Income / PriceThe budget limitation will shift outside if the price drops by 10% because, as the formula illustrates, the formula’s result will result in more points on the line due to a smaller denominator.Given product pricing & income, a consumer’s budget line or constraint shows the product combinations they can purchase graphically (all spent).Because the purchasing power of both goods will fluctuate proportionally with income, a change in income will produce a simultaneous shift in budget constraints.Improved real income and increased purchasing power brought on by falling prices allow consumers to increase consumption of both items as their income rises. Budget constraints will be shifted to the right and outside as a result.

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read each statement and determine if it is true or false. a. a monopolistic competitor, much like a firm in perfect competition, sells its product at a point where the price is equal to the marginal cost. true false

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A monopolistic competitor, much like a firm in perfect competition, sells its product at a point where price is equal to marginal cost.-----False

What Is Monopolistic Competition?

Monopolistic competition exists when numerous companies offer contending products or services that are analogous, but not perfect, backups. The walls to entry in a monopolistic competitive assiduity are low, and the opinions of any one establishment don't directly affect its challengers.

Why is it called monopolistic competition?

In substance, monopolistically competitive requests are named as similar because, while enterprises are contending with one another for the same group of guests to some degree, each establishment's product is a little bit different from that of all the other enterprises.

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