The increment of value created when two or more sites are combined to create greater utility is the definition of Plottage or assemblage.
A value increase occurs when several land parcels are combined under one ownership in order to produce a better result than when the parcels are owned separately.
In contrast to plotting, which refers to the increased value of the combined, larger parcel, assemblage refers to the process of combining individual parcels. This distinction is particularly crucial in eminent domain transactions.
The smallest, discretely divided parcel of land with an owner is referred to as real property. A parcel contains boundaries, a surface area, and a property number that is recorded by the count.
To learn more about Plottage visit here:
brainly.com/question/14531358
#SPJ4
which manufacturing strategy can be described as producing products to put into inventory based on a demand forecast? which manufacturing strategy can be described as producing products to put into inventory based on a demand forecast? assemble-to-order make-to-order make-to-stock engineer-to-order
Manufacturing strategy can be described as producing products to put into inventory based on a demand forecast? which manufacturing strategy can be described as producing products to put into inventory based on a demand forecast Make-to-stock.
Make-to-stock (MTS) is a production approach wherein manufacturing making plans and manufacturing scheduling are primarily based totally on forecasted product demand. Products made for the duration of one manufacturing length are used to meet orders made withinside the subsequent manufacturing length.
Overall, a properly thought-out product and accompanying production approach permits you to make key selections round production with extra certainty, and higher put together your product for market.
Learn more about strategy here:
https://brainly.com/question/10055344
#SPJ4
a manufacturer of clothing currently sells its products at neiman marcus and dillard's. a survey shows that a majority of its customers expect to find its products at neiman marcus, macy's, and saks fifth avenue, but relatively few customers expect to find the products at dillard's or marshalls. if the manufacturer acts on its customers' expectations, what action would it take in regard to its retail partnerships?
If the manufacturer acts on its customers' expectations, it will start by partnering with Macy's and Saks fifth avenue and leave Dillard's behind.
What is partnering?
A process of building a connection between each party by knowing each other's obligations, and maintaining an attitude of goodwill and trust.
At first, the manufacturer probably know 2 department stores's key person and it is the main reason why the manufacturer sells its products in Neiman Marcus and Dillard's. Along the way, when the market segment of the manufacturer's products already settled, it acts to listen on the customers' expectations to make a greater sales and the manufacturer has to make a change as its customers wants. The main objective of the manufacturer is to make the greatest sales, so it has to join with the bigger department stores (Macy and Saks fifth avenue) and leave the smaller department store (Dillards) behind.
Learn more about retail partnerships https://brainly.com/question/23732040
#SPJ1
you have a one-on-one conversation with an employee to help them understand their role in company change. the employee quietly opposes change. what is your goal with this employee?
Help them to be an active resistor s your goal with this employee. A person who is paid to work for another person or business is an employee.
Employees only need to be paid for their labour by an employer (the person or firm that pays them), who is easily accessible and reasonably priced, without having to work full-time. The goal of managers focused on this idea is to achieve great business production efficiency at cheap prices. A salesperson at a retail establishment is an example of an employee. The worker is regarded as an employee because they have to perform tasks in a specific way.
To learn more about Employees, click here.
https://brainly.com/question/18633637
#SPJ4
what are the two problems with having so much data available for data-driven decision making? (check all that apply)
The two issues with having so much data available for data-driven decision making are being data rich and being information poor.
In psychology, decision-making is defined as the cognitive process that results in the selection of a belief or plan of action from among multiple available alternatives. It could be sensible or irrational. The decision-making process is a reasoning process that is based on the decision-values, maker's preferences, and beliefs. Every decision-making process results in a final choice, which may or may not trigger action. Decision-making research is frequently published under the term problem solving, particularly in European psychology research.
Decision-making can be viewed as a problem-solving activity that results in a solution that is deemed ideal, or at least satisfactory. It is thus a process that might be more or less rational or irrational, and can be based on explicit or implicit knowledge and ideas.
Learn more about information here
https://brainly.com/question/27798920
#SPJ4
do you agree that companies should communicate any and all information that may pertain to employees? would there ever be a time where it would be more ethical to hold back information from employees? if you were an employee in the insurance company, what would you consider to be the ethical step to take: inform employees of the possibilities of layoffs or keep that information confidential until the company is absolutely sure layoffs might happen? what would be the best, most ethical, channel to use when communicating bad news such as layoffs? do you think it is unethical not to tell your boss that you are looking for another job? what are the situations in which employees have an ethical obligation to provide this information to their managers or supervisors?
Companies must to have a procedure for telling staff members information about them. But when it comes to managing a large business, everything is a little too difficult.
1. Feedback regarding the performance of the employee must be communicated. However, disseminating too much information about the personnel may be overwhelming and undermine the outcomes of the processes for feedback and review.
2. It would be morally correct to withhold only the information that doesn't really serve the employee's growth or development.
3. Informing the staff of the possibility would, in my opinion, be the ethical course of action. Since this still gives them a chance to think about seeking for other jobs.
3. Informing the staff of the possibility would, in my opinion, be the ethical course of action. Since this still gives them a chance to think about seeking for other jobs. Although this choice is dependent on whether the employer gives the employees a notice period, if not, it is unquestionably appropriate to alert them to potential layoffs.
4. In my opinion, a formal letter would be more appropriate because dealing with people in person often makes them feel extremely out of place and gauche.
5. If your position is essential and crucial, and there is a constant need for you to perform it a role that might take some time to replace you must give this information to your superiors.
To know more Business information visit:
https://brainly.com/question/28179067
#SPJ4
assuming an economy is initially at potential output, in the long run, an expansionary monetary policy is expected:
Assuming an economy is at the beginning at achievable output, in the lengthy run, an expansionary economic coverage is expected: no longer to affect output in the long run.
-In the long run, an expansionary economic coverage does not have an effect on possible output and is translated alternatively into greater prices, no longer higher output
What is an expansionary monetary policy?Expansionary Monetary Policy
Also recognised as free monetary policy, expansionary coverage will increase the grant of money and deposit to generate economic growth. A central financial institution may installation an expansionist monetary coverage to decrease unemployment and improve increase for the duration of hard economic times.The remaining long-run effect of an increase in the cash furnish in a floating exchange fee device is a depreciation of the forex and no change in real GNP. In the transition process, there is an inflationary effect.
Learn more about expansionary monetary policy here:
https://brainly.com/question/28081661#SPJ4which target market the Beetle’s makers and promoters were aiming at.
Answer:
(I don't know if this is what your looking for but)Explanation:
The target segment for the new Beetle is 18-34 years olds and baby boomers
in a friendly phone call, herbert, a seller, told max, the buyer, that he would leave behind the swing set in the back yard. herbert took the swing set with him when he left. what do we know about this situation?
In a friendly phone call, herbert, a seller, told max, the buyer, Section 29 of the sales contract, the parties are put on notice that the entire contract is contained with the offer and related addenda.
The mutual rights and obligations of the parties to a contract are established, clarified, and governed by law. A contract usually entails the transfer of products, services, cash, or a promise to transfer any of those things at a later time. A buyer, also known as a purchasing agent, is in charge of buying products for a company, such as supplies or equipment. Their responsibilities also include taking stock of the current product line and negotiating deals with suppliers. Purchasing goods for a business to use or sell in their own enterprise falls under the purview of buyers. In-depth research, the capacity to manage an inventory, assess the quality of products, stay within a budget, and contract negotiations with suppliers are all necessary for this position.
Learn more about buyer here :
https://brainly.com/question/13954956
#SPJ4
if you borrow money on a single-payment loan and discover that you cannot pay it back when it is due, you should:
If you borrow money on a single-payment loan and discover that you cannot pay it back when it is due, you should: a. consolidate the loan.
A mortgage that you repay with one unmarried charge at the end of a specific time frame is called a single-fee mortgage. The adulthood fee of a mortgage is the total quantity you need to repay, together with the predominant and any interest you incur. The time period of the loan is the time for which it's been granted.
these notes payable require you to repay the lender the main borrowed plus the hobby charged multi-functional lump-sum fee through the due date certain in the notice.
unmarried-fee loans can be available in several one-of-a-kind bureaucracies. Many loans require the borrower to make numerous month-to-month bills until their loan is paid in complete. but, unmarried-fee loans are paid lower back with one massive charge by way of the due date determined by the lender. One not unusual shape of an unmarried-price mortgage is known as a payday loan.
To learn more about single-payment loans visit here:
brainly.com/question/27961161
#SPJ4
low entry barriers, strong supplier and buyer positions, high threat of substitutes and intense competitive rivalry, then the profit potential of the industry is likely to be:
If an industry is characterized by low entry barriers, strong supplier and buyer positions, high threat of substitutes and intense competitive rivalry, then the profit potential of the industry is likely to be monopolistic industry.
What is Monopolistic competition?
A market model known as monopolistic competition involves numerous businesses that provide unique items against one another. Although the products or services they offer to their clients are comparable, they are not substitutes.
Due to high selling prices, excess capacity, a lack of specialization, and unemployment, this market model—a sort of imperfect competition—is viewed as inefficient. It's important to note that businesses operating in monopolistic competition frequently spend substantial sums of money on advertising. This step is unnecessary because it raises the cost of a good or service and causes a business to lose leads and clients.
To know more about monopolistic competition refer:
https://brainly.com/question/21052250
#SPJ4
the time between when a recession begins and when the central bank lowers interest rates to stimulate aggregate demand is an example of an:
The time between when a recession begins and when the central bank lowers interest rates to stimulate aggregate demand is an example of an inside lag of monetary policy. (Option D)
What is inside lag?The time it takes for a government or central bank to react to an economic shock is known as the inside lag (or inside recognition and decision lag) in economics. It is the postponement of the execution of a monetary or fiscal policy.
In conclusion, internal lags cause delays in the execution of a policy since it takes time to pinpoint the issue and more time to put monetary measures into place. The central bank's or the government's delay in responding to the country's economic shock is referred to as the outer lag, in comparison.
Learn more about inside lag here: https://brainly.com/question/10576646
#SPJ1
The complete question can be found below:
The time between when a recession begins and when the central bank lowers interest rates to stimulate aggregate demand is an example of an:
A. inside lag of fiscal policy.
B. outside lag of fiscal policy.
C. outside lag of monetary policy.
D. inside lag of monetary policy.
Answer: Option D
equipment that had been acquired several years ago by a special revenue fund at a cost of $40,000 was sold for $15,000 cash. accumulated depreciation of $30,000 existed at the time of the sale. the journal entry to be made in the special revenue fund will include
a $5,000 credit to Other Financing Sources.
What are journal entries?
A business transaction is recorded in your books as a journal entry. For every transaction, double-entry bookkeeping requires at least two journal entries. A bookkeeper keeps track of all the changes that a transaction can bring about in a business with journal entries.
What's an example of a journal entry?
The country's purchase of machinery, for which the machinery account will be debited and the cash account will be credited, is an illustration of a journal entry.
What three entries are in the journal?
Journal entries fall into three main categories: adjusting, compounding, and reversing
What are credit and debit?
A transfer of value into an account is referred to as a debit entry, while a transfer of value out of an account is referred to as a credit entry. Value is transferred from credited accounts to debited accounts with each transaction.
Learn more about journal entry here:
https://brainly.com/question/14279491
#SPJ4
a person's salary is reduced by 6% one year due to necessary budget cuts. the next year (after business has improved) the person is given a 6% raise. is the employee's income back to where it was originally? explain your reasoning. if one's salary is $30,000 and decreased by 6% the salary would be $
The salary would be $28200 when it is decreased by 6%
A salary increment is a percentage-based increase in an employee's yearly wage. Employers use salary increments to more fairly and easily give annual raises, while individuals use this percentage as a reference point when negotiating pay increases. A salary increment system aids in improving the consistency, standardization, and scalability of the compensation process for businesses.
Original salary = $30000
Salary after reduction by 6% = 30000 - 6% of 30000
= 30000 - 1800
= 28200
Salar after raise is given = $29892
No, the employee's salary is not back to the original. It is less than the actual salary by $102
Learn more about salary:
https://brainly.com/question/14371457
#SPJ4
after a period of exercise, a person will breathe heavily for some time after the activity has ceased. what is happening during this time as the oxygen debt is being paid?
Even though the muscles no longer require the extra energy they did a few seconds earlier, the body responds to strenuous exercise by continuing to take deep breaths. This is due to the body's accumulation of an oxygen deficit.
Why does a person continue to struggle to breathe after doing a lot of exercise?
Your body uses more oxygen and produces more carbon dioxide when you exercise and make your muscles work harder. Your breathing must increase from approximately 15 times per minute (or 12 liters of air) when you are resting to approximately 40–60 times per minute (or 100 liters of air) when you are exercising in order to meet this additional demand.
What is involved in repaying the oxygen debt after muscle activity?
The liver and muscles need to turn the lactic acid back into pyruvic acid after exercise. A lot of the oxygen that the body is currently taking in does the conversion rather than being used elsewhere in order to accomplish that. This is called "repaying the debt," which is why it is called "oxygen debt."
Learn more about oxygen deficit here:
https://brainly.com/question/1176892
#SPJ4
Describe one downside to borrowing the maximum allowed amount of federal student loans.
The one downside to borrowing the maximum allowed amount of federal student loans is: you must repay back the loan.
What is federal student loans?Federal student loans can be defined as the loan given to college students so as to enables them pay for their tuition fees among others.
One of the disadvantage of downside of collecting this loan is that the student must repay back the loan amount given to them even if the student did not graduate from the college.
Therefore the downside of borrowing huge sum is that you must pay it back.
Learn more about federal student loan here:https://brainly.com/question/28199470
#SPJ1
real gdp is $8,000, autonomous consumption is $500, and planned investment spending is $200. the marginal propensity to consume is 0.8. if real gdp is $3,000, planned aggregate spending is:
Planned aggregate spending is 3100
C=Co + bY,
where Co is autonomous consumption and b represents MPC, Y is the GDP
C = 500+0.8*3000 = 2900
I = 200
AE = C+I = 2900+200 = 3100
Learn More about to GDP to Visit here
https://brainly.com/question/13511171
#SPJ4
question what is not a specific goal of u.s. economic policy? responses freedom freedom increased importation increased importation security security growth growth
The US economic policy does not specifically aim to promote entrepreneurship.
Explain about the Entrepreneurship?The process of starting, setting up, and operating a new company in order to make money while taking on financial risk is known as entrepreneurship.
A person who spots a need in the market and works to fill it is called an entrepreneur. The word has historically been used to describe a person who begins a business because they sense an economic opportunity in being able to meet a specified need.
An example of a small company enterprise might be a restaurant with only one location, a single grocery store, or a retail store where you may sell your handcrafted goods. These people typically invest their own money and are successful if their firm makes a profit, which they use to support themselves.
To learn more about Entrepreneurship refer to:
https://brainly.com/question/22477690
#SPJ4
barry company sells a patent for 25000 the patent had an acquistion cost of 120000 and accumulated amortization of 100000 at the time of the sale what was the amount of gain or loss recognized on the disposal of the patent
Acquisition Cost = 120,000 Selling Price = 25000
Amortization accumulated = 100,000
Value of the patent at the time of sale
= 120,000 - 100,000
= 20,000
Therefore, Gain or loss recognized on the time of disposal = 25000 - 20000
= 5000
Hence, Gain of 5000 recognized on the time of disposal.
Patent Amortization is the process through which corporate bodies allocate the value of patents (intangible assets) over a period of time.
Intangible Assets like patents and trademarks are written off into an expense account called Amortization, just as tangible assets are through depreciation.
To know more about Patent Amortization visit:
https://brainly.com/question/2507496
#SPJ4
cox construction, a company in its 10th year of business, purchased a piece of equipment on april 1, year 9, for $20,000. cox has used it for business purposes since the initial purchase date. the company depreciated the equipment using the macrs half-year table for 5-year assets. for tax purposes, what is the amount of accumulated depreciation expense for the equipment as of december 31, year 10?
The amount of accumulated depreciation for the equipment as of December 31, year 10 is $10, 400.
The fraction of a fixed asset considered consumed in the current period is referred to as the depreciation amount. The cost is after that added to expenses.
We have Given,
Cox construction, a company in its 10th year of business, purchased a piece of equipment on April 1, year 9, for $20,000. And cox has used it for business purposes since the initial purchase date. Then the company depreciated the equipment using the marcs half-year table for 5-year assets.
Now, we need to find the amount of accumulated depreciation for the equipment as of December 31, year 10
According to the definition of the depreciation amount,
It can be calculated through the following steps by using the purchase amount of equipment,
= 20000 x 0.2 = 4000
= 2000 x 32 = 6400
Now, we have to add these values in order to find the depreciation
= 4000 + 6400
= 10,400
Therefore, the depreciation amount is $10,400.
To learn more about depreciation, visit the link below:
brainly.com/question/14953121
#SPJ4
a wholesaler that carries a narrow range of products and performs all channel functions is referred to as a
a wholesaler that carries a narrow range of products and performs all channel functions is referred to as a specialty merchandise wholesaler.
What are wholesalers?Purchasing items in bulk at a reduced cost from a manufacturer and selling them to a retailer at a higher price for them to repackage and then sell to customers in smaller quantities at an even higher price is known as wholesaling.A company known as a wholesaler is one that purchases goods in bulk from the producer and then resells them in smaller quantities.A company that sells smaller quantities of goods directly to customers is a retailer.Products can be purchased from a wholesaler or directly from the manufacturer.To learn more about wholesaler refer,
https://brainly.com/question/28256108
#SPJ4
Louvers, incorporated, accepted a $15,000, 180-day, 10 percent note from a customer on may 31. Louvers plans to prepare financial statements as of june 30, the end of its fiscal year. Prepare the necessary june 30 adjusting entry for louvers by selecting the account names from the drop-down menus and entering the dollar amounts in the debit or credit columns.
The adjusting entry for Louvers will be:
Interest receivable......Dr. $125
Interest revenue...........Cr. $125
Journal entries known as adjusting entries are those that are made at the conclusion of an accounting period to change the final balances of various general ledger accounts.
Adjusting Journal Entry: Louvers, Inc.
Interest receivable......Dr. $125
Interest revenue...........Cr. $125
($15,000 × 10% × 30/360)
(To record interest receivable)
At maturity, a $125 interest payment calculated as ($15,000 x 10% x 30/360) is required. There were 30 days between May 31 and June 30.
Conclusion For Louvers, the essential June 30 adjustment input will be:
Interest receivable......Dr. $125
Interest revenue...........Cr. $125
Learn more about journal:
https://brainly.com/question/27159868
#SPJ4
jake is another investor who currently owns shares of esolver stock. he would like to place a particular kind of limit order, in which the order is canceled if it cannot be executed immediately at the specified price or better. this type of order is known as
Jake is another investor who currently owns settlement stock. he wants to place a specific type of limit order, where the order is canceled if it cannot be filled immediately at the specified price or better. This type of order is known as good-till-canceled order.
A Good-Till-Canceled (GTC) order is an order to buy or sell a stock that lasts until the order is completed or cancelled. Brokerage firms often limit the time an investor can open a GTC order. This timeframe can vary between brokers.
Daily orders will remain active during the current day and automatically canceled at the end of the day if they have not been filled. Otherwise, the GTC command remains in effect until it is executed or deleted.
To learn more about Good-Till-Canceled
https://brainly.com/question/28526764
#SPJ4
your company will generate $77,000 in annual revenue each year for the next seven years from a new information database. if the appropriate discount rate is 6.75 percent, what is the present value? (
The interest rate that the Federal Reserve charges banks for short-term loans is referred to as the discount rate, but the rate used to discount future cash flows in discounted cash flow (DCF) analysis is referred to as the discount rate.
The rate employed in discounted cash flow analysis to calculate the present value of future cash flows is sometimes referred to as the discount rate.
Year 1 / ( 1 + r )n Discounting at 6.75% (B)
1 1/(1.0675) 0.937
2 1/(1.0675*1.0675) 0.878
3 1/(1.0675*1.0675*1.0675) 0.822
4 1/(1.0675*1.0675*1.0675*1.0675) 0.770
5 1/(1.0675*1.0675*1.0675*1.0675*1.0675) 0.721
6 1/(1.0675*1.0675*1.0675*1.0675*1.0675*1.0675) 0.676
7 1/(1.0675*1.0675*1.0675*1.0675*1.0675*1.0675*1.0675) 0.633
Discount lending is a crucial tool of monetary policy in the banking industry and is a component of the Fed's role as the lender of last resort. If the compounding is to be done every six months, figure out the discount rate.
To know more about Discount, click here:-
https://brainly.com/question/15060398
#SPJ4
which of the following is one of the terms of a real estate contract? group of answer choices mechanical equipment must be in good condition title must be marketable price must be paid property must be free of all termites
Price must be paid is one of the terms of a real estate contract.
There are many different types of real estate and contract law. Real estate law deals with the buying, selling, and leasing of property. Contract law deals with the formation and performance of contracts. It is important to carefully review a lease before signing it, in order to understand the parties' rights and obligations.
Real estate law and contract law are both governed by state and federal laws. Real estate law is also governed by common law, which is a body of law that is based on court decisions, rather than statutes.
Hence the correct option is (C).
The question is incomplete, the complete question is:
Which of the following is one of the terms of a real estate contract?
A) Mechanical equipment must be in good condition.
B) Title must be marketable.
C) Price must be paid.
D) Property must be free of termites.
To know more about real estate, click here.
https://brainly.com/question/10336196
#SPJ4
a food distributor sells canned vegetables by the case to grocery stores. it offers discounts of 10 percent on orders of more than 20 cases, and 20 percent on orders of more than 50. this is an example of a
"A food distributor sells canned vegetables by the case to grocery stores. it offers discounts of 10 percent on orders of more than 20 cases, and 20 percent on orders of more than 50, is an example of Quantity Discount."
A quantity discount is a promotion given to a customer that lowers the price per unit of goods or materials when more of them are purchased. Sellers frequently provide a quantity discount to persuade buyers to make more significant purchases.
Manufacturers typically give bulk or large-quantity purchasers discounts. Due to the businesses' ability to help customers save more money, this motivates customers to make larger purchases. Typically, bulk orders from manufacturers are placed by merchants.
To learn more about Quantity Discounts here:
brainly.com/question/989427
#SPJ4
if an earthquake strikes, destroying a large number of factories, the long-run aggregate supply curve will move:
If an earthquake strikes, destroying a large number of factories, the long-run aggregate supply curve will move rightward.
When the aggregate supply curve shifts to the correct, then at each price index, a larger amount of real value is made. Value push inflation happens once provides of necessary commodities are unit briefly provided.
According to theory, a provide shock creates a cloth shift within the mixture provide curve and forces costs to scramble towards a replacement. The supply curve shifts to the correct as productivity will increase or the worth of key inputs falls, creating a mix of lower inflation, higher output, and lower state attainable.
To learn more about the aggregate supply curve, visit here
https://brainly.com/question/14020407
#SPJ4
the process of estimating the dividends and earnings that can be expected from the firm based on determinants of value is called a. business cycle forecasting. b. macroeconomic forecasting. c. technical analysis. d. fundamental analysis. e. none of the above.
The end goal is to come up with a number that an investor can compare to the current price of a security to see if other investors think it is undervalued or overvalued.
How Does Fundamental Analysis Work?
Fundamental analysis (FA) uses related economic and financial factors to determine a security's intrinsic value. An investment's intrinsic value is determined by the current market and economic conditions, as well as the financial situation of the issuing company.
From macroeconomic factors like the state of the economy and industry conditions to microeconomic factors like the efficiency of the company's management, fundamental analysts investigate anything that has the potential to influence the value of the security.
Learn more about Fundamental Analysis here:
https://brainly.com/question/22523967
#SPJ4
At the end of the year 2 accounting period, deyoung company determined that the market value of its inventory was $79,800. The historical cost of this inventory was $81,400. Defazio uses the perpetual inventory method. Assuming the amount is material, how will the entry necessary to reduce the inventory to the lower of cost or market affect the elements of the company’s financial statements?.
Using the method of perpetual inventory Assuming the amount is significant, the entry required to reduce inventory to the lower cost or market affects the financial statements of the company by decreasing total assets, gross margin, and net income.
A perpetual inventory system is a program that estimates your inventory on a continuous basis based on your electronic records rather than a physical inventory. This system starts with a physical count as a baseline and updates based on purchases made in and shipments made out.
A good's value can change over time. This is important because if the price at which the inventory can be sold falls below the item's net realizable value, resulting in a loss for the company, the lower of cost or market method can be used to record the loss.
Net sales are subtracted from direct expenses or cost of goods sold (COGS) to calculate the gross profit margin (gross revenues minus returns, allowances and discounts). The gross margin ratio is calculated by dividing that figure by net revenues and multiplying it by 100%.
For more information on perpetual inventory, visit :
https://brainly.com/question/22668595
#SPJ4
Pooja, Cathy, Huzefa, and Angela have come together to form a group based on their common interest of dining at new restaurants and writing about them in their blog. What kind of a group is this?
Pooja, Cathy, Huzefa, and Angela have come together to form a(n) ______ group.
Pooja, Cathy, Huzefa, and Angela have come together to form a(n) common interest group.
What is group?The term group refers to the two or more people are the involved on the particular activity. A group is an involved of the person are the based on the informal group. It was the people are to enjoy the person to the another person company.
The definition of a “interest group” is members of the group are chosen based on their interests. There was the interset are the common on the work to the new restaurants and also the blog writing.
As a result, the Pooja, Cathy, Huzefa, and Angela have come together to form a(n) common interest group.
Learn more about on group, here:
https://brainly.com/question/15560909
#SPJ1
if you were to calculate the yield on a security with a 10-year us treasury security, the yield will be equal to
If we were to calculate the yield on a security with a 10-year US treasury security, The yield will be equal to 6.20%
Nothing says "safety of principal" like Treasury securities when it comes to conservative investments. For decades, these instruments have served as a last line of defense against any potential loss of principal in the turbulence of the investment markets.
The guarantees that back these securities are regarded as one of the key pillars of both the domestic and international economies, and they are appealing to both individual and institutional investors for a variety of reasons.
Treasury securities are among the most secure investments because they are backed by the full faith and credit of the United States government.
Treasury securities are classified into three broad categories based on maturity. Treasury Bills, Treasury Bonds, and Treasury Notes are examples of these.
These Treasury securities are available for purchase directly from the US government through the TreasuryDirect.gov website or through a bank or broker.
Though treasuries are considered low-risk investments, they carry some risks, such as inflation and interest rate changes.
Treasuries have low yields because they are safe investments.
The interest paid on Treasury securities is federally taxable.
For more information on Treasury securities, visit :
https://brainly.com/question/15004124
#SPJ4