C: "Increasing public awareness and media sophistication" is the major trend that is contributing to the evolution of the practice of public relations in the United States.
The increasing public awareness and media sophistication means that people are more informed about different issues, have access to more sources of information and are able to critically analyze information. This has led to a greater expectation for transparency and accountability from organizations and has made public relations a more important part of an organization's strategy.
Public relations practitioners are now expected to have a deep understanding of the media landscape and to be able to effectively communicate and engage with various stakeholders through multiple channels. This trend is driving the evolution of the practice of public relations towards a more strategic, data-driven and creative field.
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which inventory costing method would a company that wishes to maximize profits in a period of rising prices use?
The FIFO system would use the least expensive goods from the warehouse during a time of rising prices, maximising profit. During periods of inflation.
The use of LIFO results in the highest estimate of cost of goods sold and the lowest net income of the three approaches. During a time of rising prices, the FIFO technique produces inventory values that are most closely related to the current inflation. According to FIFO, a company sells old inventory first and holds current inventory at the end of the period.In developing markets, FIFO produces the largest taxable income and the lowest cost of products supplied. You might prefer the specific identifying technique if you sell unique things like handmade jewellery.
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what problems would confront a mutual fund trying to create an index fund tied to an equally weighted index of a broad stock market?
A mutual fund trying to create an index fund tied to an equally weighted index of a broad stock market would cause the problems like repeated rebalancing of stocks would be required, which may also restrict the asset allocation funds.
An index fund can be ideally considered as the one that represents an index that already exists on the stock exchange. This fund is offered by the fund houses to investors who wish to grow their money at the rate which the index reflects. Usually, the fund charges very less handling fees due to lower rates of adjustment.
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what is the first thing that monica should to ensure that the company builds an effective virtual team
The first thing that Monica should to ensure that the company builds an effective virtual team is to choose team members carefully.
What is Virtual Team?A virtual team is often defined as a group of people who interact from various geographical places using communication technologies such as email, instant messaging, and video or audio conferencing services.
Monica's first step in ensuring that the organization establishes a successful virtual team is to carefully choose team members.
These employees seldom, if ever, meet in person and instead collaborate online. These teams may be temporary or supplemental to the workers' principal work team, or they may constitute the primary work team of a member.
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The creation of an appropriate sequence of activities belongs in which project management phase?
A. Controlling
B. Planning
C. Scheduling
D. PERT
The creation of an appropriate sequence of activities belongs in which project management phase is Planning.
"Scope management" was another name for this. An outline of the project's activities, tasks, dependencies, as well as timetables is prepared. By giving cost estimates for the costs of labour, equipment, including materials, the project manager organizes the creation of a project budget.
The process of figuring out and logging connections between project activities is known as sequencing activities. This method has the advantage of establishing a logical order for the project team's work, which will enhance productivity.
Therefore, the correct answer will be option (B).
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What are the total estimated sales of these five shoe brands for heavy internet users in the last 12 months? Based solely on the information that you analyzed, do you think it makes more sense for your company to: treat the whole market as homogeneous (no segmentation), use a single variable segmentation scheme (just gender, just age, just internet usage), or a multivariate segmentation scheme? Regardless of your answer, identify the advantages and limitations associated with your argument.
The total estimated sales of five shoe brands for heavy internet users in the last 12 months is not provided in the information analyzed.
Therefore, it is not possible to determine the best segmentation strategy for the company based solely on the information provided.
In general, multivariate segmentation schemes are more effective than single variable segmentation schemes because they allow for a more nuanced understanding of consumer behavior by considering multiple variables at once.
However, the advantages and limitations of different segmentation strategies depend on the specific market and consumer characteristics, and will need to be considered on a case-by-case basis.
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what three components should be included in the controls sections of the marketing plan?
The control section of the marketing plan should include performance measurement, feedback mechanisms, and adjustment strategies.
The control section of the marketing plan should include three main components:
Performance Measurement: The first component of the control section is performance measurement. This involves tracking and evaluating the results of the marketing plan against the established goals and objectives. Performance measurement should include metrics such as sales volume, market share, customer satisfaction, and return on investment.
Feedback Mechanisms: The second component of the control section is feedback mechanisms. Feedback mechanisms allow the marketing team to identify areas where the marketing plan is succeeding or where changes are needed. This can include customer surveys, market research, and competitor analysis.
Adjustment Strategies: The third component of the control section is adjustment strategies. This involves developing and implementing strategies for making adjustments to the marketing plan as needed. This can include modifying marketing strategies, adjusting the marketing budget, or making changes to the target market.
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a forecasting technique that takes the average demand for some past number of periods is called .
This forecasting technique is known as the moving average method. It takes the average demand from the past number of periods and uses it to predict future demand. This method is simple and works well for short-term forecasting. It is especially useful when the fluctuations in demand are not too drastic.
The moving average method is easy to implement and requires minimal resources. It does not require any in-depth knowledge of economics or marketing and can be used to quickly understand the current demand and predict future demand. The longer the number of past periods considered, the more accurate the forecast. However, if the demand fluctuates drastically, this method may not be as useful. In addition, it may be affected by outliers, which can lead to inaccurate forecasts.
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An economy is in long-run macroeconomic equilibrium. What will be the short-run effects of an increase in investment spending?
answer choices
O An increase in real output, an increase in unemployment, and a decrease in the price level
O An increase in real output, an increase in unemployment, and an increase in the price level
O An increase in real output, a decrease in unemployment, and an increase in the price level
O A decrease in real output, a decrease in unemployment, and a decrease in the price level
O A decrease in real output, a decrease in unemployment, and no change in the price level
Option c) An increase in real output, a decrease in unemployment, and an increase in the price level is the correct answer. The short-run effects of an increase in investment spending in an economy in long-run macroeconomic equilibrium are:
An increase in real output, a decrease in unemployment, and an increase in the price level. When investment spending increases, it raises aggregate demand and shifts the demand curve to the right, leading to higher demand for goods and services and an increase in real output (GDP). This higher demand for goods and services also leads to a higher demand for labor, causing a decrease in unemployment.
However, in the short run, the economy's aggregate supply may not be able to keep up with the increased demand, leading to a temporary increase in prices (inflation).
Overall, the short-run effects of an increase in investment spending are a complex interplay of changes in output, unemployment, and prices, which depend on the responsiveness of the economy's aggregate supply to changes in demand.
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what three aspects of cash flows affect an investment’s value?
The three main aspects of cash flows that affect an investment’s value are the timing, amount, and risk of the cash flows. The timing of cash flows refers to when the money is received or paid out; the sooner, the better.
The amount of cash flows affects the return on investment; larger amounts generate larger returns. Finally, the risk of cash flows affects the return by adding uncertainty; investments with higher risk are expected to yield higher returns.
To understand the effect of cash flows on an investments value, it is important to consider the present value of money. Present value is the sum of money in the present that is equivalent to a certain sum of money in the future, adjusted for the time value of money and the risk involved. The timing, amount and risk of cash flows affects the present value of the investment and, therefore, its value.
The sooner the cash flow, the larger its present value. The greater the amount of the cash flow, the more value it adds. Similarly, higher risk cash flows can command higher returns. Hence, the timing, amount, and risk of cash flows all affect the value of an investment.
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when dealing with a ________, managers must decide whether to invest in it in an attempt to build it into a star or cash cow or whether to phase it out.
when dealing with a question mark, managers must decide whether to invest in it in an attempt to build it into a star or cash cow or whether to phase it out. The question is from BCG matrix
The Boston Counseling Gathering Matrix (BCG Matrix), likewise alluded to as the product portfolio matrix, is a business arranging device used to assess the essential place of a company's image portfolio. The BCG Framework is one of the most well known portfolio examination strategies. It characterizes a company's item as well as administrations into an in pairs grid. Every quadrant is delegated low or elite execution, contingent upon the general piece of the pie and market development rate. Products in the question marks quadrant are in a market that is developing rapidly yet where the product(s) have a low piece of the pie. Question marks are the most authoritatively concentrated items and require broad speculation and assets to expand their piece of the pie. Interests being referred to marks are regularly subsidized with incomes from the gold mine quadrant.
In the most ideal situation, a firm would in a perfect world need to transform question marks into stars In the event that question marks don't prevail with regards to turning into a market chief, they wind up becoming canines when market development declines.
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There are 102 women and 48 men in a chool marching band. Find the ratio of women to men
102 women & 48 men make up a school marching band, making this same ratio for women to men 34:16, according to the supplied statement.
What would a lady today be considered?According to the revised Cambridge Dictionary definition, a woman is now described as "an adolescent whom lives as identifies as female despite getting been regarded to have an other birth gender." The dictionary also included several illustrations in line with the revised meaning.
102 females, 48 males
36 women and 48 men are obtained by dividing both sides by 3.
So, the gender split is 34:16 for males and women.
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Which line item is not an expense?
A. Sales and Marketing
B. General and Administrative
C. Property, Plant, and Equipment
D. Training and Professional Development
Option C. Property, Plant, and Equipment is the line of item which is not an expense.
Property can apply to both real objects, like homes, automobiles, or gadgets, as well as intangible items with the potential for future value, like securities and bond certificates. Property is an entity of legal rights that encompasses things or riches collectively and typically has an individuality ownership connotation. The complex of legal connections between and among people with regard to things is referred to as the term in law.
Equipment is a real long-term asset that provides value to a company over many years of operation. Equipment examples include cars, trucks, and manufacturing machines. They differ from intangible assets in that they have a physical form, making them tangible.
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refer to scenario 2.5. paul would like his sales for next month to reach $30,000. this is an example of a . a. sales analysis b. business-unit goal c. performance standard d. marketing strategy e. strategic plan
Paul's target of reaching $30,000 in sales for next month is an example of a c. performance standard.
What is performance standard?A performance standard is a specific, measurable and achievable target that an organization sets in order to measure its progress towards a certain goal. In this case, Paul has set a performance standard of reaching $30,000 in sales for the next month to measure the progress of his business towards its sales goal.
Therefore, performance standard is the correct answer.
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why should more than 1 person prepare and verify payroll processing
More than 1 person should prepare and verify payroll processing because-it Reduces human error; ethical purposes.
It still counts as a business expense even if you're not paying someone else to process payroll for you. This is due to the fact that your profit margin is reduced by the wages of your employees and your share of payroll taxes. Additionally, you might need to make the difficult choice to put off payments or take money from other sources if business is slow.
Paying staff via digital or direct deposit rather than paper checks is one way to lessen the impact of payroll on your cash flow. It is more challenging to guarantee that you always have enough money in your bank account when you don't know when someone will cash a paycheck. With direct deposit, you only have to pay payroll expenses on specific days of the week.
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a country experiences a rapid recession of its economy, which resulted in prices doubling every 12 hours. true or false
The statement "a country experiences a rapid recession of its economy, which resulted in prices doubling every 12 hours" is false.
While an economy, rapid recession can cause prices to increase, it is unlikely that prices would double every 12 hours. This level of inflation would be unsustainable and would cause the economy to spiral out of control.
An economy, rapid recession refers to a situation where a country's economy experiences a sudden and significant decline. In such a situation, the value of goods and services in the country decreases, leading to a rise in prices.
During an economy rapid recession, prices may rise due to a decrease in the supply of goods and services and an increase in demand.
This can lead to a situation where the prices of goods and services increase faster than the average person's income, making it more difficult for people to afford the things they need.
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on january 1, year 1, white car wash co. purchased a bond with a face value of $1000, maturing after 7 years. the coupon rate on the bond was stated to be 8%, payable semi-annually on june 30 and december 31. on january 1, year 5, it was estimated that tuco, the bond issuer, will be unable to service the rest of the interest payments. however, tuco promises to pay the principal due on maturity. how much credit loss should be recorded in the books of white? assume a discount rate of 10%.
On January 1, Year 1, White Car Wash Co. purchased a bond with a face value of $1000, maturing after 7 years. Credit loss of $203.14 should be recorded in the books of White
If it is anticipated that all investments in Held-to-Maturity Securities (principal or interest) will not be recovered. The difference between the Amortized Cost and the Present Value of Interest and Principal that will be collected is recognized as a credit loss.
The investment is now reported at the present value of the principal and interest that will be collected. The Carrying Value of the Bond is equal to the Amortized Cost of the Bond.
Carrying Value of the Bond on January 1, Year 1: $1,000 x Present Value of $1 at 5% for 14 periods + $40 x Present Value of Ordinary Annuity $1,000 x 0.505 + $40 x 9.8986 = $505 + $395.94 = $900.944
In this scenario, the bond's present value on January 1, Year 5 (after 8 Periods) is $1,000 × Present Value of $1 at 5% for 6 years 1,000 x 0.746 $746
White's credit loss = $949.14 - $746 = $203.14
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Correct question:
On January 1, Year 1, White Car Wash Co. purchased a bond with a face value of $1000, maturing after 7 years. The coupon rate on the bond was stated to be 8%, payable semi-annually on June 30 and December 31. On January 1, Year 5, it was estimated that Tuco, the bond issuer, will be unable to service the rest of the interest payments. However, Tuco promises to pay the principal due on maturity. How much credit loss should be recorded in the books of White? Assume a discount rate of 10%.
Given:
Present Value of $1 at 5% and n=14: 0.505
Ordinary Annuity of $1 at 5% and n=14: 9.8986
Present Value of $1 at 5% and n=6: 0.746
Ordinary Annuity of $1 at 5% and n=6: 5.0757
A $0
B $746
C $203
D $254
gia, incorporated, has sales of $678,000, costs of $340,000, depreciation expense of $84,000, interest expense of $52,000, and a tax rate of 21 percent. what is the net income for the firm? suppose the company paid out $41,000 in cash dividends. what is the addition to retained earnings? (do not round intermediate calculations.)
The net income for the firm is $202,000 ($678,000 - $340,000 - $84,000 - $52,000). The addition to retained earnings is $161,000 ($202,000 - $41,000).
What is the net income of GIA Incorporated, given its taxable income and taxes owed?The net income of GIA Incorporated can be calculated by subtracting the taxes owed from the taxable income. To find taxable income, we subtract depreciation expense, interest expense, and costs from sales. So, taxable income = $678,000 - $340,000 - $84,000 - $52,000 = $202,000. The taxes owed can be found by multiplying taxable income by the tax rate of 21 percent, so taxes owed = $202,000 * 21% = $42,420. Finally, the net income can be found by subtracting taxes owed from taxable income, so net income = $202,000 - $42,420 = $159,580.
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the heckscher-ohlin theory of international trade focuses on blank when explaining what a country chooses to export. multiple choice question. labor productivity factors of production geographic location forecast models
The Heckscher Ohlin theory of international trade focuses on factors of production when explaining what a country chooses to export.
The Heckscher-Ohlin model offers a mathematical justification for how a country ought to manage its resources and carry out intergovernmental trade. It pinpoints the ideal balance between two countries, each with their unique resources.
The trading of products is not restricted in the model. Additional production considerations, such labour, are also included. The idea is that as labour costs vary from nation to nation, those with low labour forces should focus primarily on producing goods that need a lot of labour. Some countries have large oil reserves but very little iron ore. However, some countries produce little agriculture but have easy access to and storage for valuable metals.
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What research have you undertaken to help you understand Citi and the program you are applying for?
I've conducted extensive research on Citi and the program I am applying for. I've read the company profile and Citi's annual report to gain insight into their culture and values. I've looked at the job description and the requirements listed to ensure that I am a suitable candidate.
Additionally, I've searched online for relevant news and articles to find out more about the company and the program.
To further my understanding of Citi and the program, I also reached out to former and current employees to learn more about their experiences. Through conversations with these contacts, I was able to gain a better understanding of the roles and responsibilities that come with the position, as well as Citi's mission and goals
Additionally, I asked questions about the onboarding process and the team dynamics. This in-depth research has allowed me to gain a deeper understanding of the company and the program, and prepared me for the job if I am offered the position.
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) in which ways does an ethical relativist approach to business ethics differs from an ethical absolutist approach?
According to absoluteism, morality is unchanging. Relativism, on the other hand, takes into account the context of events. So, whereas relativism supports equity, absolutism supports equality.
absoluteism, also referred to as absolute monarchy or despotic monarchy, is a form of government in which an unconstrained ruler receives unlimited, undivided, and uncontrolled power. This ruler is not subject to the rule of law and is not required to allow other organs to participate in governmental affairs. A notion of political power called "absolutism" was developed by historians to characterise a change in the early modern administrations of the main monarchs of Europe. anything that is unrestricted or unconstrained. anything not reliant on any or all relationships. a state of perfection or completion. Politics of unrestricted, concentrated power and absolute sovereignty, particularly as it is exercised by a monarch, is known as absolutism.
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1) incorporate foresight 2) provide an event horizon; 3) connect with current capabilities of the organization; 4) incorporate enduring core values; 5) be short 6) be memorable.
These six components are included in effective vision statements: combine foresight with an event horizon and connect to the organization's present capabilities.
There are three components to it: what you do, how you do it, and why you do it. A vision statement explains the organization's long-term objectives and expectations for the future, including its long-term development and global effect. A vision ought to bring the organisation together and offer a solid, overarching objective.
The vision should employ simple language instead of jargon and trendy terms. Another technique to make a vision statement clearer is to write succinct sentences. A strong vision statement establishes a hard yet abstract objective.
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why does a safe program consultant (spc) provide ongoing program consulting and team coaching?
They help lead the company from concept development to implementation and beyond. The Safe Program Consultant certification is a great way to expand your SAFe expertise.
It's an ongoing process, so you're always learning new things and gaining more experience over time. We all know that if we want to change something big, we have to take a hard road. But sometimes I don't know how to make this change.
This is where a Safe Program Consultant (SPC) comes in. SPCs are experts in each phase of the Safe implementation process: identifying value streams, implementing Agile release trains, and building Lean Agile portfolios. One of the key principles of SAFe is that implementations will only succeed if people are willing to work together.
For this reason, we have created a Program Advisor role and are responsible for making sure everyone is comfortable with the new structure. Once your organization is on the right track, make sure it keeps everyone on the right track and keeps the momentum going.
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What is the most advanced type of traditional postsecondary degree? a. bachelor's degree b. master's degree c. associate degree d. doctoral degree
Answer: d. doctoral degree
Explanation: A doctorate degree is the highest traditional academic degree.
what methods were used in boomerang juice?
Boomerang juice company likely used various methods in their operations, but specific information is not available without further context.
In general, a juice company may use various production and distribution methods, such as blending, bottling, labeling, and shipping, as well as marketing and sales strategies to reach customers. Other methods used could include sourcing and procurement of raw materials, quality control, and financial management. It is important to note that without more information, it is impossible to determine the specific methods used by Boomerang Juice.Boomerang juice company likely used various methods in their operations, but specific information is not available without further context.
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max’s company requires him to record the exact time when he starts and ends each repair job. on one job, he worked from 10:50 am to 11:26 am. what fraction of an hour did he spend on the repair?
To convert the time spent in minutes to a fraction of an hour, we need to divide the number of minutes by the number of minutes in an hour, which is 60.
To determine the fraction of an hour Max spent on the repair job, you can subtract the start time from the end time and convert the result to a fraction of an hour.
The start time was 10:50 AM and the end time was 11:26 AM, so the total time spent was 11:26 AM - 10:50 AM = 36 minutes.
To convert minutes to a fraction of an hour, divide the number of minutes by 60 (the number of minutes in one hour). So, 36 minutes ÷ 60 minutes = 0.6 hours.
Therefore, Max spent 0.6 hours on the repair job.
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Sugar can be refined from sugar beets. When the price of those beets falls,
A) the demand curve for sugar would shift right.
B) the demand curve for sugar would shift left.
C) the supply curve for sugar would shift right.
D) the supply curve for sugar would shift left
When the price of sugar beets falls the supply curve for sugar would shift left. (D)
A fall in the price of sugar beets would reduce the cost of production for sugar refineries, causing them to increase the quantity of sugar they are able to produce and supply at any given price.
This increase in supply would lead to a leftward shift of the sugar supply curve, which would result in a lower market price and an increase in the quantity of sugar supplied.
The shift in the supply curve is the result of a change in the cost of production and not in the demand for sugar, so the demand curve would not be affected.
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according to porter, firms that do not follow a distinctive strategy:
A. will perform poorly in the competitive market.
B. will build customer perceptions of superior product quality.
C. will avoid direct confrontation with their major competitors.
D. will operate within a broad product-market domain.
According to porter, firms that do not follow a distinctive strategy :will operate within a broad product-market domain. In this case, Option D is correct
Theorist of economics, corporate strategy, and social causes, Michael Eugene Porter was born in the United States on May 23, 1947
The Monitor Group, a consulting firm that is now a part of Deloitte, and FSG, a social impact consultancy, were both founded by him. Porter's five forces analysis, which is currently important in the development of business strategy, is credited to him with having invented it.
As the founder of the modern strategy field, he is widely regarded and honored. He is also regarded as one of the greatest business strategists the world has ever seen, as well as one of the world's most influential thinkers on management and competitiveness.
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Which two properties are required for every field?A: Field Size and FormatB: Field Name and Field SizeC: Default Value and Data Type
Answer: The correct answer of this particular question is field name and data type
Explanation: The simple meaning of this answer is field name is describer of particular matter to be deal in the organisation and data type describes the qualities that applies to all the values that are comtaoned in the field.
The correct option is A, Field Size and Format. Field size and format are two properties that are necessary for every field. The array size is the amount of storage space allocated to the array and must be large enough to accommodate the data type used.
Format is how the data is presented in the field, such as whether it is in text, number, or date format, and how it is formatted in terms of decimal places, currency, etc. The field name is also important to identify the field and distinguish it from other fields in the database. Finally, the data type is important because it defines what kinds of data can be stored in the field, such as text, numbers, or dates.
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true or false: the aicpa peer review program is an optional quality control mechanism for audit firms using aicpa auditing standards.
It is completely appropriate to be mentioning that the AICPA peer review program is optional for the firms that follow the auditing standards set by the AICPA. Thus, the statement aforementioned is false.
The AICPA peer review program is considered to be a type of program, which is rather mandatory to be followed by the firms that are already a part of the AICPA auditing standards. It has been made mandatory owing to the fact that both the standards and audits are handled under the similar process of operations, and also display higher compatibility.
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a bank quotes an interest of 12% per annum with quarterly compounding. what is the equivalent rate with (a) continuous compounding (b) annual compounding?
continuous compounding is 6.354% and annual compounding is 12.55% at interest rate of 12%.
given data:
interest rate = 12%
investor received = $1,100
time period = 18 months
invested amount = $1,000
a) continuous compounding
PVe^Rn = FV
1000*e^R*1.5 = 1100
e^(r*1.5) = 1.1
R*1.5 = ln(1.1)
r = 6.354%
b) Annual compounding:
(1+r) = (1+0.12/4)^4-1
R = 12.55%
In addition to the principal, a lender will charge a borrower interest as compensation for using their assets. A deposit account's earnings from money are also subject to interest rates at banks and credit unions. Simple interest is typically used in mortgages. Compound interest, on the other hand, is used in some loans and is applied both to the principle and to the interest accrued over time. A lender will charge a lower interest rate for a borrower they deem to be low risk. The interest rate on a loan with a high perceived risk will be greater. The interest rate on savings accounts and certificates of deposit that is earned at a bank or credit union is known as the annual percentage yield, or APY. Compound interest is utilised by savings accounts and CDs.
the complete question is:
A bank quotes you an interest rate of 12% per annum with quarterly compounding. What is the equivalent rate with annual compounding? An investor receives $1,100 in 18 months in return for an investment of $1,000 now. Calculate the percentage return per annum with continuous compounding.
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