Which of the following would not be considered a characteristic of money? A. It is a store of value B. It is a means of payment C. It must have intrinsic value D. It is a unit of account

Answers

Answer 1

It must have intrinsic value of the following would not be considered a characteristic of money. The correct option is C.

Thus, There is no requirement that money have intrinsic value. Modern economies primarily use fiat money, which means that its value is not based on any inherent value or backing from commodities.

Its value is instead determined by the faith and trust that people place in its capacity to function as a medium of exchange and a store of wealth.

Therefore, anything need not have intrinsic value in order to be regarded as money.

Thus,  It must have intrinsic value of the following would not be considered a characteristic of money. The correct option is C.

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Related Questions

A Treasury bond that matures in 10 years has a yleld of 6.00%. A 10 -year corporate bond has a yield of 9.50%4. Assume that the tiquility premium on the corporate bond is 0.60%. What is the defaul risk premium on the corporate bond? Round your answer to two decimal places.

Answers

The default risk premium on the corporate bond is 3.50%.

A Treasury bond that matures in 10 years has a yleld of 6.00%. A 10 -year corporate bond has a yield of 9.50%. The tiquility premium on the corporate bond is 0.60%.

To calculate the default risk premium on the corporate bond, we need to subtract the risk-free rate from the yield of the corporate bond.

Risk-free rate = Yield of Treasury bond = 6.00%

Yield of corporate bond = 9.50%

Default risk premium = Yield of corporate bond - Risk-free rate

Default risk premium = 9.50% - 6.00%

Default risk premium = 3.50%

Therefore, the default risk premium on the corporate bond is 3.50%.

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Lindsey invests $2000 in one account and $4000 in another account paying 4% lower interest. What was the interest rate of each account if she earned $560 in her first year? Lindsey invested $2000 at % and $4000 at Kayla invests $9000 in one account and $7000 in another account paying 1% lower interest. How much is in each account if she earned $410 in her first year? Kayla invested $9000 at 6 and $7000 at

Answers

For Lindsey's investments, the interest rate for the first account is 12% and the interest rate for the second account is 8%. However, the information provided for Kayla's investments is insufficient to determine the amounts in each account.

Let's assume the interest rate for the first account is x%, and the interest rate for the second account is (x - 4)%.

For Lindsey's investment of $2000 in the first account, the interest earned can be calculated as 2000 × (x/100).

For her investment of $4000 in the second account, the interest earned can be calculated as 4000 × ((x - 4)/100).

Given that she earned a total of $560 in the first year, we can set up the following equation:

2000 × (x/100) + 4000 × ((x - 4)/100) = 560

Simplifying the equation:

20x + 40(x - 4) = 560

20x + 40x - 160 = 560

60x = 720

x = 12

Therefore, the interest rate for the first account is 12%, and the interest rate for the second account is (12 - 4) = 8%.

For Kayla's investment, a similar approach can be used with the given information to determine the amount in each account. However, since the exact interest rates and amounts are not provided, the calculation cannot be performed without additional information.

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Which one is correct about behavioural segmentation?
Behavioural segmentation deals with consumers’ varied propensity in product use.
Lifestyle is an important variable in behavioural segmentation.
Personality is a common variable in behavioural segmentation.
Behavioural segmentation is the most common approach to segmenting markets.

Answers

Among the given options, that is correct about behavioural segmentation is that it deals with consumers’ varied propensity in product use.

The Behavioral segmentation is a type of market segmentation that is based on the analysis of consumer behavior. It is one of the most common ways of dividing up the market to identify different types of customers who have different needs, preferences, and behaviors. Behavioral segmentation is based on the idea that consumers' behavior is driven by a variety of factors, including their past behavior, their motivations, and their attitudes towards products and brands.Behavioral segmentation deals with consumers’ varied propensity in product use.

This means that it focuses on how consumers use and interact with products, rather than on demographic or psychographic factors. For example, a company might use behavioral segmentation to target consumers who are heavy users of a particular product or who have a particular set of product preferences.Lifestyle and personality are also important variables in market segmentation, but they are not specific to behavioral segmentation.

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Briefly discuss the main differences between traditional budgets and performance-based budgets (5 marks) Ghana's budgetary cycle has undergone several reforms (changes) over the years. Describe the current budget processes, clearly showing the changes over the years and the sources of those changes.

Answers

Traditional budgets and performance-based budgets are two types of budgets that organizations use. Traditional budgets are based on the previous year's budget and are used as a reference for the new year.

Traditional budgets focus on short-term goals and are static, meaning they don't change unless there is a major shift in the organization's goals or objectives. Performance-based budgets, on the other hand, are based on the organization's goals and objectives. They focus on long-term goals and are dynamic, meaning they change as the organization's goals and objectives change.

Performance-based budgets are designed to measure performance and provide incentives for employees to achieve the organization's goals. The main difference between traditional budgets and performance-based budgets is that traditional budgets are based on the previous year's budget, while performance-based budgets are based on the organization's goals and objectives. Another difference is that traditional budgets focus on short-term goals, while performance-based budgets focus on long-term goals.

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Which of the following is (are) time series data? I. Monthly receipts at an apparel shop II. Monthly demand for a technology item III. Dow Jones Index I only II only All of these III only QUESTION 5 Which of the following is (are) based on cross-sectional data? Select all that apply, and only those that apply! - Company quarterly profits from 2010 to 2017 - Percentage of American adults who work full time - The Dow Jones Industrial Index - Weekly sales of gasoline - Salaries of all Major League Baseball (MLB) players last season Company quarterly profits from 2010 to 2017 The daily Dow Jones Industrial stock market index. Salaries of all Major League Baseball (MLB) players last season Percentage of American adults who worked full time in 2018. Weekly sales of gasoline

Answers

According to the question time series data I. Monthly receipts at an apparel shop II. Monthly demand for a technology item III. Dow Jones Index.

All of the options presented are examples of time series data. Time series data refers to data collected over regular intervals of time, typically in chronological order.

I. Monthly receipts at an apparel shop: This data tracks the receipts collected each month, providing information on the shop's financial performance over time.

II. Monthly demand for a technology item: This data records the level of demand for a specific technology item on a monthly basis, allowing analysis of trends and seasonality.

III. Dow Jones Index: The Dow Jones Index is a stock market index that measures the performance of 30 large, publicly traded companies in the United States. It is updated continuously throughout trading hours and provides a historical record of stock market movements.

Therefore, all of the options listed (I, II, and III) represent time series data as they involve the collection of data over regular intervals of time.

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Identity, define and analyze :

a) All the legislation linked to management Control and skill Development in the BBBEE Codes .

b) How have they been aligned to BBBEE in order to harmonize the identified legislation?

2. Identify and explain the role of verification documents required during verification that are required for all categories (At o G) of the leadership matrix in skill Development?

Answers

The legislation linked to management control and skill development in the BBBEE Codes includes the Broad-Based Black Economic Empowerment Act (B-BBEE Act), the B-BBEE Codes of Good Practice, and various sector-specific charters.

These legislations aim to promote economic transformation and empower historically disadvantaged individuals in South Africa. The B-BBEE Act provides the legal framework for implementing BBBEE policies, while the Codes of Good Practice provide guidelines and scorecards for measuring compliance. The legislation mentioned above has been aligned to BBBEE in order to harmonize the identified legislation by establishing common standards and criteria for measuring compliance with BBBEE requirements. The legislation sets out specific targets and indicators for management control and skill development, such as the percentage of black ownership, employment equity, and skills development spend. By aligning the legislation to BBBEE, companies are required to comply with these targets and indicators, ensuring a consistent approach to promoting economic transformation and empowerment. The verification documents required during verification for all categories (A to G) of the leadership matrix in skill development include:
- Employment Equity Reports: These reports provide information on the company's progress in achieving equity in the workplace and the representation of designated groups. Workplace Skills Plan (WSP) and Annual Training Report (ATR): These documents outline the company's plans and activities for developing the skills of its employees. The WSP identifies skills gaps and training needs, while the ATR reports on the implementation of the training programs.
- Learnership and Skills Programs: Documentation related to learnerships and skills development programs, such as contracts, agreements, attendance registers, and proof of completion, may be required during verification. Skills Development Levies Act (SDLA) payments: Proof of payment of the SDLA, which is a compulsory levy paid by employers to fund skills development initiatives, may also be required. These verification documents provide evidence of the company's commitment to skills development and compliance with BBBEE requirements. They help assess the company's progress in developing the skills of its employees and contribute to achieving BBBEE targets in the leadership matrix.

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Give examples of industries in which demand forecasting is dependent in the demand for other products. 2. What are the three specific ways in which a computer-aided design (CAD) benefits the design engineer? 3. Pick a product that you are familiar with and produce a Bill of Materials (BOM).

Answers

1. Demand forecasting is dependent on the demand for other products in several industries. For instance, in the automotive industry, the demand for cars is closely tied to the demand for related products such as tires, batteries, and fuel.

2. Computer-aided design (CAD) offers several benefits to design engineers.

3. A Bill of Materials (BOM) is a comprehensive list of all the components, parts, and materials required to manufacture a product.

1. Forecasting demand is influenced by the demand for other items across many industries. For instance, in the auto sector, the demand for automobiles is tightly correlated with the need for concomitant goods like tires, batteries, and fuel.

In the same way, the need for accessories like cases, screen protectors, and chargers is influenced by the desire for smartphones. In the fashion industry, trends and the desire for ancillary goods like shoes and accessories both affect the demand for apparel.

2. Design engineers can profit from CAD in a number of ways. First off, it enables quicker and more effective design iterations, enabling engineers to readily examine various design choices. Second, CAD makes it easier for engineers to visualize the design through 3D modeling, which helps them comprehend how the product will look and work before it is produced. Last but not least, CAD software enhances design correctness and precision, minimizing errors and guaranteeing compatibility across various components or pieces.

3. A complete list of all the materials, parts, and components needed to make a product is called a bill of materials (BOM). As an illustration, let's use a computer as the product. A motherboard, CPU, memory modules, hard drive, power supply, case, graphics card, keyboard, mouse, and monitor would all be included in the BOM for a computer. A thorough inventory of all the components required for building the computer would be created by listing each one with detailed information like part numbers, quantities, and descriptions.

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At an interest of 15% per year, the equivalent amount of $10,000
one year ago is closest to:
a) less than $8700
b) between 8700-9200
c) between 9200-9700
d) Higher than 9700

Answers

The equivalent amount of $10,000 one year ago at an interest rate of 15% per year is higher than $9700.

To calculate the equivalent amount, we can use the formula for compound interest:

Future Value = Present Value * (1 + Interest Rate)^Time

Substituting the given values into the formula:

Future Value = $10,000 * (1 + 0.15)^1

Future Value = $10,000 * 1.15

Future Value = $11,500

Therefore, the equivalent amount of $10,000 one year ago, with a 15% interest rate, is $11,500. Since $11,500 is higher than $9700, the correct option is d) Higher than $9700. (Compound interest, future value)

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analyze each of the four transactions ernie’s electronics had with bert’s bargain house from the perspective of ernie's electronics. required: select the section of the statement of cash flows in which each of these items would be reported for ernie's electronics: operating activities (indirect method), investing activities, financing activities, or a separate noncash activities note.

Answers

Without specific details about the transactions between Ernie's Electronics and Bert's Bargain House, it is challenging to assign them to specific sections of the statement of cash flows accurately.

The classification of each transaction depends on the nature and purpose of the transactions. Generally, operating activities encompass day-to-day operational cash flows, investing activities involve long-term asset transactions, financing activities include capital-related cash flows, and noncash activities notes to highlight significant noncash transactions. To ensure proper classification, it is important to analyze the specific details of each transaction, such as whether they involve revenue, expenses, investments, financing activities, or noncash items.

This analysis will provide a clear understanding of where the transactions should be reported in Ernie's Electronics' statement of cash flows.

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Your business is up and running and you aren’t losing money. It’s time to grow your business and bring in more revenue. You decide to hire a Sales Manager whose sole job is bringing customers into your door.

How will you compensate them? Of the target compensation, how much is delivered through base salary versus target incentives?
How many different components or performance measures are used in the sales compensation plan? What are they? For your responses, put your Sales Applicant hat on.
Is this job appealing to you?
Would you try to renegotiate this compensation plan or performance measures? This should be another section since it is the second part of the discussion.

Answers

The compensation for a Sales Manager role can be structured using a combination of base salary and target incentives and the specific breakdown between base salary and target incentives can vary depending on factors such as industry norms and the company's financial situation.

the compensation for a Sales Manager role can be structured in a variety of ways, but there are some common elements that are typically included. The base salary is the guaranteed portion of the compensation, and it is typically paid out on a regular basis, such as monthly or biweekly.

The target incentives are the variable portion of the compensation, and they are paid out based on the achievement of certain performance goals. The performance measures that are used to determine the target incentives can vary, but some common measures include sales revenue, customer acquisition, sales growth, and customer satisfaction.

If you are considering a Sales Manager role, it is important to understand the compensation structure and the performance measures that will be used to determine your compensation. You should also be prepared to negotiate the compensation package to ensure that it is fair and meets your needs.

Whether or not this job is appealing to me depends on my personal preferences and career goals. Some sales professionals may find the opportunity to grow a business and drive revenue appealing, while others may prefer a different role within the organization. It is important to evaluate the overall package, including compensation, job responsibilities, and potential for growth.

If I were considering this role and found aspects of the compensation plan or performance measures unsatisfactory, I would approach the negotiation process with the aim of finding a mutually beneficial solution.

This could involve discussing alternative performance measures that align better with the job responsibilities or negotiating for a more competitive compensation package.

However, it is essential to approach the negotiation process professionally and with a clear understanding of the company's needs and constraints.

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The cost of this project is $72M today, the project will generate $18M in the first year and this cash is expected to grow by 2% each year forever. what is the NPV of this project ? should PERSON X accept this project? What is the internal rate of return (IRR) for this project? based on the IRR rule should person X accept this project? Does the IRR rule give the same answer as the new rule?

Answers

The net present value (NPV) of the project is approximately $5.11 million. Person X should accept this project because the NPV is positive. The internal rate of return (IRR) for this project is approximately 5.56%.

Based on the IRR rule, Person X should accept this project if the required rate of return is lower than 5.56%. The IRR rule does not give the same answer as the NPV rule in this case since the NPV is positive but the IRR is below the required rate of return.

To calculate the NPV, we discount the future cash flows to their present value and subtract the initial cost. The cash flows are expected to grow by 2% each year forever, so we can use the perpetuity formula:

PV = CF / (r - g)

Where:

PV = Present value of cash flows

CF = Cash flow in the first year ($18 million)

r = Discount rate (required rate of return)

g = Growth rate (2%)

The initial cost of the project is $72 million. Therefore, the NPV is:

NPV = PV - Initial cost

= ($18 million / (r - 0.02)) - $72 million

To find the NPV, we need to determine the discount rate (r) that makes the NPV zero. This is equivalent to finding the IRR. By solving the equation, we find that the IRR is approximately 5.56%.

Based on the IRR rule, Person X should accept the project if the IRR is higher than the required rate of return. However, since the IRR (5.56%) is lower than the required rate of return, Person X should not accept the project based on the IRR rule.

The NPV rule and the IRR rule do not give the same answer in this case. The NPV is positive ($5.11 million), indicating that the project is expected to generate value. However, the IRR is lower than the required rate of return, suggesting that the project may not meet the required profitability threshold. Therefore, while the NPV rule suggests accepting the project, the IRR rule suggests rejecting it.

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Comment on how monetary and fiscal policies can help achieve economic growth of darwin city.
(400 words).

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Monetary and fiscal policies play crucial roles in influencing and facilitating economic growth in a city like Darwin.

Darwin, being the capital city of the Northern Territory in Australia, can benefit from appropriate monetary and fiscal policies to stimulate economic growth. Here, we will discuss how these policies can contribute to Darwin's economic growth.

Monetary Policy:

Monetary policy refers to the actions taken by the central bank to regulate the money supply and interest rates. In Darwin, the Reserve Bank of Australia (RBA) formulates and implements monetary policy.

Interest Rate Management: By adjusting interest rates, the central bank can influence borrowing costs for individuals and businesses.

Fiscal Policy:

Fiscal policy involves the use of government spending and taxation to influence economic conditions. The following are ways fiscal policy can support economic growth in Darwin:

Infrastructure Investment: The government can allocate funds for infrastructure development in Darwin, such as transportation networks, public utilities, and communication systems.

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Define the terms Net National Product (NNP) and Real Per Capita GDP. Provide two examples that explain the limitations of using real per capita GDP as a measure of economic and social wellbeing when comparing different countries. Assume that the real per capita GDP in these countries is measured in a common currency and there are no exchange rate fluctuations.

Answers

Net National Product (NNP) is defined as the monetary value of all goods and services produced by a country's citizens and businesses, including those produced abroad, minus the depreciation of capital.

Real Per Capita GDP is defined as the total Gross Domestic Product (GDP) of a country divided by its population, adjusted for inflation. The measure is used to gauge the economic wellbeing of a country's citizens on average. Two examples that explain the limitations of using real per capita GDP as a measure of economic and social wellbeing when comparing different countries are as follows:

Example 1: Real per capita GDP does not account for income inequality within a country. This means that a country with a high real per capita GDP may have a significant portion of its population living in poverty and therefore, have lower social wellbeing. For instance, Country A and Country B have the same real per capita GDP, but Country A has a higher level of income inequality. Country B has a higher level of social wellbeing.

Example 2: Real per capita GDP does not account for non-monetary factors such as access to healthcare, education, and basic human needs. A country with high real per capita GDP may still have poor social wellbeing due to lack of access to basic services. For example, Country C and Country D have the same real per capita GDP, but Country C has better healthcare and education systems. Therefore, Country C has higher social wellbeing.

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Conservation of angular momentum requires the rate of change of angular momentum of a moving and deforming material volume to be equal to the sum of torques acting on the material volume. In the absence of body or surface couples, the torques on the material volume are simply the moments of forces acting on the fluid. The angular momentum of a point particle of momentum p is x∧p and the torque associated with a force F is L=x∧F. a. Write the mathematical statement of this conservation principle for an arbitrary material volume. The Reynolds transport theorem (Leibnitz formula) for the time rate of change of a volume integral over a material volume is given by
dt
d


V(t)

bdV=∫
V


∂t
∂b

dV+∫
∂V

bn⋅udA Use this tool to obtain the differential form of conservation of angular momentum. b. Subtract the moment of the Cauchy equation (conservation of linear momentum) from the differential form of conservation of angular momentum to show that the stress tensor must be symmetric.

Answers

Mathematical statement of this conservation principle for an arbitrary material volume is expressed in the form:  

∂L / ∂t = ΣT where L is angular momentum and T is torque acting on the material volume.

In the absence of body or surface couples, the torques on the material volume are simply the moments of forces acting on the fluid.

The moment of the Cauchy equation (conservation of linear momentum) subtracted from the differential form of conservation of angular momentum to show that the stress tensor must be symmetric is given by:

∂iσij = ρ Fi

where σij is the stress tensor, ρ is density and Fi is the body force.

Applying the differential form of conservation of angular momentum and subtracting from it, the Cauchy equation yields the following equation:

∂iσij - ∂jσii = εijk ∂j(ρuiuk)

As per the definition of stress tensor, σij = σjiSo, we get,

∂iσij - ∂jσii = 2 ∂j(σji) = 2εijk ∂j(ρuiuk)

Therefore, ∂iσij = ∂jσiiThis shows that the stress tensor must be symmetric.

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The USPS charged $0.50 per stamp in 2021, and allows stamps.com to sell a sheet of twenty $0.50stamps with personalized photos for $1.20 per stamp. Stamps.com keeps the extra beyond the $0.50 it pays the USPS. If stamps.com is acting as a profit maximizing monopolist, what is their Lerner Index and what is the price elasticity of demand for a customized stamp?

Suppose a movie theater determines that the elasticity of demand for movie tickets is -2.0 for senior citizens and –1.5 for adults under age 65, and the marginal cost is $2 per consumer. Use the Lerner index to determine the price senior citizens should be charged and the price adults under age 65 should be charged in order to maximize profits

Answers

For a customized stamp, the price elasticity of demand = -2. The price senior citizens should be charged to maximize profits is $4. The price adults under age 65 should be charged to maximize profits is $3.67.

Let the price of stamps from USPS = P and the quantity of stamps sold by stamps.com = Q. Substituting in the given data: Revenue from each sheet of stamps = P * 20 = $10Cost incurred by stamps.com to purchase these stamps from USPS = 20 * 0.5 = $1Profit earned by stamps.com = 1.20 - 1 = $0.20Now, for calculating the Lerner index, we use the formula,L = (P - MC) / PWhere, L = Lerner indexMC = marginal costP = price.

Using the given data, we get: L = ($1.20 - $0.50) / $1.20L = 0.583This means that the price is 58.3% greater than the marginal cost. Price elasticity of demand is calculated as the percentage change in quantity demanded divided by the percentage change in price. Using the same data, let's calculate price elasticity of demand, Percentage change in price = (1.20 - 1) / 1 = 0.20 or 20%Percentage change in quantity demanded = (20 - Q) / Q.

Therefore, price elasticity of demand = [(20 - Q) / Q] / (0.20)Simplifying, we get,-2 = [(20 - Q) / Q] / (0.20)Therefore, the quantity demanded is, Q = 150For a customized stamp, the price elasticity of demand = -2 and the quantity demanded is 150.

Suppose a movie theater determines that the elasticity of demand for movie tickets is -2.0 for senior citizens and –1.5 for adults under age 65, and the marginal cost is $2 per consumer. Use the Lerner index to determine the price senior citizens should be charged and the price adults under age 65 should be charged in order to maximize profits. We know that, L = (P - MC) / PL = (P - $2) / P.

For senior citizens, L = -2Using the formula, we get,-2 = (P - $2) / P. Therefore, the price senior citizens should be charged to maximize profits is $4.For adults under age 65, L = -1.5Using the formula, we get,-1.5 = (P - $2) / P. Therefore, the price adults under age 65 should be charged to maximize profits is $3.67 (approx).

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Fun in the Sun incorporation compiled some financial information as of December 31, 2022: Common stock $32,000 Service revenue $170,000 Equipment $49,000 Salary expenses $74,000 Interest expenses $5,000 Cash $26,000 Dividends $14,000 Supplies $9,000 Insurance expenses $1,000 Accounts payable $10,000 Accounts receivable $18,000 etained earnings, 1/1/22$46,000 In in the Sun Inc.'s net income for 2022 is: Fun in the Sun Incorporation compiled some financiat information as of December 31,2022 Common stock $32.000 Service revenue $170,000 Equipment $49,000 Salary expenses $74,000 Interest expenses $5,000 Cash $26,000 Dividends $14,000 Supplies $9,000 Insurance expenses $1,000 Accounts payable $10,000 Accounts receivable $18,000 Retained earnings, 1/1/22 $46,000 un in the Sun Inc's Retained earnings as of 12/31/22 tained earnings end=Retained earnings beginning + Net income-Dividends

Answers

Solving for net income, we get: Net income = $182,000 - $46,000 + $14,000Net income = $150,000. Fun in the Sun Incorporation's net income for 2022 is $150,000.

Fun in the Sun Incorporation's net income for 2022 can be calculated as follows: Retained earnings end=Retained earnings beginning + Net income - Dividends$46,000 (Retained earnings, 1/1/22) + Net income - $14,000 (Dividends) = Retained earnings as of 12/31/22

The sum of all the given financial information, less dividends, is: $32,000 (Common stock) + $170,000 (Service revenue) + $49,000 (Equipment) - $74,000 (Salary expenses) - $5,000 (Interest expenses) + $26,000 (Cash) + $9,000 (Supplies) - $1,000 (Insurance expenses) + $18,000 (Accounts receivable) - $10,000 (Accounts payable) = $214,000

So: $46,000 + Net income - $14,000 = $214,000

Solving for net income, we get: Net income = $182,000 - $46,000 + $14,000Net income = $150,000

Therefore, Fun in the Sun Incorporation's net income for 2022 is $150,000.

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The _________ measures the return to investors if they buy a bond at the asked price and hold it to maturity. multiple choice question.

Answers

The yield to maturity measures the return to investors if they buy a bond at the asked price and hold it to maturity.

The return an investor anticipates receiving on a bond over the course of its term until maturity is known as yield. The bond yield, for the investor who bought the bond, is an overview of the entire return that takes into account the remaining interest payments and principal they will receive in relation to the bond's purchase price. The bond yield represents the annual cost of borrowing for a bond issuer when issuing new bonds. For instance, if the yield on three-year Australian government bonds is 0.25 percent, the cost for the Australian government to borrow in the bond market by issuing a new three-year bond would be 0.25 percent per year for the following three years.

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Complete question is:

The _______ measures the return to investors if they buy a bond at the asked price and hold it to maturity.

a. yield to maturity

b. yield curve

c. current yield

d. opportunity cost of capital


I
want to proposal about
(The way of profit in used clothes )

I want
1-INTRODUCTION
2-BACKGROUND
OF THE PROGRAMME
3-CONCLUSION

Answers

Title: Proposal for Profiting from Used Clothes

1. Introduction:
The proposal aims to explore the ways of generating profit from used clothes. As sustainability and conscious consumerism gain momentum, the market for second-hand clothing has expanded. This proposal presents strategies to capitalize on this trend, benefiting both the business and the environment.

2. Background of the Programme:
a. Market Analysis: Begin by conducting market research to identify the demand for used clothes in your target area.   Explore the preferences, buying patterns, and demographics of potential customers.
b. Sourcing and Quality Control: Establish partnerships with thrift stores, consignment shops, and individuals to acquire a diverse range of high-quality used clothes. Implement strict quality control measures to ensure customer satisfaction.
c. Inventory Management: Develop a system to organize and categorize the inventory efficiently. This will enable easy tracking, pricing, and showcasing of the items.

3. Profit Generation Strategies:
a. Online Platform: Create an e-commerce website or join established platforms for selling used clothes. Optimize the platform for search engines and provide detailed product descriptions, images, and payment options.
b. Marketing and Promotion: Develop a comprehensive marketing plan to reach potential customers. Utilize social media, targeted advertisements, and collaborations with influencers to increase brand visibility.
c. Customer Experience: Offer exceptional customer service, including fast shipping, easy returns, and personalized recommendations. Encourage customer feedback and reviews to build trust and loyalty.
d. Strategic Pricing: Set competitive prices based on the condition, brand, and demand for each item. Consider offering discounts or bundle deals to attract customers.
e. Sustainability Focus: Highlight the environmental benefits of buying used clothes to attract conscious consumers. Promote the concept of reducing waste and promoting a circular economy.

4. Conclusion:
This proposal outlines a systematic approach to profit from the growing market for used clothes. By understanding customer preferences, sourcing high-quality inventory, implementing effective marketing strategies, and focusing on sustainability, the business can thrive in this industry. With proper execution, your venture can be a profitable and socially responsible endeavor.

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The way of profit in the used clothes business involves sourcing reliable inventory, carefully sorting and selecting items, implementing a competitive pricing strategy, leveraging effective marketing and sales channels, and prioritizing customer satisfaction.

Title: The Way of Profit in Used Clothes

Introduction:
The used clothes market can offer profitable opportunities for individuals and businesses alike. In this proposal, we will explore the various aspects of profit in the used clothes industry. We will discuss the background of the program, including market trends and consumer preferences. Finally, we will conclude by summarizing the potential benefits and opportunities in this industry.

1. Background of the Programme:
To maximize profit in the used clothes business, it is essential to understand the following key factors:

a) Sourcing: Begin by identifying reliable sources for acquiring used clothes. These may include donations, thrift stores, or even international suppliers. Establishing relationships with reliable suppliers is crucial to ensure the availability and quality of inventory.

b) Sorting and Selection: Once the clothes are obtained, they should be sorted meticulously. Assess the condition, quality, and demand for each item. This process allows for the identification of valuable pieces that can yield higher profits.

c) Pricing Strategy: Develop a pricing strategy that takes into account factors such as brand reputation, condition, and current market demand. Consider conducting market research to ensure competitive pricing that attracts customers while maximizing profit margins.

d) Marketing and Sales Channels: Determine the most effective marketing and sales channels for reaching your target audience. This may involve establishing an online presence through e-commerce platforms or utilizing social media to promote your products. Additionally, consider collaborating with local boutiques or consignment stores to expand your customer base.

e) Customer Satisfaction: Building a loyal customer base is crucial for sustained profit. Provide excellent customer service and maintain high-quality standards. Positive reviews and word-of-mouth recommendations can significantly impact the growth and profitability of your used clothes business.

2. Conclusion:
Profit in the used clothes industry can be achieved through careful planning, strategic sourcing, effective marketing, and prioritizing customer satisfaction. By staying up-to-date with market trends and consumer preferences, you can seize opportunities and maximize your profits. Remember to continually evaluate and adapt your strategies to remain competitive in this dynamic industry.

Therefore, the way of profit in the used clothes business involves sourcing reliable inventory, carefully sorting and selecting items, implementing a competitive pricing strategy, leveraging effective marketing and sales channels, and prioritizing customer satisfaction.

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does jk rowling make money from hogwarts legacy sales

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Answer: Yes because its based off his book

Explanation:

Which of the following is the most appropriate definition of a duty? A. An individual's personal or specific basis of conduct or management B. Something an individual is expected or required to do, whether morally or legally obligated C. A perspective one holds toward values and judgements D. The capacity of an individual to make free and deliberate choices

Answers

The most appropriate definition of a duty is "Something an individual is expected or required to do, whether morally or legally obligated."

A duty refers to the actions that an individual is expected or required to do and can arise from moral or legal obligations. For example, if a manager is responsible for the safety of their employees, it is their duty to ensure that the workplace is safe and all safety regulations are followed.

Option B: Something an individual is expected or required to do, whether morally or legally obligated is the most appropriate definition of a duty.

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The public company accounting oversight board (pcaob)______.

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The Public Company Accounting Oversight Board (PCAOB) is a nonprofit corporation established by the Sarbanes-Oxley Act of 2002 in response to accounting scandals such as Enron and WorldCom.

The PCAOB oversees and regulates registered public accounting firms that audit publicly traded companies in order to protect the interests of investors and the public.

The PCAOB requires public accounting firms that audit public companies to register with the PCAOB and undergo regular inspections. These inspections assess the quality of the firms' audit work and compliance with professional standards.


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A _______ gives its holder the right to sell an asset for a specified exercise price on or before a specified expiration date? futures contract interest rate swap put option

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A put option gives the holder the right, but not the obligation, to sell an asset for a specified exercise price on or before a specified expiration date. Hence C is correct.

The buyer of a put option believes that the underlying asset will decrease in value before the expiration date. If the asset price does decrease, the buyer of the put option can exercise the option and sell the asset at the exercise price, even if the asset's market price is lower.

A futures contract is an agreement to buy or sell an asset at a specified price on a specified future date. An interest rate swap is a financial contract in which two parties agree to exchange interest payments on a loan.

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________ involves evaluating the mix of products and businesses that make up the company.

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Portfolio analysis involves evaluating the mix of products and businesses that make up the company.

Portfolio evaluation entails assessing and comparing the collection of products and companies within a business enterprise to decide their strategic fit, overall performance, and potential for growth. It is an important control device used to make informed selections about aid allocation, investment priorities, and overall business strategy.

Through portfolio evaluation, agencies can examine their product portfolio, commercial enterprise devices, or marketplace segments to perceive areas of energy, weak point, and possibility. This evaluation regularly consists of assessing elements together with marketplace proportion, profitability, increase potential, competitive position, and alignment with the organization's overall goals.

By analyzing their portfolio, corporations can make strategic choices to optimize useful resource allocation, divest underperforming products or agencies, spend money on promising possibilities, and make certain a balanced and competitive product blend that aligns with their long-term desires. Portfolio analysis offers a dependent technique for handling the diverse elements that make up a corporation's commercial enterprise portfolio, facilitating effective decision-making and resource control.

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Required information [The following information applies to the questions displayed below] The September 30 bank statement for Cadieux Company and the September ledger account for cash are summartzed here: No outstanding checks and no deposits in transit were noted in August. However, there are deposits in transit and checks outstanding at the end of September. The NSF check and EFT involved transactions with Cadleux Company's customers. Requtred: 1. Prepare a bank reconcliation. 2. Prepare any journal entries that should be made as the result of the bank reconcliation (If no entry is required for a transaction/event, select "No Joumal Entry Required" In the first account field.) Journal entry worksheet Record the electronic funds transfer of $150 made by a customer on their account. Woto: Enter debita before credits. Journal entry worksheet Record the service charges of $20 deducted by the bank. Note: Entor debltw befare credits. Journal entry worksheet B Record the return of the customer check of $100 due to insufficient funds. Note: Enter debits before credits. Journal entry worksheet B Earlier this month, check #104 was recorded as a $50 cash payment. The check is still outstanding at the end of the month. Note: Enter debits before credits: Journal entry worksheet On September 30 , a deposit of $2,500 was recorded, but the deposit was still in transit at the end of the month. Note: Enter debits before credits. 3. What should the balance in the Cash account be after recording the journal entries in requirement 2 ? 4. If the company also has $400 of petty cash on hand (recorded in a separate account), what total amount of cash should the company report on the September 30 balance sheet?

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The balance in the Cash account after recording the journal entries will be the reconciled balance from the bank statement, and the total amount of cash on the September 30 balance sheet will include the reconciled Cash account balance and the amount of petty cash on hand.

The bank reconciliation process involves comparing the bank statement with the company's cash ledger to identify any discrepancies. This includes adding deposits in transit, deducting outstanding checks, and accounting for other adjustments such as bank fees or errors. By completing the reconciliation, the adjusted cash balance on the bank statement should match the company's cash ledger balance.

The journal entries resulting from the bank reconciliation will involve recording specific transactions. For example, the electronic funds transfer of $150 made by a customer would be recorded as a debit to the Cash account and a credit to the corresponding revenue or accounts receivable account. The service charges of $20 deducted by the bank would be recorded as a debit to the appropriate expense account and a credit to the Cash account. The return of the customer's check for $100 due to insufficient funds would be recorded as a debit to Accounts Receivable and a credit to the Cash account.

After recording the journal entries resulting from the bank reconciliation, the balance in the Cash account will reflect the reconciled cash balance from the bank statement. This balance takes into account the adjustments made during the reconciliation process, such as adding deposits in transit, deducting outstanding checks, and accounting for other transactions.

The total amount of cash reported on the September 30 balance sheet will include the balance in the Cash account (after recording the journal entries) and the amount of petty cash on hand. If the company has $400 of petty cash, this amount would be added to the balance in the Cash account to determine the total amount of cash reported on the balance sheet.

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A hedge fund:
A.may charge relatively high fees.
B.must be registered if there are ten or more investors.
C.is generally structured as a corporation.
D.is limited to $1 million in assets.
E. is fairly complicated to legally establish.

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“A hedge fund” is that it may charge relatively high fees.A hedge fund.

A hedge fund is an investment partnership between one fund manager and a group of accredited investors. The manager invests the pooled capital of the fund in various financial instruments or strategies to earn higher returns than conventional investments. Hedge funds are known for their exclusive nature and the high risk involved, making them a less accessible investment option for most investors.However, they can be a lucrative investment option for those who can invest large amounts of capital. Hedge funds are known for their high minimum investments, exclusive partnerships, and sophisticated investment strategies that are not available to the public.They are managed by professional fund managers and can be structured in various ways, including limited partnerships, limited liability companies, or offshore entities, depending on the laws of the jurisdiction in which they are established. A hedge fund may charge relatively high fees, sometimes up to 2% of the assets managed and 20% of the profits.

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which term is used for the worldwide collection of computers linked together for use by businesses, governments, educational institutions, other organizations, and individuals using modems, phone lines, television cables, satellite links, fiber-optic connections, radio waves, and other communications devices and media?

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The term utilized for the overall assortment of PCs connected together for use by organizations, states, instructive establishments, different associations, and people is the "Internet."

The Internet is a worldwide organization that empowers correspondence, data sharing, and different internet based administrations using different correspondence innovations, for example, modems, telephone lines, TV links, satellite connections, fiber-optic associations, radio waves, and the sky is the limit from there.

The Internet fills in as a worldwide foundation that works with the exchange of information and empowers clients to get to an abundance of data, speak with others across the world, direct business, take part in internet based networks, and substantially more. It has turned into a fundamental device in different spaces, including training, research, trade, amusement, and government.

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An undergraduate engineering student and her husband operate a pet-sitting service to help make ends meet. They want to add a daily service of a photo placed online for pet owners who are traveling. The estimates are: equipment and setup cost $950; net monthly income over costs $70. Over a period of 3 years, will the service make at least 12% per year compounded monthly?

Answers

Yes, the service will make at least 12% per year compounded monthly over a period of 3 years.

The present value of the income from the service for the first year is calculated as the monthly income of $70 for 12 months. The present value of the income for the second year is calculated as the monthly income of $70 for 12 months, multiplied by (1 + 0.01) raised to the power of 12, which is the compound interest rate per month.

Similarly, the present value of the income for the third year is calculated as the monthly income of $70 for 12 months, multiplied by (1 + 0.01) raised to the power of 24, which is the compound interest rate per month.

The tof the income for the three years is the sum of the present values of the income for each year. The present value of the equipment and setup cost is $950.

Therefore, the net present value (NPV) of the service is the difference between the total present value of the income and the present value of the cost. If the NPV is positive, the service will make at least 12% per year compounded monthly over a period of 3 years.

The NPV can be calculated using a financial calculator or spreadsheet software. For example, using a spreadsheet software, the NPV can be calculated with the formula

=NPV(0.01/12,{950,-950,70*12,70*12*(1+0.01)^12,70*12*(1+0.01)^24}).

The result is approximately $362.

Therefore, the service will make at least 12% per year compounded monthly over a period of 3 years.

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The economy's labor market is described by the following labor demand curve, ND(w)=100−5w, and the following labor supply curve, NS(w)=−50+5w, where w is the real wage. A positive productivity shock shifts the labor demand curve to ND(w)=110−5w. After the productivity shock, the government imposes a minimum (real) wage of $18. What will be the effect of this policy on the labor market equilibrium? A. labor market equilibrium is unaffected B. the policy leads to unemployment C. the policy leads to labor shortages D. the policy leads to an increase in employment

Answers

The effect of this policy on the labor market equilibrium is that it leads to unemployment.

Before the productivity shock and minimum wage policy, the labor demand curve is ND(w) = 100 - 5w and the labor supply curve is NS(w) = -50 + 5w. To find the equilibrium, we set ND(w) equal to NS(w) and solve for w:

100 - 5w = -50 + 5w
10w = 150
w = 15

So, the equilibrium real wage is $15.

After the productivity shock, the labor demand curve shifts to ND(w) = 110 - 5w. However, the minimum wage policy is set at $18, which is higher than the equilibrium wage of $15.

Since the minimum wage is higher than the equilibrium wage, it creates a situation where the quantity of labor supplied (NS(w)) is greater than the quantity of labor demanded (ND(w)). This leads to a surplus of labor or unemployment.

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"Economics also helps predict how those same firms and individuals will respond to a new set of incentives—for example, what investments electric utilities will make in a carbon-constrained world and how high gas prices would have to rise before people stopped buying enormous cars." Do prices affect people’s behavior toward the environment? Consider people’s responses to very high gasoline prices. Do high gasoline prices reduce the environmental effects of using gasoline? In addition to gasoline prices, find an example of how prices might affect people’s behavior toward the environment.

Answers

Yes, prices affect people’s behavior towards the environment. High gasoline prices can reduce the environmental effects of using gasoline.

There are a few reasons why this happens. High prices tend to reduce the amount of gasoline people use because it becomes more expensive for people to drive to work, go shopping, or take vacations. When people use less gasoline, they reduce their carbon footprint by emitting fewer greenhouse gases into the atmosphere.Explanation:People respond to incentives, and prices provide incentives for people to make certain choices. When prices are high, people are more likely to make decisions that conserve resources.

For example, if the price of gasoline is very high, people might choose to carpool, take public transportation, or use a bicycle instead of driving a car. This would reduce the amount of gasoline they use, which would have a positive environmental impact.In addition to gasoline prices, there are many other examples of how prices might affect people’s behavior toward the environment. For instance, if the price of electricity is very high, people might choose to turn off lights and unplug appliances when they are not in use. This would reduce their energy consumption and lower their electricity bills.

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discount bond differs from a coupon bond in that

A) Market fluctuations may result in capital gains and losses for coupon bonds but not for discount bonds if the bonds are sold before their maturity date.

B) Buyers of discount bonds receive coupon interest payments during the life of the bond while buyers of coupon bonds receive only the face value at the maturity of the bond.

C) Buyers of discount bonds receive only the face value of the bond at maturity while buyers of coupon bonds receive periodic interest payments representing the coupon rate during the life of the bond in addition to receiving the face value of the bond at its maturity.

Answers

Buyers of discount bonds receive only the face value of the bond at maturity while buyers of coupon bonds receive periodic interest payments representing the coupon rate during the life of the bond in addition to receiving the face value of the bond at its maturity.

This statement accurately describes the difference between discount bonds and coupon bonds. Discount bonds are sold at a price below their face value and do not provide periodic interest payments. Instead, the investor receives only the face value of the bond at its maturity. On the other hand, coupon bonds are sold at their face value and provide periodic interest payments, typically semi-annually or annually, based on the coupon rate specified by the bond. At the bond's maturity, the investor receives the face value as well.

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