To calculate the amount of revenue Sheffield Video should recognize in its first year, we will consider the following terms: "contract" and "amount of revenue."
Step 1: Identify the revenue sources in the first year.
- In the first year, Nate pays a nonrefundable initiation fee of $96.
- No annual membership fee is charged in the first year.
Step 2: Calculate the amount of revenue.
- Since only the initiation fee is collected in the first year, the amount of revenue Sheffield Video should recognize in the first year is the initiation fee, which is $96.
So, Sheffield Video should recognize $96 in revenue in its first year.
To know more about revenue, refer here :
https://brainly.com/question/29567732#
#SPJ11
How does an investor usually receive income ?.
Investor usually receives income in the form of dividend.
Numerous investment kinds offer multiple investment return options. Capital gains and dividends are both possible with common stocks. Dividend or interest income is added to capital gains (or subtracted from capital losses), and any tax savings are taken into account when calculating total return.
In addition to interest or dividend income, fixed-income securities may also generate capital gains, and partnerships may generate any or all of the aforementioned sources of income on a tax-advantaged basis.
Some investments offer income in the form of dividends or interest, while others have the potential to increase in value. Nevertheless, there are still several that provide tax benefits in addition to current income or capital gains. The sum of these elements makes up an investment's overall return.
To know more about investors:
https://brainly.com/question/28538187
#SPJ4
an economist would explain reece’s decision to be – because she – the prepaid cost, and made her decision based on the marginal benefit and cost of going. in economics these prepaid costs would be referred to as – costs, which are unrecoverable.
Answer:
An economist would explain Reece’s decision to be rational because she ignored the prepaid cost, and made her decision based on the marginal benefit and cost of going. In economics, these prepaid costs would be referred to as sunk costs, which are unrecoverable.
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
Read more on jobs here: https://brainly.com/question/26355886
#SPJ1
Select the type of job best demonstrated in each example. Frank is an Actor. His pay varies depending on how many hours he works each week. Susan works forty hours per week as a Reporter. Todd is a Telecommunications Equipment Repairer who works twenty hours per week. Latoya has a retirement account through the movie studio that employs her as a Film Editor.
Answer:here’s the answer for this question
Explanation:edge2023
The kind of the job demonstrated in each example are as follows:-
full time jobsalaried jobentry-level jobjob with benefitsWhat is an actor's job?Actors express ideas and portray characters in theater, film, television, and other performing arts media. They interpret a writer's script to entertain or inform an audience.
A full-time employment usually has a predetermined work week, with eight-hour days and forty-hour weeks. Working fewer than 35 hours a week is considered part-time. However, there are no hard and fast laws about the amount of hours.
Entry-level positions are available to everyone and do not require considerable professional experience or a degree.
Therefore, Employee benefits are any perks or remuneration given to employees in addition to their regular salary and earnings.
Learn more about job here:
https://brainly.com/question/17205577
#SPJ5
Strategic Sourcing is a comprehensive approach for locating and sourcing key suppliers, so that an organization can leverage its consolidated purchasing power to find the best possible values in the marketplace. true false
Strategic Sourcing is an integrated approach of finding and sourcing the most reliable and valuable suppliers so that an organization can leverage its consolidated purchasing power to find the best possible values in the marketplace.
Strategic sourcing requires collaboration and communication with internal stakeholders and suppliers to ensure all requirements are met. It’s a long-term procurement strategy that takes into account several factors, such as supplier performance, quality, cost, delivery time, risks, and innovation.
By using strategic sourcing, organizations can reduce their procurement costs, increase their competitiveness in the marketplace, and achieve long-term business objectives. This approach also helps organizations to mitigate supply chain risks, ensure business continuity, and maintain their reputation.
In conclusion, the statement "Strategic Sourcing is a comprehensive approach for locating and sourcing key suppliers, so that an organization can leverage its consolidated purchasing power to find the best possible values in the marketplace" is true.
To know more about marketplace visit:
https://brainly.com/question/12424281
#SPJ11
Ethel is a widow and is approaching 75 years of age. Historically, she has deposited all of her money into her bank savings account and invested in certificates of deposit (CDs) offered by her bank. The yields from her savings accounts and on CDs have gone down significantly. Ethyl would like a higher yield from her investments than what she is currently achieving so she comes in to see you, an agent at a broker/dealer. Which of the following would be an appropriate investment strategy for Ethyl, given her history and her situation?
[A] Ethel should maintain an appropriate savings balance to cover unforeseen circumstances and continue to invest in CDs, despite her desire for higher yields.
[B] Ethel should maintain an appropriate savings balance to cover unforeseen circumstances and should consider investing in a few large-cap securities that the agent will pick for her.
[C] Ethel should maintain an appropriate savings balance to cover unforeseen circumstances and should consider investment in a balanced mutual fund, which carries lower risk, higher yields than CDs, and the potential for growth.
[D] Ethel should maintain an appropriate savings balance to cover unforeseen circumstances and should consider investment in a corporate securities income fund, comprised of small, mid, and large capitalization corporate bonds and corporate preferred stock.
Answer: C. Ethel should maintain an appropriate savings balance to cover unforeseen circumstances and should consider investment in a balanced mutual fund, which carries lower risk, higher yields than CDs, and the potential for growth
Explanation:
Given Ethel situation and history, Ethel should maintain an appropriate savings balance to cover unforeseen circumstances.
As a result of her age and due to the fact that she possesses a limited investment experience, there may be too much risk for her if she focuses on large-cap securities
Therefore, she should should consider investment in a balanced mutual fund, which carries lower risk, higher yields than CDs, and the potential for growth.
distribution and transportation are often referred to as group of answer choices order fulfillment. logistics. customer service. maintaining inventories.
Logistics is referred to as the transportation, distribution, and maintaining of inventories, and it can be viewed as a subset of supply chain management. Logistics activities include order fulfillment, transportation, warehousing, inventory management, and customer service.
Distribution is the process of transporting finished goods from the point of production to the point of sale or consumption, while transportation is the movement of goods or people from one location to another. Order fulfillment is the process of receiving and processing customer orders and delivering products to customers. Maintaining inventories is the practice of managing the flow of goods to ensure that sufficient stock is available to meet demand. Therefore, the correct answer is logistics.
In conclusion, logistics involves the movement of goods from production to consumption and includes activities such as transportation, distribution, inventory management, order fulfillment, and customer service.
To know about Logistics visit:
https://brainly.com/question/33140065
#SPJ11
An insurance company process to review, submit, and compare them with benefit and coverage requirements to determine if they can be paid is referred to as adjudication. True or False?
True. The process carried out by an insurance company to review, submit, and compare claims with benefit and coverage requirements to determine if they can be paid is indeed referred to as adjudication.
Insurance claims adjudication involves the evaluation and decision-making process conducted by insurance companies to assess the eligibility of claims submitted by policyholders. This process involves a thorough review of the submitted claims, comparing them against the terms and conditions outlined in the insurance policy, and determining whether the claims meet the criteria for coverage and reimbursement.
During adjudication, insurance companies assess various factors such as the policyholder's coverage limits, deductibles, exclusions, and any pre-existing conditions. They also verify the accuracy and completeness of the claim documentation, including medical records and invoices. Based on this evaluation, the insurance company makes a decision regarding the payment or denial of the claim, ensuring that it aligns with the coverage requirements and benefits specified in the policy.
Overall, adjudication plays a crucial role in the insurance industry, helping to ensure accurate and fair processing of claims while maintaining compliance with policy terms and conditions.
Learn more about payment here:https://brainly.com/question/6318484
#SPJ11
Question 1 (20 marks) What is the influence of growth on the development of a country? Give some examples.
Economic growth, which refers to an increase in a country's production of goods and services over time, can have several positive impacts on development.
Some of the influences of growth on the development of a country include:
1. Increased employment opportunities: Economic growth often leads to the expansion of industries, resulting in more job opportunities for the population. This helps to reduce unemployment rates and improve living standards.
2. Poverty reduction: With sustained economic growth, there is a higher likelihood of poverty reduction. As incomes rise and job opportunities increase, more individuals and households can escape poverty and improve their standard of living.
3. Infrastructure development: Economic growth often necessitates the development of infrastructure such as roads, bridges, ports, and telecommunications networks.
4. Enhanced access to education and healthcare: Economic growth generates additional resources that can be allocated towards social sectors such as education and healthcare.
5. Technological advancements: Growth can stimulate innovation and technological advancements, leading to increased productivity and efficiency.
Examples of countries that have experienced significant growth and development include:
- South Korea: Through sustained economic growth, South Korea transformed from a war-torn country to a developed nation. It focused on industries such as electronics, automobile manufacturing, and shipbuilding, which propelled its economic development and raised living standards.
- China: Over the past few decades, China has achieved remarkable economic growth, lifting millions of people out of poverty. It has become a global manufacturing hub and has invested heavily in infrastructure development, education, and healthcare.
- Singapore: With limited natural resources, Singapore focused on building a knowledge-based economy driven by innovation and high-value industries.
learn more about Economic growth here:
https://brainly.com/question/33408189
#SPJ11
Bearer bonds are owned by the _______ and have _______ attached to the bond so the bearer can collect interest payments.
Bearer bonds are owned by the holder and have bearer attached to the bond so the bearer can collect interest payments.
They are considered unregistered securities. Bearer bonds typically have interest coupons attached to them, which the bearer can detach and redeem to collect interest payments. The bearer of the bond can present the coupons at specified intervals to receive the interest payments due on the bond. Since bearer bonds are not registered, the person who holds the physical bond and coupons is entitled to the interest payments, regardless of their identity.
This characteristic of bearer bonds allows for greater anonymity and ease of transferability, but it also poses a risk of loss or theft, as anyone in possession of the physical bond can claim the interest payments.
To know more about prisoners visit;
https://brainly.com/question/28239411
#SPJ4
What is an example of a mixed market economy?
It United States is used as an illustration of a mix market economy in the statement.
What defines an economy?Any economy is a collection of interdependent processes of creation and consumption that actually determine whether resources are split within a community. The interests that persons who live there and conduct business there are met by creation & consumption of items and services in general.
What are examples of economy?The well example about an economy is the that has, which leverages a nation's customs as history to influence the creation & sale of merchandise. A traditional economy's major cornerstones are agriculture, fishing, and hunting.
To know more about economy visit:
brainly.com/question/14906312
#SPJ4
When a firm insures itself against foreign exchange risk, we say that it is engaging in:
When a firm insures itself against foreign exchange risk, we say that it is engaging in hedging.
Hedging involves using financial instruments such as futures contracts, options contracts, and forward contracts to offset potential losses from adverse movements in foreign currency exchange rates.
By hedging, the firm is seeking to protect itself against the risk of currency fluctuations, which could impact its profitability and financial stability in the long run.
Hedging can provide a measure of stability to businesses that operate in volatile international markets, but it comes with its own costs and risks, and it requires careful planning and execution to be effective in the long term.
Know more about hedging here:
https://brainly.com/question/22282124
#SPJ11
Markus Co. is a manufacturing firm. Markus Co.'s current value of operations, including debt and equity, is estimated to be $30 million. Markus Co. has $12 million face-value zero coupon debt that is due in five years. The risk-free rate is 6%, and the volatility of companies similar to Markus Co. is 50%. Markus Co.'s performance has not been very good as compared to previous years. Because the company has debt, it will repay its loan, but the company has the option of not paying equity holders. The ability to make the decision of whether to pay or not looks very much like an option.Based on your understanding of the Black-Scholes option pricing model (OPM), calculate the following values and complete the table. (Note: Use 2.7183 as the approximate value of e in your calculations. Also, do not round intermediate calculations. Round your answers to two decimal places.)
Markus Co. Value (Millions of dollars)
Equity value
Debt value
Debt yield
Markus Co.'s management is implementing a risk management strategy to reduce its volatility. Complete the following table, assuming that the goal is to reduce Markus Co.'s volatility to 30%.
Markus Co. Goal (Millions of dollars)
Equity value at 30% volatility
Debt value at 30% volatility
Debt yield at 30% volatility
Complete the following sentence, assuming that Markus Co.'s risk management strategy is successful:
If its risk management strategy is successful and Markus Co. can reduce its volatility, the value of Markus Co.'s stock will , and the value of its debt will .
If its risk management strategy is successful and Markus Co. can reduce its volatility, the value of Markus Co.'s stock will decrease from $18 million to $10.8 million, and the value of its debt will remain unchanged at $12 million.
To calculate the values using the Black-Scholes option pricing model, we need to determine the equity value, debt value, debt yield, equity value at reduced volatility, debt value at reduced volatility, and debt yield at reduced volatility.
Given:
Value of operations (including debt and equity): $30 millionFace-value zero coupon debt: $12 millionRisk-free rate: 6%Volatility of similar companies: 50%Reduced volatility target: 30%Equity value calculation:
Equity value = Value of operations - Debt value
Equity value = $30 million - $12 million
Equity value = $18 million
Debt value calculation:
Debt value is the same as the face value of the debt:
Debt value = $12 million
Debt yield calculation:
Debt yield = Risk-free rate + Volatility
Debt yield = 6% + 50%
Debt yield = 56%
Equity value at reduced volatility:
Equity value at reduced volatility = Equity value * (Reduced volatility / Volatility)
Equity value at reduced volatility = $18 million * (30% / 50%)
Equity value at reduced volatility = $18 million * 0.6
Equity value at reduced volatility = $10.8 million
Debt value at reduced volatility:
Debt value at reduced volatility remains the same:
Debt value at reduced volatility = $12 million
Debt yield at reduced volatility:
Debt yield at reduced volatility remains the same:
Debt yield at reduced volatility = 56%
If Markus Co.'s risk management strategy is successful and volatility is reduced:
The value of Markus Co.'s stock will decrease from $18 million to $10.8 million.
The value of its debt will remain unchanged at $12 million.
Therefore, the complete sentence would be:
If its risk management strategy is successful and Markus Co. can reduce its volatility, the value of Markus Co.'s stock will decrease from $18 million to $10.8 million, and the value of its debt will remain unchanged at $12 million.
Learn more about risk management strategy here:
https://brainly.com/question/14435278
#SPJ4
the shift from manufacturing to service in the u.s. economy has caused the number of union workers to:
US manufacturing companies have moved their operations to China and other low-wage countries while firing US union workers, resulting in a decline in union membership over the past three decades.
What caused the rise in union membership?
The need to safeguard workers' collective interests led to the birth of the labor movement in the United States.Organized labor unions fought for better wages, reasonable working hours, and safer working conditions for industrial workers.
Which three factors are responsible for the decline in union membership?
The growth of traditionally unionized industries has significantly decreased.Numerous factors, including unions' tarnished reputations, shifts in the labor force, and laws restricting union influence, are to blame for the decline in unionization.
Learn more about union membership here:
https://brainly.com/question/2484380
#SPJ4
Determining the needed requirements and desired requirements are both part of what project management phase? (a) planning Ob) organizing Oc) monitoring d) adjusting
(a) Planning. Determining the needed and desired requirements is an essential part of the planning phase in project management, where project managers gather information and define project objectives to establish a roadmap for successful project completion.
Determining the needed requirements and desired requirements are part of the planning phase in project management. During this phase, project managers gather information, define project objectives, and identify the specific requirements that need to be met in order to successfully complete the project. This includes identifying the essential requirements that are necessary for project success (needed requirements) as well as additional requirements that are desirable but not critical (desired requirements). By determining these requirements during the planning phase, project managers can create a roadmap for the project and establish the necessary resources and strategies to meet those requirements.
learn more about planning here:
https://brainly.com/question/27935828
#SPJ11
Choose all that are appropriate statements regarding businesses in distress. 1.0 Liquidation through bankruptcy is the only option available to a business that has defaulted on its obligations. 2. The bankruptcy process allows businesses in distress to "buy time" by granting stays for obligations, and allows orderly resolution when the businesses must be liquidated. 3. There is no benefit for the creditors to approve a reorganization plan if they must accept haircuts to their claims. 4. Businesses do not have to file for bankruptcy when their balance sheets show negative equity (liabilities exceeding assets). 5. Bankruptcy rules do not allow debtors to initiate the process because it is morally wrong.
1.0 Liquidation through bankruptcy is not always the only option available to a business that has defaulted on its obligations. While bankruptcy may be the best option for some businesses, other options include negotiating with creditors to restructure debt or selling assets to pay off debts.
2. The bankruptcy process does allow businesses in distress to "buy time" by granting stays for obligations and can provide an orderly resolution when businesses must be liquidated. However, the process can also be time-consuming and expensive, and not all businesses may benefit from it.
3. While there may be no benefit for creditors to approve a reorganization plan that requires haircuts to their claims, it may still be the best option for the business to continue operations and eventually pay off debts. In some cases, creditors may also receive a larger payout through a reorganization plan than they would through liquidation.
4. Businesses do not necessarily have to file for bankruptcy when their balance sheets show negative equity. However, negative equity can indicate financial distress and may signal the need for the business to take action to address its financial situation.
5. Bankruptcy rules do allow debtors to initiate the process, and it is not considered morally wrong. In fact, the bankruptcy process was designed to provide a way for debtors to address their financial difficulties and make a fresh start.
To know more about bankruptcy visit:
https://brainly.com/question/30628707
#SPJ11
Jan Timmer called the top 100 managers of the company together for the first time, which included the Board of Management, Product Division and Country Managers. They decided to benchmark the performance of Philips against their competitors. This involves comparing key indicators against those of other organisations. They were forced to conclude that drastic changes were required as Philips' performance did not measure up to the competition. Comment on the relevance of the three step change process initiated by Philips and evaluate how the company can effectively apply the Kurt Lewin's Change Model to enhance a smooth transition in change interventions.
The three-step change process initiated by Philips, which includes unfreezing, changing, and refreezing, is relevant in addressing the need for drastic changes identified during the benchmarking exercise. By following Kurt Lewin's Change Model, Philips can effectively enhance a smooth transition in change interventions.
Unfreezing is the first step, and it involves creating awareness and preparing employees for the upcoming change. Philips can implement this by communicating the reasons behind the need for change, highlighting the competitive performance gaps, and fostering a sense of urgency among the managers. Open and transparent communication will help employees understand the necessity of change and be more receptive to it.
The changing step is where the actual transition takes place. Philips should provide the managers with the necessary resources, support, and training to adapt to new processes, systems, and strategies. It is crucial to involve the managers in decision-making processes, allowing them to contribute their expertise and empowering them to take ownership of the changes. Regular feedback and continuous communication will help manage any resistance and keep everyone aligned towards the desired outcomes.
Finally, refreezing is about reinforcing the new changes and making them a part of the company's culture and operations. Philips should celebrate successes, recognize employees' efforts, and ensure the changes are integrated into performance metrics and reward systems. By embedding the changes into the organizational structure and practices, Philips can sustain the improvements achieved and prevent any regression to old habits.
Overall, by following the three-step change process and leveraging Kurt Lewin's Change Model, Philips can effectively navigate the transition, minimize resistance, and ensure a smooth and successful implementation of the necessary changes to improve their performance in line with their competitors.
To know more about kurt lewin's change model, visit:
https://brainly.com/question/31760296
#SPJ11
Which examples demonstrate common Counseling and Mental Health Services workplaces? Check all
Yuri provides family therapy at a nonprofit clinic.
Pierre helps people perform basic life tasks in their homes.
Harley advises patients with drug abuse problems at a private substance abuse treatment center.
Ed is a self-employed Psychologist who treats patients in a private clinic.
Kristen clips and styles hair in a private hair salon.
Emily organizes events in a private funeral home.
Answer:
a
c
d
Explanation:
the answer is :
a). yuri provides family therapy at a nonprofit clinic.
c). harley advises patients with drug abuse problems at a private substance abuse treatment center.
d). ed is a self-employed psychologist who treats patients in a private clinic.
Which accounts are impacted, and how, by the posting of the special columns of a sales journal? 1.Accounts Receivable is debited. 2.Sales is credited.
Accounts Receivable is debited , Sales is credited , Sales Tax Payable is credited accounts are impacted, and how, by the posting of the special columns of a sales journal .
What kind of transaction is often entered into a certain journal?
Each special journal, as opposed to a general one, logs specific types of transactions, such sales or purchases.
The purchase is documented in one journal and the sale is recorded in another, for instance, when a business buys goods from a vendor and then sells them to a consumer.
What is accounts sales journal ?
Detail-oriented sales transactions are kept in a sales journal, a supplementary ledger. Its primary goal is to streamline the general ledger by getting rid of a source of high-volume transactions.
Learn more about sales journal
brainly.com/question/15202329.
#SPJ4
19. Which medium has the advantage of moving images, sound, and portability in business?
*
(1 Point)
Newspapers
Transit Media
Internet
Radio
Answer:
Internet
Explanation:
Newspapers can be online, but they are originally on paper, transit media is on billboards or the sides of cars, and the radio is definitely not it.
A dot plot titled Miles Emilia Ran Each Week going from 1 to 6. 1 has 2 dots, 2 has 3 dots, 3 has 2 dots, 4 has 2 dots, 5 has 3 dots, and 6 has 4 dots. The dot plot shows the number of miles Emilia ran each week. Which is true of the data in the dot plot? The data is symmetric. The center of the data is 3.5. There is a peak at 3. The spread is from 1 to 6.
Answer:
The true statement is " The spread is from 1 to 6."
Explanation:
Consider the provide information.
First we will draw the dot plot as shown in the figure.
Now consider the options.
The data is not symmetric as for the symmetry the dots over 1 should be equal to the dots over 6. i.e 4.
Now find the center of the data by calculation the median of the data.
There are 16 dots in total which is an even number.
So, now we will find the average of the two middle values.
This will be the 8th and 9th value average for the given data set of 16 values.
Count from left to right the 8th and 9th values are both 4.
\(\text{Median}=\frac{4+4}{2}\)
\(\text{Median}=4\)
Hence, the center of the data is 4.
The second statement is false.
The peak of the data is at 6.
The third statement is false.
The spread is from 1 to 6 as we can see in the figure shown below.
Therefore, the true statement is " The spread is from 1 to 6."
the present value of an investment is affected by which of the following??
a. The type of investment (annuity versus single lump sum)
b. The number of time periods (length of the investment)
c. The interest rate
d. All of the above
The present value of an investment is affected by all of the following factors: the type of investment (annuity versus single lump sum), the number of time periods (length of the investment), and the interest rate.
The present value of an investment represents the current worth of future cash flows or returns. It is influenced by various factors:
a. The type of investment: Whether it is an annuity, which involves a series of regular cash flows, or a single lump sum payment, impacts the calculation of present value. Annuities require the consideration of periodic cash flows over a specific time period, whereas a lump sum payment is a single amount received or paid.
b. The number of time periods: The length of the investment or the number of time periods affects the present value calculation. The longer the investment period, the greater the impact on the present value calculation.
c. The interest rate: The interest rate, also known as the discount rate, is a crucial factor in determining the present value. It reflects the opportunity cost of money and adjusts future cash flows to their equivalent present value.
d. All of the above: Since all three factors (investment type, number oh
Learn more about ppresent value hhere:
https://brainly.com/question/28304447
#SPJ11
Two years ago, Synergy Inc. Issued a 15-year callable bond with a $1,000 face value and a 12 percent coupon rate of interest (paid semiannually). The bond cannot be called until five years after issue, at which time the call price will equal $1,120. Currently, the bond is selling for $989. What is the bond's yield to call (YTC)
To calculate the bond's yield to call (YTC), you'll need to consider the bond's face value, coupon rate, call price, and current selling price. In this case, the bond's face value is $1,000, the coupon rate is 12% (paid semiannually), the call price is $1,120, and the current selling price is $989.
First, determine the bond's semiannual coupon payment:
Coupon payment = (Face value * Coupon rate) / 2
Coupon payment = ($1,000 * 0.12) / 2
Coupon payment = $60
Since the bond cannot be called until five years after issue and it's been two years since it was issued, there are three years left until the bond can be called. As payments are made semiannually, there are 3 * 2 = 6 periods left until the call date.
Now you can use a financial calculator or an Excel function to find the bond's YTC, using the following inputs:
N = 6 (remaining periods until the call date)
PMT = $60 (semiannual coupon payment)
FV = $1,120 (call price)
PV = -$989 (current selling price, input as a negative value)
Solving for YTC, you'll get a semiannual yield to call rate. Multiply this rate by 2 to get the annual YTC.
To know more about YTC visit:
https://brainly.com/question/31513794
#SPJ11
Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
Learn more about stock investment at https://brainly.com/question/25818989
#SPJ1
Determining Liquid Assets and Current Liabilities. Based on these items, what is the total of the (a) liquid assets and (b) current liabilities?
Checking account balance $860
Retirement account balance $57,000
Credit card balance $117
Coin collection $450
Savings account balance $2,675
Current student loan payment due $220
Investment account balance $8,000
Mortgage $178,000
Ozone (O3) is a gas in the earth's atmosphere. How do you know that ozone is covalently bonded and not ionically bonded?
Answer:
The answer is below
Explanation:
A covalent bond is a type of chemical bond that occurs as a result of the sharing of electron pairs between atoms. Covalent bonds are usually formed between non metallic atoms with similar electronegativity. St room temperature, covalent bond exist as either a liquid or a gas. Example of covalent bonds are ozone (O3), water (H2O) etc.
Ozone is said to be covalent bonded because their is a sharing of electrons among the covalent atoms.
under the affordable care act which clasification applies tohealth plans based on amount covered cost
Under the Affordable Care Act (ACA), health plans are classified based on the amount of covered costs into four categories: Bronze, Silver, Gold, and Platinum.
The Bronze plans typically have the lowest premiums but the highest out-of-pocket costs, with the insurer covering about 60% of the healthcare expenses. Silver plans cover around 70% of the costs, Gold plans cover around 80%, and Platinum plans cover around 90%. These categories help consumers understand the level of coverage they can expect from a particular health plan and make informed decisions based on their healthcare needs and budget. The ACA also provides subsidies and cost-sharing reductions to make insurance more affordable for eligible individuals and families.
Learn more about amount here:
https://brainly.com/question/22661325
#SPJ11
Which of the following differs between aggregate planning in services and aggregate planning in manufacturing? A. uncertainty in demand B. costs of storing inventory C. the perishability of capacity D. cost of overtime E. cost of hiring
The aggregate planning in services and aggregate planning in manufacturing is the perishability of capacity.
What is meant by capacity?The term "capacity" refers to the aptitude for using and comprehending data in order to make decisions and convey those decisions. When a person's capacity is compromised, they are unable to make decisions at that moment due to mental illness or other mental disturbances. The quantity of work that a business can complete in a specific length of time is known as its capacity. The amount of employees or resources needed to finish a project within a given time frame is how it is measured. It implies that I can now manage situations that I was before unable to. The future you will be a different person if you intentionally choose to increase your capacity. You'll be able to gauge your personal development by looking back.To learn more about capacity refer to:
https://brainly.com/question/14415821
#SPJ4
Question 5 of 10
Which of the following is a part of the employment tax?
O A. Income tax
O B. Property tax
O C. Non-compliance fines
O D. Social security tax
Answer:
D. social security tax
Explanation:
A manufacturing company provides jobs for many people in a small town where employment is not easy to find. The company has stayed in the town even though it could find cheaper workers elsewhere, because workers are loyal to the company due to the jobs it provides. Over the years, the company has developed a reputation in the town for taking care of its employees and being a responsible corporate citizen.
The manufacturing process used by the company produces a by-product that for years has flown into the town river. The by-product has been considered harmless but some people who live near the river have reported illnesses. The by-product does not currently violate any anti-pollution laws.
WHAT ARE THE ANSWERS TO THESE QUESTIONS?
What are the issues of integrity, ethics and law posed in the case study? What options does the company have, and what should it do and why?
Explanation:
Note, the term integrity often refers to the ability to keeping to one's moral principles, such as honesty. And ethics refers to the principles of right and wrong one might have.
For example, from this case, we observe that
although the company is known to have a good reputation over the years and of being a responsible corporate citizen, if it fails to act, then the company's integrity comes under question.Even though the by-product does not violate any laws, failing to take action may taint the good reputation it has had considering the fact that the company is well aware that "some people who live near the river have reported illnesses."
Giving For such example are, from this case, we observe that is:
Thus, although the company is known to have a good reputation over the years and of being a responsible corporate citizen, Then if any it fails to act, then the company's integrity comes under the question of law. Also that Even though the by-product does not violate any laws, Then it is failing to take action may taint the good reputation it has had considering the fact that the company is well aware that is "some people who live near the river have reported illnesses."Learn more about:
https://brainly.com/question/25935388