Answer:
1. Taxable income of $62,449 that includes a qualified dividend of $560.
tax liability = $1,975 + [12% x ($62,449 - $19,750)] = $7,098.88
2. Taxable income of $12,932 that includes a qualified dividend of $322.
tax liability = $12,932 x 10% = $1,293.20
3. Taxable income of $144,290 that includes a qualified dividend of $4,384.
tax liability = $9,235 + [22% x ($144,290 - $80,250)] + ($4,384 x 15%) = $23,981.40 ≈ $23,981
4. Taxable income of $43,297 that includes a qualified dividend of $971.
tax liability = $1,975 + [12% x ($43,297 - $19,750)] = $4,800.64 ≈ $4,801
5. Taxable income of $262,403 that includes a qualified dividend of $12,396.
tax liability = $29,211 + [24% x ($262,403 - $171,050)] + ($12,396 x 15%) = $52,995.12 ≈ $52,995
Explanation:
I used the 2020 tax bracket. Everyone earning over $78,750 but less than $488,850 must pay a 15% tax rate for their qualified dividends.
Should medical schools be free?
Answer:It depends
Explanation: Medical schools can't be free so that the quality is not lowered. It can be subsidized except if there is a reliable funding in place.
Marketing through social media is very popular today. You have seen how mobile technology has accelerated the use of social media for marketing.
Research at least three mobile marketing techniques and then write a report about a company that has used mobile marketing with success. Include the following points in your report:
Describe in detail the technique used in the mobile marketing campaign.
What was the campaign trying to achieve?
Who was the target audience? What techniques did the company use to broaden the audience base?
Describe the campaign process in detail.
What results did the campaign achieve?
How did mobile technology play a key role in the marketing campaign?
How did mobile technology enhance the campaign compared to traditional marketing methods?
Why do you think the campaign succeeded?
In what ways could the company have improved the campaign?
Answer:
Get Started
What is Mobile Marketing? (The Best Answer Ever!)
Both marketers and consumers begin their web services on mobile. Digital marketers in particular are excited to run mobile campaigns, because they know that mobile users are motivated buyers.
According to Salesforce, “68% of companies have integrated mobile marketing into their overall marketing strategy.”
The earlier you start reaching out to them, and solving their problems, the more results you will get in your business.
It’s no secret that building a successful online business has its challenges. One of such is knowing how to interact with potential customers on different platforms and devices.
Not only will you get the best results out of mobile, but a good understanding of how mobile marketing works will put you in total control of your marketing.
Let me get you started with a quick definition.
What is Mobile Marketing?
Andreas Kaplan defines mobile marketing as:
“Any marketing activity conducted through a ubiquitous network to which consumers are constantly connected using a personal mobile device.”
Wikipedia defines it as “marketing on or with a mobile device”.
Margaret Rouse defines it as:
“As a promotional activity designed for delivery to cell phones, smartphones, and other handheld devices, usually as a component of a multi-channel campaign.”
I define it as marketing for mobile users.
What-is-Mobile-Marketing??
Mobile phones are changing the way your target audience and customers engage with your brand. People visit your website on their phones, open your emails on smartphones, and buy from your store through their phones.
Putting your business right where your customers are – on the go – is what mobile marketing is all about. Any marketing plan today that ignores mobile marketing is a failed plan.
A Brief History of Mobile Marketing
The history of mobile marketing links back to the time when the first commercial mobile SMS and shortcodes were launched in 2003.
Pontiac and Nike were the first two brands that launched SMS campaigns in 2005. This was the time when both brands realized that mobile marketing is the future because people were crazy about mobile phones.
By 2007, there were 2.4 billion SMS users throughout the globe. Apple launched its first iPhone in the US and QR codes were incorporated into mobile marketing in 2010, which led to the beginning of a new era in marketing.
By 2011, mobile marketing was a $14 billion dollar global industry.
By 2013, Android and iOS had dominated the market and it’s the time when apps were becoming popular and smartphones were replacing traditional mobile phones.
By 2014, the number of mobile phone users exceeded the number of computer users and people were accessing the internet from their phones.
Today, 89% of mobile time is spent on apps while the remaining 11% is spent on websites. This is the number one reason why 71% marketers say that mobile marketing is core to their business, while 68% brands have integrated mobile marketing into their overall marketing strategy.
Brands that lack a mobile marketing strategy must rethink their marketing strategy, because all such brands are losing customers every second.
Explanation:
This will help u really much!!!!
In 2018, Southwestern Corporation completed the treasury stock transactions listed below.
February 2: Reacquired 67,000 shares at $11.70.
March 17: Sold 17,000 treasury shares at $13.85.
May 17: Sold 22,000 treasury shares at $7.85.
Southwestern had issued 100,000 shares of its $1 par common stock for $10 several months ago. Prepare the journal entries to record the above transactions.
Answer:
realy sorry but i don't know pardon mr for this
soooooooooooorrryyyyyy
Irene wants to make a copy of a housing design from a magazine. Which tool does she require? A.
drafting dots
B.
tracing paper
C.
smooth paper
D.
newsprint
Answer:
B
Explanation:
Had the same question and it was the correct answer
Answer:
B. tracing
Explanation:
for plato
The production of 0d submarines and 0a hospitals..
A) Increases the available resources
b) is productively efficient given the available resources
c) is productively impossible given the available resources
d) is productively ineffient given the available resources.
The production of 0d submarines and 0a hospitals is productively in effient given the available resources. The answer is OPTION D.
When a company isn't producing at its lowest possible cost per unit, it exhibits inefficient production. The average cost of production, or unit cost, is calculated by dividing all production costs by the quantity of units produced. An economy might produce a lot of boots with low manufacturing costs.
If they were all for the left foot, it would be allocatively inefficient because no one would profit from this. When a different resource allocation may boost output of any good by even one unit while maintaining the same level of other products, that resource allocation may be deemed inefficient.
To learn more about production, click here.
https://brainly.com/question/31859289
#SPJ1
Assume that you are a management consultant called in to analyse the turnover problem. You are told that pay and benefits are fixed and cannot be substantially altered. It is clear that whatever you recommend must not bring productivity down. What would you recommend to management?
Answer:
oh its ibo shack
Explanation:
sonar
Sunland company is considering buying a machine for $420000
If Sunland Company is considering buying a machine for $240,000 with an estimated life of ten years and no salvage value. The cash payback period on this investment is: c. 8 years.
How to find the Cash payback periodFirst step is to calculate the depreciation using this formula
Depreciation = Cost of assets - Salvage value / Useful life of assets
Depreciation = $240,000 - $0/10
Depreciation = $240,000/10
Depreciation =$24000
Second is to find the cash flow
Cash flow = Net income +Depreciation
Cash flow =$6000+ $24,000
Cash flow = $30,000
Third step is to find the cash payback period on this investment
Cash payback period = Cost of assets / Cash flow
Cash payback period =$240,000/$30,000
Cash payback period =8 years
Therefore the correct option is C.
Learn more about Cash payback period here:https://brainly.com/question/17109529
#SPJ1
The complete question is:
Sunland Company is considering buying a machine for $240,000 with an estimated life of ten years and no salvage value. The straight-line method of depreciation will be used. The machine is expected to generate net income of $6,000 each year. The cash payback period on this investment is
a. 20 years
b. 10 years
c. 8 years
d. 4 years
The Reverend Petros receives an annual salary of 51,000 as full-time minister this includes 5000 designated as a rental allowance River and Pedro is not exempt from employment tax how much must he include figuring that income for self-employed tax
If the Reverend Petros receives an annual salary of 51,000 as full-time minister that includes 5000 designated as a rental allowance. The amount that must be include figuring that income for self-employed tax is : $51,000.
What is annual salary?Annual salary can be defined as the amount a person earn as salary per year.
On the other hand self employed tax can be defined as the tax a person that is solely working for his/her self without working for any other person remit to the government.
Therefore the amount that must be include figuring that income for self-employed tax is the amount of $51,000.
Learn more about annual salary here:https://brainly.com/question/29045555
#SPJ1
Indicate whether each of the following is either True/Fasle:
1. An S Corporation is a taxpaying entity.
2. If shareholders elect S Corporation status, the corporation generally pays no tax.
3. Stock received by a transferor in exchange for services does not count in determining whether the 80% control test has been met.
4. Under Sec. 351, no gain or loss is recognized by those who exchange property solely for stock of the recipient corporation.
5. When boot is received by a taxpayer transferring assets in a Sec. 351 exchange, gain must be recognized to the extent of the smaller of the realized gain or the FMV of the boot received.
Answer:
The following are the answers,
False - S organization could be a taste unit which suggests all the financial gain of the S company are going to be relocated to stockholders and also the tax is to be compensated by the stockholders and not the S organization. True – As per constant rationalization on top of you'll be able to settle this. False – Stock acknowledged on either methodology are going to be enclosed for control purpose. True – The profit or loss is merely predictable once the transmission isn't for sole perseverance. True - When boot is acknowledged by a remunerator shifting possessions in a very Sec. 351 discussion, gain should be documented to the level of the lesser of the complete expansion
in preparation of standard cost we consider what situation macroeconomics or microeconomics???
When preparing standard costs, we primarily consider microeconomics, which is the study of the behavior of individual consumers, firms, and industries. Standard cost is the estimated cost of producing a unit of product or service, based on historical data and budgeted costs.
It is used as a benchmark to compare actual costs with expected costs and to analyze the variances between them. In order to determine standard costs, we need to consider the cost of each individual input such as direct materials, direct labor, and overheads. This analysis is done at the microeconomic level because it involves the behavior and decision-making of individual firms and their interactions with suppliers, customers, and competitors.
The macroeconomic factors such as inflation, interest rates, and unemployment rates may also have an impact on the cost of production but these are generally outside the scope of standard cost analysis. Therefore, while macroeconomics can indirectly influence the cost of production, the focus of standard cost analysis remains on the microeconomic factors that affect the cost of individual inputs.
Overall, standard cost preparation involves a detailed microeconomic analysis to determine the estimated cost of producing a product or service, which is then compared with the actual costs to identify any variances and improve the cost efficiency of the firm.
For more such questions on standard costs
https://brainly.com/question/17177941
#SPJ11
1. Gross margin percentage. (Round your percentage answer to 1 decimal place (i.e., 0.1234 should be entered as 12.3).) 2. Net profit margin percentage. (Round your percentage answer to 1 decimal place (i.e., 0.1234 should be entered as 12.3).) 3. Return on total assets. (Round your percentage answer to 1 decimal place (i.e., 0.1234 should be entered as 12.3).) 4. Return on equity. (Round your percentage answer to 2 decimal places (i.e., 0.1234 should be entered as 12.34).)
Answer:
A. 34.2%
B. 4.5%
C. 8.1%
D.10.64%
Explanation:
a) Calculation to determine Gross margin percentage
Using this formula
Gross margin percentage = Gross profit/Net Sales
Let plug in the formula
Gross margin percentage= 27000/79000
Gross margin percentage = 34.2%
b) Calculation to determine Net profit margin
Using this formula
Net profit margin = Net income/Net Sales
Let plug in the formula
Net profit margin = 3540/79000
Net profit margin = 4.5%
c) Calculation to determine Return on assets
Using this formula
Return on assets = (Net income+Interest expense)/Average total assets
Let plug in the formula
Return on assets = (3540+360)/48120
Return on assets= 8.1%
d) Calculation to determine Return on equity
Using this formula
Return on equity
= Net income/Average equity
Let plug in the formula
Return on equity = 3540/33270
Return on equity =10.64%
Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?
The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.
To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.
To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:
NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost
\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)
\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)
NPV = $3,913.04 + $3,537.41 - $7,800
NPV = -$350.55
For such more question on net loss:
https://brainly.com/question/28390284
#SPJ8
MullerB Company’s employees earn vacation time at the rate of 1 hour per 40-hour work period. The vacation pay vests immediately, meaning an employee is entitled to the pay even if employment terminates. During 2018, total wages paid to employees equaled $909,000, including $9,000 for vacations actually taken in 2018, but not including vacations related to 2018 that will be taken in 2019. All vacations earned before 2018 were taken before January 1, 2018. No accrual entries have been made for the vacations.
Required:
Prepare the appropriate adjusting entry for vacations earned but not taken in 2018.
Answer and Explanation:
The journal entry is shown below:-
Vacation benefits expense Dr, $13,500
To Vacation benefits payable $13,500
(Being vacation benefits expense is recorded)
Vacation benefits payable = Actual vacation benefit - Vacation actually taken in 2018 but not includes vacation related to 2018
= (($909,000 - $9,000) × (1 ÷ 40)) - $9,000
= ($900,000 × 0.025) - $9,000
= $13,500
Which of the following transactions would be included in this year's GDP for the United States? Deion sends
$100 to a hotel in Costa Rica as a deposit for his vacation. Deion buys a travel guide written by a Costa Rican woman living in the United States. Deion buys a shirt while on vacation in Costa Rica. Deion spends money in an American-owned restaurant in Costa Rica.
The transaction that would be included in this year's GDP for the United States is B. Deion buys a travel guide written by a Costa Rican woman living in the United States.
What goes into the Gross Domestic Product ?GDP is made up of products and services generated for market consumption as well as certain nonmarket production, including government-provided defense or educational services.
The total financial or market value of all the finished goods and services produced within a country's boundaries is known as the gross domestic product (GDP).
The purchase of a trip guide by a Costa Rican woman residing in the US would be included in America's GDP.
Find out more on GDP at https://brainly.com/question/1383956
#SPJ1
Which of the following typically never has to be repaid?
A) student loan
B) work-study program
C) scholarship
D) private bank loan
Out of the given options C) scholarship never has to be paid.
A scholarship is a prize or a gift, which do not have to be compensated. Numerous organizations, including employers, individuals, private businesses, nonprofits, communities, religious organisations, and professional and social associations, offer thousands of them. Scholarships make going to an institution simpler for students by lowering the amount of tuition fees that they must pay.
This provides the benefit of reducing the student's financial load because the student will never have to pay it back. They are frequently given out based on a variety of factors, including academic excellence, diversity and inclusion, athletic prowess, financial need, etc. The requirements for scholarships typically reflect the ideals and objectives of the award's originator or giver as well.
Read more about scholarship on:
https://brainly.com/question/30129338
#SPJ1
Answer: C) scholarship
Explanation: A scholarship is a prize or a grant that does not have to be repaid. Thousands of them are available from a variety of organizations, including employers, individuals, private corporations, nonprofits, communities, religious organizations, and professional and social associations. Scholarships make it easier for students to attend college by reducing the amount of tuition they must pay. This has the advantage of lessening the student's financial burden because the student will never have to repay it. They are frequently awarded based on a number of criteria, such as academic success, diversity and inclusion, athletic prowess, financial necessity, and so forth. Scholarship conditions frequently reflect the values and goals of the award's creator or presenter.
Can organizations structure be change quickly ?why or why not?should it be change quickly ?
No, it is not possible to modify an organization's structure quickly. The chain of command, or the manner in which various duties and responsibilities are to be carried out to forward the objectives of the company, is defined by structure.
Can an organization's structure be changed?In order to fulfill their objectives, increase their competitive edge in the market, or react to market opportunities or threats, organizations execute strategic adjustments to their operations. Modifying the company's procedures, structures, or policies is considered a strategic shift.
Clearly, the answer is no. The company has been running on a specific structure for many years. Not only that, but even internal staff members are accustomed to cooperating with such a work atmosphere. As a result, while change is undoubtedly conceivable, rapid change may not be.
Raise money, boost your company's cash flow or profitability. process and operating procedures improvement redundant managerial responsibilities and extra work positions should be eliminated. Restructure internal operations, such sales and marketing, to improve efficiency.
To learn more about organization structure change refer to:
https://brainly.com/question/14655692
#SPJ1
If the interest rate increases, then the: a. consumption function will shift up. b. economy will move to a new point along the existing consumption function. c. consumption function will shift down.
Answer:
c. consumption function will shift down.
Explanation:
Consumption function = A + Md
A = autonomous consumption
Md = Marginal propensity to consume
It is usually believed that disposable income is either saved or consumed.
If interest rate increases, consumption would fall because savings would increase.
Consumers woild substitute consumption for savings because consumption would become relatively more expensive.
I hope my answer helps you
Duality and interpretation of dual variables
In the event that the base issue is an expansion issue, the double issue is a minimization issue as well as the other way around.
What is Duality?By and large, the duality hypothesis tends to itself to investigate of the association between two related straight programming issues, where one of them, the base, is an expansion issue and the other, the double, is a minimization issue.
Duality of dual variables
Duality gives a ton of computational benefit in an issue with a lesser number of factors and a huge number of imperatives.
Interpretation of dual variables
The duality includes an exceptional connection between an LP issue and another, the two of which include similar unique information.
Learn more about Duality, here:
https://brainly.com/question/27824156
#SPJ9
The question is incomplete, Complete question probably will be:
Explain in brief the event of Duality and interpretation of dual variables.
Slove 56 is 5 1/2% of what
For the mentioned problem, 56 is 5¹/₂ percent of 1018.08.
What is percent?In mathematics, percentage is said to be a number or ratio expressed as a fraction of 100. It is commonly represented by the percent sign '%', but abbreviations such as 'pct.', 'pct', and 'pc' may also be used. Percentages are dimensionless numbers as they have no units of measure.
Percent may be calculated by dividing the value by the total and multiplying the result by 100. The equation used to calculate the percentage is (value/total) * 100%.
For the given question:
5¹/₂% = 11/2%
11/2% of x = 56
(11/200) × x = 56
x = 56 × (200/11)
x = 1018.08
To know more about percentage, visit:
https://brainly.com/question/13450942
#SPJ1
3. As a project manager, you email all team members requesting their feedback on processes and their preferred
method of collaboration. Which aspect of effective team building does this scenario demonstrate?
The aspect of aspect of effective team building does this scenario demonstrates is "Promote psychological safety" (Option D)
What is Effective Team Building?Team development is a continuous process that assists a work group in becoming a cohesive one. Not only do team members share expectations for completing group work, but they also trust and support one another and appreciate one another's distinctive characteristics.
It fosters trust, reduces conflict, promotes communication, and fosters collaboration. Effective team building results in more engaged employees, which is beneficial to corporate culture and the bottom line. It may also be exciting and fun if done with a little flair.
Learn more about team building:
https://brainly.com/question/31517614
#SPJ1
Full Question:
Although part of your question is missing, you might be referring to this full question:
As a project manager, you email all team members requesting their feedback on processes and their preferred method of collaboration. Which aspect of effective team building does this scenario demonstrate?
Answers
Prioritize tasks
Listen and ask questions
Celebrate team success
Promote psychological safety
\(144x \div 25 - 3 + 56 \sqrt{223} \)
Answer:
\(\frac{144x}{25} - 3 + 56\sqrt{223}\)
Explanation:
Given
\(144x \div 25 - 3 + 56\sqrt{223}\)
Required
Simplify
The question is either incomplete or it is the solution to an existing question.
The question cannot be further simplified. However, a better way of writing the expression is:
\(\frac{144x}{25} - 3 + 56\sqrt{223}\)
or
\(\frac{144x - 75}{25} + 56\sqrt{223}\) ---- by taking the LCM
or
\(\frac{144x - 75 + 1400\sqrt{223}}{25}\) ---- by taking the LCM
Other than rewriting the expression, nothing else can be done
Jonathan has a universal life insurance policy with a face value of $500,000. The current cash value of the policy is $11,260. Jonathan wants
to stop paying premiums for a few months while he changes jobs. The premium is $134 per month.
The cash value of the policy be, without adding any interest, if he doesn’t pay the premiums for a year is $9,652
What is insurance policy?An insurance policy is a contract between one and insurance company which spelt out details of the agreement.
Jonathan has a policy with a face value of $500,000
The current cash value of the policy is $11, 260
The premium is $134 per month. He wants to stop paying premium for few months while he changes job.
Thus, the annual premium is,
= $134 * 12
= $1,608
Now if Jonathan does not pay the premiums for a year, then the cash value of the policy without adding interest is
= $11,260 - $1,608
= $9,652
Hence, the cash value of the policy be, without adding any interest, if he doesn’t pay the premiums for a year is $9,652
Learn more about insurance policy here : https://brainly.com/question/26924378
The Management of “TanjungUdaBerhad” is planning a RM4,000,000 expansion this year. The expansion can be financed by issuing either common shares of bonds. The new common share can be sold for RM$5 per share. The bonds can be issued with a 12% coupon rates. The firm’s existing preference share pay dividends of RM$2 per share. The company’s corporate income tax is 30%. The financial statement of TanjungUdaBerhad is as follow:-
TanjungUdaBerhad
Balance Sheet as at 31st December 2021
Current Assets RM$ 2,000,000
Fixed Assets RM$ 8,000,000
RM$ 10,000,000
Current Liabilities RM$ 1,500,000
Bonds:
(8.5%, RM1,000 par value) RM$ 4,000,000
(9%, RM1,000 par Value) RM$ 1,000,000
Preference Shares
(RM$ 100 par value) RM$ 500,000
Ordinary Shares
(RM$ 2 par value) RM$ 2,400,000
Retained Earnings RM$ 600,000
RM$ 10,000,000
Required:
a) Calculate the indifference level of EBIT between the two Plans.
b) If EBIT is Expected to be RM1,500,000 which plan will result in ahigh EPS?
Based on the price of the bonds to be issued, and the selling price of the shares, the indifference level of EBIT between the plans is $1,142,857.
Between issuing shares and issuing bonds, the one with the higher EPS will be Issuing Bonds with EPS of 0.59
What is the indifference level?First find the number of shares if the plan is to issue shares:
= Current number of shares + New shares
= (2,400,000 value / Price per share) + (4,000,000 / $5 Price per new share)
= 2,000,000 shares
The interest if bonds are picked is:
= 12% coupon x Bond value
= 12% x 4,000,000
= $480,000
Assuming the indifference level is denoted as L, the indifference level is:
(L x ( 1 - tax rate) - Preference share dividends) / Outstanding shares if new shares are issued = ( (L - Interest) x (1 - tax rate) - Preference dividends) / Outstanding shares if bonds issued
(L x ( 1 - 30%) - 10,000) / 2,000,000 = ( ( L - 480,000) x ( 1 - 30%) ) / 1,200,000
L = $1,142,857
Which plan gives the higher EPS?Issuing bonds:
= ( ( 1,500,000 - 480,000) x ( 1 - 30%) ) / 1,200,000
= 0.59
Issuing shares:
(1,500,000 x ( 1 - 30%) - 10,000) / 2,000,000
= 0.52
Find out more on Earnings Per Share (EPS) at https://brainly.com/question/11448221.
#SPJ1
Hip Manufacturing produces denim clothing. This year it produced 3,040 denim jackets at a cost of $91,200. These jackets were
damaged in the warehouse during storage. Management identified three alternatives for these jackets.
ed
K
1. Jackets can be sold as scrap to a secondhand clothing shop for $18,240.
2. Jackets can be disassembled at a cost of $6,080 and sold to a recycler for $36,480.
3. Jackets can be reworked and turned into good jackets. The cost of reworking the jackets will be $103,360, and the jackets can ther
be sold for $136,800.
Required:
(1) Compute the income for each alternative.
(2) Which alternative should be chosen?
Scrap, Recycle or Rework Analysis
Revenue from scrap/recycle/rework
Cost of recycled/reworked units
Income
S
Scrap
0 $
Recycle
0 $
Rework
0
1. The income for each alternative for the damaged jackets of Hip Manufacturing is as follows:
Scrap Recycle Rework
Sales Revenue $18,240 $36,480 $136,800
Additional cost 0 6,080 103,360
Income $18,240 $30,400 $33,440
2. The chosen alternative is C. reworking.
Data and Calculations:Production units = 3,040
Production costs = $91,200
Scrap Recycle Rework
Sales Revenue $18,240 $36,480 $136,800
Additional cost 0 6,080 103,360
Income $18,240 $30,400 $33,440
Thus, reworking yields the highest income and should be chosen as it reduces the loss from the damage more than scrapping or recycling.
Learn more about calculating income at https://brainly.com/question/25895372
#SPJ1
Why is compound interest preferable to simple interest?
Compound interest pays at least double the interest on the principal
Compound interest is paid by the week or by the month, not only on
O Compound interest is based on the entire principal, not just a percer
O Compound interest pays interest on the principal and the interest ea
Answer:
Compound Interest, when it comes to investing, compound interest is better since it allows funds to grow at a faster rate than they would in an account with a simple interest rate. Compound interest comes into play when you're calculating the annual percentage yield.
Explanation:
I hope this helped a lot bro. Hope you make a 100 on your test or quiz. Can I get brainiest.
Answer:
D.) Compound interest pays interest both on the principal and the interest earned in each period.
Explanation:
On Edg
Fifteen percent of the students in a school of Business Administration are majoring in Economics, 20% in Finance, 35% in Management, and 30% in Accounting. The graphical device(s) which can be used to present these data is (are) a. a line chart. b. only a bar chart. c. only a pie chart. d. both a bar chart and a pie chart.
Answer: d. Both a bar chart and a pie chart.
Explanation:
The function of a yield management system is to:
A) ensure adequate staffing requirements in accordance with demand
B) achieve maximum room occupancy and at the same time determining the best average room rate
C) improve the quality of the hotel’s food and beverage offer
D) more effectively market the hotel and its services to customers
The function of a yield management system is to: achieve maximum room occupancy and at the same time determining the best average room rate.
Yield management is a variable pricing approach, primarily based on knowledge, looking forward to and influencing client behavior so one can maximize sales or earnings from a hard and fast, time-constrained useful resource.
Yield management is a dynamic motel pricing strategy designed to provide the most revenue, or yield, from a set stock of rooms. it is about expertise and influencing traveller booking conduct and locating the most effective balance among occupancy and charge.
Yield management makes a speciality of finding the right stability of deliver and call for to get the most bookings at the very best fees. It enables you maximize room sales and profitability.
Learn more about Yield management here : https://brainly.com/question/14804334
#SPJ1
introduction of business presentation on investment: securities
Securities play a vital role in modern investment portfolios, providing individuals and organizations with opportunities to grow their wealth and achieve their financial goals.
Securities are financial instruments that represent ownership or a creditor relationship with a corporation, government, or other organizations. They are tradable assets, such as stocks, bonds, mutual funds, and exchange-traded funds (ETFs).
The primary goal of investing in securities is to generate returns through capital appreciation, income generation, or a combination of both. By investing in securities, individuals and businesses can diversify their portfolios, mitigate risks, and potentially earn higher returns than traditional savings accounts.
Securities offer various advantages to investors. Stocks provide an ownership stake in a company, offering potential capital gains and dividend income. Bonds, on the other hand, represent loans made to governments or corporations and offer fixed interest payments. Mutual funds and ETFs enable investors to pool their money and gain exposure to a diversified portfolio managed by professionals.
Investing in securities requires careful consideration of individual risk tolerance, investment horizon, and financial objectives. It is crucial to conduct thorough research, analyze market trends, and seek professional advice when making investment decisions.
For more questions investment portfolios
https://brainly.com/question/31995785
#SPJ8
Market & entreprenurship
are two sides of a coin
Justify by example
Answer:
The analysis for this type of situation has been presented elsewhere here.
Explanation:
The face of something like a coin would be typically referred to as one of the head, although it sometimes describes this same head of such a high profile individual, as well as the back of the tail. Throughout disciplines of diploma nearby numismatic coins, this same phrase area has been more frequently than using front, when the utilization of opposite direction has been widely spread.Assume that markup is based on cost. Find the dollar markup and percent markup on cost for the following. (Round your "Dollar markup" answer to the nearest cent and "Percent markup on cost" to the nearest hundredth percent.)
Cost Selling price Dollar markup Percent markup on cost
$14.80 $21.40
Answer and Explanation:
The computation of the dollar markup and the percent markup on cost is shown below;
The dollars markup is
= Selling price - cost price
= $21.40 - $14.80
= $6.60
ANd, the percent markup on cost is
= $6.60 ÷ $14.80 ×100
= 44.60%