To create a bond amortization schedule in Excel, follow these steps:
Open a new Excel spreadsheet and create the following columns: Date, Cash Interest, Interest Expense, Change, and Carrying Value.
Enter the following input cells as hard-keyed values: Face value = $1,250,000, Stated interest rate = 7%, Market interest rate = 9%, and interest payment per period = $43,750 ($1,250,000 x 7% / 2).
Calculate the issue price using the PV function. Enter the formula "=PV(9%/2, 30, 43750, 1250000)" in a cell, which will give the issue price of $934,989.42.
Fill in the first row of the amortization table with the following information: Date = 1/1/2018, Cash Interest = $43,750, Interest Expense = $70,312.50 ($934,989.42 x 9%/2), Change = $-26,562.50 ($43,750 - $70,312.50), and Carrying Value = $934,989.42.
Copy the first row of the amortization table and paste it below, changing the date to 6/30/2018. Repeat this process for each subsequent interest payment date, adjusting the carrying value accordingly.
For the Interest Expense column, use the formula "=$C$2*($E3/$C$3)" to calculate the interest expense for each period. Lock the cell reference to the market interest rate in cell C2 and the stated interest rate in cell C3 using absolute cell references.
The completed bond amortization schedule should look like this:
Date Cash Interest Interest Expense Change Carrying Value
1/1/2018 $43,750 $70,312.50 ($26,562.50) $934,989.42
6/30/2018 $43,750 $70,123.20 ($26,373.20) $908,616.22
12/31/2018 $43,750 $69,930.81 ($26,180.81) $881,685.41
6/30/2019 $43,750 $69,735.20 ($25,985.20) $854,250.21
12/31/2019 $43,750 $69,536.29 ($25,786.29) $826,313.92
6/30/2020 $43,750 $69,334.05 ($25,584.05) $797,888.87
12/31/2020 $43,750 $69,128.46 ($25,378.46) $768,977.41
6/30/2021 $43,750 $68,919.49 ($
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Which style of decision making will consumers who develop brand loyalty use?
A.extensive decision making
B.limited decision making
C.routine decision making
D.opportunity based decision making
Terrell has $300 to open a checking account. He plans to use the ATM four times per month at his local branch. He does not overdraft his account.
Answer:
Terrell needs a checking account that offers him either no fees at all for ATM withdrawals at the local branch, or that offers him the lowest fees in the market.
The reason is that Terrell will open his account with a relatively small amount of $300, and he plans to make 4 withdrawals in total. Given the small balance and the quantity of withdrawals, a high fee could easily represent an important percentage of the total balance, making him lose money, essentially.
Answer:
B
Explanation:
which of the following statements most accurately describes the review process for grant proposals? applicants who submit grant proposals are informed in advance as to who will review their proposals. once one federal agency has approved a grant proposal, the other agencies do not need to review it. the peer review process is the same across all federal agencies. funding agencies usually have committees, often with external reviewers, that assess the quality of the proposal.
Funding agencies usually have committees, often with external reviewers, that assess the quality of the proposal.
A funding agency is any external, public or private body that signs a contract with the university to finance research or a business venture. How funds may be spent, what deliverables are expected, and which reports are necessary are frequently determined by the funding source.
Retained earnings are one of the funding sources.
debt funding.
Equity financing
The National Institutes of Health, the National Science Foundation, the Department of Energy, among 26 other U.S. government departments are only a few of the organizations that are listed on Grants.gov as the most significant public supporters of research in...
Sources of Funding Worldwide in General
Federal Business Opportunities. National Science Foundation. Fulbright Program. GuideStar. Bill and Melinda Gates Foundation. National Endowment for the Arts. USAID. Grants.gov.
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GUYSSSS PLS HELP!!!!! I WILL GIVE BRAINLIEST AND A GOOD RATING!!!!!!
Using a diagram, explain what happens to a trader's total revenue when his price falls given that demand for his product is
i) Elastic
ii) Inelastic
If demand is elastic, a price increase will cause a larger than commensurate decrease in the amount sought. As a result, the producer's income will decrease.
What happens to total revenue when the price falls and demand is inelastic?When the price of an inelastic good is reduced, the demand for that good does not rise. As a result, less money is made overall because of the reduced price and unchanged demand. This would suggest that the company shouldn't lower the price of its items because there would be no positive results from doing so.
As shown in the diagram attached below, the quantity demanded fell from 0Q1 to 0Q2 after the price increased from 0P1 to 0P2. If the demand is inelastic, an increase in price will result in a less-than-proportionate fall in the quantity demanded. Consequently, the producer's total revenue will rise. As shown in the diagram, quantity demand falls from 0Q1 to 0Q2 after the price increases from 0P1 to 0P2.
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Please help in this question asap
Answer:
All of these
Explanation:
do I need to explain lol?? :]
Monte Carlo simulations are useful to include in models when: a. There are many variables with complex interactions b. Manual what-if testing isn't feasible c. A small amount of extra precision is valuable d. Stakes are high
(a). Monte Carlo simulations are useful to include in models when there are many variables with complex interactions because they allow for the exploration of a wide range of possible outcomes based on different input values and assumptions.
Monte Carlo simulations use a random sampling technique to generate multiple iterations of a model, each with a different set of input values drawn from probability distributions specified by the user. By generating a large number of simulations, Monte Carlo methods can help to capture the full range of potential outcomes, including rare or extreme events that may not be easily observable in real-world data.
(b). Monte Carlo simulations are useful to include in models when manual what-if testing isn't feasible because they can simulate a large number of possible outcomes based on probability distributions for the inputs.
Monte Carlo simulations can be used to automate what-if testing and scenario analysis, which can be much faster and more efficient than manual testing. In manual what-if testing, a person would have to manually adjust each input variable to see how it affects the output, which can be time-consuming and prone to human error.
(c). Monte Carlo simulations are useful to include in models when a small amount of extra precision is valuable because they can help to account for variability and uncertainty in the input values of a model.
In situations where small changes in input values can have significant impacts on the outcome, Monte Carlo simulations can provide a more accurate estimate of the expected outcome by generating a large number of simulations with different input values and probability distributions.
(d). Monte Carlo simulations are useful to include in models when stakes are high because they can help to assess the potential impact of uncertain factors on the outcome of a decision.
Monte Carlo simulations are often used in situations where the stakes are high, such as in financial modeling, engineering design, or medical research. In these situations, it is important to have a comprehensive understanding of the potential outcomes and risks, and Monte Carlo simulations can help provide this information.
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A(n) _____ identifies how you feel about an activity or subject.
Answer:
Survey
it questions and identifies how you feel about an activity or subject.
Answer: interest theory
took it on edg.
what is the study of business
Explanation:
The study of business is about how individuals and groups of people organise, plan, and act to create and develop goods and services to satisfy customers. Business is influenced by and impacts on the cultural, ethical, environmental, political, and economic conditions of the day
Explanation:
business studies is an academic subjects taught in many schools and higher education institutions in the world .
With regard to business definition, railroads may have lost business because they:
With regard to business definition, railroads may have lost business because they defined their business too narrowly.
Railways are a safe land transport system whilst in comparison to different kinds of shipping. Railway transport is capable of excessive stages of passenger and load usage and strength performance however are frequently less flexible and more capital-intensive than avenue delivery when decreased site visitor levels are taken into consideration.
The Railroad become the first advanced in top-notch Britain. a person named George Stephenson efficaciously implemented the steam technology of the day and created the world's first hit locomotive.
The primary engines used in the United States of America had been bought from Stephenson Works in England.
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how can person identify whether a company is private company or public company
Answer:
The overview of that same problem is defined throughout the explanation segment below.
Explanation:
My understanding would be that privately owned businesses will happily inform anyone who queries. Publicly traded companies are identified by the mark as well as the worker's everyone seems to be testing their price of the stock-to decide according to one's interest in share capital.But things are going to change, the FED had already lost together with all remaining remains of knowledge that convince one where the worth of someone's inventory since they have lost Market Exploration.
Which is a good rule to follow when sending business emails? (1 point)
Answer:
Avoid forwarding spam and unnecessary messages such as chain letters.
Explanation: did the test
The good rule that must follow at the time of sending business emails is to avoid forwarding spam and unwanted texts like chain letters.
What is email?An email, is also called as the electronic mail. It is one of the most extensively employed features of the Internet, that is mostly used in the formal business organizations.
It allows a person to transport and acquire messages from nay person in the globe that has an email account. Within the TCP/IP suite, email uses a variety of protocols.
When sending business emails, a good tip to follow is to avoid forwarding spam and undesirable texts like chain letters.
Therefore, the use of formal languages and proper formats made the emails more accurate.
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shareholders group of answer choices everyone who is making a business decision. groups of people who are impacted by a company's business decisions including customers, suppliers and the government. owners of any type business. owners of shares of stock in a corporation.
Shareholders can be defined as the owner of shares of stock and the people who are impacted by the decision-making, like the customer-supplier and the government. Thus, options B and D are the correct options.
Who is a shareholder?A shareholder can be defined as a person who owns at least one or more shares of a particular company.
Shareholders are owners of the stock that the company has issued. Also as the company booms or makes a profit the shareholder also makes the profit as both are related to each other.
So we can say that the impact of business or how the business is doing is in relationship with the customer-supplier or the government. Therefore options B and D are correct options.
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The question is incomplete, the complete question will be:
Who is a shareholder? group of answer choices
everyone who is making a business decision.
groups of people who are impacted by a company's
business decisions including customers, suppliers and the government.
owners of any type business. owners of shares of stock in a corporation.
Select all that apply Review the following statements and select the ones which accurately describe a Petty Cash fund. Select all answers which apply. Multiple select question. It is established to pay for small payments like postage, shipping fees, etc. It is used to avoid the time and cost of writing checks for small amounts. It is an account used to record small sales amounts. It is an expense reported on the income statement. It is an asset reported on the balance sheet.
Answer:
It is established to pay for small payments like postage, shipping fees, etc.
It is an asset reported on the balance sheet.
It is used to avoid the time and cost of writing checks for small amounts
Explanation:
A Petty Cash is simply any amount of cash kept on hand and used for making small payments. It is usually placed on the asset account and it account also increases on the debit side and decreases on the credit side.
The Petty Cash fund is set up with the use of the following:
1. Date
2. Debit
3. Credit
4. Source Document
Businesses promote use of Petty Cash funds due to it having some small payments for which writing a check is not time or cost effective. It is increase by replacimg or putting more money back in the petty cash box. Before putting money, an evidence of the fund being put in to the box must be complete.
Answer:
It is established to pay for small payments like low-cost supplies and shipping fees, etc.
It is an asset reported on the balance sheet.
Explanation:
first answer is incorrect
1) Inflation represents the rate of increase of the average price of goods. If inflation decreases from 10% to 5%, does the average price of goods decrease? Explain.
No, the average price of goods does not decrease when inflation decreases from 10% to 5%.
Inflation represents the rate of increase in the average price of goods and services over time. When inflation decreases, it means that the rate of price increase has slowed down, but it does not imply a decrease in the average price itself. Even with a lower inflation rate, prices can still continue to rise, albeit at a slower pace.
The percentage of inflation indicates the extent of price increase compared to the previous period. If the inflation rate decreases from 10% to 5%, it means that prices are still increasing but at a slower rate. For example, if an item was priced at $100 at the beginning of the year, with a 10% inflation rate, its price would increase to $110. However, with a 5% inflation rate, the price would increase to $105. While the rate of increase has decreased, the average price of goods has not decreased.
Therefore, it is important to differentiate between a decrease in the inflation rate (a decrease in the rate of price increase) and an actual decrease in the average price of goods, which would indicate deflation.
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please answer all of the following question
You need to form a portfolio using two risky assets Asset E(R) Sigma Asset A 12% 18% Asset B 17% 25% The correlation coefficient between Asset A and Asset B is 0.25
a) what is the weight of asset A in the minimum variance portfolio? (four decimals, no %)
b)Assume that risk-free rate is 5%, what is the weight of Asset A in the portfolio which has the highest Sharpe ratio? (four decimals, no %)
c)Use the same portfolio information as above. Assume that risk-free rate is 5% and your degree of risk-aversion is 6. Now in addition to investing these two risky assets, you can also invest in one risk-free asset. What is the weight of each asset (Asset A, Asset B, and the risk-free asset) in the optimal portfolio which gives you the highest utility?
Weight of Asset A =
Weight of Asset B =
Weight of the risk-free asset =
(four decimals, no %)
A) the weight of Asset A in the minimum variance portfolio is 0.5185 (or 51.85%).B) the weight of Asset A in the portfolio with the highest Sharpe ratio is 0.5385 (or 53.85%). C) the weight of Asset A in the optimal portfolio is 0.0078 (or 0.78%), the weight of Asset B is 0.0107 (or 1.07%), and the weight of the risk-free asset is 0.9815 (or 98.15%).
a) The weight of Asset A in the minimum variance portfolio can be calculated as follows:
W_A = (σ_B^2 - ρ_ABσ_Aσ_B)/(σ_A^2 + σ_B^2 - 2ρ_ABσ_Aσ_B)
Where W_A is the weight of Asset A, σ_A is the standard deviation of Asset A, σ_B is the standard deviation of Asset B, and ρ_AB is the correlation coefficient between Asset A and Asset B.
Plugging in the given values:
W_A = (25^2 - 0.25*18*25)/(18^2 + 25^2 - 2*0.25*18*25) = 0.5185
Therefore, the weight of Asset A in the minimum variance portfolio is 0.5185 (or 51.85%).
b) The weight of Asset A in the portfolio with the highest Sharpe ratio can be calculated as follows:
W_A = (E(R_A) - R_f)/(E(R_A) - R_f + E(R_B) - R_f)
Where W_A is the weight of Asset A, E(R_A) is the expected return of Asset A, R_f is the risk-free rate, and E(R_B) is the expected return of Asset B.
Plugging in the given values:
W_A = (0.12 - 0.05)/(0.12 - 0.05 + 0.17 - 0.05) = 0.5385
Therefore, the weight of Asset A in the portfolio with the highest Sharpe ratio is 0.5385 (or 53.85%).
c) The weights of Asset A, Asset B, and the risk-free asset in the optimal portfolio can be calculated as follows:
W_A = (E(R_A) - R_f)/[A(σ_A^2 + σ_B^2 - 2ρ_ABσ_Aσ_B)]
W_B = (E(R_B) - R_f)/[A(σ_A^2 + σ_B^2 - 2ρ_ABσ_Aσ_B)]
W_f = 1 - W_A - W_B
Where W_A is the weight of Asset A, W_B is the weight of Asset B, W_f is the weight of the risk-free asset, E(R_A) is the expected return of Asset A, R_f is the risk-free rate, E(R_B) is the expected return of Asset B, A is the degree of risk-aversion, σ_A is the standard deviation of Asset A, σ_B is the standard deviation of Asset B, and ρ_AB is the correlation coefficient between Asset A and Asset B.
Plugging in the given values:
W_A = (0.12 - 0.05)/[6(18^2 + 25^2 - 2*0.25*18*25)] = 0.0078
W_B = (0.17 - 0.05)/[6(18^2 + 25^2 - 2*0.25*18*25)] = 0.0107
W_f = 1 - 0.0078 - 0.0107 = 0.9815
Therefore, the weight of Asset A in the optimal portfolio is 0.0078 (or 0.78%), the weight of Asset B is 0.0107 (or 1.07%), and the weight of the risk-free asset is 0.9815 (or 98.15%).
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At work, Mario was trying to show Jenessa the new procedure for stocking the shelves. Jenessa kept working as he explained and quickly became frustrated because Mario kept telling her she was doing it wrong. What could Jenessa have done first to be a better active listener?
She could have read the employee memo that explained the new procedure.
She could have asked clarifying questions to make sure she understood.
She could have stopped what she was doing to give Mario her full attention.
She could have restated what he said in her own words.
Answer:
She could have stopped what she was doing to give Mario her full attention.
Answer:
C, she could have stopped what she was doing to give Mario her full attention.
Explanation:
Good luck on your test:)
after grocery shopping one sunday afternoon, jason accidentally hits another car while backing out of his parking space. the owner of the car is extremely angry, and threatens to sue jason; even though the lawsuit is unfair, jason would lose more money than he can afford in hiring a lawyer to defend himself. jason is embarrassed, and apologizes genuinely and profusely. as a result, the other car's owner calms down, and agrees to simply exchange insurance information instead of filing a lawsuit. in this example, the effect of jason's embarrassment illustrates:
After grocery shopping one Sunday afternoon------------.In this example, the effect of Jason's embarrassment illustrates his emotional side.
What are emotions?Emotions are complex psychological states that involve a range of physiological and psychological responses to a particular stimulus or situation.
The emotions are typically characterized by a subjective feeling or experience, as well as physical changes in the body such as changes in heart rate, breathing, and muscle tension.
In the above case, the emotional side of the Jason's embarrassment can be seen.
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A toan of 514,749 was repaid at the end of 9 months. What slee repayment check (principal and interest) was written. If a 10.2% annual rate of interest was charged? The amount of the repayment check was : (Round to two decimal places.)
The repayment check, which includes both principal and interest, can be calculated by considering the original loan amount, the interest rate, and the repayment period. In this case, a loan amount of $514,749 was repaid at the end of 9 months, with an annual interest rate of 10.2%.
To determine the repayment check, we need to calculate the interest charged for the 9-month period and add it to the original loan amount. The interest can be calculated using the formula for simple interest:
Interest = Principal x Rate x Time
By substituting the given values into the formula, we can calculate the interest charged. Adding this interest to the original loan amount will give us the total repayment check.
By performing these calculations, we can find the repayment check, which represents the total amount (principal and interest) that was written for the repayment of the loan.
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Payroll deductions are the same for all employees.
Answer:
no it depends the age and how good u are at your job.
Explanation:
A firm that successfully leverages network effects can?
A firm that successfully leverages network effects can push the industry into the growth stage.
What is The network effect ?The network effect is a phenomenon whereby increased numbers of people or participants improve the value of a good or service. Network outcomes. occur when a product or service's value rises together with its customer base. When they occur, network effects rank among the most significant factors in your decision to choose one good or service over another. More users equals more worth.By doing away with gatekeepers, they enable new sources of supply and value generation and scale more effectively.
What are network effects?
By expanding your client base, market share, and the overall value proposition of your product, network effects help you scale your firm and enhance profitability. A network effect is when your product's value rises as more people use it, if you're wondering what that is.Learn more about network effects
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How did sugarcane contribute to the formation of the atlantic slave trade?a.Slave trading ships were made out of sugarcane stalksb.African slaves were needed to work on sugarcane plantationsc.Only African slaves knew how to grow sugarcaned.Sugarcane was the main currency used in the Atlantic slave trade
Sugarcane contributed to the formation of the Atlantic slave trade in various ways.
Firstly, slave trading ships were often made out of sugarcane stalks, as the plant was abundant and readily available in the Caribbean. The demand for sugarcane plantations in the Caribbean also created a need for African slaves.
African slaves were necessary for the cultivation and harvesting of sugarcane, as only they knew the most effective methods for growing the crop.
Finally, sugarcane was the main currency used in the Atlantic slave trade. It was used to purchase slaves, goods, and services in the Caribbean. This created an even greater demand for African slaves, which contributed to the growth of the Atlantic slave trade. In short, sugarcane played a large role in the formation of the Atlantic slave trade by providing the materials necessary to build ships, the labor needed to cultivate the crop, and the currency to purchase slaves.
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1. During the process of environmental scanning, a multinational corporation (MNC) should avoid studying the role of all potential competitors and the relationships surrounding those competitors. [True/False]
2. In the context of the CSA-FSA matrix, firms in quadrants 1 and 4 can benefit from strategies of both low cost and differentiation. [True/False]
1.False: During the process of environmental scanning, a multinational corporation (MNC) should not avoid studying the role of potential competitors and the relationships surrounding those competitors.
Environmental scanning is a crucial component of strategic management, where organizations analyze and evaluate external factors that can impact their business. This includes studying competitors, understanding their strategies, strengths, weaknesses, and how they position themselves in the market.
By studying potential competitors, an MNC can gain valuable insights into their current and future actions, identify emerging trends, and anticipate competitive threats. This knowledge allows the MNC to adjust its own strategies, innovate, and stay ahead in the market. Additionally, understanding the relationships surrounding competitors, such as alliances, partnerships, or supplier relationships, can provide further insights into potential collaborative opportunities or risks.Ignoring competitors and their relationships can leave an MNC vulnerable to market dynamics and changes in customer preferences. It may lead to missed opportunities or blind spots in the competitive landscape. Environmental scanning aims to provide a holistic view of the external environment, enabling organizations to make informed decisions and develop effective strategies.2.False: In the context of the CSA-FSA matrix, firms in quadrants 1 and 4 cannot benefit from strategies of both low cost and differentiation simultaneously.
The CSA-FSA matrix is a strategic framework that helps organizations analyze and determine their competitive position based on their cost structure (Cost-Sensitive Advantage, CSA) and their ability to differentiate their products or services (Functional-Sensitive Advantage, FSA).
Quadrant 1 of the CSA-FSA matrix represents firms with low cost and low differentiation. These firms typically compete on price and focus on cost minimization to offer products or services at a competitive price point. They may have streamlined operations, efficient supply chains, oreconomies of scale that allow them to achieve cost leadership.
Quadrant 4, on the other hand, represents firms with high cost and high differentiation. These firms offer unique, premium products or services that justify higher prices. They invest in innovation, product development, and branding to differentiate themselves from competitors and attract customers who value their distinctive offerings.
While firms in quadrants 1 and 4 can excel in their chosen strategies, it is unlikely that they can simultaneously pursue both low cost and differentiation strategies. Attempting to do so may result in a lack of focus, increased costs, and a diluted competitive position. Organizations typically choose to compete in one quadrant and align their resources, capabilities, and strategies accordingly to optimize their competitive advantage.
In summary, environmental scanning requires studying potential competitors and their relationships. However, firms in quadrants 1 and 4 of the CSA-FSA matrix cannot benefit from both low cost and differentiation strategies simultaneously.
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An airline promotion to business travelers is based on the assumption that two-thirds of business travelers use a laptop computer on overnight business trips.
a.) state the hypotheses that can be used to test the assumption.
h0:p
ha:p
b.) what is the sample proportion from an american express sponsored survey that found 365 of 543 business travelers use a laptop computer on overnight business trips (to 2 decimals)?
c.) what is the p-value (to 4 decimals)?
The answers of the airline promotion questions are: a) H0: p Ha: p ≈ 0.67 The significance level, α=0.05. b) = 0.67 c) p-value = P(z>0) = 0.5000
There is insufficient data to conclude that more than two thirds of business travelers utilize laptop computers when on overnight business trips. Promotion includes a wide range of activities aimed at increasing public awareness or advancing a product. When referring to a career, promotion is raising a worker's rank or position within a hierarchical system. Promotion, as used in marketing, describes raising interest in a product through marketing or a lower price. It can include increasing an employee's position, spreading word about certain product bargains, or generating interest in undervalued stocks. In the marketing industry, they are routinely given. The most frequent usage of the phrase is in reference to a work promotion.
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the standard price of materials is $3.50 per pound and the standard quantity allowed for actual output is 7,000 pounds. if the actual quantity purchased and used was 6,700 pounds, and the actual price per pound was $3.40, the direct materials price variance is
The direct materials price variance is -670. It is negative, which indicates that the actual price of materials is less than the standard price.
What is the direct materials price variance?The actual quantity of materials purchased and used was 6,700 pounds, and the actual price per pound was 3.40. The standard price of materials is 3.50 per pound and the standard quantity allowed for actual output is 7,000 pounds.
The direct materials price variance is given by the formula:
Price variance = (Actual quantity × Actual price) - (Actual quantity × Standard price)
Price variance = (6,700 × 3.40) - (6,700 × 3.50)
Price variance = 22,780 - 23,450
Price variance = -670
Therefore, the direct materials price variance is -670.
The direct materials price variance is negative, which indicates that the actual price of materials is less than the standard price.
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Louis needs to make an investment that will double in 5 years. Which interest rate, compounded annually, is the
lowest rate that will allow for this to happen?
A 4.4%
B. 7.2%
C. 14.4%
D. 16.6%
C is the correct answer
Just took test
A person with a diversified investment portfobo has
Instead of placing all of their money into one investment, a person with a diversified investment portfolio has spread their money across a variety of various asset classes and securities.
Importance of diversified investment portfolioA person with a diversified investment portfolio has invested their money across a range of different asset classes and securities, rather than putting all of their money into a single investment. The idea behind diversification is to reduce risk by spreading investments across different categories, so that a loss in one area is offset by gains in others.
For example, a diversified investment portfolio may include a mix of stocks, bonds, real estate, and commodities such as gold or oil. Within each category, the investor may also hold a range of different securities, such as stocks from different industries or bonds with varying levels of risk.
By diversifying their investments, an investor can potentially reduce their exposure to risks such as market volatility, economic downturns, or company-specific issues. This approach can help to protect their investment portfolio from significant losses and can potentially increase returns over the long term.
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Product enhancements
A) do not really change the basic product.
B) include guarantees and warranties.
C) include features and options
D) reduce the number of target markets one product can satisfy.
Answer:
C or A
Explanation:
I could answer better with more context
Why did Target Corp. create a new C-level security position? A. Because it is required by the government to have a top level security position B. Because they lost 98 million customer accounts C. Target did not create a C-level security position D. Because the CEO has too much work to do
The Target Corp. created a new C-level security position is B - because they lost 98 million customer accounts.
This significant data breach in 2013 prompted Target to reassess their security measures and make changes, including hiring a Chief Information Security Officer (CISO) to oversee and improve their security protocols.
This new C-level security position is necessary to ensure that Target's security measures are comprehensive and effective in protecting their customers' sensitive information.
Target experienced a massive data breach in 2013, which resulted in the loss of 98 million customer accounts. This prompted the company to create a C-level security position to improve their cybersecurity measures and protect customer data more effectively.
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One of the global institutions that emerged over the past 75 years is gatt which stands for the general agreement on tariffs and ______.
a. trade
b. targets
c. taxes
d. time
One of the global institutions that emerged over the past 75 years is gatt which stands for the general agreement on tariffs and The correct answer is a. trade.
The acronym GATT stands for the General Agreement on Tariffs and Trade. GATT was an international treaty that was created in 1947 with the goal of promoting international trade by reducing barriers such as tariffs and quotas. GATT aimed to establish rules and principles for trade liberalization and to provide a framework for negotiating trade agreements among member countries.
GATT played a significant role in the post-World War II era in fostering global economic cooperation and reducing protectionism. In 1995, GATT was replaced by the World Trade Organization (WTO), which expanded upon the principles and objectives of GATT while also addressing additional aspects of international trade.
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When The U.S. Government Engages In Deficit Spending, That Spending Is Primarily Financed By A. Issuing New Bonds B. Borrowing Money From Foreign Governments C. Increasing The Required Reserve Ratio D. Buying Bonds From U.S. Banks And The Public
The primary source of funding for the U.S. government's deficit spending is borrowing money from other nations.
How is deficit spending funded by the government?When a government spends more on transfers, goods, or services than it collects in taxes, there is a budget deficit. The national debt increases every time a government borrows money to make up for budget gaps.
What are the funding sources for the deficit?Some economists have completely given up on the idea of a balanced budget because they believe it to be an unsuitable standard for determining public policy. However, government inefficiency may also contribute to deficit financing, reflecting widespread tax avoidance or inefficient spending rather than the implementation of a deliberate countercyclical policy.
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