Answer:
(q2 - q1)
Explanation:
I have uploaded the picture the question refers to below.
We can see that under a price ceiling of $0, the quantity of kidneys supplied is Q1, and if the price ceiling is removed, and the market is allowed to reach equilibrium, the new quantity of kidneys supplied is Q2, so the increase in the supply of transplanted kidneys can be found by the formula (q2 - q1)
An example of a cost is _____.
revenues
principal and interest on loans
tornadoes
profits
What do you call to the agreement between the company and the establishment that allows certain staff to charge back the costs and expenses to the company?
Answer:
The Service Level Agreement (SLA)
Explanation:
A service-level agreement (SLA) is a contract between a service provider and its customers that documents what services the provider will furnish and defines the service standards the provider is obligated to meet. A service-level commitment (SLC) is a broader and more generalized form of an SLA. The two differ because an SLA is bidirectional and involves two teams. In contrast, an SLC is a single-directional obligation that establishes what a team can guarantee its customers at any given time.
Hope this helps!
Which exit strategy can you use when you are unable to locate a buyer for your business?
A.
file for tax returns
B.
venture into a new business
C.
repay your loans
D.
liquidate the business
how can you say that office is an information centre?
Answer:
hope this helps
Explanation:
An office is an information center which provides information relating to business transactions. Such information is very useful. It is used by management for the purpose of planning, organizing, staffing, directing and controlling.Information Center: The office serves as an information centre. It collects information from sources like invoices, letters, memos, agreements, vouchers etc., and protects them in safe mode on the basis of their importance for future reference.It is used by management for the purpose of planning, organizing, staffing, directing and controlling. Office not only keeps record of information but also plays the role of reliable channel of communicating the information. It is required for smooth functioning of the organization.
Answer:
Explanation:
I think information centre is designed specifically for storing, processing, and retrieving information for dissemination at regular intervals. if the office is doing so then you can say that it is information centre.
Explain five steps in product design for a business
Explanation:
Five phases guide the new product development process for small businesses: idea generation, screening, concept development, product development and, finally, commercialization.
What is one difference between what a Computer Programmer and an Information Support Specialist does?
Computer programmers and information support specialists are both involved in the field of information technology, but their roles and responsibilities differ significantly. A computer programmer is responsible for writing and testing code, developing software programs, and creating applications. They are involved in designing, coding, testing, debugging, and maintaining software applications to meet user needs.
On the other hand, an information support specialist is responsible for providing technical support to end-users. They are responsible for maintaining and troubleshooting hardware and software issues, resolving technical problems, and providing training to users on how to use the equipment or software. They may also be responsible for installing, configuring, and managing computer systems, servers, and networks.
In summary, the main difference between what a computer programmer and an information support specialist does is that while computer programmers create software applications, information support specialists provide technical support for users to ensure that such applications function optimally. Nonetheless, both professions are equally important in ensuring that technology runs smoothly in any organization.
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Assume you purchase a retail building for $1,250,000. You have no cash flow and no expenses in years 1-5, but you find a buyer at the end of year 5 to buy it from you for $1,600,000. What is your NPV for this investment using a discount rate of 9% ?
$126,048
-$210,110
-$40,627
$16.44%
The NPV for this investment is $40,627.
To calculate the NPV, follow these steps:
1. Identify cash flows: Initial investment is -$1,250,000, and the cash flow at the end of year 5 is $1,600,000.
2. Apply the discount rate: Use the 9% discount rate to calculate the present value of the cash flow in year 5.
3. Calculate present value: PV = $1,600,000 / (1 + 0.09)⁵ = $1,017,546.52
4. Subtract the initial investment from the present value: NPV = $1,017,546.52 - $1,250,000 = $40,627.
In this case, the NPV of the investment is positive, which indicates that the investment is expected to generate a return greater than the 9% discount rate.
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while examining the pros and cons of introducing a smoking-cessation program for the employees of lite lead manufacturing, sujin does extensive research and learns that the pros far outnumber the cons. she decides to recommend that the company implement the program. which statement will increase the positivity of her proposition?
Smoking cessation programs result in lower health care costs and fewer sick days for employees. An inductive approach to writing a business case.
NTCP is implemented in three layers. H. (i) National Tobacco Control Commission (NTCC) at the central level, (ii) State Tobacco Control Commissions (STCC) at the state level, and (iii) District Tobacco Control Commissions (DTCC) at the district level. There are also provisions for establishing district-level smoke-free services.
Recognized as one of the most effective smoking cessation programs in the country, Freedom From Smoking has helped hundreds of thousands of people quit smoking completely and is now available in a variety of formats. Options are:
Prescription nicotine in nasal spray or inhaler. You can buy nicotine patches, gum, and lozenges without a prescription. Prescription non-nicotine smoking cessation drugs such as bupropion (Wellbutrin SR, Wellbutrin XL, etc.) and varenicline.
Clinicians can use the "5 R's" to motivate patients to consider quitting smoking.
Relevance, risk, reward, obstacles, repetition. Relevance - Encourage patients to show why smoking cessation is personally relevant. Risks - Ask the patient about possible adverse effects of tobacco use.
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what method would an economist use to gather empirical data in order to test the proposed relationship between money and the price level?
Answer:
An economist would look for data on past changes in the money supply, and note the resulting changes in the price level
Explanation:
An economist would look for data on past changes in the money supply, and note the resulting changes in the price level
Economists do not usually develop theoretical models of the economy but only analyze summary statistics about the current state of the economy.
An economist would persuade the Federal Reserve to change the money supply to various levels, and observe the resulting changes in the price level.
Morning light does not enter the swamp. Even the sunrise is dark. Still, time progresses, night into day
A picture of bayou country is deceiving Slow streams converge under mud to make the appearance of land that is actually water. One net of moss hangs from one hundred trees. Lightning strikes the
same stump many times.
People pass the swamp's fringes in trains, on tracks that cling to the last solid ground. Out of their windows are landscapes that take the earth's colors to every periphery, Bright orange sunsets
surround people like sky on an airplane. On gray foggy mornings they ride through a dream that has no beginning or end. But time has its limits, these people know. They are expected places--Memphis
by midnight, New Orleans by dawn
Deep in the swamp, animals keep the only appointments Birds gather at high places in trees. Raccoons make their last noisy passes for food across someone's back porch before he awakes. Fish all
around splash up, although they cannot see the morning coming to clean the picture of day like clothes bleaching in a galvanized tub from dark gray to light gray
Joan looked out from the porch to the swamp she had known all her life. Ahead of her in the veiled light were the outlines of many trees. Below and around her were the crisp sounds of nature
awakening Cupped in both hands, perched on her knees was a warm mug of coffee.
Which of the following can the reader infer from the passage above?
O Travelers sleep throughout the journey.
O The ride is for airplane passengers to see the sky.
O Travelers lose their sense of the outside world.
Answer:
Travelers lose their sense of the outside world.
Explanation:
Study Island
examples of frictional force
Explanation:
I hope this would be the right answer....select all that apply differences between actual contractual adjustments and the amounts estimated are . multiple select question. included in the period of change in estimate recorded as gains or losses in the period of adjustment treated as changes in accounting estimates
The amounts estimated are included in the period of change in estimate, recorded as gains or losses in the period of adjustment, and treated as changes in accounting estimates.
The actual contractual adjustments and the previous estimates are treated as changes in accounting estimates. This means that the estimates were based on assumptions that turned out to be incorrect and needed to be adjusted. The adjustment is made to reflect the best estimate of the contractual adjustments based on the new information available.
When differences are identified between actual contractual adjustments and their estimated amounts, they are included in the period of change in estimate, recorded as gains or losses in the period of adjustment, and treated as changes in accounting estimates to accurately reflect the updated information in the entity's financial statements.
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The all-benefits approach to CVP involves ______. identifying and promoting all the advantages of the product closely following the competition emphasizing how the product is different from the competition focusing on what the customer likes about the product
Cost-volume-profit (CVP) analysis looks at the impact that varying levels of sales and product costs have on operating profit. Hence the benefit is:
focusing on what the customer likes about the productUses of CVPIt is used to determine whether there is an economic justification for a product to be manufactured. A target profit margin is added to the break-even sales volume, which is the number of units that need to be sold in order to cover the costs required to make the product, to arrive at the target sales volume needed to generate the desired profit.Therefore, the correct answer is as given above.
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Perpetuities are also called annuities with an extended or unlimited life. Based on your understanding of perpetuities, answer the following questions. Which of the following are characteristics of a perpetuity? Check all that apply. In a perpetuity, returns-in the form of a series of identical cash flows-are earned. A perpetuity continues for a fixed time period. The present value of a perpetuity is calculated by dividing the amount of the payment by the investor's opportunity interest rate. A perpetuity is a series of regularly timed, equal cash flows that is assumed to continue indefinitely into the future. Your grandfather wants to establish a scholarship in his father's name at a local university and has stipulated that you will administer it. As you've committed to fund a $25,000 scholarship every year beginning one year from tomorrow, you'll want to set aside the money for the scholarship immediately. At tomorrow's meeting with your grandfather and the bank's representative, you will need to deposit (rounded to the nearest whole dollar) so that you can fund the scholarship forever, assuming that the account will earn 5.00% per annum every year. Oops! The bank representative just reported that he misquoted the available interest rate on the scholarship's account. Your account should earn 4.25%. The amount of your required deposit should be revised to . This suggests there is relationship between the interest rate earned on the account and the present value of the perpetuity.
Based on your question, here are the characteristics of a perpetuity:
In a perpetuity, returns in the form of a series of identical cash flows are earned.A perpetuity continues indefinitely, not for a fixed time period.The present value of a perpetuity is calculated by dividing the amount of the payment by the investor's opportunity interest rate.A perpetuity is a series of regularly timed, equal cash flows that is assumed to continue indefinitely into the future.Regarding the scholarship, at a 5.00% interest rate, you would need to deposit:
$25,000 / 0.05 = $500,000
However, with the revised interest rate of 4.25%, you should recalculate the required deposit:
$25,000 / 0.0425 = $588,235 (rounded to the nearest whole dollar)
This suggests there is a relationship between the interest rate earned on the account and the present value of the perpetuity. As the interest rate decreases, the present value of the perpetuity increases, requiring a higher initial deposit to fund the scholarship indefinitely.
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What's the equation for Total Net Debt BOP Amount?
The equation for Total Net Debt BOP Amount is Balance of payments = balance of the current account + balance of the capital account + balance of the financial account.
A statement of all transactions between entities in one country and the rest of the world over a specified time period, such as a quarter or a year, is known as the balance of payments (BOP), sometimes known as the balance of international payments. It compiles a list of every transaction that citizens, businesses, and governmental organisations within a nation make with counterparts abroad.
Both the current account and the capital account are part of the balance of payments. A country's net commerce in commodities and services, net returns on international investments, and net transfer payments are all included in the current account. The transactions a country makes with its reserves at its central bank and financial instruments make up its capital account.
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If a company has average total assets of $8,500,000, average total common stock of $1,100,000, average total stockholders' equity of $4,400,000, sales of $10,500,000, and net income of $860,000, what is its return on equity ratio
The company's return on equity ratio is 19.55%. This means that the company generates 19.55% profit for every dollar invested by its stockholders.
The return on equity (ROE) ratio is a financial metric used to assess a company's ability to generate profits from its stockholders' equity. It's calculated by dividing the company's net income by its average stockholders' equity. In this case, the company has average total stockholders' equity of $4,400,000 and net income of $860,000.
To calculate the ROE ratio, follow this formula:
ROE = Net Income / Average Stockholders' Equity
Plugging in the given values:
ROE = $860,000 / $4,400,000
ROE = 0.19545
To express the ratio as a percentage, multiply the result by 100:
ROE = 0.19545 × 100 = 19.55%
A higher ROE indicates that the company is more efficient in utilizing its equity to generate profits.
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Calculating Project NPV The Fancy Manufacturing Company is considering a new investment. Financial projections for the investment are tabulated here. The corporate tax rate is 23 percent. Assume all sales revenue is received in cash, all operating costs and income taxes are paid in cash, and all cash flows occur at the end of the year. All net working capital is recovered at the end of the project. Year 1 Year 2 Year 3 Year 4 Investment Year O $ 27,600 Sales revenue $ 16,300 $ 17,700 $ 14,200 Operating costs Depreciation $ 14,700 3,550 3,425 5,500 4,100 6,900 6,900 6,900 6,900 Net working capital spending 365 265 355 215 ? a. Compute the incremental net income of the investment for each year. (Do not round intermediate calculations and round your answers to the nearest whole number, e.g., 32.) Year 1 Year 2 Year 3 Year 4 Net income b. Compute the incremental cash flows of the investment for each year. (A negative amount should be indicated by a minus sign. Do not round intermediate calculations and round your answers to the nearest whole number, e.g., 32.) Year 0 Year 1 Year 2 Year 3 Year 4 Cash flow ++ c. Suppose the appropriate discount rate is 9 percent. What is the NPV of the project? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) NPV
a) To compute the incremental net income of the investment for each year, we need to subtract the operating costs, depreciation, and income taxes from the sales revenue. Since the corporate tax rate is 23 percent, we will calculate income taxes as 23 percent of the taxable income.
Year 1: Sales revenue - Operating costs - Depreciation - Income taxes
Year 2: Sales revenue - Operating costs - Depreciation - Income taxes
Year 3: Sales revenue - Operating costs - Depreciation - Income taxes
Year 4: Sales revenue - Operating costs - Depreciation - Income taxes
b) To compute the incremental cash flows of the investment for each year, we need to add the net income to the depreciation and subtract the net working capital spending.
Year 0: Initial investment (negative value)
Year 1: Net income + Depreciation + Net working capital spending
Year 2: Net income + Depreciation + Net working capital spending
Year 3: Net income + Depreciation + Net working capital spending
Year 4: Net income + Depreciation + Net working capital spending
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which of the following organizational arrangements does not support a company taking a low-cost position? group of answer choices a multi-level structure with several tiers in the management hierarchy. measurement and control systems that focus on productivity and cost containment. a frugal company culture that emphasizes the need to control costs. clear lines of accountability and control. incentive systems that empower employees to suggest and pursue initiatives that are consistent with productivity improvements.
A) Organizational arrangements that include a multi-level structure and numerous tiers in the management hierarchy do not assist a corporation in pursuing a low-cost position.
How does management hierarchy work?An organizational structure that is hierarchical has a pyramid-shaped level of position and ranking or a chain of command. This organizational structure consists of several organizations, each of which is subordinate to another employee with the exception of one, who is typically the president or CEO.
Employees with higher ranks reside on a distinct level, with a single or group at the top and successive tiers of power below them, which are located at the base of the power pyramid. Every level is responsible for the levels under it and answers to the layers above.
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is sueing someone for 50,000 dollars for no reason an example of integrity because recently a neighbor in my neighborhood was being rude and then continued to say that people who are not like him do not have integrity... (before get further in just know this guy smokes weed and get drunk like every day and also know one of my other neighbors works for selling houses in my neighborhood) he then sues one of my neighbors who sells houses for no reason and for 50,000 dollars. So...is this integrity lol also let me know if I should tell more crazy stories in my life on brainly lol.
Answer:
ohExplanation:
.............................
g If the beginning work in process includes 200 units that are 20% complete with respect to conversion and 30% complete with respect to materials. Ending work in process includes 100 units that are 40% complete with respect to conversion and 50% complete with respect to materials. If 1,000 units were started during the period, what are the equivalent units of productions for the period (using the weighted-average method) for conversion
Answer:
1,140 units
Explanation:
Note : The question requires us to use the weighted-average method. This method focuses on equivalent units of completed units and units still in process only.
Step 1 : Determine units completed and transferred
Units Completed = Beginning units + Units Started - Ending units
= 200 + 1,000 - 100
= 1,100 units
Step 2 : Calculate equivalent units of production with respect to conversion costs
Completed and transferred (1,100 x 100%) 1,100
Ending units (100 x 40%) 40
Total equivalent units of conversion costs 1,140
thus,
the equivalent units of productions for the period (using the weighted-average method) for conversion is 1,140 units.
Which of the following is the most common traits of entrepreneurs? A. Passionate B. Risk-taker C. Independence D. Self-assured
Answer:
A. Passionate
Explanation:
Hope this helps
Answer: independence
Explanation:
fiscal policy that involves changes in government spending affects which of the following components of aggregate demand? multiple select question. household consumption total net exports government spending investment spending
Fiscal policy that involves changes in government spending affects the following components of aggregate demand Government spending.
Fiscal policy, which involves changes in government spending, has a profound impact on aggregate demand. In particular, increases in government spending lead to increases in consumer demand, investment, and exports.
This increase in demand stimulates economic growth and employment. Conversely, decreases in government spending can lead to reductions in consumer demand, investment, and exports. These reductions can cause a decline in economic growth and job creation. Therefore, it is important for policy makers to consider the impact of changes in government spending when formulating fiscal policy.
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what happens to the economy when businesses are overtaxed and overregulated
When businesses are overtaxed and overregulated, it can have negative effects on the economy. Firstly, businesses may struggle to remain profitable as they have to pay higher taxes and comply with more regulations, leading to job losses and reduced economic activity. This can also discourage investment in new businesses, further slowing economic growth.
Additionally, overregulation can stifle innovation and competition, as smaller businesses may not have the resources to comply with complex regulations, giving larger corporations an unfair advantage. Overall, an overtaxed and overregulated business environment can lead to a decrease in economic growth and hinder job creation, making it important for governments to balance taxation and regulation to support business growth and development.
When businesses are overtaxed and overregulated, the economy can experience several negative effects.
Firstly, businesses may face reduced profitability, leading to decreased investment in expansion and innovation. This can result in slower economic growth and potentially higher unemployment rates as companies cut back on hiring.
Secondly, the increased regulatory burden can create barriers to entry for new businesses, hindering competition and potentially leading to monopolistic or oligopolistic markets. This can result in reduced consumer choice, higher prices, and less innovation.
Lastly, over-taxation and overregulation may cause businesses to relocate their operations to more business-friendly jurisdictions, leading to a loss of jobs and revenue for the original economy. Consequently, overall economic well-being and productivity may decline.
In summary, over-taxation and overregulation of businesses can lead to reduced economic growth, higher unemployment rates, decreased competition, and a loss of jobs and revenue for the affected economy.
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You run a school in Florida. Fixed monthly cost is $5,220.00 for rent and utilities, $6,416.00 is spent in salaries and $1,215.00 in insurance. Also every student adds up to $104.00 per month in stationary, food etc. You charge $747.00 per month from every student now. You are considering moving the school to another neighborhood where the rent and utilities will increase to $10,416.00, salaries to $6,904.00 and insurance to $2,119.00 per month. Variable cost per student will increase up to $177.00 per month. However you can charge $1,200.00 per student. At what point will you be indifferent between your current mode of operation and the new option? Submit Answer format: Number: Round to: 0 decimal places. #16 You run a nail salon. Fixed monthly cost is $5,299.00 for rent and utilities, $5,815.00 is spent in salaries and $1,063.00 in insurance. Also every customer requires approximately $5.00 in supplies. You charge $109.00 on average for each service. You are considering moving the salon to an upscale neighborhood where the rent and utilities will increase to $11,422.00, salaries to $6,803.00 and insurance to $2,180.00 per month. Cost of supplies will increase to $8.00 per service. However you can now charge $158.00 per service. At what point will you be indifferent between your current location and the new location? Submit Answer format: Number: Round to: 2 decimal places.
At the point of indifference, the school should have at least 17 students, while the nail salon should have a minimum of 142 customers.
For the school in Florida:
Current total cost per student = $5,220 + $6,416 + $1,215 + $104 = $12,955
New total cost per student = $10,416 + $6,904 + $2,119 + $177 = $19,616
Revenue per student in the new option = $1,200
Point of indifference = New total cost per student / Revenue per student
Point of indifference = $19,616 / $1,200 ≈ 16.34
Therefore, the school will be indifferent between the current mode of operation and the new option when there are approximately 17 students.
For the nail salon:
Current total cost per service = $5,299 + $5,815 + $1,063 + $5 = $12,182
New total cost per service = $11,422 + $6,803 + $2,180 + $8 = $22,413
Revenue per service in the new location = $158
Point of indifference = New total cost per service / Revenue per service
Point of indifference = $22,413 / $158 ≈ 141.94
Therefore, the nail salon will be indifferent between the current location and the new location when there are approximately 142 customers.
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the organization structure that creates a chain of command with one person at the top and others in ranked order to the bottom is a
The organization structure that creates a chain of command with one person at the top and others in ranked order to the bottom is known as a hierarchical structure.
A hierarchical structure is a commonly used organizational structure that establishes a clear chain of command within an organization. In this structure, there is a single person at the top, often referred to as the CEO, president, or director, who holds ultimate authority and responsibility for decision-making.
Below this top position, the organization is divided into various levels or ranks, each headed by a person who reports to the higher-level individual. This creates a clear line of authority and accountability throughout the organization.
The hierarchical structure ensures that power and decision-making authority flow from the top down, with each level of management having control over the level below it. This structure enables efficient communication, delegation of tasks, and coordination of activities.
Additionally, it provides a clear career progression path for employees, as they can strive to move up the ranks within the organization.
However, hierarchical structures can sometimes be criticized for being rigid and slow to adapt to changes. Decision-making can become centralized, leading to delays and a lack of autonomy for lower-level employees.
To address these limitations, some organizations adopt flatter structures or introduce more flexible decision-making processes. Nevertheless, the hierarchical structure remains widely used, particularly in large organizations or those with a need for clear lines of authority and well-defined roles and responsibilities.
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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.
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Harold borrowed P 1800 from his uncle last December 25,2019 . He promised that he will pay his uncle on February 14, 2020 at 8% interest. Find the exact simple interest to be paid by Harold. a. 19.72 b. 20.4 c. 20.12 d. 20
Harold borrowed P1800 from his uncle on December 25, 2019, and promised to repay it on February 14, 2020, with an 8% interest rate. The question asks for the exact simple interest that Harold needs to pay 20.12 (option c).
To calculate the simple interest, we need to use the formula: Interest = Principal * Rate * Time.
In this case, the principal is P1800, the rate is 8% (or 0.08 as a decimal), and the time is the number of days between December 25, 2019, and February 14, 2020.
Calculating the number of days between the two dates, we have:
February 14, 2020 - December 25, 2019 = 51 days.
Now we can calculate the interest:
Interest = P1800 * 0.08 * (51/365) = P20.10958904109589.
Rounding to the nearest cent, the exact simple interest to be paid by Harold is P20.12 (option c).
It's important to note that the interest calculation assumes simple interest, meaning that the interest is only based on the principal amount and does not compound over time.
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2. which factors seem to be most important in diagnosing why bad things happen? what role does the individual, and individual conscience, play in making sure good things happen in organizations?
Factors that seem to be most important in diagnosing why bad things happen are root cause analysis, understanding of the systemic factors, and the context within which the incident occurred. Also, accountability plays a vital role in ensuring that good things happen in organizations.
Individuals' behavior and conscience also play a vital role in making sure good things happen in organizations. Positive values, ethics, and morals are essential to achieve a good outcome in any organization. Individuals' intentions and actions should be aligned with the organization's goals and objectives to ensure a good outcome.
Individual conscience is essential in organizations because it can guide employees in making the right decisions even when no one is watching. The individual's conscience can push individuals to act morally and make the right decisions that align with the organization's goals.
The individual conscience will prompt employees to do the right thing, even when there is no formal procedure to follow.
In conclusion, accountability, positive values, ethics, and morals, and the individual's conscience play a significant role in ensuring good things happen in organizations. The understanding of systemic factors and the context within which an incident occurs, along with accountability and the individual's conscience, is critical in diagnosing why bad things happen.
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The strategy used in a planned attack usually consists of developing attack plans, identifying security holes and gaps, and __________.
The strategy used in a planned attack usually consists of developing attack plans, identifying security holes and gaps, and attempting to escalate privilege.
Privilege escalation can be defined as an attack to gain unauthorized access to elevated rights or privileges beyond what is intended or allowed for a user. This attack could involve an external attacker or an insider.
Privilege escalation is a type of network attack used to gain unauthorized access to systems within your security perimeter. Attackers start by finding weaknesses in an organization's defenses and gaining access to systems.
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Pete is trying to get a loan. He has a credit score of 480. How is Pete’s lender likely to view this credit score? Pete is responsible and will pay the loan back on time. Pete is responsible but will not pay the loan back on time. Pete is irresponsible but will pay the loan back on time. Pete is irresponsible and will not pay the loan back on time.
Answer:
Pete is irresponsible and will not pay the loan back on time.
Explanation:
Borrowers can be classified into four groups depending on their credit scores. Credit score range from 300 to 850
Scores between 300 to 629: Bad
From 630 to 689: Fair
From 690 to 719: Good
From 720 t0 850 : Excellent
Pete is in the lower band of credit score. His credit score is very low. It could be a result of bad history in debt repayment. For this reason, lenders will assess him as a high-risk customer. Pete is poor at managing debts and is likely to default on future loans.
Answer:
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