The cross-price elasticity of demand between digital apps and tablet devices is -0.6. This indicates that the two products are substitutes.
This means that an increase in the price of one will cause a decrease in the demand for the other.
Cross-price elasticity of demand is a measure of the responsiveness of the quantity demanded of one product to a change in the price of another product. It is calculated as the percentage change in the quantity demanded of one product divided by the percentage change in the price of another product.
For example, if the price of product A increases by 10%, and as a result, the quantity demanded of product B decreases by 5%, the cross-price elasticity of demand between product A and B would be -0.5. This indicates that product B is relatively insensitive to changes in the price of product A.
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which of the following are long-term tangible assets? multiple select question. accounts receivable trademark equipment property copyright
Intangible assets include goodwill, brand awareness, and intellectual property like patents, trademarks, and copyrights. Contrasting with physical assets like real estate, automobiles, machinery, and stock are intangible assets.
Which of the following are physical assets with a long life?
This type of assets includes natural resources, buildings, equipment, and land improvements. A long-term asset is recorded at cost plus any outlays required to prepare it for usage. Physical objects make up tangible assets. Land, structures, automobiles, furnishings, and equipment are some examples. Assets are shown as current and long-term assets on the balance sheet (non-current assets).
Long-term assets, often known as fixed or capital assets, are those that a corporation may anticipate using, replacing, or turning into cash after the typical operational cycle of at least 12 months. They are frequently in use for years. This sets them apart from existing assets, which businesses normally use up within a year.
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arget costing: multiple choice determines cost based on a budget. determines cost based on an expected market demand for the product. determines cost based upon market price and desired profit. determines cost based on standard cost.
Target costing is determines cost based upon market price and desired profit. The correct answer is c.
Target costing is a cost management technique that is used to determine the maximum cost that can be incurred in producing a product, while still allowing the company to achieve its desired profit margin.
The process begins with the determination of the market price for the product, based on an analysis of the target market and its demand for the product.
From this market price, the desired profit margin is subtracted to determine the allowable cost of production. This allowable cost is then used as the basis for the company's cost management efforts, with a goal of reducing costs to the point where the desired profit margin can be achieved. The correct answer is c.
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A firm's dynamic capabilities allow it to respond agilely to market changes, as well as to ______.
A firm's dynamic capabilities allow it to respond agilely to market changes, as well as to create, integrate, and reconfigure internal and external competencies to address rapidly changing environments.
A firm's dynamic capabilities have a huge impact on its response to the constantly evolving market. In the face of fast-changing market situations, dynamic capabilities have become more important. For instance, if a firm is operating in a market that has shifted from high-technology products to low-technology products, dynamic capabilities will allow it to adjust quickly to the new environment. By modifying its current offerings and developing new offerings, the company can capitalize on new opportunities in the low-technology market.
Dynamic capabilities can also help firms avoid market changes that pose a significant risk to their survival. Because they can constantly monitor the market and adapt to new circumstances, companies with dynamic capabilities can rapidly adjust to new conditions and avoid major risks. A company with dynamic capabilities can respond rapidly to market changes, develop new goods and services, enhance existing goods and services, and reconfigure internal and external competencies to meet new challenges. As a result, a company can sustain its competitive advantage and maintain its place in the market.
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tavist allergy pills sell for $25 a box. stefan, brianna, and tobias are willing to pay $33, $27, and $19, respectively, for a box of tavist. what is the total consumer surplus for stefan, brianna, and tobias?
The total consumer surplus for Stefan, Brianna, and Tobias when purchasing a box of Tavist Allergy Pills is $12 ($33 - $25 for Stefan, $27 - $25 for Brianna, and $19 - $25 for Tobias).
To calculate the total consumer surplus, we need to find the difference between the price the buyers are willing to pay and the actual selling price of $25, and then add up the individual surpluses.
For Stefan: Consumer Surplus = $33 - $25 = $8,For Brianna: Consumer Surplus = $27 - $25 = $2,For Tobias: Consumer Surplus = $19 - $25 = -$6 (Note: Tobias is not experiencing a consumer surplus because he is not willing to pay as much as the market price.)Total Consumer Surplus = $8 + $2 + (-$6) = $4
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what occurs when a company can significantly increase its market share by being first with a new competitive advantage?
A corporation might see a considerable rise in market share by being the first to develop a new competitive advantage.
When a firm provides a new competitive advantage, such as a new product or service, it might attract a big number of clients who are interested in this new offering. If the business is the first to provide this benefit, it will have a distinct edge over rivals and be able to take in a bigger portion of the market. This can lead to higher revenues, earnings, and long-term success. A corporation might see a considerable rise in market share by being the first to develop a new competitive advantage. But, the corporation must continue to develop and strengthen its advantage to preserve its position in the market and remain ahead of competitors who may try to copy the same advantage.
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allocation of service department costs to producing departments is the most complex of the allocation phase of departmental cost allocation because of the likely presence of: multiple choice repetitive steps. manager bias. reciprocal flows. non-value adding activities. formula distracters.
The allocation of service department costs to producing departments is the most complex of the allocation phase of departmental cost allocation because of the likely presence of reciprocal flows
The process of allocating service department costs to producing departments and products is referred to as departmental cost allocation. To provide a more accurate picture of the real costs of each product or service provided, many businesses allocate overheads to different departments or cost centers before passing them on to the cost object.
The allocation of service department costs to producing departments is the most difficult step in the departmental cost allocation process due to the possibility of reciprocal flows.When two or more service departments are allocated overheads using the sequential method, there is a possibility of reciprocal flow.
When one service department provides services to another department, the term reciprocal service is used. The allocation of overhead expenses is done to eliminate the impact of reciprocal services. Repetitive steps are the steps which are repeated over and over again.
In the context of departmental cost allocation, repetitive steps could be referring to the process of allocating service department costs to producing departments that needs to be done over and over again for different cost centers, products or services.A formula distracter is a term used in mathematics that refers to a term or concept that is introduced in a question to divert the attention of students from the key focus.
However, it is not applicable in departmental cost allocation as it is not a part of the process.
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a licensee who is taking a listing on a property finds a number of problems that need to be fixed, such as several leaking faucets and faulty electrical outlets. this would be an example of:
A licensee who is taking a listing on a property and finds a number of problems that need to be fixed, such as several leaking faucets and faulty electrical outlets, would be an example of Property disclosure requirements.
In the United States, property disclosure laws specify what information a home seller must disclose to a prospective buyer about the condition of their property. The real estate agent must advise the homeowner to fully disclose any known information or known issues about the property. It is crucial to disclose any known property defects, particularly those that might influence a buyer's decision to buy or not to buy.
Any changes that have been made to the property must be disclosed, and it is critical to know about the property before listing it. However, the agent should ensure that the defects are fixed before listing the property to avoid legal problems in the future.
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if the company has 475,000 shares outstanding and the stock currently sells for $41, how much will it cost you to buy a seat if the company uses straight voting?
In the following question, if the company has 475,000 shares outstanding and the stock currently sells for $41, The cost of buying a seat if the company uses straight voting is $19,475,000
The number of outstanding shares= 475,000
The price of each share = $41
Number of votes required to win a board seat= 1
We have to find the cost to buy a seat if the company uses straight voting. For this, we need to calculate the percentage of the share owned and the price of the share owned by the person.
PART 1:To win a board seat, the number of votes required= 1So, a person needs to have a minimum of 475,001 shares to win a board seat.
PART 2:So, we need to calculate the cost to buy 475,001 shares at the current market price.
Cost of buying one share = $41
Cost of buying 475,001
shares= $41 x 475,001 = $19,475,041
Therefore, the cost of buying a seat if the company uses straight voting is $19,475,000.
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a group of religious traditionalists, strict, plain, do not use modern technology, and really great cooks describe_____
A group of religious traditionalists, strict, plain, do not use modern technology, and really great cooks describe the Amish community.
The Amish are a group of Christian Anabaptists who are known for their simple, austere lifestyle. They are located mostly in Pennsylvania, Ohio, and Indiana in the United States, as well as in Ontario and other parts of Canada. The Amish community has a rich history and a deep-seated sense of community and family. They are known for their rejection of modern technology, as they believe it has the potential to lead to moral decay and a loss of community values. However, they are also known for their excellent cooking and baking skills, as well as their hard work and dedication to their way of life. The Amish community is a prime example of how religious traditionalists can coexist with modern society while still maintaining their own unique way of life.Learn more about modern technology: https://brainly.com/question/24518752
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Effective business writers use various techniques to improve their messages. How could the following selection be improved? The delivery person wrecked the office supply van. The problem in this ineffective selection is: Sentence length/comprehension rate Passive voice A dangling/misplaced modifier
Effective business writers avoid using passive voice, which is evident in the ineffective selection "The delivery person wrecked the office supply van."
Passive voice can make sentences vague and lacking in action. In this case, the sentence doesn't clearly state who caused the accident or what happened. To improve the selection, the writer could use active voice, such as "The delivery person crashed the office supply van," which clearly identifies the responsible party and the action that occurred.
Additionally, using specific details, such as the location of the accident and the extent of the damage, could provide more context and enhance the message's effectiveness.
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money today is only currency inside banks. in the united states, is only dollar bills and coins. is the demand for loanable funds. is the supply of loanable funds. is fiat money.
Money today is known as fiat money. Fiat money is currency that is used by a country as a medium of exchange.
It is used because of its power to be a legal tender and its recognition as an accepted currency.What is the currency inside banks?The currency inside banks is known as the demand for loanable funds. A demand for loanable funds refers to the amount of money that borrowers are willing to take at any given interest rate. A loanable fund is also referred to as credit or the money that is loaned out in the economy.What is United States' currency?In the United States, the currency is known as the dollar bills and coins.
The US dollar is one of the world's most important reserve currencies, and it is used as a standard currency to trade in oil and precious metals.What is fiat money?Fiat money is a type of currency that is backed up by the government that issues it. Its value is derived from the trust that people have in the government. Fiat money has no intrinsic value, but it is valuable as a medium of exchange due to its legal tender status. The government can print fiat money in unlimited quantities as long as it doesn't cause inflation.
Fiat money is used because it is accepted as a legal tender by the public, and it is used as a medium of exchange in the economy.
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a tool that is increasingly used by service providers to minimize the heterogeneity between those who deliver the service is to employ
Service providers, to minimize the heterogeneity between those who deliver the service, employ the tool of standardization.
What is standardization?Standardization is a tool used by service providers to minimize the heterogeneity between those who deliver the service. It's done to provide a consistent service experience to customers, regardless of who is delivering the service or where it is delivered.
Standardization entails developing specific processes and protocols that all service providers must follow when delivering a service. It helps to reduce the likelihood of human error, ensure service consistency, and enhance the quality of the service.
Additionally, it ensures that all customers receive the same level of service, regardless of which service provider they engage with or where they are located.
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India specializes in business process outsourcing and does this more efficiently than any other country. It buys agricultural commodities, which it produces less efficiently than outsourcing activities, from the United States, even though it produces these agricultural commodities more efficiently than the United States Which international trade theory supports India's decision to buy agricultural commodities from the United States?O Absolute Advantage ExampleO Comparative Advantage ExampleO Product Life Cycle Theory ExampleO Heckscher-Ohlin Model (Factor Proportions Theory) Example
The Heckscher-Ohlin Model (Factor Proportions Theory) Example supports India's decision to buy agricultural commodities from the United States.
This theory suggests that countries that have an absolute advantage in the production of certain goods will tend to export them and import goods that they have a comparative disadvantage in producing.
In this case, India specializes in business process outsourcing, which it can do more efficiently than other countries. However, it is not as efficient in producing agricultural commodities as the United States, so it is more efficient for India to buy these commodities from the United States.
This is an example of comparative advantage, as India can produce the agricultural commodities, but does so less efficiently than the United States. Therefore, it makes sense for India to focus on its comparative advantage in business process outsourcing and buy agricultural commodities from the United States.
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you purchase a city of phoenix bond that is paying 5.45%, if you are in the 32% tax bracket, what is your tax equivalent yield?
The tax equivalent yield while purchasing a city of phoenix bond that is paying 5.45%, if there is 32% tax bracket is 7.94%.
What is the tax equivalent yield?The tax equivalent yield for a city of Phoenix bond paying 5.45, if you are in the 32 tax bracket, can be calculated using the following formula:
Tax Equivalent Yield = Bond Yield / (1 - Tax Bracket).
In this case, the tax-equivalent yield would be 7.94. This means that if the bond were tax-free, it would need to yield 7.94 in order to be equivalent to a 5.45 yielding bond with a 32 tax bracket.
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a project team works by brainstorming ideas at every stage of the project. which type of task interdependence does this exhibit? select one.
The type of task interdependence that the project team exhibits is Pooled task interdependence.
What is task interdependence?Task interdependence refers to the degree to which team members have to depend on each other to perform their duties. Different forms of interdependence have varying implications for the design and management of teams, as well as for team effectiveness.
Task interdependence's three types are as follows: Pooled task interdependence Sequential task interdependence, Reciprocal task interdependence. In your case, the type of task interdependence that the project team exhibits is Pooled task interdependence. A group of individuals who share common resources, like tools or expertise, and whose results are pooled to achieve a final group product or output, is known as pooled task interdependence. The correct option is A.Pooled task interdependence.
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which of the following best characterizes the statement? the statement demonstrates that association proves causation. the statement ignores the secondary effects of government policies. the statement violates the ceteris paribus condition. the statement contains the fallacy of composition.
The statement demonstrates that association proves causation, which is a logical fallacy. This fallacy assumes that because two events or phenomena are observed to occur together, one event is the cause of the other.
However, this is not necessarily true and does not take into account any secondary effects. This statement also violates the ceteris paribus condition which states that all other factors must remain equal for an effect to be attributed to any one variable. Furthermore, this statement also contains the fallacy of composition which states that what is true of the parts, is also true of the whole.
This is not always true and can lead to false conclusions. In summary, the statement demonstrates that association proves causation, ignores secondary effects, violates the ceteris paribus condition, and contains the fallacy of composition.
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during the year,it had credit sales of $150,000. moore recived payements on account of $140,000. at the end of the year, accounts recivable has a:
During the year, it had credit sales of $150,000. Moore received payments on account of $140,000. At the end of the year, accounts receivable has a balance of $10,000.
What is accounts receivable?Accounts receivable refers to the balance owed to a company by its customers, which arises from the sale of products or services on credit terms. The company does not receive the cash from the customer when the sale is made if the sale is made on credit. Instead, the money is expected to arrive in the future.
Accounts receivable is the amount owed to the business by its customers, as previously stated.
How much is the amount owed to the company by its customers?During the year, credit sales totalled $150,000.The amount of cash received by Moore was $140,000.At the end of the year, accounts receivable was $10,000.To calculate the amount owed to the company by its customers, you must subtract the amount of cash received by Moore from the credit sales of $150,000, which is $10,000:$$150,000 - $140,000 = $10,000$$.Therefore, accounts receivable has a balance of $10,000 at the end of the year.
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assume that crackers and cream cheese are complementary goods. the effect on the cream cheese market of a decrease in the price of crackers (other things being equal) would best be described as a(n):
Assuming that crackers and cream cheese are complementary goods, the effect on the cream cheese market of a decrease in the price of crackers would best be described as a(n) "increase in demand for cream cheese."
Complementary goods refer to goods that are used together with other goods. In economics, complementary goods are described as a decrease in demand for a product, which happens when the price of the related product increases.
Conversely, an increase in demand for one product can cause a complementary product to increase in demand.The relationship between complementary goods is the opposite of substitute goods, which are products that are used in place of each other.
A decrease in the price of a product can cause an increase in demand for it, and it can also cause an increase in demand for its complementary product.Let us now come back to the question; if crackers and cream cheese are complementary goods, the effect on the cream cheese market of a decrease in the price of crackers (other things being equal) would best be described as an increase in demand for cream cheese.
Therefore, this situation will cause a leftward shift in the demand curve for cream cheese.
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bookmark question for later what type of reports are the basis for all other reports? trend analysis reports transaction processing reports ad hoc reports summarization reports
The correct answer is "D. Summarization reports" are the basis for all other reports as they provide a condensed overview of data from transaction processing reports.
This data can be used to create trend analysis and ad hoc reports.
Summarization reports provide a high-level view of data by consolidating and aggregating information from transaction processing reports. They are typically used by managers and executives to make informed decisions and monitor performance. Trend analysis reports, which analyze data over time to identify patterns and trends, are built upon summarization reports as they require a historical perspective.
Ad hoc reports, which are created on-demand to answer specific questions or address particular issues, can also be generated from summarization reports by filtering and drilling down into the data. Overall, summarization reports serve as the foundation for all other types of reports and provide a valuable tool for decision-making and analysis.
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a bond has a face value of $1,000, has 5 years until maturity, and an annual coupon rate of 7%. it yields 5% currently. by how much will the price change over the next year if the yield remains constant? group of answer choices decline by $15.67 rise by $15.67 zero decline by $86.59
If the yield remains constant, the price change will decline by $15.67 over the next year.
The price of the bond will decline by $15.67 over the next year if the yield remains constant. This is because the coupon rate (7%) is higher than the yield (5%). A bond's yield is the rate of return an investor receives for buying the bond. When the coupon rate is higher than the yield, it means that investors are willing to buy the bond for a price lower than the bond's face value ($1,000 in this case). Thus, the price of the bond decreases to adjust to the yield and the difference is calculated as:
Difference in Price = Face Value x (Coupon Rate - Yield) x (1/2)
In this case, the difference in price is calculated as:
Difference in Price = $1,000 x (7% - 5%) x (1/2) = $15.67
Therefore, the price of the bond will decline by $15.67 over the next year if the yield remains constant.
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stone needs to accumulate sufficient funds to pay a $470,000 debt that comes due on december 31, 2029. the company will accumulate the funds by making five equal annual deposits to an account paying 8% interest compounded annually. determine the required annual deposit if the first deposit is made on december 31, 2024.
Stone requirements to set aside yearly installments of $73,564.34 to amass adequate assets to pay the $470,000 obligation that comes due on December 31, 2029, assuming the primary store is made on December 31, 2024.
What are Assets?Assets are financial resources that a company, individual, or organization owns or controls and can use to generate future financial benefits. Assets can be intangible, like patents, trademarks, copyrights, and goodwill, or tangible, like cash, inventory, property, plant, and equipment, in accounting. Based on their liquidity and anticipated use, assets can also be categorized as current or non-current.
Those assets that are anticipated to be utilized or converted into cash within a year or operating cycle, whichever comes first, are considered current assets. They include things like inventory, accounts receivable, cash and cash equivalents, and prepaid expenses.
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Assuming the main store is made on December 31, 2024, Stone needs to put aside yearly installments of $73,564.34 to accumulate enough assets to pay the $470,000 obligation that becomes due on that date.
How to calculate PV Annuity Due?Financial resources that a business, person, or group owns or controls and can use to produce future financial benefits are known as assets.
Functions of a table or computer FVAD of $ 1
Future Value 560000
n 5
i 8%
Deposit $88,385
Working Note
FV Annuity Due = C*((((1+i)^n)-1)/i)*(1+i)
560000= C*((((1+0.08)^5)-1)/0.08)*(1+0.08)
560000= C*6.335929
C= 560000/6.335929
C= 88385
Required Annual Deposit (C ) = 88384.83
Functions of a computer or table PVAD of $ 1
Payment $136,000
n 10
i 11%
Deposit $889,038
Working:
PV Annuity Due= C*((1-(1+i)^(-n))/i)*(1+i)
PV Annuity Due = 136000*((1-(1+0.11)^(-10))/0.11)*(1+0.11)
PV Annuity Due = 889038
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Provide one example for each of the four strategies for companies entering a global market. Respond to at least two of your peers and move forward the discussion with your peers. Your initial response should be at least 250 words and your peer responses should be at least 150 words. Make sure to stagger your post/responses and not post all of the responses on one day.Four International Strategies:Global standardization.Localization strategy.Transnational strategy.International strategy.
The four strategies that companies can use to enter the global market are international (Coca-Cola), localization
(Starbucks), transnational( Unilever), and global standardization strategies(McDonald's).
International strategy: This strategy entails using the firm's existing product portfolio and selling it in the foreign market. The company does not change its product design, marketing, or pricing to fit the foreign market. An example of this strategy is Coca-Cola, which uses the same product and marketing campaign worldwide.
Transnational strategy: The company integrates global and local decision-making to enhance its efficiency, effectiveness, and local responsiveness. This strategy recognizes that while standardization lowers costs, it may not work in all situations. Unilever is a company that uses a transnational strategy to integrate local responsiveness and global efficiency.
Global standardization: This strategy involves creating standardized products with a consistent brand identity and marketing message across all regions. An example of a company that uses this strategy is McDonald's. Its menu, service quality, and marketing messages are the same worldwide.
Localization strategy: This strategy involves creating custom products, marketing campaigns, and pricing for each region or country. Starbucks is an example of a company that uses this strategy. They adapt their product offerings and marketing messages to fit the local culture.
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businesses come and go. in many countries some businesses have been around for 100 years, and then all of a sudden are gone or at least it appears that way. usually this is not the case, but to the consumer's eyes they are there one day and gone the next. what is the most common reason for this happening? group of answer choices loss of investments failure to adapt world pandemics bad employees ran out of money
The most common reason for the sudden disappearance of a business is the failure to adapt to the changing times (option b).
This often results in loss of investments or running out of money.
However, to the consumer's eyes, businesses come and go. In many countries, some businesses have been around for 100 years, and then all of a sudden are gone or at least it appears that way. Usually, this is not the case, but to the consumer's eyes, they are there one day and gone the next. It is, therefore, important for businesses to be proactive and anticipate changes that may affect their operations to ensure continuity and growth. Investment plays a crucial role in a business's success, and any losses could result in its downfall.
Bad employees could also be a contributing factor, but the most common reason for a business's failure is the failure to adapt to changing trends and evolving consumer needs. This is especially true in today's fast-paced world where consumer preferences are ever-changing.
Businesses need to be responsive to changing trends and consumer needs. It is important to remain relevant by adopting new technologies and strategies that enhance their competitiveness in the market. Failure to do so will lead to a decline in sales and ultimately, the failure of the business.
So, the reason for their disappearance is option b. the failure to adapt to the changing times .
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Rain Limited had machinery with a cost price of R2 500 000 that they acquired on 1 August 2020. 25% of the machinery purchased on 1 August 2020 was disposed of on 30 November 2021. Machinery to the value of R550 000 was purchased on 1 February 2022. These were the only disposals and acquisitions of machinery for the 2021 and 2022 financial years
The carrying value as of 30 November 2021: R2 395 833, 1 February 2022: R2 346 875
Depreciation expense per year = (Cost price - Salvage value) / Useful life
Depreciation expense per year = R250 000
Carrying value as at 30 November 2021 = Cost price - Accumulated depreciation
Carrying value as at 30 November 2021 = R2 500 000 - R104 167
Carrying value as at 30 November 2021 = R2 395 833
Carrying value as at 1 February 2022 = Carrying value as at 1 December 2021 + Cost of new machinery purchased
Carrying value as at 1 February 2022 = R2 346 875
thus, the carrying value of the machinery for the financial years 2021 and 2022 are 30 November 2021: R2 395 833, 1 February 2022: R2 346 875
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a valid contract requires question 28 options: a) specific quality standards. b) an offer and an acceptance. c) a duration and termination provision. d) a price and a subject.
The fundamental components necessary for the agreement to be a legitimate offer and acceptance, appropriate consideration, capacity, and legality are: mutual assent stated by them; adequate consideration; adequate consideration; and capacity.
What is specific quality standards and termination provision?
Documents that give rules, specifications, guidelines, or characteristics that may be applied consistently to guarantee that materials, products, processes, and services are appropriate for their intended use are referred to as quality standards.
In project management (PM), the term "quality standards" refers to the paperwork that specifies the needs, rules, and principles for achieving consistent quality across projects from the beginning through all phases till conclusion. A contract must have many essential components in order to be legally binding: clearly stated conditions (contract terms), consent from both parties, who must be of sound mind; and legality (i.e., the agreement cannot be related to criminal acts). Most people sign contracts several times throughout the course of their lives.
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find the apr, or stated rate, in each of the following cases: a. an effective interest of 17% compounded semiannually b. an effective interest of 8% compounded monthly
For case a, the APR or stated rate is 16.14% and for case b, the APR or stated rate is 8.33%.
a.This can be calculated by taking the compound interest formula,
A=P(1+r/n)nt,
where A is the total amount,
P is the principal amount,
r is the annual interest rate,
n is the number of times compounded per year, and
t is the number of years, and solving for r.
Substituting the values in the formula, we get
Thus, APR equals (17/2)2 = 16.14%.
b. This can be calculated by taking the compound interest formula,
A=P(1+r/n)nt,
where A is the total amount,
P is the principal amount,
r is the annual interest rate,
n is the number of times compounded per year, and t is the number of years, and solving for r.
Substituting the values in the formula, we get
Thus, APR equals (8/12)12 = 8.33%.
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the issuance of municipal securities is regulated by group of answer choices the consumer financial protection bureau. the respective state governments. the securities and exchange commission. the federal reserve.
The issuance of municipal securities is regulated by the Securities and Exchange Commission.
Municipal securities are a type of debt security that is issued by a state or local government. Governments use these securities to raise money for capital projects such as building schools or highways. The money received from the sale of the securities is used to finance the project, and the investor receives a fixed interest rate return. Municipal securities are also known as "munis.
The SEC is responsible for regulating the securities industry, including the issuance and trading of municipal securities. The SEC helps ensure that investors are provided with accurate and timely information about the securities they invest in. The SEC also works to ensure that the municipal securities market is fair, efficient, and transparent.
Municipal securities can offer several advantages to investors. Some of these include: Tax advantages: Interest earned from municipal securities is often tax-exempt at the federal level, and sometimes at the state and local level as well. Diversification: Investing in municipal securities can help diversify an investor's portfolio, as they are often not correlated with other types of investments.
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a. a 3-month t-bill selling at $98,490 with par value $100,000. (round your answer to 2 decimal places.)
The 3-month T-bill selling at $98,490 with par value $100,000 means that the market rate of interest for this T-bill is 1.51%. This can be calculated by subtracting the purchase price ($98,490) from the par value ($100,000) and then dividing that by the par value ($100,000). The calculation is: (100,000 - 98,490) / 100,000 = 1.51%.
The T-bill is an obligation of the federal government to repay the par value at the maturity date, which in this case is 3 months. The T-bill can be bought at the market price, but the holder of the T-bill will not receive interest payments; instead, the holder will only receive the par value at the maturity date. Thus, the return of investment is 1.51%, which is the difference between the par value and the purchase price.
The risk associated with T-bills is very low since they are backed by the government. Additionally, T-bills are highly liquid since they can be bought and sold in the secondary market. The main disadvantage of investing in T-bills is that the return of investment is low since there is no interest payments.
In conclusion, a 3-month T-bill selling at $98,490 with par value $100,000 implies that the market rate of interest is 1.51%. The risk associated with T-bills is low, and they are highly liquid. However, the return of investment is low since there is no interest payments.
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16. jocko was just told that the expected return for echo stock was 20%, based on the capm. assuming that the market return and the risk-free rate are 12% and 4%, respectively, what is the beta for echo?
Echo has a beta of 1.0, which means that it has the same level of risk as the overall market.
Echo stock's beta is calculated by the Capital Asset Pricing Model (CAPM).
The formula for beta is Beta = Covariance (Echo, Market) / Variance (Market).
The covariance is the expected return of Echo (20%) minus the risk-free rate (4%) multiplied by the expected return of the Market (12%) minus the risk-free rate (4%).
The variance is the expected return of the Market (12%) minus the risk-free rate (4%) squared.
When calculating the beta of Echo, you get Beta = (16% x 8%) / 64% = 1.0.
This means that Echo has a beta of 1.0, which means that it has the same level of risk as the overall market.
This means that if the market goes up or down, Echo is expected to move by the same amount in the same direction. The beta of Echo is not affected by the risk-free rate since it is used in the formula both as a constant and in a negative position. The expected return of Echo, however, is affected by the risk-free rate, since it is used as a constant when calculating the beta.
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one of the justifications for government intervention in markets is the potential to improve on the market outcome in markets characterized by . (enter one word in the blank.)
One of the justifications for government intervention in markets is the potential to improve on the market outcome in markets characterized by monopolies or oligopolies
The term "market failure" refers to situations where the market mechanism fails to achieve the optimal outcome, which is defined as the allocation of goods and services that maximizes the social welfare or the sum of consumer and producer surplus.
Another reason for market failure is the presence of monopolies or oligopolies, which are situations where a single or a few firms dominate the market and have the power to influence prices and quantities.
Moreover, the market may fail to provide public goods, which are goods that are non-excludable and non-rivalrous, meaning that they cannot be withheld from anyone and their consumption by one person does not reduce their availability to others.
In all these cases, the government may intervene in the market to improve its outcome, using various policy instruments, such as taxes, subsidies, regulations, public provision, or antitrust laws.
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