Answer: Strivers
Explanation:
The term that refers to people who are trendy and fashionable in order to impress others and are often impulse buyers is Strivers.
It should be noted that Strivers are usually consumers that are from low income families but they so much believe in style and fashion and really wants to impress and emulate celebrities or high income earners who use lastest trends or fashion.
Where should a user store frequently used icons on a computer?
Answer: they should be loaded on the tool bar
Explanation:
for quick and easy access
Company A Company B Market Value of Equity $250,000 $200,000 Market Value of Debt $600,000 $500,000 Cost of Equity 8% 10% Cost of Debt 2% 2% Tax Rate 35% 30% Based solely on their current weighted average cost of capital, which company should pursue an investment opportunity with an expected return of 5%? a) Neither Company A nor Company B b) Only Company B c) Only Company A d) Both Company A and Company B
Answer:
Neither company
Explanation:
They did not receive an investment.
You find a zero coupon bond with a par value of $10,000 and 27 years to maturity. The yield to maturity on this bond is 4.9 percent. Assume semiannual compounding periods. What is the price of the bond
Answer:
$2,706.16
Explanation:
The Price of the Bond is also known as its Present Value or PV.
This is calculated as follows :
FV = $10,000
N = 27 × 2 = 54
I = 4.9 %
P/YR = 2
PMT = $0
PV = ?
Using a financial calculator to input the value as above, the PV is $2,706.16
Therefore, the price of the bond is $2,706.16
A bakery buys flour in 25-pound bags. The bakery uses 1,215 bags a year. Ordering cost is $10 per order. Annual carrying cost is $75 per bag. Determine the economic order quantity.
Answer:
the economic order quantity is 18 units
Explanation:
The computation of the economic order quantity is as follows
Economic order quantity is
[tex]= \sqrt{\frac{2 \times annual\ demand \times ordering\ cost}{carying\ cost} } \\\\= \sqrt{\frac{2\times 1,215\times \$10}{\$75} }[/tex]
= 18 units
hence, the economic order quantity is 18 units
We simply applied the above formula so that the correct value could come
And, the same is to be considered
Lee Tanaka spent 225 hours in the tax year working with Partnership Q, a gardening store. He also worked 140 hours with a floral design partnership that does decorations for weddings and funerals. Finally, he spent 155 hours in a new business selling flowers to hospitals. None of the entities are PTPs. He is considered a(n) _______________ for all activities.
Answer:
material participant
Explanation:
In order to be considered a material participant in a business, you have to work at least 100 hours. The IRS allows material participants to include business income as regular earned income, instead of passive income.
Since Lee worked more than 100 hours in each of these businesses, he will be considered a material participant in all of them.
How can the loan decisions of individuals and private bankers contribute to the instability in the macroeconomy
How would the following transactions affect U.S. exports, imports, and net exports?
a. An American art professor spends the summer touring museums in Europe.
b. Students in Paris flock to see the latest movie from Hollywood.
c. Your uncle buys a new Volvo.
d. The student bookstore at Oxford University in England sells a copy of this textbook.
e. A Canadian citizen shops at a store in northern Vermont to avoid Canadian sales taxes.
Answer:
A. As a result of the professors activities, import would increase while export remains unchanged. Net export would reduce.
B. Export would increase while import remains unchanged. Net import would increase
C. Volvos are made in Sweden. So, the Volvo would be imported. This increases import and export remains unchanged. Net export would reduce.
D. The sales takes place in England, so US export, import and net export would remain unchanged.
E. Export would increase while import remains unchanged. Net import would increase
Explanation:
Net export = Export - Import
With regard to operational hedging versus financial hedging:_________.
Answer:
a) operational hedging provides a more stable long-term approach than does financial hedging
Explanation:
These are the options for the question;
a) operational hedging provides a more stable long-term approach than does financial hedging.
b) financial hedging, when instituted on a rollover basis, is a superior long-term approach to operational hedging.
c) since they both have the same goal, stabilizing the firm's cash flows in domestic currency, they are fungible in use.
d) none of the above
Hedging in finance can be regarded as the process of utilizing of financial instruments as well of market strategy so that any risk as a result of adverse price movement can be offset. In domain of finance literature, operational hedging can be regarded as course of action that brings about the exposure of the risk of a particular firm through operational activities or non-financial instruments. Financial hedging involves management of price risk through the activities of financial derivative so that the price movement can be offset. It should be noted that With regard to operational hedging versus financial hedging operational hedging provides a more stable long-term approach than does financial hedging.
An industry with a large number of small firms is usually thought to be highly competitive. Is that supposition true of the banking industry?
Answer: Not Anymore
Explanation:
In the past, it could be said that the Banking industry in the United States was more competitive as there were many more smaller banks which operated in a certain geographical area.
As time moved forward towards the present however, what we have seen is smaller banks being taken over by larger banks which want to expand operations or as a result of the smaller banks failing.
The banking sector still has a lot of small banks but is effectively controlled by a few big banks and so is not as competitive as before.
Jude is in charge of the advertising program for the boston red sox baseball team during their spring training in fort myers floida. he has defined the advertising program asa project with the following characteristics. the goal is to fill all stadium seats during the spring training season.
Activity Immediate Predecessor(s) Activity Time in weeks
A None 1
B None 1
C A 4
D B 5
E C,D 5
F E 3
G F 2
If activity is delayed by 2 weeks, then the revised earliest project completion time is_______.
a. 16 weeks.
b. 17 weeks.
c. 18 weeks.
d. 19 weeks.
Answer:
b. 17 weeks.
Explanation:
From the table given:
Activity Immediate Predecessor(s) Activity Time in weeks
A None 1
B None 1
C A 4
D B 5
E C,D 5
F E 3
G F 2
Suppose activity was delayed for two weeks, the critical path afte the delay would be combination of (A-C-E-F-G)
= 1 + 6 + 5 + 3 + 2
= 17 weeks
. Estimate the balance of the Allowance for Doubtful Accounts using percent of sales method. Assume a $0 existing balance in Allowance for Doubtful Accounts. Hint: Identify the percent of uncollectible for credit sales. 2. Estimate the balance of the Allowance for Doubtful Accounts using percent of receivables method. Assume a $0 existing balance in Allowance for Doubtful Accounts. Hint: Identify the percent of uncollectible for accounts receivable.
Answer:
Note: The question is attached below as picture
1. Bad debt expense under percentage of sales method = Credit sales * Percentage of doubtful account
= $7,150,000 * 1%
= $71,500
2. Balance in Allowance for doubtful account under percentage of receivables method = Accounts receivable balance at end * % of doubtful account
= $1,220,000 * 5%
= $61,000
3. Age Amount % of Un-collectible Estimated Balance of
account uncollectible account
Not due yet 830000 2% 16600
1-30 254000 3% 7620
31-60 86000 7% 6020
61-90 38000 33% 12540
over 90 day 12000 68% 8160
Total $50,940
The estimated balance in allowance for doubtful account at end = $50,940
3Ts Corp. will start selling 10-year bonds today. The bonds have semiannual coupon payments, an annual coupon rate of 8%, and a par value of $1,000. The yield to maturity (YTM) for this bond is expected to be 10%. What is the price of the bond today? A. 770.60 B. 811.67 C. 1,000.00 D. 877.11 E. 875.38
Answer:
E. 875.38
Explanation:
The computation of the price of the bond today is as follows
Given that
Future value = $1,000
PMT = $1,000 ×8% ÷2 = $40
NPER = 10 × 2 = 20
RATE = 10% ÷ 2 = 5%
The formula is given below:
= -PV(RATE;NPER;PMT;FV;TYPE)
After applying the above formula the price of the bond today is $875.38
Here the present value formula is applied to determine the same
Therefore the last option i.e. E is correct
When using variable costing, costs are grouped by each of the following (select all answers that are applicable):___________a) functionb) variablec) fixedd) production
Answer:
Where THE OPTIONS ????Answer:
Explanation:
Select all answers that apply:
Production, variable, fixed
Financing, market research, risk-taking, and other services are considered to be ________ functions.
Answer:
Facilitating functions
Explanation:
Facilitating functions are those in a business activity that helps make the exchange and physical processes run smoothly.
They do not involve direct exchange of title of products or physical handing of goods.
For example the activities of marketers of a product results in easy sale of the product by the manufacturer.
Also activities like financing, market research, and risk taking are all facilitating activities that make a business run smoother
Question 3
Signs of a serious gambling problem include all EXCEPT:
OA. Having a budget for gam bling.
OB. Using a credit card to gamble.
OC. Bragging about gambling wins.
OD. All are signs of a serious gambling problem.
Answer:
OD All are signs of a serious gambling problem.
The U.S. Securities Act focuses on investments through the
a. Preferred market.
b. Common market.
c. Secondary market.
d. Primary market.
Answer: c. Secondary market.
Explanation:
The U.S. Securities Act was passed in 1933 in the aftermath of the Great Depression which saw the Stock market crash and investors lose massive amounts of money.
The Act is meant to regulate the activities of the Stock market which is where stocks that have already been issued are traded. This means that the stock market is a secondary market therefore the Act focuses on investments through the secondary market.
Which of the following parties to an option contract on a company's shares is obligated to buy shares at the option exercise price if the option is exercised? A. Call buyerB. Put sellerC. Put buyerD. Call seller
Answer:
Option B (Put seller) is the appropriate alternative.
Explanation:
Put seller relates to the practice including its opportunity to then be implemented. That whenever a put application is approved, this same writer typically takes the equality of opportunity at either the strike amount from the lengthy put grabber. Writing possibilities seems to be an opportunity for investors. That being said, the earnings from composing the given opportunity would be constrained to either the premium, although the put buyer could keep going to create revenue or gains until another inventory would be zero.Some other three situations do not relate to either the type of situation in question. So there is one that is the appropriate one.
The parties that an option contract on a company's shares is obligated to buy shares at the option exercise price if the option is exercised include option B: Put Seller.
What is the term Put Seller about?Put seller is defined as the seller relates to the practice including the equality of opportunity at either the strike amount from the lengthy put grabber.
Writing possibilities seems to be an opportunity for investors. The earnings from composing the given opportunity would be constrained to either the premium.
Therefore, correct option is B.
Learn more about Put seller refer to the link:
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As the cost of storage continues to decrease, SANs are emerging to be a better storage and data protection alternative for _______.
a. Enterprise Computing
b. Cloud Computing
c. SMBs
d. Secured Access
Answer:
a. Enterprise Computing
Explanation:
Remember, it is Enterprises that are most often concerned about data protection alternatives. Hence, SANs (Storage Area Networks) are providing improved data protection, by connecting several networks together using an enterprise-centered design approach.
This technology has indeed acted as a cost-effective storage alternative for some enterprises today.
Question 3 of 10
Which of the following is a disadvantage to refinancing?
O A. Prepayment penalties
B. Lower interest rates
O C. Locked rates
D. Lower monthly payments
Answer:
A. Prepayment penalties
Explanation:
Refinancing a loan has the benefits of a lower interest rate, which results in some cost-saving. However, when seeking to refinance, there cost that have to be incurred. The customer has to apply for refinancing, which attracts an application fee. The customer is also required to pay closing costs for the previous loan.
Lower interest rates, Locked rates, and Lower monthly payments are advantages of refinancing.
Some of the duties of _____ are obtaining goods and services that meet or exceed operations requirements in a timely and cost-effective manner, and managing suppliers.
Answer:
Some of the duties of _Supply Chain Management____ are obtaining goods and services that meet or exceed operations requirements in a timely and cost-effective manner, and managing suppliers.
Explanation:
A company's Supply Chain Management function plays a pivotal role in an organization, from the beginning of the value chain to the end. It engages in forecasting supply and demand requirements, purchasing, inventory and information management, quality assurance, scheduling, production and delivery, and customer services. Supply Chain Managements ensures that supply is matched to demand as effectively and efficiently as possible.
Bigbucks Brokerage provided the taxpayer $2,400 in bicycle commuting reimbursement in 2020. How much of that reimbursement, if any, must be included in the taxpayer's income
Answer:
Bigbucks Brokerage
The whole amount of $2,400 must be included in the taxpayer's income.
Explanation:
The Bicycle Commuting Reimbursement in 2020, given under a Bicycle Commuter Tax Benefit program, is taxable as income to the employee. According to the provisions of the Tax Cut and Jobs Act, the restriction placed on the Bicycle Commuter Tax Benefit will expire in 2026. The bicycle commuting reimbursement is a benefit that can only be offered by employers and is regarded as a taxable benefit to the affected employee.
The amount of $0 must be included in the taxpayer's income because it is the standardized by IRS.
The bicycle commuting reimbursement is a benefit offered by employers to his/her employees to ease the burden of transportation expenses.
In essence, the Bigbucks Brokerage are not taxed because of their nature as an allowance and the standardization by the Internal revenue service.
In conclusion, the amount of $0 must be included in the taxpayer's income because it is the standardized by IRS.
Read more about tax refund
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Problems and Applications
1. The participation of women in the U.S. labor force has risen dramatically since 1970.
A. True
B. False2. This rise likely decreased GDP in the United States.
A. True
B. False
3. Now imagine a measure of well-being that includes time spent working in the home and taking leisure.
A. True
B. False4. The change in this measure of well-being would be less than the change in GDP.
A. True
B. False
Answer: See explanation
Explanation:
1. The participation of women in the U.S. labor force has risen dramatically since 1970.
A. True
2. This rise likely decreased GDP in the United States.
B. False
The above is false. This is because a rise in the participation of women in the labor force would lead to the increase in production in the country and this will bring about a rise in the gross domestic product as well.
3. Now imagine a measure of well-being that includes time spent working in the home and taking leisure.
There'll be a reduction in the measure of well being. This is because more women would have joined the labor force which would have reduced the time spent working in the home and taking leisure.
4. The change in this measure of well-being would be less than the change in GDP.
The measure of well being would fall as more women would work and leisure would reduce. Ultimately, the GDP would rise since there would be an increase in production activities.
Nakatutulong
dahil
sa
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internet
pakikipag-ugnayan
ang
hindi lamang sa pakikipag-ugnayan sa ating kapwa kundi pati na rin sa
Malaki ang naitutulong ng ICT
Napakaraming uri ng impormasyon ang maaaring makuha sa internet, gaya ng
Answer:
seriously what is this?
Innovative entrepreneurs and their business firms that destroy existing business models are referred to as ________.A) crowdfundersB) venture capitalistsC) disruptorsD) angel investors
Answer: C) disruptors
Explanation:
Disruptors as the term implies, tend to disrupt the normal way of doing things by creating new and more efficient methods of production that will usurp the dominance of those are the top such that they eventually take over the industry.
In coming up with new ways of doing things, these disruptors are innovators and they are usually entrepreneurs who are not weighed down by the belief that the industry should work in a certain way and so they are more open to coming up with these new ideas that are so disruptive.
Why might a military taxpayer want to consider making contributions to the military Thrift Savings Plan while deployed to a combat zone
Answer:
It allows a military taxpayer to divert money to Roth TSP that saves the military taxpayer from paying income tax on the earnings.
Explanation:
A military taxpayer want to consider making contributions to the military Thrift Savings Plan while deployed to a combat zone as it allows a military taxpayer to divert money to Roth TSP that saves the military taxpayer from paying income tax on the earnings.
Here, TSP stands for Thrift Savings Plan.
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would u use a 1/3 cup or 1/4 cup to measure a 1/18 of a cup explain plz
Which of the following is not public sector undertakings?
1. Rastriya Bima Sasthan
2.Hotel Himalayan
3.Nepal Telecom
4.DDC
Answer:
DDC is not a public sector
What is the yield to maturity for a bond paying $100 annually that has 6 years until maturity and sells for $1,000
Answer:
10%
Explanation:
The yield to maturity (YTM) of the Bond is interest rate that will make the Present Value of the Cash Flow equal to the Initial Investment.
Assuming the Selling Price and the Maturity amount of $1,000 applies, the yield to maturity will be calculated as follows :
FV = $1,000
PMT = $100
N = 6
PV = $1,000
P/YR = 1
YTM = ?
Using a financial calculator to calculate this value as above, we get 10%
The yield to maturity for the Bond is 10%
A monopoly, unlike a perfectly competitive firm, has some market power. Thus, it can raise its price, within limits, without quantity demanded falling to zero. The main way monopolies retain their market power is through barriers to entry, which prevent other companies from entering monopolized markets and competing for customers. Consider the market for electronics. Patents are granted to inventors of products or processes for a certain number of years to encourage innovation. Without patents, research and development needed to improve electronics are unlikely to occur, as nothing would then prevent other firms from stealing ideas and copying products.Which of the following best explains the barriers to entry that exist in this scenario?a. Control over an important inputb. Legal barriersc. Increasing returns to scale
a monopolly unlike a perfectly competitive firm has some market power.
A project is expected to generate annual revenues of $126,500, with variable costs of $78,100, and fixed costs of $18,600. The annual depreciation is $4,400 and the tax rate is 34 percent. What is the annual operating cash flow
Answer:
$21,164
Explanation:
The operating cash flow comprises net income and depreciation, since depreciation is not an actual cash outflow, it is added to the net income in order to ascertain operating cash flow.
net income=(revenue-variable costs-fixed costs-depreciation)*(1-tax rate)
net income=($126,500-$78,100-$18,600-$4,400)*(1-34%)
net income=$16,764
operating cash flow=net income+depreciation
depreciation=$4,400
the annual operating cash flow=$16,764+$4,400
the annual operating cash flow=$21,164