Candace would save $1557 by waiting year and not taking her unpaid time from work.
What is unpaid time?Unpaid time is time that an employee takes off from work but is not compensated for. This can include vacation days, personal days, or time off for reasons including work illness or family issues. Employees who take unpaid time may be entitled for other benefits such as paid time off (PTO) or sick leave, but they are not compensated for the time they are gone from work. Employers may mandate employees to take unpaid time off for a variety of reasons, such as financial restrictions, or they may provide it as an alternative for employees who have exhausted their paid time off. Employees' financial situations might suffer as a result of unpaid time since they lose money.
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which proposition says that modification of organization standards may tend to increase intra-organization conflict and withdrawal behavior
Proposition 12 says that modification of organization standards may tend to increase intra-organization conflict and withdrawal behavior
an infrastructure modification that follows a predetermined path, is reasonably common, and is the agreed-upon answer to a certain requirement or group of requirements.Prior to permission, the Standard Change needs to receive pre-approval from Change Management. They no longer need change management approval on a case-by-case basis once they have been approved.
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in the sum-of-the-years'-digits method of depreciation, the depreciation rate is multiplied by the depreciable base. the depreciable base is
The depreciable base in the sum-of-the-years'-digits method of depreciation is the asset's original cost, less its salvage value or residual value. This value is also referred to as the "cost to be allocated" or the "depreciable cost" of the asset.
In the sum-of-the-years'-digits method, the asset's depreciable base is multiplied by a fraction that represents the sum of the years of the asset's useful life. The numerator of the fraction is the number of years remaining in the asset's useful life at the beginning of the year for which the depreciation is being calculated, and the denominator is the sum of the years of the asset's useful life.
For example, if an asset has a useful life of 5 years, the sum of the years of the asset's useful life is 15 (1 + 2 + 3 + 4 + 5), and the depreciable base is $10,000 with a salvage value of $1,000, the fraction for the second year of the asset's life would be 4/15 (4 years of remaining useful life at the beginning of the year, divided by the sum of the years of useful life).
The depreciation expense for the second year would be calculated as the depreciable base of $9,000 (original cost of $10,000 minus salvage value of $1,000) multiplied by the fraction of 4/15, which equals $2,400.
The sum-of-the-years'-digits method of depreciation results in higher depreciation expense in the earlier years of an asset's life and lower depreciation expense in later years, which can better reflect the asset's declining value over time.
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In the sum-of-the-years'-digits (SYD) method of depreciation, the depreciable base is the difference between the initial cost of the asset and its salvage value.
This represents the portion of the asset's cost that will be depreciated over its useful life. The depreciable base decreases over time as the asset is depreciated, eventually reaching its salvage value. The depreciation rate is calculated by adding up the digits of the useful life of the asset and then dividing each year's digits by the total digits.
For example, if an asset has a useful life of 5 years, the digits would be 15 (1+2+3+4+5). In year 1, the depreciation rate would be 5/15 or 33.33%, and in year 2 it would be 4/15 or 26.67%, and so on. This method results in higher depreciation in the earlier years of an asset's life, reflecting the fact that assets generally lose value more quickly when they are newer.
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if 10-year t-bonds have a yield of 6.2%, 10-year corporate bonds yield 7.9%, the maturity risk premium on all 10-year bonds is 1.3%, and corporate bonds have a 0.4% liquidity premium versus a zero liquidity premium for t-bonds, what is the default risk premium on the corporate bond?
If T-bonds have no liquidity premium and corporate bonds have a liquidity premium of 0.4%, the corporate bond's default risk premium is 1.30.
What is default risk premium?
The default risk premium, which can be mathematically defined as the difference between the interest rates payable on bonds and a risk-free rate of return, is an additional amount of interest rates paid by a borrower to a lender or investor as compensation for the borrower's higher credit risk, assuming his failure to pay back the principal amount in the future. If the borrower defaults on their obligation in any situation, it serves as a form of compensation for investors or lenders. DRP is frequently appropriate when dealing with bonds.
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Buying a house can be described as which of these? A.) Low-involvement decision B.) Reactive decision C.) Programmed decision D.) Nonprogrammed decision
In this following question, Buying a house can be described as a non-programmed decision.
What is non-programmed decision?Non-programmed decisions are intricate, unstructured choices that demand a lot of effort, deliberation, and data collecting. These choices frequently involve a significant level of risk, uniqueness, and uncertainty. The decision to purchase a home is an ideal illustration of a non-programmed choice since it entails a sizeable financial commitment, is intricate in nature, and necessitates a complete awareness of the housing market, individual financial condition, and long-term ambitions. Making a decision to purchase a home requires assessing a variety of aspects and basing it on one's own beliefs and interests.
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the marginal cost curve is multiple choice upsloping because of increasing marginal opportunity costs. upsloping because successive units of a specific product yield less and less extra utility. downsloping because of increasing marginal opportunity costs. downsloping because successive units of a specific product yield less and less extra utility.
The marginal cost curve is a). upsloping because of increasing marginal opportunity costs.
The marginal cost is the cost of producing an additional unit of a product and it typically increases as production increases. This occurs because, as a company increases production, it may need to use more expensive inputs or it may experience diminishing returns to its inputs. These factors cause the marginal cost to rise, resulting in an upsloping marginal cost curve. This contrasts with the concept of decreasing marginal utility, which refers to the idea that as a consumer consumes more and more units of a specific product, the extra satisfaction or utility derived from each additional unit decreases. This concept is not directly related to the shape of the marginal cost curve.
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abc company started the year with $800 of supplies on january 1. during the year abc bought $400 in supplies and had $300 remaining in supplies on december 31. what amount was used during the year and is debited to supplies expense and credited to supplies as an adjusting entry on 12/31? group of answer choices
The amount that was used during the year and is debited to supplies expense and credited to supplies as an adjusting entry on 12/31 is $900
How to calculate the amount of supplies that was used during the yearFrom the question,
The opening supply is $800
add: Supplies purchased in the year $300
Which will gives $1200
The closing supplies for the year is $300
To get the amount of supplies used during the year,
We substract the closing supplies from the total supplies during the year
That is $1200 - $300
=$900
Hence, the amount of supplies used during the year is $900
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the schedule activity that determines when the logical successor activity can begin or end is called the : a. predecessor activity b. successor activity c. leader activity d. mandatory activity
The schedule activity that identifies when the logical successor activity can start or end is called the A: predecessor activity.
In project management, a predecessor activity is an activity that must be completed before the next activity can begin. The start or end of a successor activity is determined by the completion of its predecessor activity. Predecessor activities create a logical relationship between activities and help to establish the order in which they should occur. This helps to ensure that the project is completed on time and within budget by ensuring that the correct sequence of activities is followed and that dependencies are taken into consideration.
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how does a competitive market determine the types of goods and services to produce, the costs to produce those goods and services, and who receives them?
With the support of the price system, the competitive market selects the sorts of goods and services to produce, the costs to produce those goods and services, and who receives them.
A price system is a system in economics that determines the valuations of any type of property (tangible or intangible). As a result of scarcity, all cultures employ price systems to allocate and exchange resources.
Even in a no-money barter economy, price systems are used to determine exchange ratios (relative valuations) between the properties being exchanged.
A price system can be regulated (such as a fixed price system) where prices are administered by an authority, or it can be free (such as a market system) where prices are allowed to float "freely" as decided by supply and demand without the involvement of an authority.
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when an accountant compiles projected financial statements, the accountant's report should include a separate paragraph that:
When an accountant compile projected financial statements, accountant's report should include separate paragraph that disclaims any form of assurance on historical financial statements.
What are financial statements?Financial statements provide a complete account of a company's operations and financial performance. Government entities, accounting companies, etc. commonly audit financial accounts to check for correctness and for reasons related to taxes, financing, or investments. The balance sheet, income statement, cash flow statement, and equity statement are the four basic financial statements for for-profit organisations. Financial data is used by investors and financial analysts to assess an organization's performance and forecast future changes in its stock price. The company's annual report, which includes its financial statements, is one of the most crucial sources of trustworthy and audited financial data. To assess the organization's financial health and potential for profit, creditors, market analysts, and investors review the financial statements.
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holman company owns equipment with an original cost of $99,560 and an estimated salvage value of $7,280 that is being depreciated at $15,380 per year using the straight-line depreciation method, and only prepares adjustments at year-end. the adjusting entry needed to record annual depreciation is: multiple choice debit depreciation expense, $15,380; credit equipment, $15,380. debit equipment, $15,380; credit accumulated depreciation, $15,380. debit depreciation expense, $8,100; credit accumulated depreciation, $8,100. debit depreciation expense, $8,100; credit equipment, $8,100. debit depreciation expense, $15,380; credit accumulated depreciation, $15,380.
Option 1st is correct. Debit Depreciation, $15,380; Credit Accumulated Depreciation, $15,380.
It allows companies to generate income from the assets they own by making payments over a period of time.
Companies do not have to fully account for assets in the year they are acquired, which greatly reduces immediate operating costs. Failure to account for depreciation can have a serious impact on a company's bottom line. Businesses can also depreciate long-term assets for both tax and accounting purposes.
Depreciation can be compared to amortization that takes into account the change in value of an intangible asset over time.
Depreciation links the cost of using an item of property, plant and equipment to the profits received over its useful life.
Accumulated depreciation refers to the sum of all depreciation expense recorded for an asset up to a certain date.
The carrying amount of an asset on the balance sheet is its cost less accumulated depreciation.
The book value of an asset after all depreciation has been deducted is known as its salvage value.
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a sport fan who is enticed into buying a ticket to a game by a promotion had her consumer behavior affected by
a sport fan who is enticed into buying a ticket to a game by a promotion had her consumer behavior affected by a promotional marketing effort.
What is promotional marketing?In order to stimulate purchases, enhance sales, and raise brand recognition, promotional marketing entails developing short-term incentives. It is a strategy for generating a sense of urgency and encouraging customers to take immediate action. Discounts, coupons, buy-one-get-one deals, rebates, competitions, sweepstakes, and other similar rewards can all be used in promotional marketing campaigns. Promotional marketing aims to increase demand for a good or service temporarily and promote repeat purchases. Promotional marketing can be combined with other marketing initiatives, such public relations and advertising, to develop a full marketing plan. It is a crucial tool for organizations to improve awareness, attract traffic, and foster client loyalty.
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salvador supervises ten sales associates at a large retail store. what is salvador's management level?
Based on the information provided, Salvador's management level would be considered first-line or front-line management.
This level of management is responsible for supervising non-managerial employees who are involved in the day-to-day operations of the organization, such as the sales associates in this case.
First-line managers are typically responsible for tasks such as training, scheduling, and evaluating the performance of the employees they supervise. They are also responsible for ensuring that organizational policies and procedures are followed and for communicating with upper management about any issues or concerns that arise.
Front-line managers are typically responsible for overseeing the daily operations of an organization, including the activities of front-line employees, who interact with customers directly and provide essential business services.
Overall, first-line managers play a critical role in ensuring that an organization runs smoothly and efficiently, and they are often the first point of contact for employees who need guidance or assistance.
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punishment for providers convicted of false claims statements may include which of the following? a. mandatory exclusion from medicare and medicaid. b. jail time of 10 years c. civil monetary penalties of $50,000 per claim (plus inflation) plus two times the amount claimed. d. all the above.
Punishment for providers convicted of false claims statements may include: Mandatory exclusion from Medicare and Medicaid.
What is considered a false claim?Providers found guilty of making false claims statements may be sentenced to mandatory exclusion from Medicare and Medicaid. Reason: Financial penalties for civil offenses Each year, fines for False Claims Act offenses are increased to account for inflation. Simply put, a fraudulent claim is a demand for money or property that is founded on a substantial lie or deception. False claims examples include invoicing for services that weren't delivered, billing multiple times for the same service, and making up information to get paid for services. Significant fines and penalties may be imposed for violations of the federal False Claims Act.The majority of False Claims Act cases currently involve healthcare fraud. Healthcare providers, pharmaceutical firms, medical device makers, and other people who defraud the government can be reported by a whistleblower, also known as a qui tam plaintiff.Every year, fines for violations of the False Claims Act are raised by the Civil Monetary Penalties Inflation Adjustment. Any person found guilty of health care fraud or controlled substance abuse will be required to be excluded from Medicare or Medicaid. The criminal statutes for making fraudulent claims were also changed to include fines, five-year maximum prison terms, or both.To learn more about false claim refer to:
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property is an ownership fence, which applies to resources like land that more than one individual owns jointly. group of answer choices private tort common civil public
Option D. Common. Common property refers to resources like land, buildings, or other assets that are owned jointly by two or more individuals.
This means that each owner has an equal right to use and benefit from the property, and that they are also responsible for maintaining it. Common property is different from private property, which is owned by a single individual, and public property, which is owned by the government and is open to use by the general public. Common property can also be referred to as shared property or co-owned property. Common property is often found in the context of co-ownership of real estate, such as a building with multiple units or a condominium. It can also refer to resources like land or forests that are owned and managed by multiple individuals or organizations.
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_________ property is an ownership fence which applies to resources like land that more than one individual owns jointly.
A. Private
B. Civil
C. Public
D. Common
if the coupon interest rate is 4.375% for the first six months and changes to a rate equal to the 10-year treasury bond rate plus 1.3% thereafter, the bond is called a
The bond is referred to as a floating-rate bond if the coupon interest rate is 4.375% for the first six months before changing to a rate equal to the 10-year Treasury bond rate plus 1.3% after that.
When are issuers more prone to cancel an unresolved bond issue?when interest rates are less than when the bonds were initially issued-
In essence, a bond is a bunch of IUOs issued by corporations. Consider yourself in need of cash and using your credit card, which carries a 15% interest rate, out of urgency. Consider that you spent $5,000; 15% of it is $700. You become aware that there are other lending possibilities once things have calmed down and you are no longer in a panic. So you visit your bank and learn that you are eligible for a 2-year loan with a 6% interest rate. Any sane person would obtain a loan and settle the credit balance.
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The key benefit of countries engaging in trade based on comparative advantage is that:A.) both countries will be able to consumer more than with no tradeB.) it allows countries to produce efficiently inside their individual PPFsC.) it allows both countries to maximize their opportunity costD.) None of these is a key benefit
The main advantage of countries trading based on comparative advantage is that (A) both nations will be able to consume more than they would without trade.
What is trade?Transferring products and services from one person or institution to another includes trade, frequently in exchange for cash.
A system or network that permits trading is referred to as a market by economists.
Modern traders typically negotiate using a medium of exchange, such as money.
Bartering was an early form of commerce that involved the direct exchange of products and services for other commodities and services.
As a result, selling or earning can be distinguished from buying.
Money's development, along with the creation of paper money, non-physical money, and letters of credit, tremendously facilitated and encouraged trade.
Bilateral trade is trade between two traders, whereas multilateral trade is a trade involving more than two dealers.
Therefore, the main advantage of countries trading based on comparative advantage is that (A) both nations will be able to consume more than they would without trade.
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which statements are true regarding a multinational enterprise (mne)? (check all that apply) multiple select question. it operates under a decision-making system that allows a common strategy. it is made up of only one entity in a foreign nation. it is composed of entities in more than one nation. it operates under a decision making system that allows coherent policies.
Multinational enterprise is also known as transnational corporations. The correct statements are 1, 3, and 4 i.e., it allows a common strategy, composed of entities more than one nation and allow coherent policies.
What does the term "multinational enterprise" mean?An organization that produces goods or provides services in more than one country is referred to as a multinational enterprise (MNE), sometimes known as a multinational company (MNC), plain multinational, or an international firm.
Why Would a Company Want to Become an International Business?Typically, a company's first priority is to boost growth and profitability. It might think that opening operations abroad is worthwhile if it can expand its client base internationally and boost its market share there.
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Question:
which statements are true regarding a multinational enterprise (mne)? (check all that apply) multiple select question.
1 it operates under a decision-making system that allows a common strategy.
2 it is made up of only one entity in a foreign nation.
3 it is composed of entities in more than one nation.
4 it operates under a decision making system that allows coherent policies.
a large construction company has purchased a piece of property in a small suburban community that values historic preservation. the piece of property contains buildings that have significant historic value to the town, however, the law does not provide any protection that requires preservation of the buildings. a socially responsible construction company would probably: blank .
A socially responsible construction company would probably consider the values and concerns of the local community when making decisions about the use of the property.
In this case, the community values historic preservation, and the construction company has an opportunity to demonstrate its commitment to social responsibility by taking steps to preserve the historic buildings on the property.
This could involve working with the community and local officials to find a solution that balances the company's business interests with the community's desire to preserve its history and cultural heritage.
This could involve finding alternative sites for the construction project, preserving the buildings through adaptive reuse, or incorporating elements of the buildings into the new development.
By taking a socially responsible approach, the construction company can demonstrate its commitment to the community and its values, build positive relationships with local residents and officials, and enhance its reputation as a responsible corporate citizen. Ultimately, this approach can help the construction company achieve its goals while also benefiting the community and its residents.
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if the amount of manufacturing overhead allocated to jobs is more than the amount of manufacturing overhead costs actually incurred, the overhead is .
If the amount of manufacturing overhead allocated to jobs is more than the amount of manufacturing overhead costs actually incurred, the overhead is overallocated .
What is the overall cost of manufacturing?
Three different cost categories—the expenses of direct materials, direct labor, and manufacturing overheads—must be added up to determine the total manufacturing cost.
Formulate that as follows: Direct materials, direct labor, and manufacturing overheads all make up the total manufacturing cost.
How much is manufactured overall?
Total manufacturing expenses are a good indicator of how much money your business spent making its inventory during a certain time period.
This comprises a complete accounting of the cost of overhead, the price of the materials utilized, the cost of the labor, and any other manufacturing costs that went into producing the product.
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which rule-of-thumb version is being offered to an investor who is told that a house renting for $900 a month should sell for about $90,000?
The price-to-rent ratio is the general interpretation given to an investor who is informed that a home renting for $900 per month ought to sell for roughly $90,000.
The price-to-rent ratio is a well-liked heuristic for determining a property's worth. It is computed by multiplying by 12 and dividing a property's sale price by its monthly rental cost. When compared to other rental properties, a property with a high price-to-rent ratio is overpriced, while one with a low price-to-rent ratio may be undervalued. Real estate investors may find this ratio to be a helpful tool for swiftly evaluating the prospective profitability of a rental property. To be clear, the price-to-rent ratio is just one aspect to take into account when assessing a property. Location, property condition, and regional real estate market trends are further crucial considerations. Additionally, the price-to-rent ratio can vary significantly between different
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what is the present value of $20,000 expected to be received in 162 days? assume 365 days in a year and an apr of 8% with continuous compounding.
$19302 is the present value of $20,000 expected to be received in 162 days.
Given a certain rate of return, present value (PV) is the current value of a future financial asset or stream of cash flows. A discount rate or the interest rate that could be earned through investment is applied to the future value to determine the present value.
If compound interest is calculated and reinvested into the balance of an account over an essentially infinite number of periods, continuous compounding is the mathematical limit that compound interest can reach.
Future value(FV)= $20,000
Interest Rate= 8%
Present Value (under Continuous Compounding) = Future Value*[e^(-Interest Rate* time)]
OR
Present value (PV) = Future value(FV) * e^ – Rate* time
Present Value = 20000*[e^(-0.08*162/365)]
= 20000*[e^(-0.0355)]
= 20000*0.9651
= $19302(approx.)
Hence, $19302 is the present value of $20,000 expected to be received in 162 days, an apr of 8% with continuous compounding.
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because often make it possible for young firms to provide services that are equivalent or superior to an incumbent, a new entrant may be able to serve a market more effectively, with more personalized services and greater attention to product details. multiple choice backward and forward integration entry barriers digital technologies strategic groups
Option (c), A new entrant might be able to serve a market more effectively, with more individualized services and greater attention to product details, because digital technologies frequently make it possible for young enterprises to provide services that are similar to or superior to an incumbent.
How can digital transformation be prioritized over other urgent issues while firms are grappling with them?With the help of digital transformation, core business operations like finance and HR have a fantastic opportunity to move away from manual processes and work toward automating essential functions like payroll. Executives can focus on more important business opportunities with the time saved by efficient automation.
How can businesses gain a competitive edge with Internet technology?Any company with internet connection is more likely to obtain information that could be used to develop new goods and offer it a competitive edge. Thanks to the expansion of the internet, it is now much simpler for new enterprises to enter the market and offer new items. Businesses can promote their goods online and sell them.
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suppose that the government set a price floor of $0.40 per pencil, what price would pencils sell for in this market?
In this market, pencils would sell for $0.40, which is the government-set price floor. This means that the minimum price at which a pencil can be legally sold is $0.40, and if the market price is lower than this, it will be pushed up to $0.40.
A price floor is a minimum price set by the government below which the market price is not allowed to fall. In the case of a $0.40 price floor for pencils, it means that the minimum legal price for a pencil is $0.40. If the market price is lower than $0.40, then it will be pushed up to $0.40 by the government intervention. As a result, pencils would sell for $0.40 in this market. The purpose of a price floor is to protect the producers or sellers of a good, by preventing the price from falling below a certain level and potentially causing financial harm. However, implementing a price floor can lead to unintended consequences such as surplus, where the quantity supplied is greater than the quantity demanded, resulting in a surplus of the good that is not being sold.
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what factor is favorable when determining whether or not a company should consider internationalization efforts?
The factor that is favor-able when determining whether or not a comp-any should consider internationalization efforts is E) A company has high techno-logy resources already in place.
Internationalization describes design-ing a product in a way that it may be readily consumed across multi-ple countries. This process is used by firms looking to expand their global foot-print beyond their own domestic market under-standing consumers abroad may have differ-ent tastes or habits.
Internationalization is about ta-king the rest of the world serious-ly, not only one's home country, and can be thou-ght of as the formal term for think-ing globally before acting locally.
Complete question-
What factor is favorable when determining whether or not a company should consider internationalization efforts?
A) A company currently has large home markets but smaller production capacities.
B) A company has home country managers who have never worked outside of the home country.
C) A company wants to pair with an existing international company to access technology.
D) A company has minimal storage and transportation capabilities.
E) A company has high-technology resources already in place.
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which of the following is included as potential external threat in a swot analysis that is harmful to an organization? a. increasing global demand b. large global brand c. instability of global market d. resistance to change
C. instability of the global market is included as a potential external threat in a swot analysis that is harmful to an organization
SWOT analysis assists an enterprise in self-evaluation so that it may essentially determine what it needs to do to outperform its rivals. A SWOT analysis may identify global market instability as a potential external threat. A company may suffer from the effects of global market instability in a number of ways, including currency fluctuations, modifications to trade laws, and economic downturns.
These modifications may impact consumer demand for the company's commodities, drive up input costs, and restrict access to credit, all of which could be detrimental to the company's profitability and sustainability. In order to establish strategies to reduce or manage these risks, it is crucial for enterprises to take into account the possible impact of global market volatility as a potential threat in their SWOT analysis.
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about how much money is sent in remittances worldwide every year? about how much money is sent in remittances worldwide every year? $200 billion $10 million $10 billion $1 million $500 million
Every year, remittances of money are made to countries all around the world. The right response is "A $200 billion."
What is the remittance amount?The portion of the Bought Amount that the Seller must deliver to the Buyer at the conclusion of each Remittance Term is referred to as the Remittance Amount. The sum first mentioned above is the initial remittance amount.
What Distinguishes a Bank Transfer from a Bank Remittance?When you transfer money between accounts, it's known as a bank transfer. When a payment is performed between two distinct accounts, a banks remittance is utilized. Online transfers are a great alternative to wire transfers, which are frequently used.
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store a sells five times as many products as store b and one third as many as store c. if store c sells 145,670 products, how many products does store b sell?
Let a, b, and c, respectively, be the total number of items sold by retailers A, B, and C.
The quantity of goods sold by store C is 105,960.
The answer to the question is that store A sells four times as many items as store B, so
a = 4b
Additionally, store A sells a third as much as store C, thus
a = (1 / 3)* c
If we enter c's value into this equation,
a = (1 / 3)* 105960
a = 105,960 / 3
a = 35320
35320 goods are available at shop A.
Setting the value of a to be 4b
a = 4b
35320 = 4b
b = 35320 / 4
b = 8830
The result is that store C sells 8830 different items.
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The mean value of land and buildings per acre from a sample of farms is $1500, with a standard deviation of $200. The data set has a bell-shaped distribution. Assume the number of farms in the sample is 75.(a) Use the empirical rule to estimate the number of farms whose land and building values per acre are between $1300 and $1700. (Round to the nearest whole number as needed.) (b) If 23 additional farms were sampled, about how many of these additional farms would you expect to have land and building values between $1300 per acre and $1700 per acre Round to the nearest whole number as needed.)
The empirical rule states that for a normally distributed data set with mean μ and standard deviation σ.
How can it be explained?(a) Approximately 68% of the data falls within 1 standard deviation of the mean (i.e., μ ± σ), approximately 95% falls within 2 standard deviations of the mean (i.e., μ ± 2σ), and approximately 99.7% falls within 3 standard deviations of the mean (i.e., μ ± 3σ).
Given a mean of $1500 per acre and a standard deviation of $200, the range of values between $1300 and $1700 per acre is defined as follows: $1500 - $200 x $1500 + $200, which is equal to one standard deviation from the mean.
Inferring from the empirical rule that 51 farms, or nearly 68% of the 75 farms in the sample, had land and building values between $1300 and $1700 per acre
(b) If 23 more farms were tested, we may anticipate that 16 farms, or roughly the same percentage (i.e., 68%), would have land and building values between $1300 and $1700 per acre.
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what is the difference between the following? the indenture and the trustee the coupon rate and the current rate of interest
An agreement between a bond issuer and a bond holder is known as an indenture. The interests of the bondholders are safeguarded by a bond trustee, who also makes sure interest payments are made on schedule and on time.
An owner trustee and an indenture trustee differ in what ways?The entity that acts as the Issuer's Trustee is known as the "Owner" Trustee in a traditional owner trust structure. The Indenture Trustee in an owner trust arrangement is the Trustee named in the Indenture created in line with the Issuer Trust Agreement.
The following details the difference between the coupon rate and the current rate of interest:The coupon rate is calculated using the bond's face value as an investment. The interest rate is determined by taking into account the risk involved in lending the borrower the money. The bond issuer determines the coupon rate for the bond purchaser.
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the use of seat belts and other automobile safety features making bicycling more hazardous can be explained by the economic concept known as
The use of seat belts and other automobile safety features making bicycling more hazardous can be explained by the economic concept known as the "risk compensation theory". This theory states that when people feel safer, they take more risks and engage in riskier behavior, which can offset the benefits of the safety measures
According to the notion of risk compensation, people often change their behaviour in reaction to perceived levels of risk, becoming more cautious in situations where they perceive more danger and less cautious in situations where they perceive greater protection. It may provide a smaller net benefit than anticipated or even higher hazards, even though it is often negligible in compared to the core advantages of safety interventions. Risk compensation is connected to the more general concept of behavioural adaptation, which covers any behavioural modifications brought on by safety measures, whether or not they are compensatory. However, the phrases are occasionally used interchangeably since researchers are particularly concerned in compensating or negative adaptive behaviour. The more current version came from studies on road safety following claims that several treatments failed to produce the anticipated degree of benefits.
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