securities with maturities of one year or less are classified as group of answer choices capital market instruments. money market instruments. preferred stock. none of the above

Answers

Answer 1

Securities with maturities of three hundred and sixty five days or much less are categorized as cash marketplace securities.

The required details for money market in given paragraph

Money marketplace mutual price range (MMMFs) are securities provided with the aid of using groups that put money into different cash marketplace instruments—consisting of business paper, certificate of deposit, Treasury bills, and repos. Money marketplace mutual price range are regulated as funding groups within side the United States and within side the European Union. The cash marketplace refers to buying and selling in very short-time period debt investments. At the wholesale level, it includes large-extent trades among establishments and traders. At the retail level, it consists of cash marketplace mutual price range sold with the aid of using character buyers and cash marketplace debts opened with the aid of using financial institution customers.

In all of those cases, the cash marketplace is characterized with the aid of using a excessive diploma of protection and comparatively low fees of return.

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Related Questions

What is the forecasted value of property, plan and equipment (pp&e) based on the following information: capital asset turnover ratio: 2. 5 forecasted revenues: $120 forecasted costs of goods sold: $80.

Answers

For the time period mentioned in the aforementioned statement, the anticipated value of the property, plan, and equipment is $48.Using the values provided by the formula, the calculations can be implied.

When using ratios to estimate the company's current, short-term, and long-term capital requirements for a given period, the value of the property, plan, and equipment is crucial.

We are given the following figures: the capital assets turnover ratio is 2.5, the company's anticipated costs of goods sold are $80, and its anticipated revenues are $120.

As a result, $48 was obtained for the company's anticipated PP&E.

As a result, the correct statement for the company's anticipated PP&E is $48, despite the fact that the anticipated revenues are $120, and the assets turnover ratio is 2.5.

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n a complex decision context, there is one right answer, but many unknowns obscure cause-and-effect relationships. in this kind of situation, the most effective decision making method is intuition. true false

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The most effective decision making method is intuition is True.

Decision making : The process of choosing a course of action involves identifying a decision, gathering data, and weighing potential solutions. By organizing pertinent information and defining alternatives, a step-by-step decision-making process can assist you in making more deliberate, thoughtful decisions.

strategic, tactical, and operational decision-making categories.

Better decision-making yields better outcomes (and fewer repercussions). You might have more options and flexibility if you make better choices. On the other hand, making the right choice may eliminate some options while creating new opportunities. Better decisions also indicate that you are growing from your errors.

organizing a discussion to choose a new product feature. selecting a candidate to make an employment offer to. obtaining input from the team in order to come up with a new team workflow. market research

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which of the following is not an advantage of a decentralized operation? a.each manager has his or her own sales force and administrative staff. b.it allows for better decision making. c.managers focus on their area of responsibility. d.it provides training for managers.

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Ability of Managers: In a decentralized organization, managers of various units make choices at their appropriate levels.

Which of the following pertains to decentralized operation's drawbacks?

Answer and justification Decentralization has the drawback that d) it makes obtaining goal congruence difficult. Decentralization promotes diversity and individuality among areas and divisions, but also makes it harder to rally a business around overarching goals. Disadvantages. There is a lot riding on the choices made by numerous employees in a decentralized firm. This means that the organization as a whole may suffer if some of those lower-level managers lack training, experience, education, or competence. Increased expertise within each division, speedier decision-making, improved time management at the top management levels, and increased division manager motivation are all benefits of decentralized companies.

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which economist would believe that the macroeconomic will not quickly reach point b after a shift in aggregate demand from ad1 to ad2

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It increased by less than indicated by a multiplier with a constant price level.

In macroeconomics, a multiplier is a thing of proportionality that measures how much endogenous variable modifications in reaction to a alternate in some exogenous variable. As an example, suppose variable x adjustments by means of ok gadgets, which reasons some other variable y to alternate by way of M × ok units. Then the multiplier is M. Business banks create money, especially under the fractional-reserve banking machine used at some point of the world. In this system, money is created each time a bank gives out a new loan. This is due to the fact the loan, while drawn on and spent, primarily winds up as a deposit returned in the banking system and is counted as part of the cash delivery. After placing aside a part of those deposits as mandated bank reserves, stability is available for the making of similar loans with the aid of the bank.

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For the purpose of measuring the cost of living for consumers, one reason the GDP price index is NOT a good substitute for the CPI is because the GDP price index. A. and the CPI move in the same direction over time. B compares current year's prices with base year's prices C. has a larger bias than does the CPI D. Includes the prices of exported goods, which are not consumed in the United States E. compares a current year basket of goods with a base your basket of goods.

Answers

For the purpose of measuring the cost of living for consumers, one reason the GDP price index is NOT a good substitute for the CPI is because the GDP price index has a larger bias than does the CPI.

What is the relation between CPI and GDP price index ?

The GDP price index and implicit price deflator assess price increases in goods and services purchased by consumers, firms, the government, and foreigners but not importers, whereas the CPI measures price changes in out-of-pocket purchases made by urban consumers.

Although CPI and GDP deflator appear to be similar in many ways, there are some significant discrepancies between them. Both serve as indicators of a country's present economic situation and the rate of price inflation. The locally produced goods are taken into account by the GDP Deflator.

The prices of all products and services produced are measured by the GDP deflator, but only the goods and services purchased by consumers are measured by the CPI or RPI.

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if the economy is in an inflationary gap, and the government attempts to balance the budget, the effect will be to a. counteract inflation. b. reduce the trade deficit. c. continue inflationary pressures. d. increase unemployment.

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if the economy is in an inflationary gap, and the government attempts to balance the budget, the effect will be to counteract inflation

What is counteract inflation?counteract inflation strategies that are more prevalent today include contractionary monetary policy. By raising interest rates, a contractionary policy seeks to reduce the amount of money in an economy. 5 Credit becomes more expensive as a result, which lowers consumer and company expenditure and slows economic growth.One of the best strategies for consumers to beat inflation is to invest in assets with returns higher than the rate of inflation. Instead of keeping cash on hand, experts often advise investing in diversified index funds based on broad market indices like the S&P 500.if the economy is in an inflationary gap, and the government attempts to balance the budget, the effect will be to counteract inflation

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what are the goals of using a disguise? (select all that apply)

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The goals of disguise are Pass initial scrutiny ,Prevent recognition

What are the goals of using a disguise? disguise, cloak, mask mean to alter the dress or appearance of so as to conceal the identity or true nature. disguise implies a change in appearance or behavior that misleads by presenting a different apparent identity. The goals of disguise are Pass initial scrutiny ,Prevent recognitionThe law must have been carefully crafted to satisfy a "compelling governmental interest" and have been passed by the legislature in order to pass rigorous scrutiny.The highest level of review that a court will employ to determine whether governmental discrimination is lawful is strict scrutiny.

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Which of the following are potential downsides (perceived, and some that are true) to implementing wind energy, that need to be accounted for when planning and siting wind farms?
A. Bat and bird mortality
B. Electromagnetic interference
C. Wind has a relatively low energy output-to-input ratio
D. Concerns of visual impacts
E. Noise considerations
F. Shadow flicker due to rotating turbine blades

Answers

The potential downsides (perceived, and some that are true) to implementing wind energy, that need to be accounted for when planning and siting wind farms are -:

Electromagnetic interferenceBat and bird mortalityNoise considerationsConcerns of visual impactsShadow flicker due to rotating turbine blades

The possible negative movement is referred to as a downside, and the downside risk attempts to measure that prospective movement. In general, the upside potential is larger the higher the downside potential. This reinforces the notion that the reward increases with risk. A rise in an asset's price is referred to as an upside.

Unpredictability, danger to wildlife, low-level noise, unattractiveness, and the limited number of locations that can support wind turbines are a few of the main drawbacks of wind energy.

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Which leadership approach would be considered the most passive and ineffective in the full range of leadership​ model?.

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Management by exception is the leadership approach that would be regarded as the most passive and ineffective under the full-range leadership model. The correct answer is A.

What is management by exception, or MBE?

Management by exception is a style of leadership that encourages workers to bring only the most critical concerns to management, allowing firm executives to devote their time and effort to the most important objectives. 

Management by exception also incorporates the concepts of "active" and "passive" management. As one might anticipate, active management entails assisting individuals in resolving challenges and proactively trying to prevent problems. In contrast, the passive method implies that we only become engaged when there is a problem.

Passive management by exception also refers to deferring action until mistakes or issues cannot be ignored any longer; as a result, it is frequently regarded as the most passive and ineffective approach under the full-range leadership model.

This question should be provided with answer choices, which are:

A. Management by exceptionB. Individualized considerationC. Idealized influenceD. Contingent rewardE. Inspirational motivation

The correct answer is A.

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the sales director at cloud kicks wants to be able to predict upcoming revenue in the next several fiscal quarters so they can set goals and benchmark how reps are performing. which two features should the administrator configure?

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Two features that the administrator must configure is the Estimated Sales Quote.

Sales forecasting is the process of evaluating sales data and making predictions and estimates about the value of future revenues that the company will earn. Sales forecasts can offer valuable insights into a company's financial data, such as revenue, net income, costs and expenses, as well as other financial information critical to business operations. Using this information can help businesses make effective financial decisions that advance their growth and development.

Sales forecasting can also be applied to two situations a business will encounter: a business that uses its past financial and sales data to evaluate and predict future sales growth, or in the case of a new business, uses competitors and market research to analyze and estimate sales growth. in the future.

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marguerite wants to gift a box of chocolates to her best friend. she walks into a store and buys belgian chocolates because her friend once mentioned that they are the best in the world. this is an example of how consumers respond to

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Marguerite  wants to gift a box of chocolates to his best friend. This is an example of how consumers respond to --country-of-origin effect.

What is country of origin effect?

The country of origin effect (COE) , also known as made-in image and nationality bias, is a psychological effect that explains how consumer attitudes, perceptions, and purchasing decisions are influenced by a product's country of origin label. The country of origin effect, also known as made-in-image or nationality bias, is a psychological effect that explains how consumer attitudes change.

How do marketers influence the country of origin effect?

The country of origin effect refers to the way marketers and consumers associate brands with countries and make purchasing decisions based on the country of origin of a product. For example, quality is associated with Japanese and accuracy is associated with Switzerland, as explained later.

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the manager of worley is given a bonus based on net income before taxes. the net income after taxes is $5,600 for fifo and $4,900 for lifo. the tax rate is 30%. the bonus rate is 20%. how much higher is the manager's bonus if fifo is adopted instead of lifo? round calculation to the nearest dollar. example of answer: 4000 (no comma, space, decimal point, or $ sign)

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If FIFO is adopted instead of LIFO manager’s bonus is higher by 10,200 – 8400 = $ 1,800

What are FIFO?

The first-in, first-out method, commonly known as FIFO, is an asset management and valuation technique in which assets produced or acquired are sold, used, or disposed of first. For tax purposes, FIFO assumes that  the oldest cost asset is included in  cost of goods sold (COGS) on the income statement. Remaining inventory assets are matched against recently purchased or produced assets. First In, First Out (FIFO) is an accounting method in which assets are purchased or acquired first and sold first .FIFO assumes that the remaining inventory consists of recently purchased items. LIFO is a method of accounting  in which the asset purchased or acquired last is sold first, instead of FIFO .Inflationary markets often use the FIFO method to allocate lower old costs to manufacturing costs, resulting in  higher net returns than if LIFO were used.

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digital fruit is financed solely by common stock and has outstanding 44 million shares with a market price of $20 a share. it now announces that it intends to issue $350 million of debt and to use the proceeds to buy back common stock. there are no taxes. what is the expected market price of the common stock after the announcement? how many shares can the company buy back with the $350 million of new debt that it will issue? note: enter your answer in millions rounded to 1 decimal place. what is the market value of the firm (equity plus debt) after the change in capital structure? note: enter your answer in millions. what is the debt ratio after the change in capital structure? note: enter your answer as a whole percent.

Answers

The debt ratio after the change in capital structure ,answer as a whole percent=  64%.

What are stocks?A stock, usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle its owners to a share of the company's assets and income in proportion to the number of shares they possess.Most individual investors' portfolios are built on stocks, which are mostly bought and sold on stock exchanges. Government standards designed to shield investors from dishonest tactics must be followed during stock trades.Based on the proportion of shares an investor owns to the total number of outstanding shares, a shareholder is regarded as an owner of the issuing firm. If a corporation has 1,000 outstanding shares of stock and one shareholder has 100 of those shares, that shareholder would possess and be entitled to 10% of the company's assets and profits.

According to our question-

The expected market price of the common stock is same as given in the question i.e $10 per share

b. The buy back shares would be

= New debt value ÷ market price per share

= $160 million ÷ $10

= 16 million shares

c. The market value of the firm would be

= (Outstanding shares - buy back shares) × market price per share + debt value

= (25 million shares - 16 million shares) × $10 + $160 million

= $90 million + $1260 million

= $250 million

d.  The debt ratio would be

= Debt value ÷ market value of the firm

= $160 million ÷ 250 million

= 64%

Hence, Answer as a whole percent=  64%.

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on november 1, abc corp. borrowed $100,000 cash on a 1-year, 6% note payable that requires abc to pay both principal and interest on october 31 of the following year. the journal entry on november 1, would include which of the following? (select all that apply.)

Answers

The journal entry on november 1, would be:

Debit to Interest Expense $6,000Debit to Cash $100,000Credit to Note Payable $106,000

So, the correct answers are a, b and c.

Debit accounts receivable and credit billings on construction contract generally can be defined as the journal entry should be made to recognize accounts receivable for long-term construction projects. This journal entry is a "billings in excess of costs" or liability account.

Initially, we determine the interest payable

The interest payable = 6% x $100,000

The interest payable = 0.06 x $100,000

The interest payable = $6,000

From that we can make a journal that is shown below:

Debit to Cash = $100,000

Credit to Note Payable = $100,000 + $6,000

Credit to Note Payable = $106,000

The question is not complete, there is a missing part. The complete question can be seen below:

On november 1, abc corp. borrowed $100,000 cash on a 1-year, 6% note payable that requires abc to pay both principal and interest on october 31 of the following year. the journal entry on november 1, would include which of the following?

A. Debit to Interest Expense $6,000

B. Debit to Cash $100,000

C. Credit to Note Payable $106,000

D. Credit to Note Payable $100,000

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Mike chooses a daas arrangement for his small business because it reduces costs. Why is daas less costly than the traditional alternative?.

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Mike chooses DaaS for his small business since it is less expensive than the standard option and there is "no in-house databases installation, maintenance, or monitoring."

For what does DaaS stand?

Desktop-as-a-Service is referred to as DaaS. I understand, but what does DaaS actually mean? Working on a cloud-hosted virtual desktop infrastructure is possible when using a Desktop as a Service solution. The remote server where the cloud-based desktop is kept and the actual devices that access it are different entities.

How do DaaS functions?

DaaS is a service that enables end users to run any application in a browser while freeing IT teams from platform-related concerns. DaaS is VDI streamlined. The virtualized desktops and apps can run both on-premises and in public clouds, despite the fact that the DaaS solution is a service.

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approximately how much does the us spend each year in repairing pot holes?

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According to AAA, U.S. drivers spend nearly $3 billion a year fixing damage caused by potholes.

A pothole is a despair in an avenue surface, commonly asphalt pavement, where traffic has eliminated broken pieces of pavement. it's also the end result of water in the underlying soil structure and traffic passing over the affected region.

Water first weakens the underlying soil; traffic then fatigues and breaks the poorly supported asphalt floor in the affected location. continued visitors' action ejects both asphalt and the underlying soil material to create a hollow inside the pavement.

Potholes are created when the top layer of pavement and the cloth below called the bottom or sub-base can't assist the load of the traffic.  elements are continually present in any such failure: TRAFFIC and WATER.

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bunny company consigns a portion of its inventory to rabbit industries. at what point should rabbit recognize income from this arrangement?

Answers

Upon selling the goods to Bunny he recognizes income from this arrangement.

In track, an arrangement is a musical model of an existing composition.[1] variations from the original composition can also consist of reharmonization, melodic paraphrasing, orchestration, or formal improvement. Arranging differs from orchestration in that the latter process is restricted to the task of notes to contraptions for performance through an orchestra, live performance band, or any other musical ensemble. Arranging "involves adding compositional techniques, which include new thematic material for introductions, transitions, or modulations, and endings. Arranging is the artwork of giving an existing melody musical range".[2] In jazz, a memorized (unwritten) arrangement of a new or pre-present composition is called a head arrangement.

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how would the discount effect on marginal revenue differ for a seller increasing sales from 100 units to 101 units compared to an increase in sales from 1,000 units to 1,001 units? the discount effect would be the same in both situations and would be larger than price. the discount effect would be smaller for a change from 100 to 101 units than 1,000 to 1,001 units. the discount effect would be larger for a change from 100 to 101 units than 1,000 to 1,001 units. the discount effect would be the same in both situations and would be less than price.

Answers

In the case above, the he discount effect on marginal revenue differ  by option A: discount effect would be smaller for a change from 100 to 101 units than 1,000 to 1,001 units.

What does a discount in marketing mean?

Discount pricing is a form of promotional pricing strategy where the original cost of a good or service is decreased in an effort to draw more customers, move inventory, and boost sales. Consumers love feeling as though they are getting a good deal, which is why they are drawn to lower prices.

Hence, A price reduction offers a financial benefit, an incentive for customers to buy the product, according to the economic effects of price reductions. Numerous earlier studies have shown that consumers perceive greater levels of savings for a product when a larger price discount is offered.

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dart corporation's leverage ratio increased from 2.5 in 2020 to 3.0 in 2021. without looking at the financial statements, which statement best describes what may have occurred?
a. The company incurred new equity financing in 2018, but it may or may not have been
more profitable.
b. The company incurred new debt financing in 2018, making it more profitable.
c. The company incurred new debt financing in 2018, but it may or may not have been
more profitable.
d. The company incurred new equity financing in 2018, making it less profitable.

Answers

Dart corporation's leverage ratio increased from 2.5 in 2020 to 3.0 in 2021. without looking at the financial statements, The company incurred new equity financing in 2018, but it may or may not have been more profitable.

Company is a musical with tune and lyrics through Stephen Sondheim and ee-e book through George Furth. The unique 1970 manufacturing became nominated for a record-putting 14 Tony Awards, triumphing six. The company became written in a fashion without a chronological linear path. Its tale depicts the inner observations of its lead character, Robert.[1] Company is an idea musical composed of short vignettes related to Robert's thirty-fifth birthday.

Robert is a well-favored unmarried guy residing in New York City whose buddies are married or engaged couples. The couples are Joanne and Larry, Peter and Susan, Harry and Sarah, David and Jenny, and Paul and Amy. It is Robert's thirty-fifth birthday and the couple have accumulated to throw him a marvel party

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Fill in the blank. Effective segmentation identifies where your customers are in the ___________, and assists your customers in taking the appropriate next step in their___________.

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"Effective segmentation identifies where your customers are in the buyer’s journey, and assists your customers in taking the appropriate next step in their individual customer journey."

What benefits may audience segmentation provide to your inbound marketing initiatives?

You may adapt your messaging and focus your marketing efforts by being aware of the various audiences.

By using audience segmentation, you can engage and communicate with your customers more effectively, which will help you reach the right individuals with the appropriate message at the right time.

Most firms rely on it as a critical strategy for identifying various consumer segments and their unique needs.

The significance of the idea for a firm is all about being able to comprehend and connect with clients more effectively.

With the use of a customer journey map, you may evaluate sales interactions from the perspective of the consumer rather than the salesperson.

You can more clearly see their point of view and learn why they opted for your product over other brands.

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If we represent the order cycle as a set of activities, we can identify an important property of the order cycle- _______.

A) order time
B) communication time
C) fax time
D) lead time
E) cycle time

Answers

If we represent the order cycle as a set of activities, we can identify an important property of the order cycle- order time.

The order cycle is a cycle of activities that occur from the time an order is received until the product is received. So the important property of the order cycle is order time. The order cycle starts from when the consumer places an order, prepares for packaging and sends the goods, until the goods are received by the consumer.

In detail, the following is the flow of the order cycle:

1. Customer orders: consumers start placing orders

2. Customer entry: the company accepts orders

3. Manufacturing orders: orders are forwarded to the warehouse

4. Warehouse packing: goods are packed

5. Delivery: goods are sent to the customer

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a consumer who dislikes a celebrity sees that celebrity endorsing a favorite product and winds up feeling slightly more positive about the celebrity. what effect just took place?

Answers

The effect of (C) positioning just took the place.

What is Positioning?Positioning is a term used to describe how a brand is perceived by consumers, how it stands out from that competitors' products, and how it differs from the idea of brand awareness. Companies can use the marketing mix to position their products or brands by emphasizing their distinctive qualities, or they can try to project the right image (cheap or expensive, utilitarian or luxurious, entry-level or high-end, etc.) through their branding strategies. It can be challenging to reposition a brand once it has established a solid position.Positioning occurs when a consumer who dislikes a celebrity sees the celebrity endorsing a favorite product and ends up feeling just a little bit better about the celebrity.

Therefore, the effect of (C) positioning just took the place.

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Complete question:

A consumer who dislikes a celebrity sees that celebrity endorsing a favorite product and winds up feeling slightly more positive about the celebrity. what effect just took place?

(A) Congruity

(B) Distinction

(C) Positioning

(D) Attention transfer

(E) Linkage

the lender's statement to the broker shows the loan amount of $119,225 and a net loan proceeds of $28,597.08. the broker received a $3,000 earnest money check and the balance due from buyer in the amount of $4,646.93. what amount will appear as a subtotal in the broker debit subtotal on the settlement worksheet?

Answers

The Net Loan Proceeds are entered on the settlement worksheet as a: debit to the broker, single entry.

What is a banking system?A bank is a type of financial institution authorized to grant loans and accept deposits for checking and savings accounts. Individual retirement accounts (IRAs), certificates of deposit (CDs), currency exchange, and safe deposit boxes are other services that banks offer.Retail banks, commercial or corporate banks, and investment banks are just a few of the several sorts of banks.Since the fourteenth century, at least, banks have existed. They give customers and business owners a secure place to store their cash as well as a way to get loans for both personal and professional endeavors.Banks provide loans and charge interest on them using the money that is deposited.Since the Medici family began dabbling in banking during the Renaissance, the basic business model hasn't changed much, but the variety of products that banks offer has expanded.

Hence, The Net Loan Proceeds are entered on the settlement worksheet as a: debit to the broker, single entry.

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Is Cyber Monday the same as Black Friday?

Answers

Cyber Monday and Black Friday are not the same in the sense as both these days target the sales of different discount products.

Cyber Monday and Black Friday are both known for the massive sales that are put on retail products on these days. The concept behind both these days is the same as huge discounts are offered on products.

However, the product category for sales is different for both days.

Cyber Monday offers sales on smaller retail products such as small electronic appliances, clothing lines, etc. On the other hand, Black Friday targets bigger items for sales that are valuable such as costly mobile phones.

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If the Treasury yield curve were downward sloping, the yield to maturity on a 10-year Treasury coupon bond would be higher than that on a 1-year T-bill.

True or False

Answers

The yield to maturity on a 10-year Treasury coupon bond would be higher than that on a 1-year T-bill is False.

The 10-year Bond Yield refers to the yield to Maturity of a bond which is expiring in 10 years, from the current date. Although it is a generic term which can be used for any bond, it is most commonly calculated and used for the bonds issued by government authorities.

For such government issued securities, it is also called as ’10 year Treasury yield. The interest rates that the U.S. government pays to borrow money from varying periods of time.

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What is jerry’s auto insurance agent trying to tell him? what will jerry need to do in order to pay a lower deductible?.

Answers

Jerry will need to Increase the collision deductible to $500 in order to pay a lower deductible.

What is a deductible?

You may be familiar with the phrase "deductible" in relation to the price of your health insurance. However, what precisely is a deductible? The true meaning is as follows: Your annual deductible is often the sum of money you, as a member, must fork over each year before your health plan starts to pay for authorised amounts for covered medical care. This does not include any potentially automatically covered preventive services. Depending on your plan, your deductibles may be high or low, which could change how you pay for medical expenses. HDHP is another name for a high deduction health plan. The term "LDHP" might refer to a low deductible health plan.

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u.s. net export rises when

Answers

U.S. net exports will rise, and domestic goods will become less expensive in comparison to imports.

The way that exchange rates have an impact on aggregate demand, so do foreign pricing levels. For instance, U.S. goods and services become relatively less expensive when international pricing levels rise in comparison to U.S. price levels, increasing exports and decreasing imports in the U.S. The opposite is true if foreign prices decrease in relation to American prices.

The aggregate demand curve evolves when net export values vary at each price level. Foreign demand for a country's goods and services, which varies with foreign earnings, is a key factor in determining net exports. When foreign incomes rise, a country's net exports and overall demand rise; when foreign incomes fall, net exports and overall demand decline.

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Patel paving collected $1,000 cash in advance from a customer to provide paving services next month. the entry to record this cash receipt would include the following entries?
a. Debit to Unearned Paving Fees
b. Credit to Paving Fees Earned
c. U Debit to Cash
d. H Credit to Unearned Paving Fees
e. Debit to Paving Fees Earned
f. Credit to cash

Answers

The entry to record this cash receipt would include the following entries-

~Debit to cash~Credit unearned paving fees.

Credit is the ability to borrow money or access goods and services with the understanding that you will pay later. Credit is money borrowed from a bank or financial institution.

The amount borrowed is a loan. Usually, you have to pay off the debt with interest and fees. For example, if a person uses her Visa card to buy something, the person agrees to pay the bank back later, so the card is considered a credit. Credit can be given in the form of money or in other ways. Goods and services can be exchanged for another type of credit, postpaid.

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the market value balance sheet for bobaflex manufacturing is shown here. the company has declared a 25 percent stock dividend. the stock goes ex dividend tomorrow (the chronology for a stock dividend is similar to that for a cash dividend). there are 12,000 shares of stock outstanding. market value balance sheet cash $ 79,000 debt $ 116,000 fixed assets 545,000 equity 508,000 total $ 624,000 total $ 624,000 a. what is the current stock price? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. what will the ex-dividend stock price be? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The current stock Price is $42.33. The ex-dividend stock price will be $33.87.

a. Current Share price=Market value of the equity/Outstanding shares=$508,000/12,000=$42.33

b. New Share price=Market value of the equity/New outstanding shares

Company has declared 25% of stock dividend resulting new outstanding shares increasing to=12000*(1+25%)=15,000

New Share price=Market value of the equity/New outstanding shares=$508,000/15,000=$33.87

What do you mean by ex-dividend stock price?

A stock is referred to as being ex-dividend if it no longer carries the value of the upcoming dividend payment. The day the stock begins trading without the value of its upcoming dividend payment is known as the ex-dividend date or "ex-date." An investor who purchases a stock on or after the ex-dividend date will not be entitled to the declared dividend. Typically, the ex-dividend date for a stock is one business day before the record date. Instead, whoever owned the stock on the day before the ex-dividend date receives the dividend payout.

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specify which process costing method this company is using. explain how you came to that conclusion.4

Answers

Process costing is an accounting technique typically used by companies that produce identical or very similar commodities or output units in large quantities.

What is process costing?

A manufacturing process's direct expenses are tracked, tallied, and distributed using a methodology called process costing. A month's worth of manufacturing may be included when assigning costs to products, which typically happens in large batches. Costs must eventually be divided across the many product units. It is the antithesis of job costing, which seeks to quantify the specific costs of producing each unit, in that it gives average costs to each unit. Typically, the chapter on process costs is important. It is a technique used to allocate expenses to manufacturing units in businesses that produce massive amounts of uniform goods. Process costing is a sort of operation costing that is employed to determine the cost of a product at each process or step of manufacture.

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