Option a Accruals are an expensive way to finance working capital and c - If a company receives trade credit under terms 2/10, net 30, this implies the company has 10 days of free trade credit statements is most correct.
The simplest definition of trade credit is a contract to purchase products and/or services on account rather than making prompt cash or check payments. When favorable terms are negotiated with a company's supplier, trade credit can be a useful instrument for expanding firms. Materials can be purchased on trade credit without having to make an upfront payment. These credits show up in the buyer of goods's records as "sundry creditors" or "accounts payable." A record of sales or expenses that have been incurred but not yet been reflected in the company's financial accounts is known as an accrual.
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shay's rebellion demonstrated the weakness of the articles of confederation in dealing with economic and domestic crises.
The uprising, which was led by veteran Daniel Shays, exposed the limitations of the federal government established by the Articles because it was unable to either pay the veterans' salaries or muster an army to put an end to the uprising.
Shays's Rebellion showed the shortcomings of the Articles of Confederation-based governance and prompted George Washington and others to urge for strengthening the federal authority to quell future outbreaks.
The Articles of Confederation's flaws were exposed by Shay's Rebellion. When the national authority was unable to quell the uprising, the first signs of federalism started to take hold. Of course, the British refused to acknowledge the Declaration and kept dispatching troops to put an end to the uprising.
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Consider an auction with two bidders. Valuations X are uniformly and independently distributed for both bidders over the interval [0,1]. Bidder 1 knows that bidder 2 always follows the bidding strategy b2(x)=x^2.
What is the best reply of bidder 1 in a second price auction?
What is the best reply of bidder 1 in a first-price auction?
What is the expected payment of bidder 1 with valuation y in a first-price auction and in a second-price auction?
What is the ex-ante expected payment of bidder 1 in a first-price auction and in a second-price auction?
Answer: God
Explanation: God is always the answer. GOD IS GOOD, GOD IS GREAT
An auction is a method of buying and selling products or services by putting them up for bids, accepting bids, and then selling the item to the highest bidder or purchasing the item from the lowest bidder.
In a second price auction, bidder 1's best response is to bid their genuine worth, x. This is because the winning bidder in a second price auction pays the second highest bid rather than their own bid. As a result, bidder 1 should offer their genuine worth to increase their likelihood of winning the auction, while limiting the amount they must pay if they do win.
In a first-price auction, bidder 1's optimum response is to bid slightly more than b2(x)=x2. This is due to the fact that in a first-price auction, the victorious bidder pays their own bid. Bidder 1 should thus bid slightly over b2(x)=x2 in order to increase their chances of winning the auction while reducing their outlay.
In a first-price auction, bidder 1's expected payout with value x is x if they win the auction and 0 if they do not.
In a first-price auction, bidder 1's ex-ante anticipated payout is equal to their valuation multiplied by the likelihood that bidder 1 would win the auction. This may be stated as follows:
Expected payment ex-ante = x * Prob (bidder 1 wins)
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The Foreign Corrupt Practices Act of 1977 forbids companies to pay kickbacks in the United States, but permits them to pay kickbacks to companies outside the United States.
false
The Foreign Corrupt Practices Act of 1977 forbids companies to pay kickbacks in the United States, but permits them to pay kickbacks to companies outside the United States.This statement is True.
It was common in the 1970s, and US firms even included it as an expense in their financial statements.The Foreign Corrupt Practices Act forbids this practise. The act was established in 1977 to promote accounting openness among American businesses and to stop public officials from choosing to accept bribes in order to influence. A US law called the FCPA (foreign corrupt practises act) was passed in 1977 to combat bribery and corruption among enterprises that pay foreign authorities, other foreign companies, or foreign institutions for business contracts or to speed up legal processes.
The Foreign Corrupt Practices Act of 1977 forbids companies to pay kickbacks in the United States, but permits them to pay kickbacks to companies outside the United States.This statement True or false?
complete question
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.
perfect price discrimination occurs when: group of answer choices a firm charges each buyer exactly their willingness to pay. a firm charges different buyers according to the characteristic of their purchase. a firm charges wealthier buyers a lower price. a firm charges the same buyer different prices at different points of time.
A perfect price discrimination occurs when a firm charges each buyer exactly their willingness to pay. Option A
What is meant by perfect price discrimination?When a company charges the highest price per unit consumed, complete price discrimination happens. The company obtains all possible consumer surplus for itself or the economic surplus since prices fluctuate between units.
Buffet restaurants, which frequently charge different prices for youngsters and senior citizens than they do for other adults, are an example of this form of price discrimination.
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During which of the following stages of the product life cycle (PLC) would we expect a marketing manager to pursue a marketing objective of maximizing market share?
a. Introduction
b. Growth
c. Pre-pioneering
d. Maturity
e. Decline
During the Growth stage of the Product life cycle the marketing manager will pursue a marketing objective that is option B is correct.
Product life cycle is referred to as the overall time period of the product from its introduction stage to its removal stage. There are many stages involved in the life cycle of the product. Whenever a new product is introduced in the market it needs certain introduction within the consumers through advertisement. This stage is Introduction stage. The next stage is the Growth stage where the manager sets a certain goal regarding the sale of product. The next is the maturity stage where the product reaches its peak sale among the consumers and the last and final stage is decline stage in which product loses the popularity among consumers.
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1. You purchase one IBM July 120 call contract for a premium of $5. You hold the option until the expiration date when IBM stock is at $123 per share on the market. How much profit or loss you will realize on the investment?
Profit or loss can return on investment of buying a hundred and twenty demand $5 of premium on IBM;
Loss of $ two hundred
Working note for loss
Long place profit=Contract price+premium
=120+$5
=$125
Loss=market worth on expiration date−purchase worth
×100= $125-123
=$2×100
=$200
Return on investment could be a term that wants to analyze the investment return or profit. Comeback on investment is the relationship between web annual financial gain and investment. ROI rests on the danger tolerance of investment and the abundant time the danger provides comes back from the investment.
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In a situation where the firms in an industry must negotiate with a single union, and only union labor can be hired, suppose the labor union manages to achieve, through collective bargaining, a union wage for its members above what the equilibrium wage would otherwise have been. Which of the following is most likely to result?Select the correct answer below:the union wage will be lowered by the firmunion workers will leave the unionan excess supply of workers will want union jobsnone of the above
In the situation provided above, it can be said that an excess supply of workers will want union jobs. Therefore, the option C holds true.
An excess supply of workers can be referred to or considered as a situation wherein the quantity of the workers supplied in an organizational economy is much higher than the quantity of the workers demanded in the economy, as such. It leads to creation of upwards sloping supply curve on the graphical representation related to the same. The demand for the workers will increase only gradually in such a situation.
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When one producer is able to supply total output in a market at a lower cost than when production is divided between multiple producers, competition may be impossible. The result is a ______ monopoly. a. natural b. artificial c. competitive d. productive
Production is divided between multiple producers; competition may be impossible. The result is a natural monopoly.
Firms revel in no limitations to access and all customers have ideal information. There are such a lot of companies generating the equal merchandise that not one of the companies can achieve sufficient strength in the end to persuade the industry. Thus, eventually, all the viable reasons of income are assumed away.
In monetary theory, ideal opposition happens while all corporations promote same merchandise, marketplace percentage does now no longer have an impact on rate, corporations are capable of input or go out without limitations, customers have ideal or complete information, and corporations can not decide prices.
A company will close down temporarily if the sales it might get from generating is much less than the variable charges of production. This happens if rate is much less than common variable cost. 4. A company will go out a marketplace if the sales it might get if it stayed in enterprise is much less than its overall cost.
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The following production data were taken from the records of the finishing department for June:
Inventory in process, June 1, 25% completed 260 units
Transferred to finished goods during June 5,000 units
Equivalent units of production during June 5,495 units
Determine the number of equivalent units of production in the June 30, finishing department inventory, assuming that the first-in, first-out method is used to cost inventories. The completion percentage of 25% applies to both direct materials and conversion costs.
a.448 units
b.840 units
c.672 units
d.560 units
560 units are the comparable units of production. Option (d)
as indicated by the questions,
Units of finished items totaled 5,000.
Finished products from the beginning: 260.
of ongoing projects (WIP)
(total finished goods - completed items in the beginning)
(5000 - 260 = 4740) units
units of finished goods from the current 4,740 units
input
Units equivalent in total for June: 5,495 units
Less: finished items total comparable units.
work in progress (WIP) is 195 units
is (260 * 75%)
4,740 of the current input
(4,740 x 100%)
560 units of ending are equivalent.
(Total equivalent units in June - Items from Starting WIP + Items Finished from Current Input)
(5495 - 195 + 4740 => 560 units)
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how would a decrease in the natural rate of unemployment affect the long-run phillips curve? group of answer choices there would be a downward movement along a given long-run philips curve. it would shift the long-run phillips curve right. there would be an upward movement along a given long-run phillips curve. it would shift the long-run phillips curve left. next
A decrease in the natural rate of unemployment affects the long-run Phillips curve as, it would shift the long-run Phillips curve left.
When the economy is producing at its maximum level, the long-run Phillips curve usually depicts the link between both unemployment and inflation rates. The minimum unemployment level consistent with stable inflation over the long term determines the natural unemployment rate.
Since the economy may reach a lower unemployment rate without leading to an increase in inflation, a fall in the natural rate of unemployment would cause the long-run Phillips curve to shift to the left. In contrast, a rise in the natural rate of unemployment would lead the long-run Phillips curve to move to the right since the economy would have to accept a higher rate of unemployment in order to keep inflation stable.
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A national coffee chain offers a small cup of coffee for $3.79 but charges $2.49 for the same item to students with a valid student ID. The company is able to practice price discrimination because it Choose one: O A. is able to determine each customer's willingness to pay. O B. is able to sell products of varying quality. O C. encounters different underlying costs. O D. is able to distinguish between buyers.
Option A is correct. The company is able to practice price discrimination because it is able to determine each customer's willingness to pay.
A selling tactic known as price discrimination involves charging clients various rates for the same good or service depending on what the vendor believes they can persuade the customer to accept. When a merchant uses pure price discrimination, they charge each consumer the highest price they will agree to. In more prevalent types of price discrimination, the supplier divides clients into groups based on particular characteristics and assesses a different price to each group.
When a seller discriminates on pricing, each consumer pays a different price for the same good or service.
The business imposes first-degree discrimination by charging the highest price attainable for each consumed unit.
Discounts for goods or services purchased in bulk constitute second-degree discrimination, whereas varying rates for various consumer groups constitute third-degree discrimination.
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JFG, Inc. has the following capital structure:1. 9.4 million shares of common stock priced at $28.12/share2. 3 million shares of preferred stock that pays a 6.7% dividend (par value = $100) and is currently priced at $101/share3. 200,000 outstanding bonds. The bonds mature in 10 years, have a par (face) value of $1,000, a 7% annual coupon, and a yield to maturity of 8.25%.What is the MV weight of Debt JFG would use in their WACC calculation? (Please show me the process. Thanks!)
24.43% is the MV weight of Debt JFG would use in their WACC calculation.
As per the given data,
we need to find out the MV weight of Debt JFG would use in their WACC calculation.
According to question,
it is given that,
JFG, Inc. has the following capital structure:
1. 9.4 million shares of common stock priced at $28.12/share
2. 3 million shares of preferred stock that pays a 6.7% dividend (par value = $100) and is currently priced at $101/share
3. 200,000 outstanding bonds.
Also, it is given that the bonds mature in 10 years, have a par (face) value of $1,000, a 7% annual coupon, and a yield to maturity of 8.25%.
Now, Market Value of each capital Structure
Market Value of Debt = 183,412,000 [200,000 Bonds x 917.06 per bond]
Market Value of Preferred Stock = 303,000,000 [3,000,000 shares x 101 per share]
Market Value of Equity = 264,328,000 [9,400,000 shares x 28.12 per share]
Total Market Value is 750,740,000
Price of the Bond
The Equity Price is the Current Earnings Rate plus the Face Value/Par Value. The Bond Price is calculated by using Excel Functions or by using a Financial Calculator.
Now,, the calculation of the Bond Price using financial calculator can be given as follows:
Variables Financial Calculator Figures
Face Value [-S1,000] FV 1000
Coupon Amount [S1,000 x 7%] PMT 70
Market Interest Rate
or Required Rate of Return [8.25%] 1/Y 8.25
Time to Maturity [10 Years] N 10
Bond Price PV ?
Further, we need to set the above keywords in the billing to find out the Combined Price. After entering the above keys into the financial calculator, we get:
Bond Price = $917.06
The weight of Debt to be used in the WACC Calculation can be given as:
Weight of Debt = Market Value of Debt / Total Market Value
By Putting values in above formula, we get:
= 183,412,000 / 750,740,000
= 0.2443 or
= 24.43%
Therefore, 24.43% is the MV weight of Debt JFG would use in their WACC calculation.
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You and employees from other departments are discussing challenges in your shared work processes. When talking about how to improve work processes with them, it is most important to consider... O how long they have been with the company. O their individual perspectives. their previous experiences working with you.
O how similar your ideas are to each other. O their role in the work process.
When discussing with employees the challenges in their shared work processes and how to improve the work processes with them, the most important thing is to consider their individual perspectives. Option B is correct.
How to improve shared work processes?In an organization, there are individuals with different personalities and skills, which must be integrated so that the organizational culture is positive and favorable to cooperation, innovation, strengthened relationships and productivity.
It is therefore necessary that there be communication and integration developed between all departments, in addition to a supportive leader who is ethical, provides feedback and assists in the needs of his subordinates.
Therefore, a company is a set of integrated systems where teamwork is essential so that there is alignment of planned actions with the objectives to be achieved.
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Which of the following is critically important with respect to ultimate potential of a firm to provide cash flows to investors and creditors?
The capacity of the company to produce cash flows is critically important with respect to ultimate potential of a firm to provide cash flows to investors and creditors.
The cash flow statement presents details on the operations, funding sources, and financial transactions of a corporation. The CFS, often referred to as the statement of cash flows, assists creditors in determining how much cash is available (also known as liquidity) for the business to meet its operational costs and settle its debts. Investors value the CFS equally since it informs them of a company's financial stability. As a result, they might use the statement to make better, more informed financial decisions.
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Complete question
Which of the following is critically important with respect to the ultimate potential of a firm to provide cash flows to investors and creditors?
a. The firm's ability to generate cash flows for itself.
b. The firm's ability to generate positive net income.
c. The firm's ability to obtain additional financing.
TRUE/FALSE. margin account agreements must be signed before the first trade in the account. margin account agreements must be signed promptly after the first trad
The correct answer is True. Agreements for margin accounts must be signed before the account's first trade. After the first trade, margin account agreements need to be signed right away.
The Margin Agreement, which has three subsections (the Hypothecation Agreement, Credit Agreement, and Loan Consent Form), must be completed and signed by customers creating margin accounts. In the hypothecation agreement, the client pledges securities as security for margin loans.
You can use the funds immediately after a trade settles when utilizing a margin account. For traders, this is crucial since it enables immediate cash use.
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amazon is building an additional headquarters facility in virginia. which of the following was probably not a reason that amazon picked this location?
Amazon is building an additional headquarters facility in Virginia. Workers will have a high cost of living and long commuting times in area amazon chose in Virginia.
Give a brief account on Amazon.For the American global technology company Amazon.com, Inc., digital streaming, cloud computing, online advertising, and artificial intelligence are the key research topics. It is regarded as "one of the most significant economic and cultural forces in the globe" and is one of the most valuable brands in the world. It is one of the Big Five American technology companies, along with Microsoft, Apple, Meta, and Alphabet.
In his Bellevue, Washington, garage, Jeff Bezos began Amazon on July 5, 1994. It began as an online book marketplace but has since grown to include a wide range of goods, earning the nickname "The Everything Store."
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Named constants are initialized with a value and that value cannot change during the execution of the program. TRUE/FALSE
Named constants have an initial value, which cannot be altered while the programme is running. This assertion is true.
The portion of the programme that has access to a variable is said to be inside its scope. The total variable in Java is the same as the Total variable. Examples of variables include class names and key phrases.
A constant is a piece of data whose value is fixed during the course of a programme. As a result, the value is constant, as implied by its name. A piece of data called a variable can have a value that changes while the programme runs.
After startup, the constant variable's values cannot be altered. Here, we'll look at how to modify the values of a few constant variables.
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a brilliant general who helped develop the greatest army the world has ever seen and bring about important change in asia
George Patton is a brilliant general who helped develop the greatest army the world has ever seen and bring an about important change in Asia.
In the European and Mediterranean theatres of World War II, George Patton, a U.S. Army officer, excelled at mobile tank combat. The general was affectionately called to by his men as "Old Blood-and-Guts" because of his severe discipline, hardness, and self-sacrifice. But throughout his career, he caused countless difficulties due to his impulsive behavior and volatile temper.
Patton was chosen to represent the United States in Stockholm, Sweden, at the Olympic Games in 1912. In the contemporary pentathlon there, he battled against military commanders from all around the world.
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a broker-dealer is registered in state y. it has no offices in state y, although it does do business in that state. under the uniform securities act,
A broker/dealer is registered in State X. It has no offices in State Y, although it does do business in that state. Under the Uniform Securities Act, registration in State Y is required if the client is a(n) state employee.
Regardless of the kind of client's employment, brokers/dealers must always register in a state if they conduct business there with non-institutional clients.
A person working as a direct employee or a contractor for one or more state government offices. Unless the action directly affects their pay grade, union membership, or retirement benefits, this type of employment is typically not as hard as jobs in the private sector because these people spend their days sitting around doing relatively little.
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Consider a competitive market for wheat in a village in which the production and consumption of wheat have no external effects. The daily market demand for wheat is given the equation WTP = 32 − Q, where quantity (Q) of wheat is measured in bushels per day and consumers’ willingness-to-pay (WTP) is measured in dollars per bushel. The market supply of wheat is given by the equation WTA = 10 + Q, where producers’ willingness-to-accept (WTA) is measured in dollars per bushel.
How do you find the equilibrium price and quantity?
Group of answer choices
(a) The equilibrium occurs where WTP is equal to WTA .
(b) The equilibrium occurs where WTP is above WTA.
(c) The equilibrium occurs where WTA is above WTP.
(d) There are multiple equilibria because there are many sellers in the market.
(e) There are multiple equilibria because there are many buyers in the market.
In a competitive market , where daily market demand for wheat is given the equation WTP = 32 − Q, and market supply of wheat is given by the equation WTA = 10 + Q. The equilibrium price and quantity is at that point where WTP is equal to WTA .Thus option (a) is correct. Economic equilibrium is a condition or state in which economic forces ( demand and supply) are balanced.
What is a competitive market?In a competitive market there must be a large number of buyers and sellers, and each one must be relatively small, and all the sellers produce identical products or services.
In this market, there are no barriers for entry or exit, and all the buyers and sellers are price takers, no one can set the price at their own will.
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the long-term relationships that are created among participants in the supply chain are called . group of answer choices quality partners jit alliances supply alliances joint suppliers
Long-term relationships established between supply chain participants are called supply alliances.
What is the concept of the alliance?An alliance is a partnership between individuals, groups, or nations who have come together for their mutual benefit or to accomplish a common goal, whether or not there is an express agreement between them, Allies are those who are a part of an alliance.
Types of strategic alliances: Joint Venture. Equity strategic alliance. Non-equity strategic alliance.
What is Strategic Supplier Alliance?Strategic Supplier Alliance is a relationship characterized by a mechanism whereby buyers and suppliers work together to solve problems and share the benefits that result from increased quality and productivity resulting from joint efforts. .
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ohnson company issued 900 shares of no-par common stock for $15,300. which of the following journal entries would be made if the stock has no stated value?
The journal entry for the Ohnson Company for the issues shares is as follows:
Cash A/c....Dr. $ 15,300
Common Stock-No-par Value A/c.....Cr. $15,300
In a corporation, common stock is issued to the majority of shareholders. In contrast to their preferred stock counterparts, holders of common stock have certain rights. Rather than receive monthly dividends, common stockholders gain value from their shares as the firm expands. These shareholders have voting rights. As one share is essentially equal to one vote on the company's board of directors, people with more shares have a greater say in its business activities.
The Journal entry is as follows:
Cash A/c....Dr. $ 15,300
Common Stock-No-par Value A/c.....Cr. $15,300
The no-par common stock means there is no face value assigned to the stock. All the money paid by the shareholder is recorded as common stock.
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which of the following reasons could a decreased rate of growth in business and professional travel be attributed to?
The correct answer is technological improvement in virtual conferencing in business and professional travel be attributed.
Longer life expectancies, early retirement, flexible work schedules, and the propensity to take shorter, more frequent trips are a few factors contributing to the rise in travel. A variety of services are used by consumers away from their residences, typically on a temporary basis. Soft adventure travel is often risk-free and doesn't call for a lot of knowledge or expertise. Backpacking, birding, camping, canoeing, fishing, horseback riding, kayaking, safaris, sailing, and surfing are a few examples. The issue for the tourist sector is to include decarbonization in its value offer. In actuality, this entails rethinking the ideal travel experience and considering how sustainable practices might be implemented.
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Suppose that when the price of peanut butter rises from $1 to $2 per jar, the quantity of jelly purchased falls from 20 million jars to 15 million jars.
a. The cross-price elasticity of demand between peanut butter and jelly using the mid-point method is 1.33. The goods are substitutes.
b. The cross-price elasticity of demand between peanut butter and jelly using the mid-point method is 1.33.
The cross-price elasticity of demand is a measure of the responsiveness of the quantity demanded of one good to a change in the price of another good. It is calculated by dividing the percentage change in the quantity demanded of one good by the percentage change in the price of another good.
The mid-point method is used to calculate the elasticity of demand by taking the average of the initial and final prices and quantities. In this case, the initial price of peanut butter
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a. Suppose that when the price of peanut butter rises from $2 to $3 per jar, the quantity of jelly purchased falls from 20 million jars to 15 million jars. Instructions: Round your answer to two decimal places. If you are entering a negative number be sure to include a negative sign (-) in front of that number. The cross-price elasticity of demand between peanut butter and jelly using the mid-point method is:_______ . The goods are:_______ . b. Suppose that when the price of peanut butter rises from $2 to $3 per jar, the quantity of jelly purchased increase from 15 million jars to 20 million jars. Instructions: Round your answer to two decimal places. If you are entering a negative number be sure to include a negative sign (-) in front of that number. The cross-price elasticity of demand between peanut butter and jelly using the mid-point method is:_______ .
Diversification is possibly the best technique for reducing the problems associated with international transactions. Provide one example each of international financial diversification and international operational diversification and explain how the action reduces risk.
Investments are spread among a variety of financial products, industry, and other categories as part of the risk-reduction strategy known as diversification. By making investments in various sectors that would all react differently to a single occurrence, it seeks to reduce losses.
What benefits do you get from diversification?Lowering your risk involves distributing your funds among and within several investment vehicles, such as stocks, bonds, and cash. It is one of the finest strategies to withstand market fluctuations and sustain development potential.
How does diversification lower risk?You can invest in multiple stocks at once thanks to diversification. If there is no unique emergency in the markets, if one security fails, it is quite likely that others will not be impacted by the downturn. The precise investments you make won't be simultaneously exposed to the same risk.
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which of the following are products consumers buy after comparing quality, price, and style from a variety of sellers?
Shopping goods & services are products consumers buy after comparing quality, price, and style from a variety of sellers.
Consumer goods, often known as final goods, are items that are purchased by people or families for their own consumption. In other words, consumer products are those that the typical consumer purchases for personal enjoyment. There are four major categories of consumer items, each requiring a particular marketing strategy.
Consumers purchase goods from stores less frequently. Consumers frequently evaluate the qualities, costs, and styles of various things when buying. Shopping products are therefore more carefully contrasted with, and customers spend a lot more time considering alternatives than convenience products. Compared to convenience products, shopping products are supplied carefully, have fewer locations, and require human selling and advertising.
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making sure that a customer's goods are delivered on time is an important aspect of personal selling. t/f
The statement is true: making sure that a customer's goods are delivered on time is an important aspect of personal selling.
Personal selling is a face-to-face sales method where a salesman uses their people abilities to convince a consumer to purchase a specific product. The salesperson tries to persuade the consumer that the product will only add value by emphasizing its different qualities. However, the goal of personal selling is not always to convince a client to purchase a product. This strategy is frequently used by businesses to inform clients about new products.
The business uses a person-to-person strategy in order to raise awareness of the product. This is due to the fact that selling requires a personal touch, and salespeople are better at pitching a product to a potential customer. Retail and direct-to-consumer channels are the two various ways that personal selling can be done. In the retail channel, a salesperson deals with prospective consumers who come in by themselves to inquire about a product. The salesperson's responsibility is to ensure that he fully comprehends the needs of the consumers and displays the numerous products that fall into that category in accordance. In the direct channel, a salesperson meets prospective clients in an effort to inform them of a new product the company is introducing or about a new deal that the clients may not be able to obtain from the open market.
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3. (a) california bank holds $375 million in deposits and maintains a reserve ratio of 5%. show the t-account of the bank
California bank holds $375 million in deposits and maintains a reserve ratio of 5% . Final money supply will be $7500 million
An informal word for a collection of financial records that employ double-entry bookkeeping is a T-account.
Because the bookkeeping records are organised in a form that resembles a T, it is known as a T-account.
Just above the T is the account title. Debits are listed on the left and credits are recorded on the right, with a line separating the two.
To create adjusting entries, T-accounts are frequently employed. All expenses in accrual accounting must equal the period's income, according to the matching principle.
Three things make up every T account: the account name at the top, a debit entry on the left, and a credit entry on the right.
The given question is incomplete so I've answered in general
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relative to the symmetric information equilibrium, the type l workers are definitely worse-off (i.e., have lower utility) in the pooling equilibrium. t/f
The question states that relative to the symmetric information equilibrium, the type l workers are definitely worse off (i.e., have lower utility) in the pooling equilibrium. This statement is completely true.
A symmetric equilibrium in game theory is one in which every player uses the same strategy (perhaps a mixed strategy) throughout the equilibrium. There is only one Nash equilibrium in the Prisoner's Dilemma game depicted to the right (D, D). The equilibrium is symmetric since both players employ the same approach.
By symmetric equilibrium, we mean that all bidders adhere to the same distribution function and value distribution. In both the first-price and second-price auctions, we shall derive the equilibrium strategies. If we want to optimize our revenues, we can consider which auction type to select.
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stock analysts can use fundamental analysis to identify undervalued stocks. the stock market exhibits informational efficiency. stock prices follow a random walk.
Option 3 is Correct. Based on the idea that the stock market displays informational efficiency, amy constructs her portfolio.
Investors utilize fundamental analysis as a tool to determine a stock's intrinsic worth. A stock's present price could not accurately reflect its true value. In the market, the stock may be overvalued or undervalued. The portfolios of Van and Amy are being compiled. Van invests in mutual fund shares and pays a manager's fees for actively managing the mutual fund's portfolio. He does this because he thinks the management can spot cheap stocks that will appreciate in value.
Amy isn't persuaded. She invests in shares of an index fund, a form of mutual fund that doesn't actively manage a portfolio but instead rather purchases all the stocks in a specific stock index. A technique used to estimate the value of a stock or security is fundamental analysis. Analysis of a company's management, business strategy, financial ratios, financial reports, and other data are all part of this process. The term "fundamentals" can also be used to describe macroeconomic statistics, market movements, and economic situations.
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Correct Question:
Van and Amy are building their portfolios. Van purchases shares in a mutual fund and pays fees to a manager who actively manages the mutual fund's portfolio. He does so because he believes that the manager can identify inexpensive stocks that will rise in value. Amy is not convinced. She buys shares in an index fund—a type of mutual fund that simply buys all of the stocks in a given stock index rather than actively managing a portfolio.
Amy builds her portfolio based on the notion that:
1. Stock analysts can use fundamental analysis to identify undervalued stocks.
2. All stocks are overvalued.
3. The stock market exhibits informational efficiency.