Quizlet What is defined as the amount of one currency that must be offered to purchase one unit of a foreign currency

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Answer 1

The amount of one currency that must be offered to purchase one unit of a foreign currency is defined as the exchange rate.

In the world of international trade and finance, currencies play a critical role in facilitating transactions between countries. One key concept that is essential to understand is the concept of exchange rates. An exchange rate is defined as the amount of one currency that must be offered to purchase one unit of a foreign currency.

Exchange rates are determined by a variety of factors, including market supply and demand, economic conditions, political events, and central bank policy. In today's global economy, exchange rates are constantly changing, which can create both opportunities and challenges for businesses and individuals who engage in international trade.

One tool that is commonly used to study and practice exchange rates is Quizlet. Quizlet is an online platform that offers a wide range of study materials and practice questions related to many different subjects, including foreign exchange rates.

By using Quizlet, individuals can gain a better understanding of exchange rates and how they impact international trade and finance.

Understanding exchange rates is essential for anyone who engages in international trade or finance, and tools like Quizlet can be a helpful resource for gaining knowledge and practicing skills related to this important topic.

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15–5. Fraudulent Misrepresentation. Charter One Bank owned a fifteen-story commercial building. A fire inspector told Charter that the building’s drinking-water and fire-suppression systems were linked, which violated building codes. Without disclosing this information, Charter sold the building to Northpoint Properties, Inc. Northpoint spent $280,000 to repair the water and fire-suppression systems and filed a suit against Charter One. Is the seller liable for not disclosing the building’s defects? Discuss. [Northpoint Properties, Inc. v. Charter One Bank, 2011-Ohio-2512 (Ohio App. 8 Dist. 2011)]

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it is likely that Charter One Bank would be held liable for not disclosing the building's defects to Northpoint, and may be required to compensate Northpoint for the cost of repairs.

In the case of Northpoint Properties, Inc. v. Charter One Bank, the issue at hand is whether the seller, Charter One Bank, is liable for not disclosing the defects in the building's drinking-water and fire-suppression systems to the buyer, Northpoint Properties, Inc.Under the legal doctrine of fraudulent misrepresentation, a seller may be held liable for not disclosing material information that would affect the buyer's decision to purchase the property. In this case, the fact that the building's drinking-water and fire-suppression systems were linked and in violation of building codes is a material fact that would have affected Northpoint's decision to purchase the property.

Charter One Bank had a duty to disclose this information to Northpoint before the sale, and the fact that they did not do so could be seen as fraudulent misrepresentation. As a result, Northpoint had to spend $280,000 to repair the systems, which could have been avoided if Charter had disclosed the defects.

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All of the following are reasons why direct mail and catalog retailing are attractive EXCEPT: they can create customer value by providing a fast and convenient means of making a purchase. they can serve as a tool to encourage consumers to visit a website, a social media page, or even a store. their paper costs and postal rates have declined, making them less expensive to send. they can eliminate the cost of a store and clerks. they can improve marketing efficiency through segmentation and targeting.

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Direct mail and catalog retailing have long been a popular marketing tool for businesses. They have several advantages that make them attractive to marketers. For instance, they can serve as a tool to encourage consumers to visit a website, a social media page, or even a store. They can also eliminate the cost of a store and clerks, and improve marketing efficiency through segmentation and targeting.

Moreover, they have been an effective means of creating customer value by providing a fast and convenient means of making a purchase. However, one reason why direct mail and catalog retailing may not be attractive is not because they are less expensive to send due to declining paper costs and postal rates. This is actually one of the benefits of using direct mail and catalog retailing as a marketing tool.

In summary, direct mail and catalog retailing remain attractive to businesses because of their ability to create customer value, encourage customer engagement, reduce costs, and improve marketing efficiency. While there may be some disadvantages, such as the need for a targeted and well-planned marketing campaign, these tools remain an effective way to reach consumers and promote sales.

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Awareness, interest, evaluation, trial, and adoption are the five stages a prospective buyer goes through in moving toward a purchase. These stages are known as the hierarchy of

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The hierarchy of effects model is a marketing communication model that illustrates the process a consumer goes through before making a purchase decision. Here's a brief explanation of each stage:

1. Awareness: In this stage, the prospective buyer becomes aware of the product or service through various marketing efforts, such as advertising or word of mouth.
2. Interest: The consumer's interest is piqued, and they start to gather more information about the product or service.
3. Evaluation: The prospective buyer evaluates the pros and cons of the product or service and compares it to other options available in the market.
4. Trial: The consumer tries the product or service, either through a sample, demo, or a limited-time offer, to assess its suitability for their needs.
5. Adoption: If the trial experience is satisfactory, the consumer adopts the product or service and makes a purchase decision.

Overall, the hierarchy of effects helps businesses understand the stages a potential buyer goes through, enabling them to tailor their marketing efforts effectively.

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An increase in the money supply typically leads to a. an inward shift in money demand. b. a reduction in the rate of interest. c. a reduction in the velocity of money. d. a decrease in the price level.

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An increase in output causes an increase in

money demand is consistent with a given LM

curve. The entire quantity of money that a

population wishes. The correct answer is c. a reduction in the velocity of money.

An economy is known as the money demand the money demand reflects consumers' and

companies' desire to hold assets in a form that

can be quickly converted into products and

services. Money differs from other asset classes

in large part due to its spendability (or liquidity).Because of this, the need for liquidity is alsO used to describe the need for money. The LM curve displays the real income levels and interest rate mixtures that cause the money market to be in equilibrium. Where money demand and money supply are equal is shown. The independent variable for the LM curve is income, while the dependent variable is the interest rate.

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Stern Associates is considering a project that has the following cash flow data. Year 0 1 2 3 4 5 Cash flows -$1,000 $300 $310 $320 $330 $340 What is the project's IRR

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Using a financial calculator or spreadsheet software, the IRR of the project can be calculated by finding the discount rate that makes the net present value (NPV) of the cash flows equal to zero. The IRR of the project is approximately 14.1%.

IRR, or internal rate of return, is a financial metric used to estimate the profitability of potential investments. It represents the discount rate at which the present value of the expected cash inflows equals the present value of the expected cash outflows. In other words, it is the interest rate that makes the net present value (NPV) of an investment equal to zero. The higher the IRR, the more profitable the investment is considered to be.

In finance, the Internal Rate of Return (IRR) is a metric used to measure the profitability of an investment. It represents the rate of return that would make the net present value (NPV) of all cash flows from the investment equal to zero. In other words, the IRR is the discount rate at which the sum of the present values of future cash flows equals the initial investment. The IRR is useful for comparing investment opportunities, as it provides a single percentage figure that summarizes the expected return on investment. A higher IRR indicates a more attractive investment opportunity, while a lower IRR suggests a less attractive one.

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a. What is the payback period on each of the following projects? Cash Flows (S) Project Co C1 C2 C3 C4 A -5,000 +1,000 +1,000 +3,000 0B -1,000 0 +1,000 +2,000 +3,000C -5,000 +1,000 +1,000 +3,000 +5,000b. Given that you wish to use the payback rule with a cutoff period of two years, which proj- ects would you accept?

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Only Project B would be accepted using the payback rule with a cutoff period of two years. Project C has a payback period of 4 years, which exceeds the cutoff. Therefore, only Project B would be accepted using the payback rule with a cutoff period of two years.

The payback period for each project can be calculated by adding up the cash flows until the initial investment is recovered.
For Project A:
Year 1: -5,000 + 1,000 = -4,000
Year 2: -4,000 + 1,000 = -3,000
Year 3: -3,000 + 1,000 = -2,000
Year 4: -2,000 + 3,000 = +1,000
Payback period = 3 years
For Project B:
Year 1: -1,000 + 0 = -1,000
Year 2: -1,000 + 1,000 = 0
Year 3: 0 + 2,000 = +2,000
Year 4: 2,000 + 3,000 = +5,000
Payback period = 2 years
For Project C:
Year 1: -5,000 + 1,000 = -4,000
Year 2: -4,000 + 1,000 = -3,000
Year 3: -3,000 + 1,000 = -2,000
Year 4: -2,000 + 3,000 = +1,000
Year 5: 1,000 + 5,000 = +6,000
Payback period = 4 years
Given the cutoff period of two years, only Projects B and C would be accepted. Project B has a payback period of 2 years, which meets the cutoff, while Project C has a payback period of 4 years, which exceeds the cutoff. Therefore, only Project B would be accepted using the payback rule with a cutoff period of two years.

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when setting the price for its services, can ignore profit-maximizing strategies. lower servicing costs more than its competitors. move the price for the services it provides. reduce its advertising budget more than its competitors.

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A company can choose to ignore profit-maximizing strategies when setting the price for its services. However, this may not be a sustainable approach in the long run as profit is essential for business growth and sustainability.

It is important to strike a balance between offering competitive prices and maximizing profits. Lowering servicing costs more than its competitors can help a company offer competitive prices and attract more customers. However, this should not come at the cost of compromising on the quality of the services offered. A company needs to ensure that it is able to cover its costs and make a reasonable profit to remain in business.

Moving the price for the services provided can also be a viable option for a company. However, this should be done with caution and after considering various factors such as the demand for the services, the company's costs, and the competition in the market.

Reducing the advertising budget more than its competitors can help a company save costs. However, this may lead to reduced brand visibility and awareness, which can negatively impact the company's sales and profitability. Therefore, it is important to strike a balance between advertising costs and the expected return on investment.

1. Profit-maximizing strategies: A company should consider the balance between revenue and costs in order to maximize profit. This may include identifying the optimal price point to generate the highest profit margin.

2. Lower servicing costs: A company can offer competitive pricing if it can maintain lower servicing costs compared to competitors. This advantage can result in lower prices for customers while still maintaining profitability.

3. Price flexibility: A company should have the ability to adjust the price of its services based on factors such as market demand, competition, and other external factors. This flexibility allows the company to adapt to changing market conditions.

4. Reduced advertising budget: A company can potentially reduce its advertising budget compared to competitors if it relies on other means of promoting its services, such as word of mouth or strong brand reputation. This can result in cost savings that can be passed on to customers through lower prices.

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Information management systems designed to monitor the performance of officers and identify those who show certain at-risk behaviors are called ______.

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The information management systems that are designed to monitor the performance of officers and identify those who exhibit certain at-risk behaviors are known as Early Intervention Systems (EIS).

EIS is a computerized system that collects data from various sources, such as complaints, use-of-force incidents, and other performance indicators, to identify patterns of behavior that may indicate a need for intervention or additional training.

EIS is designed to help law enforcement agencies identify potential problem officers before their behavior escalates and leads to serious incidents, such as excessive use of force or civil rights violations. By tracking officer performance over time and providing timely feedback, EIS helps agencies reduce risk, improve accountability, and enhance public trust.

EIS is now widely used across many law enforcement agencies in the United States and has proven to be an effective tool for enhancing officer performance and reducing risk.

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A 7% general obligation bond matures in 1 year. A municipal dealer quoting the bond has just changed his quote from a 6.85 basis to a 6.95 basis. The approximate dollar change in price per $1,000 bond is:

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The approximate dollar change in price per $1,000 bond when the quote changes from a 6.85 basis to a 6.95 basis is $1.

A general obligation bond is a type of municipal bond backed by the credit and taxing power of the issuing jurisdiction. In this case, a 7% general obligation bond matures in 1 year. The bond's yield, or basis, is the rate at which the bond's price and interest payments provide a return to the investor.
When a municipal dealer changes the bond's quote, it affects the bond's market price. In this example, the dealer has changed the quote from a 6.85 basis to a 6.95 basis. To determine the approximate dollar change in price per $1,000 bond, we will calculate the change in yield and then translate it to a dollar amount.
The yield change is 6.95 basis - 6.85 basis = 0.10 basis points, or 0.0010 as a decimal. Since the bond matures in 1 year, the price change can be estimated by multiplying the change in yield by the bond's duration, which is approximately equal to its time to maturity for short-term bonds. In this case, the duration is 1 year.
Price change per $1,000 bond ≈ (0.0010) x (1 year) x ($1,000) = $1.

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A model of corporate social responsibility that holds that business managers have ethical responsibilities to a range of people that go beyond a narrow view that the primary or only responsibility of manager is to the stockholders is known as

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Stakeholder theory proposes that businesses should prioritize the interests of all stakeholders, not just shareholders, to create value for society as a whole.

How does stakeholder theory differ from the traditional view of corporate social responsibility?

The model of corporate social responsibility you are describing is known as stakeholder theory.

Stakeholder theory suggests that a business has ethical responsibilities not only to its shareholders but also to a wider range of stakeholders, such as customers, employees, suppliers, and the community in which it operates.

The theory holds that a business should consider the interests and well-being of all its stakeholders when making decisions, rather than solely focusing on maximizing profits for shareholders.

The idea behind stakeholder theory is that a business operates within a complex web of relationships and interactions with various stakeholders, and that its long-term success depends on maintaining positive relationships with all of them.

By considering the interests of all stakeholders, a business can create value for society as a whole, rather than just for a narrow group of shareholders.

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Coleman estimates that if it issues new common stock, the flotation cost will be 15%. Coleman incorporates the flotation costs into the DCF approach. What is the estimated cost of newly issued common stock, considering the flotation cost

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The estimated cost of newly issued common stock, considering the flotation cost, is 16.234%

How do you calculate the estimated cost for newly issued common stock?

For us to calculate the estimated cost of newly issued common stock, we will first find the cost of retained earnings using (DGM) method.

Re = D1 / P0 + g

If we insert the figures provided, it would be

D1 = D0 x (1 + g) = $4.19 x (1 + 0.05)

= $4.3995

P0 = $50.00

g = 5% = 0.05

Re = ($4.3995 / $50.00) + 0.05

= 0.08799 + 0.05

= 0.13799 or 13.799%

Re / 1 - F

F = 15% = 0.15

Re/new = 0.13799 / (1 - 0.15)

= 0.13799 / 0.85

= 0.16234 or 16.234%

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The duration of a $110 million portfolio is 12 years. $50 million in new securities are added to the portfolio, increasing the duration of the portfolio to 13.5 years. What is the duration of the $50 million in new securities

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We can use the formula for weighted average duration to solve this problem: the duration of the $50 million in new securities is approximately 18.6 years.

Weighted average duration = (Duration of existing portfolio x Market value of existing portfolio + Duration of new securities x Market value of new securities) / Total market value

We know that the duration of the existing portfolio is 12 years, and the market value is $110 million. We also know that $50 million in new securities are added to the portfolio, and the resulting duration is 13.5 years.

Plugging in the values, we get:

13.5 = (12 x 110 + x * 50) / (110 + 50)

Multiplying both sides by (110 + 50), we get:

13.5 x (110 + 50) = 12 x 110 + 50x

Simplifying, we get:

2250 = 1320 + 50x

930 = 50x

x = 18.6

Therefore, the duration of the $50 million in new securities is approximately 18.6 years.

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Suppose a firm sells a luxury and a budget version of a good. Why might that firm make the budget version of the good extremely low quality

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A firm might make the budget version of a good extremely low quality for several reasons. One reason could be that the firm wants to maximize its profits by selling both a luxury and a budget version of the good.

By making the budget version low-quality, the firm can keep the production costs low and charge a lower price, which may attract price-sensitive consumers. This can increase the overall sales volume of the goods and generate more revenue for the firm.

Another reason could be that the firm wants to differentiate the two versions of the good to avoid cannibalizing sales of the luxury version. By making the budget version low quality, consumers may perceive the luxury version as superior and be willing to pay a higher price for it.

This can help the firm maintain a premium image for the luxury version and protect its profit margins. However, it is important to note that making the budget version of a good extremely low quality may also harm the reputation of the firm if consumers perceive it as deceptive or unfair. Therefore, firms need to strike a balance between keeping the costs low and maintaining the quality of the budget version to ensure consumer satisfaction and loyalty.

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A stock has an expected return of 14.9 percent, the risk-free rate is 5.85 percent, and the market risk premium is 7.6 percent. What must the beta of this stock be

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The beta of this stock would be approximately 1.46.

A firm uses backflush costing to assign product costs to inventory and values inventory using direct costing. All actual amounts are equal to budgeted amounts. Total DM $100,000 Total DL $40,000 Total Variable OH $80,000 Total Fixed OH $500,000 Total units completed and in process 40,000 Units in FG 160 Units in process 200 Finished goods has $0 beginning balance. After backflushing costs, what is the balance of the finished goods inventory account

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Finished goods inventory balance is $2,880, calculated by multiplying the cost per unit ($18) by the units in finished goods (160).

Backflush costing is a method of accounting for the costs associated with manufacturing a product.  Under this method, the costs are not assigned to the product until it is completed, and the costs are "flushed" through the system. The cost of each product is calculated by adding together the direct material cost, direct labor cost, and variable overhead cost associated with the production of the product. In this case, the total direct material cost is $100,000, and the total direct labor cost is $40,000. The total variable overhead cost is $80,000, and the total fixed overhead cost is $500,000. The total number of units completed and in process is 40,000, with 160 units in finished goods and 200 units in process. To calculate the cost of the finished goods inventory, we need to first calculate the cost per unit. This is done by adding together the direct material cost, direct labor cost, and variable overhead cost, and dividing by the total number of units completed and in process.

The total cost per unit is:

Total cost = Direct material cost + Direct labor cost + Variable overhead cost + Fixed overhead cost

Total cost = $100,000 + $40,000 + $80,000 + $500,000

Total cost = $720,000

Cost per unit = Total cost / Total units completed and in process

Cost per unit = $720,000 / 40,000

Cost per unit = $18

Therefore, the cost of the 160 units in finished goods is:

Cost of finished goods = Cost per unit * Units in finished goods

Cost of finished goods = $18 * 160

Cost of finished goods = $2,880

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In regards to tariffs, a small country is Question 5 options: one whose production and consumption decisions do not affect world price of the good it imports one whose production and consumption decisions do affect world price of the good it imports one whose production and consumption decisions do affect world price of the good it exports about the size of Japan

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In regards to tariffs, a small country is one whose production and consumption decisions do not affect the world price of the good it imports. Therefore, the correct option is A

This means that a small country has limited market power and cannot influence the global market price of the goods it imports or exports.

In a small country, the domestic demand for a good is a small fraction of the global demand for that good, and as a result, the global price of that good is not significantly affected by the country's production and consumption decisions.

As a result of this lack of market power, a small country may face challenges in implementing tariffs or trade barriers, as it may not have the ability to influence the global market price of the goods it imports or exports.

The imposition of tariffs by a small country may result in higher prices for domestic consumers, while the global market price remains unchanged.

In summary, a small country in regard to tariffs is one whose production and consumption decisions do not affect the world price of the good it imports.

This lack of market power may limit a small country's ability to implement tariffs or trade barriers, as it may not be able to influence the global market price of the goods it imports or exports. Therefore, the correct option is A

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Complete Question:

In regards to tariffs, a small country is:  

A. one whose production and consumption decisions do not affect world price of the good it imports

B. one whose production and consumption decisions do affect world price of the good it imports

C. one whose production and consumption decisions do affect world price of the good it exports

D. about the size of Japan

​A/An ________ would be an example of an internalization advantage for an MNE. Question content area bottom Part 1 A. unique source of raw materials B. economy of scale C. patent D. possession of proprietary information

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Option d: A/An possession of proprietary information would be an example/case of an internalization advantage for an MNE.

The proprietary ownership of firm-specific advantages in intermediate products, which are made possible by MNE internal organisation, aids MNEs in overcoming the increased costs and hazards of conducting business overseas, also known as the liability of foreignness. MNEs that are produced as a result of internalization can therefore be viewed as a governance mechanism for creating and utilizing firm-specific benefits.

It should be noted that the history of firms has long been debated among researchers of internalization theory. First, Alfred Chandler's historical study of the development of the first major multi-sectoral firm underlies his internalized theory of transaction costs. Second, prominent researchers in internalization theory such as Casson and Hennart applied this theory to vertical and horizontal integration of resources. Buckley argues that a historical, longitudinal approach is best suited to researching outsourcing and international contracts.

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when a digital media creative team develops short videos or other content that (marketers hope) quickly gain widespread attention as users share them with friends online, or by word of mouth, this facet of creative development is known as

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The facet of creative development that you are referring to is commonly known as viral marketing.

Viral marketing refers to the strategy of creating and disseminating content that has the potential to quickly spread through social media networks and other online platforms, often via word of mouth.

The goal of viral marketing is to generate buzz and excitement around a product, service, or brand, and to encourage people to share the content with their networks, thereby amplifying its reach and impact.Effective viral marketing campaigns typically rely on a combination of factors, including compelling content that resonates with the target audience, strategic distribution across relevant platforms, and a well-defined call to action that encourages viewers to engage with the content or take a specific action. While viral marketing can be a highly effective way to build brand awareness and engage with customers in a meaningful way, it can also be challenging to predict what will go viral and what won't. Nonetheless, with the right approach and a bit of luck, viral marketing can be a powerful tool for businesses looking to expand their reach and connect with new audiences in the digital age.

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Suppose that a country has a trade surplus of $50 billion, a balance on the capital amount of $10 billion, and a balance on the current account of -$200 billion. The balance on the capital and financial account is:

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The balance on the capital and financial account is -$140 billion, which is calculated as the sum of the trade balance and the balance on the current account.

The balance on the capital and financial account can be calculated using the following formula:

Balance on the capital and financial account = Trade balance + Balance on the current account

Substituting the given values, we get:

Balance on the capital and financial account = $50 billion + (-$200 billion + $10 billion)

Balance on the capital and financial account = $50 billion - $190 billion

Balance on the capital and financial account = -$140 billion

Therefore, the balance on the capital and financial account is -$140 billion.

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In the permissive economic climate of recent decades, transnational corporations frequently relocate their facilities in search of

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In the permissive economic climate of recent decades, transnational corporations frequently relocate their facilities in search of lower labor costs, more favorable tax policies, and access to new markets.

This phenomenon is commonly referred to as offshoring or outsourcing, and it has become increasingly prevalent as globalization has opened up new opportunities for businesses to expand their operations beyond their home countries.

However, the practice has also been criticized for its negative impact on domestic employment and for the potential exploitation of workers in developing countries. As a result, there is ongoing debate about the ethical and economic implications of offshoring and the appropriate policies to regulate it.

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By focusing on target profit pricing or target return pricing, a firm is using a ________ pricing approach. Multiple choice question. cost-oriented competitor-oriented profit-oriented demand-oriented

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By focusing on target profit pricing or target return pricing, a firm is using a profit-oriented pricing approach. The correct option is profit-oriented.

This approach involves setting prices based on desired profit margins or returns on investment. Target profit pricing involves determining the price at which the company can earn its desired profit level. This is done by calculating the total costs of producing and selling a product, adding the desired profit level, and then dividing by the expected sales volume. Target return pricing involves setting a price that will yield a specific return on investment. This approach is particularly useful when a company is considering entering a new market or launching a new product.

By focusing on profit, companies can ensure that their pricing strategy aligns with their overall business objectives. However, it's important to remember that profit-oriented pricing should be balanced with other factors, such as customer demand and competitor pricing. Ultimately, the goal of any pricing approach is to find the optimal price point that maximizes profitability while remaining competitive in the market. The correct option is profit-oriented.

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Answer: target return on investment

Explanation:Target return is calculated as the money invested in a venture, plus the profit that the investor wants to see in return, adjusted for the time value of money (TVM). As a return-on-investment (ROI) method, target return pricing requires an investor to work backward to reach a current price.

Jimbo announces plans to paint his house purple with pink shutters. Wamu is Jimbo's neighbor. Wamu doesn't want to have any purple houses in the neighborhood so he offers to pay Jimbo $500 to paint his house beige with black shutters. Wamu's promise to pay is

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Jimbo announces plans to paint his house purple with pink shutters. Wamu is Jimbo's neighbor. Wamu doesn't want to have any purple houses in the neighborhood so he offers to pay Jimbo $500 to paint his house beige with black shutters. Wamu's promise to pay is a form of negotiation or compromise between neighbors to maintain a certain aesthetic within the neighborhood. It is also a voluntary agreement or contract between Wamu and Jimbo, where Wamu offers a financial incentive for Jimbo to change his original plans.

This type of arrangement can be considered a win-win situation, where both parties are satisfied with the outcome. However, it is important to note that Wamu's offer is not a requirement or obligation for Jimbo to accept, as he has the right to choose the color scheme for his own property.

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3) I invest a large sum of money into an account that gives 2.8% annual interest compounded monthly. I leave the money in the account for 30 years. At the end of the 30 years I now have $315,700. How much did I originally invest

Answers

The initial investment was approximately $134,155.

To find the initial investment, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = the final amount ($315,700 in this case)

P = the principal (initial investment)

r = the annual interest rate (2.8%)

n = the number of times the interest is compounded per year (12 for monthly)

t = the time period (30 years)

Substituting the given values, we get:

$315,700 = P(1 + 0.028/12)^(12*30)

Simplifying this equation, we can solve for P to get:

P = $134,155.33 (rounded to the nearest cent)

Therefore, the initial investment was approximately $134,155.

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Your favorite cup of coffee costs $4.00. You buy one cup every day. Starting tomorrow, you stop buying coffee for the next 40 years until you retire. Instead, every day you deposit the money saved by not buying coffee into an account that pays 9 percent annual interest rate compounded daily. How much would you have in the account at retirement. Assume all years have 365 days.

Answers

At retirement, you would have approximately $141,236.45 in the account.

If you save $4.00 per day by not buying coffee and deposit it into an account with a 9% annual interest rate compounded daily for the next 40 years (14,600 days), you can calculate the future value of your savings using the formula for compound interest:
FV = P * (1 + r/n)^(n*t)
where:
FV = future value
P = principal amount ($4.00)
r = annual interest rate (0.09)
n = number of times interest is compounded per year (365)
t = number of years (40)
Plugging in the values, we get:
FV = 4 * (1 + 0.09/365)^(365*40)
Calculating the future value, we find:
FV ≈ $141,236.45

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An agency is hired to spray herbicide on the sidewalks in front of a building to kill weeds. A city ordinance is then passed that forbids use of herbicides on public thoroughfares. The contract can be terminated due to ________.

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If an agency is hired to spray herbicide on the sidewalks in front of a building to kill weeds, and a city ordinance is then passed that forbids the use of herbicides on public thoroughfares, the contract can be terminated due to a breach of contract.

Specifically, the ordinance represents a change in the law and circumstances that make the performance of the contract illegal or impossible. As a result, the agency would no longer be able to perform the contracted services and would be in breach of contract. Therefore, the client who hired the agency would have grounds to terminate the contract. It is important to note that the specific terms and conditions of the contract should be reviewed to ensure that termination is done in accordance with any termination clauses or procedures outlined in the contract.

The contract can be terminated due to a breach of contract caused by a change in the law and circumstances that make the performance of the contract illegal or impossible.

Step 1: Understand the situation
An agency is hired to spray herbicide on sidewalks to kill weeds. A city ordinance is then passed that forbids the use of herbicides on public thoroughfares.

Step 2: Identify the legal concepts
In this situation, two legal concepts may apply: "frustration of purpose" and "illegality."

Step 3: Apply the legal concepts
The frustration of purpose occurs when a fundamental reason for a contract is no longer possible to achieve due to unforeseen circumstances. In this case, the passage of the city ordinance makes it impossible for the agency to fulfill the purpose of the contract, which is to spray herbicide on the sidewalks.

Illegality arises when a contract requires a party to perform an act that is illegal. Once the city ordinance is passed, spraying herbicides on public thoroughfares becomes illegal, making the contract unenforceable.

Step 4: Determine the outcome
The contract can be terminated due to frustration of purpose and/or illegality, as the city ordinance makes it impossible for the agency to fulfill the contract's purpose and renders the contract's performance illegal.

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n October 1, Black Company receives a 8% interest-bearing note from Reese Company to settle a $20,200 account receivable. The note is due in six months. At December 31, Black should record interest revenue of

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Black Company should record interest revenue of $402.84 at December 31.

To calculate the interest revenue that Black Company should record at December 31, we need to first determine the number of days between October 1 and December 31. There are 91 days between these two dates (31 days in October + 30 days in November + 31 days in December). Next, we need to calculate the amount of interest that accrues on the note for this period. We can use the simple interest formula: Interest = Principal x Rate x Time Where: Principal is the amount of the note ($20,200) Rate is the annual interest rate (8%) Time is the fraction of the year that the note is outstanding (91/365, or 0.2493) Interest = $20,200 x 0.08 x 0.2493 Interest = $402.84 Therefore, Black Company should record interest revenue of $402.84 at December 31.

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sing net book value (instead of gross cost) to calculate average operating assets ______. Multiple choice question.

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I understand you have a multiple-choice question related to using net book value for calculating average operating assets. Unfortunately, I cannot see the options, so I'll provide a general explanation.

Using net book value (NBV) instead of gross cost to calculate average operating assets can lead to more accurate results when assessing a company's performance. The net book value takes into account the accumulated depreciation on assets, thus giving a better representation of the actual value of the assets at a given point in time.

To calculate average operating assets using net book value, follow these steps:

1. Determine the net book value of operating assets at the beginning of the period. To do this, subtract the accumulated depreciation from the gross cost of the assets.

2. Determine the net book value of operating assets at the end of the period, again by subtracting the accumulated depreciation from the gross cost.

3. Calculate the average operating assets using the net book values from step 1 and step 2. Add the beginning net book value and ending net book value, then divide the sum by 2.

Using net book value for this calculation provides a more accurate measure of a company's performance since it considers the depreciation of assets over time. This allows for better comparisons across different companies and time periods.

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4. In 2020, Nai-Yu had the following transactions: Salary $ 90,000 Short-term capital gain from a stock investment 4,000 Moving expense to change jobs (11,000) Receipt of repayment of $ 20,000 loan she made to her sister 20,000 in 2014 (includes no interest) State income taxes (5,000) Nai-Yu’s AGI is:

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Nai-Yu's AGI for 2020 is $88,000. Based on the given information, Nai-Yu's Adjusted Gross Income (AGI) for 2020 can be calculated as follows:

To calculate Nai-Yu's AGI, we need to add up her total income for the year and subtract any adjustments or deductions.

Starting with her income:
Salary: $90,000
Short-term capital gain from stock investment: $4,000
Total income: $94,000

Next, we need to subtract any adjustments or deductions:
Moving expense to change jobs: ($11,000)
Repayment of loan to sister: $20,000 (this is not taxable income)
State income taxes: ($5,000)

Adjusted Gross Income (AGI) = Total income - Adjustments/deductions
AGI = $94,000 - $11,000 + $20,000 - $5,000
AGI = $88,000

Therefore, Nai-Yu's AGI for 2020 is $88,000.

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When a role model uses a tobacco product, it gives the impression tobacco products lead to __________.

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When a role model uses a tobacco product, it gives the impression that tobacco products lead to success and social acceptance.

Role models hold significant influence over the behaviors and choices of others, especially young individuals who look up to them. When a role model is seen using tobacco products, it can create the illusion that these products contribute to their success and social acceptance.

This false perception may lead to increased usage of tobacco products among those who admire the role model, disregarding the well-known health risks associated with tobacco use. It is important for role models to be aware of the potential impact their actions may have on their followers and to promote healthy habits instead.

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The supplier evaluation process that includes: (1) factors or criteria for evaluation, (2) the importance of each factor, and (3) a system for rating each supplier on each factor, is called a(n):Multiple Choiceweighted point evaluation.executive roundtable evaluation.categorical evaluation.qualitative evaluation.informal evaluation.

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The supplier evaluation process that includes factors or criteria for evaluation, the importance of each factor, and a system for rating each supplier on each factor is called a weighted point evaluation. Option A

The supplier evaluation process that includes factors or criteria for evaluation, the importance of each factor, and a system for rating each supplier on each factor is called a weighted point evaluation. This evaluation method assigns a weight or score to each evaluation factor based on its importance to the organization's goals and objectives. The weight or score reflects the relative importance of each factor in the supplier selection process. For example, if quality is considered the most important factor, it may be assigned a higher weight or score than other factors such as price or delivery time.

The weighted point evaluation system allows organizations to consider multiple factors and weigh them appropriately, rather than relying on a single criterion. In addition to assigning weights or scores, the weighted point evaluation system also requires a rating scale for each factor. This rating scale allows evaluators to rate each supplier objectively on each factor, rather than using a subjective or informal evaluation process. Overall, the weighted point evaluation system is an effective way for organizations to evaluate suppliers based on their unique needs and priorities. By assigning weights or scores to evaluation factors and using a rating scale, organizations can make more informed decisions and choose the suppliers that best meet their needs. Option A.

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