which market has no central location and is a network of dealers all over the country?

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Answer 1

The market that has no central location and is a network of dealers all over the country is commonly referred to as an "Over-the-Counter (OTC) market."

In an OTC market, financial instruments, such as stocks, bonds, currencies, and derivatives, are traded directly between parties without the need for a centralized exchange. Instead, dealers or market makers facilitate the trading by connecting buyers and sellers.

One well-known example of an OTC market is the foreign exchange market (Forex), where currencies are traded globally. Other examples include the OTC assets market,

where stocks of smaller companies or those not listed on major exchanges are traded, and the OTC bond market, where bonds are traded outside of formal exchanges.

In OTC markets, dealers can be located in different regions or countries, and transactions can occur electronically or over the phone.

The lack of a centralized location allows for greater flexibility in trading and customization of transactions to meet the specific needs of the participants.

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what are two examples of techniques that can be used in a diversity workshop to educate employees about the value of building a more inclusive workforce?

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Two examples of techniques that can be used in a diversity workshop to educate employees about the value of building a more inclusive workforce are interactive discussions and experiential activities.

Interactive discussions are an effective technique in diversity workshops to engage employees in open conversations about diversity, inclusion, and the benefits of building an inclusive workforce. Facilitators can create a safe space for participants to share their perspectives, ask questions, and challenge biases. These discussions can help employees understand different experiences, perspectives, and the positive impact of diversity on creativity, innovation, and problem-solving.

Experiential activities provide hands-on experiences that allow employees to immerse themselves in diverse scenarios. For example, role-playing exercises, case studies, or simulations can be used to simulate real-life situations and challenge employees' assumptions and biases. These activities enable participants to gain empathy, understanding, and insight into the experiences of individuals from different backgrounds. By actively participating in these activities, employees can reflect on their own biases and learn the value of embracing diversity and inclusion in the workplace.

Both interactive discussions and experiential activities provide engaging and practical approaches to educate employees about the value of building a more inclusive workforce. These techniques foster a deeper understanding of diversity and inclusion concepts, encourage personal growth, and help create a culture that values and celebrates differences.

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TRUE/FALSE. The salary of an athlete like Peyton Manning is in part a reward for his unique ability-something economists call economic rent.

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The statement is true. The salary of an athlete like Peyton Manning can be considered as a reward for his unique ability, which economists refer to as economic rent. Economic rent is the additional income earned by individuals or firms due to their possession of a unique skill, talent, or resource.

In economics, economic rent refers to the income earned above and beyond what is necessary to keep a resource in its current use. It is essentially the surplus income that individuals or firms receive due to their unique abilities or ownership of scarce resources. In the case of athletes like Peyton Manning, their exceptional skills and talents in sports make them valuable assets to sports teams and organizations. As a result, they are able to command high salaries that reflect their unique ability and the scarcity of individuals who possess similar skills.

The concept of economic rent applies to various industries and professions where individuals or firms possess specialized skills, talents, or resources that are in high demand. These individuals or firms are able to earn higher incomes compared to others in the same field because of their uniqueness and the limited supply of individuals with similar abilities. In the context of professional athletes, their extraordinary athletic abilities and the entertainment value they bring to fans and spectators contribute to their ability to negotiate high salaries, which can be considered as economic rent.

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to refer to a single element of a hash, you use the $ character before the variable name, followed by the key associated with the value in ____.

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To refer to a single element of a hash, the $ character is used before the variable name in programming languages like Perl or Ruby. Following the $ symbol, you specify the key associated with the value enclosed in curly braces { } or square brackets [ ].

Using this syntax, you can access specific values within the hash by providing the corresponding key.

For example, if you have a hash called %hash and want to access the value associated with the key "example Key", you would use $hash{"example Key"}.

This notation allows you to retrieve, modify, or perform operations on individual elements within the hash. It provides a way to extract specific data from the hash structure based on the keys. The $ symbol signifies that you are referencing a scalar variable, and by specifying the key, you can access the desired element and work with its value.

Overall, this approach offers a powerful mechanism to interact with and manipulate data within hashes, enabling you to access and utilize specific elements based on their keys.

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which one of the following payroll taxes is not withheld from an employee's wages because it is not levied on the employee? a. federal income tax b. federal unemployment tax c. fica tax d. state income tax

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The correct answer is b. federal unemployment tax. Federal unemployment tax (FUTA) is not withheld from an employee's wages because it is not levied on the employee.

FUTA is an employer-paid tax that funds unemployment compensation benefits provided to eligible workers who have lost their jobs. It is the responsibility of the employer to pay FUTA taxes based on the wages paid to employees. The tax rate and wage base for FUTA are determined by the federal government and may vary from year to year. Unlike federal income tax, FICA tax, and state income tax, which are withheld from an employee's wages, FUTA is solely the employer's responsibility.

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Crazy Eddie Incorporated manufactures baseball caps and distributes them across the northeastern United States. The firm is incorporated and headquartered in New York and sells to customers in Connecticut, Delaware, Massachusetts, New Jersey, New York, Ohio, and Pennsylvania. It has sales reps only where discussed in the scenarios below.
Determine whether Crazy Eddie has sales tax nexus in each of the following states, assuming these states have adopted Wayfair: (You may select more than one answer. Single click the box with the question mark to produce a check mark for correct answers and double click the box with the question mark to empty the box for wrong answers. Any boxes left with a question mark will be automatically graded as incorrect.)
rev: 12_05_2020_QC_CS-243223
a. Crazy Eddie is incorporated and headquartered in New York. It also has property, employees, salespeople, and intangibles in New York.
check all that apply
Connecticutunanswered
Delaware
Massachusetts
New Jersey
New York
Ohio
Pennsylvania

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Sales tax nexus is applicable to Crazy Eddie in New York, Sales tax nexus is the connection between a business and a state that triggers an obligation to collect and remit sales tax.

Based on the scenario presented, Crazy Eddie Incorporated manufactures and distributes baseball caps in the northeastern United States.

The question is whether the company has sales tax nexus in each of the following states, assuming these states have adopted Wayfair. Sales tax nexus is the connection between a business and a state that triggers an obligation to collect and remit sales tax.

With the Wayfair decision, a state can require businesses without physical presence to collect and remit sales tax if they meet certain economic thresholds.

a. Crazy Eddie is incorporated and headquartered in New York. It also has property, employees, salespeople, and intangibles in New York.

Crazy Eddie has a physical presence in New York, where it is incorporated, headquartered, and has property, employees, salespeople, and intangibles. As a result, the company has sales tax nexus in New York and is required to collect and remit sales tax on all taxable sales made in the state.

Connecticut, Delaware, Massachusetts, New Jersey, Ohio, and Pennsylvania have adopted economic nexus thresholds similar to those established by South Dakota in the Wayfair decision.

Under these thresholds, a business that makes a certain amount of sales or transactions in the state is required to collect and remit sales tax, even if it has no physical presence in the state.

Therefore, Crazy Eddie's sales activities in each of these states need to be analyzed to determine if the company has sales tax nexus in each of them.

If the company meets the economic nexus threshold in a state, it will have sales tax nexus and will be required to collect and remit sales tax.

In conclusion, Crazy Eddie has sales tax nexus in New York and needs to collect and remit sales tax on all taxable sales made in the state.

To determine if the company has sales tax nexus in Connecticut, Delaware, Massachusetts, New Jersey, Ohio, and Pennsylvania, more information is needed about its sales activities in each of these states.

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Paulis Kennel uses tenant-days as its measure of activity; an animal housed in the kennel for one day is counted as one tenant-day. During February, the kennel budgeted for 4,200 tenant-days, but its actual level of activity was 4,180 tenant-days. The kennel has provided the following data concerning the formulas used in its budgeting and its actual results for February: Data used in budgeting: Fixed element per month Variable element per tenant-day Revenue $ 0 $ 30. 70 Wages and salaries $ 3,200 $ 6. 70 Food and supplies 600 11. 50 Facility expenses 8,200 3. 70 Administrative expenses 8,000 0. 10 Total expenses $ 20,000 $ 22. 00 Actual results for February: Revenue $ 107,980 Wages and salaries $ 23,520 Food and supplies $ 36,792 Facility expenses $ 19,270 Administrative expenses $ 9,144 The overall revenue and spending variance (i. E. , the variance for net operating income in the revenue and spending variance column on the flexible budget performance report) for February would be closest to:

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The revenue and spending variance (i.e., the variance for net operating income in the revenue and spending variance column on the flexible budget performance report) for February would be closest to $1,550.

The revenue and spending variance for February would be closest to $1,550. The flexible budget performance report provides management with feedback concerning the differences between the actual and budgeted levels of revenues and costs. The flexible budget performance report summarizes the static budget variances at various levels of activity. The static budget variance is the difference between the actual results and the corresponding budgeted amounts. This is further subdivided into revenue and spending variances.The revenue and spending variance for February are given below:Revenue variance = Actual revenue - Budgeted revenue= $107,980 - ($30.70 × 4,180)= $107,980 - $128,266 = -$20,286Spending variance = Actual expenses - Budgeted expenses= ($23,520 + $36,792 + $19,270 + $9,144) - ($22 × 4,180)= $88,726 - $92,360= -$3,634Revenue and spending variance column on the flexible budget performance report:Category Variance Revenue $-20,286 Spending $-3,634Net Operating Income $-23,920Revenue and spending variance for February = $-20,286 + (-$3,634) = -$23,920Variance is denoted in a negative sign and the absolute value of $23,920 is $23,920.

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true or false. every country in the world must follow the international accounting standards. a. true b. false

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Option a. True is Correct. International accounting standards (IAS) are a set of accounting rules and guidelines developed by the International Accounting Standards Board (IASB) that are intended to be used by companies worldwide.

The IASB is an independent, non-profit organization based in London that was established in 1973 to develop a single set of high-quality accounting standards for use around the world. IAS are designed to provide investors, creditors, and other stakeholders with consistent and comparable financial information about companies. They are based on the principle of accrual accounting, which means that financial statements reflect economic activities as they occur, rather than when cash is exchanged.

While not all countries require companies to follow IAS, many do. In fact, many countries have adopted IAS as their national accounting standards. This is because IAS provide a high level of transparency and consistency in financial reporting, which helps to promote investor confidence and economic growth.

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. why would the managers of the beef barn and the fish bowl be upset about the cost allocations in requirement 2? explain why the allocation method in requirement 3 is fairer and more motivating.

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In Requirement 2, the cost of the maintenance department is allocated to the Beef Barn and Fish Bowl based solely on the square footage of each facility.

This method may not be fair to either facility since it does not consider the actual usage of the maintenance department by each facility.

For example, the Beef Barn may require more maintenance support due to the heavy use of equipment and frequent cleaning required in a livestock facility, whereas the Fish Bowl may require less maintenance support due to its more passive nature. However, under the allocation method in Requirement 2, the Fish Bowl would still be allocated a higher share of maintenance costs if it has a larger square footage. This may result in the managers of the Beef Barn feeling that they are being unfairly burdened with a higher share of maintenance costs than they should be, while the managers of the Fish Bowl may feel that they are being overcharged for maintenance.

In Requirement 3, the maintenance department costs are allocated based on the actual usage of the department by each facility. This method is fairer since it reflects the actual level of support each facility receives from the maintenance department. The Beef Barn and Fish Bowl managers will likely feel that this allocation method is more motivating since it incentivizes them to use the maintenance department efficiently and to minimize their maintenance requests, as they are only charged for the actual usage of the department.

Overall, the allocation method in Requirement 3 is fairer and more motivating since it considers the actual usage of the maintenance department by each facility, rather than allocating costs based solely on square footage. This results in a more accurate and equitable allocation of costs, which can help to foster better relationships between the maintenance department and the Beef Barn and Fish Bowl managers.

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what is an advantage of using the lac regulatory region to control the expression of exogenous proteins in bacterial cells?

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One advantage of using the lac regulatory region to control the expression of exogenous proteins in bacterial cells is that it allows for tight regulation and inducible expression of the desired protein.

The lac regulatory region consists of the lac promoter, operator, and the LacI repressor protein. The LacI repressor binds to the operator, inhibiting the transcription of the target gene in the absence of an inducer, such as isopropyl β-D-1-thiogalactopyranoside (IPTG).

When IPTG is added to the bacterial culture, it binds to the LacI repressor, causing a conformational change that releases it from the operator. This enables RNA polymerase to bind to the promoter and initiate transcription of the target gene, leading to the production of the exogenous protein. This inducible system helps avoid any potential negative effects on bacterial growth and fitness that could be caused by the continuous expression of the foreign protein.

Additionally, the lac regulatory region is well-characterized, making it easy to use and manipulate for various experimental purposes. Its widespread use in molecular biology research makes it a reliable and efficient choice for controlled expression of exogenous proteins in bacterial cells.

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A strategy used to add new businesses that produce unrelated products or are involved in unrelated markets and activities is called a _____ strategy.
A. concentration
B. vertical integration
C. concentric diversification
D. conglomerate diversification
E. differentiation

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The strategy used to add new businesses that produce unrelated products or are involved in unrelated markets and activities is called "conglomerate diversification."

Conglomerate diversification (option D) is a strategic approach in which a company expands its operations by acquiring or establishing businesses that are unrelated to its existing products, markets, or activities. This strategy allows a company to enter new industries or markets that are distinct from its core business. Unlike concentric diversification (option C), which involves adding businesses related to the company's existing operations, conglomerate diversification focuses on diversifying into unrelated industries.

Concentration (option A) refers to a strategy where a company focuses on its core business and seeks growth within its existing market or industry. Vertical integration (option B) involves acquiring or merging with businesses along the supply chain to gain control over inputs or distribution channels. Differentiation (option E) is a strategy that emphasizes unique product offerings or brand positioning to differentiate from competitors.

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Evaluate whether a business should made decisions solely on the basis of the profit made or weather it should also consider other factors.​

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While profit is important, it should not be the only factor that businesses consider when making decisions. A holistic approach that takes into account the impact on the environment, employees, and wider society is essential for sustainable success.

While profit is certainly a crucial factor for any business, it should not be the sole consideration when making decisions. There are other important factors that should be taken into account to ensure that the business is sustainable in the long run.
One such factor is the impact on the environment. Companies have a responsibility to reduce their carbon footprint and to minimize the negative impact of their operations on the environment. Failing to do so could result in a damaged reputation and loss of customers who are increasingly concerned about the environment.
Another important consideration is the well-being of employees. A business that values its employees and creates a positive working environment will be more productive and have lower turnover rates. It is also important for businesses to be socially responsible and to give back to the community through charitable donations and other initiatives.
Furthermore, businesses must also consider their impact on the economy. Decisions that negatively affect other businesses or the wider community could have negative consequences in the long term.
In conclusion, while profit is important, it should not be the only factor that businesses consider when making decisions. A holistic approach that takes into account the impact on the environment, employees, and wider society is essential for sustainable success.

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A business should not make decisions solely based on profit but should also consider other factors. While profit is a crucial aspect for the sustainability and growth of a business, focusing exclusively on profit can lead to negative consequences in the long run. Here are some reasons why businesses should consider other factors:

1. Ethical and Social Responsibility: Businesses have a responsibility to act ethically and consider the impact of their decisions on society and the environment. Ignoring ethical considerations can lead to reputational damage, legal issues, and loss of public trust.

2. Customer Satisfaction: Satisfying customer needs and providing value should be a priority for any business. A sole focus on profit may lead to compromising product quality, customer service, or neglecting customer feedback, which can ultimately harm the business's reputation and customer loyalty.

3. Employee Well-being: Employees are vital to the success of a business. Considering factors such as fair wages, a safe working environment, and opportunities for growth and development can enhance employee morale, productivity, and retention. Ignoring employee well-being may lead to high turnover rates, decreased productivity, and a negative work culture.

4. Long-Term Sustainability: Making decisions with a long-term perspective is essential for the sustainability of a business. Focusing solely on short-term profit may result in neglecting investments in innovation, research and development, employee training, and market expansion, which can limit the business's ability to adapt to changing market dynamics and stay competitive.

5. Stakeholder Relationships: Businesses operate within a network of stakeholders, including suppliers, investors, communities, and regulators. Considering the interests and maintaining positive relationships with these stakeholders is vital for long-term success. Ignoring stakeholder concerns may result in legal and regulatory challenges, supply chain disruptions, and damage to the business's overall reputation.

In conclusion, while profit is important for the viability of a business, decisions should also consider ethical, social, and long-term factors. By adopting a holistic approach, businesses can build a sustainable and responsible foundation that benefits all stakeholders and ensures long-term success.

consequential damages are those that necessarily flow from the breach. a) true. b) false.

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The statement "consequential damages are those that necessarily flow from the breach" is true.

Consequential damages, also known as special or indirect damages, are damages that result from the breach of a contract but are not a direct result of the breach. They are damages that are incurred by the non-breaching party as a consequence of the breach, such as lost profits or reputation damage.

For example, if a company contracts with a supplier for a certain product to be delivered by a certain date, but the supplier fails to deliver on time, the company may incur consequential damages such as lost profits from not being able to fulfill customer orders or having to pay additional fees to expedite the delivery of the product from another supplier.

However, it is important to note that the determination of what constitutes consequential damages may vary depending on the specific contract and applicable laws. Therefore, it is important to carefully review the contract terms and consult with legal professionals to understand the potential damages that may arise from a breach of contract.

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a) True.Consequential damages, also known as special damages, are those that arise as a direct consequence of a breach of contract.

These damages are not a direct result of the breach itself but rather arise from the consequences of the breach. Consequential damages can include losses that occur as a result of a delayed delivery or any other consequence that results from the breach.In contrast, direct damages are those that flow directly from the breach itself, such as the cost of replacing defective goods or the cost of repairs to damaged property.It is important to note that consequential damages must have been foreseeable at the time of the contract formation to be recoverable. If the damages were not reasonably foreseeable, they may not be recoverable.

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maria wants to prove that buying a car is better than leasing one. she should use the _____ strategy.

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Maria should use the comparative analysis strategy to prove that buying a car is better than leasing one.

The comparative analysis strategy involves comparing the advantages and disadvantages of different options to demonstrate the superiority of one over the other. In this case, Maria would need to analyze the benefits and drawbacks of buying a car and leasing a car, considering factors such as cost, ownership, flexibility, maintenance, and long-term value.

By conducting a thorough comparative analysis, Maria can gather relevant information and present a compelling case for why buying a car is a better option compared to leasing. This strategy allows her to present objective data and arguments to support her position, enabling her to make a convincing argument that buying a car offers more advantages and benefits in terms of long-term financial savings, ownership benefits, customization options, and potential resale value.

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The value of an automobile purchased in 2014 can be approximated by the function V(t)=30.e^(-0.163t), where t is the time, in years, from the date of purchase, and V(t) is the value, in thousands of dollars.
(a) Evaluate and interpret V(4), including units.
(b) Find an expression for V ′(t), including units.
(c) Evaluate and interpret V ′(4), including units.
(d) Use V(t), V ′(t), and any other considerations you think are relevant to write a paragraph in support of or in opposition to the following statement: "From a monetary point of view, it is best to keep this vehicle as long as possible.

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a) The value of the automobile 4 years after its purchase is approximately $16,220.

b) The units of V′(t) are thousands of dollars per year.

c) The rate of change of the value of the automobile after 4 years is approximately -$1,840 per year.

d) The decision will depend on factors such as the owner's budget, driving habits, and personal preferences.

(a) To evaluate V(4), we substitute t = 4 into the given expression:

V(4) = 30e^(-0.163*4) ≈ 16.22

So, the value of the automobile 4 years after its purchase is approximately $16,220.

(b) To find an expression for V′(t), we differentiate the given function with respect to t:

V′(t) = -4.89e^(-0.163t)

Therefore, the units of V′(t) are thousands of dollars per year.

(c) To evaluate V′(4), we substitute t = 4 into the expression we found in part (b):

V′(4) = -4.89e^(-0.163*4) ≈ -1.84

So, the rate of change of the value of the automobile after 4 years is approximately -$1,840 per year.

(d) From the expression for V′(t), we see that the value of the automobile is decreasing over time. This means that the longer the owner keeps the vehicle, the less it will be worth. However, the rate of decrease slows down over time because of the exponential term in the function.

This suggests that the owner might want to keep the vehicle for a few years before selling it, to minimize the loss of value. On the other hand, as the automobile ages, its maintenance costs may increase, which could offset the savings from keeping the vehicle.

Additionally, the owner may want to consider the opportunity cost of keeping an older vehicle instead of trading it in for a newer, more reliable one with better fuel efficiency. Therefore, it is not clear whether it is best to keep the vehicle as long as possible from a monetary point of view. Ultimately, the decision will depend on factors such as the owner's budget, driving habits, and personal preferences.

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Sometimes we see that a company announces that they have strong earnings which will lead to good dividend payments. Still, right after the announcement is made, the stock price falls.
Question 5 options:
This is inconsistent with our model for stock prices and the efficient market hypothesis.
This must be because investors don't believe the news.
This is consistent with our model for stock prices and the efficient market hypothesis if the earnings were strong, but not as strong as investors had expected.
It is alway true that strong earnings lead to lower stock price, because investors believe that earnings now will be lower in the future.

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When a company announces strong earnings but the stock price falls afterward, "this is consistent with our model for stock prices and the efficient market hypothesis if the earnings were strong, but not as strong as investors had expected".

In the stock market, the stock price of a company is influenced by a variety of factors, including the company's earnings and the expectations of investors. When a company announces strong earnings, it is generally expected that the stock price will increase as investors perceive the company to be performing well.

According to the efficient market hypothesis, stock prices reflect all available information and respond efficiently to new information. If the market had already factored in higher earnings expectations and the announced earnings did not meet those expectations, the stock price may adjust accordingly and decrease.

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due process is a means by which a person can appeal a decision in order to get an explanation of why they were fired, demoted, or transferred, and an opportunity to argue against that action. T/F ?

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True. Due process is a mechanism through which individuals have the right to appeal a decision and seek an explanation regarding actions such as being fired, demoted, or transferred. It provides an opportunity for individuals to challenge and present their arguments against the decision that has been made.

Due process refers to the legal principle that ensures fair treatment and protection of individuals' rights. It encompasses the right to be heard and to have an opportunity to contest actions that significantly affect a person's employment, such as termination, demotion, or transfer.

Under the concept of due process, individuals have the right to receive an explanation for the decision taken against them. This explanation may include the reasons behind the action and any evidence or factors considered in making that decision. It allows individuals to understand the basis for their treatment and enables them to present their arguments or provide evidence to challenge the decision.

Additionally, due process provides individuals with the opportunity to appeal the decision through an established procedure or system. This appeal process allows them to present their case, argue against the action taken, and seek a reconsideration or reversal of the decision.

Overall, due process serves as a safeguard to protect individuals from arbitrary or unfair actions in the workplace and ensures that they have a fair opportunity to question and challenge decisions that impact their employment.

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a company issues $1,000,000 6%, 10-year bonds on january 1, 2014 when the market rate is 5%. interest is paid annually on december 31. what are the proceeds from issuing the bonds (the debit to cash at issuance)?

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The value of PV will give us the proceeds from issuing the bonds, which is the debit to cash at issuance.

The proceeds from issuing the bonds, or the debit to cash at issuance, can be calculated as follows:

First, we need to determine the bond's issue price using the present value formula:

PV = PMT * [(1 - (1 + r)^(-n)) / r] + FV / (1 + r)^n

Where:

PV = Present value (issue price)

PMT = Annual interest payment

r = Market interest rate

n = Number of periods (years)

FV = Face value of the bond

In this case:

PMT = $1,000,000 * 6% = $60,000

r = 5% or 0.05

n = 10

FV = $1,000,000

Plugging these values into the formula, we can calculate the issue price:

PV = $60,000 * [(1 - (1 + 0.05)^(-10)) / 0.05] + $1,000,000 / (1 + 0.05)^10

Calculating the value of PV will give us the proceeds from issuing the bonds, which is the debit to cash at issuance.

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Market demand is qd = 100 - p. market supply is qs = 4p. a competitive firm has mc = 2q. how many firms are currently in the industry?

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The number of firms cannot be fractional, we round down to the nearest whole number. Therefore, there are currently 0 firms in the industry.

The market demand is given by the equation qd = 100 - p, where qd represents the quantity demanded and p represents the price. The market supply is given by qs = 4p, where qs represents the quantity supplied. To find the equilibrium price and quantity, we set qd equal to qs:

100 - p = 4p

By solving this equation, we find that the equilibrium price is p = 20 and the equilibrium quantity is

q = 100 - p = 100 - 20 = 80.

Next, we can calculate the quantity produced by each firm using the given marginal cost (mc) of 2q.

Substituting q = 80 into the marginal cost equation, we find that

mc = 2(80) = 160.

Finally, we divide the equilibrium quantity (80) by the quantity produced by each firm (160) to determine the number of firms in the industry:

Number of firms = Equilibrium quantity / Quantity produced by each firm

= 80 / 160

= 0.5

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Schedule of Activity Costs Quality Control Activities Activity Cost Process audits $50,600 Training of machine operators 29,400 Processing returned products 20,400 Scrap processing (disposal) 24,700 Rework 6,100 Preventative maintenance 30,900 Product design 42,400 Warranty work 6,800 Finished goods inspection 22,900 From the provided schedule of activity costs, determine the total activity cost. Oa. $101,800 Ob. $234,200 Oc. $283,382 O d. $151,000

Answers

The correct answer is b. The total activity cost can be determined by summing up the individual costs of each quality control activity from the provided schedule. Here are the costs:

Process audits: $50,600
Training of machine operators: $29,400
Processing returned products: $20,400
Scrap processing (disposal): $24,700
Rework: $6,100
Preventative maintenance: $30,900
Product design: $42,400
Warranty work: $6,800
Finished goods inspection: $22,900

To find the total activity cost, simply add up these costs:

$50,600 + $29,400 + $20,400 + $24,700 + $6,100 + $30,900 + $42,400 + $6,800 + $22,900 = $234,200

Therefore, the total activity cost is $234,200 (option b).

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if the demand function for math anxiety pills is p = d(x) = −4x 33 and the corresponding supply function is p = s(x) = 3x 5, determine the producer surplus at the market equilibrium point.

Answers

The answer  is , the producer surplus at the market equilibrium point is $102.

How to find?

To determine the producer surplus at the market equilibrium point, we need to first find the equilibrium point. This is where demand and supply are equal, so we set the two functions equal to each other and solve for x:

-4x + 33 = 3x + 5

7x = 28

x = 4

So at x = 4, we have an equilibrium price of p = d(x) = -4(4) + 33 = $17, and a quantity of Q = 3(4) + 5 = 17.

To find producer surplus, we need to find the area between the supply curve and the equilibrium price line, from 0 to the equilibrium quantity of 17. This is a triangle with base 17 and height 12 (the difference between the equilibrium price and the supply curve at x=17):

producer surplus = (1/2) x base x height

= (1/2) x 17 x 12

= $102

Therefore, the producer surplus at the market equilibrium point is $102.

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because a monopolistically competitive firm has some market power, in the long-run the price of its product exceeds its

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In the long-run, the price of a product in a monopolistically competitive firm tends to exceed its marginal cost.

In monopolistic competition, firms have some degree of market power, meaning they have the ability to influence the price of their products. Unlike in perfect competition, where firms are price takers, monopolistically competitive firms can differentiate their products through branding, quality, or other factors to attract customers.

In the long-run, firms in monopolistic competition tend to operate at a point where price exceeds marginal cost. This is because firms aim to maximize their profits by setting prices above the marginal cost of production. However, the degree to which price exceeds marginal cost depends on the level of market power the firm possesses.

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what are the portfolio weights for a portfolio that has 125 shares of stock a that sell for $82 per share and 100 shares of stock b that sell for $74 per share?

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The portfolio weights for a portfolio that has 125 shares of Stock A that sell for $82 per share and 100 shares of Stock B that sell for $74 per share are 57.98% and 41.75%, respectively.

The portfolio weight is the proportion of the total value of the portfolio that is invested in each security. To calculate the portfolio weight of each stock, we need to first calculate the total value of the portfolio.

The total value of the portfolio can be calculated as follows:

Total Value of the Portfolio = (Number of Shares of Stock A * Price per Share of Stock A) + (Number of Shares of Stock B * Price per Share of Stock B)

Substituting the given values, we get:

Total Value of the Portfolio = (125 * $82) + (100 * $74)

Total Value of the Portfolio = $10,300 + $7,400

Total Value of the Portfolio = $17,700

To calculate the portfolio weight of each stock, we need to divide the value of each stock by the total value of the portfolio.

Portfolio Weight of Stock A = (Number of Shares of Stock A * Price per Share of Stock A) / Total Value of the Portfolio

Substituting the given values, we get:

Portfolio Weight of Stock A = (125 * $82) / $17,700

Portfolio Weight of Stock A = $10,250 / $17,700

Portfolio Weight of Stock A = 0.5798 or 57.98%

Similarly, we can calculate the portfolio weight of Stock B as follows:

Portfolio Weight of Stock B = (Number of Shares of Stock B * Price per Share of Stock B) / Total Value of the Portfolio

Substituting the given values, we get:

Portfolio Weight of Stock B = (100 * $74) / $17,700

Portfolio Weight of Stock B = $7,400 / $17,700

Portfolio Weight of Stock B = 0.4175 or 41.75%

Therefore, the portfolio weights for a portfolio that has 125 shares of Stock A that sell for $82 per share and 100 shares of Stock B that sell for $74 per share are 57.98% and 41.75%, respectively.

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1. Assume that the cross-price elasticity of demand for good X with respect to the price of good Y is 0.2. Based on this, we can say that goods X and Y are ___?
Complementary goods
Independent goods
Both inferior goods
Substitute goods

Answers

Based on this, we can say that goods X and Y are substitute goods. The correct option is Substitute goods.

Substitute goods are those that can be used as replacements for one another, and a change in the price of one good will result in a corresponding change in the demand for the other good. In this case, if the price of good Y increases, consumers may switch to purchasing good X instead, leading to an increase in the demand for good X.

Similarly, if the price of good Y decreases, consumers may switch back to purchasing good Y, leading to a decrease in the demand for good X. Therefore, the positive cross-price elasticity of demand indicates that the goods are substitutes. In contrast, complementary goods are those that are consumed together, such as bread and butter, and a change in the price of one good will affect the demand for both goods in the same direction. The correct option is Substitute goods.

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a(n) phase in a two phase lock is when a transaction releases all locks and cannot obtain a new lock. question 30 options: a) locking b) shrinking c) unlocking d) growing

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In a two-phase lock, a phase-in lock is when a transaction releases all locks and cannot obtain a new lock. This means that the transaction has completed its first phase and is now in the second phase, during which it releases all locks that were previously acquired. Option a is Correct.

This is in contrast to a phase-out lock, which allows a transaction to release all locks and acquire new locks.  

Therefore, the correct answer to the question is option (a) locking. A phase-in lock is a type of locking mechanism that allows a transaction to release locks that were previously acquired, while still preventing it from acquiring new locks.

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Digby has a ROA of 0.13 (ROA = Net income/Total Assets). That means:
Select: 1
Every dollar of Digby's assets result in earnings of $0.13.
Digby uses $0.87 of each dollar earned to purchase assets.
Every dollar of Digby's assets result in earnings of $0.87.
Digby uses $0.13 of each dollar earned to purchase assets.

Answers

Digby has a ROA (Return on Assets) of 0.13, which means that for every dollar of total assets that Digby possesses, they earn a profit of $0.13. In other words, it is a ratio that measures how efficiently a company is using its assets to generate profits. This ratio is an important metric for businesses as it shows how well they are using their resources to create value for their stakeholders.

It is important to note that the ROA can vary depending on the industry, size, and stage of the company. For instance, a manufacturing company might have a lower ROA compared to a software company, due to the high costs associated with purchasing and maintaining physical assets.

In conclusion, Digby's ROA of 0.13 indicates that they are effectively using their assets to generate profits, and it is essential for them to continue monitoring this metric to ensure they are creating value for their investors.

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if a bond is quoted in the newspaper at 72.0, what is its price? (round your answer to 2 decimal places.) multiple choice $1,000.00 $72.00 $720.00 $1,072.00 $7.20

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if a bond is quoted in the newspaper at 72.0, $720.00 is its price. The correct answer is option c.

The bond quote of 72.0 is typically a percentage of the bond's par value, which is usually $1,000. To calculate the price of the bond, we need to multiply the par value by the quote percentage and divide by 100.

In this case, the bond quote is 72.0, so the price of the bond would be:

Price = Par Value x Quote Percentage / 100

Price = $1,000 x 72.0 / 100

Price = $720.00

Therefore, the correct answer is option (c) $720.00. This means that the bond is selling for 72% of its face value, or par value, which is typical for bonds that are trading at a discount. The bond's price may fluctuate based on various factors such as changes in interest rates, credit risk, and market conditions.

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Complete Question

if a bond is quoted in the newspaper at 72.0, what is its price? (round your answer to 2 decimal places.) multiple choice

a. $1,000.00

b. $72.00

c. $720.00

d. $1,072.00

a company can issue coupon bonds at par with a coupon rate of 8%, and its tax rate is 20%. this company also has a cost of preferred stock of 10% and a cost of equity of 15%. what is the after-tax cost of debt?

Answers

According to the question the after-tax cost of debt for this company is 6.4%.

To calculate the after-tax cost of debt, we need to consider the tax savings resulting from the tax-deductibility of interest payments.

Given that the company has a tax rate of 20% and issues coupon bonds at par with a coupon rate of 8%, the after-tax cost of debt can be calculated as follows:

After-Tax Cost of Debt = Pre-Tax Cost of Debt * (1 - Tax Rate)

The pre-tax cost of debt is the coupon rate, which is 8% in this case. Let's calculate the after-tax cost of debt:

After-Tax Cost of Debt = 8% * (1 - 20%)

After-Tax Cost of Debt = 8% * 0.8

After-Tax Cost of Debt = 6.4%

Therefore, the after-tax cost of debt for this company is 6.4%.

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which investment might have more hidden costs than others?

Answers

Answer:

mutual fundstion:

explanation:                                                                                                        have a nice day and can you mark me Brainliest

when common stock has a designated par value, and common stock is issued at an amount above par, which entry is recorded?

Answers

When common stock has a designated par value and is issued at an amount above par, the entry recorded is as follows Debit: Cash (for the amount received from issuing the stock).

Credit: Common Stock (at par value)Credit: Additional Paid-in Capital (the excess amount received above the par value)

The Common Stock account is credited at its par value to reflect the nominal or legal capital of the company. The excess amount received above the par value is credited to Additional Paid-in Capital, also known as Paid-in Surplus or Capital in Excess of Par.

This accounting entry ensures that the company's financial statements reflect the appropriate allocation of the funds received between the par value of the common stock and the additional amount contributed by shareholders.

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under the _____ test, if the agent's motivation for committing an intentional tort is to promote the _____ business, the principal is liable for any injury caused by the tort.

Answers

Under the "scope of employment" test, if the agent's motivation for committing an intentional tort is to promote the principal's business, the principal is liable for any injury caused by the tort.

It is important to note that intentional torts are actions that are deliberately taken by an individual with the intention of causing harm or injury to another person. In cases where an agent commits an intentional tort while acting within the scope of their employment, the principal can be held liable for any resulting harm or injury. This is because the actions of the agent are seen as being within the control of the principal, and the principal has a duty to ensure that their agents act in a way that does not cause harm to others. The agent's motivation for committing the intentional tort can also be a factor in determining liability.

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