The statement is referring to the characteristics of business-to-business (B2B) marketing. B2B marketers typically deal with fewer and larger buyers than consumer marketers.
This is because B2B marketing involves selling products or services to other businesses rather than to individual consumers. B2B transactions tend to involve larger volumes of goods or services, and the buyers are often organizations or government agencies that require more complex and sophisticated solutions than individual consumers. As a result, B2B marketers must focus on building relationships with a smaller number of key buyers and decision-makers, rather than trying to appeal to a broad consumer audience.
In contrast, consumer marketers typically deal with a larger number of individual buyers, and their marketing efforts are often focused on creating brand awareness and appealing to the emotional or personal needs of consumers. They may use mass media advertising, social media, and other tactics to reach a broad audience of potential buyers.
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has equity with a market value of $20 million and debt with a market value of $10 million. treasury notes that mature in 10 years yield 8 percent per year, and the expected return on the market portfolio over the next year is 18 percent. the beta of usi inc’s equity is 0.90. the firm pays 20% in taxes. cost of debt is 10% annually.
USI Inc. has equity worth $20 million and debt worth $10 million. The treasury notes yield 8% per year and the expected return on the market portfolio is 18%. The equity beta is 0.90 and the tax rate is 20%.
The weighted average cost of capital (WACC) for USI Inc., we need to consider the cost of equity and the cost of debt. The cost of equity is determined using the capital asset pricing model (CAPM), which incorporates the beta, expected return on the market portfolio, and the risk-free rate. Given a beta of 0.90, and an expected market return of 18%, the cost of equity can be calculated as follows:
Cost of equity = Risk-free rate + Beta * (Expected market return - Risk-free rate)
= 8% + 0.90 * (18% - 8%)
= 8% + 0.90 * 10%
= 8% + 9%
= 17%
Next, we calculate the cost of debt. Since the market value of the debt is $10 million and the cost of debt is 10% annually, the annual interest expense is $1 million. Considering the tax rate of 20%, the after-tax cost of debt can be determined as follows:
After-tax cost of debt = Cost of debt * (1 - Tax rate)
= 10% * (1 - 20%)
= 10% * 80%
= 8%
Finally, we can calculate the WACC by weighting the cost of equity and the after-tax cost of debt by their respective market values:
WACC = (Equity / (Equity + Debt)) * Cost of equity + (Debt / (Equity + Debt)) * After-tax cost of debt
= ($20 million / ($20 million + $10 million)) * 17% + ($10 million / ($20 million + $10 million)) * 8%
= (2/3) * 17% + (1/3) * 8%
= 11.33% + 2.67%
= 14%
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give the two main Problem statements often have three elements:
Answer:
what subject is this for
Explanation:
1. I started this business after dropping out of college and my buddy and I wanted to start this company. We had very little money or business knowledge but lots of drive. We now have the largest company in the world. Who am I?
The correct answer to this open question the following.
Although these situations could be related to some "tech" geniuses, we can say that we are talking about Steve Jobs.
It is true that Steve Jobs started his business after dropping out of college, and his buddy and Jobs wanted to start this company. They had very little money or business knowledge but lots of drive.
And Steve Jobs created the world empire called Apple. Indeed, he revolutionized the world of communications with his creations.
Steve Jobs dropped out of Reed College.
Another famous and billionaire in the tech industry that dropped college was Bill Gates, the founder of Microsoft. He left Harvard University in 1975 to form his own company.
Chips of Joy, a leading chocolate chip cookie manufacturer, has decided to use the same marketing strategy and marketing mix worldwide for all of its brands. The only change that will be made is language translation on the various packaging. Chips of Joy is using a(n) ________ marketing strategy.
If the only change that will be made is language translation on the various packaging. Chips of Joy is using a(n) standardized global marketing strategy.
What is marketing strategy?Marketing strategy can be defined as the strategy applied when creating awareness about a product so as to generate more sales.
Standardized global marketing strategy enables companies to market or promote their product or brand internationally or across the globe.
Therefore Chips of Joy is using a(n) standardized global marketing strategy.
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What are some factors that would influence supply? Explain
Answer:
6 Factors Affecting the Supply of a Commodity (Individual Supply) |
Price of the given Commodity: ADVERTISEMENTS: ...
Prices of Other Goods: ...
Prices of Factors of Production (inputs): ...
State of Technology: ...
Government Policy (Taxation Policy): ...
Goals / Objectives of the firm:
Explanation:
Please mark as brain list
calculate the net foreign investment in this nation last year. $ 104 million.
If the net foreign investment in this nation last year was $104 million, it means that the country received a net inflow of $104 million in investment from foreign countries.
The difference between the amount of investment inflows from foreign nations and the amount of investment outflows to foreign countries is the amount of net foreign investment in a country.
If the country's net foreign investment is positive, it means that it received more investment inflows than it sent out, whereas a negative net foreign investment suggests that it sent out more investment than it received.
This could be due to a variety of causes, including the country's appealing business potential, a stable political and economic environment, or favourable government policies for foreign investment.
It is crucial to remember that net foreign investment is only one component of a country's overall balance of payments, which also includes exports, imports, and remittances.
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The following question may be like this:
What would be net inflow if net foreign investment in this nation last year is $ 104 million.
To calculate the net foreign investment in a nation, we need to consider the difference between the amount of foreign investment that the nation receives from other countries and the amount of investment that the nation makes in other countries. In this case, we know that the net foreign investment in the nation last year was $104 million.
This means that the amount of foreign investment that the nation received was $104 million more than the amount of investment it made in other countries.
Net foreign investment can have a significant impact on a nation's economy and can reflect the level of foreign interest in the country's industries and markets. A positive net foreign investment can be a sign of a healthy economy, as it indicates that more capital is flowing into the country than leaving it.
However, a negative net foreign investment can be a cause for concern, as it suggests that the country is losing investment to other nations, which can lead to economic instability and a weakened currency.
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A popular soft drink is sold in 2-liter (2000-milliliter) bottles. Because of variation in the filling process, bottles have a mean of and a standard deviation of 16 milliliters, normally distributed. Complete parts a and b below.
Answer:
The answer is below.
Explanation:
The z score is a used in statistics to determine by how many standard deviations the raw score is above or below the mean. The z score is given by:
\(z=\frac{x-\mu}{\sigma}\\\\where\ x=raw\ score, \mu=mean,\sigma=standard\ deviation\\\\For\ a\ sample\ size(n):\\\\z=\frac{x-\mu}{\sigma/\sqrt{n} }\)
a) Given that n = 100, μ = 2000, σ = 18
For x < 1995 millimeters:
\(z=\frac{x-\mu}{\sigma/\sqrt{n} }=\frac{1995-2000}{18/\sqrt{100} } =-2.78\)
From the normal distribution table, P(x < 1995) = P(z < -2.78) = 0.0027
b) P(z > z*) = 10% = 0.1
P(z < z*) = 1 - 0.1 = 0.9
z* = 1.28
\(z*=\frac{x-\mu}{\sigma/\sqrt{n} }\\\\1.28=\frac{x-2000}{18/\sqrt{100} }\\\\x-2000 =-2.304\\\\x=2002.3\ ml\\\\\)
From the normal distribution table, P(z < z
If a company uses the indirect method to prepare the statement of cash flows, how can depreciation be presented on the statement of cash flows?
When using the indirect method to prepare the statement of cash flows, the presentation of depreciation needs to be addressed.
In the indirect method of preparing the statement of cash flows, depreciation is not directly presented as a separate line item. Instead, it is accounted for as an adjustment to net income to arrive at the operating cash flow. Depreciation is a non-cash expense that represents the gradual reduction in the value of an asset over its useful life. While it does not involve an actual cash outflow, it impacts the company's profitability and taxes. Therefore, to reconcile net income with operating cash flow, the indirect method adds back depreciation to net income in the operating activities section of the statement of cash flows. This adjustment aims to reflect the fact that depreciation is a non-cash expense and does not affect the company's cash position.
By presenting depreciation as an adjustment in the operating activities section, the indirect method provides insights into the company's cash generation from its core operations. It allows stakeholders to understand the cash flow implications of non-cash expenses, such as depreciation, and evaluate the company's ability to generate cash from its day-to-day business activities. This approach offers a clearer picture of how operating profits are converted into operating cash flows and helps in assessing the company's cash flow sustainability and financial performance.
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When using the indirect method to prepare the statement of cash flows, depreciation is not presented as a separate line item on the statement. Instead, it is included as an adjustment to net income to arrive at net cash provided by operating activities.
Here's how it works:
1. Start with net income, which is the company's profit or loss for the period.
2. Add back depreciation expense to net income. Depreciation is a non-cash expense that reduces the value of long-term assets over time.
3. This adjustment increases net income because it is a non-cash expense that does not affect the actual cash flow of the business.
4. Finally, subtract any other non-cash expenses and add back any non-cash income to arrive at net cash provided by operating activities.
By presenting depreciation as an adjustment to net income, the indirect method provides a clearer picture of the cash generated from the company's operating activities.
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QUESTION ONE [30] Fun Runners (Pty) Ltd incurred the following transactions during April 2022: 1. Mr. Nike increased his capital contribution with R50 000. 2. Stock to the value of R34 000 was purchased using the perpetual inventory system. 3. Sell goods of R14 500 to Mrs. Fast on credit. The cost of the goods amounts to R10 000. 4. Settle the telephone account, received last week, of R1 400. 5. New takkies of R2 300 were sold to the primary school at cost. The school does not have a credit facility with Fun Runners (Pty) Ltd. 6. Mr. Nike purchased a new delivery vehicle of R150 000 through bank financing with Pacing Bank. Required: Record the transactions incurred by Fun Runners (Pty) Ltd, outlining the basic accounting equation and the general ledger accounts affected.
On 1 April 2022, the owner of Fun Runners (Pty) Ltd, Mr. Nike, increased his capital contribution with R50,000. This transaction is recorded as follows:
(1)
Debit Cash Account R50,000
Credit Capital Account R50,000
On 3 April 2022, stock worth R34,000 was purchased using the perpetual inventory system. This transaction is recorded as follows:
(2)
Debit Stock Account R34,000
Credit Cash Account R34,000
On 4 April 2022, goods worth R14,500 were sold to Mrs. Fast on credit. The cost of the goods was R10,000. This transaction is recorded as follows:
(3)
Debit Accounts Receivable Account R14,500
Credit Sales Revenue Account R14,500
Debit Cost of Goods Sold Account R10,000
Credit Inventory Account R10,000
On 5 April 2022, the telephone account, which was received last week, was settled for R1,400. This transaction is recorded as follows:
(4)
Debit Telephone Expense Account R1,400
Credit Accounts Payable Account R1,400
Debit Accounts Payable Account R1,400
Credit Cash Account R1,400
On 10 April 2022, new takkies were sold to a primary school for R2,300 at cost. The school does not have a credit facility with Fun Runners (Pty) Ltd. This transaction is recorded as follows:
(5)
Debit Cash Account R2,300
Credit Inventory Account R2,300
On 15 April 2022, Mr. Nike purchased a new delivery vehicle worth R150,000 through bank financing with Pacing Bank. This transaction is recorded as follows:
(6)
Debit Delivery Vehicles Account R150,000
Credit Bank Account R150,000
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Functions of marketing
Answer:
There are seven widely accepted marketing functions that contribute to the overall work of marketers. The seven functions include: Promotion. Selling. Product management. Pricing. Marketing information management. Financing. Distribution. Why are the seven marketing functions important? The seven marketing functions are important since each of them represents a category of activities that occurs in marketing.
Explanation:
Important Functions of Marketing :
1. Gathering and Analysing Market Information: ...
2. Marketing Planning: ...
3. Product Designing and Development: ...
4. Standardisation and Grading: ...
5. Packaging and Labelling: ...
6. Branding: ...
7. Customer Support Service: ...
8. Pricing of Products:
An economist plays two roles: scientist and policy advisor. As scientists, economists explain the world, and as policy advisors they help improve the world. Because these two roles have different goals, they require different types of language. Economists as scientists make positive claims, whereas economists as policy advisors make normative claims.
In your initial post, begin by briefly introducing yourself, including your program of study and career interests. Then address the following:
Explain the difference between positive and normative analysis.
Provide an example of a normative statement or an example of a positive statement from a recent news story.
For your response posts, select two or more initial posts that contain different current news examples (normative versus positive), and contrast your example with those of your peers. What makes the examples different? How do those differences relate to the different roles that an economist plays as a scientist and policy advisor?
Economists are scientists who explain the world, and they also serve as policy advisers who advance humankind. These two jobs need different kinds of language since their objectives are different. The assertions made by economists as scientists are positive, whereas the statements made by economists in their capacity as policy advisers are normative.
What is the main visions and thoughts of these two professional groups?
Economists take on the role of policymakers when they try to make the world a better place. Positive and normative statements both describe the world as it is and how it should be, respectively. Positive claims can be supported or disproven by facts.Macroeconomists research past patterns in the whole economy and make predictions about future patterns in variables like investment, inflation, economic growth, and variables like unemployment and inflation. Financial economists research the functioning of the financial sector, including the impact of escalating interest rates.To know more about Economy here
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What is The College Scorecard?
O A recruiter website connecting potential employees with job openings
OA social media website to connect with companies for job shadowing
O A virtual job fair where many employers meet with job candidates
OA website outlining the cost of a college or certification program
Please help ASAP
The College Scorecard can be described as A website outlining the cost of a college or certification program.
What is the purpose of a College Scorecard?A college scorecard is an online tool or rather a website that is very useful for determining the the value that a university can give those who go to it, based on the cost of education at that university. The website is run by the United States government which created it during the Obama Administration to make it easier to decide the higher institution that one would like to go to.
The College Scorecard is quite handy because a prospective student can look at it to find out things like the cost of tuition, the graduation rate of people who go to the University, the employment rate of the graduates, and the average amount that students have to borrow to attend school.
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a company has designed a new product and tested the prototype. what is the next step in product development?
Answer:
They have to test it before it can be put out on the market
Suppose that workers in the United States can produce 40 computers or 20 tons of coffee in a particular period. Suppose workers in Brazil can produce 30 computers or 10 tons of coffee in the same period.
a. What is the opportunity cost for computers and for coffee in each country?
b. Which country has a comparative advantage in the production of computers, and which has a comparative advantage in the production of coffee?
c. Choose terms of trade that would make both countries better off.
For US the opportunity cost of coffee is 0.5 and computer is 2, for Brazil, the opportunity cost is 0.3 for coffee and 3 computers
Brazil has comparative advantage in computer, US has in coffee.
The nations would be better off if they exchanged within their opportunity costs.
a. How to solve for the opportunity costThe US must stop producing 20 tons of coffee in order to produce 40 computers. Therefore, the US must stop producing 20–40 tons of coffee in order to build only one computer. Computer opportunity cost in the US = 20/40 = 0.5 tons of coffee
Opportunity cost = 1 / 0.5 = 2 computers
Brazil must stop producing 10 tons of coffee in order to build 30 computers. Therefore, Brazil would have to stop producing 10 or 30 tons of coffee in order to build one computer. In Brazil, the opportunity cost of a computer is 10/30, or one third a ton of coffee.
1/ 0.3 = 3 computer
b. Brazil is believed to have a comparative advantage in the manufacture of computers, but the US has a comparative advantage in the production of coffee, due to the lower opportunity cost of making computers there than in the US.
c. The terms of trade has to be between their opportunity costs. a ton of coffee has to be exchanged with 2.5 of computers.
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assume that $1 is equal to ¥98 and also equal to c$1.21. based on this, you could say that c$1 is equal to: c$1(¥98/c$1.21) = ¥80.99. the exchange rate of c$1 = ¥80.99 is referred to as the:
The exchange rate of c$1 = ¥80.99 is referred to as the cross rate, which is calculated by dividing the exchange rate between two currencies by the exchange rate of a third currency.
In this scenario, the exchange rate between the US dollar (USD) and the Japanese yen (JPY) is given as $1 = ¥98, and the exchange rate between the Canadian dollar (CAD) and the US dollar is given as c$1 = $1.21. To determine the exchange rate between the Canadian dollar and the Japanese yen, we can calculate the cross rate.
The cross rate is calculated by dividing the exchange rate between two currencies by the exchange rate of a third currency. In this case, we divide the exchange rate of ¥98 by c$1.21:
¥98 / c$1.21 = ¥80.99
Therefore, the exchange rate of c$1 = ¥80.99 is the cross rate between the Canadian dollar and the Japanese yen.
Cross rates are useful when direct exchange rates between two currencies are not readily available. By using a common third currency, cross rates allow individuals or businesses to estimate the exchange rate between two currencies indirectly.
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An oligopoly firm is similar to a monopolistically competitive firm in that.
Answer:
An oligopoly firm is similar to a monopolistically competitive firm in that both firms face the prisoner's dilemma. both firms are in industries characterized by an interdependent firm. both firms have market power. both operate in a market in which there are significant entry barriers.
Which term describes a person's income before any deductions?
Question 6 options:
gross
net
interest
total
Answer:
Gross.
Explanation:
A Gross is the total amount of money you've made before any deductions.
A net income is gross profit with all expenses removed.
A interest is usually a percentage paid for the usage of the money.
A total is all compensation received for services throughout the year.
A disadvantage of using credit is impulse buying
True or False
Answer:
True
Explanation:
Impulse buying is making unplanned or non-budgeted purchases. In impulse purchases, buying decision is based on attraction rather than the need to have the item.
Making payment via a credit card is incurring a debt. One does not need to have money on their account for the payment to go through. It means one can spend money that they do not have on hand or at the bank. A credit card permits one to make payments for goods they had not planned to buy. It can encourage the buying of items that are not required.
If the government launches the new round of consumption voucher
scheme by giving out $10,000 to all eligible Hong Kong citizens,
predict how GDP per capita in 2022, inflation rate in 2022 and
unemployment rate in 2022 and the long run economic growth
changes. Briefly explain your answer.
If the government launches a new round of consumption voucher scheme by giving out $10,000 to all eligible Hong Kong citizens, it can lead to several effects on the economy in the short and long term.
Firstly, in the short term, there can be an increase in consumer spending, leading to a boost in GDP. The increase in consumer spending will create demand for goods and services, which can stimulate production and increase output. This, in turn, can lead to higher economic growth.
However, this effect may not last long as the one-off injection of funds may not create sustained demand. Secondly, the increase in consumer spending may lead to an increase in prices, and this can result in inflation. The increase in demand for goods and services can lead to a rise in prices as businesses seek to profit from the increased demand.
The increase in inflation can lead to higher costs for businesses and consumers, reducing purchasing power, and leading to lower economic growth. Thirdly, the government's move may result in a reduction in unemployment rates in the short term.
As businesses experience an increase in demand, they may hire more workers to meet the increased demand for goods and services. However, the long-term effect on unemployment rates may not be significant if the demand is not sustainable.
Finally, the long-run economic growth may not change significantly due to the one-off nature of the consumption voucher scheme. For sustained economic growth, the government needs to implement policies that promote investment, innovation, and productivity.
In conclusion, while the consumption voucher scheme may provide short-term economic benefits, it may not result in sustained economic growth. The government needs to implement long-term economic policies that encourage investment and innovation to promote economic growth.
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When free markets ration goods with prices, it is both efficient and impersonal.
a. true
b. false
The statement is true. When free markets ration goods with prices, it is both efficient and impersonal.
In a free market system, goods are allocated based on the forces of supply and demand, with prices serving as the mechanism for rationing.
This system is considered efficient because it allows resources to be allocated based on consumer preferences and the willingness to pay.
Prices adjust according to changes in supply and demand, ensuring that goods are allocated to those who value them the most.
Moreover, the process of rationing goods through prices is impersonal. It does not rely on subjective judgments or personal biases but rather on objective market forces.
Buyers and sellers interact in the marketplace based on their own self-interest, without direct personal interactions or negotiations.
This impersonal nature of market transactions helps to ensure fairness and equal opportunities for all participants.
Therefore, when free markets rely on prices to ration goods, it promotes efficiency by matching supply with demand and provides an impersonal mechanism for allocation, benefiting both buyers and sellers.
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3
Roscoe is helping his cousin redesign her family room. They work together to select a white leather couch, two white brocade chairs, and a large
white rug. They pick out some white throw pillows with different textures--some are knitted, and others are linen. Which BEST describes the
color scheme that Roscoe is creating?
A.
monochromatic
B.
complementary
OC.
primary
D.
analogous
Kk
Answer: Monochromatic
Explanation: Mono = 1, Chromatic = color: Everything is white.
the majority of problems Best Buy was facing have been brought about by _________________force.
Answer:
external force
Explanation:
The majority of the problems best buy is facing have been brought about by external forces. This includes competition from rivals such as Amazon and Walmart. This makes the company loose it's shares in the market and the company's stock loosing it's value.
Shondra is thinking of making payments for her laptop by setting up automatic withdrawals with the store. What must
Shondra consider before she decides to pay with automatic withdrawals?
Shondra should be sure she will remember to call the store each month to make the payment.
Shondra should check her credit history to be sure she has a good credit score.
Shondra should be sure she will have enough in her account to be able to make the monthly payments.
Shondra should consult with a credit counseling service.
Answer:
Shondra should be sure she will have enough in her account to be able to make the monthly payments.
Explanation:
She need to consider and makes sure she have enough in her account to be able to make the monthly payments.
What is an automatic withdrawals?This is a financial procedure that is used when someone grant their bank the permission to make a payment to a creditor their your bank account.
Hence, there is need to makes sure she have enough in her account to be able to make the monthly payments to the creditor.
Therefore, the Option C is correct.
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Think about the sample you just read. Sort the details depending on whether they are suitable for a younger or older
audience.
defining "litter"
energy-saving goods to buy
statistics about pollution
start an environment club
scientific experts' views
fuel-efficient car facts
how to recycle
Details for a Younger Audience
interviews with kids
Details for an Older Audience
Facts about fuel-efficient vehicles, scientific theories, and suggestions for energy-saving items For a younger audience, creating an environment club, interviewing kids, recycling, and statistics are appropriate.
Why is it vital to consider the target audience's age?You can reach more people in a certain age group by using age demographics. A certain age group may share cultural experiences, values, or attitudes that might help you relate to your target audience. These concepts can be used to demonstrate how your good or service matches their requirements and way of life.
What are the four most important methods for determining a target audience?When launching a business, a product, or a service from your current firm, identifying your core target audience is essential.
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Answer:Details for younger- interviewing with kids, how to recycle, start an environment club, defining “litter”
Older Audience-scientific experts’ views, energy-saving goods to buy,statistics about pollution, fuel-efficient car facts.
Explanation: I took it on edge 2023
A+buyer+has+a+15-year,+$250,000+loan+with+a+5.5%+interest+rate.+how+much+of+the+first+monthly+payment+is+interest?
The amount of the first monthly payment that is interest is $1,145.83. So the correct option is A. The calculation is shown in the attached image below.
The interest refers to the cost of borrowing money or the return on investment. It is the amount charged or earned for the use of money over a certain period of time. When a person borrow money, such as through a loan or a credit card, the lender typically charges interest as a percentage of the principal amount. This interest is essentially the cost a person pay for the privilege of using the borrowed funds.
Thus, the ideal selection is option A.
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The complete question might be:
A buyer has a 15-year, $250,000 loan with a 5.5% interest rate. How much of the first
monthly payment is interest?
A $1,145.83
B $13,750.28
C $1,388.89
D $916.67
The ongoing globalization of business activities has given rise to the need for consistent and comparable financial statements for companies in different countries. The FASB and IASB recognize a need for:_______.
Answer:
internationally comparable financial information.
Explanation:
The FASB refers to the financial accounting standards board while on the other hand, the IASB refers to the International accounting standard board. These two boards are related to accounting.
The FASB focused on the U.S accounting standards while the IASB focused on global standards
Here in the given situation, the comparison is to be done in different countries so the above should be considered as an answer
Whoever answers first gets 50 points
Answer:
i like ya cut g
Explanation:
If you invest $2000 in a certificate deposit that matures after ten years and pays 6 percent interest, how much interest will you earn if the interest is left to accumulate
If you invest $2000 in a certificate deposit that matures after ten years and pays 6 percent interest, the interest earned would be approximately $1581.
If you invest $2000 in a certificate deposit that matures after ten years and pays 6 percent interest, the interest earned can be calculated using the formula for compound interest. Compound interest takes into account the accumulation of interest over time.
The formula for compound interest is: A = P(1 + r/n)^(nt) - P
Where:
A = the future value of the investment (including principal and interest)
P = the principal amount (initial investment)
r = the annual interest rate (expressed as a decimal)
n = the number of times the interest is compounded per year
t = the number of years
In this case, the principal (P) is $2000, the interest rate (r) is 6% or 0.06, the compounding is annual (n = 1), and the time period (t) is 10 years.
Plugging these values into the formula, we have:
A = 2000(1 + 0.06/1)\(^{(1*10)}\) - 2000
A = 2000(1.06)¹⁰ - 2000
A = 2000(1.790847) - 2000
A = 3581 - 2000
A = 1581
Therefore, the interest earned would be approximately $1581. This is the difference between the future value of the investment ($3581) and the principal amount ($2000).
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Life Tool Manufacturing has a system in place to recall products that prove to be dangerous at some time after manufacture and distribution. This represents which element of the due care theory
According to Due care theory, Manufacturers should have a system in place to recall products that prove to be dangerous after they have been manufactured and distributed as part of the company's responsibility.
What is the "Due Care" theory?Due Care" theory outlines what companies and organizations owe their customers. Products and services should be produced and delivered in accordance with the elements of the due care theory.
This element of due care theory is reflected here that is *it is the company's responsibility.
Thus, According to Due care theory, Manufacturers should have a system in place to recall products that prove to be dangerous after they have been manufactured and distributed as part of the company's responsibility.
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What is short professional bio examples
A short professional bio example include relevant personal and professional details, such as the individual's current job title, employer, and industry. It should also include any awards, certifications, or accomplishments that the individual has achieved.
A professional bio is a summary of an individual's qualifications and accomplishments. It is typically used to promote an individual's professional brand, which can include their work history, credentials, and expertise. A professional bio can be used in a variety of contexts, such as on a website or a social media profile.
In addition, it can include a brief summary of the individual's education, professional background, and any other pertinent information. The professional bio should be written in a clear, concise manner that accurately reflects the individual's qualifications and expertise.
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