A monthly bank statement is a report that details all transactions made in a bank account during a specific period of time. End-of-period balance in the account is one of the items that would show up on a monthly bank statement.
A bank statement provides information regarding a bank account that an account holder uses to manage their money. Banks generally issue monthly statements to their customers. The statement includes a list of all transactions made during the month, as well as the beginning and ending balances.The statement also shows the beginning balance of the account, the deposits made during the month, the withdrawals made during the month, and the end-of-period balance in the account. Checks, automated teller machine (ATM) transactions, and electronic transfers are all examples of transactions that may be found on a bank statement. The statement also shows any fees charged for account management, such as overdraft fees, monthly service fees, or ATM fees.Bank statements serve as an important financial record that individuals can use to manage their money. Account holders can compare their receipts and their bank statements to ensure that all transactions are accounted for and to check for any discrepancies.https://brainly.com/question/15525383
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Hi! A monthly bank statement provides an overview of your account activity, including deposits, withdrawals, fees, and interest earned. In relation to the end-of-period balance, the items that would show up on a monthly bank statement are:
1. Beginning balance: The account balance at the start of the month.
2. Deposits: Money added to the account, such as salary, transfers, or cash deposits.
3. Withdrawals: Money taken out of the account, like ATM withdrawals, check payments, and electronic transfers.
4. Fees: Any charges imposed by the bank, including account maintenance, overdraft, or ATM fees.
5. Interest earned: If the account earns interest, this amount will be included.
6. End-of-period balance: The final balance in the account after accounting for all transactions during the month.
These items provide a comprehensive summary of your account's financial activity, allowing you to track your spending, ensure accuracy, and maintain a healthy financial status.
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system of rewarding managers by linking bonuses to income computed under absorption costing may result in: multiple choice question. insufficient inventory excess inventory buildup sales negatively affected no effect on inventory
Absorption costing's drawback is that it might distort the perception of a company's profitability. It is also not useful for analysis intended to increase operational and financial efficiency.
With the aid of the absorption costing mechanism, how do managers control revenue?The ability for managers to manipulate income through overproduction is also provided by absorption costs. In comparison to not producing the extra goods, increasing output at year's end results in a higher net income.
If output exceeds sales, how will changes in inventory affect full absorption and variable costing?When production outpaces sales, the revenue computed using full absorption costing will be higher than the income calculated using variable costing. Production being in excess of sales points to a rise in inventories.
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what is the beta for a 2 stock portfolio with a 0.8 weight in walmart stock and the remainder in amazon?
The beta for a 2-stock portfolio with a 0.8 weight in Walmart stock and the remainder in Amazon is 0.64.
In finance, beta is the measure of the systematic risk of a security or a portfolio compared to the market as a whole. It is calculated as the ratio of the covariance between the security or portfolio and the market to the variance of the market. The beta for a 2-stock portfolio with a 0.8 weight in Walmart stock and the remainder in Amazon is given as follows:
The portfolio beta can be calculated as the weighted average of the individual beta values of the two stocks. The formula for portfolio beta is as follows:
Portfolio Beta = (Weight of Stock 1 × Beta of Stock 1) + (Weight of Stock 2 × Beta of Stock 2)
In this case, the portfolio has two stocks, Walmart and Amazon, with a 0.8 weight in Walmart stock and the remainder in Amazon.
Therefore, Weight of Walmart stock = 0.8 and Weight of Amazon stock = (1 - 0.8) = 0.2
Let's assume that the beta values of Walmart and Amazon are 0.5 and 1.2, respectively.
Substituting these values in the portfolio beta formula, we get:
Portfolio Beta = (0.8 × 0.5) + (0.2 × 1.2) = 0.4 + 0.24 = 0.64 Therefore, the beta for the 2-stock portfolio is 0.64.
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after the petty cash fund is established, the petty cash account is not debited or credited again unless the amount of the fund is changed. true flase
False; after the petty cash fund is created, it is not necessary to debit or credit the account again unless the fund's size changes.
What occurs after a petty cash fund is created?The corporation has internal control over the money in the fund by designating one person as the fund's manager. to start a small cash fund. The petty cash custodian typically deposits the cash in a small, lockable box once the check is cashed. The fund is now prepared for distribution as required.
Is small change a debit or credit?The petty cash account is a current asset in financial accounting. As a result, the money is recorded as a typical debit balance.
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connor owns a pottery and craft store. pottery division sales are $120,000 with variable costs of $90,000, and craft division sales are $80,000 with variable costs of $52,000. if connor were to calculate the weighted-average contribution margin ratio for the store, what would he find? select answer from the options below the weighted-average contribution margin ratio for the store is 15%. the weighted-average contribution margin ratio for the store is 29%. the weighted-average contribution margin ratio for the store is 19%. the weighted-average contribution margin ratio for the store is 60%.
Conner would discover that the store's weighted-average contribution margin ratio is 15% if he calculated the weighted-average contribution margin ratio for the business.
What is the median contribution margin ratio in the formula?Subtracting the total variable costs from the total sales revenue yields the contribution margin. Contribution Margin is calculated as Total Sales Revenue - Total Variable Expenses.
How is weighted average contribution per unit determined?A weighted average of the share price paid for the shares can be calculated by the investor. To do this, multiply the total number of shares purchased by each price, add those numbers, and then divide the total by the number of shares purchased.
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While all economies are mixed, the economy of North Korea leans toward the ___ model
The economy of North Korea leans toward the command model. In this model, the government sets production goals and directs the allocation of resources.
While all economies are mixed, the economy of North Korea leans toward the command model. The term "command economy" refers to an economic system in which the government determines production, distribution, and pricing decisions. The command model, also known as the planned economy or socialist economy, is an economic model that emphasizes state ownership and control over the resources available in a society. In this type of economy, the state has complete control over production, pricing, and distribution, and the government makes all of the economic decisions.
In North Korea, the government controls most of the economic activities, and the market economy is still in its early stages of development. The government controls all of the country's resources and factories, and the central planning committee makes all of the country's economic decisions. The state regulates all imports and exports, and the government sets the prices for goods and services.
In a command economy, the government has the power to direct the economy in any direction it chooses. This may mean that the government decides to focus on military spending or to develop the country's infrastructure. It may also mean that the government chooses to invest in particular industries, such as agriculture or technology.
In conclusion, the economy of North Korea leans towards the command model, in which the government has complete control over production, pricing, and distribution, and the central planning committee makes all of the economic decisions.
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the second step of the four-step innovation process involves the transformation of an idea into a new product or process and is known as
The second step of the four-step innovation process involves the transformation of an idea into a new product or process and is known as Development.
What is Innovation?
Innovation is a process that involves turning ideas into new and improved products or processes that will benefit society. It may also refer to a company's ability to create novel ideas, strategies, and approaches that increase profitability and competitiveness in the market.
.What is Transformation?
Transformation refers to a process of change in which something is completely transformed from its initial state. It is the act of making an alteration in the structure, nature, or form of something.
How are innovation and transformation connected?
Innovation and transformation are related because innovation is a driving force for transformation. The goal of innovation is to create new products or processes that are superior to those already available in the market. As a result, innovation promotes transformation by encouraging companies to modify and improve their existing products and processes to remain competitive in the market
.What is the four-step innovation process?
The four-step innovation process is as follows: Identification Development Implementation Commercialization Innovation starts with the identification of a need or opportunity for change. The development phase involves the transformation of an idea into a new product or process. The implementation stage involves testing and refining the new product or process. Finally, the commercialization stage involves bringing the new product or process to market.
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a business formula, information compilation, or device that provides an advantage over competitors that do not have it is known as a
A business formula, information compilation, or device that provides an advantage over competitors that do not have it is known as a "competitive advantage".
Competitive advantage is a term that describes an advantage that a company possesses over its competitors that enables it to generate greater revenue, market share, and profit margins than its rivals. Companies develop a competitive advantage by exploiting specific organizational strengths or skills, technology, patents, or intellectual property, all of which give it an edge over its competitors.
A competitive advantage is a specific feature or characteristic of a company that distinguishes it from its competitors and helps it to gain market share. To summarize, competitive advantage is an attribute that allows a firm to outperform its competitors. Competitive advantages come in a variety of shapes and sizes, and they can be the result of factors such as cost, quality, marketing, technological innovation, or any other aspect of the business.
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an adverse oil-price shock reduces labor demand. what happens to current employment and the real wage rate?
An adverse oil-price shock will reduce labour demand, resulting in fewer job opportunities and a decrease in the real wage rate.
This is because as the cost of oil increases, businesses must pay more for their energy and other inputs, so they are less likely to hire additional employees. This reduces current employment and reduces the overall amount of money businesses have to pay employees, causing the real wage rate to decrease.
It is a widely accepted fact that an adverse oil-price shock reduces labour demand. It refers to the case where the price of crude oil, petroleum products, or natural gas increases suddenly and significantly. The adverse oil-price shock is a type of supply shock that affects the economy as a whole.
Employment is adversely impacted by an oil price shock. The firms' total costs increase as a result of the increase in oil prices, making them hesitant to expand their production or employ more workers.
The real wage rate will also decrease as a result of the adverse oil-price shock. As previously said, production costs rise as a result of the increase in oil prices.
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the term used to describe the organization of training into phases or periods that allows for optimal rest and recovery is .
The term used to describe the organization of training into phases or periods that allows for optimal rest and recovery is "periodization".
Periodization is the systematic planning of athletic or physical training. It involves the on-going manipulation of training variables such as intensity, volume, and duration in order to maximize performance gains over time. The term used to describe the organization of training into phases or periods that allows for optimal rest and recovery is Periodization.
Periodization refers to the organization of training into distinct phases or periods to ensure optimal rest and recovery. This method is used by athletes to plan and structure their training program by incorporating training cycles and recovery periods. Periodization is primarily based on the concept of physiological adaptation, where the body adapts to the demands of the exercise. By following a periodized training program, athletes can prevent overtraining and injuries while improving their performance.
A periodized training program typically consists of three main phases: the preparatory phase, the competition phase, and the transition phase. During the preparatory phase, athletes focus on building a foundation of strength, power, and endurance. In the competition phase, the focus shifts to refining skills and peaking for competition. Finally, the transition phase allows for recovery and rest before starting the next cycle of training.
Thus, periodization is a crucial concept in sports training that helps athletes organize their training into phases or periods to ensure optimal rest and recovery.
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Which of the following best describes the purpose of the expenditure multiplier?a. quantify the change in the size of the money supply that occurs as a result of a change in the reserve ratiob. quantify the change in the interest rate that will occur as a result of an increase deficit spendingc. quantify the change in aggregate demand (AD) that will occur as a result of a change in government spending, but not other components of AD
The purpose of the expenditure multiplier is (C) to quantify the change in aggregate demand (AD) that will occur as a result of a change in government spending, but not other components of AD.
The expenditure multiplier measures the impact of changes in government spending on the overall level of economic activity, as represented by changes in aggregate demand. Specifically, the multiplier captures the extent to which an initial change in government spending leads to additional changes in consumer spending, business investment, and net exports through a series of rounds of spending and income. This concept is an important tool in macroeconomics for analyzing the effects of fiscal policy on the economy.
Option a is incorrect because the expenditure multiplier is not concerned with changes in the money supply resulting from changes in the reserve ratio. Option b is incorrect because the expenditure multiplier is not focused on changes in interest rates resulting from an increase in deficit spending, but rather on changes in overall economic activity resulting from changes in government spending.
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the labor-force participation rate measures the percentage of the group of answer choices total adult population that is in the labor force. total adult population that is employed. labor force that is employed.
The labor-force participation rate measures the percentage of the total adult population that is in the labor force. This rate is important because it indicates the economic health of a nation, as well as the level of unemployment in the economy.
To calculate the labour-force participation rate, one must take the number of people currently employed and divide it by the total adult population. This number is then multiplied by 100 to represent the percentage of the population that is in the labor force.
The labor-force participation rate is a measure of the number of people employed relative to the total adult population, rather than just the total number of people employed. This is important because it reflects the number of people who are actively seeking employment, rather than just the number of people who are already employed.
This rate also reflects how many people in the labor force are actively engaged in the economy, as well as how many people may be discouraged or inactive due to a lack of job opportunities. This is important to consider when trying to measure the economic health of a nation.
Overall, the labor-force participation rate is a measure of the percentage of the total adult population that is in the labor force. This number can give insight into the economic health of a nation and the level of unemployment in the economy.
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tom earned $120 in interest on his savings account last year. tom has decided to leave the $120 in his account so that he can earn interest on the $120 this year. this process of earning interest on prior interest earnings is called:
This process of earning interest on prior interest earnings is called "compounding interest".
Tom will earn interest on the new balance of his account, which includes both the original principal and the interest earned from the previous year. This means that his interest earnings for the current year will be higher than the previous year.Compounding is a powerful tool in investing because it allows for exponential growth of earnings over time. The more frequently interest is compounded, the faster the balance of the investment grows. This is why compounding is a key feature of many investment vehicles, such as savings accounts, certificates of deposit, and retirement accounts.
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which of the following generic competitive strategies would a producer of commodity such as steel most likely pursue? broad low cost exclusive dealing broad differentiation horizontal integration focus differentiation
A producer of a commodity such as steel would most likely pursue the broad low-cost generic competitive strategy.
Generic competitive strategies refer to the strategic decisions of an organization in order to achieve a competitive advantage over its rivals. Organizations utilize generic competitive strategies to build a sustainable competitive advantage by exploiting the weaknesses of their competitors in order to boost their market position.
The four most commonly utilized generic competitive strategies are: Cost leadership Broad differentiation Narrow focus Cost leadership and differentiation. The choice of generic strategy is determined by the industry's structural characteristics such as the industry life cycle stage, the level of product differentiation, the intensity of competition, the firm's resources, and the firm's position within the industry. The most appropriate strategy for a commodity producer like steel would be cost leadership.
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what is the difference between income and expenses?
Income and expenses are two fundamental concepts in personal finance. Income refers to the money earned or received during a particular period, usually on a monthly or annual basis.
This includes wages, salaries, tips, bonuses, interest, dividends, and any other source of revenue. Income can be categorized as gross or net, depending on whether or not taxes and other deductions have been taken out.
Expenses, on the other hand, refer to the money spent during a particular period. Expenses can be fixed or variable, and they can be essential or discretionary. Fixed expenses are bills that must be paid regularly, such as rent, mortgage, car payments, and insurance premiums. Variable expenses are discretionary, meaning they can be adjusted and are not essential. Examples include groceries, entertainment, clothing, and travel.
The difference between income and expenses is known as net income or net cash flow. If income is greater than expenses, there is a surplus, which can be saved or invested. If expenses are greater than income, there is a deficit, which may lead to debt or financial hardship. Understanding and managing the difference between income and expenses is essential for maintaining financial stability and achieving long-term financial goals.
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when trading otc securities the difference between an all-or-nothing order versus a fill or kill order is
An All-or-Nothing Order is an order to buy or sell a security that must be filled in its entirety or not at all.
A Fill or Kill Order is an order to buy or sell a security that must be executed immediately and completely or not at all. The main difference between the two orders is that the All-or-Nothing Order allows for partial fills, while the Fill or Kill Order does not.
The All-or-Nothing Order is used to ensure that the investor is buying or selling the desired quantity of the security at the desired price.
The Fill or Kill Order, however, is used to ensure that the entire order is filled quickly and at the desired price. If the order cannot be filled immediately and at the desired price, it will be cancelled. This can be beneficial in fast-moving markets where prices can fluctuate rapidly.
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what is the most likely course of action that an auditor would take after determining that performing substantive tests on inventory will take less time than performing tests of controls?
The most likely course of action that an auditor would take after determining that performing substantive tests on inventory will take less time than performing tests of controls is to perform the substantive tests on inventory.
Substantive tests on inventory involve examining evidence directly related to inventory balances, such as evidence of physical counts, documents related to acquisitions, and records related to shipments and sales.
These tests are necessary in order to determine the accuracy of the financial statement assertions related to inventory.
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includes all the activities in selling goods or services directly to final consumers for personal, non-business use. includes all the activities in selling goods or services directly to final consumers for personal, non-business use. promoting wholesaling retailing procurement
Selling goods or services directly to final consumers for personal, non-business use. The process of retailing involves promoting, wholesaling, and procurement.
Step-by-step explanation:
1. Procurement: This is the process of acquiring goods or services from suppliers for resale to consumers. Retailers need to find reliable suppliers and negotiate the best prices for the products they want to sell.
2. Wholesaling: This is the sale of goods in large quantities to retailers or other businesses, who then sell the products to the final consumers. Retailers buy products from wholesalers at a lower price, allowing them to make a profit when they sell the items to consumers.
3. Promoting: This involves advertising, marketing, and other activities to create awareness and generate interest in the products or services being sold. Retailers need to promote their products effectively to attract consumers and drive sales.
4. Retailing: This is the final step in the process, where the goods or services are sold directly to the final consumers for personal, non-business use. Retailers ensure that consumers have a pleasant shopping experience and offer customer support to address any concerns or issues.
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THIS IS FOR ECONOMICS (please help)
One of the main concepts on successful investing is diversification of your portfolio. What does this mean? How would you select stocks?
Answer:
RESATE THIS QUESTION PLS
Explanation:
why are state lobbyists required to register and submit reports about their membership and finances?
State lobbyists are required to register and submit reports about their membership and finances because they are expected to disclose important information regarding their financial transactions and membership interests.
This information is used by the government to maintain transparency and to prevent corruption. A state lobbyist is a person who represents a group or organization in front of government officials. They may work for any type of organization, including corporations, nonprofit groups, labor unions, or religious organizations. Their main goal is to influence policymakers in favor of their clients by presenting them with compelling arguments, facts, and data.
They work to influence legislative and regulatory outcomes that are beneficial to their clients. State Lobbyists do the following:Help organizations understand how the government operates.Lobbying lawmakers to vote in favor of legislation that benefits their clients.Convince lawmakers to introduce new legislation that benefits their clients by creating the idea for the bill and working with legislators to draft it.
Educate government officials, staff, and other stakeholders on policy issues relevant to their clients.Gathering intelligence on potential issues, regulations, and bills which may impact their clients. Thus, lobbyists play a vital role in the functioning of government by providing lawmakers with valuable insights and information on various topics. However, they must also disclose important information about their financial transactions and membership interests to maintain transparency and prevent corruption.
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When conducting a survey about choosing vacation destinations, Hillary will need to __________ in order to get reluctant respondents to provide honest information.
When conducting a survey about choosing vacation destinations, Hillary will need to build rapport in order to get reluctant respondents to provide honest information.
What is rapport?Rapport is a feeling of mutual trust and understanding that develops when people communicate with each other effectively. In the case of surveys, building rapport with respondents entails establishing a relationship of trust and mutual respect, which is essential for obtaining truthful responses.
When conducting a survey, it is critical to be skilled in building rapport with respondents. The following are some strategies for building rapport when conducting a survey:
Begin by introducing yourself and thanking the respondent for participating in the survey. Ask open-ended questions that encourage respondents to share their experiences and thoughts. Avoid interrupting or cutting off the respondent in the middle of their answers.
Phrase your questions in a way that makes respondents feel comfortable. Avoid using jargon or technical terms that respondents may not understand. Actively listen to the respondents' responses. Respond with empathy when a respondent discusses sensitive topics.
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which of the following items are included in cash? (select all that apply.) multiple select question. notes receivable from customers currency and coins balance in checking accounts checks from customers accounts receivable from customers
Cash refers to physical currency, coins, and other negotiable instruments that are readily available and accessible for use in transactions.
This can include paper money, coins, checks, money orders, and bank account balances that can be easily accessed and withdrawn as needed. Cash is an important component of an individual or organization's assets, and it is typically used to pay for goods and services, make investments, or fund day-to-day operations. In accounting, cash is classified as a current asset and is recorded on a company's balance sheet as a component of its total assets.
The items that are included in cash are:
Currency and coinsBalance in checking accountsChecks from customersNotes receivable from customers and accounts receivable from customers are not considered cash, as they are not actual cash on hand or in a bank account. They are considered accounts receivable, which is a type of asset.
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product differentiation, low costs, and the development of new products or services are key to a company's success at which stage of the product life cycle?
Product differentiation, low costs, and the development of new products or services are key to a company's success at the Growth stage of the product life cycle.
Product differentiation, low costs, and the development of new products or services are key to a company's success at the Growth stage of the Product Life Cycle. During the Growth stage, a company must work to differentiate itself from competitors by creating unique products and services and by focusing on keeping costs low in order to maximize profits. It is also important to continue to innovate and develop new products and services in order to maintain market share and to stay competitive.
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green company sponsors a defined benefit pension plan. the pension formula is calculated based on the following formula: 1.5% x number of service years x final salary. the assumed discount rate is 5%. if an employee is expected to retire in 10 years with a final annual salary of $200,000, has earned 20 years of service, and is expected to receive an annual pension for 20 years, the current pbo rounded to the full dollar will be
As per the given pension, the current PBO rounded to the full dollar for the employee in question is $13,884.
In this case, the employee has 20 years of service and a final salary of $200,000, so the pension payment amount would be:
Pension payment amount = 1.5% x 20 x $200,000 = $60,000
To calculate the PV factor, we need to use the discount rate and the number of years until the pension payments begin. In this case, the employee is expected to retire in 10 years and receive pension payments for 20 years, so the total number of years is 30.
PV factor = 1 / (1 + discount rate)ⁿ
PV factor = 1 / (1 + 0.05)³⁰ = 0.2314
Finally, we can calculate the PBO by multiplying the pension payment amount by the PV factor:
PBO = $60,000 x 0.2314 = $13,884
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to determine whether an economy is operating at its golden rule level of capital stock, a policymaker must determine the steady-state saving rate that produces the:
To determine whether an economy is operating at its golden rule level of capital stock, a policymaker must determine the steady-state saving rate that produces the highest steady-state consumption per capita.
A golden rule level is an optimal level of the capital stock that maximizes consumption in the steady state. A policymaker must determine the steady-state saving rate that produces the highest steady-state consumption per capita to determine whether an economy is operating at its golden rule level of capital stock.
The steady-state capital stock that maximizes consumption in the steady state is known as the Golden Rule capital stock level. When determining the Golden Rule capital stock level, economists presume that firms maximize profits and that households maximize utility. According to the neoclassical growth model, at the Golden Rule level of capital stock, the marginal product of capital equals the economy's steady-state rate of depreciation (which is a function of the steady-state population growth rate).
As a result, if the economy invests a certain amount in physical capital, the extra production created by the new capital would be entirely counterbalanced by the depreciation of existing capital. As a result, the economy would be unable to increase consumption by investing more. As a result, the steady-state capital stock would be the Golden Rule capital stock level.
The formula for calculating the steady-state capital stock is as follows:K* = [(s / δ + n + g) / A]1 / (1 − α)where,K* is the steady-state capital stock, s is the economy's steady-state saving rate,δ is the rate of depreciation, andn + g is the rate of population growth plus technological progress (i.e., the growth rate of the labor-augmenting technical change parameter),α is the elasticity of output with respect to capital, andA is a productivity parameter that represents technology.
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it is march 8 and a farmer delivers to your elevator a total of 5,000 bushels of corn and prices them across the scales at your current board price. what futures order do you enter to keep your price risk balanced?
To keep your price risk balanced, you should enter an equal and opposite futures order for the 5,000 bushels of corn.
That is, if you delivered 5,000 bushels of corn on March 8 and priced them across the scales at your current board price, you should enter a sell order for 5,000 bushels of corn on the futures market to offset the risk of your delivery.
Bushels of corn is a standard unit of measure used in the agricultural industry to quantify the volume of corn produced or traded. It is defined as a unit of volume equal to 8 gallons or approximately 35.24 liters. In the United States, it is the most commonly used unit of measure for corn and is used in pricing, buying, and selling of corn in the commodity markets.
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many major media organizations attempt to self-regulate and ensure ethical practice by hiring individuals to deal with readers, viewers, or listeners who have a complaint to report. such individuals are known as:
Many major media organizations attempt to self-regulate and ensure ethical practice by hiring individuals to deal with readers, viewers, or listeners who have a complaint to report. Such individuals are known as ombudsmen.
An ombudsman is an impartial individual who is responsible for investigating and settling complaints made by consumers or the public in general. They investigate complaints that have not been resolved by the organization and work with the parties involved to achieve a resolution. Ombudsmen are usually appointed by institutions or organizations such as newspapers, broadcasters, and government departments to provide a service to the public. The purpose of hiring an ombudsman is to maintain a high level of accountability and professionalism among media companies.
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what is the current trend in measuring the effectiveness of corporate ethics and compliance programs?
The current trend in measuring the effectiveness of corporate ethics and compliance programs is through the use of data analytics.
Data analytics involves the use of software and other tools to analyze large amounts of data to identify patterns, trends, and other insights that can be used to improve corporate ethics and compliance programs.
This can help identify areas of non-compliance and unethical behavior and can provide insights into the effectiveness of training programs and other initiatives aimed at improving corporate ethics and compliance.
Data analytics can also be used to identify areas where additional resources may be needed to improve the effectiveness of ethics and compliance programs.
It is an important tool for measuring the effectiveness of corporate ethics and compliance programs and is likely to become increasingly important as companies seek to improve their ethical performance in response to increasing stakeholder demands for transparency and accountability.
Therefore, the current trend in measuring the effectiveness of corporate ethics and compliance programs is through the use of data analytics.
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suppose that an economy begins in long -run equilibrium before the price level and real gdp both decline simultaneously, if those changes were caused by only one curve shiftingn, then those changes are best explained as the result of
Long-run equilibrium before the price level and real GDP both decline simultaneously, caused by only one curve shifting, then those changes are best explained as the result of a leftward shift in the aggregate demand curve.
An economy is in long-run equilibrium when its actual output and its potential output are equal. In this scenario, changes in the price level or demand level will have little effect on the economy's output because the economy is already producing at its most efficient level of production.
The long-run aggregate supply curve and the aggregate demand curve both play an essential role in determining an economy's level of output and price level. In this context, changes in any of these curves may cause shifts, causing changes in the output and price level.The short-run aggregate supply curve (SRAS), which is a part of the economy's supply curve, will play an important role in the short run. The economy may have to adjust to new equilibrium levels in the short run as a result of any changes in the long-run supply curve (LRAS) or aggregate demand curve (AD).
The question asks to explain the changes that occur when an economy begins in a long-run equilibrium before the price level and real GDP both decline simultaneously, and those changes were caused by only one curve shifting. In this case, the changes are best explained as the result of a leftward shift in the aggregate demand curve.
Long-run equilibrium before the price level and real GDP both decline simultaneously, caused by only one curve shifting, then those changes are best explained as the result of a leftward shift in the aggregate demand curve.
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is getting ready to purchase shares in a mutual fund. he will have to pay a one-time sales charge to purchase these shares. what type of shares is he buying?
The student is buying load mutual fund shares. When an investor purchases mutual fund shares, they must pay a one-time sales fee known as a load.
The load is typically a portion of the total investment amount and is deducted at the time of purchase.
Mutual funds are a form of investment that pools money from numerous investors to buy securities like stocks, bonds, or other assets. A professional money manager manages the portfolio's investments, allocating the money based on the fund's objectives.
Mutual funds are an excellent way for novice investors to gain exposure to the market while minimizing risk. Mutual funds can be classified into two types: load funds and no-load funds.
Investors who purchase load funds must pay a one-time sales charge or load. A no-load mutual fund, on the other hand, does not charge a sales charge. There are no-load funds that charge a redemption fee if the investor sells the shares too soon.
One-time sales charges are also known as front-end sales fees or sales loads. These fees are charged to new mutual fund investors when they first purchase the fund's shares. The one-time charge varies depending on the mutual fund and is usually a percentage of the total investment.
The percentage typically ranges from 2% to 8% of the total investment amount. The sales charge goes to the financial advisor or salesperson who sold the mutual fund to the investor.
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For each of the descriptions 1-6, match the correct word or phrase from A-H A. Inspection of tangıible assets B. Confirmation C Tracing on221 D. Vouching E. Inquiry F External-internal evidence G. Audit plan
H. Substantive procedures
1. Documentation prepared by independent parties and sent to the client 2. Proceeding forward through the accounting and control system from the evidence to the financial statements 3. Audit of details of transactions and balances 4. Audtprocedure that provides compelling evidence of existence 5. Direct correspondence with independent parties 6. A list of audit procedures
Order of the correct answer is B. Confirmation E. Inquiry H. Substantive procedures A. Inspection of tangible assets C. Tracing on 221 F. External-internal evidence G. Audit plan
For each of the descriptions 1-6, match the correct word or phrase from A-H as follows:
A. Inspection of tangible assets
B. Confirmation
C Tracing on221
D. Vouching
E. Inquiry
F External-internal evidence
G. Audit plan
H. Substantive procedures
1. Documentation prepared by independent parties and sent to the client - Confirmation
2. Proceeding forward through the accounting and control system from the evidence to the financial statements - Tracing on 221
3. Audit of details of transactions and balances - Substantive procedures
4. Audit procedure that provides compelling evidence of existence - Inspection of tangible assets
5. Direct correspondence with independent parties - Inquiry
6. A list of audit procedures - Audit plan
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