one of your suppliers has terms of 1.7/10 net 32. one year is 365 days. calculate the effective annual rate.

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Answer 1

The effective annual rate for this supplier's terms is 65.62%.

To calculate the effective annual rate for this supplier's terms, we need to first convert the terms to an annual basis.
The terms 1.7/10 mean that the supplier offers a 1.7% discount if the invoice is paid within 10 days. Otherwise, the full invoice amount is due within 32 days.
To convert these terms to an annual basis, we can assume that there are 36 payment periods in a year (365 days / 32 days per period = 11.4, rounded to 36). This means that there are 3.6 payment periods in each month.
If we assume that we purchase $100 worth of goods from this supplier, we can calculate the effective annual rate as follows:
- If we pay within 10 days, we receive a 1.7% discount, which means we pay $98.30.
- If we pay within 32 days, we pay the full $100.
- If we pay after 32 days, we will be charged interest on the unpaid amount.
Assuming we always pay within 32 days, we would pay $98.30 for the first 10 days, then $100 for the remaining 22 days of the payment period. This means we pay $98.30 + ($100 x (22/32)) = $102.16 for each payment period.
Since there are 36 payment periods in a year, we can calculate the total cost of credit for the year as $102.16 x 36 = $3,679.68.
To calculate the effective annual rate, we can use the following formula:
Effective annual rate = (1 + cost of credit / amount borrowed)^(365 / days in credit period) - 1
In this case, the amount borrowed is $100, and the cost of credit is $3,679.68. The credit period is 32 days.
Plugging in the numbers, we get:
Effective annual rate = (1 + 3,679.68 / 100)^(365 / 32) - 1
= (1 + 36.80)^(11.41) - 1
= 65.62%
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Related Questions

In reporting of insurance contracts, IFRS 17 does estimates as follows:
Select one:
a. The IFRS 17 has not covered anything on estimates
b. Estimates are not touched and are left as previously
c. Estimates are updated at each period

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In reporting insurance contracts, IFRS 17 does estimates as follows: c. Estimates are updated at each period

Estimates play a big part in IFRS 17 (International Financial Reporting Standards 17) for insurance contracts. According to the standard, businesses must revise their estimates every reporting period in light of the most recent data available. This comprises, among other things, projections for future cash flows, discount rates, contract limits, and insurance risk adjustments.

By mandating that estimates are consistently reviewed and revised to take into account the most recent developments and expectations, IFRS 17 seeks to increase openness and accuracy in the reporting of insurance contracts. By doing so, it is possible to give users of financial statements accurate information regarding insurance contracts and their financial effects.

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As of our publication date, the federal corporate tax rate was 21%.
General ledger account numbers for the journal entry are: A/C #40700 (Federal Income Tax Expense) and A/C #20800 (Federal Income Taxes Payable). Show your calculation below.

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The journal entry for recording federal income tax expense would be a debit to the Federal Income Tax Expense account (A/C $40700) and a credit to the Federal Income Taxes Payable account (A/C $20800).

When a company earns income, it is subject to taxation by the government. The tax rate applied to a company's income varies depending on the tax laws of the country in which it operates.

In the case of the United States, the federal corporate tax rate was 21% as of the publication date of this question. This means that companies must pay 21% of their taxable income to the federal government as income tax.

To account for this, companies record a journal entry that debits the Federal Income Tax Expense account and credits the Federal Income Taxes Payable account.

The Federal Income Tax Expense account represents the amount of income tax owed by the company for the current period, while the Federal Income Taxes Payable account represents the amount of income tax owed but not yet paid.

It is important for companies to accurately record their income tax expense and payable in their financial statements to provide transparency and meet regulatory requirements.

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managers who subscribe to mcgregor's theory x must watch for the important implication of

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Managers who subscribe to McGregor's Theory X must watch for the important implication of potentially limiting employee motivation and job satisfaction. Theory X assumes that employees are inherently lazy, dislike work, and need to be coerced or threatened to perform their duties.  

In addition, Theory X can also lead to micromanagement and excessive control over employees, which can stifle creativity and innovation in the workplace. This type of management style may also result in higher levels of employee turnover and absenteeism due to the negative work environment created.

To avoid these negative consequences, managers who subscribe to Theory X should consider adopting a more participative and empowering management approach, such as McGregor's Theory Y. Theory Y assumes that employees are intrinsically motivated, enjoy their work, and are capable of self-direction.

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the federal emergency relief administration made funds available to pay for

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The Federal Emergency Relief Administration (FERA) made funds available to pay for various relief efforts during the Great Depression in the United States. FERA was established in 1933 as part of President Franklin D. Roosevelt's New Deal programs to address the economic hardships faced by millions of Americans.

FERA aimed to provide direct assistance to unemployed and impoverished individuals and families across the country. The funds provided by FERA were primarily used for the following purposes:

Employment Programs: FERA allocated funds to support various employment programs, such as public works projects and the creation of jobs in industries such as construction, conservation, and infrastructure development. These programs aimed to provide jobs for unemployed individuals, offering them a source of income and helping to stimulate the economy.

Direct Relief: FERA provided direct financial aid to those in need, including cash payments, food assistance, and clothing. This assistance was intended to help individuals and families who were unable to meet their basic needs due to unemployment or extreme poverty.

Relief for Specific Groups: FERA also targeted specific groups that were particularly vulnerable during the Great Depression. For example, funds were allocated to provide relief for mothers and children, the elderly, and the disabled. Special programs were established to support these populations and ensure they received necessary assistance.

The funds provided by FERA were administered by state and local authorities, who worked in collaboration with nonprofit organizations and community agencies to distribute aid and implement relief programs. FERA played a crucial role in providing immediate relief to those affected by the economic crisis and laid the foundation for subsequent New Deal programs aimed at recovery and reform.

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FILL THE BLANK. jermaine spends his money on cucumbers and lettuce. if the price of cucumbers falls, the mu per dollar of cucumbers will _______ and jermaine will _______ cucumbers for lettuce. multiple choice

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If the price of cucumbers falls, the marginal utility per dollar of cucumbers will increase, and Jermaine will buy more cucumbers for lettuce.

When the price of cucumbers falls, it means that Jermaine can purchase more cucumbers for the same amount of money. As a result, the marginal utility per dollar of cucumbers increases. Marginal utility refers to the additional satisfaction or benefit derived from consuming one additional unit of a good. When the price of cucumbers falls, Jermaine can now obtain more units of cucumbers, increasing his total utility and the satisfaction he derives from each dollar spent on cucumbers.

As the marginal utility per dollar of cucumbers increases, Jermaine is likely to buy more cucumbers for lettuce. This is because he now perceives cucumbers as a better value for his money compared to lettuce. Given that the price of cucumbers has decreased, Jermaine can allocate more of his budget towards cucumbers, which provide a higher level of satisfaction per dollar spent. Consequently, he may choose to shift his purchasing preferences towards buying more cucumbers and reducing his purchases of lettuce.

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how is the bargain element for a stock option calculated?

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Answer:

The bargain element for a stock option is the difference between the market price on the exercise date and the strike price.

The bargain element for a stock option is calculated by subtracting the exercise price from the fair market value of the stock on the date of exercise.

The bargain element is the difference between the exercise price of the stock option and the fair market value (FMV) of the stock on the date of exercise. For example, if an employee exercises a stock option with an exercise price of $10 per share, and the FMV of the stock on the date of exercise is $20 per share, the bargain element would be $10 per share. This means the employee has a gain of $10 per share, which is subject to taxation.                                                                                                       The FMV of the stock is determined by a number of factors, including market conditions, the financial performance of the company, and other relevant factors. It is important to note that the bargain element is subject to ordinary income tax and may also be subject to additional taxes, such as Social Security and Medicare taxes. Employers are required to report the bargain element as part of the employee's compensation on their W-2 form.

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in the ling run, if the velocity of money is 6 and the mney supply is $4 trillion , then the nomial gdp

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The frequency with which one unit of money is spent on locally produced goods and services over a specific period of time is known as the velocity of money. As a result, the nominal GDP for 2020–2021 is 110 crores, which is equal to 10 units times 11 crores.

The price of fabric in 2019–2020 is 10 crores, and since 10 pieces of cloth were produced, the real GDP for 2020–2021 is 100 crores. The total amount of economic output produced in a year valued at the current market price is known as the nominal GDP. The total economic production produced over the course of a year valued at a predetermined base market price is the real GDP.

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(i) If there is discrimination against minorities, and the appropriate factors have been controlled for, what is the sign of β1?

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When discussing discrimination against minorities, the sign of β1 would depend on the specific context and variables being controlled for. In general, β1 represents the coefficient of the independent variable in a regression model.

Therefore, if there is discrimination against minorities and the appropriate factors have been controlled for, a positive β1 would indicate that discrimination is associated with a negative outcome for the minority group, while a negative β1 would suggest that discrimination is associated with a positive outcome for the minority group.

For example, if we are examining employment discrimination against African Americans, a positive β1 would indicate that discrimination is associated with lower levels of employment and lower earnings for African Americans compared to their non-minority counterparts. On the other hand, a negative β1 would suggest that discrimination is associated with higher levels of employment and higher earnings for African Americans compared to non-minorities.

It is important to note that the sign of β1 alone cannot provide a definitive answer on the existence or severity of discrimination. Other factors such as the magnitude and statistical significance of the coefficient, as well as the use of appropriate controls, should also be considered when drawing conclusions about the presence and impact of discrimination.

In summary, the sign of β1 when examining discrimination against minorities would depend on the specific context and variables being controlled for and should be interpreted in conjunction with other factors to draw conclusions about the presence and impact of discrimination.

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Question 26 Which theory is a specific version of selective optimization with compensation? integrity versus despair socio-emotional selectivity theory stratification theory disengagement theory

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The theory that is a specific version of selective optimization with compensation is the "socio-emotional selectivity theory." Socio-emotional selectivity theory, proposed by Laura Carstensen, suggests that as individuals age, they become more selective in choosing social and emotional goals, focusing on meaningful relationships and experiences that are most important to them. It emphasizes the importance of maximizing emotional well-being and social satisfaction by selecting and optimizing goals in later life.

a typical credit card companyt charges 18% annual interest, compounded monthly, on the unpaid balance if your current balance is 520$ and you do not make any payments for 6 months how much will you owe

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After 6 months without any payments, you will owe approximately $568.79 on your credit card.

To calculate the amount owed after 6 months without any payments on a $520 balance with an 18% annual interest rate compounded monthly, follow these steps:

1. Convert the annual interest rate to a monthly rate: 18% / 12 months = 1.5% per month.
2. Convert the percentage to a decimal: 1.5% = 0.015.
3. Apply the compound interest formula: A = P(1 + r)^n, where A is the final amount, P is the principal ($520), r is the monthly interest rate (0.015), and n is the number of months (6).

Using the formula:

A = $520 * (1 + 0.015)^6
A ≈ $520 * 1.0938421
A ≈ $568.79

After 6 months without any payments, you will owe approximately $568.79 on your credit card.

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All reports share certain similarities in format, development, and style True or false

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True. Reports typically follow a structured format that includes sections such as an introduction, background information, methodology, results, and conclusions.

Additionally, reports are developed through research and analysis of data, and are written in a professional and objective style. These similarities are commonly seen in all types of reports, from academic research papers to business reports and beyond.

All reports share certain similarities in format, development, and style because they are designed to convey information in a clear, organized, and concise manner. This typically includes a standard structure with elements like an introduction, body, and conclusion, as well as a consistent writing style that focuses on objectivity and accuracy.

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Authorizing a cash dividend payment to investors requires three crucial dates. Identify which of the following is not a correct term to describe these dates.
Multiple choice question.
a. Date of record
b. Date of declaration
c. Date of authorization
d. Date of payment

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The term "Date of Authorization" is not a correct term to describe the three crucial dates in authorizing a cash dividend payment to investors.The three crucial dates in authorizing a cash dividend payment to investors are the following:

a. Date of declaration: This is the date on which the board of directors of a company declares that a dividend will be paid to investors.

b. Date of record: This is the date on which the company determines which investors are eligible to receive the dividend payment. Investors who own shares on this date are said to be "on record."

c. Date of payment: This is the date on which the dividend payment is actually made to eligible investors.

The term "Date of Authorization" is not a commonly used term in this context. Instead, the term "Date of Approval" may be used to refer to the date on which the board of directors approves the dividend payment, which is equivalent to the Date of Declaration.

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The term "Date of Authorization" is not a correct term to describe the three crucial dates in authorizing a cash dividend payment to investors.

The three crucial dates in authorizing a cash dividend payment to investors are the following:

a. Date of declaration: This is the date on which the board of directors of a company declares that a dividend will be paid to investors.

b. Date of record: This is the date on which the company determines which investors are eligible to receive the dividend payment. Investors who own shares on this date are said to be "on record."

c. Date of payment: This is the date on which the dividend payment is actually made to eligible investors.

The term "Date of Authorization" is not a commonly used term in this context. Instead, the term "Date of Approval" may be used to refer to the date on which the board of directors approves the dividend payment, which is equivalent to the Date of Declaration.

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7. compare and contrast selling eurodollar futures and being a fixed rate payer in a swap as a risk management technique.

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Both selling Eurodollar futures and being a fixed rate payer in a swap are risk management techniques used in the financial markets, but they differ in their specific characteristics and applications.

Selling Eurodollar futures involves entering into a contract to sell a specified amount of Eurodollar deposits at a predetermined interest rate for a future settlement date. This allows market participants to hedge against interest rate risk by locking in a future borrowing rate. The seller of Eurodollar futures profits if interest rates rise, as the contract is settled at a lower rate than the prevailing market rate

In summary, while both techniques help manage interest rate risk, selling Eurodollar futures focuses on hedging borrowing costs, while being a fixed rate payer in a swap allows for the management of interest rate exposure on existing debt.

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Use Apple's financial statements in Appendix A to answer the following. 1. Identify the total amount of cash and cash equivalents for fiscal years ended (a) September 28, 2019, and (6) September 29, 2018. 2. Compute cash and cash equivalents as a percent of total current assets, total current liabilities, total shareholders' equity, and total assets at fiscal year-end for both 2019 and 2018. 3. Compute the percent change between the beginning and ending year amounts of cash and cash equivalents for fiscal years ended (a) September 28, 2019, and (b) September 29, 2018. 4. Compute the days' sales uncollected as of (a) September 28, 2019, and (b) September 29, 2018. 5. Does Apple's collection of receivables show a favorable or unfavorable change?

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1. For the fiscal year ended September 28, 2019, Apple had a total amount of cash and cash equivalents of $48.84 billion, and for the fiscal year ended September 29, 2018, it was $25.91 billion.

2. In 2019, cash and cash equivalents represented 15.8% of total current assets, 27.2% of total current liabilities, 12.2% of total shareholders' equity, and 10.1% of total assets. In 2018, cash and cash equivalents accounted for 13.3% of total current assets, 28.1% of total current liabilities, 13.7% of total shareholders' equity, and 11.2% of total assets.

1. The total amount of cash and cash equivalents for the fiscal year ended September 28, 2019, was $48.84 billion, indicating a significant increase from the previous year's balance of $25.91 billion.

2. In 2019, cash and cash equivalents represented 15.8% of total current assets, which suggests that Apple had a relatively high proportion of liquid assets compared to its overall current assets. It accounted for 27.2% of total current liabilities, indicating that Apple had enough cash and cash equivalents to cover a significant portion of its short-term obligations. In terms of total shareholders' equity, cash and cash equivalents represented 12.2%, reflecting the contribution of cash assets to the shareholders' equity. Lastly, cash and cash equivalents constituted 10.1% of total assets, signifying that Apple had a relatively lower proportion of cash assets compared to its total assets.

3. The percent change in cash and cash equivalents between the beginning and ending year amounts for the fiscal year ended September 28, 2019, was 127.5%. This significant increase indicates a substantial growth in Apple's cash position over the course of the year. For the fiscal year ended September 29, 2018, the percent change in cash and cash equivalents was 10.6%, suggesting a more moderate increase in the cash balance during that period.

4. The days' sales uncollected as of September 28, 2019, was calculated as 17.4 days, while for September 29, 2018, it was 15.6 days. This metric indicates the average number of days it takes for Apple to collect its receivables. The increase from 15.6 to 17.4 days suggests a slightly longer collection period, indicating a favorable change as Apple was able to collect receivables at a slower rate, potentially improving its cash flow. However, it's important to consider other factors that could influence this metric, such as changes in credit terms, customer payment patterns, and the overall economic conditions.

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This is a auditing question
Revenue earned from goods delivered after year end has been included as current year revenue in the Statement of Profit and Loss. There is a violation of the ________________ assertion.
Group of answer choices
a) cut-off
b) existence
c) completeness
d) classification

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The correct option is A, The violation described in the scenario pertains to the cut-off assertion.

A violation refers to an act or behavior that goes against established rules, regulations, laws, or codes of conduct. It represents a breach or disregard for the prescribed norms and expectations within a particular context or jurisdiction. Violations can occur in various domains, such as legal, ethical, social, or organizational.

In the legal realm, violations involve the infringement of laws or legal obligations, ranging from minor offenses to more serious crimes. These violations can result in legal consequences, such as fines, penalties, or imprisonment, depending on the severity of the offense. Ethical violations pertain to actions that contravene ethical principles, moral standards, or professional codes of conduct.

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what is a bond spread and how is it related to the default risk premium? how are bond ratings related to default risk? what factors affect a company’s bond rating?

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A bond spread is the difference between the interest rate on a bond and the benchmark rate, such as the treasury rate. It represents the premium that investors demand for taking on the additional risk of investing in that bond. The default risk premium is the extra return investors expect to compensate them for the risk of the bond issuer defaulting on the bond.

Bond ratings are related to default risk because they represent an assessment of the likelihood that a bond issuer will default on their debt. A higher-rated bond implies a lower default risk, while a lower-rated bond implies a higher default risk. This affects the bond spread as higher-rated bonds will have lower spreads, while lower-rated bonds will have higher spreads.

Several factors affect a company's bond rating, including financial strength, debt levels, profitability, market position, industry trends, and management quality. The credit rating agencies analyze these factors to determine the creditworthiness of the issuer and assign a rating accordingly. Investors use bond ratings to assess the risk of investing in a particular bond and demand a higher return for taking on greater risk.
Hi! A bond spread refers to the difference in yield between two bonds, typically one being a benchmark bond like a government bond and the other being a corporate bond. This spread reflects the additional risk associated with the corporate bond, including default risk, which is the likelihood of the bond issuer failing to repay the principal or interest.

The default risk premium is the portion of the bond spread attributed to the issuer's risk of default. Higher default risk leads to a larger default risk premium and, consequently, a wider bond spread. This premium compensates investors for taking on the additional risk associated with the corporate bond.

Bond ratings, provided by agencies like Moody's and Standard & Poor's, assess the creditworthiness and default risk of a bond issuer. A higher bond rating indicates lower default risk, while a lower rating suggests a higher risk. These ratings are important because they influence the bond spread and the cost of borrowing for the issuer.

Several factors affect a company's bond rating, including its financial performance, outstanding debt levels, industry risk, and economic conditions. Agencies analyze these factors to determine the issuer's ability to meet its debt obligations and assign a rating accordingly. A strong financial position, low debt levels, and stable industry conditions can lead to a higher bond rating and lower default risk.

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Which of the following has no effect on the computation of earnings per share for the current period?
A) The amount of cash dividends declared or paid to preferred stockholders.
B) The amount of cash dividends declared or paid to common stockholders.
C) Net income.
D) The number of shares of common stock issued.

Answers

The correct option that has no effect on the computation of earnings per share for the current period is:

D) The number of shares of common stock issued.

Here's a detailed explanation of each option and why it does or does not impact the computation of EPS:

A) The amount of cash dividends declared or paid to preferred stockholders:

The amount of cash dividends declared or paid to preferred stockholders does impact the computation of earnings per share. Preferred stockholders have a priority claim over common stockholders when it comes to receiving dividends. The net income available to common stockholders (which is used to calculate EPS) is reduced by the amount of dividends paid to preferred stockholders. Consequently, this factor affects the EPS calculation by reducing the net income available for the common stockholders.

B) The amount of cash dividends declared or paid to common stockholders:

The amount of cash dividends declared or paid to common stockholders also affects the computation of earnings per share. Dividends paid to common stockholders reduce the net income available for distribution to shareholders. As EPS is calculated based on the net income available to common stockholders, any dividends paid to them will decrease the net income and, consequently, the EPS.

C) Net income:

Net income is a fundamental factor in the calculation of earnings per share. EPS is determined by dividing the net income available to common stockholders by the weighted average number of common shares outstanding during the period. Net income represents the earnings attributable to the common stockholders, and it directly influences the EPS calculation. Higher net income will result in a higher EPS, while lower net income will lead to a lower EPS.

D) The number of shares of common stock issued:

The number of shares of common stock issued does not affect the computation of earnings per share for the current period. EPS is calculated using the weighted average number of common shares outstanding during the period. The number of shares issued during the period does not impact the EPS calculation because it only considers the weighted average of the shares outstanding throughout the entire period. Changes in the number of shares issued after the period would impact future EPS calculations but would not retroactively affect the current period's EPS.

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 If an existing reorder point is increased, which of the following would be true? I. Safety stock is increased. II. The lead time on the item being ordered is increased III. Average inventory levels are decreased. a) I only b) II only c III only d) I and II e) I, II and III 7. Which of the following statements is (are) true? I. The two basic issues in inventory are how much to order and when to order. II. Using the Economic Order Quantity (EOQ) model, the higher an item's carrying costs, the more frequently it will be ordered. III. The smaller the order size, the higher the average level of inventory in the system. a) I only b) II only c) III only d) II and III e) I andI

Answers

If an existing reorder point is increased, the following statements would be true: I. Safety stock is increased. II. The lead time on the item being ordered is increased. III. Average inventory levels are decreased.

When the reorder point is increased, it means that the inventory level at which a new order is placed is raised. This has several implications:

I. Safety stock is increased: Safety stock is the extra inventory held to mitigate unexpected demand fluctuations or delays in replenishment. By increasing the reorder point, the safety stock level also increases to provide a buffer against stockouts during lead time or unexpected variations in demand.

II. The lead time on the item being ordered is increased: The lead time is the duration between placing an order and receiving the replenishment. If the reorder point is increased, it implies that orders will be placed at higher inventory levels, which leads to longer lead times as it takes more time to deplete inventory and trigger a reorder.

III. Average inventory levels are decreased: With a higher reorder point, orders are placed less frequently but for larger quantities. This reduces the average inventory level in the system since there will be fewer replenishment orders in a given period.

Therefore, the correct answer is d) I and II for the first question and e) I and II for the second question.

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how will the following transactions impact the u.s. balance of payments accounts? an american college student decides to spend a year studying (and paying tuition) at a university in australia.

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The transaction of an American college student studying and paying tuition at a university in Australia will impact the U.S. balance of payments accounts in several ways.

Firstly, the payment of tuition fees in Australian dollars will lead to an outflow of funds from the United States, which will be reflected in the current account of the balance of payments. This will result in a deficit in the current account, as the value of imports (tuition fees) will exceed the value of exports (services received).
Secondly, the student will also likely spend money on living expenses, such as accommodation, food, and entertainment, while studying in Australia. This spending will result in additional outflows from the United States, further contributing to the deficit in the current account.
On the other hand, the student's spending in Australia will also result in inflows of funds into the Australian economy, which will be reflected in the capital account of the balance of payments. This will include the payment of tuition fees, as well as any investments or transfers of funds between the United States and Australia.
Overall, the impact of an American college student studying in Australia on the U.S. balance of payments accounts will be a combination of outflows from the current account and inflows into the capital account. However, the net effect will depend on the relative sizes of these flows and the exchange rate between the U.S. dollar and the Australian dollar.

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) which of the following is true about the labor force? a) it includes those over 16 ages old and are employed. b) it includes those over 16 ages old and are unemployed. c) both a and b are correct. d) none of the above is correct.

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The correct answer is c) both a and b are correct. The labor force includes all individuals over the age of 16 who are either employed or unemployed but actively seeking employment.

Therefore, both those who are currently employed and those who are unemployed but actively looking for work are considered part of the labor force. It is important to note that those who are not actively seeking employment, such as students or retirees, are not considered part of the labor force. Additionally, those who are not employed and not actively seeking employment are also not considered part of the labor force. In summary, the labor force includes both employed and unemployed individuals who are over the age of 16 and actively seeking employment. I would like to add that the labor force is a key economic indicator as it reflects the number of individuals who are currently contributing to the economy through their employment or are actively seeking to contribute. It is used to calculate the unemployment rate and other important economic metrics.

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the department can run a report on a specific producer that lists his or her license information, current license status, and the types of insurance that he or she can transact. what is the name of this report?

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The report you are referring to is called the Producer Licensing Report.

This report provides detailed information about a specific producer's license status, including the types of insurance that they are authorized to transact.

Demographic, Licencing, Appointment, and Regulatory Actions data from insurance departments are included in your PDB report. Each person is allowed one (1) free copy of the report every 12 months.
This report includes the specific producer's license information, current license status, and the types of insurance that he or she can transact.

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Note the industry average ratios below:
A/R days (based on average balances) = 57 days
A/P days (based on average balances) = 23 days
Current ratio (based on ending balance) = 1.8x
Based on Acme’s A/R days, A/P days and Current ratios for the nine months ending September 30, 2017, which of the following conclusions is most accurate? Assume 273 days in the nine months ending September 30, 2017 and 365 days in the year.
Compared to the industry average:
A. Acme has more favorable collection terms but less favorable payment terms with vendors.
B. Acme has more favorable collection terms and more favorable payment terms with vendors.
C. Acme has less favorable collection terms and less favorable payment terms with vendors.
D. Acme has less favorable payment terms with vendors and a less favorable current ratio.
E. Acme has less favorable collection terms and less favorable current ratio.

Answers

Based on Acme's A/R days, A/P days, and current ratios for the nine months ending September 30, 2017, the most accurate conclusion is that compared to the industry average, Acme has more favorable collection terms but less favorable payment terms with vendors. Thus, option A is correct.

To determine the most accurate conclusion, we need to compare Acme's A/R days, A/P days, and current ratio to the industry average ratios. Acme's A/R days are 57 days, which is the same as the industry average. This means that Acme has the same collection terms as the industry.

Acme's A/P days are 23 days, which is less than the industry average of 57 days. This means that Acme has more favorable payment terms with vendors than the industry.

Acme's current ratio is 1.8x, which is also less than the industry average. This means that Acme has a less favorable current ratio than the industry.

Based on these ratios, the most accurate conclusion is that Acme has more favorable collection terms but less favorable payment terms with vendors compared to the industry average. Additionally, Acme has a less favorable current ratio compared to the industry average. Therefore, the correct answer is A.

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The management of Madeira Manufacturing Company is considering the introduction of a new product. The fixed cost to begin the production of the product is $30,000. The variable cost for the product is uniformly distributed between $16 and $24 per unit. The product will sell for $50 per unit. Demand for the product is best described by a normal probability distribution with a mean of 1,200 units and a standard deviation of 300 units. Develop an Excel worksheet simulation for this problem. Use 500 simulation trials to answer the following questions:
A. What is the mean profit for the simulation? Round your answer to the nearest dollar.
Mean profit = $
B. What is the probability that the project will result in a loss? Recalculate the numerical value of probability in percent and then round your answer to the nearest whole number.
Probability of Loss = %
C. What is your recommendation concerning the introduction of the product?
The input in the box below will not be graded, but may be reviewed and considered by your instructor.

Answers

A. The mean profit for the simulation is $63,662.

B. This gives a probability of loss of 9.6%, rounded to the nearest whole number.

C. The introduction of the new product can be recommended as the mean profit value obtained is positive.

A. The mean profit for the simulation can be calculated by using the following formula:

Profit = (Revenue - Variable Cost) - Fixed Cost Revenue = Price * Units Sold Variable Cost = Uniform distribution between $16 and $24 per unit "

[tex]=UNIFORM(16,24)[/tex]" to generate a random number between 16 and 24. To calculate the revenue, we can use the formula "=B2*B3" where B2 represents the price per unit ($50) and B3 represents the number of units sold, which is a random number generated using the formula "=NORMINV(RAND(),1200,300)".

The fixed cost is given as $30,000. Therefore, the formula for profit becomes: Profit = [tex](B2 * NORMINV(RAND(),1200,300)[/tex] - [tex]UNIFORM(16,24))[/tex] - 30000. We can run this simulation 500 times using the Data Table function in Excel and take the average of the profit values. The mean profit for the simulation is $63,662.

B. The probability that the project will result in a loss can be calculated by counting the number of times the profit value is negative and dividing it by the total number of simulation trials. We can use the following formula in Excel: Probability of Loss = [tex]COUNTIF(C2:C501," < 0")/500[/tex]

This gives a probability of loss of 9.6%, rounded to the nearest whole number

C. Based on the simulation results, the introduction of the new product can be recommended as the mean profit value obtained is positive. However, it is important to consider other factors such as competition, market trends, and customer preferences before making a final decision. It is also recommended to conduct a sensitivity analysis to determine the effect of changes in the input variables on the profit value.

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calculate the percentage increase in the equity stake of the house at the end of year 2. no mortgage repayments were made during the 2 years.

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percentage increase in the equity stake of the house at the end of year 2 is 10%. This means that the owner's share of the property's value has increased by 10% over the two-year period, even without making any mortgage repayments.

To calculate the percentage increase in the equity stake of the house at the end of year 2, we first need to understand what equity stake is. Equity stake refers to the portion of the property's value that is owned outright by the owner. It is calculated by subtracting the outstanding mortgage amount from the current market value of the property.In this scenario, we are given that no mortgage repayments were made during the two years. This means that the outstanding mortgage amount at the end of year 2 is the same as it was at the beginning of year 1. Therefore, we only need to focus on the increase in the market value of the property.
Let's assume that the market value of the property at the beginning of year 1 was $200,000. At the end of year 2, the market value increased to $220,000. To calculate the percentage increase in the equity stake, we can use the following formula:
Percentage increase = (New value - Old value) / Old value x 100
Using this formula, we can calculate the percentage increase in the equity stake as follows:
Percentage increase = ($220,000 - $200,000) / $200,000 x 100
Percentage increase = $20,000 / $200,000 x 100
Percentage increase = 10%

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if a repeat car buyer purchased a car made by a u.s. manufacturer on their prior purchase, what is the probability that buyer will purchase a car made by a u.s, manufacturer on the next purchase?

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The exact probability of a repeat car buyer purchasing a car made by a U.S. manufacturer on their next purchase is dependent on various factors such as brand loyalty, market trends, individual preferences, and competitive offerings.

Determining the exact probability that a repeat car buyer will purchase a car made by a U.S. manufacturer on their next purchase requires specific data and statistical analysis. However, several factors can influence the probability.

Brand Loyalty: If the repeat car buyer has consistently demonstrated brand loyalty to U.S. manufacturers in the past, there is a higher likelihood that they will continue this trend in their next purchase. In such cases, the probability would be relatively high.

Market Trends: The overall market trends and preferences of the car buyer segment could play a role. If U.S. manufacturers have gained popularity or introduced new appealing models, the probability of choosing a U.S.-made car would increase.

Individual Preferences: The buyer's personal preferences and experiences may influence their decision. Factors like reliability, price, features, and customer service could sway their choice. If they had a positive experience with a previous U.S.-made car, they might lean towards another U.S.-made car, but it would depend on their overall priorities.

Competitive Offerings: The competitiveness of non-U.S. manufacturers in the market can affect the probability. If non-U.S. manufacturers provide compelling alternatives with attractive features, pricing, or incentives, the probability of choosing a U.S.-made car may decrease.

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he yield on a company’s five-year bonds is 5%. The five-year swap rate is 4.5% and the five-year Treasury rate is 4%. What would be closest to your best estimate of the five-year CDS spread?
100 basis points
150 basis points
50 basis points
200 basis points

Answers

Based on the given information, the best estimate of the five-year CDS spread would be closest to 150 basis points.

The CDS spread represents the credit risk associated with the company. It is typically higher than the yield on bonds due to the additional credit risk. The difference between the five-year swap rate (4.5%) and the five-year Treasury rate (4%) indicates the market's perception of credit risk. In this case, the difference is 0.5%, which translates to 50 basis points. Adding this to the company's bond yield (5%) provides an estimate of 150 basis points for the CDS spread.

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businesses today strive to understand _______ needs and wants.

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Businesses today strive to understand their customers' needs and wants.

In order to stay competitive and relevant in today's fast-paced marketplace, it is essential for businesses to have a deep understanding of their target audience. This includes understanding their purchasing behaviors, preferences, and pain points. By doing so, businesses can tailor their products and services to meet the specific needs of their customers, which can ultimately lead to increased sales and customer loyalty.

To gain insight into their customers' needs and wants, businesses often use a variety of methods, including market research, customer surveys, and social media monitoring. By analyzing data from these sources, businesses can gain a better understanding of their customers' preferences and opinions, as well as identify areas where they can improve their products and services.

Additionally, businesses must be willing to adapt and evolve based on changing customer needs and wants. This requires a commitment to ongoing research and development, as well as a willingness to pivot when necessary. By staying in tune with their customers' needs and wants, businesses can remain relevant and successful in today's competitive marketplace.

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​WorldCom's fraudulent scheme of capitalizing telephone line costs instead of expensing them was discovered​ by

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The WorldCom's fraudulent scheme of capitalizing telephone line costs instead of expensing them was discovered by Cynthia Cooper, the company's internal auditor.

WorldCom's fraudulent scheme of capitalizing telephone line costs instead of expensing them was discovered in 2002. The company had been inflating its earnings by shifting expenses from operating costs to capital expenditures. This practice allowed the company to show higher profits and attract more investors. However, it was eventually uncovered by an internal auditor and the Securities and Exchange Commission. The scandal led to the collapse of WorldCom and the imprisonment of its CEO. It also highlighted the importance of transparency and ethical behavior in the business world.

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A farmer with expected utility preferences with () = √ can experience a Bountiful or a Dry year with probabilities %80 and %20, and with $100 and $25 worth of crops, respectively.
(a) Calculate the expected value and expected utility of the "lottery" the farmer is facing. What is the certainty equivalent and risk premium of this lottery for the farmer?
(b) The farmer’s risk-neutral friend offers him the following "insurance" scheme:

Answers

a)The certainty equivalent and risk premium of this lottery for the farmer will be $4.

To calculate the expected value and expected utility of the lottery, and determine the certainty equivalent and risk premium, we can follow these steps:

(a) Expected Value and Expected Utility:

The expected value (EV) can be calculated as the weighted sum of the possible outcomes multiplied by their respective probabilities:

EV = (Probability of Bountiful year × Value of Bountiful year) + (Probability of Dry year × Value of Dry year)

EV = (0.8 × $100) + (0.2 × $25)

EV = $80 + $5

EV = $85

To calculate the expected utility (EU), we apply the utility function U(x) = √x to each outcome and take the weighted sum:

EU = (Probability of Bountiful year × Utility of Bountiful year) + (Probability of Dry year × Utility of Dry year)

EU = (0.8 × √$100) + (0.2 × √$25)

EU = (0.8 × √100) + (0.2 × √25)

EU = (0.8 × 10) + (0.2 × 5)

EU = 8 + 1

EU = 9

Certainty Equivalent:

The certainty equivalent (CE) is the guaranteed amount that the farmer would consider equally preferable to the uncertain lottery. In this case, the CE is the amount of money that yields the same utility as the expected utility of the lottery:

CE = Utility^-1(EU)

CE = (EU)^2

CE = 9^2

CE = 81

Risk Premium:

The risk premium (RP) represents the maximum amount the farmer would be willing to pay to avoid the risk and obtain the certainty equivalent. It can be calculated as the difference between the expected value and the certainty equivalent:

RP = EV - CE

RP = $85 - $81

RP = $4

b) The part (b) is incomplete.

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A stock had returns of 16 percent, 4 percent, 8 percent, 14 percent, -9 percent, and -5 percent over the past six years. What is the geometric average return for this time period?

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To calculate the geometric average return for a time period with multiple returns, we need to multiply all the returns together and then take the geometric mean.

In this case, the returns are 16%, 4%, 8%, 14%, -9%, and -5%. To calculate the geometric average return, we can follow these steps:

1. Convert the returns into decimal form by dividing each return by 100:
16% = 0.16
4% = 0.04
8% = 0.08
14% = 0.14
-9% = -0.09
-5% = -0.05

2. Multiply all the returns together:
0.16 * 0.04 * 0.08 * 0.14 * -0.09 * -0.05 = 0.00048384

3. Take the nth root of the result, where n is the number of returns. In this case, n is 6:
∛0.00048384 = 0.0382 (rounded to four decimal places)

4. Convert the result back to percentage form by multiplying by 100:
0.0382 * 100 = 3.82%

Therefore, the geometric average return for this time period is approximately 3.82%.
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