No, internet service provider is not providing such information to the ftc because the ISP is shielded from accountability for such behaviour by the US Safe Web Act.
The enforcement of civil (non-criminal) antitrust legislation and the promotion of consumer protection are the primary responsibilities of the Federal Trade Commission (FTC), an independent body of the US government.
Together with the Department of Justice Antitrust Division, the FTC is responsible for overseeing federal civil antitrust enforcement. The Federal Trade Commission Building in Washington, DC, serves as the organization's headquarters. In reaction to the monopolistic trust crises of the 19th century, the Federal Trade Commission
Act, which became law in 1914, formed the FTC. Since its founding, the FTC has enforced both the provisions of the FTC Act, 15 U.S.C. 41 et seq., as well as the provisions of the Clayton Act, a significant antitrust act.
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communications activities designed to promote a firm's overall image, without reference to a specific product, are called:
Communications activities designed to promote a firm's overall image, without reference to a specific product, are called corporate advertising. Corporate advertising has been characterized as paid communications.
Delivered through various media channels in order to affect consumers' impressions of a company and its products, as well as their intent to acquire the Communications. Advertising that describes a corporation rather than its products and is designed to portray the organization in a positive light to the public: The company launched a corporate advertising campaign emphasizing its dedication to energy-saving manufacturing practices. Image advertising, opinion advertising, and investment advertising are all examples of business advertising.
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many people believe that, despite ongoing financial innovations, cash will always be with us to some degree as a form of money. what core principle could justify this view
Many people believe that despite ongoing financial innovations, cash will always be with us to some degree as a form of money. The core principle to justify this view is the 3rd core principle – information is the basis for decisions.
In making any investment decision, information is crucial. The more data that should be gathered the more crucial the decision. We can obtain less information if the choice is not as significant or costly.
For instance, if your investment is a stick of candy floss, you generally won't perform a thorough investigation of the market when you're paying for it at the shop's counter.
However, you have compelling reasons to acquire a ton of information regarding the purchase if you're considering investing $800,000 in a home. Thus the answer to this question is, information is the basis for decisions.
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assume simple company had credit sales of $246,000 and cost of goods sold of $146,000 for the period. simple uses the percentage of credit sales method and estimates that 1 percent of credit sales would result in uncollectible accounts. before the end-of-period adjustment is made, the allowance for doubtful accounts has a credit balance of $210. required: what amount of bad debt expense would the company record as an end-of-period adjustment?
As a result, we must record a $2,250 bad debt expense.
Companies can choose to book up front a percentage of credit sales (e.g., 3% annually) based on historical patterns and book an allowance for doubtful accounts of this amount in order to account for credit sales that may never be collected.
Applying the allowance method is a breeze in this case.
We have 246,000 sales.One percent of these are thought to be uncollectible.
To put it another way, the new balance for the allowance for debtful accounts is 2,460, or 1% divided by 246000.
We currently have a $210 balance.As a result, we must book a bad debt expense to add the difference to the allowance.
2460 x 210 = $2,250 We must therefore record a $2,250 bad debt expense.
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the debt coverage ratio is used to indicate how much the noi can decline before it will not cover the debt service on the property. lenders usually seek a minimum dcr of
The debt coverage ratio is used to show the NOI can drop before it stops paying the property's debts. Typically, lenders look for a minimum DCR of 1.20.
The ratio of operational revenue available for debt servicing for interest, principal, and lease payments is called the debt service coverage ratio (DSCR), also referred to as the "debt coverage ratio" (DCR). It is a widely used yardstick for evaluating how well-equipped a person or business is to generate enough cash flow to pay off its debt (including lease) obligations.
The easier it is to get a loan, the greater this ratio is. The expression can be used to represent a minimal ratio that is acceptable to a lender or a loan requirement in commercial banking. In some situations, breaking a DSCR covenant qualifies as a default.
In general, it is calculated by:
DSCR = Net Operating Income/Debt Service
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smathers corporation stock has a beta of .92. the market risk premium is 7.50 percent and the risk-free rate is 3.15 percent annually. what is the company's cost of equity?
Smather's corporation stock has a beta of .92. the market risk premium is 7.50 percent and the risk-free rate is 3.15 percent annually. Hence, the company's cost of equity is 10.05%.
Smather's Corp. stock has a beta of 0.92.
⇒ Beta = 0.92
Risk-free rate = 3.15 percent
Market risk premium = 7.50 percent
Formula: Cost of Equity = [ Risk free rate + (Beta) × ( Market risk premium) ]
Substitute all values, we get
Cost of Equity = [ 3.15 + (0.92) × ( 7.50) ]%
= [3.15+6.9]%
= 10.05%
Hence, the company's cost of equity is 10.05%.
The return a business needs to determine if an investment satisfies capital return criteria is known as the cost of equity. It is frequently used by businesses as a cap for the required rate of return. The price the market is willing to pay to possess an asset and assume ownership risk is known as a company's cost of equity. The capital asset pricing model and the dividend capitalization model are the two conventional formulas for calculating the cost of equity (CAPM).
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should there be laws to restrict the value of houses people buy and the amount of leverage used to buy the house? what is the problem with having such laws in a free market?
There should be regulations that limit the value of houses that individuals may buy and the amount of leverage they use to acquire the property because if the value of the house is too high, no one can afford it unless they leverage themselves and go bankrupt.
Regulation in the social, political, psychological, and economic domains can take many forms, including legal restrictions imposed by a government authority, contractual obligations, self-regulation in psychology, social regulation, co-regulation, third-party regulation, certification, accreditation, or market regulation. State-mandated regulation is government interference in the private market to implement policies and generate outcomes that would not otherwise occur, ranging from consumer protection to speedier growth or technical innovation. The regulations may prescribe or prohibit behavior ("command-and-control" regulation), calibrate rewards ("incentive" regulation), or alter preferences ("preferences shaping" regulation). The ability to regulate should include the ability to enforce regulatory decisions. Monitoring is a significant technique utilized by national regulatory authorities in carrying out regulated operations.
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at the beginning of the lease period, a lease is reported in the lessee's (user's) balance sheet for which amount?
at the beginning of the lease period, a lease is reported in the lessee's (user's) balance sheet for Fair worth of the fundamental resource.
Present worth of anticipated cash inflows from utilizing the fundamental resource. Leases are not announced yet to be determined sheet.
How are working leases detailed in the resident's fiscal reports?
On account of a working lease, the tenant will record a rent cost on its pay proclamation during the period it utilizes the resource. No resource or risk will be recorded on the accounting report.
How would you represent a rent on a monetary record?
A rent will be recorded on the accounting report as a right-of-purpose (ROU) resource and rent risk. The rent responsibility is the instalment commitment over the term of the rent contract, while the ROU resource addresses the control of the resource under the rent contract.
When a rent qualifies as a money rent what sum is recorded as the expense of the right-of-purpose resource?
The right-of-purpose resource is a tenants on the whole correct to utilize a resource over the existence of a rent. The resource is determined as the underlying measure of the rent risk, in addition to any rent instalments made to the lessor before the rent beginning date, in addition to any underlying direct costs brought about, short any rent motivating forces got.
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you invest $1,000 in a stock that has a 15% chance of a 1% return, a 60% chance of a 5% return and a 25% chance of a 7% return. what is your expected return after one year? 5.3% 4.5% 4.9% 4.3%
4.9% is the expected return after a year.
We put $1,000 into a stock that has a 1% return probability of 15%, a 5% return probability of 60%, and a 7% return probability of 25%.
Given,
Probability 1 = 15%
Return 1 = 1%
Probability 2 = 60%
Return 2 = 5%
Probability 3 = 25%
Return 3 = 7%
To find, Expected return after one year
Expected return = (Probability 1 x Return 1) + (Probability 2 x Return 2) + (Probability 3 x Return 3)
Expected return = (15% x 1%) + (60% x 5%) + (25% x 7%)
Expected return = 0.15% + 3% + 1.75% = 4.9%
Therefore, the Expected return after one year will be 4.9%.
The profit or loss that an investor anticipates from an investment based on previous rates of return and the likelihood of specific returns under various scenarios is known as the anticipated rate of return, also known as Expected return. Using the anticipated return calculation, prospective future returns are projected.
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which of the following skills best helps you gain a deeper understanding of yourself so that you can work collaboratively with others? a.) the self and social awareness skill b.) the innovation skill c.) the productivity skill d.) the results driven skill
The self and social awareness skill are the skills that best helps you gain a deeper understanding of yourself so that you can work collaboratively with others.
What are social awareness skills?Social awareness encompasses skills like a keen interest in the viewpoints of others. recognizing and valuing others' innate abilities. displaying compassion and empathy. For children to form healthy connections and make wise judgments, they must learn social awareness, often known as socialization.
Social awareness is crucial for our personal emotional well-being in addition to helping us build better relationships and communication abilities. The capacity to perceive community resources and supports, as well as to comprehend social and ethical norms for behavior.
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mayan company had net income of $33,580. the weighted-average common shares outstanding were 9,200. the company has no preferred stock. the company's basic earnings per share is:
The company's basic earnings per share are $ 3.65
Earnings per share = 33580/9200
= $ 3.65
Stocks are devices of fair possession in a corporation. For some companies, stocks exist as an economic asset supplying an identical distribution of any residual income, if any are declared, in the shape of dividends.
Proportion trading method buying and selling stocks of businesses listed on the 2 main stock exchanges - the Bombay inventory alternate (BSE) and the national stock change (NSE). The purchaser of the shares receives sure possession in the agency. he's entitled to a percentage of a stake inside the enterprise.
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as a country develops economically from being very low income to higher income, what are the most important changes that occur in the country's burden of disease
As a nation progresses economically from low to high income, the most significant changes in the country's illness burden are that the percentage of communicable diseases decreases and the share of noncommunicable disease grows. Thus, the right answer is the share of communicable diseases declines and the share of non-communicable diseases increases.
What are communicable diseases?Communicable diseases are illnesses that may be passed from person to person, from animal to human, or through a surface or food. Direct touch with a sick individual can spread diseases during plane travel. A sick individual sneezing or coughing spreads respiratory droplets.
Specific Communicable Disease Information
Shingles / ChickenpoxCOVID-19. \sEbola.Eliminating the HIV Epidemic (EHE)Hepatitis BHepatitis CAIDS / HIVTo learn more about communicable diseases, click
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When jobs returned to apple in 1997, he reduced apple’s offering to how many products?.
Jobs cut all of the desktop models—there were fifteen—back to at least one. He cut all transportable and hand-held models back to at least one laptop computer.
He fully cut out all the printers and alternative peripherals. When Steve Jobs returned to Apple in 1997, his 1st action was reducing quite the ninetieth of Apple products. Moving forward, Jobs' strategy was to provide solely four products: one desktop and one transportable device aimed toward each customer and professional.
Jobs quickly cast employee alliances with Apple's erstwhile foe, Amelio's Mac-clone agreements, and simplified the company's line.
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because of the belief that accounting based numbers such as roi, roe, and eps are not reliable indicators of a corporation's economic value, which method of corporate performance is now touted?
Shareholder value is the method of corporate performance which belief that accounting based numbers such as roi, roe, and eps are not reliable indicators .
What is Shareholder value ?
A word used in business is "shareholder value," which is often referred to as "shareholder value maximization." Along with the management idea of value-based management, or "managing for value," it rose to prominence in the 1980s and 1990s.
Shareholder Value is the portion of a publicly listed company's capitalisation that is comprised of equity as opposed to long-term debt. This would be about equal to the number of outstanding shares times the current share price if there were only one type of stock. Dividends and the like increase shareholder value, but the issuance of shares (stock options) decreases it. The average/required rise in value should be compared to this shareholder value contributed, taking into account the organization's cost of capital.
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which manufacturing strategy can be described as producing products to put into inventory based on a demand forecast? which manufacturing strategy can be described as producing products to put into inventory based on a demand forecast? assemble-to-order make-to-order make-to-stock engineer-to-order
Manufacturing strategy can be described as producing products to put into inventory based on a demand forecast? which manufacturing strategy can be described as producing products to put into inventory based on a demand forecast Make-to-stock.
Make-to-stock (MTS) is a production approach wherein manufacturing making plans and manufacturing scheduling are primarily based totally on forecasted product demand. Products made for the duration of one manufacturing length are used to meet orders made withinside the subsequent manufacturing length.
Overall, a properly thought-out product and accompanying production approach permits you to make key selections round production with extra certainty, and higher put together your product for market.
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which factor is least likely to add to the pressure for a firm to be locally responsive? multiple choice host-government demands differences in consumer tastes and preferences differences in infrastructure switching costs for consumers
Option d.) switching costs for consumers is the correct answer as consumer tastes and preferences, infrastructure, accepted business practices and distribution channels, and host government requirements create pressure on local capacity. At the very least, it could increase the pressure on companies to seek local responses.
Switching costs are the costs that consumers pay as a result of switching brands or products. Switching costs can be financial, psychological, effort-based, and time-based. Switching costs can be categorized into high switching costs and low switching costs.
To meet the pressure to go local, companies need to differentiate their products and marketing strategies by country to take into account these factors that tend to increase a company's cost structure.
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why would subcontractors for a government project want their activities on the critical path? under what conditions would they try to avoid being on the critical path?
They enjoy being on the critical path because they are being compensated in situations where cost incentives are provided for early project completion.
What conditions would they try to avoid being on the critical path?A subcontractor can prefer to run his activities along the important route when financial rewards are given for finishing the project on time. It makes natural that operations along the path would draw more money to hasten completion because the important path ultimately determines project length.The amount of time that a task can be delayed without impacting the completion date of the project or any other task is known as slack time. This is the amount of time that an operation can be delayed without affecting the overall project's timeline. The difference between the target deadline and the required dates to complete the crucial route is the amount of slack time that is actually available.To learn more about the subcontractor's critical path, refer to:
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recently, aditya income life offered and annuity that pays 10% compounded annually. if $1,150 is deposited into this annuity at the beginning of every year, how much is in the account after 9 years?
Aditya income life offered and annuity that pays 10% compounded annually. if $1,150 is deposited into this annuity at the beginning of every year, $ 17178.04 is in the account after 9 years.
Formula to determine future amount of annuity due ( when payment deposit in beginning of each period)1+
A = [tex]\frac{p(1+r^{n)-1} (1+r) }{r}[/tex]
where p is periodic deposit amount
r is interest rate per period
n is number of period
n = compounding frequency x time
1x 9 = 9
p = $1,150
r = 10%= 0.10
n= 9
therefore,
A = 1150 [tex](1+ 0.10)^{9}[/tex]-1 (1+ 0.10)/ 0.10
= 1717.803822/0.1
=$ 17178.04
What is annuity?An annuity is a contract between you and an insurance company whereby you make a lump sum or series of payments in exchange for regular payments that begin either immediately or at some point in the future.
There are three main types of annuities:
fixedvariable indexed.Each type has its own risk level and pay-out potential. In all of these, it is often structured as a deferred annuity. An important feature to consider with any annuity is its taxation. Although the balance grows tax-deferred, the payments you receive are subject to income tax.
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it is said that if someone solves 3-4 questions in leetcode weekly contest is good to go for an interview. then how come the top rankers in these contests usually don't work at good product based companies?
The people who solve 3-4 questions in the weekly contest are not the top rankers. The people who solve all the questions are the top rankers.And the top rankers are usually not interviews because they are already employed.
There are a few possible explanations for this:
1) They may not be interested in working at a product-based company. They may prefer to work at a research-based company or in academia.
2) They may not be interested in working in the software engineering field. They may prefer to work in other fields such as mathematics or physics.
3) They may not be interested in working at a company that is not located in their home country.
4) They may not be interested in working at a company that does not have a good reputation.
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a firm has invested $500 in a new machine that is expected to last for the next 4 years. the machine will be depreciated on a straight line basis down to zero by the end of its 4 year life. the firm projects that the machine will generate consecutive annual cash inflows of $550 beginning in one year and will generate consecutive annual cash outflows at 260 also beginning in one year.. assuming the tax rate of 38%, determine the firm's cash flow next year.
The company's cash flow might be 186.80 next year.
Cash flow refers to the quantity of cash or cash equivalents that a business gets or expends for the purpose of making payments to creditors. The liquidity condition of the business is frequently studied using cash flow analysis.
Spending that occurs in the normal course of business is included in cash flow from operations. Payroll, the cost of items sold, rent, and utility bills are a few examples of these financial outflows. When corporate activities are very seasonal, cash outflows might vary greatly.
Future year's cash flow
Inflow = 500
Outflow = 260
Depreciation = 500/5 = 100
Tax rate = 38%
Cashflow = (500-260-100) × (1-0.38) + 100
= 186.80
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all of the activities involved in obtaining required materials, supplies, and parts from other firms are called
The whole process of obtaining the necessary goods, services, and parts from other companies is known as purchasing.
What is purchasing ?A company or organization utilizes the purchasing process to buy products or services in order to achieve its objectives. Although many businesses make an effort to establish standards for the purchasing process, procedures can differ significantly between firms. The expediting, supplier quality, shipping, and logistics are often also included in the larger procurement process, which includes purchasing. The organization's purchase criteria and processes are directed by purchasing managers/directors and procurement managers/directors. A three-way check serves as the cornerstone of most businesses' buying strategies. As a result, three organizational departments complete various phases of the purchase process.
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based on the tables below, which of the following sql commands would return the average customer balance grouped by salesrepno?
c) SELECT AVG (Balance) FROM CUSTOMER GROUP BY SalesRepNo sql commands would return the average customer balance grouped by salesrepno.
What SQL keyword is used to specify the criteria for which rows should be selected?
The condition that defines which rows are to be picked is contained in the SQL WHERE clause. Duplicate rows may appear in a SQL SELECT operation's output. Use the FROM keyword in conjunction with the DISTINCT keyword to have SQL automatically remove duplicate entries from a result.
The columns that should be listed in the query results are specified using the SQL keyword SELECT. The table(s) from which the desired data will be fetched are specified using the SQL keyword WHERE.
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Complete Question:
Based on the tables below, which of the following SQL commands would return the average customer balance grouped by SalesRepNo?
GENERAL SALES DATABASE:
SALESREP
SalesRepNo - RepName - HireDate
654 - Jones - 01/02/2005
734 - Smith - 02/03/2007
345 - Chen - 01/25/2018
434 - Johnson - 11/23/2004
CUSTOMER
CustNo - CustName - Balance - SalesRepNo
9870 - Winston - 500 - 345
8590 - Gonzales - 350 - 434
7840 - Harris - 800 - 654
4870 - Miles - 100 - 345
a) SELECT AVG (Balance)
FROM CUSTOMER
ORDER BY SalesRepNo;
b) SELECT AVG (Balance)
FROM CUSTOMER
WHERE SalesRepNo;
c) SELECT AVG (Balance)
FROM CUSTOMER
GROUP BY SalesRepNo;
d) SELECT AVG (Balance)
FROM CUSTOMER, SALESREP
WHERE SALESREP. SalesRepNo = CUSTOMER. SalesRepNo;
a firm is evaluating two mutually exclusive projects that have unequal lives. the firm must evaluate the projects using the annualized net present value approach and recommend which project they should select. the firm's cost of capital has been determined to be 14 percent, and the projects have the following initial investments and cash flows: tableau3 ( ( project r project s)(initial investment: $40,000 $58,000cash flows: 1 $20,000 $30,000 2 20,000 55,000 3 20,000 4 20,000) ) which project should the firm select?
Pick Project S since it has a $6459 ANPV.
To choose the most favorable project, the ANPV restates the project's NPV into an annual annuity value.
The result is displayed below:
Year Discounting factor at 14% Project R PV of project R Project S PV of project S
0 1 -$40,000 -$40,000 -$58,000 -$58,000
1 0.8772 $20,000 $17,544 $30,000 $26,316
2 0.7695 $20,000 $15,389 $55,000 $42,321
3 0.6750 $20,000 $13,499
4 0.5921 $20,000 $11,842
NPV $18,274 $10,636
Where discounting factor for year 1 = 1 ÷ 1.14
= 0.8772
So,
ANPV for project R = 18274 ÷ 2.9137
= $6272
ANPV for project S = 10636 ÷ 1.6467
= $6459
The cumulative discounting factors are 2.9137 for four years and 1.6467 for two years, both at a 14% rate.
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automatic stabilizers part 2 a. cause changes in the economy without the action of congress and the president. b. require new legislation to be implemented. c. include the progressive income tax but not unemployment compensation. d. are a component of discretionary fiscal policy.
Automatic stabilizers cause changes in the economy without the action of congress and the president. So, the correct answer is option A.
What Is an Automatic Stabilizer?
Automatic stabilisers are a sort of fiscal policy intended to counteract changes in a country's economic activity through the course of their regular operation without additional, timely approval by the government or policymakers.The most well-known automatic stabilisers include gradually graduated corporate and individual income taxes, as well as transfer programmes like welfare and unemployment insurance. Because they act to smooth economic cycles and are automatically initiated without further government intervention, automatic stabilisers are so named. The goal of automatic stabilisers, which are continuous government programmes, is to stabilise incomes, consumption, and corporate spending over the course of the business cycle by automatically adjusting tax rates and transfer payments.Keynesian economics favours automatic stabilisers as a sort of fiscal policy to address economic downturns and recessions.To know more about Automatic Stabilizer visit:
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when interest expense is calculated using the effective-interest amortization method, interest expense on a bond that pays interest annually is equal to the:
when interest expense is calculated using the effective-interest amortization method, interest expense on a bond that pays interest annually is equal to the carrying value of the bonds multiplied by the effective interest rate.
A bond is discounted using the effective interest technique, a procedure in accounting. The amount of the bond discount or premium is amortized to interest expense during the bond's life when using this technique for bonds sold at a discount or premium. The discounting or writing off of a bond is done using the effective interest method.
Over the course of the bond's existence, the amount of the bond discount is amortized as interest expenditure. The amount of interest expenditure rises as a bond's book value rises.
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all adjustments to the unadjusted book balance on a bank reconciliation require journal entries, but adjustments to the unadjusted bank balance do not require journal entries. group startstrue or false
Only changes to the unadjusted cash (book) balance necessitate journal entries. Adjustments to the unadjusted bank balance are items that have already been recorded in the company's records, such as deposits in transit and outstanding checks. Thus, the right choice is true.
What is a journal entry?A journal entry is an act of keeping or making records of any commercial or non-commercial transaction.
Journal entries can capture one-time events or ongoing events like depreciation or bond amortization. Journal entries are frequently entered in a different module from accounts payable, which normally has its own sub-ledger that impacts the main ledger indirectly. As a result, journal entries immediately affect the general ledger account balances. A correctly documented journal entry includes the right date, amount(s) to be debited, amount to be credited, transaction narrative, and a unique reference number.
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If you wanted to know what factors contributed to your credit score, how could you find out?.
Check your credit report to find out what elements went into determining your credit score.
Your credit report and credit score are influenced by your payment history, debt-to-credit ratio, length of credit history, new credit, and the total amount of credit you have.
You can examine your credit reports for free if you're interested in seeing what's there. Free Equifax and TransUnion credit reports are available through Credit Karma. Additionally, you may visit annualcreditreport.com every 12 months to get a free copy of your credit report from each of the major credit bureaus.
Your FICO credit score is determined by five factors: your payment history, the amount of debt you have in relation to the credit you have available, the length of time you have had credit accounts, the mix of different types of credit you have (loans and credit card accounts), and your desire for new credit.
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g what does a rising yield curve mean to investors, according to the expectations theory? question 15 options: there will be a decrease in future short term rates. there will be a increase in future short term rates. there will be a increase in future long term rates. there will be a decrease in future long term rates.
The yield curve helps indicate the tradeoff between maturity and yield. If the yield curve is upward sloping, then to increase his yield, the investor must invest in longer-term securities, which will mean more risk.
What is maturity and yield?The main distinction between coupon rate and yield to maturity is that the coupon rate is constant over the course of the bond's life. The yield to maturity, however, fluctuates based on a number of variables, including the number of years to maturity and the price at which the bond is currently sold.
When an investment reaches its predetermined end date, called its maturity, it frequently results in the payment of a loan or bond, the purchase of a commodity or cash, or the fulfilment of some other payment or settlement term.
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in which option for entering the international marketplace would you find a contractual agreement that gives a local owner/operator the right to use the name and marketing support from the mcdonald's corporation?
In licensing option, the international marketplace would you find a contractual agreement that gives a local owner/operator the right to use the name and marketing support from the McDonald's corporation.
Giving a foreign business permission to produce a company's goods in another nation in exchange for a fee is known as licensing. These connections frequently revolve around patented technology.
The top executives of a company must determine the best strategy for entering a new nation. Five fundamental choices are available: Exporting is the first option, followed by establishing a wholly owned subsidiary, franchising, licensing, joint ventures, and strategic alliances. The degree of control a firm has over its operation, the entrance cost, the level of risk, and the portion of the operation's revenues that the firm keeps all differ between these alternatives.
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would a profit-maximizing firm continue to operate if the price in the market fell below its average cost of production? provide a novel example and explain.
A profit- maximising firm will continue to operate even if price falls below average cost, as long as price is above average variable cost.
A company makes an economic profit—above normal profit—by producing at the level that balances marginal revenue and marginal cost if pricing is higher than average total cost. But if the price drops below the average total cost, the business loses money.
The total cost of production divided by the number of units produced is known as the average cost of production. Simply put, average cost is determined by dividing the total production cost by the quantity of units produced.
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during the month, southeast plumbing paid $600 to settle warranty claims. southeast uses an estimated warranty account. the journal entry to record the payment would have been:
The journal entry to record the payment would have been debit Estimated warranty payable, $600; credit Cash, $600.
A company may have a warranty policy, under which it commits to customers that it will fix or replace certain types of product damage within a predetermined period of time after the sale. The business should accrue an expense that reflects the cost of these anticipated claims if it can reasonably estimate the number of warranty claims that are likely to be made under the policy.
The accrual must occur during the exact same reporting period that the related product sales are recorded. By doing this, the financial statements show all costs related to product sales in the most accurate way possible, revealing the true profitability of those sales.
If management changes the warranty's coverage period, this will affect the expense for warranties for sales made both in the current period and in previous periods whose warranties have since been extended into the current period.
The cost of warranty claims might not be recognized for several months after the related sales if they were instead only recognized when the business actually processes claims from customers. For the duration of the warranty period, the financial reporting using this strategy would produce abnormally high initial profits followed by depressed profits in later months.
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