To determine how the net income of $34,000 will be split between Fred and Barney, we need to follow the partnership agreement
Fred's capital contribution: $15,000 Barney's capital contribution: $23,500 According to the agreement, each partner receives an annual distribution equal to 14% of their capital contribution. Let's calculate the annual distribution for each partner: Fred's annual distribution: 14% of $15,000 = 0.14 * $15,000 = $2,100 Barney's annual distribution: 14% of $23,500 = 0.14 * $23,500 = $3,290
learn more about income here :
https://brainly.com/question/2386757
#SPJ11
the sugar used mostly for dusting the tops of dessert
Answer:
Powdered Sugar
Explanation:
Cornstarch is added at around 3%, to prevent clumping because sugar is very hygroscopic. It's ideal for dusting, icing, frosting and other decorating as it easily dissolves in liquid to create a thick, spreadable substance.
what's two examples of a direct competition?
Answer and Explanation:
Direct competition is a type of competition where two or more businesses offers the same kind of product and compete in the similar market.
The examples like dominos versus pizza hut in terms of food, HP versus Dell in terms of laptop
So in this examples they sell the same kind of products and compete each other
Bond prices and maturity dates. Les Company is about to issue a bond with monthly coupon payments, an annual coupon rate of 14%, and a par value of $1,000. The yield to maturity for this bond is 12%. a. What is the price of the bond if it matures in 15,20,25, or 30 years? b. What do you notice about the price of the bond in relationship to the maturity of the bond? a. What is the price of the bond if it matures in 15 years? (Round to the nearest cent.)
To calculate the price of the bond, we can use the present value formula for a bond: Price = [C / (1 + YTM)^1] + [C / (1 + YTM)^2] + ... + [C / (1 + YTM)^n] + [M / (1 + YTM)^n], where C is the coupon payment, YTM is the yield to maturity, n is the number of periods, and M is the par value.
Given:
Coupon payment (C) = 14% * $1,000 = $140
Yield to maturity (YTM) = 12%
Par value (M) = $1,000
a. To calculate the price of the bond if it matures in 15, 20, 25, or 30 years:
For 15 years (n = 15):
Price = [140 / (1 + 0.12)^1] + [140 / (1 + 0.12)^2] + ... + [140 / (1 + 0.12)^15] + [1000 / (1 + 0.12)^15]
For 20 years (n = 20):
Price = [140 / (1 + 0.12)^1] + [140 / (1 + 0.12)^2] + ... + [140 / (1 + 0.12)^20] + [1000 / (1 + 0.12)^20]
For 25 years (n = 25):
Price = [140 / (1 + 0.12)^1] + [140 / (1 + 0.12)^2] + ... + [140 / (1 + 0.12)^25] + [1000 / (1 + 0.12)^25]
For 30 years (n = 30):
Price = [140 / (1 + 0.12)^1] + [140 / (1 + 0.12)^2] + ... + [140 / (1 + 0.12)^30] + [1000 / (1 + 0.12)^30]
b. As the maturity of the bond increases, the price of the bond decreases. This is because the longer the bond's maturity, the greater the discounting effect of the yield to maturity on the future cash flows. In other words, the longer the bond's life, the more time there is for the present value of the future cash flows to be discounted at a higher yield, resulting in a lower price.
Let's calculate the price of the bond if it matures in 15 years:
Price = [140 / (1 + 0.12)^1] + [140 / (1 + 0.12)^2] + ... + [140 / (1 + 0.12)^15] + [1000 / (1 + 0.12)^15]
Price ≈ $1,112.86 (rounded to the nearest cent)
Learn more about cash flows here: brainly.com/question/33651003
#SPJ11
The price of a bond is influenced by its coupon rate, yield to maturity, and maturity date. In this case, Les Company is issuing a bond with a 14% annual coupon rate and a par value of $1,000. The yield to maturity for this bond is 12%. this equation will give us the price of the bond if it matures in 15 years.
To calculate the price of the bond, we need to discount the future cash flows (coupon payments and the final payment of the par value) to their present value using the yield to maturity. The formula to calculate the present value of a bond is: PV = (C / (1 + r)^1) + (C / (1 + r)^2) + ... + (C / (1 + r)^n) + (F / (1 + r)^n)
Where:
PV = Present value of the bond C = Coupon payment r = Yield to maturity n = Number of periods (in this case, the number of years until maturity) F = Par value of the bond Now let's calculate the price of the bond if it matures in 15 years:
PV = (140 / (1 + 0.12)^1) + (140 / (1 + 0.12)^2) + ... + (140 / (1 + 0.12)^15) + (1000 / (1 + 0.12)^15)
PV = (140 / 1.12) + (140 / 1.25) + ... + (140 / 5.475) + (1000 / 5.475)
Calculating this equation will give us the price of the bond if it matures in 15 years.
To know more about maturity refer here:
https://brainly.com/question/33026044#
#SPJ11
Which revision eliminates the pronoun shift in the sentence below? if a student wishes to go on the field trip, they must bring in a permission slip. If a student wishes to go on the field trip, you must bring in a permission slip. If students wish to go on the field trip, he or she must bring in a permission slip. If students wish to go on the field trip, you must bring in your permission slips. If a student wishes to go on the field trip, he or she must bring in a permission slip?
Answer:
D- If a student wishes to go on the field trip, he or she must bring in a permission slip
Explanation:
it's right on edge 2022
The revision that eliminates the pronoun shift in the sentence below is If a student wishes to go on the field trip, he or she must bring in a permission slip. This is further explained below.
What is a permission slip?Generally, A permission slip is simply defined as a form that another institution sends home with a pupil and a parent in which the parent authorizes minors.
In conclusion, a permission slip is required as consent from the guardian.
Read more about permission
https://brainly.com/question/20300365
#SPJ2
Consider Australian football, cricket, and field hockey. Of the three, list which of those sports you find the most interesting, why it interests you, and a few rules of the game.
Answer:
Basic Rules Of Cricket
Cricket is played between two teams each made up of eleven players. ...
Games comprise of at least one innings where each team will take turns in batting and fielding/bowling.
The fielding team will have a bowler bowl the ball to the batsman who tries to hit the ball with their bat.
Explanation:
hope this helps
Sample Response: Students should select one of the listed sports and be able to describe some unique features of the sport highlighted in the test. Their interest in the sport can be pretty much anything including their relative obscurity in the US mainstream, past experience playing with family, or because they seem uniquely challenging.
the primary purpose of a data warehouse is to perform transactional processes
The primary purpose of a data warehouse is not to perform transactional processes.
I apologize, but there seems to be a misunderstanding in your question. The primary purpose of a data warehouse is NOT to perform transactional processes. The main function of a data warehouse is to facilitate analytical processing, not transactional processing. Here's a correct explanation:
The primary purpose of a data warehouse is to store and consolidate large volumes of data from various sources into a single, integrated repository. The process involves extracting, transforming, and loading (ETL) data from operational systems, such as transactional databases, into the data warehouse. The data is then organized in a way that is optimized for analytical querying and reporting.
The data warehouse provides a historical and time-variant view of the data, allowing users to analyze trends, patterns, and insights over time. It supports complex queries and aggregations, enabling business analysts, data scientists, and decision-makers to perform data analysis for strategic decision-making, business intelligence, and reporting purposes.
In contrast, transactional processes are focused on managing real-time business operations, handling individual transactions like sales, orders, or reservations. Transactional databases are designed for quick read and write operations to maintain the latest and most up-to-date data for operational activities. Unlike data warehouses, transactional databases are not optimized for complex analytical queries but rather for high-performance transaction processing.
Learn more about transactional processes
https://brainly.com/question/32470530
#SPJ11
You are to receive €145,000 on December 30 from a customer in Germany. Today’s spot price is $1.04/€ and the January 2023 forward rate is $1.08/€. You enter a January futures contract (€125,000) to sell the euro at $1.08/€. When you receive the €145,000 on December 30 the spot exchange rate is $1.05/€ and you sell the €145,000. On that same day you close your futures contract at $1.05/€. What is the effective exchange rate you received for the €145,000? Go to 4 decimal places.
The effective exchange rate you received for the €145,000 is $1.0500/€.
To calculate the effective exchange rate, we need to consider the spot rate and the gain or loss from the futures contract.
Given that the spot exchange rate on December 30 is $1.05/€, when you sell the €145,000, you receive €145,000 * $1.05/€ = $152,250.
Now, let's calculate the gain or loss from the futures contract. You entered the futures contract to sell €125,000 at a rate of $1.08/€. However, when you close the contract on December 30, the spot rate is $1.05/€. The difference between the contracted rate and the spot rate is $1.08/€ - $1.05/€ = $0.03/€. Since the futures contract is for €125,000, the gain or loss would be €125,000 * $0.03/€ = $3,750. Adding the gain from the futures contract ($3,750) to the amount received from selling the euros ($152,250), we get a total of $156,000.
Finally, to find the effective exchange rate, we divide the total amount received ($156,000) by the initial amount of euros received (€145,000):
Effective exchange rate = $156,000 / €145,000 ≈ $1.0500/€.
To know more about exchange rate visit:
https://brainly.com/question/10187894
#SPJ11
Question 3: Answer the following questions
3.1)
Calculate 250% of 100.
(2)
3.2)
Calculate 100% of 250
(2)
2
3)
What do you notice about your answers to question 3.1) and 3.2)? Explain your answer.
Answer:
\( \frac{250}{100} \times 100 \\ = 250 \\ \\ \frac{100}{100} \times 250 = 250 \\ the \: answers \: are \: identical\)
What general rule of thumb connects your car payment and your monthly savings budget?
cosA=1/2^-1.find the value of A
Answer:
A = 60°
Explanation:
Since cosA = 1/2, to find the value of A, we take the inverse cosine of both sides.
So, cosA = 1/2
So, taking inverse cosine of both sides, we have
cos⁻¹cosA = cos⁻¹(1/2)
So, A = cos⁻¹(1/2)
Using our calculator, taking cosine inverse of one-half, we find that, cos⁻¹(1/2) = 60°
Since cos⁻¹(1/2) = 60° and A = cos⁻¹(1/2)
This implies that A = 60°
So, we find that the value of A is 60°.
write the use of hydraulic press
Answer:
Hydraulic presses are used for ;
ForgingClinchingMouldingBlankingPunchingDeep drawing Metal forming operations. Creating more intricate shapes Can be economical with materials.Explanation:
what aspect of marketing provides information and useful insight about customer behaviors and interactions that can help answer questions in a concrete way?
The aspect of marketing provides information and useful insight into customer behaviors and interactions that can help answer questions in a concrete way. Therefore, option A is correct.
What is a Customer?A customer is referred to as an individual who purchases a product or service. He may or may not be the consumer. A consumer refers to a person who utilizes or consumes goods and services.
Understanding client demands, opinions about various products and businesses, customer satisfaction, and priorities for product offerings and pricing, may all be gained from marketing research.
Therefore, option A is appropriate.
Learn more about Market research, here:
https://brainly.com/question/28590582
#SPJ1
THE COMPLETE QUESTION IS PROBABLY
What aspect of marketing provides information and useful insight about customer behaviors and interactions that can help answer questions in a concrete way?
Single Choice Question. Please Choose The Correct Option
A
Marketing data
B
Marketing impressions
C
Marketing strategies
D
Marketing touchpoints
The first step to merging is entering the ramp and _____.
Answer: b. matching your speed
Explanation: (Actually not asking this question, I'm just posting it because I myself was searching for the correct answer and could not find it anywhere, so I'm just going to post it for the Students who need it) - I got it incorrect on my Drivers Ed quiz and it gave me the correct answer as you can see here:
Answer:
its c
Explanation:
The first step to merging is entering the ramp and signaling your intent. The correct option is C.
Thus, Entering the ramp and indicating your purpose is one of the important basic stages. To do this, park your car in the merge lane or on the ramp while turning on your turn signal to signal that you want to merge into traffic.
By signalling, you let other drivers know what you're planning, letting them to either slow down or create room for you to merge safely.
Recall that caution and attention to traffic conditions are required while merging into a highway or into a merging lane. Always pay attention to how traffic is moving, make a smooth and safe merge when you must, and always yield.
Thus, The first step to merging is entering the ramp and signaling your intent. The correct option is C.
Learn more about Merging lane, refer to the link:
https://brainly.com/question/7992198
#SPJ6
Which one of these would not be a factor in determining the reorder point? A. the EOQ B. the demand or usage rate. C. the variability of demand
The EOQ Economic order quantity would not be a factor in determining the reorder point
The amount of inventory a business should order to meet demand while lowering overall ordering, receiving, and holding costs is known as the economic order quantity (EOQ). The optimal circumstances for using the EOQ formula are those where demand, ordering, and holding costs are stable throughout time. The assumption that the demand for the company's products would remain steady over time is one of the largest constraints on the economic order quantity. Businesses determine their appropriate order size using economic order quantity (EOQ) calculations, which enables them to meet demand without going overboard. The goal of EOQ computation for inventory management is to reduce holding costs and excess inventory.
To learn more about EOQ Economic order quantity refer here:
https://brainly.com/question/30624294
#SPJ4
True/False :Manager of a software company should promote productivity and sacrifice quality and ethical approach a little bit if needed, because software engineering is a balancing act.
False. The manager of a software company should not promote productivity at the cost of sacrificing quality and ethical approach. In fact, it is the responsibility of the manager to ensure that the company produces quality software that meets the ethical standards.
Software engineering is indeed a balancing act, and the manager must balance productivity, quality, and ethics to ensure the success of the company.
Sacrificing quality and ethical approach in the pursuit of productivity can lead to serious consequences, such as loss of reputation, customer dissatisfaction, and legal issues. Quality and ethics should always be at the forefront of software development, and the manager must ensure that the team understands this.
Furthermore, promoting productivity at the cost of quality and ethics can actually be counterproductive in the long run. Poor quality software can result in increased costs due to maintenance and bug fixes, while unethical practices can harm the company's reputation and drive away potential customers.
In conclusion, while software engineering is indeed a balancing act, the manager of a software company should prioritize quality and ethical approach over productivity to ensure the long-term success of the company.
Learn more about software here :-
https://brainly.com/question/985406
#SPJ11
But how do leaders get employees to do their work?
Answer:
By being polite or paying them
M taventory A Beginning inventory 16-21. How many units are available-to-promise in period 1? period 4? 12 Period 2 3 4 5 6 100 100 100 100 50 125 95 85 45 15 250 1 50 85 250 On hand = 60 Forecast Customer Orders Master Production Schedule Available-to-Promise 4 5 14-24. Calculate the available-to-promise row in the following ma- 6 trix. 6 14-28. The Blue 2 1 Period 3 4 4 5 50 100 50 100 75 175 45 15 200 = 100 On hand Forecast 100 125 rates rur Bumped night. W of unde no-show 50 50 200 Customer Orders Master Production Schedule Available-to-Promise
In the M taventory example, the available-to-promise units in period 1 are 100 and in period 4 are 250.
In the Blue example, the available-to-promise row would be 50, 75, 75, and 125 units respectively for each period.
Available-to-promise (ATP) is a concept in inventory management that calculates the number of units that are available to fulfill customer orders in a given time period after accounting for the existing inventory, scheduled production, and customer orders.
In the M taventory example, the beginning inventory is 16 units, and there are no customer orders in period 1. So, all 100 units of the master production schedule can be added to the on-hand inventory of 16 units to get 116 units available to promise in period 1.
While in period 4, there is an on-hand inventory of 125 units and a forecast of 15 units, so the total inventory is 140. However, there are customer orders of 45 and 85 units, so the available-to-promise units in period 4 are 140 - (45+85) = 10 units.
In the Blue example, the ATP row is calculated as follows: The beginning inventory is 2 units, and there are no customer orders in period 1.
So all 100 units of the master production schedule can be added to the on-hand inventory of 2 units to give 102 units available to promise in period 1. In period 2, there is a customer order of 50 units, and the on-hand inventory is 102-50 = 52 units. In period 3, there is a customer order of 75 units, and the on-hand inventory is 52 - 75 = -23.
This means that there is not enough inventory to meet the demand. In period 4, the blue company can produce 100 units and also has an on-hand inventory of 45 units, so the total ATP is 145.
Similarly, in period 5, the ATP is calculated by adding the production capacity to the on-hand inventory and subtracting the customer demand to get 125 units available to promise.
In conclusion, the ATP calculation helps organizations decide how much inventory to allocate for customer orders and how much to maintain as safety stock and plan the production schedule for future periods.
Learn more about organizations here.
https://brainly.com/questions/17164427
#SPJ11
Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to
exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?
The correct answer is Journalism
Explanation:
Journalism is one of the careers that most require the use of communicative and research skills. This is because journalists are expected to gather information about important local, national and global events, which requires the use of research skills, and later they are expected to communicate the information precisely, concisely, and confidently, which requires the use of communicative skills. In this context, the career Sam is preparing for is journalism because this is the only one from the options that would require Sam to research and then communicate information confidently.
Answer:
D. Journalism
Explanation:
short-term exposure to exchange rate risk can be reduced by importing raw materials and using
Short-term exposure to exchange rate risk can be reduced by importing raw materials and using hedging strategies.
Importing raw materials can help reduce exchange rate risk because it allows business to diversify their sourcing and avoid relying solely on domestic suppliers.
importing raw materials from different countries, businesses can take advantage of favorable exchange rates and potentially mitigate the impact of currency fluctuations.
Additionally, hedging strategies can be employed to manage exchange rate risk in the short term. Hedging involves taking positions in financial instruments that offset the potential losses from adverse currency movements. For example, businesses can use currency forward contracts, s, or futures contracts to lock in exchange rates for future transactions and protect themselves against unfavorable currency fluctuations.
By combining the use of imported raw materials with hedging strategies, businesses can reduce their vulnerability to short-term exchange rate volatility. However, it's important to note that hedging strategies come with their own costs and considerations, and they may not completely eliminate exchange rate risk. Long-term exposure to exchange rate risk may require additional strategies such as establishing foreign subsidiaries, implementing pricing adjustments, or considering currency diversification in the company's operations.
Learn more about business here:
https://brainly.com/question/15826604
#SPJ11
What is the best reason for homebuyers to create a budget before taking out a mortgage?
to compare the value of their home with that of their neighbors
to plan how to pay off the money they have borrowed
to set aside enough money to refinance the loan
to figure out how long they can stay in their home
The best reason for homebuyers to create a budget before taking out a mortgage is to : Plan how to pay off the money they have borrowed.
What is a mortgage?A mortgage is an agreement(legal) between a bank and the buyer in which the bank lends money to the buyer to purchase a house.
When a buyer takes a mortgage, the buyer agrees to pay back the money in full with an agreed interest rate, at a stipulated time.
Types of actions that can be taken with a mortgage are :
Purchase a homeMaintain a homeMaintain other types of real estateTherefore, the best reason for homebuyers to create a budget before taking out a mortgage is to plan how to pay off the money they have borrowed.
Learn more about mortgage here : https://brainly.com/question/1318711
Answer:
b
Explanation:
Expenses for a 1,000 square foot office space are $6. 00 per square foot. The lease specifies an expense stop of $5. 40. What is the total expense paid by the landlord?
$5,400 is the total expense paid by the landlord.
1000×5.40=$5400.
Do expenses count as assets?An expense is a purchase made for a business's operations that typically costs less than $2,000. Unlike an asset, expenses are typically consumed quickly by the business, therefore they do not retain their value for longer than a year.
What do you mean of income?The phrase "income" often refers to the total sum of cash, assets, and other value transfers received over a predetermined period of time in return for goods or services. There isn't a single, accepted definition of income; instead, the term is defined in light of the context in which it is used.
What is the difference between income and expense called?The difference between a company's revenues and expenses over the course of an accounting period is known as net income or loss.
To know more about difference between income and expense visit:
https://brainly.com/question/15191132
#SPJ4
Henry works at a restaurant. One of his best chefs has just called in sick minutes before the dinner rush, and Henry needs to make sure that his inexperienced kitchen staff is preparing food with quality and speed. In this example, which style of leadership would be most effective for Henry to achieve his goals?
Answer:
b.
Coaching
Explanation:
Answer:
is B. Coahing
Explanation: here is the proof
need asap plz!!! Questlon 5 of 10 Which statement best describes the idea of the law of supply? A . The supply of a product decreases as its price increases B. The demand for a product decreases as its supply decreases. C. The demand for a product increases as its price increases. D. The supply of a product increases as its price increases SUBMIT
Answer:
D. The supply of a product increases as its price increases
Explanation:
Supply is the volume of a product or a service that sellers are willing to sell in the market at a stated price. The law of supply explains the relationship between price and the quantity suppliers are willing to sell.
The law asserts that as the price increases, suppliers will supply more quantities of a product. A price decrease will cause suppliers to supply a lower quantity. Suppliers are profits motivated. A price increase results in higher profits hence more supply.
Which of the following is an example of promotion?
A The quality of a product
B. The price of a product
C. An advertisement
D. An employee who works for your company
Answer:
A. An advertisement
Explanation:
Answer:
it is c
Explanation:
on edg 2021
What was one result of the Bretton Woods system?
A. The U.S. dollar became backed by gold for the first time.
B. The U.S. dollar was no longer accepted in most countries.
C. The U.S. dollar became more valuable and influential.
D. The U.S. dollar lost its status as the world's reserve currency.
One of the results of the Bretton woods system was that the U.S dollar became more valuable and influential.
What is Currency?Currency is a medium for exchange for goods and services. It is a form of legal tender approved by the government and accepted by all as a means of exchange.
The U.S dollar is a popular form of currency that is accepted by most countries as a form of exchange. After the Bretton Woods system was adopted, the U.S dollar became more influential and valuable to many.
Learn more about Currency here:
https://brainly.com/question/1366402
#SPJ1
Imagine you want to become a chef and restaurant owner. What education and
skills would you need to succeed in this position?
Answer:
Cooking and business managing skills
Explanation:
To be a chef you need to know how to cook, not just following recipes, but being able to cook food that uses the ingredients and measurements you think it need.
To own a restaurant you need to know how to budget money, what you need to buy, how to be able to pay for a restaurant, how to manage it, how to hire staff and pay your staff.
Document 3: What happens to competition in a communist system?
Answer:
Explanation:
In a communist system the central authority dictates the means and quantity of production , and gives strict rules on businesses. Since there is no competition amongst firms , each is given the amount of money and each wo0rker is paid the same with same expectations of each.
I have a
Debit card
The internet
An email
What is a way I can make money from home but under 18.
Answer:
start animation or selling online
The profits from various forms of trafficking are estimated to be _____ annually.
Answer:
The answer is $150 billion
Explanation:
The profits from various forms of trafficking are estimated to be $150 billion annually.
Cms may eliminate any increase in payment due to the occurrence of selected post-admission complications, known as:.
Answer:Hospital Acquired Conditions
Explanation:
CMS may eliminate any increase in payment due to the occurrence of selected post-admission complications known as Hospital Acquired Complications.
What are hospital-acquired conditions?Illnesses that arise when a patient is in the hospital for another reason result in suffering from these conditions known as Hospital Acquired conditions.
To reduce the causes of these spreads, Hospitals have developed reduction programs that aim to promote hospitals to enhance patient safety by reducing the number of conditions associated with hospitalization of the patient.
These reduction programs help them to design better safety and security to restrict this kind of infection.
Learn more about Hospitals, here:
https://brainly.com/question/23946521
#SPJ2