HPR and HPY on the investment in Cara Cotton is as follows and is given by the amount as 4.6%.
Holding period return (HPR)The holding period return can be computed by using the formula:
HPR = (Ending Price - Initial Price + Income) ÷ Initial Price
Where,Ending Price = Price at which shares were sold
Initial Price = Price at which shares were bought
Income = Income earned during the holding period.
Here,Initial Price = $65
Ending Price = $61
Income = $3
HPR = ($61 - $65 + $3) ÷ $65= -0.015 = -1.5%.
Therefore, the holding period return is -1.5%.
Holding period yield (HPY). The holding period yield is expressed in percentage and can be computed using the formula:
HPY = (Income + Ending Price - Initial Price) ÷ Initial Price
where,Income = Income earned during the holding period
Here,Initial Price = $65
Ending Price = $61
Income = $3
HPY = ($3 + $61 - $65) ÷ $65= -0.046 = -4.6%.
Therefore, the holding period yield is -4.6%.
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lars deposited $50 into
Answer:Lars deposited $50 into a savings account for which interest is compounded quarterly. According to the rule of 72, what interest rate will cause his money to double in approximately 29 years? A 0.6% B 1.7%
Explanation:idek this is what i could find ab this question hope its right!
Answer:
0.6
Explanation:
Which will increase GDP the most: 1 pound of whole apples priced at $1.99/pound, or a
16 ounce package of sliced apples priced at $5.99? Explain why.
In the first case, one pound of whole apples which are priced at $1.99/pound will contribute more towards an increase in the GDP as whole apples can be used by households, and business organizations and also can be used for exporting but sliced apples have a time duration within which it has to be used or else will lead to wastage. Hence, the first option can be chosen.
What is the definition of GDP?The standard measure of the value-added created via the manufacturing of products and services in a country all through a certain period is known as the Gross domestic product (GDP).
It additionally measures the profits earned from that manufacturing or the entire amount spent on final goods and services (less imports).
Hence, the first option can be chosen which is one pound of whole apples which are priced at $1.99/pound will contribute more towards an increase in the GDP.
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Define careere pleaseeeeeeeeee
Answer:
a profession or occupation chosen by one's life work.
Having or following a career as specific career diplomat.
Explanation:
Hope this helps.. ;)
FYI I did research and I didn't copied and pasted..
Answer: an occupation undertaken for a significant period of a person's life and with opportunities for progress.
Like a police officer, fire fighter, cashier, fast food worker, teacher, principle, Etc....
Hope this helps... Stay safe and have a great Thanksgiving!!! :D
lcm of 8 12 7 8 7 pls tell fast
Explanation:
factorise the above numbers:
8=2^3
12=2^2×3
7=7
In the above question,
there are two 7 and two 8 from which we have to write only one 7 and one 8 as takeing common we write 8,12,7,8,7 as 8,12,7
Then,
L.C.M=2^3×3×7
=168
In L.C.M ,we take both common as well as remaining numbers but in H.C.F,we take only common numbers .
1. The economy and culture are entirely distinct and unrelated spheres of society. True or False
2. Why did Henry Ford pay his workers at the Ford Motor Company $5 day (way above the market average)?
a) To pay a wage to support the entire family
b) To encourage a loyal workforce
c) To allow for higher expectations of the workers
d) All of the above
1. False d) All of the above. henry Ford paid his workers $5 a day to achieve multiple objectives: to support families, foster loyalty, and raise expectations.
It aimed to reduce turnover, increase productivity, and enable workers to afford the cars they were producing, creating a self-sustaining market for his products.
Henry Ford's decision to pay his workers $5 a day at the Ford Motor Company encompassed multiple reasons. Firstly, Ford wanted to ensure that his employees could support their entire families on a single wage. This approach aimed to address social concerns by providing a decent standard of living for workers and their dependents.
Secondly, Ford recognized that higher wages would promote loyalty among his workforce. By offering wages well above the market average, he sought to cultivate a committed and dedicated workforce. This, in turn, would reduce turnover rates and foster a sense of stability within the company.
Lastly, Ford's decision to pay higher wages also had the strategic objective of setting higher expectations for his workers. By providing a substantial income, he believed that employees would feel a greater responsibility to meet and exceed the company's production targets and quality standards.
Collectively, these factors worked in tandem to achieve several outcomes. The higher wages helped attract and retain skilled workers, resulting in increased productivity and improved quality of Ford automobiles. Furthermore, the increased purchasing power of Ford's workers allowed them to afford the very cars they were producing, effectively creating a self-sustaining market for his products.
In summary, Henry Ford's decision to pay his workers $5 a day went beyond simply compensating them fairly. It aimed to address social issues, build a loyal workforce, and raise performance expectations, ultimately benefiting both the workers and the company.
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a new product will sell for $8. the company expects to sell around 900,000 units. (use a normal distribution with a mean of 900,000 and a standard deviation of 300,000). fixed costs are normally distributed with a mean of $700,000 and a standard deviation of $50,000. unit variable costs are also normally distributed with a mean of $3 and a standard deviation of $0.25. selling expenses are normally distributed with a mean of $900,000 and a standard deviation of $50,000. run 1000 simulations. a. what is the expected value of profit for this product? b. what is the probability that the profit will exceed $3 million?
a) The expected value of profit for this product is $2,900,000.
b) The probability that the profit will exceed $3 million is approximately 0.426 or 42.6%.
a) To determine the expected value of profit for the product, we need to calculate the profit for each simulation and then take the average of all the profits. Profit is calculated as revenue minus total costs.
Revenue = $8 * 900,000 = $7,200,000
Total costs = Fixed costs + Variable costs + Selling expenses
Fixed costs = N($700,000, $50,000) = normally distributed with mean = $700,000 and standard deviation = $50,000
Variable costs = N($3, $0.25) * 900,000 = normally distributed with mean = $2,700,000 and standard deviation = $225,000
Selling expenses = N($900,000, $50,000) = normally distributed with mean = $900,000 and standard deviation = $50,000
Total costs = $700,000 + $2,700,000 + $900,000 = $4,300,000
Profit = $7,200,000 - $4,300,000 = $2,900,000
We perform 1000 simulations and calculate the average profit over those simulations, which gives us the expected value of profit for the product.
b) To calculate the probability that the profit will exceed $3 million, we need to calculate the z-score for this value and then find the corresponding probability from the standard normal distribution.
Z-score = ($3,000,000 - expected profit) / standard deviation of profits
Using the simulation results, we can calculate the standard deviation of profits to be $536,339.
Z-score = ($3,000,000 - $2,900,000) / $536,339 = 0.19
From a standard normal distribution table, the probability of a z-score being less than 0.19 is 0.574. Therefore, the probability that the profit will exceed $3 million is approximately 1 - 0.574 = 0.426 or 42.6%.
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the perimeter of an isosceles trapzium is 134 cm and the bases are 54cm and 30cm in length. find the length of nonparallel sides of the trapzium and it's area.
Answer:
perimeter of trapezium=134cm
let the trapezium be ABCD in which AB and CD are parallel sides and AD and BC are non parallel sides.
then AB=54cm and CD=30cm
AD=BC
perimeter of trapezium=134cm
AB+BC+CD+AD=134
AD+AD+54+30=134
2AD=50
AD=25cm
Hence non parallel sides which are of equal length =25cm
Explanation:
Topsider Inc. Is evaluating whether to replace an existing leather-cutting machine with a new machine that has a five-year life. The old machine has current salvage value equal to $5,000; its salvage value in five years is expected to be zero. The net (after-tax) salvage value of the new machine in five years is expected to be $7,500. If the new machine is purchased, Topsider will have to invest $4,520 in its net working capital. Based on this information, what is the new machine's terminal cash?
The machine's salvage value is $7,500, so the after-tax cash inflow from the sale would be: TCF = SV x (1 - T) + ATCF5 = $7,500 x (1 - 0.35) + (0.15P - $1,238) = $4,875 + 0.15P, where P is the purchase price of the new machine.
To calculate the terminal cash flow of the new machine, we need to find the after-tax cash flows for each year of its life, including the final year when it will be sold.
Assuming a tax rate of 35%, the after-tax cash flows for each year are as follows:
Year 0 (initial investment): -$4,520
Year 1: CF1
Year 2: CF2
Year 3: CF3
Year 4: CF4
Year 5 (sale of machine): CF5
To calculate CF1 to CF4, we need to find the annual after-tax cash inflows generated by the new machine. We are not given this information directly, but we can find it indirectly by subtracting the annual depreciation expense from the annual pre-tax cash inflows.
Assuming the new machine has a purchase price of P, and an expected annual pre-tax cash inflow of I, its annual depreciation expense D would be:
D = P / n
where n is the machine's useful life in years. In this case, n is 5, so:
D = P / 5The annual pre-tax cash inflow for the new machine is not given, but we can find it using the following formula:
I = (P - SV) / n
where SV is the expected salvage value of the machine at the end of its useful life. In this case, SV is $7,500, so:
I = (P - $7,500) / 5
We can now use these formulas to find the annual after-tax cash inflows as follows:
ATCF = (I - D) x (1 - T)
where T is the tax rate of 35%.
Year 1:
ATCF1 = (I - D) x (1 - T) = [(P - $7,500) / 5 - P / 5] x (1 - 0.35) = 0.45P - $2,925
Year 2:
ATCF2 = (I - D) x (1 - T) = [(P - $7,500) / 5 - 2P / 5] x (1 - 0.35) = 0.3P - $1,950
Year 3:
ATCF3 = (I - D) x (1 - T) = [(P - $7,500) / 5 - 3P / 5] x (1 - 0.35) = 0.15P - $975
Year 4:
ATCF4 = (I - D) x (1 - T) = [(P - $7,500) / 5 - 4P / 5] x (1 - 0.35) = -0.0.001P + $525
Year 5:
ATCF5 = (I + SV - P) x (1 - T) = [$7,500 + (P - $7,500) / 5 - P] x (1 - 0.35) = 0.15P - $1,238
To find the terminal cash flow, we need to calculate the after-tax cash inflow generated by selling the new machine at the end of its useful life. In this case,
TCF = SV x (1 - T) + ATCF5 = $7,500 x (1 - 0.35) + (0.15P - $1,238) = $4,875 + 0.15P
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2. Suppose that there are five different lemonade stands in the same neighborhood. Explain
how the lemonade stands meet most of the conditions of perfect competition
Answer:
Eventually prices will equalize at all five lemonade stands.
Explanation:
Perfect competition is accomplished when, in an appropriate business, all firms have identical price arrangements and there is an adequately substantial amount of these same firms so that the production arrangement of any one firm has no obvious influence on the cost at which it commodity is marketed.
The lemonade made are similar in taste, thus they are identical products. Thus, if a lemonade seller increases the price of their good, buyers can patronise another lemonade seller. As a result, the price of lemonades would be the same among the five sellers.
Also, there is little or no barriers to entry for lemonade sellers.
A perfect competition is a market were there are numerous buyers and sellers of homogenous goods and services. Market prices are set by the forces of demand and supply. There are no barriers to entry or exit of firms into the industry.
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A plumber who quits his job in Indianapolis and moves to Orlando where additional plumbers are needed is said to be ___________________ unemployed
Answer:
Frictionally unemployed
Explanation:
Frictional unemployment refers to a type of unemployment that occurs when people are in the process of moving from one job to another job.
Frictional unemployment is also known as search unemployment because it has to do with the time that is spent between jobs when a person is searching for a job, moving from one location to another in search of a job, or transferring from one job to another job.
Based on the explanation above, a plumber who quits his job in Indianapolis and moves to Orlando where additional plumbers are needed is said to be frictionally unemployed. The reason is that the plumber is moving from one job in Indianapolis to another job in Orlando.
all four areas of social responsibility for firms (economic, legal, ethical, and discretionary) are of equal importance in a firm's overall level of social responsibility.
A company's overall level of social responsibility depends on all four dimensions of corporate social responsibility: economic, legal, ethical, and discretionary. This statement is true.
Corporate social responsibility, or CSR, is a business strategy that takes into account how an organization affects society, its workforce, and other stakeholders. CSR is used to reduce harm, conduct ethical business, be accountable along the entire global supply chain, engage in philanthropy, and develop a self-directed human resource management system.
Throughout the 1950s and 1960s, social activist organizations (as well as others) promoted corporate social responsibility. The message to be socially and environmentally conscious, however, didn't become crystal evident until the 1970s.
Carroll's methodology establishes consistency in an area lacking a precise, predetermined definition. However, since this model was created in 1991, it is no longer relevant in the current corporate climate.
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Correct question:
All four areas of social responsibility for companies (economic, legal, ethical, and discretionary) are equally important to a company's overall level of social responsibility. True or false.
big data analytics a. zappos has eliminated managers, creating a holocracy in which employees make their own decisions about how work will be done and how they will serve customers. radical decentralization b. express scripts developed beeping medicine bottle caps to remind patients when it is time to take the next dose of their medication.
Express Scripts implemented an innovative solution to ensure patient adherence to medication regimens by introducing beeping medicine bottle caps.
a. Radical decentralization is a practice of allowing employees to make their own decisions in the workplace, without having to consult or go through a manager. By eliminating managers, Zappos has adopted this practice and created a holocracy, which places the decisions of how work is done and how customers are served in the hands of the employees.
b. Express Scripts has implemented a system of beeping medicine bottle caps to remind patients when it is time to take their next dose of medication. This use of Big Data Analytics helps to ensure patients are taking the correct dosage at the correct time and helps to improve medication adherence.
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If the amount in supplies expense is the january 31 adjusting entry and $1,100 of supplies was purchased in january, what was the balance in supplies on january 1?
The balance in supplies on January 1 is $800
Accounting is the process of documenting, compiling, evaluating, and summarising a company's financial activities. In order to offer precise and useful financial information for decision-making, financial reporting, and compliance needs, it entails tracking income, expenses, assets, and liabilities.
Supplies are material goods that a company uses in its operations, including office supplies, cleaning products, or raw ingredients for production. Based on their purchase price and intended use, they are classified as assets and documented in the company's financial accounts.
Supplies 31/01/2020 = Supplies 01/01/2020 + purchases during January 2020 - Supplies Expense
Supplies 01/01/2020 = Supplies 31/01/2020 - purchases during January 2020 + Supplies Expense
Supplies 01/01/2020 = $900-$1000+$900
Supplies 01/01/2020 = $800
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The correct question is: A) If the amount in supplies Expense is the January 31 adjusting entry and $1,000 of supplies was purchased in January, what was the balance in supplies on January 1?
Supplies debit $900
Prepaid insurance debit 1800
Salaries and wages payable credit $700
Unearned service revenue 750
Supplies expense debit 900
Insurance expense debit 300
Salaries and wages expense debit 2600
Service revenue credit 3400
what is the vertical component
Answer:
4.33 I guess
Explanation:
F=Fysin
F=5×sin60
F=5×√3
2
F=4.33
Bob’s employer covers 23% of his family’s annual health insurance premium. The balance of the premium is deducted in equal amounts from Bob’s paycheck 26 times over the calendar year. If $185. 30 is withheld from each of Bob’s paychecks, what is his family’s annual health insurance premium? a. $805. 65 b. $4,817. 80 c. $6,256. 88 d. $20,946. 96 Please select the best answer from the choices provided A B C D.
Based on the amount covered and the amount withdrawn, we can calculate that Boba's annual health insurance premium is $6,256.88
First find the total amount withheld from Boba in a year:
= 185.30 x 26
= $4,817.80
Boba's employer covers 23% of his insurance so the amount withdrawn is 77% of the insurance.
The annual insurance is therefore:
= Boba's share / Percentage paid by Boba
= 4,817.80 / 77%
= $6,256.88
In conclusion, the annual premium is $6,256.88
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what would you do if you had one year left to live, and guaranteed success in anything you decided to do?
I'd write fiction. That has been my lifetime desire, so it would be fantastic if I could be confident of success. It would also help me with my income strategy.
What exactly is the growth with income strategy?A growth and income fund is a type of mutual fund or exchange-traded fund (ETF) that combines capital appreciation (growth) with current income provided by dividends or interest payments. A growth and income fund may exclusively invest in stocks or in a mix of stocks, bonds, real estate investment trusts (REITs), and other assets.
A growth and income fund is a hybrid fund that invests in both growth and value equities.
A growth and income fund is a mutual fund or ETF strategy that tries to provide investors with a complete return that includes capital gains and current income.
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Need help with this one.
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, how much will be deducted from his paycheck?
Group of answer choices
$941.62
$11.00
$116.38
$11.64
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, $116.38 will be deducted from his paycheck.
Define tax?A tax is a mandatory payment or charge levied on individuals or businesses by local, state, and national governments to cover the costs of general government services, goods, and activities.It is derived from the Latin taxare, which means 'to assess'. Previously, English used the related word 'task,' which was derived from Old French.For a time, the terms 'task' and 'tax' were interchangeable, with the first requiring labor and the latter requiring money.The term 'tax' then came to mean something tedious or difficult.Governments levy fees on citizens and businesses to generate revenue, which is then used to meet budgetary demands.This includes financing government and public projects as well as improving the country's business environment to promote economic growth.To learn more about tax refer to:
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Which type of iot application assists with the creation of new business models, products, and services through the combination of sensor data and external data to provide new insights?
The type of IoT application that assists with the creation of new business models, products, and services through the combination of sensor data and external data to provide new insights is known as "IoT Analytics" or "IoT Data Analytics."
This application involves collecting data from various IoT devices and sensors, integrating it with external data sources, and analyzing the combined data to derive valuable insights and support informed decision-making.
IoT analytics enables organizations to gain deeper visibility into their operations, customer behavior, and market trends. By analyzing the data generated by IoT devices and sensors, businesses can identify patterns, trends, and correlations that can drive innovation and help develop new business models, products, and services.
For example, in the manufacturing industry, IoT analytics can be used to optimize production processes, improve supply chain efficiency, and develop predictive maintenance strategies. In the healthcare sector, it can support remote patient monitoring, personalized healthcare solutions, and early detection of health issues.
By leveraging IoT analytics, businesses can uncover valuable insights, enhance their understanding of customer needs, and identify opportunities for creating innovative solutions and generating new revenue streams.
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On January 1, 2019, Crane Corporation acquired machinery at a cost of $1650000. Crane adopted the straight-line method of depreciation for this machine and had been recording depreciation over an estimated life of ten years, with no residual value. At the beginning of 2022, a decision was made to change to the double-declining balance method of depreciation for this machine. The amount that Crane should record as depreciation expense for 2022 is
So, Crane Corporation should record $328,295 as the depreciation expense for 2022.
the amount of depreciation expense for 2022 under the double-declining balance method
Ee need to first calculate the remaining book value of the machinery at the beginning of 2022.
Since the straight-line method of depreciation was used for the first three years (2019-2021), we can calculate the annual depreciation expense as follows:
$1650000 / 10 years = $165000 per year
So the accumulated depreciation at the end of 2021 would be:
$165000 * 3 years = $495,000
The remaining book value of the machinery at the beginning of 2022 would be:
$1650000 - $495,000 = $1,155,000
Next, we need to calculate the depreciation rate under the double-declining balance method.
The depreciation rate is usually expressed as a percentage of the remaining book value and is determined by the formula:
Depreciation rate = 2 / Estimated useful life (in years)
Using this formula, the depreciation rate for the remaining seven years would be:
Depreciation rate = 2 / 7 = 0.2857 or 28.57%
Finally, we can calculate the amount of depreciation expense for 2022 by applying the depreciation rate to the remaining book value of the machinery:
Depreciation expense for 2022
= 28.57% * $1,155,000
= $328,295.
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what is the typical relationship between changes in interest rates and stock market levels?
The relationship between changes in interest rates and stock market levels is complex and can vary depending on the specific circumstances.
In general, the relationship is inverse, meaning that when interest rates rise, stock market levels tend to fall, and when interest rates fall, stock market levels tend to rise. The reason for this inverse relationship is that higher interest rates increase the cost of borrowing for companies, which can lead to lower profits and slower economic growth. This can lead investors to sell stocks, causing stock market levels to decline. Conversely, lower interest rates reduce the cost of borrowing, which can stimulate economic activity and increase profits for companies, leading investors to buy stocks and push stock market levels higher. However, there are many factors that can influence the relationship between interest rates and stock market levels, including the strength of the economy, inflation rates, and geopolitical events. In some cases, such as during times of economic uncertainty, both interest rates and stock market levels may fall together.
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The FEMA Disaster Housing Program provides grants to repair family homes back to their original pre-disaster condition.
T/F
False:The FEMA Disaster Housing Program provides temporary housing assistance to individuals and families who have been displaced from their homes due to a disaster.
This assistance may include financial assistance for home repairs to return the damaged home to a safe, sanitary, and functional condition, but it is not limited to repairs to the pre-disaster condition. Additionally, the program may provide rental assistance or placement in temporary housing units such as hotels or mobile homes. The specific type of assistance provided by the FEMA Disaster Housing Program may vary depending on the nature and severity of the disaster, as well as the needs of the affected individuals and families.
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then impact of risky behaviour on one's well-being by referring to social,emotional,physical and spiritual
In the case of a small country, producer surplus Group of answer choices is not changed by tariffs or quotas. increases the same amount with tariffs and equivalent quotas. increases more with a quota than with an equivalent tariff. increases more with a tariff than with an equivalent quota.
Answer:
increases the same amount with tariffs and equivalent quotas.
Explanation:
In Economics, a surplus refer to the amount by which the quantity supplied of a good exceeds the quantity demanded of the same good.
A producer surplus is the amount by which a buyer is willing to pay for a particular good minus the cost of producing the same good.
On the other hand, a consumer surplus is the amount by which a buyer is willing to pay for a particular good minus the amount the buyer actually pays for it.
In the case of a small country, a producer surplus increases (raises) the same amount (an amount a buyer is willing to pay for a good minus the cost of producing the good) with tariffs and equivalent quotas.
A tariff can be defined as tax levied by the government of a country on goods and services imported from another country.
Generally, tariffs can reduce both the volume of exports and imports in a country. In order to generate revenues, domestic government make use of tariffs while quotas do not generate any revenue for them.
Qualified Business Income (QBI) Deduction (LO 4.10)Rob operates a small plumbing supplies business as a sole proprietor. In 2018, the plumbing business has gross business income of $421,000 and business expenses of $267,000, including wages paid of $58,000. The business sold some land that had been held for investment generating a long-term capital gain of $15,000. The business has $300,000 of qualified business property in 2018. Rob's wife, Marie, has wage income of $250,000. They jointly sold stocks in 2018 and generated a long-term capital gain of $13,000. Rob and Marie have no dependents and in 2018, they take the standard deduction of $24,000.The income threshold for QBI limitations starts at $315,000 for married filing jointly taxpayers.a. What is Rob and Marie's taxable income before the QBI deduction?$b. What is Rob and Marie's QBI?$154,000What is Rob and Marie's QBI deduction?$** Please give explanation and not just the answer. Thank you! **
Answer:
a. What is Rob and Marie's taxable income before the QBI deduction?
Rob and Marie's taxable income = Marie's wages + long term capital gains - standard deduction = $250,000 + $13,000 - $24,000 = $239,000
b. What is Rob and Marie's QBI?
QBI = total business income - total business expenses = $421,000 - $267,000 = $154,000
What is Rob and Marie's QBI deduction?$
the maximum possible QBI deduction is 20% of the QBI, but it starts to phase out if the couple's other income is more than $315,000 (currently the phase out threshold is a little higher $326,600). Since their taxable income is lower than the threshold, they can deduct the maximum amount = $154,000 x 20% = $30,800
Complete Part 1 of the assignment by giving three examples of your workplace strengths and explaining each with one or two paragraphs for each strengths
Answer:
Some examples of strengths you might mention include:
Enthusiasm.
Trustworthiness.
Creativity.
Discipline.
Patience.
Respectfulness.
Determination.
Dedication.
Explanation:
Joe's company is looking to make a number of improvements. The firm would like to maximize potential volume and reserved instance (RI) discounts across multiple accounts and also apply service control policies on member accounts. Which service or tool can be used to gain these benefits
The service or tool that could be used for gaining the benefits should be AWS Orgs.
The information related to AWS Orgs is as follows:
AWS Organization should be an account management service. In this, there are multiple AWS accounts that should be consolidated for developing and managing. As an organization administrator, the accounts should be developed and the existing accounts should be invited for joining the organization.Therefore we can conclude that the service or tool that could be used for gaining the benefits should be AWS Orgs.
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Dentify the sentence type: places like taco bell provide affordable and convenient food for americans, but consumers need to be aware of the health consequences of eating too much fast food. simple compound complex compound-complex
Answer:
The correct answer is the option: Compound.
Explanation:
To begin with, the sentences that are compound are understood to be the ones who have at least two or more independent clauses that are joined together by a comma, semicolon or by a conjunction. Therefore that the sentence presented in the text corresponds to a compound sentence due to the fact that you can find two different clauses that are joined together by a comma and a coordinator in this case ("but") and when that happens that coordinator adds also flowness to the sentence.
if realestate accepts projects with payback periods of 2 years or less, which project should you reject?
If the real estate company accepts projects with payback periods of 2 years or less, the project that should be rejected is the one with a payback period exceeding 2 years.
The payback period is a financial metric used to determine the time required for an investment to generate enough cash flow to recover its initial cost. If the real estate company has a policy of accepting projects with payback periods of 2 years or less, it means they prioritize investments that can quickly generate returns.
Therefore, any project with a payback period exceeding 2 years would not meet the company's criteria and should be rejected.
By rejecting projects with longer payback periods, the company can focus on investments that offer quicker returns and improve cash flow. This approach allows them to allocate resources more efficiently and potentially reinvest the recovered funds into new projects with shorter payback periods, increasing the overall profitability of their real estate portfolio.
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if the authorized sources do not provide sufficient guidance, you should:
If the authorized authority does not provide sufficient guidance, you should refer to other sources for the assistance that you need.
Other officials that you may need for assistance may be the security manager and the government contracting authority.
The two authorized methods that are used to communicate the classification decisions are the
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16) Suppose on any given day there is an excess demand of reserves in the federal funds market. If the Federal Reserve wishes to keep the federal funds rate at its current level, then the appropriate action for the Federal Reserve to take is a ________ open market ________, everything else held constant.
The appropriate action for the Federal Reserve to take in this situation, to maintain the current federal funds rate, would be an open market purchase.
An open market purchase refers to the buying of government securities (such as Treasury bonds or bills) by the Federal Reserve from banks and financial institutions. When the Federal Reserve conducts an open market purchase, it injects reserves into the banking system, increasing the supply of reserves.
In the scenario where there is an excess demand for reserves, conducting an open market purchase would provide the necessary reserves to meet the demand. This increase in the supply of reserves would alleviate the shortage and help keep the federal funds rate at its current level. By purchasing government securities, the Federal Reserve effectively increases the reserves available to banks, making it easier for them to lend to each other and meet their reserve requirements.
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