When the money supply of a country expands but production does not, the likely result is inflation.
An increase in the money supply without a corresponding increase in goods and services available for purchase creates a situation where there is more money chasing the same amount of goods. This excess money leads to a decrease in the purchasing power of each unit of currency, causing prices to rise.
Inflation erodes the value of money and can have various negative effects on an economy. It can reduce the standard of living, decrease consumer purchasing power, distort economic decision-making, and create uncertainty and instability. Managing the balance between money supply and production is crucial for maintaining price stability and overall economic health.
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By focusing on target profit pricing or target return pricing, a firm is using a ________ pricing approach.
By focusing on target profit pricing or target return pricing, a firm is using a profit-oriented pricing approach. With a profit-oriented pricing strategy, we will determine the price of our product in accordance with a specific profit objective.
That could be a target return, which means we want to the earn a specific percentage on each unit sold, or it could indicate we want to make the most money possible. When a corporation has a profit-oriented pricing purpose, it means that it wants to the maximize profits from each sale or service it offers while achieving long-term the corporate viability.
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Which questions about risk should someone ask before making a big purchase?
Answer:
what problems could be dangerous?
Explanation:
______ systems report on various segments or business units of the company.
Managerial Accounting systems report on various segments or business units of the company.
Why is managerial accounting important?A type of accounting known as managerial accounting, also referred to as management accounting, creates statements, reports, and other paperwork to assist management in making decisions about the performance of their business. The most common use of managerial accounting is for internal purposes. Businesses need management accounting because it enables them to convert raw financial data into reports that can be examined and used for strategic business decisions.
To estimate the probable financial inflows and outflows associated with certain business choices, managerial accountants utilize capital budgeting. Internal accounting information users are the main focus of managerial accounting. Executives, product managers, sales managers, and any other members of the business staff who use accounting data to guide decisions are examples of these internal users.
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How to start off with a paragraph if ur talking about a experience that u have had experiencing in some one else's perspective
Answer:
I think you mean reading in third perspective (him, her, they)
It also depends on the experience you want to talk about.
Business type: "During my time with the (insert job title or name), I have encountered many good and/or bad experiences."
Story type: (introduce the characters in the situation, and then layout the setting, and then tell the story)
bichon company purchased equipment for $6,720 on december 1. it is estimated that annual depreciation on the equipment will be $1,680. if financial statements are to be prepared on december 31, the company should make the following adjusting entry:
The company should make the following adjusting entry Debit Depreciation Expense, $140; Credit Accumulated Depreciation, $140.
A corporation, often known as co., is a legal entity that stands for a group of individuals with a certain goal who are either natural, legal, or a combination of the two. Members of the company work together for a shared cause in order to accomplish clearly stated objectives. Companies come in a variety of shapes.
So that the business itself has limited responsibility as members fulfil or fail to fulfil their obligations in accordance with the publicly stated incorporation, or published policy, a company may be established as a legal entity. It may be necessary to liquidate a company after it closed in order to discharge any outstanding debts. Corporate groupings are the ensuing entities that develop when corporations join forces and register themselves as new businesses.
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a loan company charges $30 interest for a one month loan of $500. find the annual interest rate they are charging. enter your answer as a percent.
The annual interest rate charged by the loan company is 72%.
To calculate the annual interest rate, we need to consider the fact that the loan is for one month and the interest charged is $30 on a $500 loan.
Step 1: Calculate the monthly interest rate
The interest charged for one month is $30. Since the loan amount is $500, we can calculate the monthly interest rate as follows:
Interest Rate = (Interest Charged / Loan Amount) * 100
Monthly Interest Rate = (30 / 500) * 100 = 6%
Step 2: Convert the monthly interest rate to an annual interest rate
To determine the annual interest rate, we multiply the monthly interest rate by the number of months in a year:
Annual Interest Rate = Monthly Interest Rate * 12 = 6% * 12 = 72%
Explanation (continued):
The loan company is charging an annual interest rate of 72% on the $500 loan. This means that if the loan were to be extended for a full year, the borrower would have to pay 72% of the loan amount as interest.
It's important to note that the interest rate mentioned here is a simple interest rate, which means it does not take into account compounding. In other words, the interest is calculated solely based on the initial loan amount and does not accumulate any interest on the interest itself.
Calculating interest rates involves determining the percentage of the loan amount that the borrower has to pay as interest. Understanding how interest rates are calculated is crucial when evaluating loan offers or comparing different financial products. It allows individuals to make informed decisions based on the cost of borrowing and helps them assess the affordability of a loan. Additionally, being aware of interest rates helps borrowers avoid predatory lending practices and high-cost loans.
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One of the simplest tax avoidance strategies is to contribute to a Roth IRA, although this may not be right for everyone. Some individuals, particularly low-income households that may be eligible for tax credits because of young children in the home, may benefit more from contributions to a traditional IRA. Here, you want to help Paula identify the best retirement savings option for her situation. Paula is 25, single, and makes $40,000 a year. Paula does not have access to an employer-sponsored retirement plan, but she really wants to start saving for retirement. She can contribute $5,000 of pretax money to a traditional IRA, or she can contribute $4,400 of after-tax money to a Roth IRA. The $600 difference represents the tax that Paula has to pay. Assume Paula continues to make this same annual contribution for 30 years and earns 9% on her investment. 1- Use the time value of money (TVM) formulas to calculate what the future value will be and how much she will have after taxes are paid in retirement by completing the following table. 2- Assuming that Paula continues to save aggressively for retirement and accumulates enough retirement wealth so that she will be in the 22% tax bracket in retirement, which option is better for Paula, a traditional IRA or Roth IRA? Tax Information Traditional IRA Roth IRA Money available to save $5,000 $5,000 Tax on money available to save $0 $600 Net annual contributions $5,000 $4,400 Number of years contributions are made 30 30 Future Value at 9% ? ? Retirement tax rate 22% 0%, qualified Roth IRA distributions are tax-free Tax ? ? After-tax wealth ?
To calculate the future value and after-tax wealth for Paula's retirement savings options, we can use the time value of money formulas. Let's complete the table:
Future Value Calculation: Using the future value of a lump sum formula:
Future Value = Net Annual Contribution * [(1 + interest rate)^number of years]
For the Traditional IRA:
Future Value = $5,000 * [(1 + 0.09)^30] = $5,000 * 13.182 = $65,910
For the Roth IRA:
Future Value = $4,400 * [(1 + 0.09)^30] = $4,400 * 13.182 = $57,890.80
After-Tax Wealth Calculation: For the Traditional IRA, the retirement tax rate is 22%, which means Paula will pay taxes on the withdrawals. Therefore, the after-tax wealth will be:
After-Tax Wealth = Future Value * (1 - Retirement Tax Rate)
After-Tax Wealth = $65,910 * (1 - 0.22) = $51,365.80
For the Roth IRA, qualified distributions are tax-free, so the after-tax wealth will be equal to the future value:
After-Tax Wealth = $57,890.80
Considering that Paula will be in the 22% tax bracket in retirement, the Traditional IRA option seems to be more advantageous. Although she pays taxes on the withdrawals, the higher future value of $65,910 outweighs the after-tax wealth of the Roth IRA, which is $57,890.80. However, it's important to consider individual circumstances and consult with a financial advisor to make the best decision based on Paula's specific needs and goals.
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If an individual has a credit score of 560 and they pay their credit card late once or twice, what might they expect a credit card company to do?(1 point)
If an individual has a credit score of 560 and they pay their credit card late once or twice, the credit card company may score them low credit score.
What is credit score?Credit score can be defined as what help to measure the credit worthiness of a person as it help to determine whether a person will pay his/her loan within a stipulated time or late.
A late payment credit card may tend to have negative impact on the a person based on the fact that it can lead to the credit card company to score the person low which inturn will affect the person creditworthiness.
Therefore the credit card company may score them low credit score.
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Write a sentence with a word Inflation rate:
Hello, A sentence using the word "Inflation rate" is:-
The inflation rate is levelling up in the case of petrol.
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Sheila felt prepared to work after her one-day job orientation for new employees. When she got to work, however, she was shocked. She was not prepared for the fast pace, sophistication and skill level found in her new department. By noon that day, Sheila felt like she was not cut out for the job. She felt under-skilled and underprepared to meet her department's
challenges.
On her way to the company cafeteria, one of her co-workers, Tammy, caught up with her and they had lunch together. Sheila was glad that Tammy was so friendly to her and she was able to relax a little bit. During lunch Tammy talked about their manager, Mr. Smith. Sheila learned that Mr. Smith was in trouble with his superiors. Next, Tammy told her about James, the computer programmer.
She told Sheila that James spread rumors and was not to be trusted. She talked about Mrs. Tyler, the accountant. She said that Mrs. Tyler was an alcoholic and frequently took sips from a whisky bottle in her desk.
Tammy asked Sheila to join her for coffee after work. She said, "Trust me, Sheila. Once you come to understand how screwed up everyone is around here and get the feel of the place, you'll do fine."
Question: Why would Tammy be so friendly towards Sheila? What might happen if
Sheila gets close to Tammy? Have you ever been in a similar situation?
Tammy was probably friendly with Sheila because she was outgoing and made her feel comfortable at work. But Sheila should be careful about getting involved in rumors that can turn into negative conflicts.
What are organizational conflicts?These are situations where there are differences in the work environment, which may be personal or professional, such as rumors and disagreements about tasks.
Organizational conflicts arising from rumors, such as the gossip of other employees told by Thammy to Sheila, can be extremely negative, and consequently generate enmity, disintegration of teams and even dismissals.
Therefore, it is essential that there is conflict management in the organization through effective communication, interpersonal relationships based on ethics and respect for all employees.
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Becky makes $8.75 an hour plus benefits, which are an additional 13.5%.
How much does Becky make per hour including benefits? *
$9.20
$
O $9.95
O $9.93
O $8.88
Answer:
$9.93
Explanation:
Becky makes $8.75, the benefits are 13.5 % of $8.75.
Including benefits, Becky makes
=8.75 + ( 13.5 /100 x $8.75)
=$8.75 (0.135 x $8.75)
=$8.75 + $1. 18125
=$9.93125
=$9.93
for human services pleaseeeeeeeeeeee help <3
Answer:
gghddhshdjshsjgsgsgshsnssmadCan anybody please provide at least 2 reasons for:
1. Why adopted children should know their biological parents' identities
2. Why adopted children shouldn't know their biological parents' identities
Thanks for anybody who helps! And please ASAP!!!!!!!!
1. Why adopted children should know their biological parents' identities
- it creates a kind of reunion among the involved parties include the children, the biological parents, and the adopted parents
- they can locate and reunate if they want to, once they have grown up
2. Why adopted children shouldn't know their biological parents' identities
- they might get hurt by trying to find the truth
- if they know that they were just adopted they can feel less of themselves even though the adopted parents love them with all their hearts
Accourding to the quantity theory of money all countries with the same average annual rates of inlfation must also have the same average annual rates of money growth.
a. True
b. False
True According to the quantity theory of money, if the amount of money in an economy doubles, all else equal, price levels will also double.
Definition: The quantity theory of money states that the money supply and price level in an economy are directly related to each other. When the money supply changes, the price level changes proportionally, and vice versa.
The quantity theory of money states that the price level multiplied by real output is equal to the money supply multiplied by the speed or rotation of the money supply. Speed is generally stable.
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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
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∨
Explanation:
Here's the picture and I hope this helped!
Have a nice day!
In 2021, Marques, age 70 and single, earned wages of $69,950. Marques had exclusions of $710, adjustments of $412, and itemized deductions totaling $15,222. Marques is not entitled to a qualified business income deduction. Marques' employer withheld federal income taxes of $2,584 from Marques' paychecks, and Marques is also entitled to an additional $679 tax credit. Marques is blind. What is the amount of Marques' 2021 taxable income?
Marques' 2021 taxable income is 37,011.
Taxable income is a person's gross income calculated after tax deductions and exemptions have been made.
It is the amount of a person's income that is used to calculate how much tax they owe the government.
Taxable income is the sum of all the money that is subject to income taxes, including salaries, wages, bonuses, tips, and all other forms of compensation.
Marques' 2021 taxable income Calculation:
Gross Income = 69,950
Exclusions = 710
Adjusted Gross Income (AGI) = Gross Income – ExclusionsAdjusted Gross Income (AGI)
= 69,950 – 710
= 69,240
Adjustments = 412
Taxable Income (Before Itemized Deductions) = AGI – Adjustments Taxable Income (Before Itemized Deductions) = 69,240 – 412
= 68,828
Itemized Deductions = 15,222
Taxable Income (After Itemized Deductions) = Taxable Income (Before Itemized Deductions) – Itemized Deductions
Taxable Income (After Itemized Deductions) = 68,828 – 15,222
= 53,606
Standard Deduction for a Single Taxpayer age 65 or over = 15,360
Taxable Income (Before Credits) = Taxable Income (After Itemized Deductions) – Standard DeductionTaxable Income (Before Credits)
= 53,606 – 15,360
= 38,246
Subtract the Blindness Exemption = 38,246 - 1,914
= 36,332
Add Additional Tax Credit = 36,332 + 679
= 37,011
Marques' 2021 taxable income is 37,011.
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which statement best illustrates the relationship between three different elements of the circular flow of products
Answer:
C. Businesses create goods for product markets, which sell them directly to households.
Explanation:
Circular flow model is an economic model that is used by economists to show or demonstrate how money, goods and services move from one economic agent to another such as producer, workers, wholesaler, retailer and consumers (households).
Basically, the three (3) elements of the circular flow model of products are;
I. Business firms (producers).
II. Product market (wholesalers and retailers).
III. Households (consumers).
According to the circular flow model of products, businesses play a role in the circular flow of products (goods) by creating goods that households or consumers want to buy. These goods are produced to meet the needs or wants of customers (households) and as such making them willing to buy it.
This ultimately implies that, the cardinal point or reason for which businesses engage in the manufacturing of goods and services is to supply the product markets, which sells them to consumers in order to meet their demands.
In conclusion, the statement which best illustrates the relationship between the three (3) different elements of the circular flow of products is that, businesses create goods for product markets, which sell them directly to households.
Answer:
resource markets sell materials sell materials to businesses which use them to make goods sold to households
Explanation:
I just took the test
Choose the best defense of the following statement: “A great communicator will practice speaking often.” a. Lots of practice will make the speaker less confident. b. Lots of practice will make the speaker’s argument more logical c. Lots of practice will make the speaker sound robotic. d. Lots of practice will make the speaker sound more natural.
Answer:
d. lots of practice will make the speaker sound more natural :)
Explanation:
Answer:
D: lots of practice will make the speaker sound more natural
Explanation: took the test
You are considering two savings options. Both options offer a 4% rate of return. The first option is to save $1,200, $1,500, and $2,000 a year over the next three years, respectively. The other option is to save one lump sum amount today. If you want to have the same balance in your savings at the end of the three years, regardless of the savings method you select, how much do you need to save today if you select the lump sum option?
A. $4,318.67
B. $4,491.42
C. $4,551.78
D. $4,607.23
E. $4,857.92
To achieve the same balance at the end of three years, regardless of the savings method chosen, you would need to save a lump sum amount today. The correct amount is $4,491.42.
The problem can be solved using the concept of present value. The first option involves saving different amounts each year, while the second option requires a single lump sum amount. In both cases, the goal is to have the same balance at the end of three years with a 4% rate of return.
To calculate the lump sum amount needed today, we need to find the present value of the future cash flows. We can use the formula for the present value of an annuity, which is:
\(PV = C × (1 - (1 + r)^(-n)) / r\)
Where PV is the present value, C is the cash flow, r is the interest rate, and n is the number of periods.
For the first option, the cash flows are $1,200, $1,500, and $2,000 over three years. Plugging these values into the formula with an interest rate of 4% (0.04) and three periods, we get:
\(PV = 1200 × (1 - (1 + 0.04)^(-1)) / 0.04 + 1500 × (1 - (1 + 0.04)^(-2)) / 0.04 + 2000 × (1 - (1 + 0.04)^(-3)) / 0.04\)
Calculating this expression gives us $4,491.42, which means that if you choose the lump sum option, you would need to save $4,491.42 today to have the same balance at the end of three years as the option with varying annual savings. Therefore, the correct answer is B. $4,491.42.
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What would you do as CEO to support the goals of Japan Airlines during the challenging economics that airlines face? a. Call employees at any level in the organization ""partners"" and reward empowerment in decision making b. Give personal emails and phone calls to employees at any level in the organization and thank them for their hard work and service to the company c. Ask other senior-level executives to mingle with lower-level employees by having lunch in the cafeteria several times a week
Answer: b. Give personal emails and phone calls to employees at any level in the organization and thank them for their hard work and service to the company
Explanation:
It is said that appreciation is the application for more, when people are thanked, they often tend to go the extra mile to do their best for the organization, this in turn will build the work force that will push unity and effectiveness both as a team and individually and would rub off in theor services to their customers. Encouraging the workers would go a long way to improve the services of the airline.
What can you do to help identify your aptitudes and abilities?
Answer:
First, you can simply brainstorm a list of all of your skills. If you aren’t sure what you are good at, your friends and family are always great resources to turn to. They have a good idea of your skills (others can sometimes see your aptitudes when you yourself cannot see them) You can also create a chart to break down categories, it may help you identify skills if you think of them in special categories.
suppose that a society begins at a point inside its production possibilities frontier (ppf) and then ends up at a point on the same ppf. which of the following could have caused such a change? a. the society started out using all its resources, but then allowed some of its resources to become unemployed. b. the society developed an improvement in technology. c. the society had some unemployed resources to begin with, but then started using all its resources. d. the society experienced an increase in the quantity of resources available.
Suppose a society begins at a point inside its PPF and ends up at a point on the same PPF. Such a change would be caused by the society which had some unemployed resources to begin with, but then started using all of its resources.
The Production Possibilities Frontier (PPF) tends to show all the different combinations of output of two goods which can be produced while using available and unemployed resources and technology.
Suppose if there is increase in the availability of the resources in the economy then automatically the overall output in the economy will increase which will shift the PPF to the right.
Hence, option C is correct.
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he said to me "no sir I did not quarrel with your servant yesterday"
change into indirect
Answer:
He denied that he quarreled with my servant the previous day
Discount loans intended for banks that are not financially healthy are called.
Banks that are having serious liquidity issues and are in financial distress are provided secondary credit. Typically, the interest rate charged by the central bank on secondary loans is fixed at 50 basis points (0.5 percentage points) higher than the discount rate.
Discount windows, or loans to commercial banks and other deposit-taking businesses made at an administered discount rate, are maintained by the Federal Reserve and other central banks. Discount window borrowing is often collateralized, short-term, and overnight. The dollar rate of return is the difference between the par value and the discounted purchase price. The bank discount rate is the rate at which the central bank offers to discount Treasury notes.
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Jimmy and Clyde enter into a contract for $100,000 of car parts by handshake. Is this a valid, enforceable contract?
A contract is considered valid if there are no legal reasons to prevent it from being enforceable. It's also worth noting that a contract may be enforceable even if it isn't written.
In the context of a handshake agreement between Jimmy and Clyde, it's possible for a contract to exist. However, there are some factors to consider before determining whether this contract is valid and enforceable or not.The following terms need to be considered in your answer: 150 words.Is Jimmy and Clyde's contract legally binding?There are a few things to keep in mind when analyzing the validity of a handshake agreement. The following are some of the key factors that are taken into consideration to determine whether or not a contract is enforceable:There was an offer and an acceptance. The terms of the agreement are clear and unambiguous. There must be consideration, which is something of value that is exchanged between the parties involved. The individuals who entered into the contract must have the legal capacity to do so. The subject of the agreement must be legal and cannot be contrary to public policy or against the law. The terms of the agreement must be carried out in good faith.Both parties should have intended to be bound by the terms of the agreement. Based on the information provided, it's possible that the handshake agreement between Jimmy and Clyde is enforceable. However, it is important to note that this type of agreement can be difficult to enforce because there is no written record of the agreement. To prevent future disputes and protect themselves, both parties should consider creating a written contract that details the terms and conditions of the agreement.
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A company in Maine sends lobsters to France What is Maine doing? Select three options
Answer:
Following are the answer to this question:
Explanation:
Some information is missing in the question. So, the correct choices can be described as follows:
i) practicing international trade
ii) exporting products
iii) participating in globalization
Maine has been globally traded because its, company transfers it's own goods at international frontiers when a client gives lobster with France in Maine. It exports products as its goods are manufactured in one nation, in this scenario the USA, is one other country, France in this case.Finally, it participates in the process of globalization because the company operates internationally by selling its products.Answer:
B. practicing international trade
C. exporting products
D. participating in globalization
2. An effective classroom arrangement allows for the following:
A. helps students focus their attention on the current instructional activity.
B. makes access to learning materials efficient and orderly.
C. is flexible enough to accommodate different types of learning activities.
D. all of above.
Answer:
D) All of the above
Explanation:
If you are with people that make you disruptive you can't focus
If the room organization is awkward it's difficult to hand assignments back
And if the seats are organized well than you can do all sorts of activities like presentations or games
some companies have already released teasers for their 2023 super bowl commercials? what 3 companies are featured in the linked commercials?
Super Bowl Sunday came and conquered, and it was, as always, about much more than just football.
Tubi: Rabbit hole
Free streaming service Tubi got weird with a long ad featuring oversized bunnies hauling people off and chucking them into "rabbit holes" of video discovery. The ad won a special Super Clio award as the best commercial of the game.
Amazon: Saving Sawyer
When in doubt, use a dog in your Super Bowl ad. Amazon tells a story of a bored, destructive dog and the family that figures out a cute way to make the pup's life better using Amazon.
NFL: Run with it
Yes, even the NFL advertises during the NFL's biggest game. This one is an action-packed tribute to the women of football starring elusive Mexican flag-footballer Diana Flores.
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A used car costs $5000 you drive it for 4 years. You drive 10,000 miles per year. Your car insurance is $1,200 per year. You spend $400 on maintenance. Gas costs $4 and the car gets 25 miles per gallon. What is the average cost per mile over the 4 years?
Answer:
$0.445 per mile
Explanation:
Calculation for what the average cost per mile
will be over the 4 years
First step is to calculate the Insurance cost
Insurance cost = $1,200 x 4
Insurance cost = $4,800
Second Step is to calculate the Maintenance cost
Maintenance cost = $400 x 4
Maintenance cost = $1,600
Third Step is to calculate the Total mileage
Total mileage = 10,000 miles per year x 4 years Total mileage= 40,000 miles
Fourth step is to calculate the Gas cost
Gas cost =( 1 gallon/25 miles per gallon x 40,000 miles)x $4 per gallon
Gas cost = 1,600 gallons x $4 per gallon
Gas cost=$6,400
Last step is to calculate the average cost using this formula
Average cost =Initial cost+Insurance cost+Maintenance cost +Gas cost/Total mileage
Let plug in the formula
Average cost = $5,000 + $4,800 + $1,600 + $6,400/40,000 mile
Average cost= $17,800 / 40,000 miles
Average cost = $0.445 per mile
Therefore what the average cost per mile
will be over the 4 years will be $0.445 per mile
Which of the following are money market instruments? Check all that apply.
Common stocks
O Treasury bills
O Long-term bank loans
O Commercial paper
Im Certificates
Certificates of deposit
Commercial paper is one of the following money market instruments. Commercial paper is a type of short-term, unsecured debt instrument issued by corporations to fund short-term liabilities.
What is money market?Bank accounts, including time credentials of deposit; interbank loans (loans between banks); money market mutual funds; commercial paper; Treasury bills; and securities lending and repurchase agreements are all examples of money markets (repos). The money market is an economic component that provides short-term funds. The money market specializes in short-term loans of one year or less. Money market funds are widely regarded as one of the most stable investments, as they have low volatility and are less susceptible to market fluctuations. Money funds are also more liquid than other investments with comparable returns, such as CDs, because they allow you to quickly withdraw cash or purchase other investments.To learn more about money market, refer to:
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