what is inorganic and organi colloids
Answer:
3
Explanation:
its #3 because you would check the date and find out the closing report and yeah
The common stock of Xiang Estates has an expected return of 13.3 percent. The expected return on the market is 10 percent, the inflation rate is 1.4 percent, and the risk-free rate of return is 1.3 percent. What is the beta of this stock?
The beta of the common stock of Xiang Estates given the expected return, expected market rate of teturn and risk free rate is 1.24.
What is the beta?Beta is used to measure systemic risk. Systemic risk is the risk that cannot be diversified away. The higher beta is, the higher systemic risk is and the lower beta is, the lower systemic risk is.
Beta = (expected return - risk free rate) / market premium
(13.3 - 1.3) / ( 10 - 1.3) = 1.24
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true or false Premium on Bonds Payable is an adjunct asset account with a normal debit balance.
The statement is false in Premium on Bonds Payable is an adjunct asset account with a normal debit balance because the Bonds is not payable with normal debit balance.
What is normal debit balance?The debit balance is the amount of money that must be in the customer's account after a security purchase order is executed in order for the transaction to be properly settled.
Thus, the statement is false
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An assessor explains to you that the market value of your property was converted to the assessed value using what's called an assessment ratio. The assessment ratio can also be considered what
The assessment ratio, which is used to convert the value of property to the assessed value, can also be considered Equalization Rate.
What is the equalization rate?The equalization rate is the ratio of the total assessed value (AV) to a municipality's total market value (MV).
The equalization rate is a measurement of a municipality's level of assessment (LOA) by the state.
This implies that the municipality determines the AV while the state determines the MV.
Thus, the assessment ratio, which is used to convert the value of property to the assessed value, can also be considered Equalization Rate.
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A company has a maintenance contract with a fixed fee of $1,200 per month plus $75 per hour for each maintenance hour used. In a month where 20 maintenance hours are used, the total maintenance cost is $
What would you say is the key difference between a nft and an art print?.
NFT art differs from traditional art in that it is entirely digital and can only exist in digital wallets on a specific blockchain. An art print, on the other hand, is an image on paper that does not exist on the digital wallets.
What is NFT?A non-fungible token (NFT) is a non-transferable data unit that may be sold and traded on a blockchain, which is a sort of digital ledger.
Cryptocurrencies and physical money are both "fungible," meaning they may be traded or exchanged for one another.
In fact, anyone can make an NFT and sell it on a marketplace for NFTs.
Thus, NFT is the digital wallets and art print is the non digital wallet
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If marginal cost is rising, a. average fixed cost must be rising. b. marginal product must be falling. c. marginal product must be rising. d. average variable cost must be falling.
In a business, when the marginal cost is rising, it is most likely that b. marginal product must be falling.
What happens when marginal cost rises?The marginal cost refers to the cost of producing an additional unit of a product.
When this cost begins to rise, it means that there are too many units involved in the production of goods with limited technology. This leads to marginal product falling even though total product is rising.
In conclusion, option B is correct.
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True or false: Special consolidation warehouses are used when shipments from various sources are pulled together and combined into larger shipments with a common destination or into smaller shipments to deliver locally.
Answer:true
Explanation:
How would you set up Economic questions when it involves talking about insurance & percentages.
Answer:
Simple, cool pfp btw. A story, first before the question. A short story like going into an accident or how expensive things are, or both.
Explanation:
You see, there is nothing I like more than a little story, short and sweet. If you can hook the readers into the story you can ask the question and get them thinking with the story you made. A clever trick I taught myself.
Match each entity on the left to the correct establishment on the right.
The group or organization matchup is given below;
Non-state actor - terrorist.International Organization -World Trade Organization, United Nations.Nation-state - Canada.What is a Nation state?The term nation-state is known to be a any country that is territorially held together as a sovereign state.
Note that in this kind of country, it is one that is governed in the name of a community of its own people who identify or see themselves as a nation.
See full question below
Match the group or organization on the left with its correct category on the right.
non-state actor:
terrorist
International Organization:
World Trade Organization,
United Nations
nation-state: Canada
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Examples of organizational ____ assets include policies and procedures, guidelines, information systems, financial systems, management systems, lessons learned, and historical information.
Examples of organizational process assets include policies and procedures, guidelines, information systems, financial systems, management systems, lessons learned, and historical information.
A company operates in a competitive marketplace. They look to the market to determine their selling price. It looks like the market will bear a price of $227. The company has a goal of earning 10% return on sales on each unit. What would their target cost be
The target cost to the company is equivalent to $ 206.36 where the selling price as per market is $227 at a profit of 10%.
What is the meaning of target cost?Target cost is the amount left after deducting the profit from the selling price. It is a cost of a product on which the seller adds their margin.
Given values:
Selling price: $227
Rate of return: 10%
Computation of target cost:
[tex]\rm\ Target \rm\ Cost=\frac{\rm\ Selling \rm\ price}{1+\rm\ rate \rm\ of \rm\ return} \\\rm\ Target \rm\ Cost=\frac{\rm\ \$ 227 }{1+10\%} \\\\\rm\ Target \rm\ Cost=\frac{\rm\ \$227}{1.10} \\\\\rm\ Target \rm\ Cost=\$ 206.36[/tex]
Therefore, the company gets the target cost of $206.36 if it wants to earn 10% at a selling price of $227.
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If the money multiplier is 3 and the Fed wants to increase the money supply by $900,000, it could Group of answer choices
Fed buy $300,000 worth of bonds, if the money multiplier is 3 and want to increase the money supply by $900,000. As the formula of the money multiplier is change in total money supply upon change in total monetary base.
What is money multiplier?The multiplier effect is a term used in economics to describe the proportional increase or decrease in final revenue that occurs as a result of a capital injection or withdrawal.
In effect, it calculates the influence of a change in economic activity, such as investment or spending, on a company's total economic output.
Thus, Fed buys $300,000 worth of bonds.
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Extra Sandwiches, a sandwich chain, experiments with offering a free bag of chips with its sandwiches in the South to try out its marketing strategy before adjusting its operations nationwide. Thus, this sandwich chain is in the ________ stage of the product development process.
If a sandwich chain, experiments with offering a free bag of chips with its sandwiches. This sandwich chain is in the test marketing stage.
What is test marketing?Test marketing stage can be defined as the stage that is use to know how good or how bad a product is based on the response of the consumer that have use or tasted a product or based on the feedback received.
Most companies tend to make use of test marketing create product awareness or to build brand awareness and to know the reaction of potential customers.
Therefore This sandwich chain is in the test marketing stage.
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Olivia is a partner in Pacific Trade. In the majority of states, with respect to any partnership obligations that Olivia does not participate in, know about, or ratify, she would be liable for
In the partnership, Olivia does not participate in, know about, or ratify, she would be liable for all of the obligations jointly and severally.
What is partnership?It should be noted that partnership simply means a business agreement between two or more people to achieve a common goal.
In this case, in the partnership, Olivia does not participate in, know about, or ratify, she would be liable for all of the obligations jointly and severally.
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A decrease in the required reserve ratio will: reduce commercial bank loans and reduce the money supply. increase commercial bank loans and reduce the money supply. increase commercial bank loans and increase the money supply. decrease commercial bank loans and increase the money supply.
A decrease in the required reserve ratio will will increase commercial bank loans and increase the money supply.
What is reserve ratio?The reserve ratio is the portion of money that cannot be given out as loan or credits.
When a commercial reaches a threshold called reserve all liabilities cannot be in circulation against until they rise above the threshold.
Therefore, A decrease in the required reserve ratio will increase commercial bank loans and increase the money supply.
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Target is seeking a new distribution system because A. competition from Amazon and Walmart is intense. B. it needs to speed up restocking. C. it wants to reduce inventory in stores. D. All of the above.
The target is exploring a new distribution strategy aimed at speeding up re-cutting and making the seller more inclined as they compete with competitors such as Amazon and Walmart.
What new distributive strategy Target is focusing on?Target is trying a new strategy to distribute products in its stores. The aim is to integrate the target completion cycle from days to hours and to reduce the number of goods in stores.
The center sends small items and often to stores while using the same inventory to fill online orders.
Thus, the correct statement is Option B.it needs to speed up restocking.
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A common law doctrine under which either party may terminate an employment relationship at any time for any reason, unless a contract specifies otherwise is:
Employment at will is a common law notion under which either party can end an employment arrangement at any moment for any reason, unless a contract says otherwise.
What is contract?A contract is defined as the legally valid agreement that constitutes, defines, and regulates the parties' mutual rights and responsibilities.
A contract commonly entails the transferral of products, services, or money, or the commitment to do so at a later period.
If the employment at will is not specifically mentioned in the contract, and the contract is not represented any content about that, the employment at will states that nay employee may leave the organization any time for any reason.
Therefore, the employment at will comes into consideration when there is contract to the contrary.
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A customer executes the following transactions during the same year: May 1st: Aug. 1st: Aug. 20th: Buy 100 XYZ at $54 per share Buy 100 XYZ at $40 per share Sell 100 XYZ at $41 per share After the transactions are effected, the customer's cost basis in XYZ stock is:
The cost basis of the customer in the stock of XYZ is equivalent to the acquisition cost of shares, that is, $5,400, and is not affected by the short-term capital gain or loss.
What is short-term capital gain?
A capital gain is considered to be a shorter-term when the asset holds for a period of less than one year. When the holding period extends by one year, then the same capital gain is treated as a long-term capital gain.
The cost basis of the customer in XYZ's stock is $5,400 which is determined by taking the product of 100 shares at a price of $54 per share. It will not be affected by the short-term capital loss of $1,300, which is computed as the difference between sales cost of $4,100 and purchase cost of $5,400 respectively. As a result, the cost basis should be the same as the cost of purchasing the shares.
Therefore, the customer's cost basis is $5,400 in the stock of XYZ company.
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Going public: Group of answer choices ensures that the company gains control in decision making. enhances the company's ability to obtain future funds. is often viewed negatively by risk-averse venture capitalists. increases flexibility for the company.
When a company goes public, it enhances the company's ability to obtain future funds.
What does going public allow?When a company goes public, it would become subject to certain restrictive laws that were made to protect investors.
As a result of these laws, investors and creditors will trust the company more which would allow the company to access more funds in future.
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True or False: It is possible for a team to start with the DMAIC or DMADV approach and realize that they need to switch to the other process mid-project quiz
DMAIC and DMADV methods share features that are important, but they are not interchangeable and are designed for use in different business processes.
What is DMAIC?The full forms of both the methods are :
DMAIC: Define, Measure, Analyze, Improve, Control
DMADV: Define, Measure, Analyze, Design, Verify
DMAIC and DMADV have many similarities that deserve attention. They both use mathematical and factual tools to find solutions to common quality-related problems and focus on achieving the business and financial goals of the organization.
DMADV is associated with new services and product designs; may not always work with existing products and processes.
DMAIC is applied to an existing product or process but no longer meets customer requirements and / or details.
Hence, It is not possible to switch the methods in the middle of any project as they have serve different purposes.
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True or False: The overall Six Sigma Process is one that is a constant and everlasting initiative while Six Sigma Projects are finite in scope with a definite beginning, middle, and end goal. Select one: a. True b. False
Six Sigma is a quality management system. Six Sigma is a continuous improvement strategy that focuses on decreasing variability and enhancing predictability in businesses.
It is perhaps the most well-known variation of Lean in business.
Thus the statement is True.
What exactly is six sigma?Six Sigma is a framework that gives companies the tools they need to optimize their processes.
This increase in productivity and decrease in procedure variability helps to reduce faults while also increasing earnings, employee morale, and product or service quality.
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Which of the following items are elements of a monthly checking account statement? i. a period (beginning date and ending date) ii. a beginning balance and ending balance. iii. a detailed list of debits and credits during the period. a. i and ii b. i and iii c. ii and iii d. i, ii and iii
The major elements of a monthly checking account statement are period, account balance and debits and credit during the period.
What do you mean by checking account?A checking account refers to the type of bank account that provides a flexibility of depositing money as well as withdrawls for the daily business transactions.
A bank statement refers to a type of document that is sent by the bank to its holder providing summary of all the transactions of an account for a month including a period, beginning and ending balance and detailed list of debits and credits.
Therefore, D is the correct option.
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Answer:
The answer is D
Explanation:
edge 2022
PLEASE HELP !!
explain why you feel an entrepreneur or business should develop a business plan.
Answer:
See below...
Explanation:
When an entrepreneur or businessperson begins to develop an idea for a product or for the creation of a business, it is good that they have a plan. When they do not plan, their future does not have specific milestones to acheive. This can make things scary and chaotic, as it is necessary to know when and where you will do things. With a plan, the person has goals set, and they are not as overwhelmed by things that come their way. The plan gives an order to an otherwise chaotic idea.
As described in the chapter case, Uber uses the ________ revenue model. A. portal B. service provider C. market creator D. community provider E. transaction broker
As described in the chapter case, Uber uses the service provider revenue model. A revenue model is a framework for generating financial income.
What is service provider revenue?Companies deriving revenues from service offerings charge customers based on time, often on a project basis or as a retained service provider.
Therefore, Uber uses the service provider revenue model.
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Silverwood Company is considering the following alternatives: Alternative A Alternative B Revenues $100,000 $200,000 Variable costs 30,000 50,000 Fixed costs 10,000 30,000 What is the incremental profit
Answer:
to find profit make
%profit =selling price + cost price ÷ cost price
Devin is taking inventory of office supplies so he knows what he should order. He discovers he has 3 ink cartridges and 6 boxes of paper, but he needs to have 10 ink cartridges and 25 boxes of paper in stock. How many of each does he need to order
Devin needs to order 7 ink cartridges and 19 boxes of paper to meet his expected stock needs for 10 ink cartridges and 25 boxes of paper.
What is the expected level of stock?The expected stock level refers to the number of items required to be in stock at any time.
Since Devin needs 10 ink cartridges and 25 boxes of paper in stock, but currently has 3 ink cartridges and 6 boxes of paper, the ordering level should be for additional 7 ink cartridges (10 - 3) and 19 boxes of paper (25 - 6).
Thus, Devin needs to order 7 ink cartridges and 19 boxes of paper to meet his expected stock needs for 10 ink cartridges and 25 boxes of paper.
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Why should you complete the Free Application for Federal Student Aid (FAFSA)?
A: To eliminate a semester of college requirements
B: To find the lowest interest rates on student loans
C: To get information on the schools you are interested in
D:To identify what grant programs you qualify for
Answer:
D
Explanation:
FASFA get that money baby.
You should complete the Free Application for Federal Student Aid to identify what grant programs you qualify for. The appropriate response is option D.
What is Free Application for Federal Student Aid ?The procedure for applying for financial aid begins with the Free Application for Federal Student Aid (FAFSA). Fill out the online form. You use it to submit applications for federal student aid, including grants, loans, and work-study programs. Additionally, the majority of states and universities give non-federal aid using data from the FAFSA.
A student must have economic need, be enrolled in a diploma or certificate program at a college or university, be a U.S. citizen, or be an eligible noncitizen to be eligible for the FAFSA.
Additional conditions for federal eligibility include having a valid Social Security number, continuing to perform satisfactorily in school, and earning a high school diploma, among others.
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Accounting is the system of analyzing, classifying, recording, summarizing, and interpreting a business' __________. financial transactions financial transactions financial markets financial markets full-time employees full-time employees sellable inventory
Accounting is the system of analyzing, classifying, recording, summarizing, and interpreting a business' financial transactions.
What is financial transaction?A financial transaction include details or business traction's between a buyer and a seller
It include communication, goods and services purchase or bought.
Therefore, Accounting is the system of analyzing, classifying, recording, summarizing, and interpreting a business' financial transactions.
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Under the Securities Acts of 1975, the Municipal Securities Rulemaking Board was created and empowered to regulate the: I disclosure of new information by municipal issuers II recordkeeping and settlement procedures of municipal broker-dealers III profit levels achieved by municipal broker-dealers
Which of the following best describes the relationship between economic growth and energy use? a. increased energy use leads to increased economic growth. b. increased energy use leads to decreased economic growth. c. energy use is related to economic growth. d. energy use has no relationship to economic growth.
The relation between economic growth and energy use can be best described by the increased energy use leads to increased economic growth.
So, Option A is the right answer.
How do energy use and economic growth relate to each other?
There is a direct relationship between usage of energy and economic growth, that means, if energy usage rises, then economic growth also rises. On the contrary, if energy usage falls, then economic growth also falls.
The developed nations are having abundant resources which leads to more satisfaction among the public due to which they use more energy and finally impacted an increase in the overall economic growth of a country. The less-developed nations face a lot of struggle in satisfying the people due to having insufficient resources which result in the usage of lesser energy and ultimately created a decreasing impact on the economic growth.
Therefore, energy use and economic growth are interlinked with each other.
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