destiny prefers investments that offer the highest possible returns, even if they are risky. which of the following bonds is destiny most likely to be interested in?(1 point)
a. junk bonds
b. municipal bonds
c. corporate bonds
d. savings bonds

Answers

Answer 1

Destiny is most likely to be interested in junk bonds due to their high-risk, high-return nature.

Destiny's preference for investments that offer the highest possible returns, even if they are risky, suggests an inclination towards higher-yielding options. Among the given choices, junk bonds would align with Destiny's investment strategy. Junk bonds, also known as high-yield bonds, are issued by companies with lower credit ratings, indicating a higher risk of default. However, they also offer higher interest rates to compensate for the increased risk.

Municipal bonds, on the other hand, are issued by local governments and are generally considered less risky than junk bonds. They are often backed by the taxing power of the issuing municipality and have lower interest rates compared to junk bonds. Corporate bonds represent debt issued by corporations and can vary in risk level depending on the creditworthiness of the issuing company. While some corporate bonds may offer attractive returns, they may not match the level of risk Destiny is willing to take. Savings bonds, issued by the government, are generally considered low-risk investments. They offer a fixed interest rate and are backed by the government's creditworthiness. While they provide a safer investment option, their returns may not meet Destiny's preference for high returns.

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Related Questions

.Suppose the money supply increases by 10 percent but velocity is not constant. Given this information, it follows that:
Group of answer choices
nominal GDP will increase by 10 percent.
nominal GDP will increase by less than 10 percent.
nominal GDP will increase by more than 10 percent.
the change in nominal GDP cannot be determined.

Answers

If the money supply increases by 10 per cent but velocity is not constant, it cannot be determined exactly how nominal GDP will change. The change in nominal GDP could be less than 10 per cent, more than 10 per cent, or even equal to 10 per cent, depending on the specific changes in velocity.

Nominal GDP is determined by the equation MV = PY, where M represents the money supply, V represents the velocity of money, P represents the price level, and Y represents real GDP. In this scenario, the money supply increases by 10 per cent, but velocity is not constant. This means that the total spending in the economy (MV) will change, but it is uncertain how much it will change due to the variable velocity. If velocity decreases, it would offset some of the increase in the money supply, resulting in a smaller increase in nominal GDP. On the other hand, if velocity increases, it could amplify the impact of the money supply increase, leading to a larger increase in nominal GDP. Therefore, without specific information on how velocity changes, it is not possible to determine the exact change in nominal GDP.

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Division B was designated to be a profit center. It generated sales of $400,000 and had variable costs of $250,000 and direct fixed costs of $80,000 and indirect fixed costs of $20,000. For short-term performance evaluation, a manager should calculate _____ which would be _____ and for long-term performance evaluation, a manager should calculate _____ which would be _____.
Group of answer choices
segment margin $50,000; income $30,000
segment margin $70,000; income; $50,000
contribution margin; $150,000; segment margin $70,000
contribution margin; $150,000; segment margin $50,000

Answers

For short-term performance evaluation, a manager should calculate the segment margin which would be $70,000 ($400,000 sales - $250,000 variable costs - $80,000 direct fixed costs).

This is because segment margin shows the profitability of a specific segment or division by subtracting only the direct costs associated with that segment.

For long-term performance evaluation, a manager should calculate the contribution margin which would be $150,000 ($400,000 sales - $250,000 variable costs). This is because contribution margin shows the amount of revenue that is available to cover indirect fixed costs and contribute to overall profitability. The segment margin of $50,000 would also be useful to calculate for long-term performance evaluation as it shows the profitability of the specific division after deducting both direct and indirect fixed costs.

Overall, both segment margin and contribution margin are important measures of performance evaluation, but they serve different purposes and should be used in different contexts.

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Surface-level diversity Managers should strive to create a work environment where all employees feel comfortable and able to do their jobs. However, the tendency to categorize a person based on surface-level differences, or those characteristics that are ________ can complicate this endeavor.
Management at Work Managers, as well as employees, can make assumptions about others based on surface-level diversity. Deborah has been evaluating a local marketing company and has discovered that no women hold executive positions at this company. While she can't find any particular reason for the lack of diversity at this level, she is including in her report that recruiting and hiring efforts at the executive level should include this underrepresented population. This is an example of sex discrimination, and the findings from Deborah's evaluation seem to suggest the presence of a diversity ceiling for women at this marketing company. Charges of unfair racial and ethnic discrimination occur more often than any other type of discrimination

Answers

Surface-level diversity refers to characteristics that are visible or easily observable, such as gender, race, ethnicity, age, and physical abilities. In the given context, the missing word to complete the sentence would be "visible" or "externally visible." Therefore, the revised sentence would be:

"The tendency to categorize a person based on surface-level differences, or those characteristics that are visible, can complicate this endeavor."

The approximate before-tax cost of debt for a 20-year, 9%, $1,000 par value bond selling at $950 is

Answers

The approximate before-tax cost of debt for the 20-year, 9% coupon rate bond selling at $950 is approximately 9.9%. Here option C is the correct answer.

The before-tax cost of debt can be approximated using the yield to maturity (YTM) of the bond. The YTM represents the total return an investor can expect to earn if they hold the bond until maturity, taking into account its purchase price, coupon rate, and time to maturity.

In this case, the bond has a 20-year maturity, a 9% coupon rate, and a $1,000 par value. It is currently selling at $950, which is below its par value. This indicates that the bond is selling at a discount. To calculate the YTM, we need to find the interest rate that equates the present value of the bond's future cash flows (coupon payments and principal repayment) with its current market price.

Using a financial calculator or spreadsheet software, the approximate YTM for this bond can be determined as 9.9%. Therefore, the approximate before-tax cost of debt for this bond is 9.9%.

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Complete question:

What is the approximate before-tax cost of debt for a 20-year, 9%, $1,000 par value bond selling at $950?

A) 8.0%

B) 9.5%

C) 9.9%

D) 10.6%

return on investment (roi) and residual income (ri) . multiple select question. should not be calculated for the company as a whole may be calculated for segments of the company should not be calculated for individual managers may be calculated for specific investment opportunities

Answers

Return on investment (ROI) and RI may be calculated for segments of the company. ROI and RI may be calculated for specific investment opportunities.

Return on Investment (ROI) and Residual Income (RI) can be calculated for segments of the company rather than for the company as a whole. This is because analyzing the performance and profitability of individual segments provides more detailed insights into their effectiveness and contribution to the overall results. By calculating ROI and RI at the segment level, it becomes possible to assess the profitability and efficiency of each segment independently.

ROI and RI may also be calculated for specific investment opportunities. These metrics are commonly used to evaluate the potential return and profitability of specific projects or investments. Calculating ROI and RI helps assess whether a particular investment opportunity is financially viable and provides a means of comparing different investment options.

However, ROI and RI should not be calculated for individual managers as they are performance measures for overall investment and business outcomes rather than individual managerial performance. Other metrics and performance indicators are typically used to evaluate and assess the effectiveness of individual managers within an organization.

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the speed rating assigned to a motorcycle tire is an example of product:_____.

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The speed rating assigned to a motorcycle tire is an example of a product attribute. Product attributes refer to the specific characteristics or features of a product that provide benefits and differentiate it from other offerings in the market.

In the case of motorcycle tires, the speed rating is a specific attribute that indicates the maximum safe speed at which the tire can operate effectively. It serves as a crucial piece of information for motorcycle riders, as it helps them choose a tire that matches their desired speed requirements and ensures safety on the road. The speed rating is typically denoted by a letter code, such as "H" or "V," which corresponds to a specific speed range. This attribute helps consumers make informed decisions based on their specific needs and preferences. Factors such as tire construction, tread pattern, and rubber compound also contribute to the overall performance and quality of the tire, making them additional product attributes to consider.

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in 2022, alexis transferred $442,000 to a trust with directions to pay income to her spouse, william, for his life. after william's death the corpus of the trust will pass to william's son. if the life estate is valued at $72,250, what is the total amount of the taxable gifts?

Answers

In this scenario, the total amount of taxable gifts is $369,750.

In this scenario, Alexis has created a trust with specific terms regarding income distribution and corpus transfer. To determine the total amount of taxable gifts, we need to analyze the value of each component.

First, the life estate granted to William is valued at $72,250. A life estate is an interest in property that lasts for the duration of an individual's life. In this case, William has the right to receive income from the trust for his entire life.

Next, we need to consider the remainder interest, which is the portion of the trust that will pass to William's son after William's death. To find the value of the remainder interest, we subtract the life estate's value from the total trust amount:

$442,000 (total trust amount) - $72,250 (life estate value) = $369,750 (remainder interest value)

Now that we have the values for both the life estate and the remainder interest, we can calculate the total amount of taxable gifts. In this situation, the taxable gifts would be the value of the remainder interest, as the life estate is typically not considered a taxable gift:

Total taxable gifts = $369,750 (remainder interest value)

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In the following cases, the market leads to over-allocation of resources or over-utilization. A) private goods B) Commons C) club goods D) positive externalities E) public goods F) negative externalities

Answers

In the following cases, the market leads to over-allocation of resources or over-utilization: Commons and Negative externalities. The correct options are C and F.

Commons: These are resources that are non-excludable but rivalrous, meaning anyone can access them but their use by one person reduces the availability for others.

Over-allocation occurs when individuals exploit these resources without considering the impact on others, leading to depletion or degradation of the resource (e.g., overfishing or deforestation).

Negative externalities: These are the unintended consequences or costs imposed on third parties due to an economic activity. Producers and consumers don't bear the full cost, leading to over-allocation of resources.

An example is pollution caused by factories; since they don't fully account for the cost of pollution, they produce more than the socially optimal level, causing over-utilization of resources and negative environmental impacts.The correct options are C and F.

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what effect does the mesh density have on the accuracy of your solution? also, consider the possibility of comparison with photoelasticity results.

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Mesh density has a significant impact on the accuracy of a solution in numerical simulations. Higher mesh density generally leads to more accurate results by capturing finer details and reducing numerical errors. When comparing the results with photoelasticity, it is essential to consider the limitations and differences between the two methods.

The mesh density in numerical simulations refers to the number and size of elements used to discretize the domain under analysis. A finer mesh with higher density can provide more accurate results compared to a coarser mesh. This is because a denser mesh captures finer details and gradients in the solution, reducing the potential for numerical errors and approximation.

When comparing the results with photoelasticity, it is important to consider the differences between the two methods. Photoelasticity is an experimental technique that analyzes the changes in the polarization of light passing through a transparent material under stress. It provides direct and real-time visualization of stress distribution, but it has limitations in terms of the complexity of geometries and materials it can handle.

Numerical simulations, on the other hand, can handle complex geometries and material behavior, but they rely on mathematical models and assumptions. While mesh density can improve the accuracy of the numerical solution, it is crucial to validate the results against experimental data, such as photoelasticity, whenever possible. This comparison helps assess the reliability and accuracy of the simulation results and identify any discrepancies or areas of improvement.

Overall, increasing the mesh density in numerical simulations improves the accuracy of the solution by capturing finer details and reducing numerical errors. When comparing with photoelasticity or any experimental technique, it is important to consider the limitations and differences between the two methods to ensure a comprehensive and accurate understanding of the analyzed system or phenomenon.

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aser solutions' inventory decreases during the year by $8 million and its accounts payable to suppliers increases by $6 million during the same period. what is the amount of cash paid to suppliers of merchandise during the reporting period if its cost of goods sold is $81 million? (input your answer as a positive value. enter your answer in millions.)

Answers

The amount of cash paid to suppliers of merchandise during the reporting period is $67 million.

To calculate the amount of cash paid to suppliers of merchandise, we need to consider the changes in inventory and accounts payable.

The change in inventory is a decrease of $8 million, which means the inventory was used up or sold.

The change in accounts payable is an increase of $6 million, indicating an increase in the amount owed to suppliers for merchandise.

The amount of cash paid to suppliers can be calculated using the following formula:

Cash paid to suppliers = Cost of Goods Sold + Decrease in Inventory - Increase in Accounts Payable

Given that the Cost of Goods Sold is $81 million, the calculation becomes:

Cash paid to suppliers = $81 million + (-$8 million) - $6 million

Cash paid to suppliers = $81 million - $8 million - $6 million

Cash paid to suppliers = $81 million - $14 million

Cash paid to suppliers = $67 million

Therefore, the amount of cash paid to suppliers of merchandise during the reporting period is $67 million.

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an organization is using an adaptive organizational culture when employees receive rewards based on

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when employees receive rewards based on the reward for their ability to come up with new ideas and solutions.

An adaptive organizational culture is one that emphasizes flexibility, innovation, and the ability to adapt to changes in the market and business environment. In this type of culture, employees are encouraged to be creative and take risks, and they are rewarded for their ability to come up with new ideas and solutions. These rewards can take many different forms, such as bonuses, promotions, or recognition within the organization. Ultimately, the goal of an adaptive organizational culture is to create an environment where employees feel empowered to take ownership of their work and contribute to the success of the organization.

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Suppose that the (inverse) market demand curve for a new drug, Adipose‐Off, designed to painlessly reduce body fat, is represented by the equation P = 100 − 2Q, where P is the price in dollars per dose and Q is the annual output. (The MR curve is thus given by the equation MR = 100 − 4Q.) Suppose also that there is a single supplier of the drug who faces a MC, as well as AC, of producing the drug, equal to a constant $20 per dose. What are the monopolist's profit‐maximizing output and price? What is the resulting deadweight loss relative to the competitive outcome?

Answers

To find the monopolist's profit-maximizing output and price, we need to equate the marginal revenue (MR) to the marginal cost (MC). In this case, the MR curve is given by MR = 100 - 4Q, and the MC is a constant $20 per dose.Setting MR equal to MC:100 - 4Q = 20 Solving for Q:4Q = 80Q = 20To determine the deadweight loss relative to the competitive outcome, we need to compare the monopolist's outcome with perfect competition. In a perfectly competitive market, output would be determined where price equals marginal cost. However, in this case, the monopolist sets price above marginal cost, leading to a smaller output level and higher price.

Therefore, under perfect competition, the output would be 40 units per year.The deadweight loss is the difference in output between the monopolist and the competitive outcome, which is 40 - 20 = 20 units. This loss represents the inefficient allocation of resources and the welfare reduction in the market due to the monopolist's market power.

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which statement about cash crops is false? a) cash crops can provide revenue to purchase nutritious foods for local people. b) production of cash crops may limit the ability of local people to produce enough food to feed their families. c) cash crops are typically raised for local consumption. d) coffee is a cash crop.

Answers

The false statement about cash crops is:c) Cash crops are typically raised for local consumption.

Cash crops are specifically grown for commercial purposes rather than local consumption. They are cultivated and produced with the primary intention of generating revenue by selling them in domestic or international markets. Cash crops often have high market value or demand, which makes them financially lucrative for farmers or agricultural businesses.

The other statements are true:(a) Cash crops can provide revenue to purchase nutritious foods for local people. Cash crop cultivation can generate income for farmers, which can then be used to purchase nutritious foods for themselves and their communities.(b) Production of cash crops may limit the ability of local people to produce enough food to feed their families. When farmers prioritize cash crop production, they may allocate less land or resources to growing food crops for subsistence. This can result in a reduced ability to produce enough food to meet the needs of local communities.(d) Coffee is a cash crop. Coffee is a widely cultivated crop primarily for its economic value. It is grown in various countries and regions around the world and traded as a valuable commodity on the global market.

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for+a+mixture+of+40+mol%+ethylene,+40+mol%+propylene+and+20+mol%+1-butene+determine+the+lower+flammability+limit+for+the+mixture+at+200°c.(hint+do+200°c+adjustment+first)

Answers

The correct mixture volume % from Heat of Combustion Flammability in air Compound Formula is 1.81 vol %, option C.

The amount of heat produced when a certain amount of something is burned is known as its heating value (also known as its energy value or its calorific value; see food energy).

When a substance undergoes complete combustion with oxygen under standard conditions, the total amount of energy released as heat is known as its calorific value. Typically, the chemical reaction involves a reaction between oxygen and a hydrocarbon or other organic molecule to produce carbon dioxide, water, and heat. It could be communicated with the amounts:

energy/mole of fuelenergy/mass of fuelenergy/volume of the fuel

There are two sorts of enthalpy of burning, called high (er) and low (er) heat (ing) esteem, contingent upon how much the items are permitted to cool and whether mixtures like H₂O are permitted to consolidate. A bomb calorimeter is usually used to measure the high heat values. Test data with a high heat value are used to calculate low heat values.

L = [tex]\frac{100}{\sum \frac{x_1}{LFL} }[/tex]

= [tex]\frac{100}{67.315 }[/tex]

= 1.4856

LFL(mix) = 1.4856 vol% = 1.81 vol%.

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Complete question;

Heat of Combustion Flammability in air Compound Formula Lower, Upper, LFL25 UFL25 FP, °C AIT, kJ/mol kJ/mol vol.% vol% °C Ethylene C2H4 1,322.6 1,411.2 2.7 36.0 -136 450 Propylene C3H6 1,925.7 2,057.3 1.0 11.0 -108 455 1-Butene C4H8 2,541.2 2,716.8 1.6 9.3 -79 384 N.B. 4.184 kJ = 1.0kcal For a mixture of 40 mol% ethylene, 40 mol% propylene and 20 mol% 1-butene determine the Lower flammability limit for the mixture at 200°C.(hint do 200°C adjustment first) Select the correct mixture volume % from the answer choices. 2.52 V1% 1.13 volº 1.81 vol% 0.52 volº

Which of the following is not a common organizational format for analytical reports?

A) Focusing on conclusions
B) Focusing on recommendations
C) Focusing on information
D) Focusing on logical argument
E) All of the above are common formats.

Answers

All of the above formats are common organizational formats for analytical reports (option E).

However, it is essential to understand that each of these formats serves a different purpose. Focusing on conclusions means presenting the findings and results of the analysis, whereas focusing on recommendations involves suggesting solutions to the problem identified in the report.

Focusing on information entails providing details and facts related to the issue being analyzed, and focusing on logical arguments means presenting a persuasive argument backed by facts and evidence. Therefore, it is crucial to choose the appropriate format based on the report's purpose and the intended audience. The correct option is e.

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in order to take out the effect of _____________, an adjustment must be made for price changes.

Answers

To eliminate the influence of price changes, an adjustment must be made to account for inflation or deflation.

In economic analysis and financial calculations, it is often necessary to remove the impact of price changes in order to focus on the underlying changes in quantities or values.

This is particularly important when comparing data over different time periods or assessing the real changes in economic variables. To achieve this, an adjustment must be made for price changes, specifically for inflation (an increase in the general level of prices) or deflation (a decrease in the general level of prices).

By adjusting for price changes, the effects of inflation or deflation are neutralized, allowing for a clearer analysis of the underlying changes in quantities or values. This adjustment is commonly done by using inflation indices or price deflators to convert nominal values into real values, which represent the purchasing power adjusted for changes in prices.

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When the leader tries to apply the right style of behavior to the situation he or she a. First diagnoses, then adjusts appropriately b. First adjusts, then evaluates the situation c. First diagnoses, then delegates tasks d. First adjusts, then provides direction

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The option a. When a leader tries to apply the right style of behavior to a situation, they first need to diagnose the situation to determine what type of leadership style is most appropriate.

Once the situation is diagnosed, the leader can then adjust their behavior accordingly to ensure that their actions align with the needs of the situation. This approach is crucial to effective leadership as it helps leaders make informed decisions that are tailored to the unique needs of their team and the situation at hand. Additionally, it ensures that leaders are not applying a one-size-fits-all approach to their leadership style, but instead are adapting to the specific needs of their team in any given situation.

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If you deposit $5000 in a bank that paid interest of 6%/year, compounded monthly. Then the total sum of money by the end of year 3 is:

Answers

The total sum of money by the end of year 3, with a $5000 deposit and 6% interest compounded monthly, is approximately $6120.50.

To calculate the total sum of money by the end of year 3 with a $5000 deposit and 6% interest compounded monthly, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = Total amount of money at the end of the investment period

P = Principal amount (initial deposit)

r = Annual interest rate (in decimal form)

n = Number of times interest is compounded per year

t = Number of years

In this case:

P = $5000

r = 6% or 0.06 (since it's given as a percentage)

n = 12 (compounded monthly)

t = 3 years

Plugging in the values:

A = $5000(1 + 0.06/12)^(12*3)

Calculating the exponent:

A = $5000(1 + 0.005)^36

A = $5000(1.005)^36

Using a calculator:

A ≈ $5000(1.2241)

A ≈ $6120.50

Therefore, the total sum of money by the end of year 3, with a $5000 deposit and 6% interest compounded monthly, is approximately $6120.50.

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joint costs may be allocated in more than one way (e.g. weight versus resale value). true false

Answers

The statement is True. Joint costs refer to costs that are incurred during the production of two or more products or services that are inseparable up to a certain point in the production process.

What are these ?

These costs cannot be attributed to a single product or service. When it comes to allocating joint costs, there are various methods that can be used. Two common methods are weight-based allocation and resale value-based allocation. Weight-based allocation is when the costs are divided among the products based on their relative weight or volume.

Resale value-based allocation is when the costs are divided based on the estimated market value of each product. Ultimately, the method of allocation used will depend on the specific circumstances and the needs of the company.

Hence, its true.

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official hierarchy of authority that dictates who is in charge of whom within the organization.

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The official hierarchy of authority within an organization refers to the structured system that dictates the levels of power and responsibility, determining who is in charge of whom. This hierarchy ensures efficient decision-making and communication and helps maintain order and control within the organization.

The official hierarchy of authority within an organization is the system that dictates who holds the power and is in charge of whom. This system of authority is established through a chain of command, where each position holds a specific level of power and responsibility. The higher up the hierarchy a position is, the more authority they have to make decisions and give directives to those below them. The hierarchy also dictates who is responsible for carrying out certain tasks and duties within the organization. In short, the official hierarchy of authority is a crucial element of any organization as it ensures that there is a clear structure and order in place.

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Process capability indices for three machines A, B, and C are 1.8, 1.5, and 1.2, respectively. Which of the machines is likely to produce lower proportion of defectives?
Machine A
Machine B
Machine C
No difference
None of the above

Answers

Based on the given process capability indices, Machine A is likely to produce a lower proportion of defectives compared to Machines B and C.

Process capability indices provide a measure of how well a process is performing within its specified limits. A higher value indicates better process capability. In this case, Machine A has the highest process capability index (1.8), followed by Machine B (1.5), and Machine C (1.2).

The process capability index is calculated by comparing the spread of the process output (measured by the process standard deviation) to the allowable tolerance limits. A higher process capability index means that the process spread is smaller relative to the tolerance limits, indicating a higher likelihood of producing products within specification.

Since Machine A has the highest process capability index, it suggests that its process spread is relatively smaller, indicating a higher likelihood of producing products within the specified tolerance limits and a lower proportion of defectives. On the other hand, Machine C has the lowest process capability index, indicating a larger process spread and potentially a higher proportion of defectives. Machine B falls in between the two.

Therefore, Machine A is likely to produce a lower proportion of defectives compared to Machines B and C based on their respective process capability indices.

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Which of the following is NOT a channel intermediary in the 21st-century:

a.
Ben E. Keith distributors

b.
Wal-mart

c.
Li & Fung

Answers

The correct option is c) Li & Fung is a global supply chain management company that acts as an intermediary between manufacturers and retailers. It connects businesses with suppliers and helps manage the production and distribution of goods. Therefore, Li & Fung is a channel intermediary in the 21st-century.

However, the question is asking for the option that is NOT a channel intermediary. The other options are not mentioned, so it is difficult to determine which one is not a channel intermediary. Nonetheless, a channel intermediary is a business or organization that plays a role in the distribution of goods or services between producers and consumers.

Examples of channel intermediaries in the 21st-century include wholesalers, retailers, brokers, agents, and online marketplaces. A manufacturer, for instance, is not a channel intermediary because it produces the goods, but it may work with channel intermediaries to get its products to consumers. The correct option is c) Li & Fung

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entrepreneurship multiple choice always involves greater rewards than risks. can result in economic losses. cannot earn an economic profit.

Answers

Entrepreneurship can result in economic losses.

The option (B) is correct.

When individuals or businesses engage in pioneering exercises, they face takes a chance with challenges and vulnerabilities related to beginning and maintaining a business. While business venture offers the potential for monetary achievement and benefit, there is dependably the chance of bringing about misfortunes.

It is vital to take note that while business venture conveys chances, it likewise offers valuable open doors for development, development, and monetary achievement. Effective business people frequently gain from their disappointments, adjust to evolving conditions, and go ahead with well-balanced plans of action to work on their odds of coming out on top in later endeavors.

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This question is not complete, Here I am attaching the complete question:

Entrepreneurship multiple choice

(A) always involves greater rewards than risks.

(B) can result in economic losses.

(C) cannot earn an economic profit.

Lento Inc. owned machinery with a $30,000 initial cost basis. Accumulated book depreciation with respect to the machinery was $12,000, and accumulated tax depreciation was $19,100. Lento sold the machinery for $13,000 cash. Lento’s marginal tax rate is 21 percent.

Compute Lento’s book gain or loss on sale.
Compute Lento’s tax gain or loss on sale.
Compute Lento’s after-tax cash flow from the sale.

Answers

Lento Inc.'s after-tax cash flow from the sale is $13,441.

Lento Inc.'s book gain or loss on sale, we need to determine the machinery's book value at the time of the sale. The book value is the cost basis minus accumulated book depreciation.

Book value = Cost basis - Accumulated book depreciation

Book value = $30,000 - $12,000

Book value = $18,000

Since the sale price of the machinery is less than the book value, Lento Inc. incurred a book loss on the sale.

Book loss = Book value - Sale price

Book loss = $18,000 - $13,000

Book loss = $5,000

To compute Lento Inc.'s tax gain or loss on sale, we need to determine the machinery's tax basis at the time of the sale. The tax basis is the cost basis minus accumulated tax depreciation.

Tax basis = Cost basis - Accumulated tax depreciation

Tax basis = $30,000 - $19,100

Tax basis = $10,900

Since the sale price of the machinery is less than the tax basis, Lento Inc. incurred a tax loss on the sale.

Tax loss = Tax basis - Sale price

Tax loss = $10,900 - $13,000

Tax loss = $2,100

Cash proceeds = $13,000

Tax loss = $2,100

Tax savings (21% x $2,100) = $441

If there is a book loss, there is no tax on the gain, so the after-tax cash flow is simply the cash proceeds plus any tax savings from the tax loss:

After-tax cash flow = Cash proceeds + Tax savings from tax loss

After-tax cash flow = $13,000 + $441

After-tax cash flow = $13,441

Therefore, Lento Inc.'s after-tax cash flow from the sale is $13,441.

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Why is it important to create a class such as Admin or Overhead when you set up class tracking?

A. So you know how much you spend on administrative support

B. So you can consistently apply classes to all transactions

C. So you can track the supplies you purchase for your company

D. So your balance sheet by class report will be accurate

Answers

The correct option is (B). It is important to create a class such as Admin or Overhead when setting up class tracking to consistently apply classes to all transactions and ensure an accurate balance sheet by the class report.

When setting up class tracking, it is important to create a class such as Admin or Overhead to consistently apply classes to all transactions. This ensures that all expenses related to administrative support are accurately tracked and helps you know how much you spend on such support.

Additionally, tracking the supplies you purchase for your company helps with budgeting and identifying any areas where costs can be reduced. Finally, creating classes ensures that your balance sheet by class report will be accurate, which is important for financial analysis and decision-making. By tracking expenses by class, you can better understand the financial health of your business and make informed decisions about future investments or cost-cutting measures.

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ABC consulting firm has been victimized by a hacker. The company's website had to be shut down for twohours on a Saturday. The systems administrator was in the company's office with two IT employees overthe weekend. They worked a 12-hour shift to restore the system. The admin. Is salaried, and the twoemployees are hourly workers. The administrator's annual salary is $90,000.00, and the IT employees'hourly rate is $30 with time and a half for overtime hours plus benefits of approximately 15 percent.Company overhead is charged to client jobs at 120 percent of direct labor dollars (minus employeebenefits). You are the forensic accountant brought into ABC to calculate the losses. How much salaryexpense and overhead should be considered to be part of the loss charged to the attack?

Answers

The salary expense and overhead considered as part of the loss charged to the attack is $390.

To calculate the salary expense for the systems administrator, we need to determine the portion of their salary that corresponds to the two hours of work. Since the administrator is salaried, their annual salary of $90,000 can be divided by the total number of working hours in a year (typically around 2,080 hours) to calculate the hourly rate:

Hourly Rate = Annual Salary / Total Working Hours

Hourly Rate = $90,000 / 2,080

Hourly Rate ≈ $43.27 per hour

Finally, to calculate the overhead, we need to consider the direct labor cost minus the employee benefits:

Overhead = Direct Labor * Overhead Rate

Overhead = ($86.54 + $456) * 1.2

Overhead = $542.54 * 1.2

Overhead ≈ $651.05

Therefore, the salary expense charged to the attack is approximately $542.54, and the overhead is approximately $651.05, resulting in a total loss of approximately $1,193.59.

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In which of the following situations is a budget surplus most likely to occur?

1. When fiscal policy is contractionary and the economy is expanding

2. ​When the economy is contracting

3. ​When fiscal policy is expansionary

4. ​When fiscal policy is expansionary and the economy is contracting

Answers

A budget surplus is most likely to occur in situation 1: When fiscal policy is contractionary and the economy is expanding.

In this situation, the government is reducing its spending or increasing taxes, leading to a decrease in the budget deficit or an increase in the surplus.

Additionally, when the economy is expanding, tax revenues are likely to increase as businesses and individuals earn more income.

This combination of contractionary fiscal policy and economic expansion results in a higher probability of a budget surplus.

When income or revenue outpaces expenses, a budget surplus results.

Governments and businesses with surpluses have extra funds that can be invested or applied to debt repayment.

A deficit, which arises when expenditure exceeds income, is the reverse of a surplus.

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mark dies on march 6, 2016. which, if any, of the following items is not included in his gross estate?

Answers

Mark's gross estate includes all assets and property that he owned at the time of his death. This includes real estate, investments, bank accounts, personal belongings, and life insurance policies that he owned. However, certain items are excluded from the gross estate.

One item that is not included in Mark's gross estate is any life insurance policy that he did not own.

If the policy was owned by someone else, such as a spouse or business partner, then it is not considered part of Mark's estate.
Another item that may not be included in Mark's gross estate is a property that was jointly owned by someone else.

If the property was owned jointly with rights of survivorship, then it passes directly to the surviving owner and is not considered part of Mark's estate.
Similarly, any property that Mark transferred to someone else before his death is not included in his gross estate, as long as the transfer was not made with the intent to avoid estate taxes.

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suppose at the beginning of year 1, there are ten cranes in an economy. during the course of year 2, two cranes wear out. at the same time, the government invests in capital and purchases three new cranes. gross investment is equal to cranes, and depreciation is equal to cranes. therefore, net investment is equal to crane(s).

Answers

In this scenario, there are ten cranes in the economy at the beginning of year 1. Over the course of year 2, two cranes wear out, and the government purchases three new cranes. The gross investment, which represents the total number of cranes purchased, is equal to three cranes. Since two cranes have worn out, the depreciation is also equal to two cranes. Therefore, the net investment, which is the difference between gross investment and depreciation, is equal to one crane.

Net investment is the measure of the change in the stock of capital within an economy over a given period. It represents the net increase in the capital stock after accounting for depreciation. In this scenario, the gross investment is equal to three cranes because the government purchases three new cranes. However, two cranes wear out, indicating the depreciation. Therefore, the net investment is calculated by subtracting the depreciation (two cranes) from the gross investment (three cranes), resulting in a net investment of one crane. This means that, after accounting for the depreciation, the economy's capital stock has increased by one crane during the given period. Net investment plays a crucial role in determining the growth and productivity of an economy.

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Good cash management boils down to
A)investing excess funds at the most favorable interest rate and borrowing at the lowest rate when there is a temporary cash shortage.
B)investing excess funds at the lowest rate and borrowing at the highest rate when there is a temporary cash shortage.
C)hedging currency exposure with judicious use of futures,forwards,and currency option contracts.
D)none of the options

Answers

Good cash management boils down to option A) investing excess funds at the most favorable interest rate and borrowing at the lowest rate when there is a temporary cash shortage.

Effective cash management involves optimizing the use of available funds to maximize returns and minimize costs. By investing excess funds at the most favorable interest rate, a company can earn a return on its idle cash.

Similarly, when there is a temporary cash shortage, borrowing at the lowest rate helps minimize interest expenses and ensures sufficient liquidity. This approach helps maintain a healthy cash flow position and improves overall financial efficiency.

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