Which of the following is not correct?
A. The taxable equivalent yield is greater than the tax-exempt yield.
B. The taxable equivalent yield can be compared to the return on a taxable investment.
C. An investor can have a capital gain if she sells a municipal bond before maturity.
D. The taxable equivalent yield is calculated for municipal securities.
E. The tax-exempt yield is associated primarily with federal government securities.

Answers

Answer 1

The statement that is not correct is Option E. The tax-exempt yield is associated primarily with federal government securities.

A tax-exempt yield refers to the interest income earned on investments that are not subject to federal income tax. Municipal bonds, which are issued by state and local governments, are the primary source of tax-exempt yields, rather than federal government securities. Federal government securities, such as Treasury bonds, notes, and bills, do generate interest income, but that income is subject to federal income tax.

The taxable equivalent yield (A, B, and D) is a useful tool for comparing the potential returns of tax-exempt investments, like municipal bonds, to taxable investments, such as corporate bonds or federal government securities. It helps investors determine the pre-tax yield a taxable investment would need to offer in order to match the return of a tax-exempt investment. This allows investors to make informed decisions about their investments, based on their individual tax situations.

Capital gains (C) are possible for investors who sell a municipal bond before its maturity date. If the bond is sold at a price higher than the purchase price, the investor will have a capital gain. Conversely, if the bond is sold at a lower price than the purchase price, the investor will experience a capital loss. Therefore, the correct option is E.

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Related Questions

prepare journal entries for the following transactions from restaurant depot. nov. 8 customer miles shandy purchased 200 pans at $35 per pan, costing restaurant depot $21 per pan. terms of the sale are 2/10, n/30, invoice dated november 8. nov. 17 miles shandy pays in full with cash for his purchase of november 8.

Answers

Restaurant Depot recorded two journal entries. On November 8, a sale was made to customer Miles Shandy for 200 pans. On November 17, Miles Shandy paid in full with cash for purchase made on November 8.

The journal entries for the transactions are as follows:

1. November 8:

  Accounts Receivable      Dr.    $7,000

  Sales Revenue                  Cr.    $7,000

  Cost of Goods Sold         Dr.    $4,200

  Inventory                              Cr.    $4,200

The first entry records the sale of 200 pans to Miles Shandy. The Accounts Receivable account is debited for the selling price of $7,000 (200 pans x $35 per pan), while the Sales Revenue account is credited for the same amount. Additionally, the Cost of Goods Sold account is debited for the cost price of the pans, which is $4,200 (200 pans x $21 per pan), and the Inventory account is credited for the same amount to reduce the inventory.

2. November 17:

  Cash                                          Dr.    $6,860

  Sales Discount                         Dr.    $140

  Accounts Receivable              Cr.    $7,000

The second entry records the payment made by Miles Shandy in full for the purchase made on November 8. The Cash account is debited for the amount received, which is $6,860 (the full amount minus the sales discount), and the Sales Discount account is debited for the sales discount amount of $140 (2% of $7,000). The Accounts Receivable account is credited for the full amount of $7,000 to eliminate the outstanding balance.

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what makes an asset valuable? is the value of an asset strictly monetary, or are there other ways to classify its worth? provide an example.

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An asset can be valuable for a variety of reasons, not just strictly monetary value. While the monetary worth of an asset is important, there are other factors that can influence an asset's value.

For example, an asset may be valuable because it has sentimental value or is considered rare and unique. Additionally, the usefulness of an asset can also contribute to its worth. To classify an asset's worth, one can consider its current and potential future usefulness, its rarity, and its condition. For instance, a vintage car may have significant monetary value due to its rarity and condition, but it may also have sentimental value to its owner. On the other hand, a piece of real estate may have both monetary and useful value due to its location and potential for development. Overall, while monetary value is an important aspect of an asset's worth, there are other factors to consider when determining its overall value.

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Analyzing Changes in Accounts Receivable The following information pertains to Medicoil Inc., producers of medical hardware, for the current year just ended. Balance Sheet Excerpts January 1 December 31 Accounts receivable $20,000 $35,000Allowance for doubtful accounts (1,000) (2,000) Net accounts receivable $19,000 $33,000 Income Statement Excerpts Net sales $80,000 Bad debt expense 5,500 Additional information 1. $6,000 of accounts receivable were written off during the year.2. $1,500 was collected on accounts receivable written off in previous years. Required a. Determine the adjustment(s) to net income appearing in the operating activities section of the statement of cash flows for the current year under the indirect method. $ (14,000) b. Determine the cash collections appearing in the operating activities section of the statement of cash flows for the current year under the direct method. $ 0

Answers

The correct adjustment to net income appearing in the operating activities section of the statement of cash flows for the current year under the indirect method is -$14,000

To determine the adjustments to net income appearing in the operating activities section of the statement of cash flows for the current year under the indirect method, we need to consider the changes in accounts receivable and the allowance for doubtful accounts.

Starting with net income, we know that bad debt expense was $5,500. This expense needs to be added back to net income because it was deducted in calculating net income but does not affect cash flows. So, the adjustment to net income is:

Net Income

Bad debt expense

= Net income before adjustments

= $80,000 - $5,500

= $74,500

Next, we consider the changes in accounts receivable. The increase in accounts receivable from January 1 to December 31 is $35,000 - $20,000 = $15,000. However, we need to adjust for the accounts receivable that were written off during the year and the collections on accounts receivable written off in previous years.

Accounts receivable written off during the year: $6,000

This amount needs to be added back to net income because it was deducted when writing off the accounts receivable but does not affect cash flows.

Collections on accounts receivable written off in previous years: $1,500

This amount needs to be deducted from net income because it represents cash collected on previously written-off accounts.

Adjustment to net income for changes in accounts receivable:

= Net income before adjustments

Accounts receivable written off during the year

Collections on accounts receivable written off in previous years

= $74,500 + $6,000 - $1,500

= $79,000

Therefore, the adjustment to net income appearing in the operating activities section of the statement of cash flows for the current year under the indirect method is -$14,000 ($79,000 - $65,000).

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the opportunity to buy stock at a fixed price over a specific period of time is referred to as

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The opportunity to buy stock at a fixed price over a specific period of time is known as an option. An option is a contract between two parties that gives the buyer the right, but not the obligation, to buy or sell an underlying asset, such as a stock, at a specific price (also known as the strike price) within a predetermined time frame.

This allows investors to hedge against market fluctuations and potentially profit from price movements in the underlying asset. Options can be either call options or put options, depending on whether the buyer wants the right to buy or sell the underlying asset. Trading options can be complex and involves significant risk, so it's important to thoroughly research and understand the potential risks and benefits before investing.

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Molly Matters Inc. issues a split-coupon $1,000 bond that matures in seven years. Interest payments are $80 a year (8 percent) and start after three years have lapsed. The bond initially sells for a discounted price of $794.a) You are in the 30 percent income tax bracket and purchase the bond. What are the annual taxes owed on the interest?b) You are in the 30 percent income tax bracket and purchase the bond in your IRA. What are the annual taxes owed on the interest?

Answers

a) The annual taxes owed on the interest will be $24.

b) If you purchase the split-coupon bond in your IRA, no annual taxes on the interest payments.

a) If you purchase the split-coupon bond as an individual in the 30 percent income tax bracket, you will owe taxes on the interest payments of $80 per year starting after three years have lapsed.

Since the interest is considered taxable income, you will owe 30 percent of the interest payment each year, which amounts to $24 per year in taxes. Therefore, your annual taxes owed on the interest will be $24.

b) If you purchase the split-coupon bond in your IRA, you will not owe annual taxes on the interest payments. This is because IRAs are tax-advantaged accounts, meaning that contributions to the account are made with pre-tax dollars, and any earnings within the account grow tax-free until retirement age.

Since the bond is held within your IRA, the interest payments will accrue within the account and will not be subject to annual taxes. However, when you withdraw the funds from your IRA in retirement, you will owe taxes on the entire amount, including the interest earned on the bond.

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determine the 95% confidence interval for the difference of the sample means. then complete the statements. the 95% confidence interval is -1.26 to 3.44 . the value of the sample mean difference is 1.74, which falls outside the 95% confidence interval.

Answers

Answer:

If the 95% confidence interval for the difference of the sample means is -1.26 to 3.44, it means that we can be 95% confident that the true population difference between the two means falls within this range.

Since the value of the sample mean difference is 1.74 and falls outside the 95% confidence interval, it suggests that the sample mean difference is statistically significant at the 5% level (alpha = 0.05). In other words, the difference in means is unlikely to have occurred by chance alone and may represent a true difference between the two populations.

Explanation:

Use the following information for all questions related to Tahir's Tech Company:
Tahir's Tech Company purchases a new server for $3,000 on January 1st, Year 1. The company expects to use the server for about five years before reselling it, and managers estimate that someone will pay $900 for the server when it is resold.
Calculate the net book value of the server at the end of Year 2, assuming Tahir uses the double-declining balance method of calculating depreciation.
At the end of Year 5, Tahir sells the server for $905. Answer the following questions related to the journal entry that Tahir will make to record this sale. If there is no debit or credit to an account, put "0''.
Tahir will debit Accumulated Depreciation for
Tahir will debit Cash for
Tahir will debit Loss on Sale for
Tahir will credit Gain on Sale for
Tahir will credit Equipment fo

Answers

The net book value of the server at the end of Year 2 is $1,080.

At the end of Year 2. Subtract the depreciation expense for Year 2 ($720) from the net book value at the beginning of Year 2 ($1,800): $1,800 - $720 = $1,080.

Now, let's answer the questions related to the journal entry for the server sale at the end of Year 5:

Tahir will debit Accumulated Depreciation for 1,920. ($1,200 + $720)

Tahir will debit Cash for 905.

Tahir will debit Loss on Sale for 115. ($900 - $905)

Tahir will credit Gain on Sale for 0.

Tahir will credit Equipment for 3,000.

Depreciation is an accounting concept that refers to the reduction in value of an asset over time. It is a systematic allocation of the cost of an asset over its useful life. When a company acquires an asset, such as machinery, buildings, or vehicles, it is expected that the asset will lose value over time due to factors like wear and tear, technological advancements, or market fluctuations.

Depreciation allows businesses to account for this decrease in value and allocate the cost of the asset over its expected useful life. There are various methods of calculating depreciation, including straight-line depreciation, declining balance depreciation, and units of production depreciation. Each method has its own assumptions and formulas to determine the amount of depreciation to be recorded in a given accounting period.

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dependable track courier company subscribes to responsiblity accounting. this means that their employees are not held responbile

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Dependable Track Courier Company subscribes to responsibility accounting. This means that their employees are not held responsible for certain costs or activities.

Responsibility accounting is an approach to management accounting that focuses on assigning responsibility for costs, revenues, and activities to specific individuals or departments within an organization. It allows for better control and evaluation of performance by holding individuals accountable for the areas they are responsible for.

In the case of Dependable Track Courier Company, employees are not held responsible for certain costs or activities, which could mean that these costs or activities are assigned to other departments or individuals within the organization. This approach allows for a more targeted and effective evaluation of performance and decision-making within the company.

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The effective yield of an Investment plan is the percent increase in the balance after 1 year. Find the effective yield for each investment plan. (Round your answers to two decimal places.) (a) 9% annual interest rate, compounded annually (b) 9% annual interest rate, compounded continuously (c) 9% annual interest rate, compounded quarterly (d) 9.25 annual Interest rate, compounded quarterly Which investment plan has the greatest effective yield? 5 d Which investment plan will have the highest balance after 5 years?

Answers

The effective yield of an Investment plan is the percent increase in the balance after 1 year, the effective yield for each investment plan is 9.25 annual Interest rate, compounded quarterly, option D.

The rate of interest that is actually earned on an investment or paid back on a loan as a result of compounding over a certain amount of time is known as the Effective Annual Rate (EAR). It is used to compare various financial products that calculate annual interest with various compounding periods—weekly, monthly, yearly, etc.—and is typically higher than the nominal rate. As the number of compounding periods increases, so does the effective annual interest rate.

The successful yearly rate is regularly higher than the ostensible rate in light of the fact that the ostensible rate statements a yearly rate paying little heed to building. The effective annual rate outpaces the nominal rate as the number of compounding periods increases.

To put it another way, a compounding investment will have an effective annual rate that is the same as its nominal rate. However, the effective annual rate would rise if the same investment were compounded quarterly instead.

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seed capital is an example of expansion or development financing. true or false

Answers

Answer:

False

Explanation:

In order to help new businesses or entrepreneurs get started, seed capital is a sort of investment that is given to them. The early stages of a company's development, such as product development, market research, and other pre-revenue operations, are funded with the help of this type of early-stage finance.

On the other hand, businesses that are already established and want to expand their operations, penetrate new markets, or develop new products are given expansion or development financing.

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one implication that follows from adolescent community service is that, in contrast to adolescents who don't volunteer, those who do are more likely to be conscious of themselves as citizens.

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One implication that follows from adolescent community system is that **those who volunteer are more likely to be conscious of themselves as citizens**, compared to adolescents who do not engage in volunteer work.Through community service, adolescents have the opportunity to contribute to the betterment of society, which fosters a sense of citizenship. They gain firsthand experience in making a positive impact and realize the power of their actions in addressing societal problems.

In summary, the implication of adolescent community service is that it promotes a heightened consciousness of oneself as a citizen. By engaging in volunteer work, adolescents develop a sense of empathy, social responsibility, and an understanding of the importance of actively participating in and contributing to their communities.

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what did j. p. morgan receive in return for his actions in the panic of 1907?

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During the Panic of 1907, J. P. Morgan played a significant role in stabilizing the financial crisis as a prominent financier and banker, he organized a group of leading bankers to intervene.  

In return for his efforts, J. P. Morgan did not receive any direct financial compensation or a specific reward. However, his actions during the crisis solidified his reputation as a powerful and influential figure in the financial world. Morgan was already a highly respected and influential banker, and his role in averting the crisis further enhanced his stature and influence in the industry.

It is worth noting that Morgan's actions in the Panic of 1907 contributed to the subsequent establishment of the Federal Reserve System in 1913. The panic highlighted the need for a central banking institution to address financial crises and provide stability to the economy. The Federal Reserve Act was passed to create a more formalized and structured framework for addressing future financial crises, with the Federal Reserve serving as the central bank of the United States.

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Ten years ago, an account was opened with an investment of $5000. Its balance is now $6000. If interest was compounded annually, what interest rate was earned on the account? (Enter your answers as a decimal rounded to 4 decimal places, not a percentage. For example, enter 0.0843 instead of 8.43%)

Answers

The interest rate earned on the account was approximately 0.0455, or 4.55% rounded to four decimal places.

The formula for calculating compound interest is:

FV = PV * (1 + r[tex])^n[/tex]

where FV is the future value, PV is the present value, r is the annual interest rate, and n is the number of years.

We know that the present value (PV) was $5000 and the future value (FV) is $6000 after 10 years. Using the formula above, we can solve for the annual interest rate (r):

$6000 = $5000 * (1 + r[tex])^10[/tex]

Dividing both sides by $5000:

1.2 = (1 + r)^10

Taking the 10th root of both sides:

(1.2)^(1/10) = 1 + r

Subtracting 1 from both sides:

r = (1.2)^(1/10) - 1

Using a calculator, we get:

r = 0.0455

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the value of new corporate bonds issued each year is greater than volume of new stock issued. group of answer choices true false

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Corporate bonds are a type of debt instrument issued by companies to raise capital. In contrast, stocks represent ownership in a company and are a form of equity financing. True statement.

According to data from the Securities Industry and Financial Markets Association (SIFMA), the volume of new corporate bonds issued in the United States has consistently exceeded the volume of new stock issued in recent years. For example, in 2020, the total volume of new corporate bond issuance was $2.54 trillion, while the volume of new stock issuance was only $185 billion.

There are several reasons why companies may choose to issue bonds instead of stocks. First, bonds typically offer a fixed rate of return and a predictable payment schedule, which can be attractive to investors seeking stable income. Second, bondholders have priority in the event of a company's bankruptcy or default, which provides an added layer of security.

Overall, the fact that the volume of new corporate bonds issued each year is greater than the volume of new stock issued is a reflection of the ongoing demand for debt financing among companies.

Thus, the given statement is true.

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when a country moves away from a free trade position and imposes a tariff on imports, it causes

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When a country moves away from a free trade position and imposes a tariff on imports, it can have various effects on the economy and trade relationships.

Imposing a tariff on imports is a form of trade protectionism aimed at protecting domestic industries and markets from foreign competition. The primary effect of imposing a tariff is an increase in the price of imported goods, making them more expensive for consumers. This can lead to several outcomes.

Firstly, it may provide a short-term advantage to domestic industries as they face less competition from cheaper imports. However, in the long run, it can lead to inefficiencies and reduced competitiveness.

Secondly, it may provoke retaliation from other countries, resulting in trade wars and disruptions in global trade relationships. Moreover, tariffs can harm consumers by reducing their purchasing power and limiting access to a wider range of goods.

Additionally, tariffs can lead to a decrease in overall trade volume, which can negatively impact economic growth and employment.

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what is one potential influence on a program that may create inconsistent goals? a. impacts assessment b. stakeholders c. outcomes evaluation d. implementation asse

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Option b. stakeholders is Correct. Inconsistent goals in a program can arise from various factors.

It including misalignment between stakeholders' expectations and program objectives, lack of clarity in program objectives, or insufficient monitoring and evaluation processes. Stakeholders are individuals or groups who have a vested interest in the program, such as funders, beneficiaries, or program staff.

If stakeholders have different or conflicting expectations for the program, it can lead to inconsistent goals, as they may have different ideas about what the program should achieve. Therefore, ensuring that all stakeholders are aligned with the program's objectives and that their expectations are managed effectively can help prevent inconsistent goals. Option b. stakeholders is Correct.

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The basic tools of supply and demand apply to
The basic tools of supply and demand apply to
all markets except those in which demand is derived demand.
markets for goods and services but not to markets for factors of production.
both markets for goods and services and markets for labor services.
markets for goods and services but not to markets for labor services.

Answers

The basic tools of supply and demand apply to both markets for goods and services and markets for labor services.

In economic theory, the principles of supply and demand are fundamental concepts used to analyze and understand the behavior of markets. These principles apply to a wide range of markets, including those for goods and services as well as labor services.

In markets for goods and services, the interaction of supply and demand determines the equilibrium price and quantity of a product or service. The demand curve represents the quantity of a good or service that consumers are willing and able to purchase at different price levels, while the supply curve represents the quantity that producers are willing and able to offer at different price levels. The equilibrium point occurs where the demand and supply curves intersect, establishing the market price and quantity.

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stabilization policy refers to attempts to question content area bottom part 1 a. shift the ad curve to keep the price level as low as possible. b. shift the ad curve to smooth shortrun fluctuations in output. c. shift the sras curve to smooth shortrun fluctuations in output. d. shift the sras curve to keep the nominal interest rate as low as possible.

Answers

Stabilization policy refers to attempts to shift the AD (Aggregate Demand) curve to smooth short-run fluctuations in output. By manipulating factors that influence aggregate demand, such as fiscal policy (government spending and taxation) or monetary policy (interest rates and money supply), policymakers aim to stabilize the economy and mitigate fluctuations in output and employment.

The goal of stabilization policy is not specifically focused on keeping the price level as low as possible or keeping the nominal interest rate low. While these factors may be indirectly influenced by stabilization measures, the primary objective is to address short-run fluctuations in output and promote economic stability.

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to avoid contaminating a bagel ordered by a customer, the food handler should

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To avoid contaminating a bagel ordered by a customer, the food handler should follow proper food safety practices and hygiene measures.

Here are some key steps to prevent contamination:

Wash Hands: Thoroughly wash hands with soap and warm water before handling the bagel. This helps remove any potential bacteria or contaminants.Use Gloves: If required by local health regulations or best practices, wear disposable gloves while handling the bagel to create a barrier between hands and the food.Avoid Touching Edible Parts: When handling the bagel, try to avoid touching the edible parts directly, such as the surface where cream cheese or other toppings will be spread.Use Utensils or Deli Paper: Use clean utensils like tongs or a spatula to handle the bagel. If using hands, use deli paper or another barrier to prevent direct contact.Avoid Cross-Contamination: Ensure that the bagel does not come into contact with any potentially contaminated surfaces, such as unclean countertops, cutting boards, or other foods.Store Properly: Store the bagels in a clean and safe environment, away from potential sources of contamination.Serve on Clean Plates or Wrapping: Use clean plates or food-grade wrapping to serve the bagel, ensuring that the surface it comes into contact with is sanitary.

By following these practices, food handlers can help maintain food safety standards and minimize the risk of contamination when handling and serving bagels to customers.

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marketing to asian american consumers is challenging as: group of answer choices they have considerably less disposable income compared to other minority groups. they are widely spread in different regions of the united states. they belong to multiple ethnic groups with their own language, religion, and value systems. they have a high acculturation rate.

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Marketing to Asian American consumers is challenging because they belong to multiple ethnic groups with their own language, religion, and value systems.

Asian American consumers refer to individuals or households in the United States who have Asian ancestry or cultural ties. This diverse consumer group encompasses various ethnicities, such as Chinese, Indian, Filipino, Korean, Vietnamese, Japanese, and more. Asian American consumers bring with them a rich tapestry of languages, traditions, religions, and values. They exhibit a wide range of consumer behaviors and preferences, influenced by their cultural background, generational differences, acculturation level, and socioeconomic factors. Marketers targeting Asian American consumers must recognize and appreciate this diversity, understand their unique cultural nuances, and develop tailored strategies to effectively engage and cater to their needs, preferences, and aspirations.

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Suppose that five out of ten investments made by a VC fund are a total loss, meaning that the return on each of them is 2100%. Of the ten investments, three break even, earning a 0% return. If the VC fund’s expected return equals 50%, what rate of return must it earn on the two most successful deals in order to achieve a portfolio return equal to expectations?

Answers

the VC fund must earn a rate of return of -5225% on the two most successful deals to achieve a portfolio return equal to expectations. Note that a negative return indicates a loss on those investments.

determine the rate of return the VC fund must earn on the two most successful deals to achieve a portfolio return equal to expectations, let's analyze the given information.

Out of the ten investments:
- Five investments result in a total loss, meaning each has a return of -2100%.
- Three investments break even with a 0% return.

So, the total loss from the five investments is 5 * 2100% = 10500%.

To achieve a portfolio return equal to the expected return of 50%, the successful deals must generate a return that offsets the loss from the unsuccessful deals.

The remaining two investments must collectively earn a return of 50% + 10500% to balance out the portfolio.

Let R be the required rate of return for each of the two successful deals.
Thus, (2 * R) + 10500% = 50%.

Simplifying the equation:
2R + 10500% = 50%
2R = 50% - 10500%
2R = -10450%
R = -5225%.

Therefore, the VC fund must earn a rate of return of -5225% on the two most successful deals to achieve a portfolio return equal to expectations. Note that a negative return indicates a loss on those investments.

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Which of the following terms means a result of calculation based on the average number of months the insured is projected to live due to medical history or mortality factors? A. Risk exposure B. Morbidity C. Life expectancy D. Mortality rate

Answers

The term that means a result of calculation based on the average number of months the insured is projected to live due to medical history or mortality factors is "life expectancy." Option C is Correct.

Life expectancy is the average number of years that a person is expected to live, based on factors such as their age, sex, race, and lifestyle. It is often used in insurance and finance to calculate the risk and potential cost of insuring a person or group of people. In the context of health insurance, life expectancy is used to calculate the average number of months an insured person is projected to live based on their medical history or mortality factors.

Risk exposure refers to the level of risk that a person or organization faces due to various factors such as financial, operational, or legal risks. Morbidity refers to the presence or occurrence of diseases or medical conditions. Mortality rate refers to the number of deaths in a particular population or group of people, typically expressed as a percentage of the total population. Option C is Correct.

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Data warehouses provide direct and indirect benefits to using organizations. Which of the following is an indirect benefit of data warehouses?
better and more timely information
extensive new analyses performed by users
simplified access to data
improved customer service

Answers

Improved customer service is an indirect benefit of data warehouses. (Option D)

While all the options mentioned are potential benefits of data warehouses, improved customer service is considered an indirect benefit. Data warehouses enable organizations to store, integrate, and analyze large amounts of data from various sources, which can lead to insights and patterns that can enhance customer service. By having access to comprehensive customer data, organizations can personalize interactions, understand customer preferences, and provide more targeted and effective services.

This can result in improved customer satisfaction, loyalty, and retention. Although better and more timely information, extensive new analyses, and simplified access to data are also benefits of data warehouses, they have a more direct impact on the organization's internal operations and decision-making processes, whereas improved customer service is an indirect outcome of utilizing data warehouses effectively.

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Joe wants to have an ownership interest in the life carrier he chooses for his insurance. Which of the following types of insurance contracts would most likely be appropriate for Joe? A) Variable universal life insurance B) Participating whole life insurance C) Universal life insurance D) Single premium deferred annuity

Answers

D) Single premium deferred annuity Joe's desire to have an ownership interest in the life carrier he chooses for his insurance is best met with a single premium deferred annuity.

With this type of contract, Joe makes a single payment to the insurance company, which then invests the money on his behalf. In return, Joe receives a guaranteed income stream, typically for a set period of time or for the rest of his life. The value of the annuity and the amount of income paid to Joe are based on the performance of the investments made by the insurance company.

Variable universal life insurance (B) and participating whole life insurance (C) are both types of permanent life insurance that offer some level of investment flexibility and the potential for cash value growth. However, they also involve risk and the potential for returns that may be lower than expected.

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A manufacturing plant allows its engineers to come in at 7 A.M. plus or minus an hour but still requires them to work 8-hour days. Which of the following scheduling techniques is the firm employing?
A) flextime
B) constant employment
C) part-time status
D) flexible workweek
E) compressed workweek

Answers

The scheduling technique employed by the manufacturing plant is "flextime" (Option A).

Flextime refers to a work arrangement where employees have some flexibility in determining their starting and ending times, while still fulfilling the required number of hours per day or week. In this case, the engineers are allowed to come in at 7 A.M. plus or minus an hour, which gives them flexibility in their start time. However, they are still required to work 8-hour days, ensuring that the required number of hours is met.

Under a flextime arrangement, employees typically have core hours during which they are required to be present at work. Outside of the core hours, employees have the flexibility to choose their working hours based on their personal needs and preferences. This can include starting and ending work earlier or later than the standard schedule, taking longer or shorter breaks, or working a compressed workweek.

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S company reported net income for 2021 in the amount of $ 460,000. The company's financial statements also included the following.

Increase in accounts receivable $ 84,000

The decrease in inventory $ 70,000

Increase in accounts payable $ 290,000

Depreciation expense $ 101,000

Gain on sale of land $ 146,000

What is net cash provided by operating activities under the indirect method?

A) $762,000.
B) $1,060,000.
C) $562,000.
D) $606,000.

Answers

Based on the information provided, we can determine that S company reported a net income of $460,000 for the year 2021. This means that after deducting all expenses, the company earned $460,000 in profits. However, the financial statements of the company also included additional information such as $1,060,000 and $606,000.


Without any further information, it is difficult to determine what these figures represent. They could be revenues, expenses, or other items on the financial statements. Therefore, it is important to carefully review the financial statements to understand the nature of these amounts and how they impact the overall financial health of the company.
It is also important to note that net income is just one measure of a company's performance. Other financial ratios such as gross profit margin, return on assets, and debt-to-equity ratio can provide a more comprehensive view of the company's financial health.
Overall, while net income is an important metric, it should be considered in conjunction with other financial indicators to fully assess the performance and financial health of a company.

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a request for quotation (rfq) is less specific than an rfp (request for proposal). TRUE/FALSE

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The statement "A request for quotation (RFQ) is generally less specific than a request for proposal (RFP)" is True.

An RFQ is typically used when the buyer has a clear understanding of the product or service they need, and is seeking competitive bids from vendors to identify the best price and terms. The RFQ usually provides vendors with a basic outline of the requirements, specifications, and quantity in order to receive comparable quotes.

On the other hand, an RFP is more detailed and formal than an RFQ. It is used when the buyer needs more information or a solution to a problem and seeks proposals that will help meet their needs. The RFP typically guides bidders on how to prepare their proposal and makes specific requests that must be adhered to.

While both RFQs and RFPs are used to solicit vendors and receive competitive bids, RFPs require a more detailed proposal where vendors must demonstrate how their solution will meet the buyer’s needs along with pricing.

Overall, RFQs and RFPs serve different purposes in procurement, with RFQs being less specific than RFPs.

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Partial additional information: The net income for 2019 totaled $1,600. During 2019, the company sold, for $390, equipment that cost $390 and had a book value of $300. The company sold land for $200, resulting in a loss of $40. The remaining change in the Land account resulted from the purchase of land through the issuance of common stock.
Required:
Making whatever additional assumptions that are necessary, prepare a spreadsheet to support the 2019 statement of cash flows for Payne.

Answers

A spreadsheet for the 2019 statement of cash flows for Payne can be prepared by considering additional assumptions regarding cash inflows and outflows based on the provided information.

To prepare the spreadsheet for the 2019 statement of cash flows, we need to consider additional assumptions based on the information given. Here are the key components that should be included: Cash flows from operating activities: This section includes net income as the starting point. Other adjustments include adding back non-cash expenses such as depreciation and subtracting gains and adding losses from the sale of assets. Additionally, changes in current assets and liabilities, such as accounts receivable, inventory, accounts payable, and operating expenses, need to be considered.

Cash flows from investing activities: This section includes cash flows related to the purchase and sale of long-term assets. In this case, we have information about the sale of equipment and land. The cash inflow from the sale of equipment would be $390, and the cash outflow from the sale of land would be $200. Cash flows from financing activities.

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Relying on time value of money concepts, which of the following is the best description of the relationship between present value and future value? O1) Present Value always equals Future Value 2) Future Value = Present Value + Interest Earned 3) Present Value is always greater than Future Value 4) Present Value + Future Value - Interest Earned

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The best description of the relationship between present value and future value is that Future Value = Present Value + Interest Earned.

Present value refers to the current value of a future cash flow, taking into account the time value of money. It represents the amount of money needed today to achieve a specific future value. On the other hand, future value represents the value of an investment at a specific point in the future, considering the interest or growth earned over time. The relationship between present value and future value is determined by the interest or growth rate applied to the initial investment.

In the formula Future Value = Present Value + Interest Earned, the present value is the initial investment, and the interest earned represents the growth or return on that investment over time. By adding the interest earned to the present value, we can determine the future value. This relationship highlights the impact of compounding on the growth of investments over time.

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why is it important to examine demand relationships

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Answer:

together they determine the prices and quantities of most goods and services available in a given market.

Explanation:

Supply and demand have an important relationship because together they determine the prices and quantities of most goods and services available in a given market. According to the principles of a market economy, the relationship between supply and demand balances out at a point in the future.

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