what does a bond rating measure? multiple choice question. default risk and market risk credit quality and inflation risk credit quality, or default risk interest rate and default risk

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Answer 1

The correct response is c. credit quality or default risk. The ability to borrow money at the a fair price is determined by a bond's creditworthiness, which is defined by its rating. Bonds are frequently given a letter grade in these ratings showing their credit quality.

A lender's exposure to the risk that a borrower won't be able to fulfill required debt payments is known as default risk. An almost zero or negative free cash flow number could be a sign of a higher default risk. Consider a borrower who obtains a $300,000 mortgage as a straightforward illustration of default risk. The bank that provided the loan assumes default risk in the transaction because it is uncertain whether the borrower will repay the loan on time. When a company's average cash flow level swings downward, its cash flow volatility rises, or both, the risk of default rises. Investors have the option to quickly and cheaply trade equities on a liquid market.

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at the beginning of 2022, a corporation had assets of $340,000 and liabilities of $60,000. during 2022, assets increased $15,000 and liabilities increased $3,000. what was stockholders' equity at december 31, 2022?

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To find the stockholders' equity at the end of the year, we need to first calculate the assets and liabilities at the end of the year.

At the end of the year, the assets would be $340,000 + $15,000 = $355,000. The liabilities would be $60,000 + $3,000 = $63,000.

To calculate the stockholders' equity, we simply subtract the liabilities from the assets:

Stockholders' equity = Assets - Liabilities
Stockholders' equity = $355,000 - $63,000
Stockholders' equity = $292,000

Therefore, the stockholders' equity at the end of the year is $292,000.

Stockholders' equity represents the residual interest in the assets of a corporation after deducting liabilities. It includes contributions made by shareholders, retained earnings, and any other adjustments such as changes in the value of certain assets. It's an important indicator of a company's financial health and can be used to assess its ability to generate returns for its shareholders.

In this case, the increase in assets and liabilities during the year suggests that the company is growing and taking on more obligations. The stockholders' equity provides insight into how much value the company has generated for its shareholders.

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on january 1, a food handler is preparing chili that contains ground beef and pork sausage. the ground beef has an expiration date of january 3. the pork sausage has an expiration date of january 5. what is the use~by date of the chili?

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If the pork sausage has an expiration date of january 5, the use-by date of the chili would be January 3.

To determine the use-by date of the chili, the food handler needs to consider the expiration dates of the individual ingredients and apply the appropriate food safety guidelines.

In this scenario, the ground beef has an expiration date of January 3, which means it should not be used after this date. The pork sausage, on the other hand, has an expiration date of January 5, which means it can be used until this date.

To determine the use-by date of the chili, the food handler should use the shortest expiration date among the ingredients, which in this case is January 3 for the ground beef.

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the point at which it is no longer advantageous to buy in bulk is known as marginalcost.tipping.benefit.error.

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The point at which it is no longer advantageous to buy in bulk is known as the tipping point. Here option B is the correct answer.

The tipping point is the point at which the cost of buying in bulk no longer provides a significant cost advantage over buying smaller quantities. Beyond this point, the cost savings from bulk purchasing may be outweighed by other costs, such as storage, inventory management, or waste disposal.

For example, a business may find that it is more cost-effective to buy a larger quantity of raw materials or inventory to take advantage of bulk discounts. However, if the cost of storing and managing that inventory becomes too high, the business may reach a tipping point where it is no longer advantageous to continue buying in bulk.

Determining the tipping point can be important for businesses to optimize their purchasing and inventory management strategies. By finding the right balance between bulk purchasing and other costs, businesses can reduce their overall costs and improve their profitability.

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Complete question:

The point at which it is no longer advantageous to buy in bulk is known as

A - marginal cost

B - tipping

C - benefit

D - error.

if no further deposits or withdrawals are made to the account, what is the value of the account when she reaches age 65?

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Without additional deposits or withdrawals, we cannot determine the value of the account when she reaches age 65 as it depends on the initial deposit, interest rate, and any compounding over time.

The value of the account at age 65 will depend on the initial conditions and market fluctuations over time. The value of an account at age 65 will depend on the initial conditions, such as the amount of the initial deposit, the interest rate, and the frequency of compounding.

If someone started with a higher deposit and a higher interest rate, the account would grow faster and have a higher value at age 65. However, market fluctuations can also impact the value of the account over time. Economic conditions, such as inflation and changes in interest rates, can affect the account's growth rate and overall value.

Additionally, any investment decisions made by the account holder can also impact the account's value. For example, if the account is invested in stocks and the market experiences a downturn, the account's value may decrease.

Ultimately, the value of the account at age 65 will depend on a combination of the initial conditions and market fluctuations over time.

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other things equal, relatively poor countries tend to grow group of answer choices slower than relatively rich countries; this is called the poverty trap. slower than relatively rich countries; this is called the fall-behind effect. faster than relatively rich countries; this is called the catch-up effect. faster than relatively rich countries; this is called the production function.

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Other things equal, relatively poor countries tend to grow faster than relatively rich countries; this is called the catch-up effect. The catch-up effect is a phenomenon where poorer countries with lower levels of economic development and productivity grow at a faster rate compared to more developed countries.

This is because they can take advantage of existing knowledge, technology, and capital from richer countries to boost their growth.Here is a step-by-step explanation of the catch-up effect:1. Relatively poor countries start with a lower level of economic development and productivity compared to richer countries. This means that they have more room for growth and improvements. 2. Poor countries can adopt and adapt existing technology and knowledge from richer countries. They do not need to spend time and resources on research and development, as they can simply utilize the available information and technology to enhance their economic growth.


3. Foreign investments and trade can also facilitate the catch-up effect. Richer countries may invest in poorer countries to take advantage of lower production costs, which can further contribute to the growth of the less-developed countries.4. As the relatively poor countries catch up, they experience higher rates of economic growth. This results in an increase in their productivity and living standards, reducing the gap between rich and poor countries.

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what does conpast stand for? group of answer choices room contribution per average seat time room contract per available sale team space's contribution per available space-time space's contract per available season time

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ConPAST stand for "Room Contribution Per Average Seat Time."

About ConPAST

ConPAST is a hotel industry acronym that stands for "Contribution Per Available Seat Time." It is used to calculate the profit contribution made by a hotel room in a given time period. The formula is as follows:

ConPAST = Room Revenue / (Number of Available Rooms x Average Length of Stay)

It is important for hotels to calculate ConPAST as it helps them to understand the profitability of their rooms.

The calculation takes into account the revenue generated by each room and the length of time it is occupied. By knowing the ConPAST, hotels can make informed decisions about pricing and marketing strategies.

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when the german-based company forrest health supply inc. developed operations in italy, it built a manufacturing facility there. in turn, the new facility also imported supplies and equipment from companies based in germany. which home country benefit of fdi does this represent? multiple choice question.

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In turn, the new facility also imported supplies and equipment from companies based in Germany. It represents employment effects.

According to neoclassical economic theory, higher minimum wages will lead to less employment. This could happen for two reasons: first, minimum wages may force businesses to raise the prices of their goods and services, and consumers or international buyers who face higher prices may reduce their demand (the so-called "scale effect").

Second, as the minimum wage makes low-wage workers more "expensive," firms may decide to replace some of them with more machines and a few skilled workers to operate them (the "substitution effect"). If these effects are significant, aggregate employment of low-wage workers may fall.

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Correct question:

when the Germán-based company forrest health supply inc. developed operations in italy, it built a manufacturing facility there. in turn, the new facility also imported supplies and equipment from companies based in germany. which home country benefit of fdi does this represent?

a company that is able to keep enough parts available to manufacture its products without having too many left over is probably relying on a

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A supply chain system is most likely used by a company that can keep enough parts on hand to manufacture its products without having too many left over.

What exactly is a supply chain system?

The supply chain is the networked path that building materials, components, and successfully completed goods travel before being arranged and sold to customers.

A supply chain is a network of people and companies responsible for the development and shipping of an item to a customer. The system begins with the raw material producers and ends when the van delivers the finished piece to the final customer.

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a company that is able to keep enough parts available to manufacture its products without having too many left over is probably relying on a

a. supply chain

b. social media campaign

c. just in time

d. direct marketing manager

firms that follow a broad- or focused-differentiation generic competitive strategy need make sure that they are constantly on the lookout for find ways to reduce their cost drivers. group of answer choices true false

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The given statement "Firms that follow a broad- or focused-differentiation generic competitive strategy need to make sure that they are constantly on the lookout for ways to reduce their cost drivers" is true because differentiation strategies involve adding unique features to products or services, which can result in higher costs.

Therefore, firms need to ensure that they are finding ways to minimize their cost drivers to maintain profitability while differentiating themselves from competitors.

A differentiation strategy can be effective in creating a competitive advantage, but it can also increase costs due to the unique features added to the product or service. To maintain profitability, firms need to identify ways to reduce their cost drivers while still differentiating themselves from competitors.

This can include finding more cost-effective ways to produce the unique features or finding ways to reduce overhead costs. By constantly seeking ways to minimize cost drivers, firms can maintain their differentiation strategy while still achieving profitability.

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you find a zero coupon bond with a par value of $25,000 and 18 years to maturity. if the yield to maturity on this bond is 3.9 percent, what is the dollar price of the bond? assume semiannual compounding periods.

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The dollar price of the bond is $13,871.61.

To calculate the dollar price of a zero coupon bond, we need to use the following formula:

Dollar price = Par value / [tex](1+r/n)^{(n* years to maturity )}[/tex]

Where r is the yield to maturity, n is the number of compounding periods per year, and years to maturity is the time until the bond matures.

In this case, the par value of the bond is $25,000, the yield to maturity is 3.9%, and there are 36 semiannual compounding periods (18 years x 2). Plugging these values into the formula, we get:

Dollar price = $25,000 / [tex](1+0.039/2)^{(2*18)}[/tex]

= $25,000 / [tex](1.0195)^{36}[/tex]

= $25,000 / 1.8013

= $13,871.61

Therefore, the dollar price of the bond is $13,871.61.

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which of these accurately describes an advantage of selling bonds to raise long-term capital? a. interest is not a legal obligation. b. interest is a tax-deductible expense. c. face value is not repaid. d. bondholders have voting rights.

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An advantage of selling bonds to raise long-term capital is that "interest is a tax-deductible expense". The accurate option is b. Interest is a tax-deductible expense.

Selling bonds to raise long-term capital is advantageous because it helps the company raise funds for the long term. Bonds are an excellent method to raise capital since they allow the issuer to borrow funds without sacrificing ownership. There are several advantages of selling bonds to raise long-term capital, and one of these advantages is that interest is a tax-deductible expense.

In many cases, bond interest is tax-deductible, which means the issuer can deduct the interest payment from its taxable income, lowering its overall tax bill. This reduces the actual cost of borrowing funds through bond issuances. Companies can save money in taxes if the interest paid on the bond is tax-deductible. As a result, this alternative is very attractive to firms because they can save money and manage their financial resources better.

The accurate option is b.

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the below table shows the corn markets in mexico and the us. what is the equilibrium world price assuming a simple model of two countries only?

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The equilibrium world price is $28 per bushel.

In the table, we have four different price levels ($15, $28, $37, and $45) and the corresponding quantities supplied and demanded by both countries at each price level. We can use this information to create a world supply and demand schedule as shown in the previous answer.

Once we have the world supply and demand schedule, we can plot the data on a graph as shown. The demand curve represents the quantity of corn that buyers in the world market are willing to purchase at each price level, while the supply curve represents the quantity of corn that sellers in the world market are willing to sell at each price level.

The equilibrium price is where the demand curve and supply curve intersect. In this case, the equilibrium price is around $28, where the quantity of corn demanded by the world market equals the quantity of corn supplied by the world market. Therefore, the equilibrium world price of corn assuming a simple model of two countries only is approximately $28 USD.

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describe briefly the changes happening in the us workforce, according to peter drucker, and what is causing the changes.

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According to peter Drucker US work force, and the causes of the changes is identified that globalization.

According to Drucker, the changes in the US workforce are being driven by several factors. One of the most significant is technological change, which has led to the automation of many routine tasks and the emergence of new industries such as information technology and biotechnology.

Another factor driving the changes in the US workforce is globalization, which has increased competition for jobs and placed pressure on US companies to become more efficient and productive.

Finally, demographic changes such as an aging population and increasing diversity have also contributed to the changes in the US workforce. As the baby boomer generation retires, there is a need for new workers to fill the gaps in the workforce.

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what if you have a library book that is not lost and give it back, will you get fees if it is overdue

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If you have a library book that is not lost and give it back. Yes, you will be charged fees if you return a library book that is overdue.

Overdue fees are a way for libraries to ensure that their materials are returned on time, so that other patrons can have access to them as well. However, the amount of the fee varies from library to library, and some may even have a grace period before the fee is assessed. The consequence of returning an overdue book to the library, if you return a book that is overdue, you will be charged a fee by the library. The amount of the fee varies from library to library, but it is generally a small amount per day that the book is overdue.

The purpose of this fee is to encourage patrons to return library materials on time, so that others may have access to them as well. Some libraries may have a grace period before the fee is assessed, so it is important to check with your local library to see what their policies are. If you have a library book that is not lost and give it back. Yes, you will be charged fees if you return a library book that is overdue.

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bries corporation is preparing its cash budget for january. the budgeted beginning cash balance is $19,200. budgeted cash receipts total $189,000 and budgeted cash disbursements total $190,400. the desired ending cash balance is $31,200. to attain its desired ending cash balance for january, the company should borrow: group of answer choices $49,000 $31,200 $13,400 $0

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When it comes to preparing the cash budget for January, Bries Corporation should borrow $13,400 to achieve the desired ending cash balance of $31,200. So, the correct option is $13,400.

What is a cash budget?

A cash budget is a financial document that presents projected inflows and outflows of cash in a business or organization during a specified period. It is critical for businesses and organizations because it aids in the planning of daily, monthly, and yearly activities and in identifying areas where cash inflows and outflows might be optimized.

The following is the formula to calculate the ending cash balance: Ending cash balance = Beginning cash balance + Cash inflows - Cash outflows.

The following information has been given in the question: Brief Corporation's beginning cash balance is $19,200. Cash receipts are expected to be $189,000. Cash disbursements are expected to be $190,400. The desired ending cash balance is $31,200.

Therefore, the ending cash balance can be calculated as follows: Ending cash balance = Beginning cash balance + Cash inflows - Cash outflows ⇒$31,200 = $19,200 + $189,000 - $190,400.

The above equation shows that the actual cash inflows are less than the actual cash outflows. As a result, the company will have to borrow money to reach the desired ending cash balance of $31,200.

The amount of money that needs to be borrowed can be calculated as follows: Borrowed amount = Desired ending cash balance - Actual ending cash balance = $31,200 - $19,200 + $189,000 - $190,400 = $12,000 - $1,400 = $13,400. Therefore, to attain its desired ending cash balance for January, Bries Corporation should borrow $13,400.

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assume that the total working-age population is 121.6 million. if 50.0 million are not in the labor force, what is the labor force participation rate? (round your answer to one decimal place.)

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Labor force participation rate = 58.8816... %.Rounded to one decimal place, the labor force participation rate is 58.9%.

To calculate the labor force participation rate, you need to first determine the total labor force and then divide that by the total working-age population, and finally multiply the result by 100 to get the percentage. Find the total working-age population: In this case, the total working-age population is given as 121.6 million.Find the number of people not in the labor force: According to the student question, 50.0 million people are not in the labor force.
Determine the total labor force: To do this, subtract the number of people not in the labor force from the total working-age population. Total labor force = Total working-age population - Number of people not in the labor force. Total labor force = 121.6 million - 50.0 million. Total labor force = 71.6 million. Calculate the labor force participation rate: To do this, divide the total labor force by the total working-age population, and then multiply the result by 100.
Labor force participation rate = (Total labor force / Total working-age population) * 100. Labor force participation rate = (71.6 million / 121.6 million) * 100. Round your answer to one decimal place: After performing the calculation in step 4, you will get the labor force participation rate as a decimal number. Round it to one decimal place. Labor force participation rate = 58.8816... %. Rounded to one decimal place, the labor force participation rate is 58.9%.

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you have just made your first $5,500 contribution to your retirement account. assuming you earn a return of 10 percent per year and make no additional contributions, what will your account be worth when you retire in 45 years? what if you wait 10 years before contributing? (does this suggest an investment strategy?)

Answers

Assuming you earn a return of 10% per year and make no additional contributions, your retirement account will be worth $121,353.98 when you retire in 45 years. If you wait 10 years before contributing, your retirement account will be worth $25,794.13 when you retire

We know that:P = $5500 (present value or principal) and R = 10% (annual interest rate or rate of return).We also know that the investment period is 45 years, so n = 45, and there are no additional contributions.Therefore, the future value (FV) of the investment is given by:FV = P(1 + R/100)ⁿwhere FV = future value or ending balance. Substituting the values:FV = $5500(1 + 10/100)⁴⁵FV = $5500(4.1772)FV = $22,974.61This means that the value of your retirement account would be worth $22,974.61 in 45 years if you don't make additional contributions.In the second part of the question, you are asked to find the value of the account if you wait 10 years before contributing. This means that the investment period will be reduced to 35 years. Using the same formula:FV = P(1 + R/100)ⁿFV = $5500(1 + 10/100)³⁵FV = $25,794.13Therefore, the value of the account would be $25,794.13 if you wait 10 years before contributing. This suggests that delaying investment may not be a good investment strategy as it results in a lower return on investment.

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what is the amount of cash that is expected to be collected during the second quarter as a result of sales made during the first quarter?

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The amount of cash will be expected to be collected during second quarter as a result of sales made during first quarter will be $166,667.

To determine the amount of cash will be expected to be collected during the second quarter as a result of sales made during first quarter, we need to consider the company's accounts receivable as well as its collection period.

The collection period is the average number of days it takes for the company to collect its accounts receivable from customers. Let's assume that the collection period for this company is 30 days.

If all sales made during the first quarter are expected to be collected within 30 days, then the amount of cash expected to be collected during the second quarter as a result of these sales would be;

Cash collected from Q1 sales = Total Q1 sales x (Collection period / Number of days in the quarter)

Let's assume that the total sales made during the first quarter were $500,000. The number of days in the first quarter is 90 days (assuming a standard calendar year).

Cash collected from Q1 sales = $500,000 x (30 / 90)

= $166,667

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on may 1, davidson company purchased inventory costing $2,000 on account with terms 2/10, n/30. on may 18, davidson pays for this inventory and records which of the following using a periodic inventory system? eventaccount titledebitcredit 1.accounts payable2,000 1.cash 2,000 2.accounts payable1,960 2.purchase discounts40 2.cash 2,000 3.accounts payable2,000 3.purchase discounts 40 3.cash 1,960 4.cash2,000 4.accounts payable 2,000

Answers

This transaction will result in a $2,000 decrease in the Accounts Payable amount, a $2,000 decrease in the Inventory balance, and a $40 increase in the Purchase Discounts account. Additionally, it will subtract $1,960 from the Cash amount.

The correct journal entry for Davidson Company's payment for inventory purchase with terms 2/10, n/30 would be option 3:

Event Account Title Debit Credit

3 Accounts Payable $2,000

3 Purchase Discounts $40

3 Cash $1,960

The payment was made 18 days after the purchase, which is beyond the discount period of 10 days. Hence, Davidson Company is not entitled to the 2% discount. Therefore, the Accounts Payable account will be debited for the full invoice amount of $2,000.

Additionally, a Purchase Discount account will be credited for $40 (2% of $2,000), representing the discount that would have been taken if the payment was made within the discount period. Finally, the Cash account will be credited $1,960, which is the amount paid to the supplier after deducting the discount.

This entry will reduce the Accounts Payable balance by $2,000, reduce the Inventory balance by $2,000, and increase the Purchase Discounts account by $40. It will also decrease the Cash balance by $1,960.

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investors who review business plans typically a. cannot read through all they receive. b. read only the marketing and finance sections. c. read plans thoroughly.

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Investors who review business plans typically read only the marketing and finance sections. The answer is OPTION B

They will therefore inquire as to your precise need for the money and your intended use of it. They will also want to know when they can anticipate a return, so your business plan should include that information. You should plan ahead for the exit strategy that investors will be searching for.

A well-written plan not only aids investors in understanding your company and your vision, but it also demonstrates to them that you have given careful consideration to both the more general questions about the economics and underlying assumptions of your business model as well as the more specific issues your company will face. Hence the answer is OPTION B.

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when oligopoly firms collude to raise prices, group of answer choices each firm benefits, but society loses. both the colluding firms and society benefit. everyone is eventually a loser. only the price leader benefits while other firms and society lose.

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When oligopoly firms collude to raise prices, each firm benefits, but society loses. The correct answer is "each firm benefits, but society loses".

An oligopoly is a market in which a small number of companies dominates the market, each of which has significant market power. The practice of firms working together in an oligopoly market is known as collusion. Colluding firms will be able to maintain market stability, which is in their best interests.

The oligopoly members will, therefore, be less competitive and may potentially earn more significant profits. A united front, by definition, has more power than individual businesses. This allows them to dominate the market by dictating prices and controlling production, which allows them to increase prices as they see fit.

Oligopolistic price-fixing has a harmful impact on society since it raises prices, lowers output, and reduces welfare because when businesses artificially increase prices, consumers may pay more than they would in a competitive market. As a result, society loses as a whole because the increase in prices benefits the oligopoly members while hurting the rest of the market.

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suppose the user cost is $50 per barrel for all barrels and the current market price for oil is $90 per barrel. how many barrels will ss pump this year? 10 million barrels what is the total accounting profit on the total amount of oil it pumps?

Answers

The total accounting profit on the total amount of oil SS pumps is $400,000,000.

To calculate the accounting profit, we need to subtract the total costs from the total revenue. In this case, the revenue is the market price per barrel, which is $90, and the cost is the user cost per barrel, which is $50. Therefore, the profit per barrel is $90 - $50 = $40.

If SS pumps 10 million barrels, the total revenue will be $90 × 10,000,000 = $900,000,000.

The total cost of pumping 10 million barrels will be $50 × 10,000,000 = $500,000,000.

Therefore, the total accounting profit will be

$900,000,000 - $500,000,000 = $400,000,000

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suppose now that a firm that produces for this market hires a private security force, reducing crime not only in their factory, but also in the small town in which it is located. this is an example of

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The firm's decision to hire a private security force, which leads to a reduction in crime not only in their factory but also in the small town where it is located, is an example of a positive externality.

An externality is a cost or benefit that affects a party who did not choose to incur that cost or benefit. In this case, the crime reduction provides a benefit to the entire town, not just the firm.

The positive externality created by the firm's hiring of a private security force leads to an increase in the social welfare of the town. The reduction in crime means that people in the town will feel safer and more secure, which could have positive effects on their quality of life and overall well-being.

It is important to note that the private firm is not necessarily responsible for creating this positive externality, but rather it is an unintended consequence of their business decision. This underscores the importance of considering externalities when making business decisions, as they can have significant impacts on society beyond just the firm and its customers.

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perpetual annuities refers to an organization making an investment to generate an annuity for an infinite period. true or false?

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The given statement, "perpetual annuities refers to an organization making an investment to generate an annuity for an infinite period" is true. Perpetual annuities are investments made by a company to produce annuities for an endless time.

Perpetual annuities refer to an organization investing to generate an annuity for an infinite period. It is a type of investment that provides a fixed income stream to the investor for an indefinite period, unlike a period of certain annuity which only provides income for a specified period.

An annuity is a contract that you have with an insurance provider that calls for regular payments to be made by the insurer to you, either now or in the future. Either a single payment or a series of payments is required to purchase an annuity. In a similar vein, you may receive your payoff in a single lump sum or throughout several payments.

Thus the given statement is True.

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what name is given to an event that simultaneously creates large losses in several lines of insurance?

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The event that simultaneously creates large losses in several lines of insurance is called a catastrophes.

What is a catastrophe in insurance?

A catastrophe in insurance is an event that creates a significant amount of damage to property and therefore triggers a wide variety of insurance claims that can be resolved with the help of an insurance policy. Insurance companies use several lines of insurance to deal with a broad range of hazards.

Natural disasters, such as hurricanes, earthquakes, and floods, are examples of such catastrophes. When several claims of this kind are made at the same time, it is known as a catastrophe, and it can be incredibly costly for insurance providers. Catastrophe insurance is coverage that provides financial protection against such situations.

Catastrophe coverage is often only available on a reinsurance basis since the risk of such an event is so high that it is beyond the capacity of individual insurance companies to handle.

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what california case helped define the level of responsibility that real estate professionals and sellers have when it comes to disclosure of material facts?

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The California case that helped define the level of responsibility that real estate professionals and sellers have when it comes to disclosure of material facts is the Easton v. Strassburger case.

In the Easton v. Strassburger case, the California Supreme Court held that sellers and their agents have a duty to disclose all material facts that could affect a buyer's decision to purchase a property.

This duty extends beyond the scope of the seller's knowledge and requires the seller and their agent to conduct a reasonable inspection of the property to discover any material defects.

The court also held that this duty exists even if the buyer does not ask specific questions about the property. This case has had a significant impact on the real estate industry and has helped to establish clear guidelines for the disclosure of material facts in real estate transactions.

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after studying the political economy of modern germany, fran concludes that we must consider the world capitalist economy as a single unit instead of looking at individual countries. her view is best described by what theory or set of theories? quilzet

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Fran's view is best described by the theory of globalization, which considers the world capitalist economy as a single unit and emphasizes the interconnectedness and interdependence of countries in the global economy.

The theory of globalisation best describes Fran's viewpoint that we must regard the world capitalist economy as a unique unit rather than individual nations. Globalization emphasises the interconnectedness and interdependence of nations in the global economy, where the cross-border movement of products, services, money, and information forms a global network.

According to this theory, national economies are affected by global economic forces, and national policies and choices can have global consequences. As a result, studying contemporary economies necessitates a global viewpoint that takes into account the effect of global economic forces on individual countries and vice versa.

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consider a country that exports good x. we have that ? a. the domestic consumers win more than domestic producers lose. b. the domestic consumers win more than domestic producers win. c. the domestic producers win more than domestic consumers lose. d. the domestic producers win more than domestic consumers win.

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c. the domestic producers win more than domestic consumers lose.

In a situation where a country implements trade protectionism policies such as tariffs, quotas, or subsidies, domestic producers may benefit while domestic consumers may face higher prices or reduced availability of the imported products.

In this context, the statement "the domestic producers win more than domestic consumers lose" refers to the fact that the benefits received by the producers from the protectionist policies are greater than the costs incurred by the consumers.

For instance, when a tariff is imposed on imported goods, the price of those goods increases, making them less attractive to consumers.

This may result in a decline in the demand for the imported goods and an increase in the demand for the domestically produced goods, which may result in higher prices and increased sales for domestic producers.

However, consumers who previously enjoyed the lower prices of the imported goods may face higher prices or reduced availability, which may reduce their purchasing power or limit their options.

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jack and his wife were in need of a new a mattress. they compared mattresses at a few local stores, learning about different brands, before making a purchase. in jack's case, a mattress is most likely a(n)

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In Jack's case, a mattress is most likely a consumer good.What is a consumer good? Consumer goods are items that are bought for personal consumption, and they are often divided into categories such as durable goods, non-durable goods, and services.

The products that are generally used by the public are referred to as consumer goods. Compared mattresses at a few local stores, learning about different brands, before making a purchase, Jack and his wife were in need of a new mattress. Hence, in Jack's case, a mattress is most likely a consumer good.


In Jack's case, a mattress is most likely a(n) considered purchase. Jack and his wife compared mattresses at a few local stores and learned about different brands before making a decision, which demonstrates that they took time and effort to evaluate their options and make an informed choice.

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which account is not an example of an accrued liability that must be adjusted at the end of the period? answer unselected accounts payable unselected sales tax payable unselected interest payable unselected wages payable

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The account that is not an example of an accrued liability that must be adjusted at the end of the period is "accounts payable".

Accounts payable is a current liability account that records the amount owed to suppliers for goods or services received but not yet paid for. Accrued liabilities, on the other hand, refer to expenses that have been incurred but not yet paid or recorded in the accounts, such as wages payable, interest payable, and sales tax payable.

These accrued liabilities must be adjusted at the end of the period to reflect the correct amount of expenses and liabilities on the company's financial statements.

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