Which of the following is NOT a factor that would affect the amount of an underwriting spread in a securities offering?

Answers

Answer 1

In the following question, The factor that would NOT affect the amount of an underwriting spread in a securities offering is the "type of security being offered."

An underwriting spread is a difference between the price at which securities are sold by the underwriter to the public and the price at which they were bought from the issuer.

The following are factors that would affect the amount of an underwriting spread in a securities offering:

Market demand: The demand for security in the market will affect the underwriting spread. If there is high demand for the security, the underwriter will charge a higher spread. Issuer’s creditworthiness: The issuer's creditworthiness will also impact the underwriting spread. If the issuer has a low credit rating, the underwriter may charge a higher spread to compensate for the additional risk.Issue size: The size of the security issue is another factor that will affect the underwriting spread. If the issue size is large, the underwriter may charge a smaller spread as they will make more profit from a larger issue.Type of underwriting agreement: The type of underwriting agreement will affect the underwriting spread. For example, a firm commitment underwriting agreement will generally have a larger spread than a best efforts underwriting agreement.

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Related Questions

A manufacturing company is considering two alternative locations for a new facility. The fixed and
variable costs for the two locations are found in the table below. For which volume of business wo
the two locations be equally attractive? If the company plans on producing 50,000 units, which loc
would be more attractive? {7}
Fixed Costs
Variable Costs ($ per unit)
Glen Rose
$1,000,000
25
Mesquite
$1,500,000
23

Answers

Answer:1,000,025

Explanation:if you add all it up you get 1,000,025

The owner of a bond would expect to receive _____ annual income.

Answers

Answer:

THIER INITIAL PRINCIPAL

Explanation:

The holders of bonds receive their initial principal back when the bonds mature in addition to periodic interest (coupon) payments for most bonds. Bondholders may additionally profit if the particular bonds that they own increase in value, which can then be sold on the secondary market.

which of the following should typically be ignored because spending has already been made and cannot be changed?

Answers

The following which should be ignored because spending has already been made and cannot be changed is Sunk costs.

Money that has already been spent and cannot be recouped is known as a sunk cost. The sunk cost phenomenon in business is an example of the notion that one must "spend money to make money." A sunk cost is distinct from potential future expenses a company can incur, such choices on the price of products or the cost of purchasing inventories. Sunk expenses are disregarded while making future business decisions since they won't change regardless of the choice made.

Money that has already been spent and cannot be recouped is referred to as a sunk cost. A manufacturing company, for instance, may have a variety of sunk expenses, including the cost of machinery, equipment, and facility leasing payments. A sell-or-process-further choice, which refers to things that may be sold as-is or can be processed further, excludes sunk costs.

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Complete question:

Which of the following should typically be ignored because spending has already been made and cannot be changed?

a. variable costs

b. sunk costs

c. marginal costs

d. average marginal costs

in the elman service model, [ select ] are economies based on non-intensive forms of food production.

Answers

In the elman service model, agroecological economies are economies based on non-intensive forms of food production.

What is agroecological economies?

Agroecology is fundamentally different from other approaches to sustainable development. It is based on bottom-up and regional processes and helps provide contextual solutions to local problems. Agroecological innovation is based on knowledge co-creation, combining science with the traditional, practical and local knowledge of producers. Agroecology empowers farmers and communities as key agents of change by enhancing their autonomy and adaptability. 

Agroecology transforms food and farming systems, addresses the root causes of problems holistically, and provides holistic and long-term solutions, rather than optimizing practices for unsustainable farming systems. We aim to This includes a clear focus on the social and economic aspects of food systems. Agroecology focuses on the rights of women, youth and indigenous peoples. 

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exists when the link between a company's resources and its competitive advantage is poorly understood.

Answers

When the link between a company's resources and its competitive advantage is poorly understood, a resource curse exists. The resource curse is also known as the Paradox of Plenty or the Dutch Disease.

The resource curse, also known as the Paradox of Plenty or the Dutch Disease, is a condition in which countries with an abundance of natural resources, such as minerals and oil, have less economic growth and more poverty than countries with fewer natural resources.

It is a paradox because possessing abundant natural resources should make a country wealthy, but instead, it appears to have the reverse impact. The resource curse may also result in economic instability and corruption.

The resource curse occurs when the country's economic structure is heavily reliant on the natural resource sector. The resource curse may also result from poor governance, inadequate institutional frameworks, and a lack of economic diversity.

Furthermore, countries with abundant natural resources may experience an appreciation in their currency's value, making it more difficult for their non-resource sectors to compete globally. Finally, countries that are rich in natural resources may be more susceptible to conflict, either internal or external.

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according to job characteristics theory when an editor tells a writer about positive reader comments

Answers

According to job characteristics theory, when an editor tells a writer about positive reader comments, it can be seen as providing the worker with feedback on their work, which is considered a critical psychological state in the theory.

What does feedback means in the theory?

Feedback is one of the five core job characteristics, along with skill variety, task identity, task significance, and autonomy. Feedback helps to provide employees with information about their performance and helps to reinforce their sense of competence and accomplishment.

A positive feedback can increase a worker's motivation and satisfaction, while negative feedback can lead to decreased motivation and job dissatisfaction. Therefore, providing positive feedback to a writer can potentially increase their motivation and job satisfaction, leading to improved job performance.

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assume that the economy is at full-employment equilibrium. which of the following would lead to stagflation?

Answers

" An increase in aggregate demand would lead to stagflation assuming that the economy is at full-employment equilibrium. the option A is correct.

Assuming that the economy is at full employment equilibrium, a decline in aggregate supply can cause stagflation.

Stagflation is a rare occurrence that happens when inflation and economic growth are both stationary at the same time. Policymakers face a difficult situation because the typical methods for stimulating the economy, such monetary and fiscal policies, may not function as anticipated.

If the economy is currently in a state of equilibrium with full employment, any further rise in aggregate demand (option a) would result in higher prices rather than higher output, which would cause inflation. Option A would be erroneous as a result.

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Complete question -

Which of the following would lead to stagflation assuming that the economy is at full-employment equilibrium?

A) An increase in aggregate demand

B) A decrease in aggregate demand

C) An increase in aggregate supply

D) A decrease in aggregate supply

factors that managers should consider when making a make, buy, or rent decision include the following:

Answers

Security, the organization's competitive advantage, legal and compliance issues, the organization's skill and labor supply, costs, time, and vendor issues.

What is a "make or buy" choice?

The act of deciding whether to produce a product internally or purchase it from an external supplier is known as a "make or buy decision."

A make-or-buy decision, which is also known as an outsourcing decision, compares the costs and benefits of manufacturing a necessary good or service internally to those of hiring an outside supplier for the resources in question.

A business must take into account all aspects of the acquisition and storage of the items versus creating the items in-house, which may necessitate the purchase of new equipment and storage costs, in order to accurately compare costs.

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Journalize the two entries required to close the accounts.

If an amount box does not require an entry, leave it blank.

Answers

This is the basic order of closing entries: Clear the amounts in the revenue accounts by debiting each revenue account and crediting the income summary account.

What primary data and secondary data are necessary for an account to be closed?

You must debit the revenue summary account and credit every line item expense stated inside the trial balance in the hopes of closing out your expense claims by bringing their balances down to zero. You should mention each expense at closure exactly as it appears inside the trial balance. Closing entries are recorded in the journal and published once a year, after the financial accounting have been generated.

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Use the following data for a closed economy to calculate the amounts listed below. Explain and show your work in your answers: Y = $12 trillion C = $8 trillion G = $2 trillion Spublic = $-0.5 trillion T = $2 trillion A. Investment spending B. Private saving C. Transfer payments

Answers

A closed economy is an economy where there is no international trade. This economy is self-sufficient and all transactions occur within the country.

In this question, we have been provided with the following data for a closed economy:Y = $12 trillionC = $8 trillionG = $2 trillionSpublic = $-0.5 trillionT = $2 trillionA. Investment spending:To calculate investment spending, we can use the following formula:I = Y – C – GHere, Y = $12 trillion, C = $8 trillion and G = $2 trillionI = $12 trillion – $8 trillion – $2 trillionI = $2 trillionTherefore, investment spending in this closed economy is $2 trillion.

B. Private saving: To calculate private saving, we can use the following formula:private = Y – C – THere, Y = $12 trillion, C = $8 trillion and T = $2 trillionSprivate = $12 trillion – $8 trillion – $2 trillionSprivate = $2 trillionTherefore, private saving in this closed economy is $2 trillion.

C. Transfer payments : These are payments that are made by the government to individuals or firms without any services or goods being exchanged. In this case, we are given Spublic = $-0.5 trillion. This means that the government is running a budget deficit of $0.5 trillion. As a result, there are transfer payments taking place. The amount of transfer payments is equal to the difference between government spending and government revenue (taxes). Therefore, transfer payments can be calculated using the following formula:Spublic = G – THere, G = $2 trillion and T = $2 trillionSpublic = $2 trillion – $2 trillionSpublic = $0.

Therefore, the amount of transfer payments in this closed economy is $0.

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Which journal entry reflects the following transaction?:
BOC paid $3,000 upfront for next year's rent.
Dr. Cash 3,000
Cr. Rent Expense 3,000
Dr. Prepaid Rent 3,000
Cr. Cash 3,000
Dr. Rent Revenue 3,000
Cr. Cash 3,000
Dr. Rent Expense 3,000
Cr. Cash 3,000
Dr. Cash 3,000

Answers

The journal entry that reflects the transaction “BOC paid $3,000 upfront for next year's rent” is Dr. Prepaid Rent 3,000 and Cr. Cash 3,000.

Journal entry is used to record a transaction made by the company in the general journal. It is used to record every transaction made by the company. A transaction is a financial activity or event that involves the exchange of money or goods between two parties.

A journal entry is made for every transaction made by the company. The transaction in this case is “BOC paid $3,000 upfront for next year's rent.”The transaction involves paying rent in advance. The company has paid rent for next year in advance. The rent is paid upfront.

This means that the company has made a prepayment for rent. The prepayment for rent is recorded in the general ledger. The journal entry that reflects the transaction is Dr. Prepaid Rent 3,000 and Cr. Cash 3,000.The journal entry shows that the company has made a prepayment of $3,000 for rent.

The prepayment is made for next year's rent. The prepayment is recorded in the general ledger. The journal entry shows that the company has made a payment of $3,000 for rent in advance. The payment is recorded in the general ledger. The journal entry shows that the company has made a prepayment for rent.

The prepayment is recorded in the general ledger. The journal entry shows that the company has made a prepayment for rent. The prepayment is recorded in the general ledger. The journal entry shows that the company has made a prepayment for rent. The prepayment is recorded in the general ledger.

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Sloan Inc. recently invested in a project with a 3-year life span. The net present value was $9,000 and annual cash inflows were $21,000 for year 1; $24,000 for year 2; and $27,000 for year 3.

The initial investment for the project, assuming a 15% required rate of return, was _____.

Net Present Value

Answers

Answer:

Explanation:

To calculate the initial investment, we can use the formula for net present value (NPV) as follows:

NPV = present value of cash inflows - present value of initial investment

Given that NPV = $9,000 and the annual cash inflows for each of the three years, we can calculate the present value of cash inflows as follows:

PV of year 1 cash inflow = $21,000 / (1 + 0.15)^1 = $18,260.87

PV of year 2 cash inflow = $24,000 / (1 + 0.15)^2 = $18,137.32

PV of year 3 cash inflow = $27,000 / (1 + 0.15)^3 = $18,008.69

Therefore, the total present value of cash inflows is:

PV of cash inflows = $18,260.87 + $18,137.32 + $18,008.69 = $54,406.88

Now, we can rearrange the NPV formula to solve for the initial investment:

NPV + PV of initial investment = PV of cash inflows

Substituting the given values, we get:

$9,000 + PV of initial investment = $54,406.88

PV of initial investment = $54,406.88 - $9,000

PV of initial investment = $45,406.88

Finally, we can calculate the initial investment by finding the present value of $45,406.88 for 3 years at a 15% required rate of return:

Initial investment = $45,406.88 / (1 + 0.15)^3

Initial investment ≈ $29,508.88

Therefore, the initial investment for the project was approximately $29,508.88.

Implementation of an ERP system requires effective segregation of responsibility for
A) recording, risk assessment, and control procedures.
B) authorization, monitoring, and risk assessment.
C) recording and monitoring of organizational assets.
D) authorization, recording, and custody of organizational assets.

Answers

The successful implementation of an ERP system necessitates the segregation of responsibility for authorization, recording, and custody of organizational assets, among other things.ERP system implementation is a complex process that necessitates a high degree of coordination and responsibility. option D is correct answer

To ensure effective segregation of responsibilities, there are several procedures that must be followed. First and foremost, the organization must conduct an assessment of existing internal controls to determine areas where there is a risk of fraud or error. The second stage is to establish policies and procedures to ensure that the segregation of responsibilities is enforced consistently. Finally, the organization must train its personnel to ensure that they are aware of their respective roles and responsibilities.An ERP system's successful implementation is heavily reliant on effective segregation of responsibility for authorization, recording, and custody of organizational assets. It entails more than just the segregation of responsibilities. Effective control mechanisms, policies, and procedures must be established to ensure that the segregation of responsibilities is enforced consistently. Training personnel on their respective roles and responsibilities is also critical. This will improve communication and coordination and reduce the risk of fraud and error.The segregation of responsibilities helps to protect organizational assets from theft or misuse. For instance, the person in charge of custody should not be the same person in charge of recording or authorizing transactions. The segregation of responsibilities aids in the detection of errors or fraud by establishing an independent review process. When different individuals are responsible for different aspects of a transaction, it becomes more difficult for someone to conceal their misconduct.

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select all that apply select the two characteristics of advertising. multiple select question. it typically has an immediate feedback loop.

Answers

All that apply Choose the two qualities of an advertising channel and a receiver that frequently has a fast feedback loop. decoding

What makes advertising distinctive?

Fundamentally speaking, advertising is a method of communication that seeks to promote a good or service and boost sales. Good advertising is by definition promotional. Advertising and propaganda are two distinct ideas, despite some people using the term interchangeably.

What are advertising's two defining traits?

Fee Form: A message must be created, a media slot must be purchased, and advertising campaigns must be tracked financially on behalf of the advertiser (also known as sponsor). Marketing Instrument: In a company's promotion strategy, advertising is one of the components.

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how do you access custom fields in qbo

Answers

Answer:

Explanation:

To access custom fields in QuickBooks Online (QBO), you can follow these steps:

Log in to your QBO account and navigate to the Sales or Expense Transactions tab, depending on where the custom field is located.

Click on the transaction you want to view, and scroll down to the bottom of the page.

You will see the custom field(s) listed under the "Custom Fields" section. Click on the field name to view or edit the information.

To add a custom field, go to the Gear icon > Custom Form Styles > Edit > Content > Fields > Custom Fields.

Click on "New Custom Field" to create a new custom field.

Enter the name of the field and choose the type of field (e.g. text, checkbox, date).

Click "Save" to add the custom field to your QBO account.

Once you have added custom fields, they will be available for you to use on transactions in QBO. You can use these fields to track additional information that is not included in the standard QBO fields.

a _____ is a system in which products are traded in impersonal exchanges between buyers and sellers using an all-purpose currency.

Answers

A market is a system in which products are traded in impersonal exchanges between buyers and sellers using an all-purpose currency.

A market is an environment where buyers and sellers interact to exchange goods and services for money or other goods and services. A market may refer to a particular physical location or to an abstract concept that describes the relationship between buyers and sellers.

The market mechanism, or the basic principles of supply and demand, determines how prices are set in a market. Buyers seek to purchase products at the lowest possible price, while sellers seek to sell products at the highest possible price.

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write a 250-500 word formal letter to persuade someone famous come speak to our class

Answers

Answer:

Dear [Famous Person],

I hope this letter finds you well. My name is [Your Name], and I am a [grade/level] student at [School Name]. I am writing to you today to extend an invitation to come speak to our class.

As a [subject or class name] teacher, I am always looking for ways to enrich my students' learning experiences. I believe that your expertise and experience in [related field or topic] would be incredibly valuable to my students. Not only would it be an amazing opportunity for them to learn from someone who has accomplished so much in their field, but it would also inspire and motivate them to pursue their own passions and dreams.

I understand that you must receive countless invitations and requests, and I do not take your time lightly. However, I believe that speaking to our class would be a mutually beneficial experience. My students are eager to learn from someone who has made such a significant impact in the [related field or industry], and I am confident that they would be engaged and attentive throughout your presentation.

If you are able to accept my invitation, I would be honored to arrange the logistics and details of your visit. I am happy to work with you to determine the best date and time that fits your schedule, as well as any specific requirements or preferences you may have for your presentation.

Thank you for your consideration. I look forward to hearing from you soon.

Sincerely,

[Your Name]

Explanation:

true/false. for an investor with a 28% marginal tax rate, what return would a corporate bond have to pay to provide the same after-tax return as a municipal bon

Answers

The given statement "For an investor with a 28% marginal tax rate, the return a corporate bond would have to pay to provide the same after-tax return as a municipal bond" is True because marginal tax rate investor would be better off investing in a municipal bond than a corporate bond.

A municipal bond is a kind of bond that is issued by a government or a municipality. Municipal bonds are typically exempt from federal taxes and are also exempt from state taxes in the state where they are issued. Municipal bonds, in general, have a lower interest rate than other bonds because they have fewer risks. Corporate bonds are a type of bond that companies use to raise funds. They are backed by the creditworthiness of the issuing company rather than a government entity.

Corporate bonds have a higher interest rate than government bonds because they are more risky. The municipal bond’s yield is typically lower than the corporate bond’s yield. However, the municipal bond's interest payments are not subject to federal tax, while the corporate bond's interest payments are taxed. As a result, the after-tax return of a municipal bond is frequently higher than the after-tax return of a corporate bond. In this case, a 28% marginal tax rate investor would be better off investing in a municipal bond than a corporate bond since the municipal bond's after-tax return would be higher than the corporate bond's after-tax return.

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A national media communications company acquires a regional communications company. As a result of the merger the regional marketing department is re-organized, combining the staff of the two organizations. Our Manager is overseeing the restructuring process and is having a lot of difficulty with people shifting roles, sharing assignments and adapting to new hierarchies.
The manager meets with two department members who are very displeased with the new changes. The employees eventually ask the manager to leave the company and head a start-up – funding is already in place.
The manager should have done a better job in balancing the need to improve operations with the need to
be stagnant.
be profitable.
gather information.
respond to new events.
be effective.

Answers

The manager should have taken into account the needs of both the employees and the company when making changes, as well as the need to be both profitable and effective.

The manager in this situation should have taken a more balanced approach when restructuring the regional marketing department as a result of the merger between a national media communications company and a regional communications company. The manager should have taken into account the needs of both the employees and the company when making changes, as well as the need to be both profitable and effective.

First, the manager should have gathered more information about the effects of the merger. This would have allowed them to assess the strengths and weaknesses of both companies, the potential financial impact of the merger, and the impact it could have on employees. Additionally, the manager should have listened to the concerns of both employees and taken them into account when restructuring.

Second, the manager should have taken into account the need to respond to new events that could arise as a result of the merger. This could include market changes, changes in customer needs, and the potential for new business opportunities. By staying informed and considering how changes could affect employees, the manager would be better able to adjust the structure of the department accordingly.

Finally, the manager should have been more effective in balancing the need to improve operations with the need to be stagnant. This means taking into account employee satisfaction and company profitability, as well as considering the long-term impacts of the restructuring. By taking all of these factors into account, the manager would be better equipped to make informed decisions and effectively manage the restructuring process.

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If a broker-dealer executes a short sale in its investment account, it may borrow the shares from all of the following EXCEPT

Answers

The following, with the exception of a customer's cash account, are the sources from which a broker-dealer may borrow shares when it completes a short sale inside its investment account.

By the customer's cash account, what do you mean?

In a cash account, the user must pay the entire price for any securities they wish to purchase. A cash account holder is prohibited from borrowing money from their broker-dealer to cover transactions made in the account. Cash books, or account balances where all money transactions are recorded, are another name for cash accounts, which are used in accounting.

Complete Question : All of the following, WITH THE EXCEPTION of a customer's cash account, may be used by a broker-dealer to borrow shares in the event that it completes a short sale in its investment account.

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which of the following are considered major hurdles to successful global trade? (check all that apply)

Answers

Major obstacles to successful global trade are thought to include economic, financial, and legal factors since they can limit entry, raise transaction costs.

Which four powerful factors influence international trade the most?

Both the long-term trends and the short-term volatility primarily caused by four variables. Government, foreign business, speculative expectations, and supply and demand are some of these influences.

What are trade barriers and how do they affect international trade?

Trade restrictions can impede free trade, aid developed countries, limit the variety of items that can be purchased, increase expenses, lower net income, diminish employment, and harm economic output. The government has significant control over the law, hence this leads to it most often being used as a trade barrier.

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Question:-

Which of the following are considered major hurdles to successful global trade?

O sociocultural forces

O economic and financial forces

O legal and regulatory forces

O physical and environmental forces

Answer:

legal and regulatory forces

economic, and financial forces

Explanation:

You are fortunate to have an experienced team that has worked together for more than a year and is familiar with the project work. What action can you take to provide the most help to this team?

Answers

Answer:

Remove obstacles so they can do their work.

Explanation:


Answer:

If I were a project manager leading this experienced team, here are some actions I could take to provide the most help:

1. Recognize their accomplishments: As the team has worked together for more than a year, they have likely achieved several milestones and made significant contributions to the project. Recognizing their accomplishments publicly and expressing gratitude can help to boost morale and motivation within the team.

2. Empower them to make decisions: Given their experience and familiarity with the project, the team likely has a deep understanding of the project's goals and objectives. Providing them with the autonomy to make decisions can help to foster a sense of ownership and accountability, which can further motivate and engage the team.

3. Provide opportunities for growth and development: While the team is experienced, there may still be opportunities for growth and development. Providing training or development opportunities can help to keep the team's skills and knowledge up-to-date, and can demonstrate the organization's commitment to their ongoing professional development.

4. Foster a collaborative and supportive team culture: Encouraging open communication, collaboration, and mutual support within the team can help to build a positive and cohesive team culture. This can further enhance the team's productivity, motivation, and satisfaction.

Questions about a new product such as what features customers like are revealed during the _______ _______ stage of the product development process.

Answers

The test marketing phase of the product development process provides answers to questions regarding a new product, such as which characteristics buyers prefer.

Prior to a wider release, a product or marketing campaign is made restrictedly available to test markets to gauge consumer response. It is imperative to keep in mind that users of the product or marketing campaign could unwittingly be a test group. Test marketing is used to find out more about a new product's marketability. The corporation can determine whether a product will be lucrative on a greater scale by tracking its performance on a smaller scale.

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Midway through 2008, approximately what percentage of prime and subprime mortgages in the United States had late payments of at least 30 days? Prime mortgages - 15 percent: subprime mortgages - 20 percent Prime mortgages - 20 percent; subprime mortgages - 20 percent Prime mortgages - 30 percent; subprime mortgages - 20 percent Prime mortgages - 5 percent; subprime mortgages - 30 percent

Answers

The right option is D, which is composed of prime mortgages at 5% and subprime mortgages at 30%.

Average U.S. property prices have dropped more than 30% from their mid-2006 peak by September 2008. Many borrowers now have zero or negative equity in their homes, which implies that their homes were worth less than their mortgages as a result of the significant and unanticipated decrease in property values. 10.8% of all homeowners, or an estimated 8.8 million borrowers, were anticipated to have negative equity as of March 2008. By November 2008, that number is thought to have increased to 12 million. By September 2010, 23% of all homes in the United States were worth less than their mortgage loans.

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an increase in the equilibrium nominal interest rate could be caused by which of the following changes?

Answers

The money demand curve moves to the right when prices rise, which raises the nominal interest rate. Ostensible financing costs and bond costs move in inverse headings.

How can the nominal interest rate at equilibrium rise?

By making more money available for borrowing, an increase in the money supply—the amount of money in circulation—can raise the equilibrium nominal interest rate. The nominal interest rate rises as a result of the increased demand for loans caused by this additional cash.

The equilibrium nominal interest rate can also rise as a result of an increase in real income, which is measured in terms of purchasing power. The nominal interest rate rises as a result of people borrowing more money as they become wealthier.

Last but not least, a rise in the equilibrium nominal interest rate may result from a decrease in the amount of cash that the general public wants to hold (the demand for money). This is because people are less willing to lend money when there is less demand for it, which raises the nominal interest rate.

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ASAP ASAP!!! ASAP ASAP!!!!

Businessman and businesswomen differences!!​

Answers

Answer:

Businessmen and businesswomen have some similarities and differences. Similarities: - Both entrepreneurs must develop a business plan, manage resources, and strategic plan to achieve objectives. - They both must possess strong communication skills to be able to successfully navigate their industry and grow the business. - Both must have problem solving skills and the ability to think outside the box to develop new products and services.Differences: - Men are more likely to take risks than women when it comes to business decisions. - Women tend to work collaboratively rather than compete as much as men do. - Women often have greater access to social capital and networks to help them in their businesses. - Women often face additional challenges such as balancing family life with their business. - Women also may have to overcome traditional gender roles and stereotypes that can influence how they are perceived and accepted in their industry.

Answer:

businessman/businesswoman: Purpose. A businessperson is generally more focused on ensuring that they make a profitable return from their commercial activities. While an entrepreneur does want to make profit, their focus leans toward people using their products, being happy with them and benefiting from them.

Explanation:

Question 2 Jacob, Derrick and Marcus were in partnership sharing profits and losses in the ratio 6.7.2. The Balance Sheet for the partnership at December 31, 2014 was as follows.
Fixed Assets
Machinery 20,000
Motor Van 10,810

Current Assets
Inventory 8,950
Debtors 6,300
Bank4000

Current Itabilities
creditor 7050
Loan 5550
Working capital 37460
Financed by
Capital: Jacob 16510
Derrick 15300
Marcus 5650

Balance Sheet as at December 31st 2014
The partners agreed to dissolve the partnership on December 31, 2014. The loan repaid in full: the creditors were paid $5.495 in full and final settlement. Dissolution costs were $ 600, Jacob took over one of the motor vans at an agreed valuation of $3 490 and Marcus took one of the machines valued at $6 900. The remaining ussets realised the following amounts. S 22,850 4,105 Inventory 7,550 Accounts Receivable 5,350 Marcus is unable to pay his debt to the firm. Apply the Garner vs. Murray rule to settle the debt.​

Answers

The remaining partners are required to contribute to the partnership in the same proportion as the profits. Derrick's share of the surplus after settling Marcus's debt is $20,679, and Jacob's share is $18,376.

Define the term Partnership?

A partnership is a type of business structure in which partners (two or more people) work together to run a business. Most of the time, partnerships are formed to share the risks and responsibilities of running a business as well as the profits and losses. Each partner in a partnership makes a contribution to the company in some way, such as through labor, expertise, or capital. The terms and conditions of the partnership are outlined in the partnership agreement, including how profits and losses are divided, who is responsible for what, and how decisions are made and disputes are resolved.

The Garner vs. Murray rule is a method used to distribute the losses of a dissolved partnership among the remaining partners in their profit-sharing ratio. It states that losses should be shared by the partners in the same ratio as their profit-sharing ratio.

In this case, the partners' profit-sharing ratio is 6:7:2 for Jacob, Derrick, and Marcus, respectively.

To determine the loss, we need to calculate the total assets and liabilities of the partnership and subtract the liabilities from the assets.

Total assets = Fixed assets + Current assets = $20,000 + $10,810 + $8,950 + $6,300 + $4,000 = $50,060

Total liabilities = Current liabilities + Loan = $7,050 + $5,550 = $12,600

Working capital = Total assets - Total liabilities = $50,060 - $12,600 = $37,460

Loss = Working capital - (Dissolution costs + Amount realized from the sale of assets)

= $37,460 - ($600 + $22,850 + $4,105 + $7,550 + $5,350)

= $37,460 - $40,455

= -$2,995

Since the loss is negative, it means that there is a surplus, and the partners will share it in their profit-sharing ratio.

The debt that Marcus owes to the firm is a liability and needs to be deducted from the remaining assets before they are distributed among the partners.

Total assets available for distribution = Dissolution proceeds - Marcus's debt

= ($3,490 + $6,900 + $22,850 + $4,105 + $7,550 + $5,350) - $5,650

= $45,495

The partners' total capital before distribution = Jacob's capital + Derrick's capital + Marcus's capital

= $16,510 + $15,300 + $5,650

= $37,460

To distribute the surplus, we need to add the loss to the total capital before distribution, which gives us:

Total available for distribution = $37,460 - $2,995 = $34,465

Now we can distribute the total available for distribution in the profit-sharing ratio:

Jacob's share = 6/15 x $34,465 = $13,786

Derrick's share = 7/15 x $34,465 = $16,089

Marcus's share = 2/15 x $34,465 = $4,590

However, since Marcus cannot pay his debt to the firm, his share of the surplus will be used to settle his debt. Therefore, Derrick and Jacob will share the remaining surplus in their profit-sharing ratio:

Derrick's final share = $16,089 + $4,590 = $20,679

Jacob's final share = $13,786 + $4,590 = $18,376

Therefore, Derrick's share of the surplus after settling Marcus's debt is $20,679, and Jacob's share is $18,376.

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Itzair has completed the balance sheet for his business. What is one question the balance sheet answers about the business?
COA.
"How much debt does my business have?"
OB. "Who do I owe for my cost of goods sold?"
OC. "What percentage of sales tax is required?"
COD. "Did I meet my end-of-year profit goals?"
)

Answers

The question that balance sheet answers about the business is "How much of debt does my business have?".

What is a balance sheet?

A balance sheet is financial statement that reports company's assets, liabilities, and equity at a specific point in time. It provides a snapshot of a company's financial position and helps investors and stakeholders understand the company's financial health. The assets section of the balance sheet includes items such as cash, investments, inventory, and property. The liabilities section includes items such as loans, accounts payable, and taxes owed. The equity section includes items such as retained earnings and stockholders' equity. The balance sheet is important because it provides insights into a company's financial stability, liquidity, and ability to meet its obligations. It is commonly used by investors, analysts, and creditors to evaluate a company's financial health and make informed decisions.

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Retailers will use all BUT which of the following to retain and increase share of wallet from their best
(p. 288)
customer?
A. frequent-shopper programs
B. special customer services
C. personalization
D. community
E. lower prices

Answers

The four stages of the retail value chain are product creation, inventory storage, product distribution, and consumer availability. In order to provide customers with the most relevant experiences, retailers can monitor their likes, needs, and values.

Which keep their best customers and increase their wallet share?

A diagram of the retailer's retail procedure incorporates three sections: ( 1) figuring out the target market for the retailer, 2) figuring out the format that the retailer plans to use to meet the needs of that market, and 3) figuring out the foundations on which the retailer plans to build a long-term advantage over the competition.

Product, pricing, location, and promotion are all examples. Two more "Ps" are added to the retail marketing mix: individuals and presentation These aspects symbolize the significance of retail locations' aesthetics and design as well as the value of sales associates and other staff members in retail settings.

A retail strategy includes five parts: scope, objectives, deployment of resources, a long-term competitive advantage, and synergy These five aspects aid in either attracting new customers to a company or increasing the amount of goods and services that are purchased by existing ones.

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The below EQRV screen was captured before the markets opened on April 29 2019. According to the information shown, is Goldman Sachs trading rich or cheap on a blended forward P/E basis, relative to it’s historical average?

Answers

The Forward P/E ratio for Goldman Sachs at the moment is 9.14. The average Forward P/E for its sector is 11.49, indicating Goldman Sachs is selling at a discount to the sector as a whole.

Is Goldman Sachs trading rich or cheap on a blended forward P/E basis, relative to it’s historical average?

Goldman Sachs (GS) finished at $347.70 in the most recent trading session, moving up +0.43% from the day before. This shift was slower than the S&P 500's daily increase of 0.75%. The Nasdaq, a heavily weighted tech index, increased by 10.36% while the Dow increased by 0.4%.

Shares of the investment bank had dropped 4.6% over the previous month before to today's trade. This was less than the S&P 500's loss of 5.98% and trailed the Financial sector's loss of 3.71%.

As it gets closer to releasing its next earnings report, Goldman Sachs will try to project strength. Analysts anticipate Goldman Sachs will announce earnings of $6.73 per share in that report. This would represent a decrease of 37.74% over the prior year.

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