The first mover advantage is often a good indicator of long-term trading success, it's wrong.
Set big hand?
An accurate measure of the behavior, practice, or task that is the expected product or outcome of an intervention. Reliable: Constantly measurable over time, equally by different observers. Precise: Operationally clearly defined. Person or thing indicating, signalling, or indicating.a pointing or steering mechanism, e.g. B. a display on the front of an instrument showing pressure, temperature, velocity, volume, etc. or a floating icon in the graphical user interface of a computer or other device: The fuel gauge was empty. Many researchers and teachers share the widespread belief that reading proficiency in related materials is a good indicator of overall reading proficiency.
Recreational reading (which is not required by school) was a good indicator of the level of intrinsic interest in reading in the language.
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Question 5 of 20
Banks can punish borrowers for making late payments by:
A. lowering their interest rates.
B. sending them to jail or prison.
C. firing them from their jobs.
D. decreasing their credit scores.
Answer:
D. decreasing their credit scores.
Explanation:
With the help of online research, write a short report on “glocalization.”
The phenomena of Glocalization, which is best described as Thinking Globally, Acting Locally, is created when the two terms of globalisation and localization are combined.
To put it more properly, we may say that although if a single brand is produced, sold, and distributed globally, it is nevertheless personalised and customised to suit the tastes and preferences of customers in the many global marketplaces.
It is carried out since each region of the world has its own unique culture, linguistic preferences, demands, and desires.
By adjusting their offerings and products to meet the needs of that specific market, businesses may effectively position and place their items, resulting in high revenues and devoted customers.
The following are all global brands, although they cater to the demands of their customers in various parts of the world while selling items.
Chips by Lays (They sell different flavours in different parts of the world, according to the taste preference and eating habits of that country).
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prior to adjusting entries, salaries expense had a balance of $22,300. the following year-end adjusting entry was made by the company: account title debit credit salaries expense 4,400 salaries payable 4,400 what balance would be shown for salaries expense in the adjusted trial balance?
The balance shown for salaries expense in the adjusted trial balance would be $26,700. The adjusting entry increased the salaries expense by $4,400, bringing the total to $26,700.
The initial balance of salaries expense was $22,300. The adjusting entry increased the expense by $4,400, representing the portion of salaries earned by employees but not yet paid or recorded. As a result, the adjusted balance for salaries expense is calculated by adding the adjustment amount to the initial balance: $22,300 + $4,400 = $26,700. This adjusted balance reflects the total amount of salaries expenses recognized and recorded for the accounting period. It is important to note that the adjusting entry increased both the expense and the corresponding liability (salaries payable) to accurately reflect the obligation to pay the employees for their services.
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Tax and spending decisions made by the president and Congress.
fiscal policy
fiscal period
fiscal expenses
Any tax and spending decisions made by the president and Congress is known as a fiscal policy.
What is a fiscal policy?In economics, a fiscal policy refers to those policy that are used by governments to stabilize the economy, most specifically, by manipulating allocations of taxes and government expenditures. These policies are used in tandem with monetary policy to achieve certain goals.
In an overview, the goals of both fiscal and monetary policy are to maintain full employment, high rate of economic growth and stabilize prices and wages. Therefore, the tax and spending decisions made by the president and Congress is known as a fiscal policy.
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What are 3 different checking accounts?
Checking Account, Savings Account, Money Market Deposit Account are three different checking accounts.
What is a Savings Account?The savings account is a type of bank account which generates interest deposits at bank or any other financial institution.
Although these accounts pay very little interest, their dependability and security make them a perfect choice for saving money for unexpected expenses.
Savings accounts are excellent for creating an emergency fund, saving for an immediate necessity, such as a car or vacation, or just putting extra money you don't need into your checking account so it can earn more interest.
Savings accounts offer amazing flexibility. The frequency of withdrawals from a savings account is subject to various restrictions, but overall, they offer excellent flexibility.
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Consolidation entries S and A are part of a sequence of worksheet adjustments that bring the Investment in Subsidiary account to a (1) balance.
Consolidation entries S and A are used to adjust the balance of the Investment in Subsidiary account as part of a sequence of worksheet adjustments. These adjustments are necessary in order to properly consolidate the financial statements of a parent company and its subsidiary.
The ultimate goal is to bring the Investment in Subsidiary account to a zero balance, indicating that all intercompany transactions have been eliminated. Entry S typically involves adjusting the subsidiary's equity accounts to reflect the elimination of intercompany transactions, while entry A involves adjusting the parent's investment account to reflect any changes in the subsidiary's book value. By completing these consolidation entries, the financial statements of the parent and subsidiary can be combined and presented as if they were a single entity.
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Consolidation entries S and A are part of a sequence of worksheet adjustments that bring the Investment in Subsidiary account to a Zero balance.
The Consolidation entry is the process of aggregating the financial statements of a parent company and its subsidiary company to form a consolidated financial statement that reports the overall financial results of the entire group of companies.
The journal entries made in the process of preparing consolidated financial statements for a business combination are known as Consolidation Entries. They are made to adjust the accounts in the financial statements of both the parent company and the subsidiary, so they reflect the financial position and performance of the consolidated group as a whole.
The following worksheet entries can be used to bring the Investment in Subsidiary account to a Zero balance:S. Dr. Investment in Subsidiary account. Cr. Retained Earnings account of Subsidiary Company.A. Dr. Retained Earnings account of Subsidiary Company. Cr. Dividend Received account. The purpose of this sequence of worksheet adjustments is to eliminate the effects of the subsidiary company's dividend payments to the parent company and any other previously unrealized intercompany profits on the Investment in Subsidiary account.
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General Motors had long-running problems with Chevy Cobalt ignition switches. The switches could disable the emergency airbags, causing accidental deaths. The GM culture discouraged anyone from stepping up and addressing the problem. Mary Barra, the new CEO, made a public commitment to change. After an investigation, two senior managers left the company in 2014. By ________, GM was better able to move forward.
By changing leader, GM was better able to move forward.
Who is leader?A leader is someone that possess leadership skills or someone that control and direct others.
Based on the given scenario since two senior managers left GM, changing leader make it possible for the company (General Motors) to move ahead or forward.
Therefore By changing leader, GM was better able to move forward.
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deposit claims with a face value of $100,000 or more that pay a fixed interest rate and have a fixed maturity of at least 14 days are called
The deposit claims are known as negotiable certificates of deposit
A bank certificate of deposit (CD) is a secured type of time-bound deposit and a unique type of low-risk savings account where money is kept with the bank for a set amount of time in exchange for a higher interest rate. Because the banks invest the money in a business, it typically offers its holder a better interest rate than a standard savings account.
A negotiable certificate of deposit is a form of a certificate of deposit with a minimum face or par value of $100,000 that cannot be redeemed before its maturity date, preventing the holder from taking money out of the account before that time. Thus, a negotiable certificate of deposit is an interest-bearing time deposit issued by a bank that is marketable and has a predetermined maturity date as well as a specified interest rate.
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The managers at Alpha Corp. are closely observing trends in the industry. They are trying to identify factors that might have a significant influence on Alpha's business operations. Which of the following concepts is illustrated in the scenario?
Answer:
Environmental scanning
Explanation:
Environmental scanning is when information is being gathered about external forces inorder to know the factors that have impacts on a business. It is also the gathering of information on situations which allows a business create and build good customer relationship.
Business environments are dynamic and could have impacts on the success of a firm hence requires business scanning inorder to align with the trend. One the purpose of environmental scanning is to provide future business directions to an organization and also assist in analyzing the strength, weakness, opportunities and threats to an organization.
Factors that might have significant influence on business operation includes but not limited to social and demographic factors, how competitors are reacting, technology, how well customers are reacting to the company's products, creditors, legal issues etc.
As a general matter, banks are high leverage and low margin entities. Their capital levels are generally in the area of what percentage of assets?
As a general matter, banks are high leverage and low margin entities. Their capital levels are generally in the area of percentage of 8% assets under Basel III.
Investors view a bank's net worth or equity value as being the difference between its assets and liabilities, or bank capital. The asset component of a bank's capital is made up of cash, bonds, and loans with interest for e.g., mortgages, letters of credit, and inter-bank loans. The liabilities portion of a bank's capital includes loan-loss reserves and any outstanding debt. The amount by which creditors would still be paid if a bank had to liquidate its assets is known as capital.
Tiers of regulatory bank capital are established by Basel III. They are based on a bank's subordination and its capacity to absorb losses, with a clear separation between capital instruments used when the bank is still solvent and those used after it declares bankruptcy. The book value of common shares, paid-in capital, and retained earnings less goodwill and any other intangibles make up common equity tier 1 (CET1). CET1 instruments must be of the highest subordination and lack maturity.
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Commingling is mixing the money of the agent and the principal together.
A. True
B. False
True.
Commingling is the unlawful use of a client's funds by a licensee, often mixing their own funds with the client's.
A machine was purchased for $500,000 with a residual value of $50,000. The company estimates that the machine will last 5 years and produce 2,000,000 parts over its life. Calculate depreciation expense using the Straight-Line method for the 5-year life. (NOTE: Round your answers to the nearest dollar and enter it enter it WITHOUT decimals, commas or dollar signs [Example 75000].)
This means that the company will record $90,000 as depreciation expense on the machine in each year of its useful life until it reaches the residual value of $50,000.
The Straight-Line method of depreciation allocates the cost of an asset evenly over its useful life. To calculate the depreciation expense for the machine over its 5-year life, we need to first determine the depreciable cost of the asset. The depreciable cost of the asset is the original cost minus the residual value. In this case, the depreciable cost would be $500,000 - $50,000 = $450,000.
Next, we divide the depreciable cost by the number of years of useful life to calculate the annual depreciation expense. So, the annual depreciation expense for this machine would be $450,000 / 5 years = $90,000. Therefore, the depreciation expense using the Straight-Line method for the 5-year life would be $90,000 per year. This means that the company will record $90,000 as depreciation expense on the machine in each year of its useful life until it reaches the residual value of $50,000.
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are some of the factors that influence employee benefits strategies cyclical
Answer:
hoobaa hooba hooba
Explanation:
hooo
what is the duration of copyright protection provided to individuals under the copyright term extension act of 1998?
The 1998 Act extended these terms to the life of the author plus 70 years and for works of corporate authorship to 120 years after creation or 95 years after publication, whichever ends earlier.
The 1998 act increased the renewal term for works published before January 1, 1978, from 47 years to 67 years, granting a total of 95 years. The public domain date in the United States for works protected by earlier fixed-term copyright laws was essentially preserved by this law.
Works created in 1923 or later that were still covered by copyright in 1998 would not become public domain under this Act until January 1, 2019, at the latest.
The Act is effective in that it did extend the terms of protection for works that were already copyrighted and were produced before it went into effect.
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tv show suggestions?
Answer:
the umbrella academy, the good place, locke and key, i'm not okay with this, and the end of the fkcunig world
Explanation:
Which group is legally responsible for implementing
protection and controls that ensure your workplace
meets safety standards?
A. Employers
B. Unions
C. Employees
D. Government
Answer:
A
Explanation:
Answer:
It SHOULD be employers but i may be wrong... if i'm not CAN I PLES HAVE BRAINLYIEST
Explanation:
Also, if i'm right there is no need to thank me unless you want too
An Organization pays $65,000 in Social Security taxes for its employees. When payroll liabilities are journalized, how mucus entered into the journal for this payable?
A. $0
B$130,000
C$32,500
D 65,000
Answer:
It's NOT $65,000
Explanation:
the test
Answer:
0
Explanation:
The first institution to contact if you know you have been an identity theft victim is
The first institution that should be contacted in the case of identity theft is the Federal Trade Commission (FTC).
Why should you contact the Federal Trade Commission (FTC)?If you have fallen victim to identity fraud, you should call the Federal Trade Commission immediately.
They will then help you report to the relevant law enforcement agencies such as the FBI and local police.
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Because Worldcom's accounting fraud was brought to an end with Cynthia Cooper's intervention,
WorldCom investor and employee losses were
Answer:
Explanation:
Less
A Stove Can be bought on hire purchase by making a deposit of $750
and 15 monthly installments of $185 each. Calculate the hire Purchase
Price of the stove
Answer:
$3,525.00
Explanation:
The hire purchase price will be the sum of the deposit and the total monthly installments.
The deposit is $750
Monthly installments =monthly fee multiplied by 15 months
=$185 x 15
=$2,775.00
Hire purchase cost will be
=$2,775.00 +$750
=$3,525.00
Which of the following neo-Freudians believed that the major influence on personality development is found in the child-parent social interaction?
A) Adler
B) Horney
C) Jung
D) Rogers
E) Bandura
The correct answer is B) Karen Horney. Horney, a neo-Freudian psychologist, emphasized the importance of child-parent social interactions in personality development.
She believed that a child's sense of security and self-worth were heavily influenced by their relationship with their parents. Horney proposed that anxiety and neurotic behaviors stem from an unfulfilling or unhealthy parent-child relationship, rather than Freud's focus on unconscious desires and instincts.Horney believed that a child's sense of security and self-esteem is formed through interactions with their parents and that these early experiences can have long-lasting effects on their development.
Overall, Horney's contributions to the field of psychology have been influential in shaping our understanding of personality development.
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An earned education certificate track
after an individual has successfully
completed the necessary course
requirements for a particular field at a
community college
Calculate China’s RGDP growth rate in 2006, the growth rate of real GDP per person in 2006 (using the approximation formula), and the approximate number of years it will take for real GDP per person in China to double if the 2006 economic growth and population growth rates are maintained.
China’s RGDP growth rate in 2006 was _______ percent. Round up your answer to the first decimal. China’s growth rate of real GDP per person in 2006 (using the approximation formula) was ______ percent. Round up your answer to the first decimal.
It will take China approximately _______ years to double its real GDP per person. Round up your answer to a full number (no decimals).
Answer:
China’s RGDP growth rate in 2006 was 8.2% percent. Round up your answer to the first decimal. China’s growth rate of real GDP per person in 2006 (using the approximation formula) was 7.7% percent. Round up your answer to the first decimal.
It will take China approximately 9 years to double its real GDP per person. Round up your answer to a full number (no decimals).
Explanation:
Note: This question is not complete. The complete question is therefore provided before answering the question as follows:
In 2005 China's RGDP was 7,394 billion yuan. In 2006 its RGDP was about 8,000 billion yuan. China's population was 1,306.6 million in 2005 and 1,313.1 million in 2006.
Calculate China's RGDP growth rate in 2006, the growth rate of real GDP per person in 2006 (using the approximation formula), and the approximate number of years it will take for real GDP per person in China to double if the 2006 economic growth and population growth rates are maintained.
China's RGDP growth rate in 2006 was _______ percent. Round up your answer to the first decimal. China's growth rate of real GDP per person in 2006 (using the approximation formula) was ______ percent. Round up your answer to the first decimal.
It will take China approximately _______ years to double its real GDP per person. Round up your answer to a full number (no decimals).
The explanation to the answer is now given as follows:
a. Calculate China’s RGDP growth rate in 2006. Round up your answer to the first decimal.
This can be calculated using the following formula:
China’s RGDP growth rate = (2006 RGDP - 2005 RGDP) / 2005 RGDP = (8,000 - 7,394) / 7,394 = 0.0820, or 8.2%
b. Calculate the growth rate of real GDP per person in 2006. Round up your answer to the first decimal.
This can be calculated using the following formula:
China’s RGDP per person growth rate = (2006 RGDP per person - 2005 RGDP per person) / 2005 RGDP per person ............... (1)
Where;
2006 RGDP per person = 2006 RGDP / 2006 population = 8,000 / 1,313.1 = 6.09245297387861 billion yuan
2005 RGDP per person = 2005 RGDP / 2005 population = 7,394 / 1,306.6 = 5.65896219194857 billion yuan
Substituting the values into equation (1) above, we have:
China’s RGDP per person growth rate = (6.09245297387861 - 5.65896219194857) / 5.65896219194857 = 0.077, or 7.7%
c. The approximate number of years it will take for real GDP per person in China to double if the 2006 economic growth and population growth rates are maintained. Round up your answer to a full number (no decimals).
To calculate this, the rule of 70 is used as follows:
Number of years for Real GDP per person to double = 70 / China’s RGDP per person growth rate = 70 / 7.7 = 9 years
Positive economic growth is realized when a country's production possibilities curve
(frontier) shifts outwards, however, can be calculated as the percentage increase in
either the real gross domestic product or the real gross domestic product per capita.
Answer:
True
Explanation:
It is TRUE that Positive economic growth is realized when a country's production possibilities curve
(frontier) shifts outwards.
This is evident in the fact that the outwards shifts of the production possibilities curve of a country indicate an increase in output or production level of that country.
Also, such production possibilities can indeed be estimated as the percentage increase in either the real gross domestic product or the real gross domestic product per capita.
What is one way to overcome imposter syndrome?
A. Use imagination and visualization to find your natural talents.
B. Remind yourself that you worked hard for the success you
achieved.
OC. Compare yourself to those who are better than you at a specific
skill.
D. Identify with members of a group who you perceive are like you.
Overcoming imposter syndrome can be challenging, but one approach is to, remind yourself that you worked hard for the success you achieved. Option B
What is Imposter syndrome i about?Imposter syndrome is a common phenomenon where an individual feels like a fraud, doubting their abilities and accomplishments despite evidence of their competence.
Acknowledge and give yourself credit for the hard work, effort, and skills you've acquired to achieve success. Recognize that everyone makes mistakes and experiences setbacks, but that doesn't diminish their abilities or accomplishments. Focus on your strengths and the value you bring to the table, rather than comparing yourself to others.
Over time, you can gradually build your confidence and self-esteem by continuously reminding yourself of your achievements and your ability to grow and learn.
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What are the main reasons behind the merger between Sony and
Ericsson?
A merger is the coming together of two or more businesses into one. When two or more organizations decide to combine their activities, assets, and liabilities to create a new company, it is a strategic business decision.
The main reasons behind the merger between Sony and Ericsson are:
1. To create new revenue streams: Sony and Ericsson merged to produce new revenue streams in the technology industry. Sony's consumer electronics capabilities were combined with Ericsson's telecommunications expertise to create a new company that was more competitive in the mobile phone industry.
2. To access a wider market: Ericsson was primarily involved in selling network infrastructure equipment and software to telecom operators, while Sony was primarily involved in selling consumer electronics to end-users. The partnership enabled Sony Ericsson to offer its customers an end-to-end solution, providing access to a broader customer base.
3. To reduce costs: The merger allowed Sony and Ericsson to combine their supply chains, research and development expenses, and marketing budgets. This enabled the two firms to save money and streamline their operations, resulting in a more efficient and competitive company.
4. To compete with industry leaders: Nokia and Motorola were the two dominant mobile phone manufacturers at the time of the merger. By joining forces, Sony Ericsson hoped to compete with these two firms, as well as other well-known brands in the mobile phone market.
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Putting money into more than one kind of investment at a time is called liquidity. sunken cost. diversification. compound interest.
Answer:
diversification
Putting money into more than one kind of investment at a time is called diversification.
What is diversification?Diversification is the process of investing in diverse opportunities so as to reduce non-systemic risks. For example, if a person buys the stock of a health care company, in order to diversify, the person might invest in the stocks of an automobile company.
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a document ordering the importer to pay the exporter a specified sum of money at a specified time is called a ________.
A document ordering the importer to pay the exporter a specified sum of money at a specified time is called a letter of credit.
A letter of credit is a financial document issued by a bank or financial institution on behalf of the importer (buyer) to guarantee payment to the exporter (seller) for goods or services. It serves as a payment guarantee and helps mitigate the risks associated with international trade.
The letter of credit specifies the amount of money to be paid by the importer to the exporter at a specific time. For example, if the letter of credit states that the importer should pay $10,000 to the exporter within 30 days of receiving the goods, the specified sum of money is $10,000, and the specified time is 30 days.
A letter of credit is a crucial financial instrument in international trade that provides assurance to exporters that they will receive payment for their goods or services. It helps establish trust between parties involved in cross-border transactions and reduces the risk of non-payment.
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What is one way a person can increase the wages he or she expects to
earn?
O A. By advocating against minimum wage regulations
B. By deciding not to get a high level of education
C. By choosing a job with a high market value
O D. By reducing overall productivity in a year
Answer:
C. By choosing a job with a high market value
Explanation:
Wage is the price for labor services provided. Like any other commodity, the price of labor is influenced by demand and supply. Certain jobs offer better wages than others. To increase the chances of better pay, one has to select their job carefully.
Conducting market research about jobs is a good starting point. Before negotiating for wages, one should know the market rates for that job. Again, one should acquire skills that employers require. There are high chances that an employer will pay wages above market rates if they find a skill they desperately need.
This is First Engagement Activity which covers Chapter 2.
Collect any country’s Consumer Price Index (CPI) for 2 consecutive years and calculate its inflation. Hints: Data may be collected from World bank database. (2 Marks).
(i) Assume any Interest rate for 2 different securities and a treasury security rate with similar feature and Calculate Default Risk. (2 Marks)
(ii) How do you see the relationship between interest rate and default risk? (1 Mark)
(i) To calculate inflation using the Consumer Price Index (CPI), you need data for two consecutive years. You can collect CPI data from the World Bank database or other reliable sources. Choose a country and gather the CPI values for two years. The formula to calculate inflation is:
Inflation = (CPI in Year 2 - CPI in Year 1) / CPI in Year 1 * 100
Substitute the CPI values into the formula to calculate the inflation rate.
(ii) To assess default risk, you need to consider the interest rates of different securities and compare them to the treasury security rate with similar features. Default risk refers to the probability that a borrower will fail to make required interest or principal payments.
Higher interest rates are often associated with higher default risk since borrowers may struggle to meet their payment obligations. Lower interest rates imply a lower risk of default.
To calculate default risk, compare the interest rates of the securities to the treasury security rate. If the interest rates of the securities are significantly higher than the treasury security rate, it indicates a higher default risk for those securities.
(iii) The relationship between interest rate and default risk is generally positive. As interest rates increase, the risk of default also tends to increase. This is because higher interest rates can make it more difficult for borrowers to repay their debts.
Conversely, when interest rates are low, the risk of default is generally lower as borrowers find it easier to manage their debt payments. However, it's important to note that other factors such as the creditworthiness of the borrower, economic conditions, and the specific terms of the security also influence default risk.
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