The three major components which make up the interest rate are the nominal rate, the inflation rate, and the real rate.
The nominal rate is the rate of interest stated on a loan or other financial instrument, which does not take into account inflation. The inflation rate is the rate at which the prices of goods and services are rising. The real rate is the nominal rate minus the inflation rate, which reflects the actual rate of return on an investment.
Hence the three major components which make up interest rate are nominal rate, the inflation rate, and the real rate.
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Suppose you invest $230,000 in an annuity that returns constant annual payments over 9 years, with the first payment one year from now. At an interest rate of 7%, how much is the annual payment you receive
Two examples of lifelong guaranteed annuities that provide retirees with a consistent income flow until death are defined benefit annuities and Social Security.
The significance of payingPayment refers to the exchanging of cash, commodities, or skills for agreed-upon quantities of respectable services and goods from all parties concerned. Payment options include cash, cheques, wire transfers, bank cards, direct debit, and cryptocurrencies in addition to the exchange of services.
What are the standard forms of payment?The time rate scheme and the piece rate system are the two fundamental methods of compensation. Both methods have advantages and disadvantages. No methodology can be said to be appropriate at all times and in all situations.
Formula of present value of growing annuity: PVGA = A*[(1 - (1+g)^n/(1+i)^n)) / (i-g)
$250,000 = A*[(1 - (1+0.06)^5/(1+0.07)^5)] / (0.07 - 0.06)
$250,000*(0.01) = A*(1 - (1.06)^5/(1.07)^5)
$250,000*(0.01) = A*(1 - 0.9541363)
$2500 = A * 0.045864
A = $2,500 / 0.045864
A = 54508.983080412
A = $54,508.98
So, the amount of the first annual payment i will receive $54,508.98.
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The amount of the first annual payment I will receive will be upto $54,508.98.
How do you determine the annual payment?The time rate scheme and the piece rate system are the two fundamental methods of compensation. Both methods have advantages and disadvantages. No methodology can be said to be appropriate at all times and in all situations.
Formula of present value of growing annuity: PVGA = A*[(1 - (1+g)^n/(1+i)^n)) / (i-g)
$250,000 = A*[(1 - (1+0.06)^5/(1+0.07)^5)] / (0.07 - 0.06)
$250,000*(0.01) = A*(1 - (1.06)^5/(1.07)^5)
$250,000*(0.01) = A*(1 - 0.9541363)
$2500 = A * 0.045864
A = $2,500 / 0.045864
A = 54508.983080412
A = $54,508.98
So, the amount of the first annual payment I will receive $54,508.98.
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Full-time homemakers and retirees are classified in the Bureau of Labor Statistics data as: Question 26 options: part of the labor force. not in the labor force. employed. unemployed.
Full-time homemakers and retirees are classified in the Bureau of Labor Statistics data as not in the labor force.
The labor force, often referred to as the labor force, refers to the group of people who are employed or unemployed. It is often used to refer to employees who work for a company or an industry, but it can also refer to a geographic area such as a city, state, or country.
The value of a company's "incumbent workforce" can be labeled. A country's labor force includes both the employed and the unemployed. Formal work is defined as any type of formal structured and paid work.
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Which of the following were resources and capabilities that helped Five Guys gain a competitive advantage and develop into a successful restaurant chain
The resources and capabilities that helped Five Guys gain a competitive advantage and develop into a successful restaurant chain were focusing on such details as store layout and design and also Carefully choosing the supplier of the potatoes for their fries
Focusing on store layout and design: Five Guys stores are designed to be clean, bright, and welcoming, with a focus on the open kitchen so customers can see their food being prepared.
Carefully choosing the supplier of the potatoes for their fries: Five Guys uses only potatoes from specific farms in the northwest region of the USA, which are hand-cut and cooked in peanut oil, which gives them a unique texture and flavor. This attention to detail on a key ingredient in their menu helps to differentiate them from competitors and provide a unique taste experience to customers.
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What are the 4 factors that influence a purchasing decision?
Cultural, social, personal and psychological are the four factors that influence a purchasing decision .
The appeal of a product can be greatly influenced by cultural and societal influences. Industry organisations invest a lot of money in trying to sway public opinion because they are aware of how culture can affect industry sales. When developing your marketing, keep cultural and social issues in mind. Without offending anyone, you want to draw in as many clients as you can. Consumer behaviour is also influenced by personal variables. Tastes evolve with time. Experts on ageing claim that senior consumer behaviour is extremely varied, indicating that on average, seniors have more motives to make purchases than youth. Motivation refers to the consumer's underlying requirements. A valuable tool is knowing how to inspire your customers. how your potential buyer learns about your goods or views the world.
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In business forecasting, what is usually considered a short-term time period?
A. Four weeks or less
B. More than three months
C. Six months or more
D. Less than three months
E. One year
Option A is correct. Four weeks or less is usually considered a short-term time period in business forecasting.
What is business forecasting?Business forecasting is the process of predicting future events and conditions in the business environment. This can include forecasting sales, demand for products or services, and economic trends. Business forecasting can be used to inform strategic planning, budgeting, and decision making. It is typically used to make short-term predictions (4 weeks or less) and long-term predictions (6 months or more) and it's important for companies to have a good understanding of the economic and industry trends that will impact their business, so they can make informed decisions about their operations and investments. Business forecasting can be done using a variety of techniques, including statistical analysis, trend analysis, and expert opinions.
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Which of the following statements regarding limited partnerships that are not being disposed of in a taxable transaction is CORRECT?
Losses from a master limited partnership (MLP) may only be used to offset income from the same MLP.
Losses from a nonpublicly traded limited partnership may only be used to offset income from another nonpublicly traded limited partnership.
A)
I only
B)
II only
C)
Neither I nor II
D)
I and II
The correct option is (D), i.e., I and II. Investors admit duty-sheltered distributions from the MLP. MLPs are considered low-threat, long-term investments, furnishing a slow but steady income sluice.
For limited hookups and master limited hookups, the simplest way to explain the difference between the two business structures is that the ultimate is intimately traded while offering the duty benefits of limited cooperation.
Since MLP distributions are a return on capital, they're substantially duty-remitted. But when you vend, you'll pay levies based on the difference between the deal's price and your acclimated base.
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What extra qualifications are required for a broker's application of a community association manager
The applicant for a broker's application of a community association manager must finish an additional 75 hours of approved courses.
What is a broker's obligation in an agency relationship?All of the obligations a real estate agent or broker has in their relationship with a client are known as fiduciary duties. The abbreviation OLDCAR can be used to condense these obligations, which are all in the client's best interest: obedience, loyalty, disclosure, confidentiality, accounting, and reasonable care.
What are the three elements of brokerage success?The commercial real estate industry depends on timing, insider knowledge, and significant relationships. Being in the right location at the right time, knowing the right people, and possessing knowledge are the three requirements for success.
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-TV and QRS-TV are trying to decide whether to air a sitcom or a reality show in a given time slot. Viewers like both sitcoms and reality shows, but sitcoms are more expensive to produce than reality shows since real actors need to be hired. QRS-TV makes its decision first, and then P-TV observes that choice before making its decision. Both stations know all of the information in the decision tree below. Given the information in this decision tree, if QRS-TV announces that it will air a reality show, it can expect to:
Answer:
i am not sure
Explanation:
The River City Council, the Santa Clara County Board, the Texas state legislature, and the U.S. Congress enact laws. These laws constitute
Legislative acts that are approved by the executive branch constitute statute law.
What is the meaning of statutory law?Statutory law is defined as a rule of law created by a legislative act that has been approved by the executive. Acts are approved by Congress and signed by the President of the United States to become federal statutory law.
Statutory law can be found in either codified laws or collections of statutes. The wording of the codes and compilations is the same, but their formats are different.
There are four principles for interpreting statutes: literal rule, golden rule, mischief rule, and purposeful method.
Major constitutional amendments are made using the statute law process. A Statute Law can only be repealed by Parliament due to Parliamentary Sovereignty, which prevents any other method of repeal.
Therefore, the answer is Statutory law.
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Find the EAR in each of the following cases (Use 365 days a year. Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places, e. G. , 32. 16. ):
Stated Rate (APR) Number of Times Compounded Effective Rate (EAR)
9. 1 % Quarterly %
18. 1 Monthly
14. 1 Daily
11. 1 Infinite
The Effective Annual Rate (EAR) for 9. 1 % Quarterly %, 18. 1 Monthly, 14. 1 Daily, 11. 1 Infinite are 9.42%, 19.68%, 15.14% and 11.74% respectively.
What do you mean by Effective Annual Rate?
The rate of interest that is actually generated on an investment or paid on a loan as a result of compounding interest over a specified amount of time is known as the Effective Annual Rate (EAR). It is used to evaluate various financial products that compute annual interest with various compounding periods, such as weekly, monthly, yearly, etc., and is typically higher than the nominal rate. The effective yearly interest rate rises up over time as the number of compounding periods goes up. The nominal rate specifies a yearly percentage rate regardless of compounding, although the actual annual rate is typically greater. When compared to the nominal rate, the effective yearly rate rises as the number of compounding periods increases.
EAR=(1+APR/m)^m-1
where m=compounding periods
1. EAR=(1+0.091/4)^4-1
=9.42%(Approx).
2. EAR=(1+0.181/12)^12-1
=19.68%(Approx).
3. EAR=(1+0.141/365)^365-1
=15.14%(Approx).
4. EAR=(e)^APR-1
where e=2.71828
EAR=(2.71828)^0.111-1
=11.74%(Approx)
So, The required answers are 9.42%, 19.68%,15.14% and 11.74% approximately.
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Which of the following is generally an opportunity cost of investment in human capital?
a. future job security
b. increased earning potential
C. FORGONE PRESENT WAGES
d. All of the above
e. None of the above
The loss of consumption required to generate the investment resources is another opportunity cost of investing in human capital. correct option is c.
What does opportunity cost look like, and what does it mean?The price of the next-highest alternative use of a resource is what economists refer to when they talk about its "opportunity cost." For instance, if you spend time and money going to the cinema, you aren't permitted to watch the same movie at home or spend the money on something else. In microeconomic theory, the term "opportunity cost" refers to the value or advantage lost by engaging in one activity as opposed to another. More specifically, it indicates that by choosing one activity, you forgo the opportunity to participate in another.
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At quickie car wash, The wash process as advertised to take less than six minutes. Consequently management has set a target average of 330 seconds for the wash process. Suppose the average range for a sample of seven cars is 10 seconds. Use the accompanying table to establish control limits for sample means in ranges for the car wash process. 
In this case, the advertised process time of 6 minutes equals 360 seconds. So the lower control limit would be 270 seconds and the upper control limit would be 450 seconds. The average range for a sample of seven cars is 10 seconds, which is within the control limits and indicates that the process is in statistical control.
Control limits for sample means within ranges for a car wash process are used to determine whether the process is in statistical control. For quality control purposes, the control limits provide a range for the sample mean that can be compared to the target mean of 330 seconds. If the sample means are consistently above or below the target mean, this is an indication that the process needs to be adjusted. Similarly, if the sample means are consistently outside the control limits, this is an indication that the process needs to be adjusted.
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What are the goals of public policy?
Public policy main goal is to ensure that everyone has access to the resources and opportunities they need to build a better life.
Public policy is the art of creating laws and regulations to help guide and steer our society toward a more equitable and prosperous future. It strives to promote social justice, economic growth, public safety, and environmental sustainability.
Public policy also seeks to protect the rights and interests of all individuals, including those who are vulnerable or disadvantaged. By taking into account a wide range of stakeholders and interests, public policy helps to create a fairer and more equitable society for everyone.
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On July 1, Year 3, Lundy Company issued for $438,000 500 of its 8%, $1,000 bonds. The bonds were issued to yield 10%. The bonds are dated July 1, Year 3, and mature on July 1, Year 13. Interest is payable semiannually on January 1 and July 1. Using the interest method, how much of the bond discount should be amortized for the 6 months ended December 31, Year 3
Lundy Company will have a bond discount that should be amortized and will be $1,900.
$21,900 worth of interest was paid in the first six months after the bonds were issued [$438,000 carrying amount x 10% effective rate x (6 x 12)]. The regular cash payment equals $20,000 [$500,000 face amount x 8% stated rate x (6 + 12)] every period. The amount of the discount that needs to be amortised over this 6-month interest term is the $1,900 ($21,900 - $20,000) difference.
A bond's bond discount is the difference between the market price and the principal that will be due when the bond matures. Because the higher face value is paid when the bond matures, a bond that was issued at a discount has a market price below its face value. This results in capital growth over time. When a bond offers a coupon rate that is less than the going rate of interest, it will trade at a discount. Investors will pay less for a bond with a coupon rate lower than the going rate because they want a larger yield; the initial discount offsets the lower coupon rate.
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. PJ can afford an $800 monthly mortgage payment. If the current mortgage rates are 4.75% and he wishes to have a 30-year mortgage, what is the maximum amount he can afford to borrow
PJ has the maximum financial means to borrow up to $153,360.
Given a specific rate of return, or discount rate, the present value of an annuity is the current value of the future payments from an annuity. The present value of the annuity decreases as the discount rate increases.
Use the standard annuity present value formula.
The equation is:
PV = PMT {[1- (1+ r / k) ^ (-kn)] / (r/k)}
PMT monthly equals 800
R = 4.75% of the interest rate, or 0.0475
K / monthly compounded = 12
Time / N = 30 years
Present Value = 800 x [1- (1+0.0475 / 12)⁽⁻¹²ˣ³⁰⁾/ (0.0475 / 12)]
Therefore, Present Value = 153,360.32 or 153,360
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An ADR has been issued where each ADR equals .1111 ordinary shares of the foreign issuer. If a client wished to buy enough ADRs to cover 100 ordinary shares, how many ADRs must be purchased
1111 ordinary shares of the foreign issuer are represented by each ADR that has been issued. How many ADRs would need to be purchased if a customer wanted to purchase enough to cover 100 ordinary shares.
900, as each ADR is equal. A foreign security held at a foreign office of a U.S. bank is known as an American Depositary Receipt. The bank issues receipts in exchange for these ordinary shares, which are listed and traded on U.S. stock exchanges and registered in the country as securities. The number of advancing shares divided by the number of decreasing shares is known as the advance-decline ratio.
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The measure of how much profit the firm generates as well as how much profit certain aspects of the firm, including regions, channels, and customer segments contribute is referred to a
Profitability analysis is the process of calculating how much a firm produces in profit and how much different business operations, such as markets, distribution channels, and customer segments, contribute to that profit.
An individual who buys something from a seller, agent, or supplier in exchange for cash or another kind of value consideration in sales, commerce, or transactions is referred to as a customer. Early cultures were supported by a system of gifts and favours.
A customer is someone who makes a purchase of an item or service and subsequently contacts the business with a query or requests for assistance. However, enterprises like law firms, movie studios, and hospitals choose their clients, but supermarkets, banks, and restaurants chose their customers. Currently, this distinction has little semantic relevance.
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Write an essay of at least 150 -words based on reading the following regulation policy. In your essay, you should:
determine what factors would be considered in evaluating the 2014 violations;
assess the likely, and possible, consequences of the 2014 violations; and
outline how the company might achieve a reduction in fines;
Annual returns on small stocks have a population mean of 12% and a population standard deviation of 20%. If the returns are normally distributed, a 90% confidence interval on mean returns over a 5-year period is:
Small-stock annual returns have a total population of 12% or a population variance of 20%. Returns have a normal distribution, and a 5-year mean return's 90% confidence range is from 5.40% to 18.60%.
How is the annual return determined?The annual return rate is computed by dividing the amount gained or forfeited at the close of the calendar year by the original cost made at the start of the year. This approach is also known as the average return or nominal annual rate.
What is a favorable annual return?Most investors would consider an average yearly rate of returns of 10% or above to be a respectable ROI for long-term stock market investments.
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The term comparative advantage refers to when many of the different stages of producing a good happen in different geographic locations.
When many of the different stages of producing a good occur in different geographical locations, the opportunity cost is high. If a person can the produce something at a lower cost than anyone else, he has a comparative advantage.
Being the best at something does not imply having a comparative advantage. When a country has a comparative advantage, it can produce goods and services at a lower cost than other countries. False. When a country has a comparative advantage producing, it can produce something with lower opportunity costs than other countries. The lowering costs is an example of an absolute advantage.
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After a marketing objective is defined, what is the next step marketers should take?
A. Identify the target market
B. Evaluate the components of the promotion
C. Determine the marketing budget
D. Désign the marketing message
The following action that marketers should perform is to determine the marketing budget.
What are some examples of marketing objectives?Marketing objectives are a list of specific, quantifiable goals created as a component of a marketing plan. Specific goals are set forth in marketing objectives, such as "reduce customer acquisition cost by 10% by the end of the next quarter."
What happens in the marketing process after that?Building your marketing mix will be the following step in your marketing approach. The Economic Times states that "the marketing mix refers to the set of actions, or techniques," that a business use to market its brand or product.
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Jim holds a commercial lease. Last year his rent went up 4% based on a 4% increase in the wholesale price index. What type of lease does Jim have
Index Lease A sort of graded lease in which the periodic rent increase are related to rises in the consumer price index, or some other economic indicator.
An index lease links a rental rate to a generally recognized price index that takes cost of living fluctuations into account. This enables landlords to increase the rent anytime the lease is reevaluated, which normally occurs once a year, in line with developments in the economy. In contrast, a step lease requires periodic increases of a specific percentage regardless of the current cost of living. To avoid any misunderstanding, the contract for an index lease states which index will be utilized. A popular option is the Consumer Price Index (CPI), which represents the prices people actually pay for products and services in the economy. Depending on whether a lease is for a home or a business, additional indicators.
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A(n) _____ contract carries the least risk for suppliers.
a. CPPC b. FFP
c. CPAF
d. FP-EPA
The least risky contract for a supplier is an FP-EPA one. Long-term contracts are utilized FP-EPA contracts, which permit pre-defined modifications to the contract price because of altered circumstances.
This can entail variations in inflation or higher or lower prices for particular commodities.
The nature of this contract is similar to that of a fixed-price contract. However, the former has a specific provision that allows for price adjustments, whereas the latter is non-negotiable.
In this specific contract, the buyer and seller concur on pre-established standards for the price adjustment. The market's inherent uncertainties make this conceivable. This particular contract is advantageous for long-term projects or those that span several years because it is crucial to remember that market dynamics alter over time.
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The JB Shop paid $1,990 in interest and $1,850 in dividends last year. The times interest earned ratio is 2.2 and the depreciation expense is $520. What is the value of the cash coverage ratio
The value of the cash coverage ratio is 2.46.
EBIT = 2.2 × $1,990 = $4,378
Cash coverage ratio = ($4,378 + $520)/$1,990 = 2.46
A coverage ratio, extensively, is a metric supposed to measure a company's ability to carry its debt and meet its financial duties, including interest bills or dividends. The better the coverage ratio, the less complicated it needs to be to make interest payments on its debt or pay dividends. The trend of coverage ratios over the years is also studied by way of analysts and traders to envision the exchange in an employer's monetary role.
Coverage ratios are available in several pieces of paperwork and can be used to assist pick out companies in a potentially troubled economic situation, even though low ratios aren't always a demonstration that an organization is in a monetary problem. Many elements cross into figuring out those ratios and a deeper dive into an organization's financial statements are often endorsed to check an enterprise's health.
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School band members need to raise money for new uniforms. Some members want to sell energy drinks at a football game to raise funds, but others want to organize a car wash in the school parking lot. Based on the concept of scarcity, which thought should drive members' decision-making process to determine how to fundraise
If there are enough volunteers to work a car wash, the decision-making process ought to be driven by the concept of scarcity.
The idea of scarcity teaches that there are many things that people want, but there aren't enough resources to meet them all.
In relation to the question, the issue of whether or not they have sufficient manpower or labor to complete the task would be the concept of scarcity that would guide their decision. People would have to do the work of washing these cars. If there aren't enough volunteers, it would be harder to reach the goal.
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Corporate social responsibility is mainly concerned with how a company affects the ________.
A. Family B.investor C.community D. vendors E.stockholders
Corporate social responsibility is mainly concerned with how a company affects the Family .option a is correct.
How does corporate social responsibility work?A wide business term is corporate social responsibility (CSR). It typically refers to a business's commitment to operating in an ethical manner. This entails managing their company operations while taking into account their effects on the social, economic, and environmental landscape as well as human rights. Corporate social responsibility is a type of global private business self-regulation that tries to support philanthropic, activist, or altruistic societal goals by participating in or encouraging volunteerism or ethically sound business activities.
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Which search engine strategy would best limit the results to the vehicle, Ford Explorer, rather than someone exploring in a vehicle made by Ford Motor Company or an explorer named Ford?
1. Ford Explorer*
2. Ford Explorer
3. Ford Explorer
4. Ford Explorer"
The search engine method that would best restrict the results here to vehicle is Ford Explorer.
What is a search engine?A search engine is a piece of software used to conduct online searches. They carry out methodical searches of the Internet for certain data that is specified in a sms web particular keyword.
What are results from search engines?The search engine results pages, or SERPs, are often displayed when the results are retrieved. These outcomes or details could include references to online pages, a combination of pictures and videos, published papers, news pieces, etc.
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The sales charge on a fund with a Net Asset Value of $9.50 and a Public Offering Price of $10.00 is:
The greatest overall "front-end load" or sales fee that might be tacked on to the acquisition of mechanical fund shares. This compensation reimburses a financial expert for their services.
Why is $1 NAV important?The primary safety element of the money market funds is a stable negative asset value (NAV). Because it consistently maintains a $1.00 value, a stable NAV suggests that the likelihood of the fund squandering principal or "breaking a buck" is reduced.
How do you factor in NAV and sales fee when calculating pop?The POP is the total of the sales fee and net asset value that an owner must pay in order to invest. Navi + Scs = POP is the equation used to calculate the POP. The net asset value of the mutual fund is multiplied by the sales charge to arrive at the POP, the public offering price.
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25. Consider the following information from the books of Mr. Prince:
Loss for the year 20,000
₹
(1)
(2) Drawing made by Mr. Prince * 50,000
(3) Additional Capital introduced by Mr. Prince 1,00,000
(4) Capital at the end of the year ₹ 4,00,000.
Find the capital contributed by Mr. Prince at the beginning of the year.
A factory and its equipment, intellectual property like patents, or the financial assets of a company or a person are all examples of things that provide value or benefit to their owners and fall within the broad definition of capital.
What is Capital ?While money in and of itself could be considered capital, the term is more frequently used to refer to money that is being used for investments or productive purposes. In general, capital is an essential part of managing a firm day-to-day and funding its expansion in the future.
According to economists, whether a unit is a family, a small firm, a major corporation, or an entire economy, capital is essential to its operation.
Calculation of opening Capital
Closing Capital $400,000
(+) Drawing $ 50,000
(-) Additional Capital ($300,000)
Adjusted Capital 150,000
Opening Capital
Loss ($20,000)
Opening Capital $ 130,000
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What are some positive ways you can impact your Family Circle?
Tell them a funny story, show them funny videos on the Internet, play practical jokes
Play them my favorite music, movies, and TV shows
Tell my friends about how much I like my family, show them pictures, introduce them
Ask questions, help them, or do something they love
Answer: Ask questions, help them, or do something they love
Explanation:
Some of the positive ways of impacting ones family circle is by asking questions, helping other members of our family and by doing something that they love.
We shouldn't be self centered by showing them what we love such as our favorite music, movies, and TV shows. Rather, we should listen to them and give them listening hears and always help them when there is need for our help.
The correct option is D.