the ytm on a 2-year zero coupon bond is 5% and the ytm on a 1 year zero coupon bond is 3%. what does the no-arbitrage condition tell you about the rate you can lock in today on a 1 year zero coupon bond that starts next year (the one-year forward rate)? it is

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Answer 1

The correct answer is option (A). A Zero-Coupon Bond is one that has no periodic interest payments from the date of issuance until maturity and is priced at a discount to its face (par) value.

Zero-coupon bonds, commonly referred to as "discount bonds," are offered by the issuer for less than their face value (par), which is paid back when they mature.

As hinted by the name, zero-coupon bonds are financial obligations that are not structured with any necessary interest payments (i.e., "coupons") during the lending period. Instead, one may consider the difference between the bond's face value and current market price to be interest earned.

As per the term structure theory, to have no arbitrage among the bonds,

(1+R02^)2 = (1+R01)(1+R12)

Thus, putting value as per the question we get,

=> (1.05)^2 = (1.03)(1+R12)

=> 1+R12 = (1.05)^2 / (1.03)

=> R12 = 0.0703

           = 7%

Thus, option (A) is correct.

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Complete question:

If the YTM on a 2 year zero coupon bond that starts today is 5% and the YTM on a 1 year zero coupon bond that starts today is 3%. What does the no-arbitrage condition tell you about the interest rate on a one year bond that starts next year?

A. It's [1.05)^2 / 1.03) - 1 -7%

B. Its (1.05/1.03) - 12%

C. It's 5%-3% -2%

D. It's the average of 3% and 5%


Related Questions

how many ways can a total inventory of batteries be distributed among the eight different types? suppose that in addition to being able to obtain only ten a76 batteries, the store can get only six of type d303. how many ways can a total inventory of batteries be distributed among the eight different types?

Answers

Batteries can be distributed among the eight different types in 9,822,362 total combinations.

We'll need to use the same procedure as part A to solve this, but we'll be focusing on three cases instead: If there were 30 A76 batteries, how many permutations of 11 or more A76 batteries there would be without the option to choose a D303 battery, and how many combinations of 9 or more D303 batteries there would be without the option to choose an A76 battery, respectively.

Case 1:

[ (30+8-1)!] / [30!*7*6*5*4*3*2]

= [37*36*35*34*33*32*31*30!] / [30!*7*6*5*4*3*2]

= 10,295,472

Case 2:

[(19+7-1)!] / [19!*6*5*4*3*2]

= [25*24*23*22*21*20*19!] / [19!*6*5*4*3*2]

= 177,100

Case 3:

[(21+7-1)!] / [21!*6*5*4*3*2]

= [ 27*26*25*24*23*22*21!] / [ 21!*6*5*4*3*2 ]

= 296,010

10,295,472 - 177,100 - 296,010 = 9,822,362 total combinations

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question content area the increases in stockholders' equity attributable to selling services or products to customers are called a.revenues b.expenses c.assets d.liabilities

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The increases in stockholders' equity attributable to selling services or products to customers are called Revenues.

What does Revenues mean?

Revenues refer to the total amount of money received by a company or organization from the sale of goods and services over a period of time. It is also sometimes referred to as "turnover" or "sales."

What does Stakeholder mean?

A stakeholder is a person, group, or organization that has a vested interest in the success of a project or venture. The outcome of a project can affect or be affected by stakeholders. Customers, suppliers, employees, shareholders, financiers, government agencies, and the community are all examples of stakeholders.

Therefore the correct option is A. Revenues.

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lilguy inc has manufacturing variable cost of $10.00 per unit, fixed costs of $25,000 and anticipated sales of 5,000 units. what must have been the desired %roi on an investment of $250,000, if the selling price has been set at $20?

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If the selling price is fixed at $20, the desired percentage of return on a $250,000 investment is 10%.

Return on investment (ROI) is a performance metric used to assess an investment's effectiveness or profitability or to compare the effectiveness of several investments. ROI aims to quantify the amount of return on a specific investment in relation to the cost of the investment.

Because of its adaptability and simplicity, ROI is a well-liked metric. In essence, ROI serves as a basic indicator of an investment's profitability.

Profit = Number of units * selling price per unit - Number of units * variable cost - Fixed cost

profit = (5000 * 20) - (5000 * 10) - 25000

Profit = 100,000 - 50,000 -25,000

Profit = 100,000 - 75,000

Therefore, Profit = $25,000

Thus ROI = Profit / Investment

ROI = 25000 / 250,000 = 10%

Therefore, the desired return on Investment = 10%

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on july 1, 20x8, how should the company classify and account for its receipt of cpms from the nova anglia government?

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The company should classify the receipt of CPMS from the Nova Anglia government as revenue. The company should record the receipt of CPMS as a debit to the company's cash account and a credit to the company's revenue account.

When was the first CPMS were released?On July 1, 20X8, the first CPMs were released, covering the vintages 20X8, 20X9, and 20Y0. The marketplace for the purchasing, selling, or exchange of these permissions was not yet established at that time. The company calculates that a CPM was worth $750 as of July 1, 20X8. Since trade of CPMs did not start until late August 20X8, this estimate is dependent on subjective data, such as observations of various EAs in other states. In comparison to every firm's yearly CO2 emissions for the twelve-month period ending December 31, 20X7, the amount of permits awarded was established as a baseline. While allowances for the 20X9 and 20Y0 vintages were given in levels that progressively decline from the 20X7 emissions foundation by 1% and 2 %, respectively, the 20X8 vintage was issued in a quantity that would negate the same level of emissions by the user from 20X7.

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(q008) the influx of cheap goods from what country accelerated the loss of manufacturing jobs in the united states during the great recession?

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The influx of cheap goods from Europe accelerated the loss of manufacturing jobs in the united states during the great recession.

What caused the great recession?

The Great Recession referred to period of general decline such as recession that was observed in national economies globally that occurred between 2007 and 2009.

The causes of Great Recession included combination of vulnerabilities that developed in the financial system along with a series of triggering events that began with the bursting of the United States housing bubble in 2005–2012.

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he market has an expected rate of return of 6.50 percent. a long-term government bond is expected to yield 3.4 percent and a u.s. treasury bill is expected to yield 2.25 percent. the inflation rate is 2.15 percent. what is the market risk premium?

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The market has an expected rate of return of 6.50 percent. a long-term government bond is expected to yield 3.4 percent and a U.S. treasury bill is expected to yield 2.25 percent Market risk premium = 6.50% - 3.4 = 3.60%.

A government bond or government bond is a type of bond issued by a government to support public spending. It typically involves periodic interest payments, called interest payments, and an obligation to repay the principal on the due date.

Treasury Bonds (Treasury Bonds) issued by the United States Treasury. Bonds with a maturity of one year or less (T-Bonds) issued by the Treasury Department are called 'notes'. Bonds with maturities of 1 to 10 years are called "notes". A bond with a maturity of more than 10 years is also called a “bond”.

Government Bonds are bonds issued by the Central and State Governments of India. Such bonds are issued when the issuer (central or state government) faces a liquidity crisis and needs funds for infrastructure development.

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suppose the expected and actual inflation rate is currently 2% and the nairu (nonaccelerating inflation rate of unemployment) is 6%. the actions of policy makers drive inflation up to 4% and unemployment down to 4%. which is most likely to occur if no further action is taken?

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If no further action is taken inflation will likely remain at 4%, according to NAIRU.

As we are given that the expected and actual inflation rate is currently 2% and the NAIRU (nonaccelerating inflation rate of unemployment) is 6%. the actions of policymakers drive inflation up to 4% and unemployment down to 4%. With the Nairu at 6%, the economy is already operating at full employment. Any attempts to reduce unemployment further through fiscal or monetary policy will likely cause inflation to increase, while any attempts to reduce inflation will likely cause unemployment to rise. Therefore, the most likely outcome is that inflation will remain at 4%.

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a portfolio manager is constructing a new equity portfolio consisting of a large number of randomly chosen domestic stocks. as the number of stocks in the portfolio increases, what happens to the expected levels of systematic and unsystematic risk? question 25 options:

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As the number of stocks in the portfolio increases, the expected levels of systematic risk will decrease.

This is because the systematic risk is linked to the overall movements of the market, and as the portfolio becomes more diversified, it becomes less exposed to movements of the overall market.

On the other hand, as the number of stocks in the portfolio increases, the expected levels of unsystematic risk will also decrease. Unsystematic risk is also known as idiosyncratic risk and is related to the individual characteristics of a specific stock such as its profitability, competitive position, and other factors. As the portfolio becomes more diversified, it becomes less exposed to the idiosyncratic risk of any one stock.

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a sudden storm threatens the property of marina bay llc. ngoc, marina bay’s sales agent, is on site but lacks the express or implied authority to bind the firm to the cost of appropriate protective measures. unable to communicate with marina bay, ngoc:____.

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The sales agent has emergency powers to deal with the situation.

What are the responsibilities of a sales agent?

A company's sales agent is the professional responsible for mediating relations between the company and its potential customers. This is necessary for promoting the company's products and services through communication, negotiation and persuasion techniques.

In a situation like the one that occurred, that is, when a sudden storm threatens the company's property and the sales agent is the only professional on site, he can act on an emergency basis to establish security measures to prevent further damage to the site.

Therefore, all employees of a company are able to act in an emergency in a situation that poses risks to property or life.

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a manager notices that several nightly cleaning tasks are not being completed by the night crew. how should the issue be addressed?

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Examine how many cleaning tasks are given for the shift to ensure they can be finished in the allotted time.

The following are some examples of the cleaning stages:  Preparation- Getting rid of loose materials and dirt from the contaminated surface you're cleaning is the first step in cleaning. This can be accomplished by sweeping, rinsing, or wiping with a disposable towel. Another name for this procedure is sanitation. To get the area ready for the next stage of cleaning, the goal is to remove as much substance as you can. Primary Cleanup-Any chemicals, dirt, grease, and debris that you were unable to remove during the pre-clean step should be loosen during the second stage of cleaning. In order to do this, hot water and detergent are used. Disinfecting the surface, which kills bacteria and other microbes, is the third stage of cleaning.

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true or false: because the prospects of the firm are tied to those of the broader economy, the valuation analysis must consider the business environment in which the firm operates. true false question. true false

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The business environment in which the firm operates must be taken into account in the value research because the firm's prospects are correlated with those of the larger economy. True

To estimate the general value or worth of any asset, including companies, stocks, fixed-income instruments, commodities, real estate, and other assets, valuation analysis is technique employed. In order to make better-investing decisions, investors must evaluate the intrinsic values of company shares through valuation studies.

A prospect is a person or company that meets the criteria set forth by the seller for a potential customer. In essence, a prospect is a potential customer. Based on the consumer profile for your company, you'll select a set of criteria that identify the kind of person who most closely fits the good or service you're attempting to promote.

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a company contemplating the acceptance of a special order has the following unit cost behavior, based on 10,000 units: cost information cost type costs direct materials $4 direct labor $6 variable overhead $4 fixed overhead $8 a foreign company wants to purchase 1,500 units at a special unit price of $19. in addition, there will be $4,000 special shipping costs with the special order. what is the incremental income (loss) from accepting the order?

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Due to the exclusion of fixed costs, the cost per unit will be 4+6+4=14, while the profit per unit will be (19-14)*1500=7500. Profit will be $3500 if less than 4,000.

What does "incremental income" actually mean?

The profit generated by a rise in sales is known as incremental revenue. It can be used to calculate the extra revenue brought in by a certain product, investment, or direct sale from a marketing campaign when sales volume has increased.

How are incremental profits determined?

A company's profit from a specific increase in sales is known as incremental revenue. Multiplying the quantity sold by the cost per unit makes the calculation incredibly simple.

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How would the federal reserve stimulate the united states economy and reduce unemployment?

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By exchanging bonds for cash and distributing it to the general public, the Fed raises the amount of money in the economy by purchasing bonds on the open market. In contrast, if the federal reserve sells bonds, it reduces the amount of money in circulation by taking money out of circulation in return for bonds.

In order to help achieve this during recessions, the Fed employs a number of monetary policy measures to lower unemployment rates and increase prices. In order to manage market expectations, these mechanisms include discount lending, reserve regulation, open market asset acquisitions, and forward guidance.

Congress has given the Federal Reserve the dual responsibilities of preserving price stability and full employment in the American economy. The Fed uses a variety of monetary policy tools to reduce unemployment rates and boost prices in order to assist achieve this during recessions.

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opportunity costs are not found in accounting records because they are not relevant to decisions.

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The following statement "Opportunity costs are not found in accounting records because they are not relevant to decisions" is false.

The opportunity cost is the time spent learning and the money that might have been used for something else. When a farmer decides to grow wheat, there is an opportunity cost associated with not doing so or using the resources in another way (land and farm equipment).

The apparent advantage of not selecting the next best alternative when resources are limited is what is commonly referred to as opportunity cost. Opportunity costs are not just monetary or financial expenses. An opportunity cost is also the real price of missed productivity, time, or any other for-profit gain.

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What are the 2 main categories of US Federal government spending?

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National defense spending and Discretionary spending are the 2 main categories of US Federal government spending.

Every Workday Procurement transaction must contain a spend category as a necessary component. Spend categories are a combination of commodity codes from the Legacy system, which specify the kind of thing or service being purchased, and object codes. Some workday spending categories may be considered trackable while others are not. Except for firearms, livestock/animals, and bulletproof vests, which are tracked at any value and marked as an LSU asset, products having total acquisition cost of $1,000 or more should be included in a tracked spend category.

Building a comprehensive picture of the overall cost on commodities across the LSU system is the aim of the procurement spend categories. Accurate reporting on commodity expenditures increase the possibility of larger discounts and new contracts, which is advantageous for the spend category university. Initial reports have shown that some end users are choosing the spend category based on the hierarchy of spend categories and/or the project they are utilizing the items for rather than the individual item within the hierarchy.

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joshua borrowed $1,500 for one year and paid $75 in interest. the bank charged him a service charge of $15. if joshua repaid the loan in 12 equal monthly payments, what is the apr? (enter your answer as a percent rounded to 1 decimal place.)

Answers

The APR is computed as shown below:

= (2 x n x I) / [ P x (n + 1) ]

n = 12

I is computed as follows:

= Interest + service charge

= $ 75 + 15

= $ 90

P = $ 1,500

So, the APR will be as follows:

= (2 x 12 x $ 90) / [ $ 1,500 x ( 12 + 1 ) ]

= $ 2,160 / $ 19,500

= 11.08% Approximately

Yearly rate (APR) alludes to the yearly premium produced by an aggregate that is charged to borrowers or paid to financial backers. The annual percentage rate (APR) is the actual annual cost of funds over the course of a loan or investment's term. This does not take into account compounding and includes any transaction-related fees or additional costs. Consumers can compare lenders, credit cards, and investment products using the annual percentage rate (APR).

For new purchases, credit card companies typically provide a grace period. You only pay the amount you owe if you only make purchases and pay off your balance each month by the due date. However, the agreed-upon interest is added to your outstanding balance at the conclusion of each billing period if you have a card balance.

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gerard's woodworking business had a fantastic financial year. gerard wants to share how well the business performed with his dad, who is his financier and silent partner, by showing him the net profit margin. what will gerard first need to know in order to come to this figure?

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Gerard's woodworking business had a fantastic financial year and he wants to share the performance with his dad, his financier and silent partner. Gerard first needs to know the total expense and total revenue to calculate his profit margin.

Revenue refers to the total amount of money generated by selling the product at a certain price. It is from the generation of revenue that net income, taxes, interest, and other expenses can be calculated. Total revenue refers to the amount of revenue generated by the firm. It can be calculated by multiplying total sales by the price of the product or service.

Total expense refers to the amount of money spent on the running of the firm such as equipment, delivery cost, salaries, advertisements, and web portals. If Gerard will subtract the total revenue from total expenses, he will know the profit margin he earned in the business.

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suppose that the federal reserve has a 2% target on inflation. if actual inflation is 1%, then the fed will want the new real interest rate to be:

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Suppose that the federal reserve has a 2% target on inflation. if actual inflation is 1%, then the fed will want the new real interest rate to be lower than the neutral interest rate.

What is federal reserve?

The United States of America's have central banking system is known as the Federal Reserve System (often abbreviated as the Fed or just the Fed). With the passage of the Federal Reserve Act on December 23, 1913, it was established in a way response to the need for centralized management of the monetary system to prevent financial crises following a string of financial panics, including the Panic of year 1907. [list 1] The Federal Reserve System's functions and responsibilities have grown over time as a result of occasions like the Great Depression in the 1930s and the Great Recession in the 2000s.

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preferred stock tends to have attributes ofmultiple choice question.treasury stockmon stock only.bonds only.both bonds and common stock.

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Preferred stock frequently combines characteristics of bonds and common stock.

A component of share capital known as preferred stock is often regarded as a hybrid instrument since it might have any combination of characteristics that common stock does not, including characteristics of both an equity and a debt instrument. Preferred stocks can take precedence over ordinary stock in the payment of dividends and upon liquidation, but they are junior to bonds in terms of claim compared to common stock. The articles of association or articles of incorporation of the issuing firm provide information about the preferred stock's terms. The same big credit rating firms that rate bonds also rate preferred stocks. Because preferred dividends do not carry the same assurances as interest payments from bonds, and because preferred-stock holders' claims are not as well-protected as bondholders', their ratings are often lower than those of bonds.

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consider the labor market for heath care workers. because of the aging population in the united states, the output price for health care services has increased. holding all else equal, the equilibrium wage of health care employees would question 17 options: increase. decrease. not change. it is not possible to determine what happens to the equilibrium wage.

Answers

The following describes the impact on equilibrium wage of taking into account the healthcare labor market in a specific scenario.

What would the impact be on the equilibrium wage?

The equilibrium wage increases and the equilibrium quantity of labor increases.

What are the equilibrium labor supply and wage?

Labor supply and demand come together to form the real pay and the equilibrium amount of labor traded. The amount of labor provided and the amount of work sought are equal at the equilibrium real wage. Demand and supply play a critical role in setting wages in a market that is competitive.

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when may a principal use the right of avoidance to nullify, at his or her discretion, any contract the agent negotiated? multiple choice question. when the principal is sued by a third party because of the agent's negligence when the agent obtains and retains benefits acquired through the agency when the agent breaches his or her fiduciary duties when the agent illegally benefits from the agency agreement

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Both the principal and the third party can sue and be sued on the basis of the direct contract that is formed between them. Unless contrary intent is shown, the agent is not a party to the contract and cannot sue or be sued on it.

How can an agent be held personally liable in what circumstances?

Contracts are rarely held liable by an agent; The primary is responsible. However, the agent will be held liable if he is either not disclosed at all or only partially disclosed, if he lacks authority or exceeds it, or, of course, if he entered into the contract on his own behalf.

Can an agent be sued by a principal?

While acting under the principal's direction, the agent cannot be sued. The principal will probably not be held liable if a tort is committed by an agent while they were acting outside of their authority.

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The required rate of return is the maximum rate of return that an investment project must yield to the acceptable.

a. True
b. False

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The necessary rate of return is the highest rate of return that a project involving investments must produce to be considered acceptable. This is False.

How do you define a needed rate of return?

The required rate of return (RRR) is the minimal profit (return) an investor will seek or receive in exchange for taking on the risk of investing in stocks or other securities. RRR is also used to determine how profitable a project

What distinguishes the needed rate of return from the expected rate of return?

Expected return is a return that is expected during a future period, whereas realized return is a return that has already been attained in the past. The minimal projected return an investor needs to invest in an asset over a certain time period.

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The rate of interest specified in a bond contract as the interest rate to be paid by the company to investors in the bond is known as the market rate.a. Trueb. False

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The market rate is the interest rate that is stipulated in a bond contract as the interest rate that will be paid by the company to investors in the bond. False

The interest rate that appears on a bond coupon is known as the stated interest rate. This represents the real interest that the bond issuer has paid. The stated interest rate is 6% if the issuer pays $60 for a bond with a $1,000 face value.

The interest rate that is stated on the bond's face value is known as the stated interest rate. The amount of money that the bond issuer must pay in cash is determined by the interest rate. prevailing interest rate The bond's market interest rate is the current rate at which the bond is being sold.

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time management and health reading quiz - question 4 results question 4 of 10: true or false: when starting out a career, you should always work at least two jobs so that you can accumulate money for investing and long-term growth.

Answers

False. Prior to learning and succeeding in that career, you must ensure you have had enough sleep and vitality.

Why are physiologic requirements significant?

Air, food, water, clothing, warmth, sleep, and health are a few examples. Your body cannot operate normally if you don't meet these demands. Because you didn't accommodate the other requirements unless your physiological ones are met, they are regarded as being the most important. This includes a location to work, a consistent monthly wage, a suitable workspace, and basic amenities.

Why do people require psychology?

The three psychological requirements of autonomy, competence, and relatedness are universally significant for psychological health and autonomous motivation, according to SDT. Similar to how you conceive of physiological demands, you can think of these fundamental requirements (e.g. hunger, thirst, sleep).

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which inventory method is least likely to be used under ifrs? a. first in, first out (fifo). b. last in, first out (lifo). c. weighted average.

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The inventory method which is least likely to be used under IFRS is Last in, first out (lifo).

The last in, first out (LIFO) approach of inventory accounting is utilized. According to LIFO, expenses are deducted starting with the expenditures of the most recent goods that were bought (or produced). Only in the United States is LIFO practiced, and it is governed by generally accepted accounting rules (GAAP).

An illustration of LIFO is when coffee mugs are purchased from wholesalers and then sold online. One Cup's cost of goods sold (COGS) varies depending on whether it uses LIFO or FIFO. In the first case, from 2016 to 2019, the cost of wholesale mugs increases.

A smaller balance of unsold inventory and a greater cost of goods sold are the results of LIFO.

Due to LIFO's lower net revenue, the greater cost of goods sold has a reduced tax impact.

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How could a student show a teacher that he has good character traits? by listening attentively in classby taking classes he is interested inby ignoring the teacher if she tripsby trying to answer every question in class.

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A student can listen to his teacher when explaining school lessons can show that he has good character. School is a place to study and get lots of friends.

School is an institution for students to receive instruction under the supervision of a teacher Most countries have a system of formal education which is generally compulsory. In this system, students progress through a series of teaching and learning activities at school. The names for these schools vary by country, but generally include primary schools for children and continuing to secondary schools for youth who have completed primary education. By going to school, we can get a lot of knowledge and relationships that can be useful in the future and of course in the world of work.

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to decrease the money supply using the reserve requirements, what would the fed typically do?

Answers

The fed would normally increase the reserve bank requirements in order to reduce the money supply through reserve requirements.

In a sentence, what does typically mean?

When explaining how something frequently occurs, you use the word typically. Depending on size, it normally takes a day to two. adverb ("ADV adj") When something exhibits all the typical traits of a certain kind of individual or thing, you describe it "typically."

What does "typically" mean?

in a style that illustrates the traits of a specific type of person or item, or provides a typical illustration of a specific thing: It's a town you'd find in America. Usually, I go running during lunch.

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Shoe companies can use influencer marketing to build brand recognition to gain credibility and familiarity.a. Trueb. False

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The correct answer is true ; They are made to reward customers for their brand or shop loyalty and promote repeat business (hence the name). Usually,

Influencer marketing is a sort of advertising that makes use of influential people to advertise a product to a bigger audience. Opinion leaders with a strong social following are known as influencers.

They present themselves as authorities or reliable information sources. a consumer receives bigger benefits the more frequently they shop at the business and the more money they spend.

Remarketing, sometimes referred to as retargeting, is a widely prevalent and well-liked type of digital marketing in which advertisers show advertisements to people who have visited their website or a certain web page and have either taken or have not performed a particular action.

Customers are more likely to suggest your company to others if you have an effective rewards program, which may help you grow your client base.

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expected benefit approaches for valuing long-lived assets are not used in current u.s. gaap because the numbers generated under these methods are inaccurate and:

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expected benefit approaches for valuing long-lived assets are not used in current U.S. GAAP because the numbers generated under these methods are inaccurate and non-verifiable

A set of commonly used accounting rules and standards for financial reporting is known as Generally Accepted Accounting Principles (GAAP, or US GAAP). The definitions of concepts and principles as well as industry-specific rules are included in the specifications of GAAP, the standard set by the U.S. Securities and Exchange Commission (SEC). In order to guarantee that financial reporting is consistent and transparent across organizations, GAAP was established. GAAP is just a set of rules. Even though its principles help financial statements be more transparent, they don't guarantee that a company's financial statements won't contain errors or omissions meant to mislead investors.

The SEC has stated that it will adopt the International Financial Reporting Standards (IFRS) instead of GAAP. However, the latter are significantly different from GAAP, and adoption or convergence has been slow. Check out IFRS, the International Financial Reporting Standards.)

GAAP is a product of business and government collaboration, despite the fact that it is not governed by the government. While the SEC requires publicly traded and regulated companies to adhere to GAAP for the purpose of financial reporting, the use of GAAP is not required for all businesses.

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When cheque is received from the customer and deposited into bank same day which account should be debited?

Answers

A contra entry is a check that is received and deposited into the bank on the same day.

Both the cash and bank columns are present in the cash book. If a check is received and deposited the same day, it should be noted in the cash book's bank column. Debtors' accounts are credited and the Cash account is debited when checks from debtors are received but not deposited in the bank. Customer accounts were credited at the time of receiving checks, so if a check fails, a reversal entry must be made by debiting the customer accounts and crediting the bank accounts. From the time you deposit the check until the funds are available as cleared funds in your account, it usually takes three business days.

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