The correct option is B. The time-series model that uses BOTH past forecasts and past demand data to generate a new forecast is the weighted moving average model.
A time-series model is a statistical model used to analyze and forecast changes in data over time. In business, time-series models are used to make predictions and informed decisions based on historical data. They are commonly used in finance, economics, marketing, and other areas where understanding patterns and trends over time is critical.
One of the most popular types of time-series models is the autoregressive integrated moving average (ARIMA) model, which combines autoregression (a model that predicts future values based on past values) and moving average (a model that predicts future values based on the difference between the current and past values) to analyze and forecast data.
Other time-series models include exponential smoothing models and state space models. These models can be used to forecast future demand, sales, and other key performance indicators (KPIs), allowing businesses to make informed decisions about inventory, staffing, and investments.
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How much gdp per capita by country
India's Gross Domestic Product (GDP) per capita was 2,320.403 USD, according to global GDP per capita data.
In March 2022, India's Gross Domestic Product (GDP) per capita increased to 2,320.403 USD from 1,968.769 USD in March 2021. India GDP Per Capita data is available from March 1958 to March 2022, with an average value of 323.238 USD. It is updated yearly.
India's net national income, or NNI, per person was approximately 150 000 rupees in the fiscal year 2022. At constant prices, however, the gross national income was above 146 trillion rupees. Total resident producers' gross value added plus any applicable product taxes equals GDP per capita (less subsidies).
How much gdp per capita by country Quatar?
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If there is a shortage of product X, and the price is free to change:
A. fewer resources will be allocated to the production of this good.
B. the price of the product will rise.
C. the price of the product will decline.
D. the supply curve will shift to the left and the demand curve to the right, eliminating the shortage.
Option B is correct If there is a scarcity of product X and the price is flexible, the product's price will rise.
If there is a shortage of product X, it means that the producers are unable to sell the product and meet market demand. Because the price of product X is free to fluctuate, the product's price will rise. The producers will raise the price of the product so that demand declines at higher prices and the equilibrium level is easily met. As a result of the scarcity of product X, the price will rise, causing demand to fall and eventually reaching equilibrium. Cross-price elasticity of substitute goods is always zero or greater. Unrelated goods: The terms unrelated or independent refer to a situation in which two goods have a cross-price elasticity coefficient of zero. This means that analysis shows no relationship in consumption or demand trends.
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the credit period is: multiple choice always 30 days from end of discount always longer than the discount period long enough so buyers can always take a cash discount always twice the length of discount period
The credit period is always longer than the discount period.
What is credit?A financial arrangement known as credit involves a lender giving a borrower cash, products, or services in exchange for the promise of future payback from the borrower. It is a crucial component of the contemporary economy and is used to finance a variety of activities by both individuals and companies. Cards, loans, lines of credit, and mortgages are just a few examples of the various ways that credit can be obtained. The cost of credit is often represented by interest and fees levied by the lender on the amount lent. Bad credit can restrict access to credit or result in higher costs, while good credit can help borrowers achieve better loan terms and interest rates. Good credit management can affect a person's credit score and is necessary for healthy financial management.
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A ____exists when one brand is perceived to possess and deliver qualities and benefits that competitive brands do not possess.
Answer:
"competitive advantage
Explanation:
A "competitive advantage" exists when one brand is perceived to possess and deliver qualities and benefits that competitive brands do not possess. This can include factors such as superior quality, unique features, lower prices, better customer service, or stronger brand recognition. A competitive advantage can help a brand stand out in a crowded marketplace, attract and retain customers, and ultimately achieve long-term success.
What is a purchase money mortgage ?
A purchase money mortgage is basically a mortgage which is issued to the borrower and is done by the seller of the particular home and this is done as a part of the purchase transaction.
Sometimes, when a person is buying real property, they give the seller a mortgage on that property and this a part of the deal in order to buy the property. This is known as the purchase money mortgage, because this mortgage usually replaces a part of the cash or all of the cash which the buyer would be otherwise paying the seller.
Purchase money mortgages usually have a higher interest rates as compared to traditional bank mortgages. They are often done by those buyers who are without enough savings to cover a traditional down payment.
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Which semi-common emergency event is NOT covered by this insurance policy?Group of answer choices
a. Flood
b. Fire
c. Riots and looting
d. Explosions
Which best explains the purpose of a supply curve?a. graph the relationship between quantity supplied and price chargedb. It always rises from left to right.
c. It rises if supply is elastic.
d. It falls if supply decreases.
The purpose of a supply curve is explained by b. It always rises from left to right.
A supply curve gives a reader, a visual representation of the relationship between the price and quantity of a product as it pertains to what the supplier is willing to sell it for and how much they are willing to sell. It is a favourably sloped curve that demonstrates how supply varies as the price of the commodity does. Given all other factors being equal, the quantity supplied will increase with increasing product price.
The supply curve is a graph that depicts the connection between a product's price and the volume supplied. Because firms are more eager to make and sell a product as its price rises, it always rises from left to right which also explains its overall purpose.
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which of these is a commonly used organizational buying criterion?
a. Order size
b. Ability to meet schedules
c. Breadth of product selection
d. Senior management stability
e. Promotional incentive
As, production facilities and capacity is a commonly used organizational buying criterion. Thus, option (F) is correct.
What is production?Production is the process of mixing aggregate inputs, both immaterial (such as plans or content) and material (such as metal, wood, glass, or polymers). In a perfect world, this production would be a product or employment that is useful to people and has value.
As the term, production capacity is referring as, the maximum products which are outputs of a company, that can producing the available resources over a specified amount of time.
Therefore, The right option (F) is correct.
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The complete option was as follows.
a. Order size
b. Ability to meet schedules
c. Breadth of product selection
d. Senior management stability
e. Promotional incentive
f. production facilities and capacity
An investment property was purchased for $250,000. The owner added a tennis court at a cost of $10,000. Two years later, the property sold for $325,000 and the seller paid a 7% commission plus $250 in attorney fees. If he purchases another property for $350,000, how much capital gains will he exclude?
A) $42,520
B) $22,750
C) $42,000
D) $42,250
Option c: $42,000. If he purchases another property for $350,000, $42,000 capital gains he will exclude.
$250,000 + 10,000 = $260,000
$325,000 - 22,750 (7%) = $302,250 - 250 = $302,000
$302,000 - 260,000 = $42,000
Investment property is property acquired with the intent to generate investment income through rental income, future resale of the property, or both. A property can be owned by a single investor, a group of investors, or a corporation.
Investment properties include long-term commitments and short-term investments. In the latter case, investors often engage in flipping to buy, remodel or refurbish properties and sell them at a profit in a short period of time.
The term "investment property" can also be used to describe other assets that an investor purchases for future valuation, such as art, stock, land, or other collectibles.
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which of the following pairs of goods would be most likely to be substitutes? group of answer choices pasta and pasta sauce olive oil and vegetable oil chips and salsa tires and automobiles all of the above
In marinades or sauces, olive oil can be used in place of vegetable oil. Saute over low to medium heat. The right alternative "b" olive oil and vegetable oil. The answer is option (b).
Which is better olive oil or vegetable oil?Vegetable oil, on the other hand, is produced by combining oils from several sources, including canola, cottonseed, sunflower, soybean, corn, and safflower.
The greatest all-purpose cooking oil is olive oil since it cooks well at medium temperatures and has a strong fruity flavor. Vegetable oil has a pure, flavorless aroma and is ideal for high-heat cooking. Olive oil may usually be replaced with vegetable or canola oil in recipes, though you might notice a minor variation in flavor and aroma.
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The success of sports marketing does not depend upon ______.
The success of sports marketing does not depend on any single factor, instead, it is the result of a combination of various factors.
Here are some of the key factors that contribute to the success of sports marketing to understand the target audience: The success of sports marketing depends on understanding the demographics and psychographics of the target audience. Marketers must identify the interests, behaviors, and attitudes of the target audience to develop targeted marketing campaigns.
Strong branding: Sports marketing success also depends on strong branding. This includes developing a unique brand identity, establishing a brand voice, and creating a brand personality that resonates with the target audience.
Engaging content: Engaging and relevant content is also important for sports marketing success. This may include highlights of games, player interviews, behind-the-scenes footage, and other content that is relevant to the target audience.
Sponsorship and partnerships: Partnerships with other brands and sponsorships can help increase the reach and visibility of sports marketing efforts. This also helps create a positive association between the brand and the sports team or athlete.
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At the end of 2015, companies from the country of Erithrea collectively owned $37 billion in assets in its neighboring country of Outflowia. The $37 billion is Erithrea's _______ of FDI.:A. stockB. flowC. outflowD. trend.E. exchange.
At the end of 2015, companies from the nation of Erithrea owned assets worth $37 billion in Outflowia, its neighbor. The stock of FDI in Erithrea is $37 billion.
What was the global total of 1.76 trillion USD in foreign direct investmfinancial crisisents in 2015?In terms of global investment trends, global FDI flows reached 1.76 trillion USD in 2015, the highest level since the 2008-2009 global economic and financial crisis.
What is the relation between the amount of FDI and the flow of foreign direct investment?The meaning of flow of FDI. Foreign Direct Investment (FDI) flows track the value of cross-border direct investment-related transactions over a specific time frame, typically a quarter or a year. Equity transactions, earnings reinvestment, and intercompany debt transactions make up financial flows.
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what is the most important determinant of consumption spending?
The most important determinant of consumption spending is the disposable income.
Disposable income is the amount of income that households have available for spending or saving after taxes and other mandatory deductions have been taken out. As disposable income increases, households have more money available to spend on goods and services, which leads to an increase in consumption spending.
On the other hand, if disposable income decreases, households have less money available for spending, which leads to a decrease in consumption spending.
While disposable income is the most important determinant of consumption spending, there are other factors that also play a role, such as interest rate, consumer confidence, and expectations about future income and economic conditions.
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You should avoid applying for too many credit accounts within a ____ timeframe.
a. 2 years
b. 4 years
c. 5 years
d. 9 years
a. 2 years. When applying for credit, it's important to be mindful of how many credit accounts you're opening within a specific timeframe.
Applying for too many credit accounts within a short period of time can have a negative impact on your credit score. Credit bureaus consider a number of factors when calculating your credit score, and one of those factors is your credit utilization ratio. This ratio is calculated by dividing your total credit balances by your total credit limits. When you apply for a new credit account, it can lower your average credit age, which in turn can increase your credit utilization ratio. Additionally, each credit application creates a hard inquiry on your credit report, which can also lower your credit score. So, how long should you wait before applying for another credit account? The general rule of thumb is to avoid applying for too many credit accounts within a two-year timeframe. This time frame is significant because it's the period of time during which hard inquiries on your credit report can have an impact on your credit score. It's worth noting that the impact of a hard inquiry on your credit score typically lessens over time, and after two years, it usually has no impact on your score. However, it's still important to be mindful of how many credit accounts you're opening, even beyond the two-year timeframe, as having too many accounts can still impact your credit utilization ratio and overall creditworthiness. In summary, applying for too many credit accounts within a short period of time can have a negative impact on your credit score. It's generally recommended to avoid applying for too many credit accounts within a two-year timeframe. Be sure to keep this in mind when considering opening new credit accounts.
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1. tactical planning. 2.vision statements. 3.mission statement. 4.operational planning. 5.strategic planning. Match each of the options above to the items below. --His company makes professional-quality products that are accessible to the recreational angler ___.
3) His company has a mission statement that says it makes products of professional quality that can be bought by recreational anglers.
What are the three main approaches to planning?There are three main types of plans that managers can use to help their organization reach its goals: operational, strategic, and tactical Strategic plans are made possible by implementing tactical plans, which in turn are made possible by implementing operational plans.
What are the objectives and plans for operations and tactics?Typically, tactical plans are short-term. They direct you in the right direction to get specific goals done in a certain amount of time. Detailed schedules or instructions on how to complete tasks may be included in a tactical plan. What will transpire over a specific time period is outlined in operational plans.
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maurice has a job as a data entry clerk and spends eight hours a day typing. what type of injury does that activity put him at risk for?
Outliers was chosen as your summer reading because it flawlessly captures every topic covered on the AP exam. That will therefore be very important.
What season is it that is summer?
The months of June, July, and August in the northern hemisphere, and December, January, and February in the southern hemisphere, are considered to represent the northern and southern halves, respectively, of the summer season, according to meteorological convention.
Summer is one of my favorite seasons for many reasons, including day visits to the beach, the sultry summer breeze, and the opportunity to spend time with loved ones.
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The following information was obtained from Smith Co.:Sales $275,000Beginning inventory 30,000Ending inventory 18,000Smith's gross margin is 20%. What amount represents Smith purchases?
According to the question the Smith Co.'s purchases amount to $287,000.
What is purchases?Purchases are transactions in which goods and services are exchanged for money or its equivalent. Purchasing is a process of buying goods and services from other businesses or individuals. Purchases are made for various reasons and can include items for resale, manufacturing, or personal use.
Smith Co. purchases can be calculated by subtracting the ending inventory from the beginning inventory and adding the sales amount. The formula is:
Purchases = Beginning Inventory + Sales - Ending Inventory
Therefore, Smith Co.'s purchases are:
Purchases = 30,000 + 275,000 - 18,000
Purchases = 287,000
Therefore, Smith Co.'s purchases amount to $287,000.
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Place the operating cycle for a merchandiser in the correct order. Definition: 1. Credit sales 2. Receipt of cash from credit sales Cash purchase of merchandise 4. Accounts receivable 5. Inventory for sale. Term?
The proper sequence of a merchandiser's operational cycle. A cash purchase of goods, B available inventory, C credit sales, D accounts receivable, and E cash received from credit sales.
Please provide the merchandiser's operating cycle in the proper sequence.A merchandising company's usual operational cycle begins with cash on hand, followed by inventory purchases, product sales to customers, and customer payment collection.
What phases make up a merchandiser with credit sales' operating cycle?Definition of the operating cycle in Step 1.
Step 2 is to make a purchase.
Step 3: Get the goods ready for selling.
Make credit sales to customers in step four.
Step 5: Track and maintain your accounts receivable.
Get money from clients on account in step six.
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when an organization's enacted values contradict its espoused values, new employees adopt the espoused values. (T/F)
This statement is False. When an organization's enacted values conflict with its espoused values, new employees may not adopt the espoused values. This is because the new employees may adhere to the enacted values and assume that they are the values of the organization.
For example, if an organization espouses values of respect and cooperation, but at that time new employees witness disrespect and a lack of cooperation among the colleagues, they may assume that these values are the values of the organization rather than the values it espouses. In this case, new employees may not take over the values held.
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The adjusted trial balance of Novak Corp. At December 31, 2019, includes the following accounts: Common Stock $16,400, Dividends $7,300, Service Revenue $37,500, Salaries and Wages Expense $15,600, Insurance Expense $1,500, Rent Expense $3,900, Supplies Expense $1,300, and Depreciation Expense $1,500. Prepare an income statement for the year
The income statement would be as Revenue = $35,000; Salaries and Wages Expense= $13,000; Insurance Expense= $2,000: Retained Earnings as on December 31, 2013 is $17,600.
One of the three crucial financial information used to describe a company's financial performance throughout one certain accounting period is the revenue. The balance sheet and the cash flow statement are the other two important income statements. The revenue, costs, profits, and losses incurred by a corporation over a particular amount of time are the key points of the income statement. An net income, also did refer to as the profit and loss (P&L) remark or the statement of revenue and expenditures, offers important information about than a firm's operations, the effectiveness of its management, underperforming industries, and its performance in comparison to peers in the same industry.
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a scope limitation sufficient to preclude an unmodified opinion always will result when management:
Restrictions of sufficient scope to preclude a standing opinion arise whenever management: refuses to accept responsibility for presenting its financial statements fairly in accordance with GAAP.
A limitation of the scope of the auditor's audit sufficient to preclude an unqualified audit opinion will always occur if management: Auditors should report on the balance sheet and not other basic financial statements.
An unqualified audit opinion (also called an unqualified audit opinion) is issued when the auditor concludes that the financial staemtents are prepared in all material respects in accordance with applicable accounting principles.
Waivers of opinion may only be expressed based on scope limitations. In this case, misrepresentation is material and pervasive. In other words, auditors are unable to obtain sufficient appropriate audit evidence on which to base their audits, resulting in many financial statements being unverifiable.
A qualified audit opinion indicated that there were either limitations in scope, problems discovered during audits of financial data that were not comprehensive, or inadequate disclosures in footnotes. A qualified auditor's report is a statement by a certified public accountant that, except for certain areas, financial information is presented accurately.
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What effect does the repurchase of stock have on the statement of cash flows? (Check all that apply.)
A. Decreases the Net cash used by financing activities
B. Decreases the Net change in cash and equivalents C. All of the above
The correct option is A, Decrease the net cash used by financing activities.When a company repurchases its stock, it uses cash to buy back its own shares from the request.
This sale is considered a backing conditioning because it involves the company's own equity. As a result, the quantum of cash used in this sale is reported as a drop in the net cash used by financing conditioning in the statement of cash overflows.Retrieving stock doesn't directly affect the company's operating or investing conditioning.
So it doesn't impact the net change in cash and equivalents, which is reported independently in the statement of cash overflows. thus the repurchase of stock reduces equity.
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which of the following best explains what the concentric zone model and bid-rent curve illustrate about patterns of urban areas? responses together they show how housing prices rise exponentially in rural areas. together they show how housing prices rise exponentially in rural areas. together they show how land prices rise exponentially closer to the central business district. together they show how land prices rise exponentially closer to the central business district. together they show how rents for apartments drop precipitously closer to the central business district. together they show how rents for apartments drop precipitously closer to the central business district. together they show how rents for agricultural land rise exponentially farther from cities. together they show how rents for agricultural land rise exponentially farther from cities. together they show how rents for commercial office space rise exponentially on the urban periphery.
The concentric zone model and bid-rent curve together show how land prices rise exponentially closer to the central business district. Therefore, the correct option is:
Together they show how land prices rise exponentially closer to the central business district.What is the concentric zone model about?The concentric zone model is a theoretical framework that explains the spatial distribution of different land uses and social groups within cities. It suggests that cities develop in concentric rings, with the central business district at the center and residential areas, industrial areas, and suburban areas located in concentric rings around it. The model suggests that land values decrease as distance from the center increases.
Therefore, the bid-rent curve, on the other hand, illustrates how the price of land and rent for space decreases as distance from the central business district increases. As land becomes scarcer and demand for it increases closer to the center, the price and rent increase.
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A landscaping business owner buys a new riding mower for $9,600.00. the owner makes a $1,000 down payment and applies for an $8,600 four-year, 3.5% interest rate installment loan, with monthly payments of $192.26. what is the total cost of the mower?
Total cost includes both fixed and variable costs. The total cost of a mower is 9600 $.
We must sum up the down payment and the entire amount paid over the loan's term to determine the mower's total cost.
Calculate the present value of an annuity by using the following formula.
[tex]\displaystyle{\displaylines{PV = PMT * [(1 - (1 + r) (-n)) / r]}}[/tex]
where,
PV is the present value of the annuity,
PMT is the monthly payment,
r is the monthly interest rate,
n is the total number of payments.
In this case,
The down payment of $1,000, and we have to calculate the total amount paid over four years with monthly payments of $192.26.
The monthly interest rate is :
[tex]\displaystyle{\displaylines{3.5 / 12 = 0.002917}}[/tex]
= 0.002917%
The total number of payments is :
[tex]\displaystyle{\displaylines{4 * 12 = 48}}[/tex].
Putting in the numbers, we get:
[tex]\displaystyle{\displaylines{PV = 192.26 * [(1 - (1 + 0.002917)(-48)) / 0.002917] = $8,600.00}}[/tex]
The total cost of the mower is:
[tex]\displaystyle{\displaylines{$1,000 + $8,600 = 9,600.00}}[/tex]
Therefore, the total cost of a mower is 9600 $
Answer:
9,228.56
Explanation:
Sandy and her improvement team test the new pain control idea in the cardiac unit over the course of six weeks. The results continue to show improvement. What phase will the project enter next?
(A) Plan
(B) Act
(C) Implementation
(D) Spread
Sandy and her improvement team test the new pain control idea in the cardiac unit over the course of six weeks. The results continue to show improvement. The project will enter the Implementation phase.
The act of carrying out a plan, a method, or any other design, idea, model, specification, standard, or policy is known as implementation. As a result, for something to actually occur, action must come after any previous thinking.
Many kinds of business plans and initiatives are carried out in business. A collection of procedures followed in order to accomplish specific company goals is known as a business implementation plan.
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paul does not like shopping online for products. he doesn't trust that the companies' websites are secure enough to protect his financial information. as such, paul will only shop in brick-and-mortar stores. paul's general feeling about online shopping best represents his blank . multiple choice question. stubbornness lifestyle values personality attitude
Based on the information, paul's general feeling about online shopping best represents his Attitude. Thus the last option is correct.
What are the issues in online shopping?In online shopping, there is a lack of physical touch of the product which causes a lack of trust among the audience that they may get cheated which is present in the brick-and-mortar shop.
In the given case, It determines their attitude of paul while shopping offline in the shop rather than online shopping as she has trust issues online about the privacy of financial information.
Therefore, option last is appropriate.
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what tasks are firms increasingly using artificial intelligence (ai) to complete? (choose every correct answer.)
Answer: Speech Recognition, Decision making, Translations
Explanation:
under a modified endowment contract what are the likely tax consequences
Modified endowment contracts still pro-vide an income tax free death benefit for the bene-ficiaries. And a MEC still pro-vides tax defer-red cash value accumu-lation.
But any distributions from the cash value of the po-licy (or, now, endow-ment) can be subject to tax-ation to the extent that the mo-ney in the policy has grown.
What Is a Modified Endowment Contract?A modified endowment contract (MEC) is a tax qualifi-cation of a life insurance policy whose fund-ing exceeds federal tax law limits. The tax-ation structure and IRS policy class-ification permanently change after a life insurance policy mor-phs into a modified endow-ment contract.
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as the price increases along a linear demand curve, the price elasticity of demand becomes True or False?
The statement , "As the price increases along a linear demand curve, the price elasticity of demand becomes more elastic" is True , because price elasticity of demand becomes more elastic or more responsive .
The Price Elasticity Of Demand is defined as a measure of the responsiveness of the quantity demanded of a good or service to a change in its price .
As the price decreases along a linear demand curve, the price elasticity of demand becomes more elastic or more responsive.
This means that consumers are more sensitive to price changes and the quantity demanded increases more proportionately to the decrease in price.
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The given question is incomplete , the complete question is
As the price increases along a linear demand curve, the price elasticity of demand becomes more elastic . True or False ?
the annual interest payment divided by the current price of a bond is called the: yield-to-maturity. market yield. current yield. yield-to-market. coupon rate.
The term "current yield" refers to a bond's annual interest payment divided by its market value at the time.
The required details for "current yield" in given paragraph
Total Yield = Current Yield + Capital Gain Yield
Current Yield is calculated as Coupon Amount / Current Price.
Current Yield minus Total Yield is the CG Yield.
Divided by the security's current price, the current yield of an investment equals the annual income (interest or dividends) received. As opposed to considering a bond's face value, this metric looks at its current price. The return an investor could anticipate receiving if they bought the bond and held it for a full year is represented by the current yield. The actual return a shareholder will get if he retains a bond to maturity, however, is not represented by the current yield.
The current yield on a bond, which is used to measure investments in fixed income, is the annual income from the bond.
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