a federal covered investment adviser may enter into a contract with a client that provides for performance-based compensation under all of the following conditions except a) compensation is based on gains, less losses, for a period of no less than 1 year b) the client must meet certain minimum financial standards c) the formula used to calculate compensation includes realized capital losses and unrealized depreciation d) disclosure that the performance compensation may create an incentive for the adviser to take greater risks

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Answer 1

A federal lined advisor investment might enter into a contract with a consumer that has for performance-based compensation below all of the subsequent conditions except revelation that the performance compensation might produce incentive for the adviser to require bigger risks.

According to the Investment Advisors Act of 1940, advisor is a personal who receives compensation for investment recommendation. The exclusions from this definition embrace any bank or bank company and a person whose recommendation or services is said solely to U.S. Government securities.

And ministerial personnel, full-time  or temporary, aren't enclosed within the definition of either consultant representatives (supervised persons) or investment advisers.

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Related Questions

The ratio of the price of two goods on a graphed budget line is measured by its:.

Answers

There are lines in budget. The ratio of the price of two goods on a graphed budget line is measured by the slope of the budget.

What is a budget line

This is regarded as a two-dimensional graph that shows the various choices one have between two goods given the money one have to spend. It is also known as budget constraint.

The ratio of the price of good X that is found on the horizontal axis to the price of good Y on the vertical axis is known as the slope of the budget.

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What is location analysis

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Answer:

Location analysis is a technique for discovering, assessing and specifying the optimal placement of an organization's people, information, activities, and materials.Location models are key in performing location analysis by providing a well-documented common vision of current and desired location arrangements.

a project that will last for 9 years is expected to have equal annual cash flows of $98,200. if the required return is 7.7 percent, what maximum initial investment would make the project acceptable?

Answers

The maximum initial investment that would make the project acceptable is calculated to be $621,171.53

The maximum initial investment can be considered to be the present value of the future cash flow.

The present value of annual cash flow can be calculated by using the following formula;

Present Value of annual cash flow = Annual Cash flows × Present value of annuity of 1

The present value of annuity of 1 can be calculated as follows;

Present value of annuity of 1 = [1-(1+i)^-n]÷i

Here i represents the required return which is 7.7% and n represents the number of years which is 9, therefore substituting these values as follows;

Present value of annuity of 1 = [1-(1+0.077)^-9]÷0.077

Present value of annuity of 1 = [1-(1.077)^-9]÷0.077

Present value of annuity of 1 = 6.32557567

Now substituting this Present value of annuity of 1 in the equation;

Present Value of annual cash flow = Annual Cash flows × Present value of annuity of 1

Present Value of annual cash flow = $98,200 × 6.32557567

Present Value of annual cash flow = $621,171.53

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The economic resources of a business such as furniture, building, and land are its: A) liabilities. B) revenues. C) assets. D) withdrawals.

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The economic resources of a business such as furniture, building, and land are its assets.

Assets refer to the economic resources that a business owns or controls, and which can be used to generate future economic benefits. Examples of assets include cash, accounts receivable, inventory, equipment, buildings, and land. These assets are essential for a business to operate, and they are usually acquired with the intention of generating revenue or profits over time. Liabilities, on the other hand, refer to the obligations or debts that a business owes to others, such as loans, accounts payable, and taxes. Revenues are the amounts of money that a business earns from selling goods or services to customers. Finally, withdrawals refer to the removal of cash or other assets from a business by the owners, such as when they take a dividend or a salary.

In order to run a successful business, it is essential to understand the different types of economic resources that are available and how they can be used to generate value over time. Assets are one of the most important types of resources, as they provide the foundation for a business to operate and grow. By acquiring assets such as furniture, buildings, and land, a business can create a physical presence and establish itself within a particular market or industry. These assets can then be used to generate revenue over time, either through direct use (such as selling goods from a physical store) or through indirect use (such as renting out a building to another business). In addition, assets can appreciate in value over time, allowing a business to build up a valuable portfolio of resources that can be leveraged in the future. Liabilities, on the other hand, can be a drain on a business's resources and can limit its ability to invest in new assets or expand its operations. By taking on too much debt or other liabilities, a business can find itself in a precarious financial situation, with limited options for growth or innovation.

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using edi drastically reduces the amount of paperwork and the need for human intervention. true false

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The given assertion "using Electronic Data Interchange drastically reduces the amount of paperwork and the need for human intervention." is true because EDI is an innovation that empowers organizations to trade electronic records with their accomplices in a standard configuration, without the requirement for manual handling.

By automating transactions utilizing EDI, organizations can decrease how much administrative work is engaged with the exchange cycle, and this, thus, diminishes the requirement for human intercession.

EDI permits organizations to send records like buy requests, solicitations, and delivery sees electronically, taking out the requirement for paper-based archives and manual handling. This prompts expanded effectiveness, precision, and cost reserve funds for organizations.

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Briefly explain the normalization process. Explain why the
highest normal form not always the best solution?

Answers

Answer:

Normalization is the process of removing non-recurring expenses or revenue from a financial metric.

In the highest normal forms, the performance degrades hence they are not always the best solution.

Explanation:

Normalization is the process of removing non-recurring expenses or revenue from a financial metric like EBIT or earnings. Once earnings have been normalized, the number which remains off represents a future earning capacity that a buyer would expect from the business.

In the highest normal forms, the performance degrades. Careless data decomposition often leads to data loss. Even to decompose into higher normalization forms, it is a time-consuming process. There are more tables to join, the need to join these tables increases and the task becomes more tedious. It even makes the database harder to interpret as well.

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which of the following are characteristics of a monopoly market structure? in a monopoly, no close substitutes are available. there are low barriers to entry into the market. there is only one firm in the industry. firm(s) have little to no price-setting power.

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The characteristics of a monopoly market structure are;

in a monopoly, no close substitutes are availablethere is only one firm in the industry.

What is monopoly market structure ?

A market arrangement  which is been regarded as monopoly  can be seen as one that posses just one seller or producer. however the settings in the  monopoly restricts the number of product alternatives accessible and makes and do not help the rival to be able to enter the market. Monopolies may result in dishonest business practices.

Examples of natural monopolies can be seen in corporations that provide utilities such as electricity and natural gas.

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Which semi-common emergency event is NOT covered by this insurance policy?Group of answer choicesFloodFireRiots and lootingExplosions

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Flood is the semi-common emergency event is not covered by this insurance policy.

What is an insurance policy?The insurance policy(the insurer) and the person(s), corporation, or other entity being covered have a legal agreement called an insurance policy (the insured). By reading your policy, you can make sure that it addresses your needs and that both you and the insurance provider are aware of your obligations in the event of a loss.Everyone should have five different forms of insurance: home or property insurance, life insurance, disability insurance, health insurance, and car insurance.The insurance policy, which establishes the claims that the insurer is legally obligated to pay, is a contract (often in standard form) between the insurer and the policyholder.

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Which player in the economy supplies labor in the factor market?

a. Government
b. Households
c. Business firms
d. Rest of the world

Answers

The player in the economy which supplies labor in the factor market is the households.

What is supply of labor?

This refers to the number of labor who are willing and able to find work in an economy. The supply for labor is also the hours worked by a workers within a time period.

Hence, the player in the economy supplies labor in the factor market is the households.

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Answer: Households

HouseHolds supply the factor market.

When DAX Products wanted to expand and enter the Western European​ market, it established a small manufacturing facility and a sales office in Munich. What method of entering the global market did DAX​ use?
A.Global sourcing
B.A strategic alliance
C.Foreign subsidiary
D.Licensing
E.Exporting

Answers

Option (c), DAX Products opened a small manufacturing facility and a sales office in Munich when it wished to grow and penetrate the Western European market. DAX used a foreign subsidiary to reach the worldwide market.

What does a global subsidiary strategy entail?

A foreign subsidiary, sometimes known as a parent company or holding company, is a smaller corporation having operations outside of its home country that is part of a larger company with headquarters overseas.

By establishing a foreign subsidiary there, one establishes a legal entity there. Legal entities are allowed to market their products and services to the general public. They are able to import and export goods.

Which objectives does a foreign subsidiary want to realize?

The parent firm can enter profitable new markets and advertise its products or services there with the aid of a foreign subsidiary. Also, it makes it possible for you to hire full-time employees directly in another country without the aid of a middleman like an employer of record.

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Which is a good rule to follow when sending business emails? (1 point)

Answers

Answer:

Avoid forwarding spam and unnecessary messages such as chain letters.

Explanation: did the test

The good rule that must follow at the time of sending business emails is to avoid forwarding spam and unwanted texts like chain letters.

What is email?

An email, is also called as the electronic mail. It is one of the most extensively employed features of the Internet, that is mostly used in the formal business organizations.

It allows a person to transport and acquire messages from nay person in the globe that has an email account. Within the TCP/IP suite, email uses a variety of protocols.

When sending business emails, a good tip to follow is to avoid forwarding spam and undesirable texts like chain letters.

Therefore, the use of formal languages and proper formats made the emails more accurate.

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What does the Federal Reserve System do

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The Federal Reserve System is the central bank of the U.S. It conducts monetary policy to manage inflation, maximize employment, and stabilize interest rates. The Fed supervises the nation's largest banks and provides financial services to the U.S. government. Hope this helps! Mark brainly please!

Answer: It tries to maximize employment and minimize inflation.

Explanation:

Somebody help I'll give 30 points

Somebody help I'll give 30 points

Answers

Answer:

1. Salesforce helps their people feel good by giving back to the community. They also offer great challenges and rewards, and have open communication culture.

2. Cisco offers good benefits that focus on family and enabling people to combine parenthood with their jobs. It’s also a great place to learn and develop professionally.

3. Admiral allows people to give back to the community through charity. They have built a strong sense of belonging and believe in the importance of having fun so people bring their best to work.

Explanation:

Answer:

Happy meal wih a mcdoobale

Explanation:

When a government fines and/or imprisons persons convicted of using illegal drugs, the government is attempting to decrease the illegal drug trade by shifting the ________ curve for illegal drugs ________.

Answers

When a government fines and/or imprisons persons convicted of using illegal drugs, the government is attempting to decrease the illegal drug trade by shifting the supply curve for illegal drugs leftward.

For a party's infractions of rules or regulations, the government may fine them in a non-criminal manner. Typically, civil penalties are limited to financial compensation for damages, such as civil fines or other payments. Government agencies or private parties acting on their behalf may file a civil penalty action or can imprison them. Traffic citations, such as parking tickets and speeding tickets, make up a sizable portion of low-level penalties and costs. A government fine is a sanction that, once a crime has been committed, forces the guilty party to pay a predetermined amount of money to the public coffers. If the dates for payment are not followed, the fine may be raised or may imprison one.

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ECON QUESTION !!

What is the overall objective of a business raising financial capital?(1 point)

A) decrease operating costs and increase the number of investors

B) increase revenues and the number of investors

C) reducing financial obligations and increase revenue

D) grow and increase profit

chapter 5 test, banking and finance...if you have all the answers that would be greatly appreciated

Answers

The main goal is to increase shareholder value as much as possible.

Businesses frequently make decisions that include spending money now while planning to turn a profit later. Examples are when a business purchases a machine with a 10-year lifespan, constructs a new facility with a 30-year lifespan, or launches a research and development initiative. Four basic methods exist for businesses to obtain the funding they require to fund these initiatives: (1) early-stage investors; (2) profit reinvestment; (3) bank or bond borrowing; and (4) stock sales. Business owners decide how to pay for financial capital sources when they select those sources.

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how many quarters does it take to set up a new sales outlet?

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The number of quarters required to set up a new sales outlet can vary depending on various factors.

Establishing a new sales outlet involves multiple stages such as planning, site selection, construction, staffing, and operational setup. Each stage can take several months to complete.

Generally, it could take anywhere from two to four quarters, or six months to a year, to set up a new sales outlet. However, this timeline can be influenced by factors like the complexity of the project, availability of resources, local regulations, and the efficiency of the implementation process.

It is essential to consider these variables when estimating the duration of setting up a new sales outlet.

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Complete question is as follow:

How many quarters does it take to set up a new sales outlet?

Brian is studying the lml process. He is learning about the connection between the brain and mind and is conceptualizing it in a specific sequence. The correct sequence is

Answers

Correct/Complete Question:

Brian is studying the LML Process. He is learning about the connection between the brain and mind and is conceptualizing it in a specific sequence. The correct sequence is __________.

A. mind, brain–mind interface, stimuli, brain

B. stimuli, brain–mind interface, brain, mind

C. brain–mind interface, stimuli, mind

D. stimuli, brain, brain–mind interface, mind

Answer:

D. stimuli, brain, brain–mind interface, mind

Explanation:

The LML process, abbreviation for the Let Me Learn process is a learning process that suggests how learning stimuli pass through filters as the stimuli moves from the brain to the mind.

The sifting of this stimuli gives rise to the functions that are known as Patterns of Operation. This refers to the mode and way through which we learn and do things.

According to the question, the correct sequence for the conceptualization of the connection between the brain and mind is stimuli to brain to brain-mind interface to mind.

This means that when humans are learning, the first thing is registering the new thing as stimuli and passing it to the brain; thereafter which it is passed to the brain-mind interface and finally the mind where it sticks.

Cheers.

The Hull Petroleum Company and Inverted V are retail gasoline franchises that compete in a local market to sell gasoline to consumers. Hull and Inverted V are located across the street from each other and can observe the prices posted on each other's marquees. Demand for gasoline in this market is Q= 80-12 and both franchises obtain gasoline from their supplier at $410 per gallon. On the day that both franchises opened for business, each owner was observed changing the price of gasoline advertised on its marquee more than 10 times: the owner of Hull lowered its price to slightly undercut Inverted V's price, and the owner of Inverted V lowered its advertised price to beat Hull's price. Since then, prices appear to have stabilized. Under current conditions, how many gallons of gasoline are sold in the market, and at what price? Instructions: Enter your responses rounded to the nearest two decimal places Gallons sold: Price: $

Answers

Answer:

I believe that the demand equation is incomplete, since there is no price (P).

If we just solve this equation like it is, the quantity demanded = 80 - 12 = 68 gallons

if we add the price into the equation:

Q = 80 - 12P

since this is a competitive market, in order to maximize profits, marginal revenue = marginal cost = $4.10 per gallon (not $410).

That means that both companies will sell gasoline at $4.10 per gallon

equilibrium quantity = 80 - (12 x 4.10) = 30.8 gallons of gasoline

Please assist with the statement of cash flows. Thanks!
The following information (presented in thousands) is available for the Cumberland County Utility Enterprise Fund during the current year:
The beginning balance for cash and cash equivalents was $86,210 and for restricted cash was $12,366.
The utility collected $2,500 in customer deposits throughout the year. Deposits of $1,100 were returned, and accounts of $200 were written off.
Cash paid to vendors totaled $19,981, while cash paid to employees was $35,250.
The utility repaid revenue bonds restricted for capital acquisitions in the amount of $17,500 and issued new debt of $15,000 to acquire new equipment. Equipment costing $8,000 was purchased for cash during the year.
Cash receipts came from customers, $112,793; interest on investments, $900; a transfer from the General Fund, $5,000; and interest on customer deposits, $625. (Assume that interest on customer deposits is not restricted.)
Required
Prepare a statement of cash flows for the Cumberland County Utility Enterprise Fund. (Ignore the reconciliation of operating income to net cash provided by operating activities because insufficient information is provided to complete the reconciliation.) (Cash outflows should be indicated by a minus sign.)

Answers

Net increase in cash and cash equivalents 53,587

Cash and cash equivalents, the beginning of year 86,210

Cash and cash equivalents, end of year $139,797

What exactly are cash equivalents?

Cash equivalents refer to highly liquid and low-risk financial instruments that can be easily converted into cash. These are short-term investments that typically mature within three months or less from the date of purchase.

Cumberland County Utility Enterprise Fund

Statement of Cash Flows

For the Current Year Ended

Cash Flows from Operating Activities:

Cash receipts from customers of $112,793

Interest on investments 900

Transfer from the General Fund 5,000

Interest on customer deposits 625

Cash paid to vendors (19,981)

Cash paid to employees (35,250)

Net cash provided by operating activities $64,087

Cash Flows from Investing Activities:

Purchase of equipment (8,000)

Net cash used in investing activities (8,000)

Cash Flows from Financing Activities:

Repayment of revenue bonds (17,500)

Issuance of new debt of 15,000

Net cash used in financing activities (2,500)

Net increase in cash and cash equivalents 53,587

Cash and cash equivalents, the beginning of year 86,210

Cash and cash equivalents, end of year $139,797

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Which of the following is not a purpose of credit counseling?
O A. To provide borrowers with short-term loans
O B. To help a borrower avoid bankruptcy
O C. To help a borrower develop a debt management plan
O D. To teach good borrowing habits
the

Answers

All the above are the purposes of credit counselling except A. To provide borrowers with short-term loans

Credit counselling refers to advice given to borrowers to:

Help them avoid bankruptcy Help them develop a debt management plan Teach them habits that will ensure they don't borrow in a dangerous way

Debt counselling is meant to help borrowers avoid the adverse effects of borrowing and is not meant to provide borrowers with even more avenues for borrowing.

In conclusion, credit counselling is not meant to provide borrowers with more loans.

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Let’s say you invested in WXYZ Corp. beginning in 2018, and that the firm’s return was 3% in 2018, 9% in 2019, -11% in 2020, 21% in 2021, Then what is the variance of the returns?
Group of answer choices
13.30%
6.54%
1.77%
3.12%

Answers

The variance of the returns is approximately 1.08%. None of the provided answer choices match exactly, but the closest option is 1.77%.

The variance of the returns is approximately 1.08%. None of the provided answer choices match exactly, but the closest option is 1.77%. To calculate the variance of returns, we need to follow these steps:

1. Calculate the average return (mean): (3% + 9% - 11% + 21%) / 4 = 5.5%

2. Calculate the difference between each individual return and the mean:

  - 2018: 3% - 5.5% = -2.5%

  - 2019: 9% - 5.5% = 3.5%

  - 2020: -11% - 5.5% = -16.5%

  - 2021: 21% - 5.5% = 15.5%

3. Square each difference:

  - 2018: (-2.5%)^2 = 0.0625%

  - 2019: (3.5%)^2 = 0.1225%

  - 2020: (-16.5%)^2 = 2.7225%

  - 2021: (15.5%)^2 = 2.4025%

4. Calculate the average of the squared differences (variance):

  (0.0625% + 0.1225% + 2.7225% + 2.4025%) / 4 = 1.0775%

Therefore, the variance of the returns is approximately 1.08%. None of the provided answer choices match exactly, but the closest option is 1.77%.

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Creativity is the creation of new, practical ideas while innovation involves implementation, and both are highly valued in the health care profession. Discuss why creativity and innovation are an important competency for nurses.

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Creativity and innovation are essential competencies for nurses in the healthcare profession for several reasons: 1. Problem-Solving and Critical Thinking:

Nurses encounter complex and diverse challenges in their daily work. Creativity allows nurses to think outside the box, generate novel ideas, and approach problems from different perspectives. By being creative, nurses can develop innovative solutions to address healthcare issues, improve patient outcomes, and optimize care delivery.

2. Patient-Centered Care: Creativity enables nurses to personalize patient care by tailoring interventions to meet individual needs. It allows them to explore alternative approaches, adapt care plans, and develop innovative strategies to enhance patient comfort, satisfaction, and overall experience.

3. Quality Improvement: Creativity and innovation are crucial for driving continuous quality improvement in healthcare. Nurses who embrace creativity are more likely to identify areas for improvement, propose innovative processes, and implement changes that enhance efficiency, safety, and the overall quality of care.

4. Adaptability and Flexibility: The healthcare landscape is continuously evolving, with new technologies, treatments, and protocols emerging regularly. Nurses need to be creative and innovative to adapt to these changes and embrace advancements in healthcare. They must be open to learning, exploring new methods, and integrating innovation into their practice to stay current and provide the best possible care.

5. Collaboration and Interdisciplinary Care: Creativity and innovation foster collaboration and interdisciplinary teamwork. Nurses who are creative can collaborate effectively with other healthcare professionals, sharing innovative ideas and collectively working towards improved patient outcomes. By bringing creativity to interdisciplinary care teams, nurses can contribute unique perspectives and drive innovation in patient care delivery.

6. Patient Education and Empowerment: Creativity allows nurses to develop innovative approaches to patient education and empowerment. By finding creative ways to communicate complex healthcare information, nurses can engage patients, promote health literacy, and encourage active participation in their care. Creative educational materials, technologies, and interactive methods can enhance patient understanding and support self-management.

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Michelle is an American expatriate starting a new job in China. She should
a. expect her Chinese coworkers to learn American norms.
b. continue to speak only English because it's the language of business.
c. rely on relationships formed in the United States.
d. establish relationships in China.

Answers

d. establish relationships in China.

When Michelle starts a new job in China as an American expatriate, it is important for her to adapt to the local culture and establish relationships within her new work environment.

d, establishing relationships in China, is the most appropriate choice in this scenario.

To succeed in a new job and integrate into the Chinese work culture, Michelle should make an effort to build connections with her Chinese coworkers. This involves learning about Chinese customs, etiquette, and business practices, as well as showing respect for their cultural norms. Building relationships will help Michelle navigate the workplace dynamics, improve communication, and foster collaboration with her colleagues.

While it is beneficial for Michelle to bring her expertise and knowledge as an American, expecting her Chinese coworkers to solely learn American norms ( a) may lead to misunderstandings and hinder effective teamwork. Additionally, it would be advantageous for Michelle to learn Mandarin or at least basic Chinese phrases to facilitate communication, rather than solely relying on English ( b).

While maintaining relationships formed in the United States ( c) can be valuable, it is crucial for Michelle to establish new relationships in China to successfully integrate into the local work environment and culture.

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ABC Corp. purchased Canadian dollar call options for speculative purposes. If these options are exercised, ABC will immediately sell the Canadian dollars in the spot market. Each option was purchased for a premium of $.02 per unit, with an exercise price of $.78. ABC plans to wait until the expiration date before deciding whether to exercise the options. Of course, ABC will exercise the options at that time only if it is feasible to do so. In the following table, fill in the net profit (or loss) per unit to ABC Corp. based on the listed possible spot rates of the Canadian dollar on the expiration date.
Possible Spot Rate on Canadian Dollar on Expiration Date
$.76
.78
.80
.82
.85
.87
Net Profit (Loss)per Unit to ABC Corporation if Spot Rate Occurs

Answers

Net Profit (Loss) per Unit to ABC Corporation if Spot Rate Occurs

1) -$0.02, 2) $0.00, 3) $0.02, 4) $0.04, 5) $0.07, 6) $0.09.

ABC Corp. purchased Canadian dollar call options with an exercise price of $0.78 and a premium of $0.02 per unit. The net profit (or loss) per unit depends on the spot rate of the Canadian dollar on the expiration date.

If the spot rate on the expiration date is below the exercise price of $0.78, ABC Corp. would incur a loss equal to the premium paid per unit ($0.02). Therefore, if the spot rate is $0.76, the net profit per unit would be -$0.02.

If the spot rate is equal to the exercise price of $0.78, ABC Corp. would break even, resulting in a net profit per unit of $0.00.

If the spot rate is higher than the exercise price, ABC Corp. would start to earn a profit. For each $0.02 increase in the spot rate, the net profit per unit would increase by $0.02. For example, if the spot rate is $0.80, the net profit per unit would be $0.02.

As the spot rate increases further, the net profit per unit continues to rise. For instance, if the spot rate is $0.85, the net profit per unit would be $0.07, and if the spot rate is $0.87, the net profit per unit would be $0.09.

Therefore, the net profit (or loss) per unit to ABC Corp. is dependent on the spot rate of the Canadian dollar on the expiration date, ranging from -$0.02 to $0.09.

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Marketing activities often cost 50 percent or more of the selling price of a product or service. A. TRUE B. FALSE

Answers

The given statement " Marketing activities often cost 50 percent or more of the selling price of a product or service. " is true marketing activities only account for around half of every dollar customers spend.

Marketing is the collective development, communication, delivery, and trading of products and services that benefit customers, clients, partnerships, and society as a whole. Advertising your business has the advantage of engaging customers and assisting them in making a purchase decision.

In addition to assisting in the development and maintenance of demand, applicability, reputation, and competition, a marketing strategy should be included in your business plan. Marketing is fundamental to the development of a brand. It explains your brand's benefits, costs, and USP, as well as the reasons why customers should choose it.

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Please Help! I Have Limited Time! Ivan is interested in applying for a job at a company that requires him to pick up a paper application. What should he prepare for when he arrives?
A. Ivan should have his personal information in case he needs to complete the application on the spot.
B. Ivan should prepare to interview before he is able to complete the job application.
C. Ivan should prepare to pick up the application and take it home to complete it.
D. Ivan should expect to start his first day of work immediately after completing the job application.

Answers

C. Ivan should prepare to take the application home

Answer: A

Explanation:

A.) The most logical choice. He should bring his personal information if there is a chance he needs to immediately fill out the application.

B.) The company REQUIRES the paper application before he can even apply for the job. It would not be smart for him to prepare for an interview he won't be able to go into because he didn't fill out the application.

C.) While this isn't a the worst option, there may be a chance he will have to fill out the application on the spot (as mentioned in choice A). Chances are, he'd have to drive back and gather his personal information if he forgets it. Not the best usage of time.

D.) Ivan still has an interview to do after completing his job application. It isn't guaranteed that he will start working just because he filled it out.

 

According to the video, what do Financial Analysts analyze? Check all that apply.
financial records
travel distances
insurance claims
a company's competitors
fraud

Answers

Financial records, A company’s competitors. Got it from quizlet!

in the online material on economics in a refugee camp the money the refugees received from relatives was a good example of ..

Answers

In the online material on economics in a refugee camp, the money the refugees received from relatives was a good example of generalized reciprocity.

The phenomenon known as generalized reciprocity occurs when people treat others in the same manner as they have been treated in the past. It is yet unknown if intention information influences generalized reciprocal behavior in addition to behavioral outcomes.

Generalized reciprocity is the practice of giving without anticipating a prompt reward. For instance, if you buy your friend a cup of coffee when you are out shopping, you might anticipate that he will buy you one at a later date.

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Which of these is a way to increase your resources for higher education?
A. Getting a job and saving money
B. Choosing the most expensive school you can find
C. Spending more than you have
D. Not taking out any loans whatsoever

Answers

Answer:

A

Explanation:

by getting a job you are preparing yourself for the world ahead of you and by saving money you get access money to use later on.

Answer:

A

Explanation:


When should a person proceed with a
choice in terms of marginal benefits
and cost?
O when the market is high

O when there is no difference

O when the benefits outweigh the
cost

Answers

Answer:

when the difference outweighs the cost

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