Analyzing financial metrics is an important tool that accounting, auditing, and finance professionals use to do more than assess supply chain profitability.
What does financial ratio analysis mean?Financial ratio analysis is the technique of comparing the relationship (or ratio) between two or more financial data from a company's financial statements. It is mainly used to make fair comparisons between different companies and industries over time.
Common financial ratios that every business should track are: 1) liquidity metrics, 2) leverage ratios, 3) efficiency metrics, 4) profitability metrics, and 5) market value metrics.
How to do a financial ratio analysis?The four key financial metrics used to analyze profitability are: Net benefit margin = net benefit divided by sales. Return on assets = net income divided by assets. Total Profitability = EBIT divided by total assets. Return on equity = net earning divided by equity capital.
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Does the number of foreclosures in the early 2000s support the statement that the American Economy has a free financial system?
Answer:
The number of foreclosures in the early 2000s support the statement that the American Economy has a free financial system is explained below in detail.
Explanation:
Federal Reserve acquisitions of federal agency securities and mortgage-backed agreements have decreased mortgage interest valuations, advancing home-buying more affordable. The Federal Reserve emerged new laws for credit cards, contracts, and other financial outputs following the furrow of the financial crisis.
What are entrepreneurs?
Answer:
Entrepreneurs are people who organize/operate their own buisness or buisnesses.
Explanation:
hope this helps lad :)
Should entrepreneurs be charged less taxes?
(Subject: Economics)
Answer: No.
Explanation: they should be charged the same amount as everyone else
Principles of Investment
Assignment Active
Monetary Policy and Investments
Juan is always researching different investment options.
A few weeks ago he noticed some nice homes for sale in
his neighborhood. The listed prices were below market
value. Today on the news he heard that the Federal
Reserve lowered interest rates for banks and that banks
have lowered interest rates for home mortgages in turn.
As a result, there has been a huge boom in the number of
people purchasing homes.
What is most likely to happen as a result of the
change in interest rates?
O Housing prices will go up and down due to
changing fiscal policy.
O The market will experience more demand and the
price of houses will go up.
O The price of houses will go down in response to the
decreased demand.
O The prices for homes in that area will be stable due
to the new monetary policy.
4
As a result of the decrease in interest rates, Option B. The market will experience more demand, and the price of houses will go up.
The demand for houses will go up and housing prices will increase, causing individuals who were on the fence about buying a house to act swiftly before prices rise too much. As a result, housing sales are expected to surge. Lower interest rates, on the other hand, are often linked to increased borrowing and spending in the economy. Because borrowing money is now less expensive, more people are more willing to do so and the money supply in circulation rises.
The decrease in interest rates could cause more individuals to be more willing to purchase a home due to lower interest rates and more affordable mortgage payments. Lowering interest rates for banks and home mortgages, as well as lowering the cost of borrowing, encourages more people to buy houses, resulting in a greater demand for homes and, in turn, driving up the prices of homes.
As a result, option B is correct: the market will experience more demand, and the price of houses will go up. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
Juan is always researching different investment options. A few weeks ago he noticed some nice homes for sale in his neighborhood. The listed prices were below market value. Today on the news he heard that the Federal Reserve lowered interest rates for banks and that banks have lowered interest rates for home mortgages in turn. As a result, there has been a huge boom in the number of people purchasing homes. What is most likely to happen as a result of the change in interest rates?
A. Housing prices will go up and down due to changing fiscal policy.
B. The market will experience more demand and the price of houses will go up.
C. The price of houses will go down in response to the decreased demand.
D. The prices for homes in that area will be stable due to the new monetary policy.
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A customer calls in to purchase a product, and you go through the first offer to try and up-sell. The customer tells you that if you try and sell them anything else besides the product they called about, they will hang up without it. There is still one more offer you are supposed to pitch.
Cross- selling is the best option you can apply in this scenario, in which you give the consumer a product that is in line with their needs, and then go for pitch of further products.
According to the question, when a consumer calls to order a product, you try to upsell by going through the initial offer. The client informs you that they will end the conversation if you try to sell them anything else but the goods they phoned about, this is the wrong way to go about it.
The right way-
Give him the merchandise when the consumer calls and requests it specifically. After presenting the goods, you utilize cross-selling to promote further products.
Hence, cross- selling can be utilized to pitch one more offer you are supposed to pitch.
What's Cross- selling?Cross-selling involves promoting the purchase of any item in addition to the main product. For instance, cross-selling can persuade a consumer who has already subscribed to your marketing tool to do so for your CRM.
Hence, Cross- selling is the way to pitch product in this scenario.
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IF IT'S RITE I WILL REWARD BRAINLIEST. Someone who works in quality assurance would spend their days meeting with customers and convincing them to buy the company’s products.
A.
True
B.
False
Answer: True
Explanation:
Quality assurance is assuring the customer that the product will work and that they will even offer a warranty if it some how breaks for free.
Answer:
True
Explanation:
Chris Co. produces sports equipment and is currently producing 1,000 mini long boards annually. A supplier has offered to produce the boards for Chris Co. for $300 per board. Chris Co. incurs unit-level costs of $280 per unit. Chris also spends $25,000 on product design each year and incurs $50,000 of facility-level costs. The avoidable production cost for Chris to produce one mini long board is
Answer: $305
Explanation:
The avoidable production cost for Chris to produce one mini long board goes thus:
Unit Level Cost = $280
Add: Product Level Cost = $25,000 / 1000 units = $25
Then, the avoidable cost to produce one unit will be:
= $280 + $25
= $305
2.
Which form of interest provides the greater return?
a. simple
b. compound
C. complex
d. fragment
Children walking on the sidewalk, a person sitting in a parked car, and a parking lot with vehicles entering and exiting indicate a
The scenario you described, including children walking on the sidewalk, a person sitting in a parked car, and a parking lot with vehicles entering and exiting, indicates a typical urban or suburban setting with regular pedestrian and vehicular activity.
What is surbaban setting?It suggests a common scene in areas where there is a mix of residential, commercial, or recreational spaces.
The presence of a parking lot with vehicles entering and exiting indicates a location where people are accessing businesses, establishments, or public spaces. It could be a shopping center, office complex, or any area with a high volume of vehicular traffic.
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Company B Company B is an IT hosting company that provides a range of shared services used by a wide variety of customers. One of Company B's customers is Company A
Answer and Explanation:
Specifically the following cloud characteristics will aid company B in retaining it's customers:
First cloud services allows a broader network and larger storage facilities. With cloud technology Company Will be able to get their services on a goat of devices: smartphone, tablets, phablets, thereby increasing accessibility for company A's customers. Also there is greater storage facilities available with cloud services
Second third party cloud services could now become an option as company is able to utilize the services of big cloud services companies in providing it's software to company B clients. This would boost security for it's software as well as greater accessibility and service level.
Consider an economy with the following
C = 200 + 0.4(Y − T )
I = 300 − 5000r
T = 0, G = 0 L(r^w,Y)=250+0.06Y −300r P=1
e=1
r^w= 0.09
where e is the fixed exchange rate.
a. Derive the IS curve and compute equilibrium output and interest rate
b. Derive the LM curve and compute equilibrium money supply.
c. Suppose the Central Bank revalues exchange rate from 1 to 0.85. Recalculate the equilibrium output, interest rate, and money supply.
d. Suppose the cCntral Bank devaluates the exchange rate from 1 to 1.3. Recalculate the equilibrium output, interest rate, and money supply.
The balance yield is 1062.5 and the harmony loan fee is 0.085. To infer the IS curve, we liken yield (Y) to arranged use (PE):
Y = PE
Arranged use comprises of utilization (C) and venture (I):
PE = C + I
Subbing the given conditions:
PE = 200 + 0.4(Y - T) + 300 - 5000r
Since T = 0 and G = 0, the condition rearranges to:
PE = 200 + 0.4Y + 300 - 5000r
Reworking the condition to settle for Y:
Y = (PE - 500 - 5000r)/0.6
Harmony yield (Y) happens when arranged consumption (PE) rises to yield (Y). In this way:
Y = (Y - 500 - 5000r)/0.6
Working on the situation:
0.4Y = - 5000r + 500
The IS curve condition is inferred as:
Y = - 12500r + 1250
To find the harmony result and loan fee, we set Y equivalent to the IS bend condition and tackle for Y and r all the while:
Y = - 12500r + 1250
Y = PE
Subbing Y = PE:
-12500r + 1250 = 200 + 0.4(Y - T) + 300 - 5000r
Improving on the situation:
-11500r = - 850 + 0.4Y
Subbing Y = - 12500r + 1250:
-11500r = - 850 + 0.4(- 12500r + 1250)
Settling for r:
r = 0.085
Subbing r = 0.085 into the IS curve condition:
Y = - 12500(0.085) + 1250
Y = 1062.5
Thusly, the balance yield is 1062.5 and the harmony loan fee is 0.085.
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Describe the elements that must be present for the courts to rule that a contract is unconscionable?
The elements that would have to be in place for a contract to be unconscionable would be that
They were under pressureThey were misledThey did not have the right informationWhat is meant by a contract?This is the term that is used to refer to the fact that two people or more have agreed to do business with themselves.
In order to be a contract, one person would have to create a bargain and the other would be the one that would agree to the terms.
It is unconscionable at the time when the contract is done and the person or one of the parties is found not to have been able to make the contract agreement at their right frame of mind. In this case, the law has the power to protect this party.
Hence they would have to rule in his favor. Therefore to be unconscionable, a contract would have to have been misled, have been made under duress and without the adequate information.
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Determine the missing amount:
Assets=Liabilities+owners Equity x 272000 573000
Based on the given amounts of assets and liabilities, the missing amount of Owner's equity is $301,000
How to find the equity?The Owners equity is one of the parts of the Accounting equation which is:
Assets = Liabilities + Owners Equity
The Assets in this instance is $573,000 and the Liabilities are $272,000.
The Owner's equity is the missing amount and it can be found as:
573,000 = 272,000 + Owners Equity
Owners Equity = 573,000 - 272,000
Owners Equity = $301,000
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Ronaldo’s manager told him, “Preliminary data suggest that our new fuel produces less air pollution than conventional fuels. However, we need to understand the total environmental impact of its production and use. I want you to perform a(n) ________ to quantify the total use of resources and total environmental releases, ‘cradle-to-grave,’ associated with our new fuel.”
An LCA life cycle assessment is the best solution.
What exactly is LCA?Life cycle assessment (LCA) is a procedure for evaluating the environmental risks associated with all stages of a retail venture, process, or service's life cycle. In the case of a manufactured product, for example, environmental impacts are evaluated from the extraction and processing of raw material (cradle), through manufacturing, distribution, and use, to recycling or disposal practices of the materials that comprise it (grave).
An LCA study includes a thorough inventory of the energy and materials required across the industry value chain of the product, process, or service, as well as the calculation of the corresponding emissions to the environment.
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Question 3 of 10
Which of the following entrepreneurial businesses is most likely to have a
global impact?
A. A restaurant that specializes in regional cuisine
B. A business that sells
low cost clothing
that is manufactured
overseas
C. An agency that sends home health aids to the homes of disabled
seniors
D. A business that grows and sells local artisanal breads and
cheeses
Answer: B. a business that sells low cost clothing that is manufactured overseas.
Explanation: just took the quiz
A business that sells low cost clothing that is manufactured overseas is the entrepreneurial businesses is most likely to have a global impact. Hence, option B is correct.
What is the low cost in business?A method of pricing whereby a company offers a product at a fairly low price to boost demand and gain market share. By reducing their pricing to be less expensive than those of the rivals in an effort to get more customers and market share.
The low margins will then be compensated for by higher sales volumes. They are able to make more money by keeping their product pricing the same as those of their competitors while having a reduced cost structure.
Because low-cost suppliers are able to offer lower production costs and more efficiency, manufacturing volumes can be significantly boosted.
Thus, option B is correct.
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what budgeting tips would you help to stay on track financially
A promissory note can best be described as __________., a. an interest-bearing IOU, b. a guarantee of a line of credit, c. a commitment to lend money to someone, d. a government-backed bond
A promissory note can best be described as: a. an interest-bearing IOU.
What is promissory note?Promissory note can be defined as a written note that help to shows that a person who lend a money from another person promise to payback. The note contains a promise by the borrower to pay back the lender within a stipulated period of time.
A promissory note can tend to be described as IOU which full meaning is I OWE YOU which implies that a borrower is telling the lender that he/she owe the lender some certain amount of money which the borrower will have to payback.
A promissory note also contains the terms and conditions of the agreement and this terms and agreement includes the following :
The principal amountThe loan maturity dateThe interest etcTherefore we can conclude that the correct option is A.
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The CPA Practice Advisor reports that the mean preparation fee for 2017 federal income tax returns was $273. Use this price as the population mean and assume the population standard deviation of preparation fees is $100. Use z-table.
a. What is the probability that the mean price for a sample of 30 federal income tax returns is within $16 of the population mean?
Answer:
The CPA Practice Advisor
The probability that the mean price for a sample of 30 federal income tax returns is within $16 of the population mean is:
= 56%
Explanation:
a) Data and Calculations:
Population mean (preparation fee for 2017 federal income tax returns) = $273
Population standard deviation of preparation fees = $100
Mean price for a sample of 30 federal income tax returns = $257 (which is within $16 of the population mean)
z = (x-μ)/σ
z = standard score
x = observed value
μ = mean of the sample
σ = standard deviation of the sample
Z = ($273 - $257)/$100
= 0.16
Using the z-table
P = 0.5636
Critique the case: How did Karin originally approach the project? Comment specifically about Karin’s project management skills and approach? 2. While assessing the case, draw a project organigram, identifying the role-players/ stakeholders and whether they were all in original agreement of the project?
The project organigram should identify the role-players and stakeholders involved in the project and determine if they were all in original agreement.
Who are the role-players and stakeholders involved in the project?The project organigram outlines the key individuals and entities involved in the project including project managers, team members, clients, executives and any other relevant stakeholders.
It also highlights their roles, responsibilities, and relationships within the project structure. Assessing whether they were all in original agreement requires examining the project's initiation phase and the documented agreements such as contracts, memorandums of understanding or project charters.
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The SRAS curve shifts right when: multiple choice the price level falls. the price level increases. the price of oil suddenly rises. the price of oil suddenly falls.
The short run aggregate supply curve shifts right when C. The price of oil suddenly falls.
What is short run aggregate supply curve?It is important as it shows that as price increases, the amount of real GDP increases as well.
In this case, the short run aggregate supply curve shifts right when the price of oil suddenly falls.
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3
Select the correct answer.
What does the term "idle time" refer to in performance measurement?
O A.
OB.
O C.
O D.
the time taken for daily meetings
the time taken by machines to cool down
the time that an employee uses to relax
the time during which a workflow is interrupted
Reset
Ne
The term "idle time" in performance measurement refers to the the time during which a workflow is interrupted. Thus, the last option is the correct answer.
What is idle time?Idle time is paid time when an employee or machine is unproductive due to factors that management can or cannot control. It usually applies to full-time employees rather than consultants, who must bill for every hour of their time.
Idle time is a period of time when employees are waiting. That could be because a piece of equipment they need is not working, they are waiting for an important shipment, or the company is overstaffed and not everyone paid to be there has a task to do.
Therefore, the time during which a workflow is interrupted is known as the idle time.
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I need answers for attached file
Suspension is a term used in human resources that describes a disciplinary action in which an employee is sent home from work for a certain amount of time, typically without pay.
Article 21 and termination of employment: what are they?Due to the SC's interpretation of Article 21, people are safeguarded against arbitrary termination or wrongfully affecting their standard of living. The reservation provision in the constitution also tries to address social and economic disparities that may restrict a person's employment possibilities.
What grounds for termination are included in the employment contract?An employee may be fired from a firm lawfully for one of the following reasons under Indian labor laws: a wilful disregard for authority. fraud, deception, or theft. Theft with purpose to steal or deliberate destruction of employer property.
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In one paragraph, describe two ways in which the Credit Card Accountability Responsibility and Disclosure Act (CARD Act) helps customers.
A consumer protection law called the Credit Card Accountability Responsibility and Disclosure Act of 2009 was passed to protect consumers from unfair business practices by credit card issuers. Increased disclosure of credit card terms and conditions, as well as limitations on associated fees and interest rates, are required to achieve this.
What is a Credit card?A bank or other financial institution issues a small, rectangular piece of plastic or metal known as a credit card, which allows its owner to borrow money in order to pay for goods and services at establishments that accept credit cards.
To protect the customers against unfair practice The Credit Card Accountability Responsibility and Disclosure Act (CARD Act) were passed.
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16. Small businesses account for approximately
percent of the gross domestic product in the United States.
A. 70
B. 30
C. 15
D. 60
The correct answer is A
Answer:
All small businesses in The United states of America all take 70% of their gross domestic product
60 percent of the gross domestic product in the United States. Thus, option (d) is correct.
Depending on how small enterprises are defined and the time period taken into consideration, the actual percentage may change. All authorities, however, concur that small enterprises significantly boost the American economy.
Small businesses maintain the American ideal by generating jobs, fostering innovation, and increasing competitiveness. They are crucial to the nation's economic growth and success because they are more robust in difficult times.
Therefore, option (d) is correct.
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Required informationSkip to questionIntroductionRead the overview below and complete the activities that follow.
Remedies for Breach of Contract
In the case below, a municipality backs out of a contract to have a bridge built. The contractor has already begun production and incurred costs.
CONCEPT REVIEW:
The overall goal of damages in breach of contract suits is to put the parties where they should have been if the contract had been performed. But the solution simply ordering the parties to perform is rarely enough. Damages vary greatly based on the nature of the contract itself, as well as the extent to which performance is underway.
Remedies
Read the short case below, and select the best answer to each question that follows.
The Randolph Bridge Company (RBC) agrees to build a suspension bridge in the city of Detroit. Detroit plans to pay RBC $50 million. RBC's anticipated costs, including labor, materials and so on, are $40 million. Construction is anticipated to take six months. One month into the project, RBC has put $10 million into the project. Detroit tells RBC at this point that it no longer wants the bridge, and plans to breach the contract.
How much will RBC's damages be?
a) $50 million
b) $0
c) $20 million
d) $10 million
e) $40 million
Answer:
Please given an Explanation:
The damages that will be faced by the Randolph Bridge Company if Detroit plans to breach the contract will be close to around $10 million at the point of one month.
What is breach of contract?A breach of contract is a condition wherein a party to the contract violates the terms of agreement as per the documents signed during the contract. A breach of contract makes such person, who breaches, liable to be sued.
In the above case, it has been observed that the city of Detroit has made promises to pay for the project at the end of completion of the project of building the bridge; however, no payments have been made at the end of one month, where RBC Company has already deployed an amount of $10 million.
As the RBC Company has not received any of the payments and a breach of contract has been made by the Detroit city, the total damages for the company at such point will be $10 million, considering that no loans or advances were taken to repay the same.
Hence, option D; $10 million are the damages suffered and incurred upon by the RBC at the end of one month when Detroit has made a breach of contract agreements.
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The adjusted trial balance columns of the worksheet for Bridgeport Company are as follows.
Bridgeport Company
Worksheet (Partial)
For the Month Ended April 30, 2019
Adjusted Trial Balance
Account Titles Dr. Cr.
Cash 10,000
Accounts Receivable 8,080
Prepaid Rent 2,500
Equipment 22,700
Accumulated Depreciation—Equip. 5,500
Notes Payable 5,700
Accounts Payable 5,500
Common Stock 19,460
Retained Earnings 8,100
Dividends 3,400
Service Revenue 15,000
Salaries and Wages Expense 10,980
Rent Expense 900
Depreciation Expense 700
Interest Expense 60
Interest Payable 60
Totals 59,320 59,320
Journalize the closing entries at April 30.
Post the closing entries to Income Summary and Retained Earnings.
Prepare a post-closing trial balance at April 30.
Answer:
The purpose of the post closing trial balance is to verify thtat the debit totals equal credit totals of the permananet accounts and temperoray accounts have zero balances.
Explanation:
Bridgeport Company
Closing Entries
Date Particulars Debit Credit
Apr 30 Income Summary 12,640
Common Stock 19,460
Salaries & Wages Expense 10,980
Rent Expense 900
Depreciation Expense 700
Interest Expense 60
Closing Expense Accounts to Income Summary
Service Revenue 15,000
Income Summary 15,000
Closing Revenue Accounts to Income Summary
Retained Earnings 8,100
Income Summary 8100
To close retained earnings to income summary
Retained Earnings 3400
Dividends 3400
To close dividends
Bridgeport Company
Post Closing Trial Balance
Debit Credit
Cash 10,000
Accounts Receivable 8,080
Prepaid Rent 2,500
Equipment 22,700
Accumulated Depreciation—Equip. 5,500
Common Stock 19,460
Notes Payable 5,700
Accounts Payable 5,500
Interest Payable 60
Capital / RE 7060
Total 43280 43280
Your SWOT analysis reveals no obvious options for growth with your current product lines. So you decide to use some retained earnings the firm has been saving and launch new product lines. After careful analysis you decide to launch a line of battery chargers and, separately, a line of ceiling fans. Which corporate-level strategy are you pursuing
Answer:
Unrelated diversification.
Explanation:
Analyzing the information above, it is correct to say that the company is using the corporate level strategy of unrelated diversification.
This strategy occurs when a company decides to expand its product line by diversifying products that are not related to each other, as is the case above, where it is intended to launch a line of battery chargers and separately a line of ceiling fans. As these products do not correlate, the company is looking to start its activities in different types of market, which can be configured as a positive strategy for market gain and greater profitability for the company.
Use the following information about the current year's operations of a company to calculate cash provided by operations.Net income $ 100,000 Decrease in Accounts Payable 5,000 Increase in Accounts Receivable 4,000 Increase in Merchandise Inventory 8,000 Decrease in Salaries Payable 2,000 Depreciation Expense 6,000 Gain on Sale of Machinery 2,000
Answer:
Cash from operations:
Net income $100,000
Depreciation Expense 6,000
Decrease in Accounts Payable (5,000)
Increase in Accounts Receivable (4,000)
Increase in Merchandise Inventory (8,000)
Decrease in Salaries Payable (2,000)
Cash from operations $87,000
Explanation:
a) Data and Calculations:
Net income $ 100,000
Decrease in Accounts Payable 5,000
Increase in Accounts Receivable 4,000
Increase in Merchandise Inventory 8,000
Decrease in Salaries Payable 2,000
Depreciation Expense 6,000
Not an operating activity:
Gain on Sale of Machinery 2,000
b) The gain on the sale of machinery is not an operating activity or a cash flow item. Cash inflow is recorded when there is a sale of the machinery and as an investing activity. Increase in current assets (except cash) are uses of fund together with decreases in current liabilities.
1. By giving yourself a safety cushion on all sides of the vehicle you improve your ability to? 1. stop 2. maneuver 3. think 4. all of the above
Answer: 4
Explanation: All of the above
Becky's brother's management fees made her think about the fees on her own investments.
She started some calculations and wrote the equation: f(x-1.5)=20.
In the context of this situation, what does Becky's equation mean?
According to the equation, it means that the management charge is limited to 1.5% of the expected return, and "X" represents the overall rate of return that is anticipated.
What does rate of return mean?The change in an investment's value expressed as a percentage is known as the annual rate of return. For instance, if you believe you will earn a 10% annual rate of return, you believe your investment will grow in value by 10% annually.
Total return measures the actual annual rate of return on an investment or portfolio of investments. Dividends, realized distributions, interest, and capital gains are all included in the total return. A percentage of the amount invested is used to represent total return.
To put it simply, if the rate of return, for example, is 40% and the management charge is 1.5% of 40%, the real return rate will be presented as 1.5% x 40 =0.6.
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