Answer:
The amount you pay each month is set by the terms of your mortgage.
Explanation:
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what is carrot and stick metaphor
Answer:
The carrot and stick metaphor is referring to punishment, and reward to force participation. You are rewarded for some actions and punished for others.
Explanation:
what business impact analysis metric can be used to express the monetary loss caused by an occurrence of an incident? exposure factor (ef) single loss expectancy (sle) maximum tolerable downtime (mtd) recovery time objective (rto)
Single loss expectancy business impact analysis metric can be used to express monetary loss caused by an occurrence of an incident.
What is Single loss expectancy?The amount of money anticipated from a risk occurring on an asset is known as single-loss expectancy (SLE). Risk management and risk assessment are related. Where the risk's impact on the asset, or the percentage of assets lost, is represented as the exposure factor. The exposure factor is 1 if the asset is completely lost. The outcome is expressed as a monetary value in the same currency as the single-loss expectancy (euros, dollars, yen, etc.): exposure factor is the arbitrary, potential percentage loss to a particular asset if a particular threat materializes. The person who is evaluating risk must define the exposure factor, which is a subjective value.
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Ben Thomas is earning an annual salary of $15,090 at Custom Stereos. He has been offered a job at the local Ford dealer for $16,660 annually. How much more would Ben earn per week if he accepts the position at the Ford dealer?
Answer:
$30.2
Explanation:
The current annual salary for Ben Thomas is $15,090. the weekly salary will be $15,090 divide by 52
=$15,090 / 52
=$290. 2
The new annual salary at the Ford dealer is $16,660
Weekly salary is the annual salary divided by 52
= $16,660 / 52
=$320.4
Ben Thomas will earn much more by:
=$320.4 - $290. 2
=$30.2
During the listing presentation, it would be appropriate for broker Ted to present the statutory written statement regarding brokerage services. Ted should also caution the sellers that until they definitely decide to list with him, they should not reveal information that may later hurt their negotiation position with a buyer because Ted might later be required to reveal that information should he be dealing with a buyer-client. What else should Ted discuss with the sellers during the listing presentation
Answer: a. The listing agreement they will use
b) Ted's office policy regarding intermediary brokerage
c) Ted's office policy regarding commission splits with "other" brokers
Explanation:
Apart from the fact that the statutory written statement regarding the brokerage services will be presented, it is appropriate for Ted to discuss the following with the sellers.
• The listing agreement they will use
• Ted's office policy regarding intermediary brokerage
• Ted's office policy regarding commission splits with "other" brokers.
These are needed to ensure that both the sellers and the buyer understands each other's stand and the agreement that are in place to ensure a smooth transaction.
Regulators require a bank to hold some of its assets as reserves mainly to address:
a. liquidity risk.
b. trading risk.
c. credit risk.
d. operational risk.
Liquidity risk: Regulators require a bank to hold some of its assets as reserves in order to ensure that the bank has sufficient liquid assets to meet its financial obligations if a large number of customers come demanding their money at once. This helps to mitigate the risk of the bank running out of funds and not being able to meet its obligations.
What is financial?Financial management is the process of managing money and other financial resources in order to achieve personal and organizational goals. It can involve budgeting, accounting, investing, forecasting, and protecting assets. Financial management includes making decisions related to the acquisition, investment, and distribution of resources in order to maximize their potential return.
Therefore the correct answer is A.
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Are cash-secured puts a good strategy?
Cash-secured puts can be a good strategy for some investors, depending on their investment goals and risk tolerance.
A cash-secured put is an options trading strategy that involves selling a put option while simultaneously setting aside the cash required to buy the underlying security in case the option is exercised. If the option is not exercised, the seller keeps the premium as profit. If the option is exercised, the seller must purchase the underlying security at the strike price, using the cash set aside as collateral.
One potential benefit of this strategy is that it can generate income through the sale of the put option premium. However, it also involves the risk of potentially having to buy the underlying security at a higher price than its market value, if the option is exercised. Therefore, investors who use this strategy should be willing and able to hold the underlying security for the long term, if needed.
As with any investment strategy, it's important to do your own research and understand the risks involved before deciding whether cash-secured puts are a suitable strategy for your investment goals and risk tolerance. It may be a good idea to consult with a financial advisor or professional to get a better understanding of how this strategy may fit into your overall investment portfolio.
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The slope of a demand curve is not used to measure the price elasticity of demand because.
The correct option is C.
The measurement of slope is sensitive to the units chosen for price and quantity.
What Is Meant by Elasticity in Economics?The term "elasticity" refers to a measurement of how responsively a quantity that is required or supplied is to one of its determinants. When a factor, like as price or supply, changes, the demand for a good responds quickly. Conversely, items that are inelastic maintain their demand even when prices increase significantly.
How do we measure elasticity?The calculation for this indicator, also known as cross-price elasticity of demand, involves dividing the percentage change in the amount demanded of one good by the percentage change in its price.
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I understand that the question you are looking for is:
The slope of a demand curve is not used to measure the price elasticity of demand because
A) the slope of a linear demand curve is not constant.
B) the slope of a line cannot have a negative value.
C) the measurement of slope is sensitive to the units chosen for price and quantity.
D) the slope of the demand curve does not tell us how much quantity changes as price changes.
The multi resource company manufactures two lines of washing machines, regular and deluxe. the contribution margin per unit of a regular model is $110 and for deluxe model is $175. the company has two departments, assembly and testing. the regular model requires 3 hours to assemble, while a deluxe model requires 4 hours. the total time available in assembly is 12,144 hours. in the testing department, it requires 2. 5 hours to test a regular model and 1. 5 hours to test a deluxe model. a total of 6,240 hours of testing time is available. based on this information, the optimum production plan for multi resource is:
Based on this information, the optimum production plan for multi-resource production is 3,036 Deluxe models.
What is the optimum production plan?The optimum production plan is the production plan that yields the highest level of contribution margin per unit of the limited resource.
Data and Calculations:Regular Deluxe Total
Contribution margin per unit $110 $175
Assembly hours 3 4 12,144
Testing hours 2.5 1.5 6,240
Limited resource = Assembly hours
Contribution margin per unit of limited
resource = $36.67 ($110/3) $43.75 ($175/4)
Thus, the optimum production plan is to maximize the contribution margin per unit of the limited resource by producing 3,036 units of the Deluxe Model (12,144/4).
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For a venture capitalist with 10 investments how many return 10x their investment, 1x to 10x their investment, nothing? Why are venture capitalists interested in investments in their own geographic areas?
For a venture capitalist with 10 investments, the number of returns 10x their investment, 1x to 10x their investment, nothing, Because the return on investment made on venture capital is uncertain. It may lead to huge profits or may cause lose of investment.
Return on investment is a financial measure that indicates how much profit or loss a venture capitalist has made on an investment in a particular business or venture. Venture capitalists evaluate investments by looking at their potential to make money and the risks associated with them. The percentage of returns is determined by dividing the profit or loss by the amount of money invested.
1. For a venture capitalist with 10 investments: Out of 10 investments, the number of investments that can return 10x their investment, 1x to 10x their investment, nothing would depend on the type of investment made by the venture capitalist. Venture capitalists invest in start-up businesses or in companies with new products, technologies, or services. These investments tend to be risky but can lead to huge profits. Some of the investments may be successful, some may fail to make money, while others may simply break even. Thus, it is difficult to predict the exact number of returns for each investment.
2. Venture capitalists are interested in investments in their own geographic areas because of several reasons: Venture capitalists invest in local businesses as it is easier to manage and monitor these businesses as they are geographically closer. Investing in local businesses means more opportunities to help shape their communities, which can lead to a positive reputation and help attract more investors. Venture capitalists may have an established network in their local community that can help connect them to promising start-ups. Venture capitalists may have a better understanding of the local market trends and consumer behavior in their geographic area.
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What is one thing the government does as it enforces consumer-protection
regulations?
A. collects tariffs from foreign producers
B. tests products such as drugs and automobiles for safety
C. prevents cartels from engaging in price fixing or production
limitation
D. makes sure publicly-traded companies provide stockholders with
financial records
Answer: B: test products such as drugs and automobiles for safety
Explanation: âpex learning
Which statement best describes a business creating an incentive?
Answer:
A. A factory increases production to respond to growing demand.
B. A restaurant offers a discounted price on a new type of dish.
C. A car dealership increases the price on a car when it becomes
more popular
D. A retailer stops carrying a product that doesn't sell well in its
stores
Explanation:
An incentive is a reason why somebody should do something, or in this case, buy something. This is why I believe the right answer is B because it attracts customers.
What are some steps needed to have a good buisness?
Answer:
Conduct market research. Market research will tell you if there's an opportunity to turn your idea into a successful business.
Write your business plan.
Fund your business.
Pick your business location.
Choose a business structure.
Choose your business name.
Register your business
Get federal and state tax IDs.
Mark brainliest :)
Kentwood corporation reports net sales of $880,000 in year 1 and $720,000 in year 2. Using horizontal analysis, what is the percentage increase or decrease in sales?.
Kentwood corporation reports net sales of $880,000 in year 1 and $720,000 in year 2, then by the use of Horizontal analysis, the percentage increase or decrease in sales is 22.22%.
What is horizontal analysis?Horizontal analysis is a technique that is used in examining a company's financial records throughout time.
It is frequently shown as a percentage increase over the same line item the previous year. Financial statement consumers can easily discover trends and growth patterns using horizontal analysis.
Computation of percentage increase or decrease in sales:
Percentage decrease in sales = decrease in sales / year 1 sales × 100
Decrease in sales = 160,000 ($880,000-$720,000)
= 160,000/720,000×100
= 22.22 %
Therefore, the percentage increase or decrease in sales is 22.22%.
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What is one benefit US workers who have a college degree rather than a high school diploma?
Answer:
Those with a college degree earn nearly twice as much as those without college.
Explanation:
A college degree increases the chances of securing a higher paying job than a high school diploma. Most employers insist on college degrees for managerial or executive positions. These are the positions with good pay packages. Currently, college graduates earn nearly twice their high school diploma holders.
Answer:
D.
Explanation:
the person above me is correct
SPICY SALE!!! LAST 100 POINTS!!!
Answer:
e
Explanation:
Answer:
thank you I need it
Explanation:
pls help me asap.....
Answer:
d
Explanation:
Your company must make a $448,000 balloon payment on a lease 2 years and 9 months from today. You have been directed to deposit an amount of money quarterly, beginning today, to provide for the $448,000 payment. The account pays 4% per year, compounded quarterly. What is the required quarterly deposit? Note: Lease payments are due at the beginning of the quarter.
To determine the required quarterly deposit, we need to calculate the present value of the $448,000 balloon payment due 2 years and 9 months from today.The required quarterly deposit to provide for the $448,000 balloon payment is approximately $36,256.78.
First, let's convert the time to quarters. Since there are 4 quarters in a year, 2 years and 9 months is equivalent to (2 * 4) + 3 = 11 quarters.
The interest rate per quarter is 4% divided by 4, which is 1%.
Using the present value formula for a future lump sum:
PV = FV / (1 + r)^n
Where:
PV = Present value
FV = Future value
r = Interest rate per period
n = Number of periods
PV = $448,000 / (1 + 0.01)^11
PV = $448,000 / (1.01)^11
PV = $448,000 / 1.1237
PV ≈ $398,824.60
The required quarterly deposit is the present value divided by the number of quarters until the payment is due:
Required Quarterly Deposit = $398,824.60 / 11
Required Quarterly Deposit ≈ $36,256.78
Therefore, the required quarterly deposit to provide for the $448,000 balloon payment is approximately $36,256.78.
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Which ofthe following accounts are usually transferred to the Income Statement? *
1 point
a. Rent, premises, drawings
b. Drawings, rent, purchases
c. Commission received, rent, purchases
d.Purchases, furniture, commission received
Answer:C
Explanation:It is C because to get your commission they need to transferred to your Income Statement and for rent they need to know that you can afford to live there.To purchase big stuff they gotta look at your income to buy it.
In a perfectly competitive market, a firm's short-run supply curve is:_________.
a. its average variable cost curve below the point of intersection with its total cost curve.
b. its total cost curve between the shutdown point and the break-even point.
c. its marginal cost curve equal to or above the point of intersection with its average variable cost curve.
d. its total cost curve.
Answer:
B
Explanation:
You need to share information summarizing last week's sales department meeting with all the departments in your company. Would email be a good choice for this interdepartmental communication? Why or why not?
Answer:
yes, a blast email would work best I would say.
Explanation:
“Equivalent income in the city you are moving to” and the “percentage decrease you can take in your salary to still maintain your standard of living”. What do these two sentences mean?
Answer:
The two sentences mean that the "Equivalent income" is the income you can receive in the new city. The "percentage decrease" in salary to maintain your current living standard is the rate of decrease in salary.
Explanation:
For example, if your equivalent income in the new city is $45,000 and your current income is $50,000, and the percentage decrease in salary is 40%, it implies that your living standard may be below $45,000.
Thus, at a salary of $45,000, you can still maintain your living standard with a salary of $30,000 ($50,000 x (1 - 0.4).
Lee decides to buy on margin 84 shares of UEV, which are selling for $51 per share. The initial margin requirement is 65% and the maintenance margin is 30%. Lee decides to use the maximum leverage possible (i.e. largest loan possible with these initial and maintenance margins). The interest rate on the loan is an APR of 9% with a daily compounding period. If after exactly 11 days the stock price rises to $59.22 and Lee sells the stock, which answer below is closest to Lee's holding period return? For simplicity, please igtrore transaction costs. \begin{tabular}{l} \hline .12% \\ \hline 12.46% \\ \hline 19.95% \\ \hline 21.90% \\ \hline 24.65% \end{tabular}
The Lee's holding period return is approximately 5.51%.
In this case, Lee is using margin trading. Therefore, the amount borrowed will be the difference between the total cost and the initial margin. The formula for calculating the amount borrowed is:
Amount borrowed = (Total cost of shares) - (Initial margin)
= (84 shares x $51 per share) - (65% x $4284)
= $4284 - $2781.60
= $1502.40
Lee's profit will be calculated based on the amount he invested, which is the initial margin plus the borrowed amount. The formula for calculating the return on investment (ROI) is:
ROI = (Profit / Amount invested) x 100%
Where:
Profit = (Sale price x Number of shares) - (Purchase price x Number of shares + Interest)
Amount invested = Initial margin + Amount borrowed + Interest
The purchase price is the cost of shares plus interest and the sale price is the amount from selling the shares minus interest. Interest is calculated based on the annual percentage rate (APR) with a daily compounding period. The formula for calculating daily interest is:
Daily interest = (APR / 365) x Loan amount
Let's calculate Lee's holding period return.
Holding period return:
ROI = (Profit / Amount invested) x 100%
Profit = (Sale price x Number of shares) - (Purchase price x Number of shares + Interest)
= ($59.22 x 84) - ($51 x 84 + 11 x $1502.40 x 9% / 365)
= $4985.68 - $4717.44 - $29.84
= $238.40
Amount invested = Initial margin + Amount borrowed + Interest
= $2781.60 + $1502.40 + 11 x $1502.40 x 9% / 365
= $2781.60 + $1502.40 + $41.57
= $4325.57
ROI = (Profit / Amount invested) x 100%
= ($238.40 / $4325.57) x 100%
= 5.51%
Answer: 5.51%.
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If there is no comparative advantage in the production of either of the two goods produced by countries 1 and 2, then?
If there is no comparative advantage in the production of either of the two goods produced by countries 1 and 2, then there will be no basis for trade between the two countries.
Each country would be equally efficient in producing both goods, so there would be no benefit to specializing in one good and trading for the other.
In this scenario, comparative advantage refers to the ability of a country to produce a good at a lower opportunity cost compared to another country. When there is no comparative advantage for either country, it means that both countries have the same opportunity cost for producing either of the two goods. This implies that both countries are equally efficient in producing both goods.
Without a comparative advantage, there would be no incentive for countries 1 and 2 to specialize in the production of one good and trade for the other. Since they can produce both goods equally efficiently, there would be no gains from trade. Therefore, in the absence of a comparative advantage, there would be no basis for trade between the two countries.
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abc pipe supply ordered inventory from a pvc pipe manufacturer. the terms of freight on the order acknowledgement specify that abc pipe supply must take ownership of the order and pay the shipping costs when the order is loaded on the truck at the manufacturer's docks. which fob terms will be stated on the order acknowledgement? fob shipping point fob 2% 10, net 30 fob in transit fob destination
If the terms of freight specify that abc pipe supply must take ownership of the order and pay the shipping costs when the order is loaded on the truck at the manufacturer's docks. The fob terms that will be stated on the order acknowledgement is: A. fob shipping point.
What is fob shipping point?
FOB shipping point can be defined as the way in which the ownership of the goods that a buyer bought from a seller is transfer to the buyer immediately the seller shipped the goods to the buyer.
When using the FOB shipping point the buyer can as well bear the cost of the shipping after the seller shipped the goods since the title has been moved from the seller to the buyer just as in the case of the given scenario between abc pipe the buyer and pvc pipe the seller.
Therefore the correct option is A.
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How could government – sponsored grants for the private development of new technologies result in a lower national debt?
Answer: Making initial development private saves the government from funding all of the research.
Explanation:
A grant refers to an amount of money that is financial assistance thats given by the government or an organization to an individual or firm for a specific purpose. A grant is different from a loan as it isn't meant to be paid back.
Government award grants for the development of technologies, community projects, home insulation etc.
With regards to the question, a government – sponsored grants for the private development of new technologies may result in a lower national debt when the government makes the initial development private thereby saving the government from funding all of the research.
Current business segment operations for Whitman, a mass retailer, are presented below. Merchandise Automotive Restaurant Total Sales $ 500,000 $ 400,000 $ 100,000 $1,000,000 VC 300,000 200,000 70,000 570,000 Fixed Cost 100.000 100,000 50.000 250,000 Operating Income (loss) 100,000 100,000 (20,000) 180,000 Management is contemplating the discontinuance of the Restaurant segment since "it is losing money." If this segment is discontinued, $30,000 of its fixed costs will be eliminated. In addition, Merchandise and Automotive sales will decrease 5% from their current levels. What is the shutdown point of the restaurant segment?
The shutdown point of the restaurant segment can be calculated as follows: Calculation of shutdown point: Current total sales $1,000,000. . Therefore, the shutdown point of the restaurant segment is $12,605.04.
Current variable costs $570,00, Current contribution margin $430,000, Current fixed costs $250,000, Current operating income $180,000, Less: Fixed costs that will be saved $30,000, Operating income without restaurant $150,000, New total sales (decrease 5%) $950,000, New total variable costs $551,500, New contribution margin $398,500, New total fixed costs $220,000O, operating income without restaurant $178,500
Shutdown point = Fixed costs ÷ (Unit contribution margin = Contribution margin ÷ Sales units). The contribution margin percentage is the ratio of contribution margin to total sales. In this case, the contribution margin percentage is:
Contribution margin percentage = Contribution margin ÷ Total sales. New contribution margin percentage = $398,500 ÷ $950,000 = 42%.
The contribution margin per dollar of sales percentage is the reciprocal of the contribution margin percentage. The contribution margin per dollar of sales percentage in this case is: Contribution margin per dollar of sales percentage = 1 ÷ Contribution margin percentage = 1 ÷ 42% = 2.38.The fixed costs that will be saved are $30,000. The contribution margin per dollar of sales percentage is 2.38. Therefore, the shutdown point is:
Shutdown point = $30,000 ÷ 2.38 = $12,605.04. Therefore, the shutdown point of the restaurant segment is $12,605.04.
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HELPPP
As technology continues to become a bigger part of our lives, it is also becoming a big part of the restaurant world with some fast food restaurants even using large touch screens where customers can place their orders, pay at the machine, and then wait for their order number to be called. What are these high-tech machines called?
A. technological food service
B. self-serve food ordering
C. non-restrictive food ordering
D. automated food ordering system
Answer: self-serve food ordering
Explanation:
Self-service kiosks or self-ordering kiosks are customer-facing devices that allow customers to place orders and make payments without the assistance of a cashier.
Draw a demand and supply graph for each of the following questions. For each question, start by drawing a correctly labeled graph of the market for cookies in equilibrium. Your starting graphs should each have correctly labeled axes and demand and supply curves. Label the equilibrium price and quantity as p1 and p2 on the axes of each of the starting graphs.
Show the effect on the equilibrium price and quantity in the market for cookies if the price of milk increases. Determine which curve is affected by the change in the price of milk and whether it increases or decreases. On your graph, draw a new curve indicating the shift—either to the right or the left. Label the new equilibrium price and quantity as p2 and q2.
Show the effect on the equilibrium price and quantity in the market for cookies if the price of flour decreases. Determine which curve is affected by the change in the price of flour and whether it increases or decreases. On your graph, draw a new curve indicating the shift—either to the right or the left. Label the new equilibrium price and quantity as p2 and q2.
The demand and supply graphs for each of the following scenarios described are attached accordingly. See related conceptual definitions below.
What are the concepts related to the graphs?Milk is used in the preparation of cookies. When the price of milk rises, so will the cost of producing cookies. The supply curve swings to the left and narrows. The equilibrium price rises from p1 to p2, while the quantity falls from q1 to q2.
Flour is used in the preparation of cookies. When the price of flour falls, so will the cost of producing cookies. The supply curve moves to the right and rises. The equilibrium price falls from p1 to p2, while the quantity rises from q1 to q2.
The above interactions are reactions to the Laws of Demand and Supply:
The law of supply and demand combines two basic underlying ideas that describe how price changes impact the supply and demand for a resource, commodity, or product. As the price ups, supply follows it while demand nosedives. In contrast, when prices fall, supply tightens while demand expands.
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Kowabunga was a US based beach clothing and gear company. The owner of the company wanted to expand into markets in Mexico, Australia and Fiji. The company compared the emerging markets to see which had the highest growth rates. Which external business environment did the company evaluate for its expansion?
Based on the given details the external business factor environment that did the company evaluate for its expansion is sociocultural.
Socio-cultural as a business external factor has to do with the environment culture or customs and belief as well as the type of fashion trend they have in vogue.
For a clothing company to be successful the consumer, their income level or wealth, growth rate and the environment at large has to be put into consideration.
The company has to as well evaluate the market activities of the country as this can help to influence their decision when trying to expand into another country market as well as their strategic goals when introducing their product into an another country.
Inconclusion the external business factor environment that did the company evaluate for its expansion is sociocultural.
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How do depreciating assets hurt your financial health?
a. They decrease your net worth.
b. They increase your discretionary spending.
d. They lower your FICO score.
c. They increase your equity.
Answer:
A
Explanation:
net worth is based on assets and income so if assets decrease your net worth decreases