A hierarchy of objectives is a method for establishing lower-level goals in order to achieve higher-level ones.
Managers can use the tactical, strategic, and operational plan types to help them achieve the goals of their organizations. Operational plans aid in the execution of tactical plans, which aid in the execution of strategic plans.
A strategy is then developed to assist in achieving the specific performance targets that the management and employee have agreed upon. This strategy is referred to as management by objectives (MBO). It aims to link organizational goals with employee engagement and commitment improvements.
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a product costs $80 today. how much will the product cost in t days if the price is reduced by $4 a day
The product cost (P) will be 80-4(t) in t days, if the price is reduced by $4 a day.
What is cost?A cost is the value of money that has been used up to produce something or deliver a service and is thus no longer available for use in production, research, retail, or accounting. In business, the cost could be one of acquisition, in which case the money spent to acquire it is counted as cost.
The product cost initially = $80
Now, every day, it reduces $4
The rate=$4 per day reduction
The price in the days will be determined by the formula below
P ($)=80-4(t)
Where p = price at t days
t = number of days
So let's assume it's on the second day
The price after the second day
P($) = 80-4(2)
P($) = 80-8
P($)= $72
The price after two days will be reduced to $72
Therefore, the product cost after t days will be 80-4(t).
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if there is a 25% probability that simone will lose $1,000 of her cash on the trip, what is the trip's expected utility?
The trip's expected utility is -$250. The negative sign indicates that the expected utility is negative, meaning that Simone would expect to incur a loss or reduction in satisfaction as a result of the trip.
Expected utility is a measure of the average or expected level of satisfaction or benefit that an individual can expect from a certain decision or action. It is calculated by multiplying the utility of each possible outcome by its probability, and then summing up the results.
In this case, there are two possible outcomes: Simone either loses $1,000 or doesn't lose any money. The expected utility for the trip can be calculated as follows:
Expected utility = -$1,000 * 0.25 + $0 * 0.75 = -$250
Thus, the result is -$250. This means that, on average, Simone can expect a utility of -$250 from the trip, taking into account the probability of losing $1,000 and not losing any money
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how the internet changed from a government research project into a technology for business users
The internet started as a government research project in the 1960s, when the U.S. Department of Defense's Advanced Research Projects Agency (ARPA) developed ARPANET, the precursor to the modern internet.
The original purpose of ARPANET was to create a decentralized network that could withstand a nuclear attack, but over time, it evolved into a tool for researchers, academics, and government agencies to share information and collaborate on projects.
In the 1980s and 1990s, the internet began to attract the attention of private sector companies as a means of communication and information exchange. The development of the World Wide Web (WWW) by British computer scientist Tim Berners-Lee in 1989 made it much easier for businesses to access and use the internet. The widespread availability of personal computers and the growth of commercial internet service providers (ISPs) made the internet more accessible to businesses of all sizes.
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How the internet changed from a government research project into a technology for business users?
Really confused please help
yes it is advisable to evaluate the cost of establishing your business from a variety of angles, such as raw material acquisition, travel to suppliers,
How evaluate whether locating Skipper’s close to raw materials was the most importantSkipper’s close is advisable to evaluate the cost of establishing your business from a variety of angles, such as raw material acquisition, travel to suppliers, transport to consumers, and accessibility, when deciding where to set up site.Some considerations would need to be given greater weight depending on the business. Because the commodities are perishable and expenses would be high if the site is too distant from the source of the fish, the purchase and delivery of raw materials from suppliers should be given a larger weight in the aforementioned scenario.Transport to customers is less important than transport to suppliers since technology has made it simpler to sell from numerous locations.To learn more about Skipper’s refer to:
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Politics, economic and social conditions, and religion all played a role in the European wars of the 16th century. Which of the following statements regarding the role of such aspects is accurate?
1. Spain's importation of silver from the New World had detrimental economic effects in that it caused an ever-increasing rate of inflation.
2. Spain attempted to invade England in order to overthrow Protestant "heresy" and restore England to the Catholicism.
3. France's Valois monarchy was staunchly Lutheran, and so it went a long way in bolstering the position of France's Calvinists, the Huguenots.
The ensuing statements regarding the part of similar aspects is accurate are Spain tried to foray England in order to erect Protestant" heterodoxy" and restore England to the Catholicism. Hence option (2) is correct.
Medieval Europe the congregation had huge power, still all through the sixteenth century the unqualified church slammed into change. The ascent of country countries, Protestantism, and a richer seller class all tested the power of the Catholic Church.
A large number of France were Calvinists, known as Huguenots, therefore they framed a coalition of resistance to the crown. These paroxysms in articulation and allowed impacted the world.
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the theory of reciprocal demand best applies when two countries are of equal economic size, so that the demand conditions of each nation have a noticeable impact on market prices. (T/F)
The statement " the theory of reciprocal demand best applies when two countries are of equal economic size, so that the demand conditions of each nation have a noticeable impact on market prices. " is true because it involves two companies.
By outlining the prerequisites for equilibrium terms of trade, J.S. Mill made Ricardo's theory of comparative costs determinate. The maximum distance at which profitable international trade can occur is determined by the comparative cost differences between the nations. It does not specify where actual international trade will occur in the space between the limits. The answer to this question is provided by Mill.
To explain how the equilibrium terms of trade are actually determined, J. S. Mill proposed the theory of reciprocal demand or the law of international values.
He asserted that the equation of reciprocal demand determines the equilibrium terms of trade. Reciprocal demand refers to the relative potency and elasticity of the two trading nations' demand for one another's products in relation to their own products.
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a reduction in the level of unemployment would have which effect with respect to the nation's production possibilities curve?
A reduction in level of unemployment will not shift the curve; it would be represented by moving from a point inside the curve toward the curve that is option B is correct.
The production possibility curve of a nation is used to measure the differences in the outputs of the two goods based on the fixed amount of inputs. The input is kept constant and the factors affecting the input of production includes land, labor, capital and entrepreneurship. Any point inside the production possibility curve means that the resources available for the production are not been used properly. Also, unemployment will have no effect in the production possibility curve of a nation and even if the unemployment levels change, then only the point lying inside the curve will be shifted towards the curve.
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Complete Question:
A reduction in the level of unemployment would have which effect with respect to the nation's production possibilities curve?
A. It would shift the curve to the left.
B. It would not shift the curve; it would be represented by moving from a point inside the curve toward the curve.
C. It would not shift the curve; it would be represented by moving from a point on the curve to a point to the right of the curve.
D. It would shift the curve to the right.
what is english 1 highschool
English 1 is a high school course that focuses on the study of language and literature.
English 1 is a foundational course in high school English curriculum, typically taken by students in their freshman or sophomore year. The course provides students with a comprehensive introduction to the study of language and literature.
Students learn about the elements of literature such as plot, character, setting, theme, and symbolism, and how to analyze and interpret various types of texts. In addition, they study grammar and mechanics, vocabulary, and writing skills, including the writing process, research techniques, and various forms of composition.
The goal of English 1 is to build a strong foundation in language and literary analysis, while also developing critical thinking and communication skills that are essential for success in school and beyond.
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delta company purchased a delivery truck for a total cost of $15,000. delta paid $2,000 in cash and signed a note payable for the remainder. the total effect of this transaction on the accounting equation was to: a. increase assets by $15,000, increase liabilities by $13,000 and increase equity by $2,000. b. increase assets by $15,000, increase liabilities by $15,000 and have no effect on equity. c. increase assets by $13,000, increase liabilities by $15,000 and decrease equity by $2,000. d. increase assets by $13,000, increase liabilities by $13,000 and have no effect on equity.
The total effect of this transaction on the accounting equation was to Increase assets by $15,000, increase liabilities by $15,000 and have no effect on equity.
How does the accounting equation change when a delivery vehicle is bought with cash?The total asset value stays the same. Explanation: When a car is bought using cash, the journal entry will show a debit for the car and a credit for the cash. Since the asset is not impacted by this transaction because both accounts are asset accounts,
When a business purchases a vehicle in full What impact does this have on the company's accounting formula?As soon as the corporation pays back the loan, both its liabilities and assets drop. When a corporation purchases a new delivery van outright, one asset—cash—decreases while another—vehicles—increases.
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which is an example of a discretionary project
Modifications to the general plan, zone changes, subdivisions, conditional use permits, and plot plans are only a few examples of discretionary projects.
A discretionary project is one that calls for a public entity to use discretion or judgement in deciding whether to approve the project or grant a permit. Non-discretionary projects are those that must be carried out or funded in accordance with legal, projects, health and safety, or judicial requirements. These are the actions you need to take. reacting to court orders or outside requests, like requests for drilling permits or rights-of-way. For students, discretionary time refers to academically related time that is not class time.
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nataro, incorporated, has sales of $702,000, costs of $345,000, depreciation expense of $90,000, interest expense of $55,000, and a tax rate of 22 percent. what is the net income for this firm?
The net income for Nataro, Incorporated is equal to $93,940.
Gross profit = Sales - Costs = $702,000 - $345,000 = $357,000
Operating profit = Gross profit - Depreciation Expense = $357,000 - $90,000 = $267,000
Pre-tax profit = Operating profit - Interest Expense = $267,000 - $55,000 = $212,000
Tax expense = Pre-tax profit x Tax rate = $212,000 x 22% = $46,064
Net income = Pre-tax profit - Tax Expense = $212,000 - $46,064 = $93,940
So, the net income for Nataro, Incorporated is $93,940, which represents the profit that the company has generated after all costs, expenses, and taxes have been deducted.
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overhead expenses are budgeted at $5,400 per month. included in the $5,400 are $2,200 of monthly depreciation expense and $1,050 of allocated expenses related to the insurance premium that is paid in september. what is the cash outflow for overhead for the month of may?
The cash outflow for overhead for the moth of May = 2150. Here we will substract the September months expenses.
we will subtract the depreciation expense and insurance related expenses as they are related to September month.
so,
5400-( 2200+1050)
= 5400 - 3250
= 2150
Overhead refers to the continuing business costs not without delay attributed to developing a services or products. it's far critical for budgeting functions but additionally for figuring out how lots a agency should fee for its services or products to make a earnings. In brief, overhead is any cost incurred to help the business at the same time as not being without delay associated with a particular products or services.
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meredith received a refund of $500. meredith needs a new laptop, but she would also like to go on vacation to the bahamas. if meredith purchases the laptop, what is her opportunity cost?
The opportunity cost of purchasing a laptop for Meredith is the next best alternative she must give up in order to make that purchase.
In this case, the next best alternative is the vacation to the Bahamas. So, the opportunity cost of purchasing the laptop is the amount of money that Meredith would have had to spend on the vacation instead.
For example, if a laptop costs $800 and the vacation costs $1,500, then the opportunity cost of purchasing the laptop is $1,500 - $800 = $700. This means that Meredith must give up $700 worth of vacation in order to purchase the laptop.
In other words, if she decides to buy the laptop, she cannot go on vacation. Opportunity cost represents the trade-off between two choices and helps individuals make decisions by considering the most valuable use of their resources.
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apply swot, vca, and rbv to yourself and your career aspirations. what are your major strengths and weaknesses? how might you use your knowledge of these strengths and weaknesses to develop your future career plans?
Using a resource-based approach (RBV) for goal planning entails recognizing a company's valuable resources and putting them to use in order to create a competitive advantage. SWOT analysis involves examining a company's strengths, weaknesses, opportunities, and threats.
In the SWOT analysis, what are the strengths and weaknesses?Both the letters "strengths" and "weaknesses" stand for internal elements, or the knowledge and skills you have at your disposal. Some internal factors that are frequently thought of are as follows: resources – monetary (funding, sources of income and investment opportunities) sources of actual goods (location, facilities and equipment).Using a resource-based approach (RBV) for goal planning entails recognizing a company's valuable resources and putting them to use in order to create a competitive advantage. SWOT analysis involves examining a company's strengths, weaknesses, opportunities, and threats.Having a clear goal, being motivated, or possessing extensive prior knowledge are examples of strengths for a SWOT analysis.To learn more about resource-based approach (RBV) refer to:
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which of the following is professor rivkin's definition of strategy? strategy is concerned with the annual planning processes by which an organization determines its annual targets and budget allocations. strategy is the integrated set of choices that positions the business in its industry so that it generates superior financial returns over the long run. strategy refers to an approach to business planning that is based on the objectives of the various stakeholders affected by the organization's activities. strategy refers to those aspects of management that are the responsibility of an organization's most senior managers.
The correct definition of strategy, according to Professor Rivkin, is Strategy is the integrated set of choices that positions the business in its industry so that it generates superior financial returns over the long run.
This definition highlights the importance of a comprehensive and long-term approach to business planning, with the goal of creating a competitive advantage and generating financial returns in the long run.
It emphasizes the integration of different choices and the positioning of the business in the industry, both of which are crucial for success in today's competitive market.
The other definitions are either too narrow in scope (a) or too focused on specific aspects of management (d) and (c) are too broad and do not fully capture the essence of strategy as defined by Professor Rivkin.
Hence, the correct answer is (b).
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--The given question is incomplete; the complete question is
"Which of the following is Professor Rivkin’s definition of strategy? (a) Strategy is concerned with the annual planning processes by which an organization determines its annual targets and budget allocations. (b) Strategy is the integrated set of choices that positions the business in its industry so that it generates superior financial returns over the long run.
(c) Strategy refers to an approach to business planning that is based on the objectives of the various stakeholder groups affected by the organization’s activities.
(d) Strategy refers to those aspects of management that are the responsibility of an organization’s most senior managers."--
nflation during the 1970s was much higher than most people had expected when the decade began. how did this unexpectedly high inflation affect homeowners who obtained fixed rate mortagages during the 1960s? how did it affect the baks that lent the money
The bankers that lend money in 1960s would suffer in terms of creditors due to the unexpected hike in inflation rate.
What is inflation rate?The rate of price growth over a specific time period is known as inflation. Inflation is typically measured in broad terms, such as the general rise in prices or the rise in the cost of living in a nation. However, it can also be calculated more precisely for some products, like food, or for services, like a haircut, for instance. Whatever the context, inflation measures how much more expensive the relevant set of goods and/or services have gotten over a specific time frame, most frequently a year.
Consumer price inflation, the most commonly used indicator of inflation, is the percentage change in the CPI over a given time period and represents the cost of this basket at a given time expressed relative to a base year.
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how long will it take you to get $50,000, if you invested $5000 in an account giving 8.7% interest, compounded continuously?
It will take approximately 26.81 years or 26 years and 8 months to reach $50,000 if you invested $5,000 at an 8.7% continuous compounding interest rate.
Continuous compounding means that interest is calculated and added to the principal an infinite number of times within a given period of time. This results in a higher interest rate than other forms of compounding, such as annually or quarterly.
The calculation can be done using the formula:
t = (ln(A/P)) / (ln(1 + r))
where:
t is the number of time in yearsA is the accrued amount ($50,000)P is the initial principal ($5,000)r is the interest rate as a decimal (0.087 for 8.7%)ln is the natural logarithm functiont = (ln($50,000/$5,000)) / (ln(1 + 0.087))
t = (ln(10)) / (ln(1 + 0.087))
t = 2.30258509299405 / 0.0858688079352456
t = 26.8151514894
So it would take approximately 26.81 years or 26 years and 8 months to reach $50,000 with $5,000 invested at an 8.7% interest rate compounded continuously.
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a $1,000 face value coupon bond with a $60 coupon payment every year has a coupon rate of a. 6 percent. b. 10 percent. c. .6 percent. d. 5 percent.
A $1000 face value coupon bond with a $60 coupon payment every year has a coupon rate of 6 percent.
What is coupon bond?A bond with coupons attached that represent semiannual interest payments is known as a coupon bond, also known as a bearer bond or bond coupon. With coupon bonds, the issuer does not keep any records of the buyer, and no certificate bears the buyer's name. Between the time the bond is issued and when it matures, bondholders receive these coupons.
Since most modern bonds are not issued in certificate or coupon form, coupon bonds are uncommon. Instead, bonds are created electronically, though some holders still favour having paper certificates in their possession. Because of this, the term "coupon bond" only refers to the projected interest rate, not to the bond's actual certificates or coupons.
$60/$100 = 6/100 = 6%
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The journal entry to adjust Merchandise Inventory when beginning merchandise inventory is $125,000.00 and ending merchandise inventory is $115,000.00 would be (A) debit Merchandise Inventory, $10,000.00 and credit Income Summary, $10,000.00. (B) debit Income Summary, $10,000.00 and credit Merchandise Inventory, $10,000.00. (C) debit Merchandise Inventory, $115,000.00 and credit Income Summary, $115,000.00. (D) debit Income Summary, $115,000.00 and credit Merchandise Inventory, $115,000.00.
The correct journal entry to adjust Merchandise Inventory when beginning Merchandise Inventory is $125,000.00 and ending Merchandise Inventory is $115,000.00 would be (A) debit Merchandise Inventory, $10,000.00 and credit Income Summary, $10,000.00.
Merchandise Inventory is a critical component in accounting as it refers to the stock of goods that a company holds for sale. The journal entry to adjust Merchandise Inventory helps to reconcile the beginning and ending balances of the inventory.
This entry shows that the company has sold $10,000.00 worth of goods, reducing the Merchandise Inventory balance. The $10,000.00 is recorded as an increase in the Income Summary account, which is a temporary account that is used to accumulate all of the company's revenue and expenses.
The purpose of this journal entry is to ensure that the balance of the Merchandise Inventory account is accurate and up-to-date. This journal entry reflects the cost of goods sold and is used to calculate the company's net income. The cost of goods sold is subtracted from the company's total revenue to determine its net income.
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a health insurance company that sets its premiums higher for chronically ill persons than those for healthy individuals is using what type of rating?
A health insurance company that sets its premiums higher for chronically ill persons than those for healthy individuals is using experience type of rating.
What is an health insurance company?A corporation with a charter allowing it to operate in the business of paying out money or another valuable item in the event of loss brought on by a disability brought on by illness or infirmity is referred to as a health insurance company.
An insured person's medical and surgical costs are covered by health insurance. It either pays the care provider of the insured person directly or reimburses the costs incurred as a result of illness or injury.
Every person is different and has a particular set of needs. The unique needs of each individual cannot be met by a single health insurance product. There are numerous varieties of health insurance plans available precisely in this situation.
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What will happen as a consequence of the following 2 events occurring and affecting the market for hotels in Acapulco, Mexico
Event #1. Many people planned to go to the beach in Flonda but the hurricane made this impossible, but they insist that they want to go on vacation to another beach area.
Event #2: Mexican hotel workers unionize a successful campaign for higher wages.
A. P ambiguous and Q increases.
B. P ambiguous and Q decreases.
C. P increases and Q ambiguous
D. P decreases and Q ambiguous.
As a consequence of these events occurring and affecting the tea market is P ambiguous and Q decreases will happen. Hence option (C) is correct.
A market is a social event place for purchasers and dealers where they can trade items and administrations. The whole number of purchasers and merchants nearby or locale viable is alluded to as the market. The worth and endlessly cost of exchanged products rely upon the market's organic market powers.
Item Investigations, a vital part of value control, empower you to affirm item quality on location at different focuses during the creation cycle and before it is sent.
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refer to scenario 2.5. paul is at the stage of his marketing plan where he needs to gather information about his firm's situation with respect to the market. a major part of this is his assessment of target markets. which section is he about to write? a. environmental analysis b. executive summary c. marketing objectives d. swot analysis e. marketing strategies
A major part of this is Paul's assessment of target markets. He is about to write 'environmental analysis' section.
What do you mean by analysis?
Analysis refers to the process of breaking down a complex concept, problem, or object into its component parts and examining each one in detail. It is used to gain a better understanding of a subject and to identify relationships between the different parts. Analysis can also involve the comparison of two or more objects or ideas, or the evaluation of a single object or idea.
An environmental analysis is an examination of the external factors that can have an impact on a business. This includes factors such as economic, social, political, technological, legal, and environmental trends. By analyzing these trends, Paul can identify potential opportunities and threats to the target market. He can then develop strategies to take advantage of the opportunities and mitigate the risks of the threats. By doing this, he can better position the business to succeed in the target market.
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Correct form of question:
Refer to scenario 2.5. Paul is at the stage of his marketing plan where he needs to gather information about his firm's situation with respect to the market a major part of this is his assessment of target markets. Which section is he about to write?
a. environmental analysis
b. executive summary
c. marketing objectives
d. swot analysis
e. marketing strategies
what should the companies in the smartphone industry look at now? where are the threats coming from?
Answer:Most cyberattacks begin with a phishing email that carries a malicious link or an attachment containing malware. On mobile devices, phishing attacks have a variety of media for delivering their links and malware, including email, SMS messaging, social media platforms, and other applications.
Smartphones Market is poised to grow at a CAGR of 4% by 2027. The emergence of budget-centric smartphones, and an increasing number of product launches.
Most cyberattacks begin with a phishing email that carries a malicious link or an attachment containing malware. On mobile devices, phishing attacks have a variety of media for delivering their links and malware, including email, SMS messaging, social media platforms, and other applications.
a firm has positive fixed cost and positive variable cost. at its current level of output, marginal cost equals average cost. the firm must
The answer is shutdown, shutting down can reduce variable costs to zero, but in the short run, the firm has already paid for fixed costs.
What exactly are variable and fixed costs?The amount of product generated determines the fluctuation in variable costs. Raw materials, labor, and commissions are examples of variable expenses. Regardless of the level of production, fixed expenses stay constant. Lease and rental payments, insurance, and interest payments are examples of fixed costs.
The fixed cost where is it?Operating profit results from the allocation of fixed expenses in the income statement's indirect expense column. One such fixed cost that is represented as an indirect item is depreciation.
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The matrix form of project management structure is a good choice when resource usage needs to be optimized by having individuals work on multiple projects while still performing functional duties. True or False
When it's important to maximize the use of resources, assigning people to different projects while they continue fulfill their functional responsibilities, the matrix type a project management is a smart option. True.
What precisely is the purpose of project management?Project managers, inside the broadest sense, are in charge of organizing, planning, and overseeing the execution of a project while making sure that it produces the anticipated outcomes on time, within budget, and then within scope.
What are project management's five primary roles?The primary responsibility for project planning, execution, monitoring, control, and closure falls on project managers.
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a manager responsible for facilitating the exchange of products between an organization and its customers through activities such as distribution and advertising is
A marketing manager is tasked with facilitating the exchange of goods between a company and its clients through initiatives like distribution and advertising.
What duties are the responsibility of a marketing manager?A marketing manager would carry out all relevant tasks required to increase the company's sales, including conducting market research, understanding consumer trends and preferences, developing marketing strategies and budgets, supervising the production of marketing collateral and content, and developing marketing strategies and budgets.
Marketing managers organize and carry out marketing campaigns to raise customer awareness of products and services and generate demand for them. This broad phrase can cover a variety of tasks, such as planning, carrying out, and evaluating marketing campaigns.
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abc mortgage makes a loan to bill even though he is unlikely to repay it and anticipating that it will eventually foreclose on the property and get bill's equity. this is an example of
ABC Mortgage that makes a loan to bill even though he is unlikely to repay it and anticipating that it will eventually foreclose on the property and get bill's equity is the example of predatory lending. It is because the ABC mortgage still makes a loan whether he is unlikely to repay.
In economic and business, Predatory lending generally can be defined as any lending practice that imposes unfair and abusive loan terms on borrowers, including high-interest rates, high fees, and terms that strip the borrower of equity. Predatory lenders often use aggressive sales tactics and deception to get borrowers to take out loans they can't afford. The example of predatory lending is a higher (and unaffordable) interest rate doesn't kick in until months after you have begun to pay on your loan.
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andrei s. is the beneficiary of a life insurance policy. the insurance company informs andrei that he has two options for receiving the insurance proceeds. he can receive a lump sum of $95,500 today or receive payments of $1,000 a month for ten years. he can earn 4.5% on his money. which option should he take and why? andrei should accept the payments because they are worth $96,489.32 today. andrei should accept the payments because they are worth $95,886,30 today. andrei should accept the payments because they are worth $97,204.58 today. andrei should accept the $95,500 because the payments are only worth $94,880.26 today. andrei should accept the $95,500 because the payments are only worth $93,745.62 today.
The option should he take Andrei should accept the payments because they are worth $96,489.32 today.
The insurance provider tells you that you have two choices when you are named as a beneficiary of a life insurance policy, right?Receiving the money usually comes with two choices. To help them manage their money, beneficiaries have the option of taking a lump amount (which is the most popular alternative), payments in the form of monthly installments, or payments made as part of an annuity.
Upon the insured's passing, a life insurance policy guarantees what to the designated beneficiary?In return for premiums paid by the policyholder during their lifetime, a life insurance policy promises the insurer will pay an amount of money to one or more named beneficiaries after the covered person passes away.
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What is the total future value six years from now of $50 received in one year, $200 received in two years, and $800 received in six years if the discount rate is 8%? (Shown works)1) 1,145.562) 1,050.003) 1,269.154) 1,047.935) 1,237.20
The total future value six years is $1145.562. Hence option (1) is correct.
Given the following information,
Year\n1\n Cashflow($)\n50\n200\n800\n2\n6\n
Discount rate = r = 8% = 0.08
In order to calculate the future value, first let us calculate the net present value of the given cashflows,
NPV = CF1/(1+r)^1 + CF2/(1+r)^2 + CF6/(1+r)^6
Where,
CF1/(1+r)^1 = 50/ (1+0.08) = 50/ 1.08 = 46.30
CF2/(1+r)^2 = 200/ (1+0.08)^2 = 200/ 1.08^2 = 200/ 1.1664 = 171.47
CF6/(1+r)^6 = 800/ (1+0.08)^6 = 800/1.08^6 = 800/ 1.5869 = 504.14
Substituting the given values, we get
NPV = 46.30 + 171.47 + 504.14
NPV = 721.90
Calculation of Future value six years from now using the formula,
Future value = PV*(1+r)^n
FV = 721.90*(1+0.08)^6
FV = 721.90*(1.08)^6
FV = 721.90*1.5869
FV = 1145.56
Therefore, the total future value six years from now is $1145.56
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why are gable end roofs among the worst roof designs for hurricane regions>
Gable end roofs are one of the worst roof designs for hurricane regions because they are more susceptible to being torn off or damaged by strong winds.
They are also more likely to suffer from uplift or wind-driven rain penetration due to their shape. This is because the two sides of the roof form a triangle shape, which when hit by winds, can act like a sail, causing the roof to become unstable and be easily uprooted. Furthermore, the gable end of the roof is much weaker than the ridge, making it even more susceptible to damage. Gable end roofs are one of the worst roof designs for hurricane regions because they are more susceptible to being torn off or damaged by strong winds. This means that the roof is more likely to be damaged by strong winds, leading to costly repair bills.
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