If a person wants to opt-in to the product ratings program, they should go to the Merchant Center.
The product ratings program is a free service offered by Goo-gle to allow customers to see product ratings and reviews directly in the Goo-gle Shopping results. To participate in the program, merchants need to submit a product feed to the Merchant Center, which contains detailed information about their products, including the product ratings and reviews.
Customers who want to see product ratings and reviews need to be signed in to their Go-ogle account and have their web history turned on. By opting-in to the product ratings program, merchants can increase the visibility of their products and potentially drive more traffic and sales.
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To opt in to the product ratings program, a person should go to Merchant Center.
Explanation:If a person wants to opt in to the product ratings program, they should go to Merchant Center. Merchant Center is a platform that allows businesses to upload and manage their product data for shopping ads. By opting in to the product ratings program in Merchant Center, businesses can display ratings and reviews on their shopping ads, which can help attract more customers.
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If firms in the market for succulent starts are currently making zero economic profits which scenarios would lead more firms to enter and begin selling succulent starts?
If firms in the market for succulent starts are currently making zero economic profits, a scenario that would lead more firms to enter and begin selling succulent starts would involve an increase in demand for succulents.
This increased demand could be driven by factors such as rising popularity of succulents, growing interest in home gardening, or trends in interior design.
As the demand for succulent starts rises, the price of these plants will also increase. The higher price will result in positive economic profits for the existing firms.
Consequently, this will attract new firms to enter the market and start selling succulent starts. As more firms enter the market, the supply of succulent starts will also increase, which may eventually lead to a decrease in the price until the market reaches a new equilibrium.
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suppose the asian financial crisis decreased u.s. exports. in the aggregate demand/aggregate supply model, this would be represented as group of answer choices a shift to the left of aggregate demand, leading to less spending and production in the u.s. economy. a shift to the right of aggregate supply, which would result in more production for the u.s. economy. a shift to the right of aggregate demand, leading to more spending and production in the u.s. economy. a shift to the left of aggregate supply, which would result in less production for the u.s. economy.
In the aggregate demand/aggregate supply model, the Asian financial crisis would be represented as a movement to the left of aggregate demand.
Aggregate demand describes the entire amount of goods and services demanded in an economy at a particular price level in the aggregate demand/aggregate supply model. Reduced spending and demand for US products and services as a result of the Asian financial crisis would cause a shift to the left of aggregate demand.
This move would result in reduced spending and production in the US economy, as businesses respond to lower demand by cutting production. As a result, the right response is that this is a shift to the left of aggregate demand.
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what if i am wealthy and have a lot of assets to protect and also want to leverage money tax free and buy real estate. what do you suggest ?
If you are wealthy and have a lot of assets to protect while also looking to leverage money tax-free and invest in real estate, there are several strategies you can consider. One of the most common options for high net worth individuals is to establish a trust, which can provide asset protection and estate planning benefits.
Another option is to explore opportunities for tax-free investments, such as municipal bonds or tax-free exchange-traded funds (ETFs). These investments can provide a tax-efficient way to grow your wealth while also minimizing your tax liability.
Investing in real estate can also be a sound strategy for high net worth individuals, as it can provide both income and long-term appreciation potential. One approach is to invest in real estate through a private equity fund or syndication, which can offer access to institutional-grade properties with lower minimum investments.
Overall, the key is to work with a trusted advisor who can help you develop a personalized strategy that takes into account your specific goals and circumstances, while also leveraging a range of tax-efficient investment options and asset protection strategies.
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Economic theory generally assumes that a firm's decisions are ultimately oriented toward:
A) increasing total revenue.
B) minimizing the number of employees it hires.
C) maximizing production.
D) maximizing profit.
The answer is D) maximizing profit. Economic theory assumes that firms are profit maximizers, meaning that they make decisions based on the goal of earning the highest possible profits. This includes decisions related to pricing, production levels, hiring, and investment.
While firms may pursue other objectives, such as increasing market share or social responsibility, economic theory suggests that profit maximization is the primary objective that drives their decision-making.
Economic theory assumes that firms are profit-maximizers, meaning they will make decisions that lead to the highest possible profit given their available resources and constraints. While firms may have other goals or considerations, such as social responsibility or environmental sustainability, economic theory assumes that their ultimate goal is to maximize profit.
The answer is D) maximizing profit.
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at the economic order quantity (eoq), the annual ordering cost is less than the annual carrying cost. true or false
The statement "at the economic order quantity (EOQ), the annual ordering cost is less than the annual carrying cost" is false.
The Economic Order Quantity (EOQ) is a formula used in inventory management to determine the optimal order quantity that minimizes the total cost of ordering and carrying inventory.
The formula takes into account both the ordering cost (the cost of placing an order) and the carrying cost (the cost of holding inventory) to find the quantity that balances these costs.
If the ordering cost per order is high, then the EOQ will be smaller, and the annual ordering cost will be low. On the other hand, if the carrying cost per unit is high, then the EOQ will be larger, and the annual carrying cost will be high.
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Suppose you are the head of the central bank and your mandate is to maintain the price level at a constant value. Explain what you would do to the money supply in response to each of the following events:
(a) Real GDP increases by 4% during a boom.
(b) Real GDP declines by 1% during a recession.
(c) Real GDP is growing at 3% per year.
(d) The velocity of money increases by 2%.
(e) The velocity of money declines by 1%
As the head of the central bank with a mandate to maintain a constant price level, I would:
(a) Decrease the money supply if Real GDP increases by 4% during a boom.
(b) Increase the money supply if Real GDP declines by 1% during a recession.
(c) Maintain the current money supply if Real GDP is growing at 3% per year.
(d) Decrease the money supply if the velocity of money increases by 2%.
(e) Increase the money supply if the velocity of money declines by 1%.
(a) During a boom with a 4% increase in Real GDP, I would decrease the money supply to prevent inflation and maintain the price level.
(b) In a recession with a 1% decline in Real GDP, I would increase the money supply to boost economic activity and prevent deflation.
(c) If Real GDP is growing at a stable rate of 3% per year, I would maintain the current money supply to keep the price level constant.
(d) If the velocity of money increases by 2%, it indicates that money is circulating faster. To counteract potential inflation, I would decrease the money supply.
(e) If the velocity of money declines by 1%, I would increase the money supply to ensure sufficient liquidity and support economic activity while maintaining the price level.
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imagine you are operating a holding company like berkshire hathaway and you wanted to identify the tradeoffs you were making in pursuing this kind of organizational structure. what are some of the tradeoffs that you would have to accept? choose carefully. remember that canvas deducts incorrect answers from correct answers. imagine you are operating a holding company like berkshire hathaway and you wanted to identify the tradeoffs you were making in pursuing this kind of organizational structure. what are some of the tradeoffs that you would have to accept? choose carefully. remember that canvas deducts incorrect answers from correct answers. increased scope of decisions for the central hq inability to influence divisional executives' decisions as fully low synergies between businesses higher costs and operational expenses
The some of the tradeoffs that you would have to accept are inability to influence divisional executives' decisions as fully, option C.
It is a mammoth endeavour to analyse the organisational structure of conglomerate holdings, especially if the group is a consolidated holding for several businesses that operate in various industrial sectors. From the standpoint of the headquarters, it is challenging to develop operational synergy when the industrial sector is distinct for the majority of enterprises.
As a result, conglomerates frequently select senior executives with the express purpose of organising and orienting the strategic course for certain enterprises. There is a situational contradiction between CEOs who try to expand their company since the fundamental nature of existence with regard to how the business operates and its idealogy disagree.
The evaluated worth of a firm after obtaining capital infusions and/or outside financing is referred to as the post-money valuation. "Post-money valuation" refers to the anticipated market value of a firm following a round of investment from venture capitalists or angel investors. Pre-money values are valuations that are calculated prior to the inclusion of these funds. The post-money valuation is calculated by adding the total of any new equity gained from outside investors to the pre-money valuation.
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Complete question:
Imagine you are operating a holding company like Berkshire Hathaway and you wanted to identify the tradeoffs you were making in pursuing this kind of organizational structure. What are some of the tradeoffs that you would have to accept?
higher costs and operational expenses Selected Answer - Incorrect low synergies between businesses inability to influence divisional executives' decisions as fully increased scope of decisions for the central HQa company must decide between scrapping or reworking units that do not pass inspection. the company has 13,000 defective units that have already cost $132,000 to manufacture. the units can be sold as scrap for $37,700 or reworked for $63,700 and then sold for $109,200. (a) prepare a scrap or rework analysis of income effects. (b) should the company sell the units as scrap or rework them?
Based on the information provided, we can prepare a scrap or rework analysis of income effects as follows:- If the 13,000 defective units are sold as scrap, the company will receive $37,700 in revenue but will not incur any additional costs.
- If the 13,000 defective units are reworked, the company will incur an additional cost of $63,700 but can sell the units for $109,200, resulting in a net revenue of $45,500 ($109,200 - $63,700).To determine whether the company should sell the units as scrap or rework them, we need to compare the net revenue from each option:- Net revenue from selling as scrap: $37,700- Net revenue from reworking: $45,500Based on this analysis, it is more financially beneficial for the company to rework the defective units rather than selling them as scrap.
However, it is important for the company to consider other factors such as time constraints, resources, and demand for the reworked units before making a final decision.
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security amount (in billions) treasury bills $ 220 corporate bonds 140 treasury notes 80 corporate stock 200 us savings bonds 60 treasury bonds 100 the public debt for the economy is
The total public debt for the economy, considering the security amount of Treasury Bills, Corporate Bonds, Treasury Notes, Corporate Stock, US Savings Bonds, and Treasury Bonds, is $460 billion.
Public debt refers to the total amount of money that a government owes to its creditors, including individuals, corporations, and other countries, as a result of borrowing funds to finance its operations and programs. This debt can be in the form of Treasury bills, Treasury notes, bonds, or other securities that the government issues to raise funds.
The public debt for the economy can be calculated by summing up the security amounts of Treasury bills, Treasury notes, U.S. savings bonds, and Treasury bonds.
Public debt = Treasury bills ($220 billion) + Treasury notes ($80 billion) + U.S. savings bonds ($60 billion) + Treasury bonds ($100 billion)
Public debt = $460 billion
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The change in total cost from producing the eightieth unit of output is _____, and the change in total revenue from producing the seventh unit of output is _____.
Unfortunately, I cannot determine the exact values of the changes in total cost and total revenue without additional information such as the cost and revenue functions, as well as the production level at which these changes are evaluated. However, I can provide some general information about how changes in cost and revenue relate to production levels.
In general, the changes in total cost and total revenue from producing additional units of output are influenced by factors such as economies of scale, fixed costs, variable costs, and market demand. The cost of producing additional units may increase as a result of diminishing returns to scale, increased variable costs, or the need to invest in additional fixed assets or labor. Meanwhile, the revenue from producing additional units may increase due to higher market demand, lower per-unit costs, or the ability to charge higher prices.The exact relationship between changes in cost and revenue will depend on the specific cost and revenue functions involved, as well as the level of production at which they are evaluated. If you can provide more information about the specific context of your question, I may be able to provide a more detailed answer.
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The excerpt would be of limited use to a historian seeking to explain the political position common in the 1990s that the United States should
A. help immigrants affected by international crises
B. recruit immigrant laborers for agricultural work
C. reduce the influence of new immigrant culturesD. celebrate the diversity created by immigration
The excerpt would be of limited use to a historian seeking to explain the political position common in the 1990s that the United States should celebrate the diversity created by immigration.
The excerpt suggests a perspective that is more aligned with the position that the influence of new immigrant cultures should be reduced. The author argues that the education system should prioritize American culture over multiculturalism, which implies a preference for assimilation and a reduction of the influence of new immigrant cultures.
During the 1990s, there was a growing concern among many Americans about the impact of immigration on American society. This led to a political position that favored assimilation and reducing the influence of new immigrant cultures in areas such as education, language, and social norms. However, there was also a counter-movement that celebrated the diversity created by immigration and recognized the contributions of immigrants to American society.
Therefore, while the excerpt provides some insight into the political position common in the 1990s that the United States should reduce the influence of new immigrant cultures, it does not offer any support for the position that the United States should celebrate the diversity created by immigration.
giant motorcycles inc. pays a $0.77 preferred dividend every quarter and will maintain this policy forever. what price should you pay for one share of preferred stock if you want an annual return of 9.25% on your investment?
The price to pay for one share of Giant Motorcycles Inc. preferred stock is $33.30. The price is calculated using the dividend discount model, where the annual dividend is divided by the required rate of return. The annual dividend is calculated by multiplying the quarterly dividend by 4.
To determine the price to pay for one share of Giant Motorcycles Inc. preferred stock, we can use the dividend discount model. The formula for this model is
Price of Preferred Stock = Annual Dividend / Required Rate of Return
First, we need to calculate the annual dividend by multiplying the quarterly dividend by 4 (since there are four quarters in a year):
Annual Dividend = $0.77 x 4 = $3.08
Next, we need to determine the required rate of return. The problem states that we want an annual return of 9.25% on our investment. Since the preferred dividend is fixed, the required rate of return is the same as the annual return we want to earn. Therefore
Required Rate of Return = 9.25%
Finally, we can use the dividend discount model to calculate the price of the preferred stock
Price of Preferred Stock = $3.08 / 0.0925 = $33.30
Therefore, if we want an annual return of 9.25% on our investment, we should pay $33.30 for one share of Giant Motorcycles Inc. preferred stock.
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if the required rate of return for each project is 14%, do the npv and irr methods agree or conflict?
The methods agree do the npv and irr methods agree or conflict.
Both NPV and IRR will provide you the same indication about whether to accept the project or not when you are examining a single conventional project. The NPV and IRR, however, could yield values that are in disagreement when comparing two projects.
One project may have a higher NPV while the other may have a higher IRR. When comparing various projects against one another or in circumstances where calculating a discount rate is challenging, IRR is helpful. When there are several discount rates or different directions of cash flow over time, NPV is preferable. The NPV and IRR may occasionally favor opposing project decisions.
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Why are land improvements depreciated when the land itself is not?
Land is considered a non-depreciable asset because it is not expected to lose value over time. On the other hand, land improvements, such as buildings, driveways, and landscaping, are considered depreciable assets because they have a limited useful life and are expected to wear out or become obsolete over time.
It is important to note that while land may not physically depreciate, it can still lose value due to factors such as changes in zoning laws, environmental issues, or market conditions. However, these factors are generally considered to be beyond the control of the company and are not taken into account when calculating depreciation expense. Instead, the company focuses on the expected useful life of the land improvement and allocates the cost of the improvement over that period. By doing so, the company can better match the cost of the improvement with the revenue it generates over its useful life, which improves the accuracy of the company's financial statements.
Therefore, the cost of land improvements is allocated over their useful life and recorded as depreciation expense in the company's financial statements.
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which kind of resume would be best if your education and experience are a logical fit for the position to which you're applying? which kind of resume would be best if your education and experience are a logical fit for the position to which you're applying? skills resume chronological resume
Option b: chronological resume would be best if your education and experience are a logical fit for the position to which you're applying.
Candidates whose careers are on a steady upward trajectory should consider using a chronological resume. For example, if you've worked for the same company for several years and each job title is older than the previous one, you can use a chronological resume structure. People applying for jobs in the same or related fields as most of their previous employments may also use it.
However, if you have numerous employment gaps, are planning a career change, or have extensive work experience, you should consider a work resume or combined resume.
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Complete question:
Which kind of resume would be best if your education and experience are a logical fit for the position to which you're applying?
skills resume
chronological resume
money functions as:group of answer choicesa store of value.a unit of account.a medium of exchange.all of these.
Money is a medium of exchange, a unit of account, and a store of value. It's choice D and all of these.
Money is commodity that's extensively accepted, has a stable value over time, and can fluently be restated into prices. A wide range of effects have been employed as cash throughout the long term — among them, cowry shells, grain, peppercorns, gold, and tableware.
It's used to change information between people and associations. It can also be used as a unit of account and a store of value to measure the value of other goods.
previous to the invention of plutocrats, the maturity of economies reckoned on merchandising, in which individualities changed their own effects for musts.
Question
Money is used for
a) an asset store
b) an accounting unit.
c) a means of communication.
d) each one of these.
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which of the following is an advantage of consensus-based decision making? it focuses attention on the interests of only the most directly involved parties. it may reveal multiple perspectives on a decision. it only allows the parties to give simple responses to questions. it is faster than other forms of decision making.
When making an ethical choice, marketers are more stronge concious likely to recognise a behaviour as unethical. The correct answer is a. it focuses attention on the interests of only the most directly involved parties.
If there is a clear consensus among colleagues that it may cause harm to others. An action may not be ethical if there is a strong consensus among the cOWorkers that it might hurt other people.
As a result of their training to take into account the interests of all stakeholders, marketers are more likely to see this behaviour as immoral in this situation. Marketers are aware that unethical behaviour can harm a company's reputation and have a detrimental effect on its relationships with stakeholders such as customers, employees, and other stakeholders.They are therefore more prone to approach decision-making with caution.
Complete question:
which of the following is an advantage of consensus-based decision making? multiple choice answers
a. it focuses attention on the interests of only the most directly involved parties.
b.it may reveal multiple perspectives on a decision. c. it only allows the parties to give simple responses to questions.
d. it is faster than other forms of decision making.
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tactics include the media, channels, and delivery mechanisms used to reach the customer and create brand awareness. true false
The statement is true. Tactics are the specific methods used to implement a marketing strategy, and they include the media, channels, and delivery mechanisms used to reach the customer and create brand awareness. In other words, tactics are the practical tools and techniques that marketers use to achieve their objectives.
The media refers to the different types of communication channels that can be used to convey a message to customers, such as television, radio, print, and digital media. Channels refer to the specific platforms or vehicles used to distribute the message, such as social media, email, and direct mail. Delivery mechanisms refer to the specific methods used to get the message to the customer, such as advertising, public relations, events, and promotions.
The choice of tactics depends on a number of factors, including the target audience, the marketing budget, and the overall marketing strategy. Marketers must consider which tactics will be most effective in reaching their target audience and creating brand awareness, while also staying within budget constraints. By carefully selecting and implementing the right tactics, marketers can achieve their marketing objectives and build a strong brand.
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A positive, but decreasing, value for the marginal product would indicate that:a) average product is negativeb) the company is producing its maximum possible outputc) total output decreased when the extra unit of the variable input was addedd) total output is increasing at a decreasing rate
A positive, but decreasing, value for the marginal product would indicate that the total output is increasing at a decreasing rate. Therefore, the correct option is (d).
The marginal product is the additional output that is produced when one more unit of input is added to the production process, while holding all other inputs constant. If the marginal product is positive, it means that adding an extra unit of input is increasing the total output. However, if the marginal product is decreasing, it means that the increase in output from each additional unit of input is becoming smaller. This suggests that the production process is becoming less efficient and that the company is experiencing diminishing returns to the variable input. A positive value for the marginal product also means that the average product is positive. The average product is the total output produced per unit of input, and it is calculated by dividing the total output by the total input. A negative average product (option a) is not possible because it would mean that the total output is negative.
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an analyst uses a temporary supernormal growth model to value a common stock. the company paid a $2 dividend last year. the analyst expects dividends to grow at 15% each year for the next three years and then to resume a normal rate of 7% per year indefinitely. the analyst estimates that investors require a 12% return on the stock. the value of this common stock is closest to: a)
The value of this common stock is closest to $50.94.
How to calculate the stock's valueTo calculate the stock's value, we first find the dividends for the supernormal growth period:
D1 = 2 * 1.15 = $2.30
D2 = 2.30 * 1.15 = $2.645
D3 = 2.645 * 1.15 = $3.04025
Next, we calculate the dividend at the beginning of the normal growth period (D4):
D4 = 3.04025 * 1.07 = $3.25307
Now, we determine the present value of these dividends and the present value of the perpetuity starting from D4:
PV_dividends = D1/(1+0.12) + D2/(1+0.12)² + D3/(1+0.12)³ = $5.88597
PV_perpetuity = D4/(0.12 - 0.07) = $65.0614 PV_perpetuity_discounted = PV_perpetuity / (1+0.12)³ = $45.05708
Lastly, we sum the present values to find the stock's value:
Stock_value = PV_dividends + PV_perpetuity_discounted = $5.88597 + $45.05708 ≈ $50.94
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a. While conducting hospital cost studies, there mightarise a few problems. Explain those problems.b. Differentiate parametric Vs. non-parametric efficiencystudies.
When conducting hospital cost studies, there are a few problems that might arise. The first problem is that the cost data may not be complete or accurate. This can be due to the fact that hospitals often have complex cost structures, with many different departments and cost centers, making it difficult to obtain complete and accurate cost data.
Another problem that may arise is that some hospitals may be reluctant to share their cost data, either due to confidentiality concerns or a fear of being perceived negatively. Finally, there may be variations in the way that hospitals allocate costs, which can make it difficult to compare costs across different hospitals.
Parametric efficiency studies are those that assume a specific functional form for the relationship between inputs and outputs. In other words, they assume that there is a specific way in which inputs (such as labor, materials, and capital) are combined to produce outputs (such as patient care).
Non-parametric efficiency studies, on the other hand, do not make any assumptions about the functional form of the relationship between inputs and outputs. Instead, they use statistical techniques to estimate the efficiency of hospitals based on the observed relationships between inputs and outputs.
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monopolistic competitors: produce goods that are standardized and hard to differentiate. eventually produce at their minimum atc at the profit-maximizing level. have some ability to set price. must accept the price as given and therefore are price takers.
Monopolistic competition is a market structure characterized by firms that produce differentiated products, have some market power, and face competition from other firms producing similar products.
Produce goods that are differentiated to some degree, making them unique in the eyes of consumers.
Do not necessarily produce at their minimum average total cost (ATC) at the profit-maximizing level. Instead, they may produce at a level where marginal revenue (MR) equals marginal cost (MC), which could be below or above the minimum ATC level.
Have some degree of market power, which allows them to set prices to some extent. They can increase prices without losing all of their customers, but they cannot raise prices too high without losing a significant share of their market.
Cannot simply accept the price as given and therefore are not pure price takers, but they also cannot ignore market conditions entirely and charge whatever price they want. Instead, they need to consider the price and output decisions of their competitors when setting their own prices.
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List the following documents in the order in which they are used when recording indirect materials costs in job order cost accounting with the first document on top
receiving reports
materials ledger cards
materials requisitions
factory overhead ledger
The order of documents is: Receiving Reports, Materials Ledger Cards, Materials Requisitions, and Factory Overhead Ledger. These documents help to efficiently record indirect materials costs in job order cost accounting.
The order of documents used when recording indirect materials costs in job order cost accounting. The following is the sequence of documents in the order they are used:
1. Receiving Reports: These are the initial documents created when materials are received. They provide details about the type, quantity, and quality of materials received.
2. Materials Ledger Cards: These cards record the inventory of materials. After the receiving report is prepared, the information is transferred to materials ledger cards to update the inventory records.
3. Materials Requisitions: When materials are needed for a job, a materials requisition is prepared to request the necessary indirect materials. This document contains information about the materials needed, job number, and the quantity required.
4. Factory Overhead Ledger: Once the materials requisition is approved, the indirect materials costs are transferred to the factory overhead ledger. This ledger keeps track of all the indirect costs associated with production, including indirect materials costs.
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which of the following is not true regarding the efficient frontier considered by mncs? group of answer choices the efficient frontier for portfolios of domestic and international projects will probably lie to the left of the efficient frontier for portfolios of purely domestic projects. all of these are true. there is only one point on the efficient frontier that is optimal for all mncs, regardless of their degree of risk aversion. most points on the efficient frontier represent a portfolio of projects as opposed to an individual project.
The efficient frontier for portfolios of domestic and international projects will probably lie to the left is not true regarding the efficient frontier considered by mncs. Hence, option A is correct.
A company is considered an MNC if its headquarters, incorporation nation, and other major assets are located somewhere else. They are often referred to as transnational corporations or international companies.
Multinational corporations maintain operations for production and marketing in various nations. The company may have many offices that are managed by a number of branches and subsidiaries in each nation.
Thus, option A is correct.
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wilma is a salesperson with broker fred. wilma arranges for a listing with a seller. when fred accepts the listing, a contract and agency relationship are created. what is the relationship between wilma and the seller? select one: a. agent b. employee c. subagent d. independent contractor
When Fred agrees to the listing, a contract and agency relationship are created. The relationship between Wilma and the seller is that of an agent. The right answer is a
A real estate agent receives a commission if a deal is successfully closed and is licenced to assist customers in buying and selling real estate. Only the buyer or the seller may be the agent's client. Real estate agents are those with the proper licences to assist in the purchase, sale, and rental of real estate.
They are compensated with a commission, which is often a percentage of the sale price of the property, and are eventually in charge of bringing buyers and sellers together. Real estate salesperson and real estate associates are other names for real estate agents.
The correct answer is option a.
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What payment 12 years from now is equivalent to a payment of 7,000 9 years from now, if money is worth 6.06% compounded annually?
A person invests 4,500 in the hopes of receiving a return in eight years. What amount, in pesos, will be recovered eight years from now if the interest rate on the investment is 14.54 percent per year, compounded annually?
please specify which question answered thanks :)
The payment 12 years from now equivalent to a payment of 7,000 9 years from now at a 6.06% interest rate compounded annually is 10,266.28.
To find this, follow these steps:
1. Calculate the future value of the 7,000 payment in 9 years: FV = PV * (1 + r)ⁿ, where PV = 7000, r = 0.0606, and n = 9.
2. Solve for FV: FV = 7000 * (1 + 0.0606)^9 = 13,194.47.
3. Calculate the equivalent payment 12 years from now: FV_12 = FV / (1 + r)ⁿ_diff, where FV_12 is the equivalent payment, FV = 13,194.47, r = 0.0606, and n_diff = 12 - 9 = 3.
4. Solve for FV_12: FV_12 = 13,194.47 / (1 + 0.0606)³ = 10,266.28.
The amount recovered from the 4,500 investment in 8 years at a 14.54% interest rate compounded annually is 17,497.81 pesos.
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the biden administration wants tiktok’s chinese ownership to ______________ or face a possible ban, as the white house hardens its stance on resolving national security concerns about the popular video service.
The Biden administration wants TikTok's Chinese ownership to divest or face a possible ban. This is due to concerns about national security with a popular video service being owned by a Chinese company.
The U.S. government has been concerned about the potential for data from TikTok's American users to be accessed by the Chinese government, given the app's ownership by Chinese company ByteDance. In response, the Trump administration had sought to force a sale of TikTok's American operations to a U.S. company.
The Biden administration has continued to push for resolution of these concerns, with the option of a ban on the table if a divestment does not occur. However, the exact details of what a divestment would entail and how it would be enforced are still unclear. #SPJ11
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Suppose Charles would like to use $1,000 of his savings to make a financial investment. One way of making a financial investment is to purchase stock or bonds from a private company. Suppose Robo Troid, a robotics firm, is selling stocks to raise money for a new lab-a practice known as finance. Buying a share of RoboTroid stock would give Charles the firm. In the event that RoboTroid runs into financial difficulty, will be paid first. Suppose Charles decides to buy 100 shares of RoboTroid stock. Which of the following statements are correct? Check all that apply Robo Troid earns revenue when Charles purchases 100 shares, even if he purchases them from an existing shareholder. Expectations of a recession that will reduce economywide corporate profits will likely cause the value of Charles's shares to decline. An increase in the perceived profitability of Robo Troid will likely cause the value of Charles's shares to rise. Alternatively, Charles could make a financial investment by purchasing bonds issued by the government of Japan. interest rate Assuming that everything else is equal, a bond issued by a government that is engaged in a civil war most likely pays a than a bond issued by the government of Japan
The correct statements regarding Charles's investment in RoboTroid are: expectations of a recession will likely cause the value of his shares to decline, and an increase in RoboTroid's perceived profitability will likely cause the value of his shares to rise.
When Charles buys 100 shares of RoboTroid, the company earns revenue only if he purchases them directly from the company, not from an existing shareholder. If a recession is expected, it could reduce corporate profits, which may lead to a decline in the value of Charles's shares.
On the other hand, if the perceived profitability of RoboTroid increases, the value of his shares is likely to rise. Alternatively, Charles could invest in bonds issued by the government of Japan or another government.
Generally, a bond issued by a government engaged in civil war would pay a higher interest rate than a bond issued by the government of Japan, due to the higher risk associated with it.
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in a deslotting allowance agreement, the risk of a new brand introduction is transferred from the manufacturer to the retailer. question 6 options: true false
The statement in a deslotting allowance agreement, the risk of a new brand introduction is transferred from the manufacturer to the retailer is true because a slotting charge, also known as a shelving fee or slotting allowance, is a cost that manufacturers pay to have their items placed on retail shelves.
It is a one-time fee that assures brands can stock a new product until its sales performance can be determined, which is normally between four to six months. Retailers utilize a slotting charge to build high barriers that make it tough to compete with larger competitors. There is also the possibility that retailers will take advantage of their position and charge high fees, earning at your expense.
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the extent to which people believe that they control their fate through their own efforts is called _____.
The extent to which people believe that they control their fate through their own efforts is called "locus of control."
"Locus of control" refers to how much a person believes they have influence over their destiny through their own actions. A person's ideas about the reasons for occurrences in their lives are referred to by this idea, which was created by psychologist Julian Rotter in the 1950s. People who have an internal locus of control think that their choices and behaviors directly affect the results they encounter. They typically feel more in charge of their lives, take personal responsibility for their accomplishments and failings, and are more willing to act to make their circumstances better. People who have an external locus of control, on the other hand, think that external factors like luck, fate, or strong people have more of an impact on their results.
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