Peer-to-peer networks protect your personal and financial information just as a typical bank or online lender would, in terms of security.
Peer-to-peer lending: how does it operate?P2P lending uses online channels to establish direct communication between those looking to lend money and those looking to borrow money. As a result, you obtain financing from private investors who have registered on a P2P lending platform rather than a bank or credit union. Peer-to-peer networks protect your personal and financial information just as a typical bank or online lender would, in terms of security. They can be made to a person, business, or organization. Student loans, commercial and real estate loans, payday loans, secured company loans, leasing, and factoring are some more types of peer-to-peer lending.
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if interest rates increase, business investment expenditures are likely to and consumer durable expenditures are likely to . a. increase, increase b. increase, decrease c. decrease, increase d. decrease, decrease e. be unaffected, be unaffected
if interest rates increase, business investment expenditures are likely to decrease and consumer durable expenditures are likely to decrease.
Interest rates can influence the amount of money that lenders and investors are willing to save and invest. An increase in demand for loanable funds raises interest rates, while an increase in supply lowers rates.
Capital operations are addressed by investment expenditure. It includes loan repayment, authority loans and advances, and direct investment expenditure (equipment and real estate acquisitions, new work, major repairs)
Consumer durables, also known as "durable goods," are goods that do not require frequent purchases and last at least three years. Economists pay close attention to consumer durables consumption because it is a good indicator of the economy's strength.
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g what is the optimum cost-time... the direct and indirect costs for each duration (days) for a project are as shown in the tables below. compute the direct, indirect, and total costs for crashing one day at a time from this project. what is the optimum cost-time schedule? the customer offers you $10 for every day you shorten the project from your original network. would you take it? if so for how many days? include the incentive amount in your total cost calculations. activity crash cost maximum id (slope) crash time normal time normal cost a 80 2 10 40 b 30 3 8 10 c 40 1 5 80 d 50 2 11 50 e 100 4 15 100 f 30 1 6 20 total direct normal costs $300 time units indirect costs 27 $300 26 240 25 180 24 120 23 60 22 50 prevquestion 5 of 5 total5 of 5visit question mapscore answer mcgraw hill
The maximum amount of time before a project costs more is 25 days. The project's ideal cost-time schedule is 25 days at a cost of $540.
Total direct cost 330+50= 380
Total indirect cost 180
Total incentives 2x10 = $ 20
Total cost 380+180-20=$540
In project management, all implicit expenses associated with a project are referred to as indirect costs. Another name for indirect costs is burden costs or overhead costs. Other names for indirect costs, sometimes known as burden costs, are factory overhead, manufacturing burden, indirect production expenses, and labour burden. Support expenditures that are not directly connected to a project's activities are known as indirect costs.
Costs that cannot be immediately linked to a cost object are known as indirect costs (such as a particular project, facility, function or product). You can have fixed or variable indirect charges. Expenses for administration, personnel, and security are examples of indirect costs. These are expenses that have nothing to do with manufacturing. Overhead may be a part of some indirect costs. Some overhead expenses, however, are direct costs that can be clearly linked to a project.
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lauren is an administrative assistant at a big law firm. while her days are busy answering phones, preparing documents on the computer, and scheduling appointments, it is mostly sedentary work. lauren has poor eating habits and is overweight. because of a family history of heart disease, lauren's doctor suggested that she join a new weight loss support group at the hospital that teaches healthy lifestyle changes such as diet and exercise. this is an example of
The example by Lauren is secondary prevention.
The goal of this prevention is to lessen the effects of illnesses that have already had an impact on a person.
This implies that one must move quickly to combat the sickness as soon as feasible in order to stop its progression and engage in activities that can help one return to their previous state of health. To prevent a serious impact in the future, this is done.
The person begins by getting regular checkups and screening tests in the early stages of being affected - adhering to a healthy diet Lauren has already started eating unhealthily and she is now overweight, which means she is already affected by various diseases or at risk of such diseases, so she is past the primary prevention which includes not engaging in any unhealthy activities from day one.
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kingbird. inc. began the year 2022 with $143600 in its common stock account and a debit balance in retained earnings of $61600. during the year, the company earned net income of $30800, and declared and paid $10300 of dividends. in addition, the company sold additional common stock amounting to $37600. based on this information, what should the transaction analysis show for total stockholders' equity at the end of 2022?
The equity of all shareholders is 140100.
What exactly is shareholder equity?The amount of money invested in a business by its owners is known as shareholder equity. This includes the money they've invested directly and the money the company has earned and put back into the business since its inception.
Is net worth the same as stockholders' equity?A company's net worth, or shareholders' equity, is the difference between its total assets (what it owns) and its total liabilities (what it owes).Profits and net worth both rise when your business is successful.
Retained Earnings = (-61600)+30800- 10300 = -41100 Total Stockholder's Equity = 140100 Common Stock = 143600 + 37600 = 181200
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in the economy of spendsalot, the marginal propensity to save, mps, is 0.9. what is the marginal propensity to consume, mpc, for spendsalot? mpc
The marginal propensity to consume, for spends lots is b. the slope of pre-tax intake as a feature of GDP.
The required details for Gross home product (GDP) in given paragraph
Gross home product (GDP) is a monetary degree of the marketplace fee of all the very last goods and offerings produced and sold in a selected term with the aid of using countries. GDP (nominal) according to capita does now no longer, however, mirror variations in the price of dwelling and the inflation rates of the countries; therefore, the usage of a foundation of GDP according to capita at buying energy parity (PPP) can be greater beneficial while evaluating dwelling standards among nations, even as nominal GDP is greater beneficial evaluating countrywide economies at the worldwide marketplace. Total GDP also can be damaged down into the contribution of every enterprise or quarter of the economy.
GDP is frequently used as a metric for worldwide comparisons in addition to a extensive degree of monetary progress. It is frequently taken into consideration to be the "world's maximum effective statistical indicator of countrywide improvement and progress".
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Complete question
In the economy of Spends a lot, the marginal propensity to save is MPS=0.60. Use this information to answer both questions below.
1. What is the marginal propensity to consume, MPC, for Spends a lot?
2. MPC determines which of the following?
a. the slope of government consumption as a function of GDP
b. the slope of pre-tax consumption as a function of GDP
c. the slope of tax revenues as a function of GDP
d. the slope of pre-tax investment as a function of GDP.
question mode multiple choice question what is one advantage of the high/low pricing strategy? multiple choice question. retailers do not have to incur the labor costs of changing price tags and signs frequently. it allows retailers to get rid of slow-selling merchandise. it limits the need for the weekly-sale advertising used in the everyday low-pricing strategy. customers do not have to wait for items they want to go on sale.
Advantage to a excessive low pricing method is in its achievable to entice new customers to the business.
Using advertised reductions and promotions on provide with a excessive low pricing strategy, customers may additionally choose to visit your enterprise even if they have in no way finished so before.
What makes a high-low pricing approach appealing?Advantages and Disadvantages of High-Low Pricing. Almost each retail commercial enterprise selling mass-market products makes use of this pricing strategy. Promoting a product twice as more cost effective as its ordinary rate approves corporations to beautify flash sales and impulse purchases.
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https://brainly.com/question/7303679#SPJ4why might a tenant prefer a lease with a higher effective rent than an alternative lease with a lower effective rent?
A tenant might prefer a lease with a higher effective rent than an alternative lease with a lower effective rent because the tenant might want to keep the space for a long time, or they might think the rent will increase over the course of the extended lease.
The term "effective rent" refers to the actual rental rate that the landlord will achieve after deducting the value of concessions from the base rental rate that is paid or given to the tenant (such as a build-out or renovation allowance, free rent, a moving allowance, etc.). Effective rent is typically expressed as an average lease rate.
Due to the way it is structured, percentage leases are most frequently used when negotiating with retail tenants, particularly if they will be joining a multi-tenant retail space like a mall or shopping center.
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austertech, a u.s. company, produces computer parts and sells them to south american countries. austertech is engaging in the international business activity known as .
Austertech, a u.s. company, produces computer parts and sells them to south American countries. austertech is engaging in the international business activity known as Exporting.
An export in worldwide exchange is a great produced in one united states of america this is offered into every other united state of america or a service furnished in a single united states of america for a national or resident of some other us of a. the seller of such goods or the service issuer is an exporter; the overseas purchaser is an importer. Exporting may be profitable for organizations of all sizes.
On average, sales develop faster, extra jobs are created, and employees earn greater than in non-exporting corporations. aggressive gain. america is known worldwide for excessively nice, progressive goods and services, customer support, and sound enterprise practices.
the hobby of sending items to some other country with a purpose to promote them there: the exportation of sth the primary commercial enterprise of the port is the exportation of grain and agricultural produce.
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maria is the ceo at acme manufacturing. the decisions she makes most often are generally about problems whose solutions are not clear, so new solutions need to be created and she needs to immerse herself in the issue. which decision-making model should she use?
The decision making model should she use is creative
Maria needs to adopt an innovative decision-making strategy. Because this methodology enables individuals to think creatively and develop original solutions for a variety of issues. The only thing a rational decision model is is a decision based on information and facts. Without any reliable data and knowledge, initial decisions are made. Most of these decisions are made using judgments. The foundation of bounded rationality is incomplete knowledge and facts. A team's decision-making process is described by a decision-making model. Every team member must be aware of the process that will be followed in order for a decision to be made successfully.
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in 2007, (nominal) interest rates were about 4.5% and inflation was about 2.8%. what was the real interest rate in 2007? group of answer choices
The real interest rate in 2007 is 1.045 / 1.028 = 1.0165; real rate = 1.65%
Interest is the price from a borrower or deposit-taking economic group to a lender or depositor of an amount above reimbursement of the foremost sum (this is, the quantity borrowed), at a particular rate.[1] it is wonderful from a rate which the borrower may also pay the lender or a few third parties. it's also awesome from dividend which is paid through a corporation to its shareholders (proprietors) from its profit or reserve, but not at a particular price determined in advance, as a substitute on a pro-rata foundation as a percentage inside the reward won by way of chance taking marketers while the revenue earned exceeds the whole expenses.
For instance, a client might generally pay hobby to borrow from a bank, so that they pay the bank a quantity that's extra than the quantity they borrowed; or a patron may additionally earn interest on their financial savings, and so they'll withdraw extra than they in the beginning deposit. On their financial savings, and so they'll withdraw extra than they in the beginning deposit.
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a company is considering purchasing a machine for $21,000. the machine will generate an after-tax net income of $2,000 per year. annual depreciation expense would be $1,500. what is the approximate accounting rate of return?
2.38% is the approximate accounting rate of return when a company is considering purchasing a machine.
The average net income an asset is anticipated to provide divided by its average capital cost stated as a percentage annually is known as the accounting rate of return (ARR). Making judgments on capital budgeting is done using the ARR formula.
Here, we need to calculate the approximate rate of accounting return. It would be calculated by the formula as,
Accounting rate of return= Net annual profit/investment
Net annual profit is the yearly earned profit that is not given. For this rate, all annual costs, including depreciation, must be deducted from the revenue. Depreciation expenses for fixed assets should be subtracted. So, it would be calculated as,
Net annual profit= Net income-Depreciation
Given,
Net income=$2,000
Depreciation=$1500
Therefore,
Net annual profit= 2000-1500
=500
Investment is the cost for purchase which is given by $21,000
Put the values in the above formula of accounting RoR. Therefore,
Accounting RoR=500/21000
=0.023809523
=2.38%
So, the accounting rate of return would be calculated as 2.38%.
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select all that apply though it may undermine the concept of comparing a constant basket of goods, the bls occasionally updates the items in the cpi market basket. why? multiple select question. the bls is interested in maintaining a market basket excluding the most current goods and services. to capture the cost of a certain standard of living. to satisfy the internal revenue service. to more accurately measure the types of goods and services that are available in a given period.
The BLS occasionally updates the items in the CPI market basket. Market basket excluding the most current goods and services. A market basket is a carefully chosen mix of goods and services that measures the performance of a particular market or segment.
The Consumer Price Index (CPI) is a typical market basket that offers an estimate of inflation based on the average change in price paid for a certain basket of goods and services over time. Housing, education, recreation, food and beverage, fashion, transportation, health care, and other goods and services are examples of main categories that may be included in a market basket.
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if you were a hiring manager, how could you choose candidates to minimize the influence of gender or racial stereotypes in your hiring decision?
The number of years you have worked in the field will probably be used by hiring managers to compare two candidates.
How to make your hiring process free of unconscious bias
Eliminate any gendered language, introduce difficulties for blind skills, Make decisions based on data, Promote roles on new platforms, Make sure the interviewing process is organized, Have a hiring committee, Eliminating unintentional prejudice. Most likely, you receive the "extra points" if you have more extensive related experience. Therefore, as a candidate, you must demonstrate to the hiring managers that you have substantial experience in the field. The Society for Human Resources Management (SHRM) advises adopting structured interviews, in which applicants are asked the same set of predetermined questions that concentrate on factors that directly affect job performance.
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charter chemical needs to order more office supplies. the order quantity and specifications are routine, and the purchase is made from the same competent supplier at regular intervals, without any decision making process. charter will probably engage in a(n)
To buy more amounts, Charter will probably do a straight rebuy.
A straight rebuy is when a consumer purchases the same goods from the same provider in the same quantity and under the same terms.
Every morning, a large number of customers go to Starbucks to place the same exact coffee order. This is a prime example of a straight rebuy since all the order's elements remain the same. The customer buys the same item from the same supplier every day.
The choice to purchase the brand, item, etc. that you previously purchased rather than looking at other brands or items: Purchase decisions can be divided into three categories: new task purchasing, modified rebuy decisions, and straight rebuy decisions.
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setting up data marts would probably help with the accessibility of information. what type of data marts would you suggest setting up for this company? make sure you explain who will benefit from the data marts you suggest
Setting up data marts provide user access to those who cannot otherwise access data.
What are data marts?
Data marts are one way to effectively turn data into insights in a world where big data and analytics are king. Large data volumes are normally handled by data warehouses, but data analysis needs immediately accessible and accessible data. Should a businessperson have to run difficult queries only to get the information they want for their reports? No—and for this reason, shrewd businesses employ data marts.
A subject-oriented database called a data mart is frequently a partitioned section of an enterprise data warehouse. A data mart's subset of data often corresponds to a certain business unit, such as sales, finance, or marketing.
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on april 12, hong company agrees to accept a 60-day, 10%, $5,100 note from indigo company to extend the due date on an overdue account payable. what is the journal entry made by indigo company to record the transaction? multiple choice debit accounts receivable $5,100; credit notes payable $5,100. debit notes payable $5,100; credit accounts payable $5,100. debit accounts payable $5,100; credit notes payable $5,100. debit sales $5,100; credit notes payable $5,100. debit cash $5,100; credit notes payable $5,100.
Notes payable is debited by $5,100, Interest expense is debited by $85 and cash is credited by $5,185.
Debit accounts receivable and credit billings on construction contract refers to a liability account that the contractor has billed the customer for work not yet done. So, the all contactors would prefer to be-placing the contractor ahead of the customer on a cash flow basis.
Initially, we calculate the interest number use this formula:
Interest = Principal Amount x Rate x Number of days : 360
Interest = $5,100 x 10% x 60/360
Interest = $510 x 0.167
Interest = $85
Thus, we calculate the cash to be paid:
Cash to be paid = Principal Amount + Interest
Cash to be paid = $5,100 + $85
Cash to be paid = $5,185
On the date of maturity, the journal entry to make the payment of note payable can be shown below:
Date Account Title and Explanation Debit Credit
April 12 Note payable $5,100
Interest expenses $85
Cash $5,185
(To record the payment of notes payable along with interest)
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which of the following statements is correct? question 27 options: a) a change in demand is a movement along the demand curve, and a change in quantity demanded is a shift of the demand curve. b) both a change in quantity demanded and a change in demand are movements along the demand curve, only in different directions. c) a change in quantity demanded is a movement along the demand curve, and a change in demand is a shift of the demand curve. d) both a change in quantity demanded and a change in demand are shifts of the demand curve, only in different directions.
Statement C is correct: A change in quantity demanded is a movement along the demand curve, and a change in demand is a shift of the demand curve.
A demand curve in economics is a graph that shows the relationship between a commodity's price (on the y-axis) and how much of it is demanded at that price (on the x-axis). Demand curves can be used to analyze the price-quantity connection for either a single consumer (an individual demand curve) or for all consumers in a specific market (a market demand curve).
Demand curves are often thought to slope downward, as the figure to the right illustrates. This is due to the rule of demand, which states that for most things, the quantity required decreases as the price increases. This rule does not apply in some peculiar circumstances.
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a machine had an estimated useful life of 5 years, but after 3 years, it was decided that the original estimate of useful life should have been 10 years. at that point, the remaining cost to be depreciated should be allocated over the remaining:
The answer is that the remaining cost to be depreciated should be allocated over the remaining of 7 years of useful life.
What is years of useful life?
It is an estimation of the average number of years an asset is considered useable before its value is fully depreciated. The IRS (Internal Revenue Service) employs useful life estimates to determine the amount of time during which an asset can depreciated. There are also many factors that will affect the useful life such as usage patterns, the age of asset at the time of purchase, and technological advances.
Now, let's calculate the years of useful life of the machine that given from the question.
Original life of the machine = 5 years
Revised useful life of the machine = 10 years
Life expired till the time of revision = 3 years
Remaining useful life as per estimates
= Revised useful life of the machine - original life of the machine
= 10 - 3
= 7 years
Therefore, the remaining cost to be depreciated should be allocated over the remaining 7 years of useful life.
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global marketers such as pepsico have embraced technology that enables them to form better relationships and communicate with customers. one of the benefits of e-marketing that pepsi enjoys is that
Global marketers such as PepsiCo have embraced technology that enables them to form better relationships and communicate with customers. one of the benefits of e-marketing that Pepsi enjoys is that marketers and customers can share information
What are global marketers?Generally, To achieve global goals, global marketing is described as "marketing on a global scale reconciling or utilizing global operational differences, similarities, and possibilities."
Global marketers like Pepsico have embraced technology because it helps them connect and engage with consumers more effectively. Pepsi profits from information sharing between marketers and consumers, which is one advantage of e-marketing.
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when critical path activities can be completed in parallel rather than sequentially, it is called .
Critical path activities can be completed in parallel rather than sequentially, it is called Assigning professionals full time to a project.
Project crashing is applied in important situations that require a fast and large extrude to a mission's important course. A important course is the roadmap of duties which is probably relying on each distinct and bring about mission completion. If one item gets delayed, the rest of the course does too. Fast tracking consists of the general overall performance of sports activities in parallel, at the same time as crashing consists of the addition of property to a mission. In fast tracking, there is progressed risk, at the same time as in crashing, there is progressed cost.
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a machine with a cost of $132,000 and accumulated depreciation of $87,000 is sold for $51,000 cash. the amount that should be reported as a source of cash under cash flows from investing activities is:
The amount that should be reported as a source of cash under cash flows from investing activities is $51,000.
Write a short note on cash flows.Generally speaking, cash flows from investment operations refer to funds earned or spent on long-term assets that the business has bought or sold. Cash outflows result from investing activities including the purchase of investment securities, business acquisitions, and capital expenditures for plant, property, and equipment Sales of non-current assets including machinery and equipment, companies, and investment securities generate inflows. The capital expenditures made to maintain the correct upkeep of and additions to a company's physical assets to support its effective operation and competitiveness are the category's most significant item for investors.
According to the explanation above, the $51,000 in cash received from the purchase of the machine should be reported under cash flow from investing operations.
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if the bidders at an oral auction have true values of $78, $72, $66, and $65, the item will sell for:
If the bidders at an oral auction have true values of $78, $72, $66, and $65, the item will sell for just under $78.
In the field of sociology, an oral auction can be described as a type of auction in which bidding for a project or thing is done orally. The bidding continues until the highest value is received and just that highest value remains.
Instead of normal bidding, a person has to pay money lesser than the highest value that was given in the bid. In the scenario above, as the highest value given was $ 78, so the person will have to pay a value lesser than $78.
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a few years ago, michael purchased a home for $292,000. today the home is worth $350,000. his remaining mortgage balance is $132,000. assuming michael can borrow up to 80 percent of the market value of his home, what is the maximum amount he can borrow?
The price at which a property would trade in a competition auction environment is known as its market value, or OMV. Despite the fact that these phrases have different meanings under various standards and can have variations in some situations, market value is usually used interchangeably with market price, fair value, and fair market value.
What is market value ?The cost that an asset would fetch on the open market or the assessment that the financial sector makes of a particular equity or company is known as market value, often known as OMV or "open market valuation."
The price at which a house would sell in a regular market is its market value. Sales occurring from unanticipated circumstances like a move, a relative's passing, or any other circumstance where the seller is forced to sell the home are excluded from this.
One of the main reasons market value is important is that it provides a straightforward method for determining how much an asset is worth, removing any uncertainty or confusion. A product's value is frequently seen differently by buyers and sellers in the market place.
The industry the company or asset is in, its overall profitability, how much debt it has taken on, and other factors all have an impact on market value.
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which of the following is not a reason why firms use budgets? a. operating leverage. b. performance evaluation. c. coordination. d. planning.
Operating leverage is not a reason why firms use budgets. A budget is a written plan that outlines how you want to spend your money each month. A budget ensures that you have adequate money each month.
A budget demonstrates how much money you make. Budgeting is the process of anticipating a company's revenues and expenses for a given period, with examples being the sales budget created to make an estimate of the company's sales and the production budget prepared to project the firms output, among others. Budgeting ensures that you do not spend more than you earn and allows you to plan for both short-term and long-term needs.
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chancellor ltd. sells an asset with a $1.8 million fair value to sophie inc. sophie agrees to make six equal payments, each to be paid one year apart, commencing on the date of sale. the payments include principal and 6% annual interest. compute the annual payments
$345332 will be the annual payments at 6% annual interest from the commencing on the date of sale one year apart.
Given data,
Loan Amount (P) = $1,800,000
Annual Interest Rate per year (r) = 6.00%
Loan Period (n) = 6 Years
the formula for Annual Interest is:
The Annual Payment will be,
= [P × {r × (1 + r)^n}] ÷ (1 + r)^n - 1
= [$1,800,000 x {0.06 x (1 + 0.06)^5}] ÷ [(1 + 0.06)^6 - 1]
= $345332
Hence, the annual payment is $345332
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herman company has three products in its ending inventory. specific per unit data at the end of the year for each of the products are as follows: product 1 product 2 product 3 cost $ 40 $ 110 $ 70 replacement cost 38 105 60 selling price 60 140 74 selling costs 5 48 12 normal profit 25 50 32 required: what unit values should herman use for each of its products when applying the lower of cost or market (lcm) rule to ending inventory
The replacement cost for product 2 is 85, and the market value, which excludes the typical profit margin, is $80. Since the market value is less than the replacement cost, we do not include the regular profit margin.
We use the lower of cost or market (LCM) criteria in this case, as indicated below:
For product 1,
The price is $20.
Market value = Selling price - selling cost - normal profit margin
= $40 - $6 - $5
= $29
Thus, $20 would be the lower value.
For Product 2
The Cost is $90
Market value = Selling price - selling cost
= $120 - $40
= $80
Thus, $80 would be the lower value.
For Product 3
The Cost is $50
Market value = Selling price - selling cost - normal profit margin
= $70 - $10 - $12
= $48
Therefore, $48 would be the lower value.
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the dwindling supplies of rare metals such as indium, tantalum, and platinum may be extended if we rigorously . group of answer choices relax environmental requirements for mining recycle existing supplies reduce demands for social and economic justice increase demand for the products in which they are used exploit known deposits more efficiently
The dwindling supplies of rare metals such as indium, tantalum, and platinum may be extended if we rigorously recycle existing supplies.
Recycling is the process of converting waste into fresh resources and goods. The healing of power from waste substances is often included in this idea. The recyclability of a fabric depends on its ability to reacquire the homes it had in its original country. it is an alternative to "conventional" waste disposal that may shop fabric and help decrease greenhouse fuel emissions. it is able to additionally prevent the waste of potentially beneficial substances and reduce the intake of clean uncooked substances, reducing power use, air pollutants (from incineration), and water pollution (from landfilling).
Recycling is a key factor of modern waste reduction and is the 1/3 element of the "lessen, Reuse, and Recycle" waste hierarchy. It promotes environmental sustainability by putting off uncooked cloth entries and redirecting waste output in the monetary gadget. There are a few ISO standards related to recycling, consisting of ISO 15270:2008 for plastics waste and ISO 14001:2015 for environmental control manipulation of recycling practice.
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according to michael porter, which of the following is a problem with many publicly traded companies?
According to Michael Porter, the statement that describe the problem with many publicly traded companies is many of this companies have defined value creation too narrowly in terms of financial performance. The Option B is correct.
What are publicly traded companies?As known as a public company, refers to a corporation whose shareholders have a claim to part of the company's assets and profits. Through free trade of shares of stock on stock exchanges or over-the-counter (OTC) markets, the ownership of a public company is distributed among general public shareholders.
Apart from its securities trading on public exchanges, a typica; public company is also required to disclose its financial and business information regularly to the public. If such company has public reporting requirements, it is considered a public company by the U.S. Securities and Exchange Commission (SEC)
Missing options "A. Shareholders of publicly traded companies do not have a legitimate claim on profits. B. Many publicly traded companies have defined value creation too narrowly in terms of financial performance. C. There is no transferability of stock ownership in publicly traded companies. D. The legal owners of publicly traded companies also make management decisions for the company.
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What is a major benefit sales people offer to their business?
A.
ability to answer any question a customer has.
B.
ability to arrange generous credit terms for customers.
C.
ability to create repeat sales opportunities.
D.
ability to calculate sales ratios.
The major benefit that sales people offer to their business is the ability to create repeat sales opportunities. Hence, Option C is correct.
Who are called sales people?Simply put, a sales representative represents a company's brand and sells goods or services on its behalf. They oversee client connections and function as the main point of contact from the time a lead is first contacted until a sale is made.
Without the fundamental knowledge of a product or service, a salesperson's charm, strong communication abilities, and organizational skills are useless.
If a salesperson is insufficiently knowledgeable about the product, there is nothing to discuss and nothing to sell to a potential customer.
Therefore, Option C is correct.
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explain why a well-capitalized domestic banking system might be important for the successful maintenance of a fixed exchange-rate regime.
Investors must have faith that the central bank will control interest rates in a way that is compatible with the currency peg for a fixed exchange rate system to succeed.
How do central banks keep exchange rates fixed?
The central bank must intervene and buy domestic currency by selling foreign exchange in order to preserve the fixed exchange rate. In order to return to the initial equilibrium at e, the intervention on the foreign currency market will reduce the domestic money supply and move the LM curve back to the LM. An important tool for moving short-term funds from lenders to borrowers is provided by money markets.
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