Selecting a small number of representatives testers and having them perform a task with a product is usability testing.
What is usability testing?
Usability Testing is a significant type of software testing technique, which is comes under the non-functional testing.
It is primarily used in user-centered interaction design on order to check the usability or ease of using a software product. The implementation of usability testing requires an understanding of the application, as it is extensive testing.
Generally, usability testing is performed from an end-user viewpoint to verify if the system is efficiently working or not.
Usability testing is one of the distinct testing techniques that identify the defect in the end-user communication of software product. And that's why it is also known as User Experience (UX) Testing.
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funds givern to a state by the national government with speical conditions attached are examples of a revenue sharing b project grants c categorical grants d block grants
Funds given to a state by the national government with special conditions attached are examples of categorical grants.
The federal government provides categorical grants to state and local governments, which they can use to fund particular initiatives within particular programs. Typically, the federal government requires localities and states to submit applications for categorical grants for particular purposes.
Block grants, in contrast to categorical grants, are not subject to as much administrative regulation and can be used for a wider range of purposes.
Grants for specific categories may be given out through a competitive process, as compensation for program expenses, or in accordance with a predetermined formula established by Congress or a government administrative body. According to a 1978 report by the Advisory Commission on Intergovernmental Relations, federal categorical assistance was first made available in 1862 when Congress passed the Morrill Act, allowing states to sell public lands to pay for land grant colleges.
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the formula to compute the units to purchase in a merchandise purchases budget is: multiple choice question. desired ending merchandise inventory units minus budgeted sales units plus beginning merchandise inventory units desired ending merchandise inventory plus budgeted sales units plus beginning merchandise inventory units budgeted sales units plus desired ending merchandise inventory units minus beginning merchandise inventory units desired ending merchandise inventory minus budgeted sales units minus budgeted beginning merchandise inventory units
Find out the combined value of the starting inventory, the ending inventory, and the cost of the commodities sold. Add finishing inventory to beginning inventory. The difference between the beginning and ending inventories should be multiplied by the cost of products sold.
How are the starting and final inventories determined?Add the cost of items sold from the previous period to the ending inventory to get the beginning inventory cost at the beginning of the accounting period. Subtract the quantity of stock you bought during that time from that total. The resultant figure is the starting inventory cost for the following accounting period.The price of the period's purchases is increased by the cost of establishing inventory. The price of the things that are for sale is this. To calculate the projected cost of goods sold, multiply sales by the gross profit %. To determine the ending inventory, deduct the cost of the items that are still available for sale from the cost of the items that were sold.To learn more about Ending inventory refer to:
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which of the following is an example of discretionary fiscal policy? a(n) group of answer choices decrease in lump-sum taxes. increase in the money supply. increase in social security entitlements provided by the federal government. decrease in interest rates.
The example of discretionary fiscal policy is decrease in lump-sum taxes.
Option A is correct.
What's discretionary fiscal policy?optional fiscal policy is the purposeful change of government expenses and duty collections by government to raise full employment, price stability, and profitable growth.
Why is discretionary fiscal policy significant?Discretionary fiscal policy aims to stabilize the frugality. It centrists the divagation in the affair gap( see macroeconomic equilibrium). It works to stimulate profitable growth during a depression and moderate the affectation rate and profitable growth during increment.
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according to herzberg, what do managers try to achieve by providing hygiene factors at appropriate levels?
Herzberg believes that proper management of hygiene factors can prevent employee dissatisfaction, but these factors cannot serve as a source of satisfaction or motivation. Good working conditions, for example, will keep employees working but will not make them work harder.
Customer Satisfaction Is Satisfying consumer needs is the desire of every company. Meeting consumer needs is not only an important factor for the company's survival, but also enhances its competitive advantage. Consumers who are satisfied with products and services are likely to repurchase and reuse services when the same need reappears in the future. This means that satisfaction is the main consumer repurchase factor that accounts for most of the company's sales volume.
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for what reasons was merchant capitalism in decline in the mid-1800s? multiple select question. industries that had developed in the northeast had crumbled due to a decline in shipping. there were greater opportunities for profit in manufacturing than in trade. british competitors were stealing america's export trade. no affluent merchant class emerged to finance industry.
America's export trade was being stolen by British competitors. Manufacturing offered more opportunities for profit than trade.
How do imports from the US affect the United States and its trading partners?Imports keep costs low and support jobs, allowing American businesses to compete and saving families real money at the register. faster annually than non-exporting plants. Additionally, exporting plants are less likely to fail. There are jobs supported by trade in a variety of industries.
Why is the US most affected by which trade agreement?NAFTA is the U.S. preferential agreement that has had the most significant impact on trade and the economy.
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On what ideology is Blake and Mouton’s Managerial/Leadership Grid based? (BLANK) theory suggests that traits are inherent, while conduct can be taught.
The Blake and Mouton’s managerial grid is based on the concern for production(tasks) and concern for people(relationships). The Great man theory suggests that traits are inherent, while conduct can be taught.
What do you mean by Blake and Mouton's managerial grid and Great Man Theory.As per the Managerial Grid, developed by Robert Blake and Jane Mouton, five different types of leadership based on their concern for the production and concern for the people are located in four quadrants.. According to the Great Man Theory leaders are born with the right traits and abilities for leading – charisma, intellect, confidence, communication skills, and social skills.
The concern for production is illustrated on the horizontal axis of the managerial grid and production became more important to the leader as his rating advances on the horizontal scale.
The Great Man Theory of Leadership emphasizes that great leaders are born, not made. These individuals come into the world possessing certain characteristics and traits not found in all people.
The Managerial grid is a useful device for identification and classification of managerial styles.
The essence of the Great Man Theory lies in the fact that those in power deserve to lead because of the traits they have been endowed with.
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in september, the board of directors of chaparral steel approved a stock split of 2-for-1. after the split, how many shares of chaparral steel stock will an investor have if he or she owned 1,100 shares before the split?
An investor have 550 shares if he or she owned 1,100 shares before the split.
What does the term "shares" mean?
Shares are fractional ownership interests in a corporation. For some businesses, shares are a type of financial instrument that allows for the equitable distribution of any declared residual profits in the form of dividends. A stock with no dividend payments does not distribute its income to its shareholders.
Equity shares and preference shares are the two main types.
Equity securities Ordinary shares are another name for equity shares. They are among the most prevalent types of shares.
Companies issue stock to raise funds for operating expenses. These shares reflect ownership in the company and confer ownership rights on the holder. The shareholder receives a specified number of rights by acquiring shares.
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dev's group has successfully accomplished its task of writing a new policy for the quality assurance team and is preparing to dissolve. which life cycle stage is this group currently in? a.) storming b.) performing c.) norming d.) adjourning
Writing a new policy for the quality assurance team was a task Dev's group was tasked with, and they are now getting ready to disband. This group is currently in the Adjourning life cycle stage.
What is the Stage of Adjournment?In this last phase of group development, participants get ready to part ways. To achieve closure and come to a successful conclusion are the primary objectives of the adjourning stage. Group members require time to consider their personal contributions and development.
The meeting is winding down with most of the team's goals accomplished. The emphasis is on completing last-minute tasks and documenting the labor and results. As the workload diminishes, specific team members might be moved to other teams, which would result in the team's dissolution.
What does it mean to adjourn?The assembly's business is finished at the adjourned meeting. An item of business may be tabled until the meeting that follows the adjourned one. The meeting that was adjourned had to be scheduled before the assembly's subsequent regular meeting.
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which path is used when there is a business need for the deliverables to be implemented without delay by the organization? close and start a new project kill the project close and deliver as is extend the project
All of the outputs—tangible or intangible—submitted within the scope of a project are referred to as project deliverables.
Although the term initially conjures up images of the final outputs that are submitted at the conclusion of a project, it actually refers to any output related to the project that is submitted during any phase of the project.
Who is in charge of project delivery?The project manager is in charge of ensuring that the project is completed, even if the entire team is working on a single deliverable. They are responsible for keeping an eye on the project's progress and ensuring that all deliverables, big and small, are completed by the due date.
What are the anticipated project implementation deliverables?All of the products or services that you and your team provide for the sponsor, client, or customer, as well as the project management documents that you create, are considered deliverables for your project.
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What are the three elements that are required in order to have successful operations and supply chain management?.
Strategy, business process, and business analysis are the three components that must be integrated for operations & supply chain management to be effective.
The following is the justification:
Strategy: For the individual and the business, strategy was crucial. Planning is crucial in this situation so that things can be carried out more effectively.
Business data analysis: The data of the company can be analyzed to identify the issue and quickly find a solution.
Business process: The business process might include aspects of production, marketing, and finance that support operations and the supply chain.
Therefore we can conclude that the three elements that require integration to be successful for operations & supply chain management is strategy, business process, and the business analysis.
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An employee tells their employer how much income tax to withhold from their taxable wages by completing what form?.
An employee tells their employer how much income tax to withhold from their taxable wages by completing Form W-4.
A Form W-4 can be described as a form that makes the employee aware of the deductions that are to be made from his pay as a result of federal income tax.
A form W-4 makes the employer aware of the revenue status of his employee.
Based on the form W-4, an employer learns about the amount of money that e has to deduct or withhold from the original pay of a person due to the listed deductions such as taxes.
This form is a valuable asset in making aware the employer of the necessary deductions to be made from the pay of his employees.
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what strategic thinking tool might one use to model probable outcomes for a stock market investment of $1,000?
SWOT Analysis Scenario Planning Decision Tree Formal Decision Theory Correct. Formal decision idea employs statistical probabilities or numerical values to strategize about doable outcomes.
What is SWOT evaluation and examples?SWOT stands for Strengths, Weaknesses, Opportunities, and Threats. Strengths and weaknesses are interior to your company—things that you have some control over and can change. Examples consist of who is on your team, your patents and intellectual property, and your location.
What are threats in SWOT?Threats in SWOT are areas with the workable to purpose problems. Different from weaknesses, threats are exterior and out of your control. This can include anything from a international pandemic to a exchange in the competitive landscape.
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https://brainly.com/question/28506368#SPJ4which of the following is shown on the income statement of both merchandising and service companies? a. gross profit b. operating expenses c. cost of goods sold d. sales revenues
Operating expenses is the income statement of both merchandising and service companies.
Where are the Operating expenses ?A company's operating expenses are listed below the line on the income statement. They may be divided into several line items for various categories of expenses, or they may be reported as a single line item occasionally.
An continuing cost for maintaining a system, a business, or a product is known as an operating expense, operating expenditure, operational expenditure, operational expenditure, or opex. The cost of developing or providing non-consumable pieces for the product or system is its counterpart, a capital expenditure.
The costs of doing business are known as operating expenses, commonly referred to as selling, general, and administrative expenses (SG&A). Rent and utilities, sales and accountancy, marketing and advertising, and management and administrative wages are among them.
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consider two firms, with and without, that have identical assets that generate identical cash flows. without is an all-equity firm, with 1 million shares outstanding that trade for a price of $24 per share. with has 2 million shares outstanding and $12 million in debt at an interest rate of 5%. in a perfect capital market, the stock price for with is closest to: a) $8.00 b) $24.00 c) $6.00 d) $12.00
The capital structure theory of Modigliani and Miller states that a company's valuation is unaffected by its capital structure. A company's capital structure is how it funds its operations.
A company can raise money for its operations through equity or debt. This theory is based on some presumptions, and according to these presumptions, a company's capital structure has no bearing on whether it chooses to finance its operations with debt or equity.
The total value of With and Without must be the same as under MM's perfect capital market, assuming MM's perfect capital conditions are met.
What are the Modigliani-Miller model's four main assumptions?
The Modigliani-Miller Theory only holds under four conditions: there are no taxes, there are no costs associated with bankruptcy, symmetric information, and equal borrowing costs.
What are the MM theory of capital structure's presumptions?
Companies that operate in a world of perfectly efficient markets are assumed to pay no taxes, securities trading is carried out without incurring any transaction costs, bankruptcy is possible but incurs no costs, and information is perfectly symmetrical.
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shelby wants to cash in her winning lottery ticket. she can either receive semi-annual payments of $100,000 each starting today, for 4 years, or she can receive a single-amount payment today based on a 6% annual interest rate. what is the single-amount payment she can receive today that would be equivalent to the present value of the semi-annual payments?
The sum that would be paid to her today in order to equal the present value of the semi-annual payments 723,028.30
demonstrating Computations
Time Amount PVF at 6/2% PV
- 100,000.00 1.0000 100,000.00
0.50 100,000.00 0.9709 97,087.38
1.00 100,000.00 0.9426 94,259.59
1.50 100,000.00 0.9151 91,514.17
2.00 100,000.00 0.8885 88,848.70
2.50 100,000.00 0.8626 86,260.88
3.00 100,000.00 0.8375 83,748.43
3.50 100,000.00 0.8131 81,309.15
723,028.30
How is a single amount determined?
The amount invested or saved, multiplied by one plus the interest rate to the nth power, where n is the number of compounding periods over which the principal is kept or invested, determines the future value of a single sum of money.
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apple used informative television ads to highlight the benefits of its iphone over rival cell phones that used the android operating system. what type of advertising was this?
Apple used informative television ads to highlight the benefits of its iPhone over rival cell phones that used the android operating system. Competitive advertising was shown here.
Companies utilize competitive advertising to set themselves apart from rivals. In this strategy, two brands are placed next to one another to demonstrate to consumers how they differ. Some businesses specifically mention the rival, while others merely refer to them as "the major competitor" or "brand X."
Comparative advertising, also known as combative advertising, refers to a type of advertisement in which a certain product or service directly names a rival in order to demonstrate why the rival is inferior to the product naming it.
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the following table shows prices and quantities in the hypothetical economy of moneyville for two different items in two different years. assume these are the only two items produced in this economy. prices and output in a two-item economy good 1 good 2 year price output price output year 1 $5 50 10 25 year 2 9 40 15 10 instructions: enter your answers as a whole number. a. calculate nominal gdp for year 1 and year 2. year 1 nominal gdp: $ 500 year 2 nominal gdp: $ 510 nominal gdp increases between year 1 and year 2. b. calculate real gdp for year 1 and year 2 using year 1 as the base year. year 1 real gdp: $ year 2 real gdp: $ real gdp decreases between year 1 and year 2.
Assume these are the only two items produced in this economy.Real GDP redused between 1st year and 2nd year.
Nominal GDP year 1 = Price (Good 1) (Year 1) x Quantity (Good 1) (Year 1) + Price (Good 2) (Year 1) x Quantity (Good 2) (Year 1) = 8*30 + 11*20 = 240 + 220 = 460
Nominal GDP year 2 = Price (Good 1) (Year 2) x Quantity (Good 1) (Year 2) + Price (Good 2) (Year 2) x Quantity (Good 2) (Year 2) = 16*20 + 15*18 = 320 + 270 = 590
Hence nominal GDP increases between year 1 and year 2
Real GDP year 1 = Price (Good 1) (Year 1) x Quantity (Good 1) (Year 1) + Price (Good 2) (Year 1) x Quantity (Good 2) (Year 1) = 8*30 + 11*20 = 240 + 220 = 460
Real GDP year 2 = Price (Good 1) (Year 1) x Quantity (Good 1) (Year 2) + Price (Good 2) (Year 1) x Quantity (Good 2) (Year 2) = 8*20 + 11*18 = 160 + 198 = 358
Real GDP is redused between 1st year and 2nd year.
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who generally takes responsibility for reporting required information on form 1099-s after a real estate closing?
The seller generally takes responsibility for reporting required information on form 1099-s after a real estate closing.
A real estate is a form of real belongings, which means that it's far something you personally are connected to a bit of land. it is able to be used for residential, business, or business purposes, and usually includes any sources on the land consisting of water or minerals.
Real property refers to real, or bodily, property, and may encompass land, homes, air rights above the land, and underground rights below the land. As an enterprise term, the actual estate also refers to producing, buying, and promoting property.
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The cost and value of inventory increase as materials move down the supply chain. One way operations and supply chain managers counteract the negative aspect of this fact is by?.
Inventory pooling is one method operations and supply chain managers combat the unfavorable impact of this phenomenon.
The method of inventory pooling is frequently employed to manage supply chain unpredictability. Naturally, a customer's decision to buy is also influenced by the products that are offered at a specific business. Therefore, a centralized inventory system with a lengthy lead time for delivery runs the danger of losing sales to clients who are concerned about the availability of their products. We investigate how inventory pooling functions when customers who are concerned about product availability cancel a given purchase if the products are not available at a particular store, assuming a supply chain with a supplier and many retailers. We investigate who should stock items by creating a model with two random variables: Poisson demand and Bernoulli consumer response to out-of-stock.
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your balance from the previous month is $850. on the 5th day of the billing cycle, you charged $280. on the 7th day of the billing cycle, you charged $125. on the 10th day of the billing cycle, your account was credited with a payment of $350. on the 20th day of the billing cycle, you charged $500. on the 25th day of the billing cycle, another payment was credited to your account for $500. your billing cycle is 28 days in length and you pay 18.99% apr. find the finance charges for this scenario.
Any fee related to borrowing credit is considered a finance charge. Finance charges are a tool credit card companies employ to offset the risk of non-payment.
What are some instances of finance charges?These financing costs include items like credit card annual fees, account maintenance fees, penalties for paying loans or credit cards after the due date, and transaction fees for accounts. By paying off the entire balance on your credit card each month, you can reduce finance charges.
Day Opening Balance Purchase/charge Payment Closing Balance
1 850 0 0 850
2 850 0 0 850
3 850 0 0 850
4 850 0 0 850
5 850 280 0 1130
6 1130 0 0 1130
7 1130 125 0 1255
8 1255 0 0 1255
9 1255 0 0 1255
10 1255 0 350 905
11 905 0 0 905
12 905 0 0 905
13 905 0 0 905
14 905 0 0 905
15 905 0 0 905
16 905 0 0 905
17 905 0 0 905
18 905 0 0 905
19 905 0 0 905
20 905 500 0 1405
21 1405 0 0 1405
22 1405 0 0 1405
23 1405 0 0 1405
24 1405 0 0 1405
25 1405 0 500 905
26 905 0 0 905
27 905 0 0 905
28 905 0 0 905
Total 29,120.00
No.of days 28:00
Avg. Daily balance 1,040.00
Now interest amount/finance charges = average daily balance × APR/365 × no. of days
= 1040 × 18.99%/ 365× 28
= 0.5410849 × 28
= 15.15
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when a product is offered in a foreign market, but cultural differences slow down the diffusion process, it would most likely be attributed to low levels of
A product is offered in a foreign market, but cultural differences slow down the diffusion process, it would most likely be attributed to low levels of Compatibility.
An essential first step in adapting a product to a overseas marketplace is to decide the diploma of newness as perceived through the supposed marketplace. The that means and cost imputed to the mental attributes of a product can range amongst cultures and are perceived as bad or positive.Maturity is the height and the very best factor of the cycle. It's while the product reaches its most capability and income and starts to stabilize. That would not imply your income may not grow, you simply may not revel in the equal fast stages of increase as before.
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would a profit-maximizing firm continue to operate if the price in the market fell below its average cost of production? provide a novel example and explain.
A profit- maximising firm will continue to operate even if price falls below average cost, as long as price is above average variable cost.
A company makes an economic profit—above normal profit—by producing at the level that balances marginal revenue and marginal cost if pricing is higher than average total cost. But if the price drops below the average total cost, the business loses money.
The total cost of production divided by the number of units produced is known as the average cost of production. Simply put, average cost is determined by dividing the total production cost by the quantity of units produced.
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he gilbert instrument corporation is considering replacing the wood steamer it currently uses to shape guitar sides. the steamer has 6 years of remaining life. if kept, the steamer will have depreciation expenses of $650 for 5 years and $325 for the sixth year. its current book value is $3,575, and it can be sold on an internet auction site for $4,215 at this time. if the old steamer is not replaced, it can be sold for $800 at the end of its useful life. gilbert is considering purchasing the side steamer 3000, a higher-end steamer, which costs $11,600 and has an estimated useful life of 6 years with an estimated salvage value of $1,300. this steamer falls into the macrs 5-years class, so the applicable depreciation rates are 20.00%, 32.00%, 19.20%, 11.52%, 11.52%, and 5.76%. the new steamer is faster and allows for an output expansion, so sales would rise by $2,000 per year; the new machine's much greater efficiency would reduce operating expenses by $1,700 per year. to support the greater sales, the new machine would require that inventories increase by $2,900, but accounts payable would simultaneously increase by $700. gilbert's marginal federal-plus-state tax rate is 25%, and the project cost of capital is 15%. what is the npv of the project? do not round intermediate calculations. round your answer to the nearest dollar.
The correct answer is yes, we should replace the old steamer and Net Present Value of the Project is $1,330.
Calculation of Initial Investment
Initial Investment = Cost of New Machine + Investment of Net Working Capital - After-Tax Salvage Value of Old Machine today
Cost of New Machine = $13,000
Investment in Net Working Capital = Increase in Inventory - Increase in Accounts Payble = $2,900 - $700 = $2,200
Salvage Value of Old Machine today = $4,150
Current Book Value of Old Machine = $3,575
After-Tax Salvage Value of Old Machine today = Salvage Value - (Salvage Value - Current Book Value) * Tax rate = $4,150 - ($4,150 - $3,575) * 40%
= $4,150 - $230 = $3,920
Initial Investment = Cost of New Machine + Investment in Net Working Capital - After-Tax Salvage Value of Old Machine today
= $13,000 + $2,200 - $3,920 = $11,280
Calculation of Additional Terminal Cash Flow in Year 6
Additional Terminal Cash Flow in Year 6 = After-Tax Salvage Value of New Machine + Recovery of Investment in Net Working Capital - Loss of After-Tax Salvage Value of Old Machine
After-Tax Salvage Value of New Machine = Salvage Value of New Machine* (1 - Tax Rate) = $1,300 * ( 1 - 0.40) = $780
After-Tax Salvage Value of Old Machine = Salvage Value of Old Machine * ( 1- Tax Rate) = $800 * ( 1 - 0.40) = $480
Additional Terminal Cash Flow in Year 6 = After-Tax Salvage Value of New Machine + Recovery of Investment in Net Working Capital - Loss of After-Tax Salvage Value of Old Machine = $780 + $2,200 - $480=$2,500
Net Incremental Cash Flow in Year 6 = Incremental Operating Cash Flow in Year 6 + Additional Terminal Cash Flow= $2,329.52 + $2,500
= $4,829.52
Calculation of Net Present Value of Replacement Project
Net Present Value = Present Value of Annual Net Incremental Cash Flow - Initial Investment = $12,610.44 - $11,280 = $1,330.44 = $1,330 (rounded off)
Since the Replacement Project will result in Positive NPV, therefore we should replace the Old Steamer.
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if a listing sales associate shows a property to a ready, willing and able buyer what is he not permitted to do?
The listing sales representative is prohibited from:
give the purchaser erroneous or misleading information regarding the property
omit important details about the property
inspire the purchaser to submit a bid that is not in their best interests
assets refer to both the set of rights that furnish people prison authority over precious items as well as the real treasured gadgets themselves. relying on the assets' nature, the owner can be able to devour, regulate, share, redefine, hire, mortgage, pawn, sell, exchange, transfer, deliver away, or even abandon the belongings; but, regardless of the belongings' nature, the owner is usually entitled to apply the belongings in accordance with the granted belongings rights.
The primary unit of possession is recorded within the land books, land registers, or equivalent. it is described through unique ownership and homogeneous real property rights and may encompass one or more adjacent or geographically separate parcels.
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the term community refers to a company's area of local business influence. group of answer choices true false
The region of a business's influence on the local economy is referred to as its community.True.
What exactly is community economy?
Localized business activity is frequently referred to as a "community economy."We do not employ it in this manner.Our collective project challenges conventional definitions of "community" and "economy," resulting in a new way of understanding and engaging with work-and-life practices.
What effect does business have on the community?
To encourage more people to remain in the area, increasing the number of local businesses means creating more jobs.This not only lets people work closer to where they live, but it also improves the community's quality of life by making the community more self-sufficient, bringing people together, and raising city revenue.
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the advantage of extending credit to customers is that it helps customers to buy products and services, thereby increasing the seller's revenue. the disadvantages of extending credit are costs related to . multiple choice question.
The disadvantages of extending credit are costs related to Increased wage costs, Bad debt costs and Delayed receipt of cash.
Credit is the trust that allows one party to provide money or resources to another party in exchange for the second party promising to repay or return those resources at a later date rather than repaying the first party immediately.
A credit is an entry in personal banking or financial accounting that shows that money has been received. Credits (deposits) are usually on the right side of a checking account register, and debits (money spent) are on the left.
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a nation that imposes a fixed charge of $3 per barrel of oil imported into the country is relying on which instrument of trade? specific tariff gatt tariff subsidies import quotas antidumping duties
A nation that imposes a hard and fast price of $three in step with the barrel of oil imported into the united states is counting on which device of exchange: A) specific tariff.
Change is the pastime of purchasing, selling, or changing goods or offerings among people, firms, or international locations. The ministry had direct control over each aspect of overseas change. ... negotiations on a brand new international change agreement.
Trade as a noun can seek advice from the motion of purchasing-promoting or changing items and services among human beings, businesses, countries, and other entities. The time period is often synonymous with 'trade. ' it can also confer with a specific industry such as the construction, traveling, or fur trades.
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what's one of the main motivations for individuals in the economic system of capitalism? question 19 options: a) humanitarian concerns b) religion c) divine right d) profit
Profit is one of the main motivations for individuals in the economic system of capitalism.
The economic system known as capitalism promotes and permits private ownership of companies that work to make a profit. Nations all across the world use a variety of economic systems, including capitalism and socialism. The most basic type of capitalism is frequently referred to as a free market economy. Communism is a popular variety of socialism. The economic system known as capitalism bases prices on supply and demand and relies on a free market to decide the most effective distribution of resources.
The two-class system, private ownership, profit motive, minimum government intervention, and competition are only a few of the many distinct features of capitalism.
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The taco bell employee’s quote supports schlosser’s argument in this excerpt because it.
The Taco Bell employee's quote supports Schlosser's argument during this excerpt because it emphasizes the obsession with consistency and standardization within the aliment business.
The taco bell employee's quote supports Schlosser's argument during this excerpt because of providing personal opinions regarding the operation.
The excerpt from aliment Nation that best illustrates the author's use of the rhetorical charm logos is "English is currently the second language of a minimum of a common fraction of the nation's eating house staff, and regarding the simple fraction of that cluster speaks no English at all."
The primary tenets he uses are unit logos, pathos, and ethos. One of the tenets of rhetoric that he uses is logos, which is an act of persuasion.
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a 7.5 percent coupon bond with nine years left to maturity is priced to offer a 10.4 percent yield to maturity. you believe that in one year, the yield to maturity will be 8 percent. what is the change in price the bond will experience in dollars? (assume interest payments are semiannual and par value is $1,000.)
A 7.5 percent coupon bond with nine years left to maturity is priced to offer a 10.4 percent yield to maturity. $122.47 is the change in price the bond will experience in dollars
Calculating the problem:First we need to calculate duration of the bond using below formula:
Duration = [(1+YTM/2) /YTM] - [(1+YTM/2) + M(C-YTM)]/YTM + C[(1+YTM/2)2M - 1]
C = annual coupon rate i.e.7.5%; YTM = yield to maturity i.e. 10.4%; M = bond maturity i.e. 9 years
Duration = [(1+0.104/2)/0.104] - [(1+0.104/2) + 9(0.075-0.104)]/0.104 + 0.075[(1+0.104/2)2 × 9 - 1]
Duration = [(1+0.052)/0.104] - [(1+0.052) + 9(-0.029)]/0.104 + 0.075[(1+0.052)18 - 1]
Duration = (1.052/0.104) - (1.052 - 0.261)/0.104 + 0.075[(1.052)18 - 1]
Duration = 10.12 - (0.791)/0.104 + 0.075(2.49 - 1)
Duration = 10.12 - (0.791)/0.104 + 0.075 × 1.49
= 10.12 - (0.791)/0.104 + 0.112
= 10.12 - (0.791)/0.216
Duration = 10.12 - 3.66 = 6.46 Years
% change in bond price = Modified duration × change in YTM
Modified duration = duration/(1+YTM/2)
= 6.46/(1+0.104/2)
= 6.46/1.052
= 6.14
% change in bond price = 6.14× (0.104 - 0.08)
= 6.14 × 0.024
= 0.147 or 14.7%
Bond price will increase by 14.7%.
N= matuity = 9×2 = 18;
I/Y = YTM = 10.4%/2 = 5.2%;
FV = par value = 1,000;
PMT = coupon = 1,000 × 7.5%/2 = 37.5 > CPT = compute > PV = current price = 833.12
Change in price in dollars = $833.12 × 14.7%
= $122.47
Coupon bond:A coupon bond, also pertain to as a deliverer bond or bond coupon, is a debt commitment with tickets attached that represent semiannual interest payments. With coupon bonds, there are no records of the purchaser kept by the issuer; the purchaser's name is also not published on any kind of instrument.
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