Term Answer Description Pooled diversification A. This is a type of investment asset that owns and manages a pool of real estate assets to generate returns for its investors that includes both income-producing properties as well as mortgage loans. This fund offers its investors income which is often free from federal income tax and is mostly attractive to investors in high tax brackets This plan enables automatic withdrawals from an investors account periodically for investments. This term is used to describe the technique which allows investors to buy a diversified portfolio of securities for the collective benefit of individual investors Net asset value B. C. Tax exempt money fund Automatic reinvestment plan Automatic investment plan Systematic withdrawal plan Conversion privilege D. E This is an investment asset usually real estate, bought with the goal f earning periodic income in the form of rent or lease This is a specific type of real estate investment trust that owns and operates income-producing real estate This term refers to the value of a mutual fund which is the value of the entire assets of the fund minus the value of the fund's liabilities. F. G. H. This plan is created for investors looking for a steady stream of income by allowing shareholders to withdraw returns on a periodic basis. I. This feature is mostly offered by mutual fund families making it easier Real estate investment trust and less costly for investors to shift their money among mutual funds in the family that meet their investment goals. Equity REITs . This is an optional investment program that allows investors to reinvest the capital gains and other income earned into additional shares of the mutual fund

Answers

Answer 1

Net asset value - This is a type of investment asset that owns and manages a pool of real estate assets to generate returns for its investors that includes both income-producing properties as well as mortgage loans.

Tax exempt money fund - This fund offers its investors income which is often free from federal income tax and is mostly attractive to investors in high tax brackets

Automatic investment plan - This plan enables automatic withdrawals from an investors account periodically for investments.

Pooled diversification - This term is used to describe the technique which allows investors to buy a diversified portfolio of securities for the collective benefit of individual investors

Income property - This is an investment asset usually real estate, bought with the goal of earning periodic income in the form of rent or lease

Real Estate Investment Trusts - This is a specific type of real estate investment trust that owns and operates income-producing real estate

Net asset value - This term refers to the value of a mutual fund which is the value of the entire assets of the fund minus the value of the fund's liabilities.

Systematic withdrawal plans - This plan is created for investors looking for a steady stream of income by allowing shareholders to withdraw returns on a periodic basis.

Conversion privilege - This feature is mostly offered by mutual fund families making it easier Real estate investment trust and less costly for investors to shift their money among mutual funds in the family that meet their investment goals.

Automatic reinvestment plan - This is an optional investment program that allows investors to reinvest the capital gains and other income earned into additional shares of the mutual fund.

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Related Questions

which of the following types of fitness-related businesses is defined as for-profit facilities that offer fitness services as well as raquet sports, pools, and gymnasiums?

Answers

Finding the most and least profitable organizational units depends on understanding profit centers. They work by distinguishing between several revenue-generating pursuits.

This makes it easier to cross-compare and conduct more precise analyses across divisions. A branch or division of a business that directly contributes to or is anticipated to contribute to the overall bottom line is referred to as a profit center. It is handled as a distinct, stand-alone company that generates its own revenues and profits. Its revenues and expenses are computed independently from those of the rest of the company. The phrase "profit center" was first used in 1945 by Peter Drucker.

A branch or division of a business that directly contributes to the bottom line profitability of the company is known as a profit center.

When accounting for its revenues, a profit center is handled as a distinct business.

A cost center, business division, or department that doesn't bring in money is the antithesis of a profit center.

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An installment sale is any sale where at least a portion of the sales proceeds is recognized in a subsequent taxable year.
True
False

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It is true that an installment sale is a sale in which at least a portion of the sale proceeds is recognized in a future tax year.

What is the purpose of installment sales?

Installment sales are a form of revenue recognition in which revenue and expenses are recognized when money is exchanged. Installment sales require the buyer to make regular payments. This method is useful for taxpayers who want to defer capital gains to future years.

Installment sales do not require multiple payments over several years. For example, a sale by a taxpayer for a calendar year ending December 31, 2021 and paid on January 1, 2022 would be considered an installment sale because at least one payment would be made in the year following the year of sale.

Do installment sales require interest?

Installment sale agreements provide that deferred payments include interest or require interest payments in addition to the principal payment. The contractually stated interest is called the reported interest.

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What are the factors of capital formation?

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Savings Volume, Savings Capacity, Savings Willingness, Public Sector Enterprise Profit, Market Conditions, Investment Facilities, Modifying Income Taxation Policies, Monetary Policy.

In a corporation, what exactly is capital?

A company's capital is the funds it has on hand to cover both its ongoing expenses and potential future expansion. Cash management, debt, equity, and trade capital are the four main categories of capital. Stock brokers and other financial entities employ trading capital.

Does "capital" imply money?

The term "capital" in corporate and commercial finance refers to everything that a company or business owner may employ to create greater value. Currency and other assets, including investments, real estate, financial securities, and copyrights, are sometimes referred to as capital.

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many low-income households use supplemental nutrition assistance program (snap) debit cards to purchase household items such as detergents and soaps.

Answers

The statament that Many low-income households use supplemental nutrition assistance program (snap) debit cards to purchase household items such as detergents and soaps is false.

What is supplemental nutrition assistance program?

The Supplemental Nutrition Assistance Program (SNAP)  can be described as the largest federal nutrition assistance program which can be seen as the program that provides benefits to eligible low-income earners.

It should be noted that those that are  found eligible, will receive SNAP benefits on an Electronic Benefit Transfer (EBT) card,  and the process can be seen to operate like that of the debit card, however the  Benefits are automatically loaded intothe account of the beneficiary each month. and one can actually can use your EBT card to buy groceries at authorized food stores and retailers.

Therefore, the above statement is not true .

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complete question

TRUE OR FALSE many low-income households use supplemental nutrition assistance program (snap) debit cards to purchase household items such as detergents and soaps.

To immunize your portfolio, you should: A. avoid callable bonds. B. match bond maturity dates to your target dates. C. match bond durations to your target dates D. purchase only par value bonds E, purchase only high-coupon bonds

Answers

Bond durations should be matched to your target dates in order to immunize your portfolio. A bond is less likely to be volatile the shorter its duration is.

How long do bonds have ratings?

The length of the bond can be used to estimate how much a change in interest rates will likely impact bond prices. To be more specific, bond duration is a measure of interest rate risk. Understanding bond length helps investors determine how bonds fit into a bigger investment portfolio.

How do the length and maturity of bonds compare?

Duration is not the same as a bond's maturity date even if it is measured in years. Having stated that, the issue date and maturity date of a bond are crucial components in calculating duration

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banks are financial intermediaries that use assets to finance investments of borrowers. please choose the correct answer from the following choices, and then select the submit answer button. answer choices illiquid; liquid illiquid; illiquid liquid; illiquid liquid; liquid

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Banks are financial intermediaries that use liquid assets to finance the illiquid investments of borrowers.  Thus, option B: 'liquid illiquid' is the correct answer.

Liquid assets refer to assets that can quickly and easily be converted into cash in a short period of time. Liquid assets include items like money market instruments, marketable securities, and cash. For the purposes of financial accounting, the liquid assets of a company are reported on its balance sheet as current assets. In contrast, illiquid investments refer to those assets that cannot be quickly and easily converted into cash, at least for their fair market value. Usually, banks use liquid assets to finance the illiquid investments of borrowers.  

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TRUE/FALSE. identification is the express designation of the goods provided for in a contract, and the parties to the deal can agree in their contract when this will take place.

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Identification is the express designation of the goods provided for in a contract, and the parties to the deal can agree in their contract when this will take place.

Thus, the correct option is True.

What is Identification?

A description in writing of the products or services mentioned in an application. An identification of the goods and/or services must be included with every application.

The USPTO will return your application and refund your fee if you omit to identify any identifiable goods or services.

Applicants should use short, plain language—i.e., familiar commercial names and terminology that the general public may easily understand—when describing the goods and/or services.

Please take note that the terminology in the "International Classification of Classes of Goods and Services" class headers or short titles are typically too wide and should not be used alone as an identification.

Additionally, listing just an international class number is never acceptable. a collection of appropriate phrases for goods and services.

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assume the economy is currently producing at short-run equilibrium point a. in fear that the economy is expanding beyond its long-run capabilities, government officials decide to raise taxes. click on the equilibrium point that results from this fiscal policy decision.

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The exceptionally high level of aggregate demand will cause price levels to rise through inflation. A fiscal policy that is more restrictive might cause the level of aggregate demand to drop from AD0 to AD1, which results in a new equilibrium output at potential GDP, or E1.

Fiscal policy is the use of public expenditure and taxation to affect the economy, particularly macroeconomic conditions. These include employment, inflation, economic expansion, and the total demand for goods and services. The shift in the overall demand for goods and services is the immediate result of fiscal policy. For instance, a fiscal expansion can increase aggregate demand in one of two ways. First, if government spending rises but taxes stay the same, demand rises immediately. Tax reductions and greater public expenditure are the two main manifestations of expansionary fiscal policy. Both of these measures aim to boost overall demand while reducing budget surpluses or adding to deficits.

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The _____provides an entrepreneur a way to assess a firm's ability to meet all its obligations (short and long-term).

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The debt ratio provides an entrepreneur a way to assess a firm's ability to meet all its obligations (short and long-term).

A debt ratio is a financial ratio that measures how much leverage a company has. A decimal or percentage expression of the ratio of total debt to total assets is referred to as the debt ratio. You might think of it as the percentage of a company's assets that are financed by debt.

A ratio greater than one indicates that a significant portion of a company's assets are financed by debt, indicating that the company has more liabilities than assets. In the event of a rapid spike in interest rates, a company with a high ratio may be at risk of loan default. When a company's assets are backed by equity to a larger extent than debt, the ratio is lower than 1.

The formula for calculating a company's debt ratio is:

Debt ratio=  Total assets / Total debt

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The stock price of Bravo Corp. is currently $100. The stock price a year from now will be either $160 or $60 with equal probabilities. The interest rate at which investors invest in riskless assets is 6%. Using the binomial OPM, the value of a put option with an exercise price of $135 and an expiration date 1 year from now should be worth __________ today.
$34.09
$37.50
$38.21
$45.45
I know the answer should be 38.21.
I want to know how to get this answer?
Thank you so much!

Answers

The stock price of Bravo Corp. is currently $100. The stock price a year from now will be either $160 or $60 with equal probabilities. The interest rate at which investors invest in riskless assets is 6%.

The use of the binomial OPM, the cost of a positioned option with an exercising rate of $a hundred thirty five and an expiration date 1 yr from now should be well worth $38.21 these days.

In finance, stock (moreover capital inventory) consists of all the stocks via the use of which possession of a commercial enterprise corporation or business enterprise is split.

A single percentage of the inventory way fractional ownership of the agency in proportion to the complete sort of shares. This generally entitles the shareholder (stockholder) to that fraction of the enterprise's profits, proceeds from the liquidation of property (after discharge of all senior claims together with secured and unsecured debt), or voting power, often dividing the ones up in percent to the range of coins each stockholder has invested.

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question mode multiple select question select all that apply which of the following cash flows are classified as operating activities? (check all that apply.) multiple select question. cash for reacquiring common stock into treasury cash from revenue earned in daily transactions cash for purchasing a warehouse to be used in the business cash flow causing decrease in current liabilities cash from sale of investments payment of dividends

Answers

Operating activities are defined as cash flows that reduce current obligations and cash generated from everyday transactions. The correct response is options (2) and (4).

Define Operating activities.

The tasks a company performs that are directly relevant to offering its products and/or services to the market are referred to as operating activities. A product or service is manufactured, distributed, marketed, and sold. These are the company's primary commercial activities.

The majority of a company's cash flows are produced by its operating activities, which are closely related to its main business operations, such as sales, distribution, production, and so on. These operations also define the profitability of the company.

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Unhappy customers will not usually respond to incentives like company apologies, problem solutions, or restorative benefits.
False
True

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Dissatisfied customers typically won't be persuaded by rewards like company apologies, problem remedies, or reparative bonuses. TRUE.

Are customers using correct grammar?

Use the word customer' with an apostrophe after the letter "s" when referring to numerous clients. Use an apostrophe sparingly if a possessive signal is not necessary. By adding a "s" after the word or contraction, apostrophes can be used to indicate omitted words or contractions.

Why are consumers so important?

They not only spend more money, but they also bring in more clients. Your sales agents are your customers. Actually, 56% of customers said they would recommend a company that offered excellent service to friends and family. You can keep customers that are willing to endorse your firm by giving them exceptional customer service.

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which of these is not one of the items that can provide useful assistance to a project team to define the activities of a project?

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A Gantt chart is not an item that can provide useful assistance to a project team to define the activities of a project. A Gantt chart is a type of bar chart that illustrates the breakdown of tasks over time, indicating the start and finish dates for each task. It is used to manage the timeline of a project, but it does not provide assistance in defining the activities of the project.

What is project?
A project is any endeavour that is meticulously planned to accomplish a specific goal, whether it is carried out alone or in collaboration with others and may involve research or design. An alternative perspective describes a project as a series of related tasks that must be completed within specific time, budget, and other constraints. A project could be a transient (as opposed to permanent) social system (includes communication), possibly manned by teams from different organisations to complete specific tasks in a given amount of time. A project may be used as an ad hoc system or as part of a larger programme management framework. Keep in mind that "projects" for open-source software or music by artists, for instance, might not have clearly defined team members, detailed planning, or time limits.

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Indicate which costs would be capitalized as part of the cost of manufacturing equipment. (Select all that apply.)
freight-in
depreciation for the first month
set-up cost
training of equipment operator
insurance during transit

Answers

These costs would be capitalized as part of the manufacturing equipment cost: setup fees, insurance during transit and freight-in.

Insurance is a risk management tool. You buy protection from unanticipated financial losses when you buy insurance. The insurance provider will compensate you or a person of your choosing if something unfavorable occurs. If an accident occurs and you don't have insurance, you could be responsible for all related expenses.

A financial safety net called insurance helps you and your loved ones recover from a catastrophe like a fire, theft, legal action, or car accident. You will receive an insurance policy—a binding legal agreement between you and your insurance provider—when you purchase insurance.

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What is organizational change ?; What is organizational innovation ?; What is organizational change and what are two major areas of change in organizations ?; Why do we need change in organization?

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The organizational change is Change in shape or acts of organization.

The required details about organizational change is mentioned in below in below paragraph.

-Product extrade and era extrade organizational change refers back to the movements wherein a enterprise or commercial enterprise alters a first-rate factor of its organization, including its culture, the underlying technology or infrastructure it makes use of to operate, or its inner processes. Organizational change management is the procedure of guiding organizational extrade to a a hit resolution, and it normally consists of 3 important phases: preparation, implementation, and follow-through.Many elements make organizational extrade necessary. Some of the maximum not unusualplace confronted via way of means of managers include:

New management on the helm of the enterprise or inside its departments

Shifts withinside the organizational group shape

The implementation of recent era

The adoption of recent commercial enterprise models.

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At the equilibrium real interest rate in the open-economy macroeconomic model, the equilibrium quantity of loanable funds equalsa. net capital outflow.b. domestic investment.c. foreign currency supplied.d. national saving.

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At the equilibrium real interest rate in the open-economy macroeconomic model, the equilibrium quantity of loanable funds equals national saving. So, option (d) will be the relevant answer.

Give a brief account on open economy.

A type of economy known as a "open economy" is one in which entities from other countries trade goods in addition to those produced domestically (goods and services). Technology transfers, managerial exchanges, and the exchange of a wide range of goods and services are all examples of trade. There are some exceptions that cannot be traded, such as a country's railway services, which cannot be exchanged for the service with another nation.

In contrast, a closed economy prohibits foreign trade and financial transactions. Exporting is the process of offering goods or services to customers in another nation. Importing is the process of acquiring products or services from a foreign nation. International trade refers to both importing and exporting.

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neurons and some other specialized cells divide infrequently because they . neurons and some other specialized cells divide infrequently because they . can no longer bind cdk to cyclin show a drop in mpf concentration have entered into g0 no longer have active nuclei

Answers

They were transferred to GO They can't connect to cyclin anymore. They no longer contain signal molecule receptors and no longer contain active nuclei. The concentration of MPF has decreased.

What is a molecule, for instance?

A molecule is the smallest unit of any material that is composed of one or more elements and is capable of existing independently while maintaining all of the substance's physical and chemical properties. Further atom division occurs within molecules. For instance, the atom and molecule of oxygen are represented by the letters O and Water vapour, respectively.

Explain what a molecule is.

A molecule is the simplest unit of a chemical that keeps its content and properties. It is made up of two or maybe more atoms that are joined together by chemical bonds. The foundation are molecules.

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Trading internationally by using money appears easy and almost effortless, but the fact is there is a very complex banking system that makes it happen.
a) True
b) False

Answers

The statement that Trading internationally by using money appears easy and almost effortless, but the fact is there is a very complex banking system that makes it happen is True.

What is International trade?

International trade  can be described as the purchase  as well as the sale of goods and services by companies in different countries whereby the Consumer goods, raw materials, food,  as well as machinery all are bought and sold in the international marketplace.

It should be noted that it requires  very complex banking system, because it is been done between different companies, however International trade do involves the exchange of capital,  and services across international borders or territories  as a result of the need or want of goods or services however in most  countries, such trade represents a significant share of gross domestic product.

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Carrie's Coffee Cafe has markets all over the world. The company should remember that basic strategy planning decisions for advertising and sales promotion ______.

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Persuade potential customers to try a sample of the product. Emphasize that the product is more innovative than its rivals. Promote the company website as a way for customers to learn more about the product.

Comparative advertising is a marketing strategy in which a company's product or service is presented as superior to that of the competition. A comparative advertising campaign may involve printing a side-by-side comparison of the features of a company's products against those of its competitor. Offering discounts on products is one of the most popular types of sales promotions. Your business can advertise a discount on a product, such as $15 off or 20% off, to attract customers to your business rather than competitors with similar products. A pull promotion strategy, also called a pull marketing strategy, is the opposite of a push strategy. Rather than trying to get products directly in front of customers, a pull strategy aims to get customers to the product.

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Companies use customer relationship management (crm) to get new customers, keep their current customers, and_______ . The overall goal of crm is to grow the company's business by______ .

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Companies use customer relationship management (crm) to get new customers, keep their current customers, and increase their share of customers' The overall goal of crm is to grow the company's business by purchases; achieving customer satisfaction.

A corporation, frequently abbreviated as "co.," is a legal designation for a collection of individuals with a shared objective who may be either natural, legal, or a combination of the two. The company's employees cooperate for a common goal in order to achieve clearly defined objectives.  company's business can take on a variety of forms, including those of programs, educational institutions, financial institutions like banks, philanthropic groups, and business entities with a profit-making objective. A company may be incorporated as a legal entity so that the company itself has limited responsibility as members fulfill or fail to fulfill their obligations in accordance with the publicly announced incorporation, or published policy.

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In the United States, if there is a decrease in the expected inflation rate of 2%, then the short-run Phillips curve will _____ and the actual inflation rate will _____.
shift downward; decrease by 2%

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In the United States, if there is a decrease in the expected inflation rate of 2%, then the short-run Phillips curve will shift downward and the actual inflation rate will decrease by 2%.

Inflation is the rate of growth in charges over a given time frame. Inflation is commonly a huge measure, including the overall growth in charges or the increase within the cost of living in a country. Inflation is a sustained rise in typical rate stages. mild inflation is associated with a monetary increase, even as excessive inflation can sign an overheated economic system. If financial boom hastens very rapidly, demand grows even quicker and manufacturers improve expenses constantly.

An inflation rate of 5% per 12 months method that if your purchasing costs you $a hundred these days, it would have fee you approximately only $95 a 12 months ago. If inflation remains at five%, the identical basket of buying will price you $one hundred and five in a 12 months' time. If inflation stays at 5% for ten years, this identical buying will fee you $163.

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a manufacturing company accumulates the following data on fixed overhead: actual fixed overhead cost incurred: $21,000; budgeted fixed overhead: $20,000; applied fixed overhead: $24,000. the fixed overhead spending variance is: multiple choice question. a. $4,000 u
b. $1,000 f
c. $4,000 f
d. $1,000 u

Answers

Actual fixed overhead and budgeted fixed overhead were calculated for the budget variance.

The difference between actual revenue and expense and what was anticipated is known as a variance. The budget variation is the difference between the anticipated amount of an expense or income and the actual cost. A favorable or positive budget variance occurs when actual revenue surpasses expected revenue. The real costs are lower than what was anticipated. The budget variation is in the company's advantage when actual income is greater than anticipated or when actual expenses are lower than anticipated. To calculate budget variances, just deduct the actual spending from the anticipated spending for each line item. The variance displays the discrepancy between the actual and estimated or budgeted amounts. The difference between actual and budgeted fixed overhead costs is hence the total fixed overhead variance.

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The domestic market for calculators is perfectly competitive and is in equilibrium. Domestic demand is given by Qd=100−PQd=100−P and domestic supply is given by Qs=4PQs=4P. The world price for calculators is $10. As an alternative to a tariff of $10 per unit, the government considers an outright trade prohibition on calculators. Which is better for the domestic economy?
a) The trade prohibition is better.
b) The tariff is better.
c) The trade prohibition is better for producers; the tariff is better for consumers.
d) Both policies generate exactly the same surpluses.

Answers

The domestic market for calculators is perfectly competitive and is in equilibrium. Both policies generate exactly the same surpluses. So, both are better for the domestic economy.

The domestic price after trade and restriction is $20, making the consumer and producer surpluses equal in all scenarios.

What connections does the domestic economy have to the global economy?

Globalization is the process of domestic and global economies combining. Cross-border exchange of social, cultural, and technological ideas is made possible by globalisation. Access to technology, the expansion of international trade, more job prospects, the unrestricted movement of foreign capital, etc.

How does trade help the home economy?

Trade is essential to the prosperity of the country because it boosts economic expansion, promotes domestic employment, raises living standards, and enables citizens to sustain their families with reasonably priced goods and services.

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At the time petty cash funds are disbursed, a journal entry should be made, debiting the appropriate assetor expense account.True False

Answers

True. When petty cash funds are distributed, the journal entry should debit the appropriate assertor expense account.

What is petty cash?

A petty cash fund is a small sum of company money that is frequently kept on hand (for example, in a secured drawer or box) to cover unimportant or trivial expenses like office supplies or employee reimbursements. Periodic reconciliations of a petty cash fund are performed, and transactions are also noted on the financial statements. Each department may have its own petty cash pool in larger corporations. Petty cash is a little sum of money that is always on hand to cover small expenses that don't warrant writing a check or using a credit card. Each department may have its own petty cash pool in larger corporations. Office supplies, greeting cards for clients, flowers, and paying for catered lunches for staff members can all be purchased with petty cash.

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which of these have professional sport teams and leagues done recently with their retail operations? group of answer choices expanded them to include non-team related merchandise such as appliances and groceries shrunk their operations as they have become a smaller percentage of team revenue shifted emphasis away from online retail to traditional brick-and-mortar outlets outsource the management of distribution and sales of licensed merchandise

Answers

This shift has also been made at Fenway Park, which has teamed up with Cellbucks because it sees supporters' cell phones as a direct path to increased revenue

What is revenue?

The total income derived from the sale of products or services pertaining to a business's core operations is referred to as revenue. Because it

Appears at the top of the income statement, revenue, which is also known as gross sales, is frequently referred to as the "top line." A company's overall earnings or profit are referred to as income or net income.

(Kilduff, 2004). 396 box seats at Fenway were given the option to order through text message, and stadium staff members would carry it to their seats.

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Plotting the supply of labor In Orlando
180 people are willing to work an hour as hostesses if the wage is $10 per hour. For each additional $5 that the wage rises above $10, an additional 45 people are willing to work an hour.
For wages of $10, $15, $20, $25, and $30 per hour, plot the daily labor supply curve for hostesses on the following graph.
What is one explanation for why this labor supply curve is upward sloping over the range of wages from low wage to high wage?
The opportunity cost of leisure increases as wages increase.
Unemployment benefits are steadily declining. Wages have to increase to accommodate union pressure. People prefer to spend time doing leisure activities rather than working.

Answers

An extra 45 persons are prepared to labor an hour for every $5 that the salary increases over $10. For hourly earnings of $10, $15, $20, $25, and $30, it appears that for every unit increase in wage, Labour rises by six units.

What does a wage look like?

Salaries, basic wage, piece rates, and payments by the work are all examples of wages. bonuses and commissions. Pay for overtime and time off.

Briefing :

One reason this labor supply slope is upward sloping is because the marginal utility of leisure declines as wages rise. For every ancillary $5 that the salary climbs over $20, an extra 25 persons are prepared to work an hour. For $20, $25, $30, $35, then $40 in salaries.

where w is wage rate and L stands for labor. It is given that

w=10

L=30

then slope=1/3

therefore L/w=3

It suggests that L grows by 6 units for every unit increase in wages.

A payment paid in return for labor or services, often on an everyday, daily, or piecework base and in line with a contract, would then be described by the work supply and wages table. often used in the plural. Wages, in the plural, are the fraction of the gnp that may be attributable to labor like a production component.

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for the firm in the real intertemporal model with investment group of answer choices depreciation occurs more quickly if the firm produces more output. depreciation can be slowed with more maintenance. depreciation is always 100%. depreciation takes place at a constant rate.

Answers

For the firm in the real intertemporal model with investment, depreciation takes place at a constant rate.

The consumer provides labor on the current-period labor market and purchases items on the current-period goods market in the Real Intertemporal Model (RIM) model. The business requires work in the present, supplies items in the now, and demands investment goods in the present.

Determine the firm's need for current labor as well as the amount of investment it will make in order to maximize the present value of its profits throughout the current and future periods.

Intertemporal choices are choices taken in the present that may have an impact on prospects for future financial gain. Theoretically, if consumption levels are decreased today, they could rise dramatically in the future, and vice versa.

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predatory pricing is illegal in the united states under both the sherman antitrust act and the federal trade commission act. occurs when there are many firms competing for customers in a given market, but their products are differentiated. is legal in the united states. is legal in the united states when a company wants to set a very low price to drive its competition out of business. occurs when a firm sets a very high price for one or more of its products.

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It is illegal in the United States under both the Sherman Antitrust Act and the Federal Trade Commission Act

It is an illegal act. It refers to setting lower price to earn monopoly in the market is an accurate description of predatory pricing.

The Sherman Antitrust Act of 1890 is a u.s. antitrust law that prescribes the guideline of unfastened opposition among those engaged in commerce. It became handed by using Congress and is known as for Senator John Sherman, its important creator.

The Sherman Anti-believe Act legal the federal authorities to institute complaints against trusts for you to dissolve them. Any mixture "within the shape of agree with or otherwise that changed into in restraint of change or commerce many of the numerous states, or with overseas countries" changed into declared illegal.

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Which of the following methods can be used to compare mutually exclusive repeatable projects with unequal lives if inflation in the costs and/or cash flows of the projects is expected when the projects are repeated?
a. Equivalent annual annuity
b. Replacement chain approach
c. Both a and b can be used
d. None of the above

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To compare mutually exclusive repeatable projects with unequal lives if inflation in the costs and/or cash flows of the projects is expected when the projects are repeated, the method that can be used is the replacement chain approach. Hence, the correct option is (B).

What is the Replacement Chain Approach?

The replacement chain method is a capital budgeting decision model that compares more than one mutually exclusive capital proposal with unequal lives. This method will compare the time of each alternative and also the rate of return on investment from each option to be able to get the best choice for the company. This also makes each choice that is measured using this method be seen in terms of net present value (NPV).

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A company uses the effective interest method to amortize a bond discount. Which of the following statements is true regarding the interest expense that is recognized each year? Multiple ChoIce It will Increase from yeer to year.It will be greater than the Interest payment It wll remain the some from year vear It will be greater than the interest payment and it will also increase from year to year.

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To amortise a bond discount, a corporation use the effective interest approach. It will be higher than the interest payment and get a little bit bigger every year.

The bond discount is the discrepancy between the market value of a bond and the principal that will be due when it matures. When a bond matures and is paid out at its higher face value, capital growth occurs since the market price of the bond has decreased from when it was first issued.

A bond with no interest payments is repaid in whole when it matures. Because it does not make ongoing interest payments or have so-called coupons, a zero-coupon bond differs from normal bonds in this regard. At bond maturity, holders are given their par value. Bonds trade at a discount when their coupon rate is lower than market rates.

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