Terminating an employee may violate an implied agreement if the dismissal goes against established company policies, past practices, or oral promises made to the employee, creating an expectation of continued employment or specific termination procedures.
Terminating an employee may violate an implied agreement if the employee has an implied contract with the employer that their employment will continue unless there is just cause for termination. This can happen when the employer has made promises to the employee regarding job security or when the employee has been with the company for a long time without any indication that their job is at risk. In such cases, terminating the employee without just cause may breach the implied agreement and expose the employer to legal action.
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The termination of an employee may violate an implied agreement if it is in conflict with terms understood from company practices or verbal agreements. These agreements often involve job security and wage protection during difficult economic periods.
Terminating an employee may violate an implied agreement if the terms of this agreement are not explicitly stated, but are understood from company practices or verbal agreements. Often, these agreements involve job security and wage stability. For example, on the buyer's side of the labor market, employers may set a trial or probationary period where workers could potentially be dismissed for any reason. On the other hand, employees might be working under an implicit contract where the employer will attempt to keep wages from falling when the economy or the business is in trouble. If an employee is terminated against these understood terms, it may be seen as violating the implied agreement.
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the jones company learned that several other shippers located in its hometown had customers located in the same markets it serves. with this information, jones could find it advantageous to investigate the potential of .
The Jones Company could find it advantageous to investigate the potential of forming partnerships or collaborations with these other shippers.
By working together, the companies may be able to pool their resources, share their networks, and expand their customer base. This could lead to increased efficiency and profitability for all parties involved. Alternatively, the Jones Company may also choose to conduct market research to better understand its competitors and the market it serves. This could help them identify areas of opportunity and adjust their business strategy accordingly. They may also use this information to differentiate themselves from their competitors by offering unique value propositions, such as faster delivery times, lower prices, or better customer service.
Overall, the knowledge that other shippers located in the same market as the Jones Company have customers in the same markets may be an opportunity for the company to improve its operations and increase its competitiveness. By exploring different options and strategies, the Jones Company may be able to position itself as a leader in its industry and increase its market share.
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12.4. a manufacturer of small hydraulic turbines has the annual cost data given here. calculate the manufacturing cost and the selling price for a turbine.
The manufacturing cost of the turbine is $3,730,000, and the selling price for the turbine is $71,492.05.
To calculate the manufacturing cost, add up all of the costs associated with producing the turbine, including raw material and component costs, direct labour, direct expenses, plant manager and staff, plant utilities, taxes and insurance, plant and equipment depreciation, warehouse expenses, and engineering expenses.
Manufacturing costs are calculated as follows: raw material and component costs + direct labour + direct expenses + plant manager and staff + plant utilities + taxes and insurance + plant and equipment depreciation + warehouse expenses + engineering expenses
Manufacturing Cost = $2,150,000 + $950,000 + $60,000 + $180,000 + $70,000 + $50,000 + $120,000 + $60,000 + $90,000
$3,730,000 in manufacturing costs
To get the selling price, add the manufacturing cost to the desired profit margin and divide by the number of units sold.
(Manufacturing Cost / Number of Units Sold) + Profit Margin = Selling Price
($3,730,000 / 60) + 15% = Selling Price
The selling price is $62,167 +15%.
The selling price is $71,492.05 USD.
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The complete question is:
The annual cost data is provided by a manufacturer of a small hydraulic turbine. Determine the turbine's manufacturing cost and selling price.
The cost of raw materials and components is $2,150,000.
Direct labour $900,000
Direct costs: $60,000
Plant manager and employees $180,000
$70,000 for plant utilities
Insurance and taxes $50,000
Depreciation on plant and equipment totaled $120,000
Expenses for the warehouse $60,000
Office Supplies $10,000
$90,000 in engineering costs (for the plant).
$30,000 for engineering employees and salary (plant).
Salaries for administrative personnel are $120,000 per year.
Sales personnel, salary, and commissions $100,000
Annual Sales 60 units
The profit margin is 15%.
4. The inverse demand for a homogeneous-product Stackelberg duopoly is P = 16,000 - 49 The cost structures for the leader and the follower, respectively, are CLIQL) = 4,000QL and CF(QF) = 6,000QF (LO2, LO3) a. What is the follower's reaction function? b. Determine the equilibrium output level for both the leader and the follower. c. Determine the equilibrium market price. d. Determine the profits of the leader and the follower.
a) reaction function is QF = (8,000 - 0.5QL - 24.5P) / 49. b) equilibrium output level QF = 1,142.9. c) equilibrium market price is 9,571.4. d) profits is 4,114,286.
a. The follower's reaction function can be found by solving for QF in terms of QL. Since the leader will produce their output first, the follower will take this into account when making their decision. Thus, we can set the leader's output equal to QL and solve for QF: QL = (16,000 - 49(QL + QF)) / 2. Simplifying this equation gives the follower's reaction function: QF = (8,000 - 0.5QL - 24.5P) / 49.
b. To find the equilibrium output levels, we need to solve for QL and QF simultaneously. Using the follower's reaction function, we can substitute QF into the leader's profit-maximizing condition: MR = MC. The leader's marginal cost is CLIQL, so we have (16,000 - 49(QL + QF)) / 2 = 4,000QL. Solving for QL gives QL = 2,285.7. Using the follower's reaction function, we can then solve for QF: QF = 1,142.9.
c. The equilibrium market price is found by substituting the equilibrium output levels into the demand function: P = 16,000 - 49(QL + QF) = 9,571.4.
d. To find the profits of the leader and follower, we need to subtract their costs from their revenues. The leader's revenue is PQL = 21,942,857, and their cost is CLIQL = 9,142,857. Therefore, their profit is 12,800,000. The follower's revenue is PQF = 10,971,429, and their cost is CFQF = 6,857,143. Therefore, their profit is 4,114,286.
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garrett has just purchased a beer distributorship. he wants to increase the visibility of his firm in local markets, but he knows there are a number of regulations and socially accepted practices associated with promoting alcoholic beverages. the first thing garrett should do is to:question 13 options:1) identify issues that need to be addressed2) promote the firm's corporate social responsibility efforts3) gather information and identify stakeholders4) brainstorm alternatives5) choose a course of action
As Garrett has just purchased a beer distributorship, his first step to increase the visibility of his firm in local markets should be to gather information and identify stakeholders.
This will help him understand the regulations and socially accepted practices associated with promoting alcoholic beverages in his area. By doing so, he can identify any issues that need to be addressed and brainstorm alternatives to promote his beer distributorship without violating any regulations or socially accepted practices. Once he has identified the stakeholders and gathered information, he can choose a course of action that aligns with the firm's corporate social responsibility efforts to promote his beer distributorship in a responsible and ethical manner.
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assume a corporation has earnings before depreciation and taxes of $145,000, depreciation of $25,000, and that it has a 35% combined tax bracket. what are the after-tax cash flows for the company?
The after-tax cash flows for the company are $128,000
To calculate the after-tax cash flows for the company, we need to subtract the taxes and depreciation from the earnings before depreciation and taxes (EBDT).
First, we calculate the taxable income by subtracting depreciation from EBDT:
Taxable income = EBDT - Depreciation
Taxable income = $145,000 - $25,000
Taxable income = $120,000
Next, we calculate the tax liability by multiplying the taxable income by the combined tax rate:
Tax liability = Taxable income x Combined tax rate
Tax liability = $120,000 x 0.35
Tax liability = $42,000
Finally, we calculate the after-tax cash flows by subtracting the tax liability from the EBDT and adding back the depreciation:
After-tax cash flows = EBDT - Tax liability + Depreciation
After-tax cash flows = $145,000 - $42,000 + $25,000
After-tax cash flows = $128,000
Therefore, the after-tax cash flows for the company are $128,000
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investment companies pay income and capital gains taxes. shareholders also need to pay applicable taxes for investing in investment companies. therefore, there is double taxation. investment companies pay income and capital gains taxes. shareholders also need to pay applicable taxes for investing in investment companies. therefore, there is double taxation. true false
Investment companies pay income and capital gains taxes. shareholders also need to pay applicable taxes for investing in investment companies - True.
The profit that an investor gets when they sell an investment is subject to the capital gains tax. It must be paid in the tax year when the investment is sold. Depending on the filer's income, the long-term capital gains tax rates for the 2022 and 2023 tax years are 0%, 15%, or 20% of the profit.
Any investment that is owned for more than a year will result in a long-term capital gains tax obligation for the investor. Short-term capital gains tax is imposed if the investor owns the investment for six months or less. The taxpayer's typical income band affects the short-term rate. That is a higher tax rate than the capital gains rate for everyone save the best income taxpayers.
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suppose that when the level of output for the firm increases from 100 to 110 units, its variable costs increase from $500 to $750. what is the firm's marginal cost?
The firm's marginal cost is $25. It is calculated by dividing the change in total variable cost ($250) by the change in quantity (10 units).
To calculate the firm's marginal cost, we need to determine the additional cost of producing one more unit of output.
We can use the following formula to calculate marginal cost:
Marginal Cost = (Change in Total Cost) / (Change in Quantity)
In this case, the change in quantity is 110 - 100 = 10 units, and the change in total variable cost is $750 - $500 = $250.
So, the marginal cost of producing one more unit of output is:
Marginal Cost = ($250) / (10) = $25
Therefore, the firm's marginal cost is $25 per unit.
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the revenue cycle consists of which of the following? a. before-service activities b. at-service activities c. after-service activities d. continuous activities (monitoring and reporting activities) e. all of the above activities
The revenue cycle is a series of steps that a business takes to generate revenue from its products or services. It involves various activities that occur before, during, and after the delivery of the product or service. These activities can be categorized into four main groups: before-service activities, at-service activities, after-service activities, and continuous activities (monitoring and reporting activities). The correct option is e.
Before-service activities involve all the steps that take place before the actual delivery of the product or service. This includes marketing and advertising, lead generation, and customer acquisition. These activities are crucial as they help to attract and convert potential customers into paying customers.At-service activities are the activities that occur during the delivery of the product or service.After-service activities are the activities that occur after the delivery of the product or service. These include invoicing, payment processing, and follow-up customer service.
These activities are vital as they ensure that the business receives payment for its products or services and that the customer is satisfied with their purchase.Continuous activities involve monitoring and reporting on the revenue cycle.In conclusion, the revenue cycle consists of all the above activities, including before-service, at-service, after-service, and continuous activities. Each activity plays a vital role in generating revenue for the business and ensuring customer satisfaction. By optimizing the revenue cycle, businesses can improve their profitability and maintain a competitive advantage in their industry. The correct option is e.
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where in the mynissan app can a user add license plate information and set emergency contacts?
In the mynissan app, a user can add license plate information and set emergency contacts by going to the "Vehicle Settings" section and selecting "Vehicle Information."
From there, they can enter their license plate information and scroll down to find the "Emergency Contacts" section where they can add and edit contacts.To add license plate information in the My Nissan app, you can follow these steps:Open the My Nissan app on your mobile device.Tap on the "Profile" icon located at the bottom of the screen.Select "Vehicle Information" from the list of options.Tap on the "License Plate" field and enter your license plate number.Tap "Save" to confirm your changes.
To set emergency contacts in the My Nissan app, you can follow these steps:Open the My Nissan app on your mobile device.Tap on the "Profile" icon located at the bottom of the screen.Select "Emergency Contacts" from the list of options.Tap the "+" icon to add a new emergency contact.Enter the contact's name, phone number, and relationship to you.Tap "Save" to confirm your changes.
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a piece of equipment has an initial cost of $5,000 in year 1. the maintenance cost is $300/yr. for the total lifetime of seven years. during years 1-3, the rate of inflation is 5% and the effective annual rate of interest is 9%. what is the uninflated present worth of the equipment during year 1?
If a piece of equipment costing $5,000 and the maintenance cost is $300/year, then the uninflated present worth of the equipment during year 1 is $6,832.33.
To calculate the present worth of the equipment during year 1, we need to determine the present value of all the cash flows associated with the equipment over its lifetime, discounted to year 1 using the effective annual rate of interest.
The cash flows associated with the equipment are as follows:
Initial cost in year 1: $5,000Maintenance cost per year for 7 years: $300/yrTo account for inflation during years 1-3, we need to adjust the maintenance cost for each of those years using the inflation rate of 5%. After year 3, the maintenance cost remains constant at $300/year.
To calculate the present worth, we need to discount each cash flow to year 1 using the effective annual rate of interest of 9%. Let's calculate the present value of each cash flow:
Year 1:
Initial cost: $5,000
Maintenance cost: $300
Present value = $5,000 + $300/1.09 = $5,300.92
Year 2:
Maintenance cost: $300 × 1.05 = $315
Present value = $315/1.09^2 = $272.56
Year 3:
Maintenance cost: $300 × 1.05² = $331.88
Present value = $331.88/1.09³ = $265.16
Years 4-7:
Maintenance cost: $300
Present value = $300/1.09⁴ + $300/1.09⁵ + $300/1.09⁶ + $300/1.09⁷ = $993.69
The total present value of all cash flows is the sum of the present values of each cash flow:
$5,300.92 + $272.56 + $265.16 + $993.69 = $6,832.33
Therefore, the uninflated present worth of the equipment during year 1 is $6,832.33.
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refer to the above information. the maximum amount by which this commercial banking system can expand the supply of money by lending is:
Observe the advice given above. The greatest amount that this system of commercial banks can increase the money supply by lending is $30 billion.
Banks are able to loan more money when reserve requirements are reduced, which boosts the amount of money available for use in the economy as a whole. On the other hand, the Fed can reduce the amount of money in circulation by increasing the reserve requirements for banks.
The economy's entire money supply would rise if commercial banks provided financial loans. Explanation: The Central Bank of every nation uses the money supply as a specific weapon to direct or influence the monetary policy in the economy.
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a company had net sales of $30,700 and accounts receivable of $3,500 for the current period. its days' sales uncollected equals:___. (use 365 days a year.)
A company had net sales of $30,700 and accounts receivable of $3,500 for the current period. its days' sales uncollected equals 41 days.
To calculate a company's days' sales uncollected, we need to determine how many days it takes for the company to collect payment on its accounts receivable. This is important because a longer collection period can impact a company's cash flow and overall financial health. To find the days' sales uncollected, we first need to calculate the company's average daily sales. We can do this by dividing the net sales by the number of days in the period (365):
$30,700 / 365 days = $84.11 per day
Next, we need to determine how many days' worth of sales are represented by the accounts receivable. We can do this by dividing the accounts receivable by the average daily sales:
$3,500 / $84.11 per day = 41.57 days
Therefore, the company's days' sales uncollected equals 41.57 days.
This means it takes the company just over 41 days to collect payment on its accounts receivable. It's important to note that this metric should be monitored regularly and compared to industry benchmarks to ensure the company is collecting payments in a timely manner. If the days' sales uncollected is higher than the industry average, it may indicate that the company needs to improve its collection practices.
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what might shift aggregate demand? group of answer choices production inputs technological innovation raw materials loss of business confidence
Shifts in aggregate demand can be caused by factors such as technological innovation, changes in production inputs, fluctuations in raw material prices, and a loss of business confidence. Option D is correct.
A loss of business confidence can lead to decreased investment and spending, which can cause a decrease in aggregate demand. This can happen when businesses are uncertain about the future economic climate or have a lack of confidence in the current government policies. If businesses are not investing or spending, it can lead to a decrease in consumer confidence and spending as well, further exacerbating the shift in aggregate demand.
On the other hand, production inputs, technological innovation, and raw materials can affect the supply side of the economy, but not necessarily the aggregate demand. These factors may affect the cost of production, which can impact the overall price level, but the aggregate demand is determined by the level of spending in the economy.
Option D is correct.
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you must assemble a team to deal with a serious logistics issue that your company is facing. there are 50 local and foreign company stakeholders and 12 key decision-makers. why is it possible for you to have virtual team meetings instead of holding in-person meetings at company headquarters?
Virtual team meetings are possible due to advancements in technology such as video conferencing and collaboration tools. They offer a cost-effective and efficient way to communicate with team members and stakeholders across different locations.
There are several reasons why virtual team meetings could be a viable option for assembling a team to deal with a serious logistics issue that the company is facing. Firstly, it allows for greater flexibility in terms of scheduling and accommodating the different time zones of the stakeholders and decision-makers.
Secondly, it eliminates the need for travel expenses and time, which can be significant for foreign stakeholders. Additionally, it can promote collaboration and effective communication through the use of video conferencing, chat functions, and document sharing. It also allows for quick and easy access to information and updates, as well as the ability to record and review meetings.
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Ishara, a general partner in a law practice, purchases a photocopier for the firm to use for business purposes. what kind of product is the photocopier?
The photocopier is a capital good as it is a long-term investment made by the firm for business purposes.
A photocopier purchased by a law firm for business purposes is considered a capital good. Capital goods are long-term investments made by firms to facilitate the production of other goods and services. These goods are used in the production process and are not intended for immediate consumption.
As a result, they are not classified as consumer goods. In this case, the photocopier is an essential piece of equipment that the law firm will use to produce legal documents and other necessary paperwork for its clients.
Since the photocopier is a capital good, the law firm will likely deduct the cost of the photocopier as a capital expenditure on their taxes, depreciating the value of the equipment over time. Overall, the photocopier is a capital good used to facilitate the firm's production process.
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an organization reimburses managers for graduate school tuition whenever they receive a grade of a or b in management-related courses. this component of the hrm process is
The component of the HRM process described is employee development.
Employee development is an essential part of the HRM process that involves enhancing the skills, knowledge, and abilities of employees to perform their jobs effectively.
The organization's reimbursement policy for graduate school tuition is a form of employee development, as it incentivizes managers to improve their management-related knowledge and skills by achieving high grades.
By investing in employee development, organizations can enhance their employees' abilities, which can lead to increased productivity, improved job satisfaction, and reduced turnover. Moreover, employee development can help organizations to stay competitive and adapt to changes in the business environment.
Therefore, organizations should prioritize employee development as a part of their HRM strategy to ensure the long-term success of their employees and the organization.
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you pay $15 to buy one ticket for a raffle supporting the local high school band. there is one first place winner who gets $500, two second place winners who get $200 each, three third place winners who get $100 each and there are no other prizes. of 800 tickets for the raffle are sold, what is the expected value of the raffle ticket to you?
The expected value of the raffle ticket to you is $2.25.
How to calculate the valueThe value of collecting the first prize amounts to $500, thus the expected value for claiming this award is:
1/800 * $500 = $0.625
The worth of each second place reward adds up to $200, and the anticipated amount procured from such a victory is:
2/800 * $200 = $0.50
Since only 800 tickets are sold and there are three third place winners, the probability of winning one of these prizes is 3/800. The value associated with these rewards stands at $100 apiece, thereby giving the expected value of winning a third prize as:
3/800 * $100 = $0.375
As such, the consolidated expected profit accumulated from the raffle ticket totals to:
$0.625 + 2($0.50) + 3($0.375) = $2.25
In summary, after procuring a $15 raffle ticket, an individual can expect to receive a net total of $2.25 in prizes on average.
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what is the difference between exact interest and ordinary interest? with the increase of computers in banking, do you think that the ordinary interest method is a dinosaur in business today?
a)Exact interest and ordinary interest are two different methods of calculating interest. Exact interest refers to the precise amount of interest earned on a loan or investment, calculated on a daily basis. In contrast, ordinary interest is calculated based on a predetermined interest rate over a set period of time, typically monthly or annually.
b)While exact interest may be more efficient and accurate, ordinary interest still has its place in certain industries and for certain types of loans.
With the increasing use of computers in banking, exact interest calculation has become more prevalent as it can be easily computed and tracked on a daily basis. This method is more accurate and transparent for both lenders and borrowers. Additionally, exact interest allows for more flexibility in terms of loan repayment and can result in lower overall interest costs for borrowers.
However, ordinary interest is still widely used in certain industries and for certain types of loans, such as mortgages. It can also be useful for short-term loans or investments where daily interest calculation may not be necessary or practical. In summary, while exact interest may be more efficient and accurate, ordinary interest still has its place in certain industries and for certain types of loans. Ultimately, the choice of calculation method will depend on the specific needs of the borrower and lender.
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In a simple structure where the owner manager makes most of the important decisions, few rules and regulations are used to maintain order. group startstrue or falsetrue, unselectedfalse, unselected
a. True
b. False
The given statement about simple structure is true.
In a simple structure, decision-making is centralized and there is often little need for formalized rules and regulations. The owner/manager has a high level of control and can quickly make decisions based on their own judgment and experience, without the need for a lot of bureaucratic procedures or approvals. This type of structure is often found in small businesses or startups where the focus is on flexibility and adaptability rather than strict organizational procedures.
Therefore, the given statement is true.
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which ads campaign should peggy use to make sure potential customers consider her services and take action by booking house cleanings?
Peggy could employ a contemplation campaign to ensure that potential consumers think about her services and book house cleanings.
A consideration campaign is intended to increase interaction and encourage consumers to connect with the advertisement, website, or app without needing them to make a purchase.
This type of marketing is ideal for Peggy's objectives since it can create knowledge of her services, generate interest among potential consumers, and drive traffic to her website or booking page. Peggy may make a great impression and urge potential consumers to take action by offering important information, highlighting the benefits of her services, and employing engaging ad forms such as video or carousel ads.
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Assume the market for disposable coffee cups is in equilibrium and disposable coffee cups are inputs for serving brewed coffee. What will result in a higher short-run equilibrium price of disposable coffee cups?
Your answer: A higher short-run equilibrium price of disposable coffee cups can result from an increase in demand or a decrease in supply.
1. Increase in demand: If there is a sudden surge in the popularity of brewed coffee, the demand for disposable coffee cups will rise as they are inputs for serving brewed coffee. This increased demand will lead to a higher short-run equilibrium price for disposable coffee cups.
2. Decrease in supply: If there are factors that reduce the supply of disposable coffee cups, such as an increase in the cost of production or a shortage of raw materials, the supply will decrease. This will also lead to a higher short-run equilibrium price for disposable coffee cups.
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the manufacturing overhead that would be applied to a unit of product fast under the activity-based costing system is closest to:
In activity-based costing, the manufacturing overhead that would be applied to a unit of product is determined based on the activities involved in producing that specific product.
This system is different from traditional costing methods, which apply overhead costs based on a predetermined rate that may not accurately reflect the actual resources used.
Under activity-based costing, overhead costs are allocated based on the specific activities involved in the production process, such as machine setup, material handling, and quality control. The costs are then assigned to each unit of product based on the amount of time or resources required to complete each activity.
The manufacturing overhead that would be applied to a unit of product fast under activity-based costing would depend on the specific activities involved in producing that product and the resources required for each activity.
This system allows for a more accurate allocation of overhead costs and can help companies make more informed decisions about pricing and profitability.
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an auction house charges a commission of 15 percent on the first $50,000 of the sale price of an item, plus 10 percent on the amount of the sale price in excess of $50,000. what was the sale price of a painting for which the auction house charged a total commission of $24,000 ?
The sale price of the painting for which the auction house charged a total commission of $24,000, was $215,000.
Let's assume the sale price of the painting is S. According to the question, the commission charged by the auction house can be calculated as follows:
For the first $50,000 of the sale price, the commission is 15 percent, which is 0.15 x $50,000 = $7,500.
For the amount of the sale price in excess of $50,000, the commission is 10 percent. Therefore, the commission on the remaining amount (S - $50,000) is 0.1 x (S - $50,000).
The total commission charged is given as $24,000. Therefore, we can write the equation:
$7,500 + 0.1 x (S - $50,000) = $24,000
Simplifying this equation, we get:
0.1 x (S - $50,000) = $24,000 - $7,500
0.1 x (S - $50,000) = $16,500
S - $50,000 = $16,500 / 0.1
S - $50,000 = $165,000
S = $165,000 + $50,000
S = $215,000
Therefore, the sale price of the painting was $215,000.
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which of the following capital budgeting evaluation techniques will always produce the correct project choice, for both independent and mutually exclusive projects? question 9 options: npv irr payback period profitability index none of the above will always indicate the best project choice.
Npv IRR Retaliation For both independent and competing projects, the following capital budgeting evaluation approaches will always result in the right project selection.
One reason why there are inconsistent outcomes is because the project ideas that are being evaluated have quite different capital expenditure requirements. Conflicts between NPV and IRR rankings occur when projects are mutually exclusive since judgements in independent projects are always obvious.
Making a decision between better IRR and higher NPV becomes challenging. Ranking disputes may result from even project size and uneven financial inflow.
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sooner inc. pays dividends of $5, $5.15 and $5.3045 on 1/1/2019, 1/1/2020 and 1/1/2021, respectively. if you expect a constant growth rate and have a required rate of return of 10%, what is the stock price as of 1/1/2019 according to the gordon model?
According to Gordon model, the stock price of Sooner Inc. on 1/1/2019 would be $73.57.
What is stock price according to the gordon model?According to the Gordon model, to calculate the stock price as of 1/1/2019 , we will use: P0 = D1 / (r - g)
We must calculate the expected constant growth rate:
g = (D1 / D0) - 1
g = ($5.15 / $5) - 1
g = 0.03
g = 3%
Next, we will use Gordon model to calculate the stock price as of 1/1/2019:
P0 = $5.15 / (0.10 - 0.03)
P0 = $5.15 / 0.07
P0 = $73.5714285714
P0 = $73.57
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what would camenisch say about a profitable company that makes an unhealthy and addictive product, but treats its employees well and donates to the community?
The company is ethical because it does not commit fraud and offers a product that is in high demand among consumers. Giving back can lift your spirits and provide an opportunity to meet others in your neighborhood.
If you want to advance your career, volunteering at NGOs can provide wonderful networking possibilities as well as opportunity to serve on boards and committees of organizations to get leadership experience.
Employee giving programs (or corporate philanthropy initiatives) allow businesses to engage their employees in tiny acts of kindness that lead to large-scale change and effect. A workplace giving program may include tax-deductible donations to NGOs as well as financing for volunteer grants.
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A e-commerce technologies allowed _____________, enabling merchants to target their marketing messages to specific individuals.
E-commerce technologies allowed for targeted advertising, enabling merchants to target their marketing messages at specific individuals. This is one of the applications of e-commerce that benefits both merchants and individuals.
With the help of advanced technologies, merchants can collect data about individuals' preferences, behavior, and shopping history. They can then use this data to create personalized marketing messages that are more likely to resonate with individuals and encourage them to make a purchase. This targeted approach can increase the effectiveness of marketing campaigns and ultimately drive more sales for merchants.
E-commerce technologies allowed for personalized marketing, enabling merchants to target their marketing messages at specific individuals. These technologies and applications of e-commerce have revolutionized the way merchants interact with customers, allowing for more tailored experiences and improved customer satisfaction.
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jacob wants to buy a new digital camera for his semester studying abroad, but he knows very little about cameras, having never owned one. as a result, he has begun asking for advice from friends and relatives. in addition, he has talked to salespeople at best buy and has looked at some websites. jacob is engaging in
Jacob is engaging in the process of researching and gathering information about digital cameras to make an informed purchasing decision. This is a wise approach since buying a new camera can be an expensive investment, and it is important to choose a camera that meets his needs and preferences.
By reaching out to friends and relatives, Jacob is seeking opinions and recommendations from people he trusts. This can provide valuable insights into the user experience with specific camera models, and can help him narrow down his options.
Additionally, talking to salespeople at Best Buy can provide him with expert advice on the technical specifications of different cameras and their respective features. Looking at websites is also an important part of Jacob's research process. This allows him to access a wide range of reviews and product descriptions, as well as to compare prices and features. Websites such as Amazon, B&H Photo, and Digital Camera World are excellent resources for finding detailed information about different camera models and brands.
Overall, Jacob's approach to buying a new digital camera demonstrates his desire to make an informed decision. By engaging in a range of research methods, including seeking advice from friends and relatives, talking to salespeople, and looking at websites, Jacob is well-positioned to choose a camera that meets his needs and preferences.
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you have just returned from a seminar on teams. your employees perform routine, highly structured work (painting the eyes on barbie dolls). is this situation well suited for teams?
Based on the information provided, it seems that the employees' work of painting the eyes on Barbie dolls is highly structured and routine. In such a situation, forming teams may not be the most effective approach to improving productivity and efficiency.
Teams are generally formed to improve collaboration, communication, and problem-solving skills among employees. However, in a highly structured and routine work environment such as painting eyes on Barbie dolls, the need for collaboration and problem-solving is likely to be limited. Instead, employees in such a setting may benefit more from individual performance metrics and incentives to increase productivity.
Moreover, forming teams may create unnecessary complexity and coordination challenges that could slow down the production process. It may also increase the potential for conflicts and misunderstandings among employees.
In summary, while teams can be highly effective in many work environments, it may not be the best approach for routine and highly structured work. Instead, a focus on individual performance metrics and incentives may be more suitable for improving productivity and efficiency in this type of setting.
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use the following graph showing the demand and marginal revenue curves faced by a pure monopoly to answer the next question. a graph depicts 2 curves with dollars on vertical axis and quantity on horizontal axis.the horizontal axis from left to right lists labels, q1 through q4 and the vertical axis from top to bottom lists labels, p1 through p4. two decreasing lines labeled mr and d begins from the same point. mr with a greater slope than d, passes through a point (q2, p2), and intersects the point q3 at the horizontal axis. the dotted straight lines from all the labels at both the axes connects at d. what price should the pure monopoly charge to maximize total revenue?multiple choicep2p4p1p3
To maximize total revenue, a pure monopoly should charge the price at which marginal revenue (MR) equals marginal cost (MC). Option B
However, we can make some observations about the graph to eliminate some answer choices. Since marginal revenue is below the demand curve (D), the monopoly faces a downward-sloping demand curve with a corresponding downward-sloping marginal revenue curve. This means that the price charged for each unit sold will decrease as the quantity sold increases.
Looking at the graph, we can see that the marginal revenue curve intersects the quantity axis at a point to the left of where the demand curve intersects the same axis. This means that the price charged for the last unit sold (at the quantity where the marginal revenue curve intersects the demand curve) is lower than the price charged for the first unit sold (where the demand curve intersects the quantity axis).
Therefore, we can eliminate answer choices P1 and P4 as options for the price that would maximize total revenue. P3 is also unlikely to be the correct answer, since it corresponds to the intersection of the demand curve and the quantity axis, where the price is highest but the quantity sold is lowest. Option B
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