Write a response to only one of the prompts.
Do you see any conflict between your desire to be as profitable as possible and your desire to pay employees a living wage? (Chapter One)
Do you believe economic principles, like competition, apply to both private and public organizations? (Chapter Two)
How would you justify the use of revenue or protective tariffs in today's global market? (Chapter 3)
Why is it unlikely that there will be a single set of international rules governing multinational companies soon? (Chapter 4)
Prepare your initial discussion by providing a detailed response with at least three paragraphs
Compare/contrast the findings of others with your research

Answers

Answer 1

Social entrepreneurs are specifically known for their efforts in addressing poverty and finding innovative solutions to alleviate it.

They employ various strategies and business models to create sustainable social enterprises that generate positive impact and empower individuals living in poverty. These entrepreneurs often prioritize social inclusion, economic empowerment, access to education, healthcare, and basic necessities, as well as developing sustainable livelihood opportunities for marginalized communities. By tackling poverty through entrepreneurial means, they aim to create long-lasting and systemic change in the lives of individuals and communities affected by poverty.

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Related Questions

Differentiating the function y = (8x2 - 9x + 3)7 with respect to x gives: 16x-9 (8x² - 9x + 3) (16x - 9) 7(8x² - 9x + 3)6 (8x - 9) 7(8x² - 9x+3)6 7(8x²9x+3)6 (16x - 9)

Answers

Differentiate the function y = (8x² - 9x + 3)⁷ with respect to x gives 7(8x² - 9x + 3)⁶ (16x - 9). Option C is correct.

To differentiate the given function y = (8x² - 9x + 3)⁷ with respect to x, we use the chain rule. The chain rule states that when we have a composite function, we need to differentiate the outer function and then multiply it by the derivative of the inner function. In this case, the outer function is (8x² - 9x + 3)⁷, and the inner function is 8x² - 9x + 3.

To differentiate the outer function, we bring down the exponent as a coefficient, resulting in 7(8x² - 9x + 3)⁶. Next, we differentiate the inner function, which is (8x² - 9x + 3), with respect to x. The derivative of 8x² - 9x + 3 is 16x - 9.

Finally, we multiply the derivative of the inner function by the differentiated outer function, giving us the final result 7(8x² - 9x + 3)⁶ (16x - 9). This expression represents the derivative of the original function y = (8x²- 9x + 3)⁷ with respect to x.

The complete question is

Differentiating the function y = (8x2 - 9x + 3)7 with respect to x gives: 16x-9

7(8x² - 9x + 3) (16x - 9)7(8x² - 9x + 3)⁶ (8x - 9)7(8x² - 9x+3)⁶ (16x - 9)7(8x²9x+3)⁶ (16x - 9)

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__ lateral thinking is somewhat unconventional and unstructured. a. Logical b. Right-brained
c. Systematic d. Left-brained

Answers

Right-brained. Lateral thinking involves approaching a problem or situation in an unconventional and unstructured way, often relying on creativity and imagination rather than logical or systematic methods. The answer is b.

This type of thinking is associated with the right hemisphere of the brain, which is known for its ability to think holistically and make connections between seemingly unrelated ideas. Lateral thinking can be a valuable tool for problem-solving, innovation, and coming up with new and innovative ideas.
The correct answer is b. Right-brained.

Lateral thinking is somewhat unconventional and unstructured because it involves using a more creative and imaginative approach to problem-solving. This is often associated with right-brained thinking, as the right hemisphere of the brain is linked to creativity, intuition, and holistic thinking. In contrast, logical, systematic, and left-brained thinking tends to be more linear, structured, and rule-based, which is not the primary focus of lateral thinking.

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1) (30 points) Consider a stock (A) with known initial price So = $1000 and suppose that the random stock prices S₁, S2, and S3 during the next 3 months respectively are independent and identically distributed random variables that have the uniform distribution over [500, 1500]. Compounding and discounting is done monthly with interest rate 5% per month. You have a financial obligation to deliver (short position) 5,000 shares of this stock after 3 months. a) (5 points) What is the forward price of this stock for delivery in 3 months? b) (5 points) If futures are available for this stock in a market, how would you hedge your risk? c) (10 points) Suppose that you made a forward contract now (at time zero) to buy 5,000 shares of this stock in 3 months at the forward price determined in part a). Two months pass by and the new stock price is observed to be S₂ = $1210. How much is your contract worth? In other words, at what price are you willing to sell this contract? d) (10 points) Suppose that futures are not available for stock A, but there is a futures market for another stock (B) with stock prices that satisfy Pn=2Sn for n = 0, 1, 2, and 3. In other words, price of stock B is exactly equal to twice the price of stock A. How would you hedge your risk now at time 0 using futures of B considering your obligation to deliver (short position) 5,000 shares of this stock after 3 months?

Answers

a) The expected future value is $1000.

b)  If futures are available for this stock in the market, People can hedge their risk by taking a short position in the futures contract for the stock.

c) The contract is worth $105,000.

d) People would sell short 2 times the number of shares of stock B to hedge the obligation to deliver 5,000 shares of stock A after 3 months.

a) To calculate the forward price of the stock for delivery in 3 months, there is a need to determine the expected future value of the stock by taking the average of the upper and lower bounds of the uniform distribution for each month.

Since the stock prices follow a uniform distribution over [500, 1500], the expected future value for each month is

Expected future value = (1500 + 500) / 2

= $1000.

b) If futures are available for this stock in the market, People can hedge their risk by taking a short position in the futures contract for the stock.

By short-selling the futures contract, people can offset potential losses in the physical stock position if the stock price decreases, as any loss in the stock value would be compensated by gains in the futures contract value.

c) To calculate the worth of people forward contract after two months with a stock price of S₂ = $1210, people can use the forward price determined in part a) which is $1000.

The value of individual contract would be the difference between the current stock price and the forward price, multiplied by the number of shares in the contract (5,000).

Therefore, the contract is worth (1210 - 1000) * 5000 = $105,000.

d) Since futures for stock A are not available, people can hedge your risk using futures of stock B, where the stock prices of B are exactly twice the prices of stock A.

By taking a short position in the futures contract for stock B, people can replicate the short position in stock A.

Given the price relationship Pn = 2Sn, People would sell short 2 times the number of shares of stock B to hedge the obligation to deliver 5,000 shares of stock A after 3 months.

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Question Content Area
Port Deposit, Inc. reports the following deferred tax items at the end of 2020:
Deferred Tax
Account Account
Balance Related Balance Sheet
Account
Accrual-based revenues $36,000 (cr.) Accounts receivable
Depreciation 15,000 (cr.) Property, plant, and equipment
Assurance-type warranty costs 10,000 (dr.) Warranty liability
Rent revenue (long-term) 16,000 (dr.) Unearned rent
Required:
Show how the deferred tax items will be reported on the December 31, 2020 balance sheet.
Port Deposit, Inc.
Partial Balance Sheet
December 31, 2020
Noncurrent liability: Accounts PayableDeferred Tax AssetsDeferred Tax LiabilityRent Revenue Unearned RentDeferred Tax Assets
$fill in the blank 2

Answers

Deferred Tax Liability will be reported as a total of $51,000, which includes $36,000 from accrual-based revenues and $15,000 from depreciation.

Port Deposit, Inc.
Partial Balance Sheet
December 31, 2020

Noncurrent liability:
Accounts Payable

Deferred Tax Assets:
Assurance-type warranty costs    $10,000
Rent revenue (long-term)          $16,000
Total Deferred Tax Assets         $26,000

Deferred Tax Liability:
Accrual-based revenues            $36,000
Depreciation                      $15,000
Total Deferred Tax Liability      $51,000

Rent Revenue
Unearned Rent

The deferred tax items will be reported on the December 31, 2020 balance sheet as follows: Deferred Tax Assets will be reported as a total of $26,000, which includes $10,000 from assurance-type warranty costs and $16,000 from long-term rent revenue.

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Suppose that the required reserve ratio is 8%, currency in circulation is $610 billion, the amount of checkable deposits is $890 billion, and excess reserves are $12 billion. The money supply is $___ billion. (Round your response to the nearest whole number.)

Answers

To calculate the money supply, we first need to find the total reserves held by the banking system.

We can use the formula: Total Reserves = Required Reserves + Excess Reserves. The required reserves are calculated by multiplying the checkable deposits by the required reserve ratio (8% in this case): Required Reserves = Checkable Deposits x Required Reserve Ratio, Required Reserves = $890 billion x 0.08
Required Reserves = $71.2 billion. Using the formula above, we can calculate the total reserves:
Total Reserves = $71.2 billion + $12 billion
Total Reserves = $83.2 billion
Next, we can use the money multiplier formula to find the money supply:
Money Multiplier = 1 / Required Reserve Ratio
Money Multiplier = 1 / 0.08
Money Multiplier = 12.5
Money Supply = Money Multiplier x Total Reserves
Money Supply = 12.5 x $83.2 billion
Money Supply = $1,040 billion
Therefore, the money supply is $1,040 billion (rounded to the nearest whole number).

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INSTRUCTIONS: You are considering a real estate investment with the following parameters and a five year holding period. Calculate the unlevered and levered NPV and IRR. Please make your calculations

Answers

Real estate investing uses real estate properties as an investment vehicle and gains profit through a variety of methods.

Real estate is a type of property that includes both unimproved land and improvements including buildings, furnishings, roads, buildings, and utility systems. Ownership of the land, improvements, and natural resources like minerals, plants, animals, water, etc. is conferred by property rights.

In the real estate sector, there are three main types of properties: commercial, residential, and undeveloped land. Commercial real estate includes things like office space, retail establishments, warehouses, and industrial buildings.

The potential for better cash flow is one of the reasons commercial buildings are regarded as one of the top real estate investments kinds.

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1. What are the core features/characteristics of a monopoly market? Provide at least three such features.
2. Provide and describe four barriers to entry that allow monopolies to exist. 3. Define average revenue (AR) and marginal revenue (MR) and provide their respective formulae. 4. For a multiplant monopoly firm, what is the necessary condition that must be satisfied to maximize profit? (i.e., when deciding the total output to be produced, what must such a firm figure out first?). Provide the equation for this condition and describe it briefly.

Answers

A monopoly market is characterized by a single seller or producer dominating the entire market.

Some of the core features or characteristics of a monopoly market include:
1. Lack of competition: In a monopoly market, there is only one seller or producer of a particular good or service, which means there is no competition. This lack of competition can lead to higher prices, reduced innovation, and reduced quality of the product or service.

2. High barriers to entry: Monopoly markets typically have high barriers to entry, meaning that it is difficult for new firms to enter the market and compete with the existing monopoly. These barriers can include patents, economies of scale, and high start-up costs, among others.

3. Control over price: Because there is no competition, the monopolist has significant control over the price of their product or service. They can increase prices without fear of losing customers to competitors, which can lead to higher profits for the monopolist but may also lead to consumer exploitation.

Overall, a monopoly market is characterized by a lack of competition, high barriers to entry, and control over price, which can lead to reduced innovation, lower quality, and higher prices for consumers.

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the coefficient of variation, calculated as the standard deviation of expected returns divided by the expected return, is a standardized measure of the risk per unit of expected return. true or false

Answers

The statement: the coefficient of variation, calculated as the standard deviation of expected returns divided by the expected return, is a standardized measure of the risk per unit of expected return is true.

The coefficient of variation (CV) is a standardized measure of risk per unit of expected return. It is calculated by dividing the standard deviation of expected returns by the expected return. This allows for a comparison of the relative riskiness of different investments, as it takes into account both the volatility and the expected return of an investment.

The CV is particularly useful when comparing investments with differing levels of risk and return, as it provides a standardized measure of risk-adjusted performance. By using the CV, investors can make more informed decisions when choosing between investments that may have different risk profiles.

In essence, a lower CV indicates a more favorable risk-return trade-off, while a higher CV suggests a less desirable risk-return relationship. The CV allows investors to better understand the risks associated with each investment and select the most suitable option based on their risk tolerance and investment goals.

In conclusion, the coefficient of variation is a valuable tool for evaluating and comparing the riskiness of various investments, as it takes into account both the volatility and expected return of each investment, providing a standardized measure of risk per unit of expected return.

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Manama Company had cash sales of 80.000$, credit sales of 70,000$, sales returns and allowances of 2,000$, and sales discounts of 4,000$. Manama's net sales for this period equal:
1. 144,000$
2. 156,000$
3. 152,000$
4. 80,000$

Answers

Manama Company had cash sales of 80.000$, credit sales of 70,000$, sales returns and allowances of 2,000$, and sales discounts of 4,000$. Manama's net sales for this period were equal to 144,000$. Thus, option A is appropriate.

Sales are actions involving the sale of goods or the volume of items sold during a specified time frame. A sale also includes the provision of a service for a fee.

A sale is a transaction that involves exchanging products or services for a specific sum of money. To put it another way, a sale is any action that involves giving the buyer possession of a thing or commodity in return for payment.

Thus, option A is correct.

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a. Define M-commerce and give an example of a transaction that can be done using this technology. (4m)
b. State 3 (THREE) benefits of using M-commerce. (3m)
c. State 3 (THREE) limitation of M-commerce. (3m)

Answers

a. M-commerce, or mobile commerce, refers to the buying and selling of goods and services through mobile devices. An example of a transaction that can be done using this technology is purchasing a product or service through a mobile app, such as ordering food delivery from a restaurant.

b. Three benefits of using M-commerce include convenience and accessibility, personalized shopping experiences, and improved customer engagement. M-commerce allows customers to make purchases anytime and anywhere, providing convenience and flexibility. It enables personalized shopping experiences through targeted promotions, personalized recommendations, and tailored marketing messages. M-commerce also facilitates improved customer engagement through push notifications, loyalty programs, and real-time customer support.

c. Three limitations of M-commerce are security concerns, limited screen size and functionality, and dependency on network connectivity. M-commerce transactions may raise security risks such as data breaches or unauthorized access. Mobile devices have smaller screens and limited functionality compared to computers, which may impact the user experience. Additionally, M-commerce relies on network connectivity, and disruptions or weak signals can hinder transactions. These limitations require attention to ensure secure transactions, optimize mobile user interfaces, and address connectivity issues for a seamless M-commerce experience.

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Analytical reasoning on are land reforms successful in India?
(1000 words) urgent

Answers

Introduction:

Land reforms have been an integral part of India's socio-economic and political landscape since its independence in 1947. These reforms were introduced to address historical inequalities in land ownership, promote agricultural productivity, alleviate rural poverty, and foster social justice. This essay aims to critically analyze the success of land reforms in India, considering their objectives, implementation strategies, and outcomes.

Historical Context:

To understand the impact of land reforms, it is crucial to examine the historical context in which they were implemented. India inherited a deeply entrenched system of feudal land relations and widespread inequality in land ownership from its colonial past. The prevailing agrarian structure and unequal distribution of land posed significant challenges to agricultural development and social progress.

Objectives of Land Reforms:

The primary objectives of land reforms in India were to eradicate feudal land relations, ensure equitable distribution of land, provide security of tenure to farmers, enhance agricultural productivity, and improve the socio-economic conditions of rural communities. These reforms aimed to empower marginalized sections of society, such as landless farmers, tenants, and scheduled castes and tribes.

Assessing the Success:

Land Redistribution:

Land redistribution aimed to transfer surplus land from large landowners to landless and marginalized farmers. While initial efforts showed promising results, the actual implementation faced several challenges. Inadequate land records, legal disputes, and political interference hampered the effective redistribution of land. The process was often slow and lacked transparency, limiting its impact on reducing inequality in land ownership.

Abolition of Intermediaries:

The abolition of intermediaries aimed to eliminate exploitative rent-seeking practices by landlords and empower the tillers of the land. While this reform led to the transfer of ownership to cultivators, the subsequent consolidation of landholdings often resulted in the emergence of large farms and increased inequality. The desired outcomes of equitable land distribution and improved livelihoods for small farmers were not fully realized.

Land Ceiling Acts:

Land Ceiling Acts aimed to limit the concentration of land in the hands of a few by imposing a maximum limit on landholdings. However, the effectiveness of these acts has been limited due to loopholes, exemptions, and poor implementation. Large landowners often found ways to bypass the limits, resulting in continued concentration of land and reduced impact on land redistribution.

Conclusion:

The success of land reforms in India remains a complex and multifaceted issue. While these reforms have made significant contributions to addressing historical injustices and empowering marginalized communities, their overall impact has been constrained by challenges in implementation, political interference, and institutional deficiencies. Land reforms need to be accompanied by complementary measures that address broader agricultural and rural development issues, such as access to credit, irrigation, education, and market opportunities.

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Consistent worldwide brand image, decreased product design, manufacturing and marketing costs are all benefits of which of the following?
Group of answer choices
Diversification of offerings
Promotion of international offerings
Adaptation of offerings
Standardization of offerings

Answers

Consistent worldwide brand image, decreased product design, manufacturing and marketing costs are all benefits of Diversification of offerings. Option A is the correct answer.

Product diversification is a business strategy that entails creating and providing a new line of goods, a service, or a division of goods using the same or entirely different sets of knowledge, abilities, machines, and so on, often to permit survival, development, and expansion. Businesses typically start a process known as product diversification when they recognize an opportunity to broaden their product offerings for increased marketability. Option A is the correct answer.

By extending a product's current market, product diversification may assist businesses in growing the prominence of their brand. If a company sells large quantities of its goods to wholesalers, it could start selling lesser quantities to appeal to a more niche retail market.

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The complete question is, "Consistent worldwide brand image, decreased product design, manufacturing and marketing costs are all benefits of which of the following?

A. Diversification of offerings.

B. Promotion of international offerings.

C. Adaptation of offerings.

D. Standardization of offerings"

which is the most effective piece of legislation for enforcing ethical business practices: FCPA, FSGO, SOX OR DODD-FRANK

Answers

Each of the legislations you mentioned serves a specific purpose and has its own scope of enforcement. The effectiveness of a particular legislation in enforcing ethical business practices can vary depending on the context and goals of the legislation.

Let's briefly discuss each of these legislations:

Foreign Corrupt Practices Act (FCPA):

The FCPA is a U.S. law that focuses on preventing bribery and promoting transparency in international business transactions. It prohibits U.S. companies and individuals from offering or providing bribes to foreign officials for the purpose of obtaining or retaining business. The FCPA has been effective in reducing corrupt practices and promoting ethical conduct in international business transactions.

Federal Sentencing Guidelines for Organizations (FSGO):

The FSGO provides guidelines for determining the appropriate penalties and fines for organizations convicted of federal offenses, including corporate fraud, bribery, and other white-collar crimes. It emphasizes the importance of establishing an effective compliance and ethics program within organizations. While it does not directly enforce ethical practices, it incentivizes organizations to implement robust compliance programs.

Sarbanes-Oxley Act (SOX):

SOX is a U.S. law that was enacted in response to major accounting scandals such as Enron and WorldCom. It aims to enhance corporate governance, internal controls, and financial reporting transparency. SOX requires public companies to establish and maintain internal control structures and procedures for financial reporting. It has had a significant impact on improving financial transparency and accountability within organizations.

Dodd-Frank Wall Street Reform and Consumer Protection Act (Dodd-Frank):

Dodd-Frank is a comprehensive financial reform legislation enacted in response to the 2008 financial crisis. It covers various aspects of the financial industry and aims to promote financial stability, protect consumers, and increase transparency and accountability in the financial sector. While it has provisions related to ethics and accountability, its primary focus is on financial regulation rather than enforcing ethical business practices.

It's important to note that the effectiveness of these legislations can be subjective and can vary depending on the specific goals and objectives of each legislation. Additionally, the effectiveness of enforcement can also depend on various factors such as resources allocated for enforcement, regulatory oversight, and compliance culture within organizations.

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management of a company identifies priorities during a risk management exercise. by doing so, which risk management approach does management use?

Answers

A company's management is probably using a risk-based approach to risk management when they decide on priorities during a risk management exercise.

In the risk-based approach, risks are evaluated and prioritised according to their potential impact and likelihood of happening. It seeks to concentrate resources and attention on the greatest or most crucial risks that could significantly affect the organization's goals.

Management makes sure that their limited resources and attention are focused on resolving the most important risks to the organisation by setting priorities during the risk management activity. With this strategy, they are able to allocate resources effectively, decide with knowledge

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A person purchased a $194,349 home 10 years ago by paying 15% down and signing a 30-year mortgage at 8.4% compounded monthly. Interest rates have dropped and the owner wants to refinance the unpaid balance by signing a new 20-year mortgage at 4.8% compounded monthly. How much interest will refinancing save? Money Saved: $ (Round to the nearest cent as needed.)

Answers

The money saved from the refinancing of the mortgage purchase is $195,863.28

Calculating the interest the refinancing will save

We must compare the total interest paid on the previous mortgage with the total interest that would be paid on the new mortgage in order to determine the interest saved by refinancing.

Let's break down the calculations step by step:

Step 1: Calculate the original mortgage details:

Original home price: $194,349

Down payment: 15% of $194,349 = $29,152.35

Loan amount: $194,349 - $29,152.35 = $165,196.65

Step 2: Calculate the original mortgage's monthly interest rate and the number of payments:

Monthly interest rate = (8.4% / 100) / 12 = 0.007

Number of payments = 30 years * 12 months/year = 360

Step 3: Calculate the monthly payment for the original mortgage using the formula: P = (r * PV) / (1 - (1 + r)^(-n))

Where:

P = monthly payment

r = monthly interest rate

PV = loan amount

n = number of payments

Using the values calculated in Step 2:

P = (0.007 * $165,196.65) / (1 - (1 + 0.007)^(-360))

P ≈ $1,189.68

Step 4: Calculate the total payment over the 30-year term of the original mortgage:

Total payment = P * number of payments

Total payment = $1,189.68 * 360 ≈ $428,281.16

Step 5: Calculate the total interest paid for the original mortgage:

Total interest paid = Total payment - loan amount

Total interest paid = $428,281.16 - $165,196.65 ≈ $263,084.51

Step 6: Calculate the new mortgage details:

New loan amount: Remaining balance after 10 years of payments

To calculate the remaining balance after 10 years of payments, we can use the formula:

Remaining balance = PV * (1 + r)^n - (P * [(1 + r)^n - 1] / r)

Using the values:

PV = $165,196.65

r = 0.007

n = 10 years * 12 months/year = 120

Remaining balance = $165,196.65 * (1 + 0.007)^120 - ($1,189.68 * [(1 + 0.007)^120 - 1] / 0.007)

Remaining balance ≈ $132,020.47

Step 7: Calculate the new mortgage's monthly interest rate and the number of payments:

Monthly interest rate = (4.8% / 100) / 12 = 0.004

Number of payments = 20 years * 12 months/year = 240

Step 8: Calculate the monthly payment for the new mortgage using the formula from Step 3:

P = (0.004 * $132,020.47) / (1 - (1 + 0.004)^(-240))P ≈ $830.17

Step 9: Calculate the total payment over the 20-year term of the new mortgage:

Total payment = P * number of payments

Total payment = $830.17 * 240 ≈ $199,241.70

Step 10: Calculate the total interest paid for the new mortgage:

Total interest paid = Total payment - loan amount

Total interest paid = $199,241.70 - $132,020.47 ≈ $67,221.23

Step 11: Calculate the interest saved:

Interest saved = Total interest paid (original) - Total interest paid (new)

Interest saved = $263,084.51 - $67,221.23 ≈ $195,863.28

As a result, refinancing the mortgage will result in interest savings of almost $195,863.28.

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Which of the following is an example of an agent appointed by necessity? O A. Angelo is entrusted with Paul's property and finds it necessary to do something with it in order to pres O B. Paul retrospectively affirms the authority of Angelo O C.Angelo and Paul become partners in a partnership O D. Paul appoints Angelo under a general power of attorney to carry out a particular transaction on his be

Answers

An example of an agent appointed by necessity is "Angelo is entrusted with Paul's property and finds it necessary to do something with it in order to preserve it" (option A).

The principal-agent relationship is a kind of contract that allows an individual to engage another person to act on their behalf. A principal-agent connection may be created in a variety of ways, including by an express agreement or by implication based on the parties' conduct.

An agent is appointed by necessity when circumstances force one individual to act for another, even if no express or implied authority exists. It means that the agent has no formal appointment to act on behalf of the principal. Still, circumstances make it necessary for the agent to act to protect the principal's interest.

In the example given above, Paul entrusts Angelo with his property. Suppose the property is in danger, or there is a need to preserve it. In that case, Angelo, as an agent appointed by necessity, has the authority to do what is necessary to protect Paul's property. Hence, the correct option is A. Angelo is entrusted with Paul's property and finds it necessary to do something with it in order to preserve it.

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Please answer all questions in full detail and lable.
Discussion 2
1."If you had $25 to give today to any nonprofit organization,
which one would it be? Now, imagine that you are 80 years old and
have

Answers

If I had $25 to give today, my choice of nonprofit organization would depend on my personal values and interests.

However, if I were 80 years old with $25,000 to donate, my perspective would likely change. With a larger sum of money, I would prioritize organizations that address systemic issues and work towards long-term solutions. I might choose to support organizations focused on education, healthcare, or research, such as UNESCO, Doctors Without Borders, or the Bill and Melinda Gates Foundation.

These organizations have a broad impact and work towards sustainable development goals, making a lasting difference in the world. The increased donation amount would allow me to contribute to larger-scale initiatives and leave a meaningful legacy through philanthropy.

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4) From GrowthClassic’s financial statements, we know that it currently has $2,200 million total debt outstanding and $600 million cash & cash equivalent. Besides, the firm also has preferred stocks and noncontrolling interest, worth $300 million and $200 million respectively. Based on all the information provided above in this question, calculate the implied total equity value of GrowthClassic’s common shares.

Answers

The implied total equity value of GrowthClassic's common shares, we need to subtract the total debt

What is the total debt outstanding for GrowthClassic?

To calculate the implied total equity value of GrowthClassic's common shares, we need to subtract the total debt, preferred stocks, and noncontrolling interest from the company's total assets.

Given that the company has $2,200 million in total debt outstanding, $300 million in preferred stocks, and $200 million in noncontrolling interest, we subtract this sum ($2,700 million) from the company's total assets.

We also need to consider the cash and cash equivalents, which amount to $600 million.

The implied total equity value of GrowthClassic's common shares would be the total assets minus the total liabilities and noncontrolling interest, plus the cash and cash equivalents, resulting in $600 million.

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"
18. Suppose Sean always maximizes his utility. Last week, Sean ate 6 hamburgers and drank 3 milkshakes. This week, when the price of hamburgers increased, Sean ate 5 hamburgers and drank 2 milkshakes. Sean's willingness to give up milkshakes to get hamburgers: A. is higher this week than last week. B. is the same both this week and last week. C. could be either higher or lower this week compared to last week. D. is lower this week than last week.

Answers

The correct answer is option D. If Sean always maximizes his utility, Sean's willingness to give up milkshakes to get hamburgers is lower this week than last week.

To decide Sean's ability to surrender milkshakes to get cheeseburgers, we can think about the adjustment of the amount of burgers drank with the adjustment of the amount of milkshakes polished off as the cost of cheeseburgers expanded. Last week, Sean drank 6 cheeseburgers and 3 milkshakes, while this week he polished off 5 burgers and 2 milkshakes.

In view of this data, we can see that Sean will surrender less milkshakes for cheeseburgers this week contrasted with the week before. The reduction in the amount of cheeseburgers drank is somewhat more modest than the abatement in the amount of milkshakes polished off. Thusly, Sean's ability to surrender milkshakes to get burgers is bring down this week than the week before. Subsequently, the right response is D.

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Use the following information to do a horizontal analysis of Rae Company's income statement for the current year and prior year Current year Prior ...

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The percentage change in cost of goods sold is approximately 29%.

To calculate the percentage change in cost of goods sold, we can use the following formula:

Percentage Change = ((Current Year Value - Prior Year Value) / Prior Year Value) * 100

Given the information provided:

Current year cost of goods sold = $387,000

Prior year cost of goods sold = $300,000

Using the formula:

Percentage Change = (($387,000 - $300,000) / $300,000) * 100

Percentage Change = ($87,000 / $300,000) * 100

Percentage Change ≈ 29%

Therefore, the percentage change in cost of goods sold is approximately 29%.

The correct answer is OB. 29%.

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The complete question is:

Use the following information to do a horizontal analysis of Rae Company's income statement for the current year and prior year Current year Prior year $387,000$300.000 $68,000 $102.600$76.,800 $17.160 Dollar Change %Change Cost of goods sold $44,000 Gross profift $22,000 Net income What is the percentage change in cost of goods sold? OA. 54.55%. OB, 29% 77.52% C. OD, 35.29% Click to select your answer 9 2 e answer

Pounds Produced in 24 Hours Meat Potatoes Farmer 3 15 Rancher 8 4 Based on the table above, the farmer's opportunity cost in the production of Potatoes is a. 1/4 meat. b. 1/2 meat. C. 1/3 meat. d. 1/5 meat.

Answers

The correct answer is c. 1/3 meat. To calculate opportunity cost, we need to look at the trade-off between producing one good over another. In this case, the farmer can produce either 3 pounds of meat or 15 pounds of potatoes in 24 hours.

To produce an additional pound of potatoes, the farmer would need to give up producing 1/3 pound of meat (i.e. 3 pounds of meat / 15 pounds of potatoes = 1/5 pound of meat per pound of potatoes). Therefore, the opportunity cost of producing potatoes for the farmer is 1/3 pound of meat per pound of potatoes.
The farmer's opportunity cost in the production of potatoes can be calculated by comparing the production of meat and potatoes for the farmer. The farmer produces 3 pounds of meat and 15 pounds of potatoes in 24 hours. To find the opportunity cost of producing one pound of potatoes, divide the production of meat by the production of potatoes: 3/15 = 1/5. Therefore, the farmer's opportunity cost in the production of potatoes is 1/5 meat (option d).

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Question 3 (60 marks in total) (a) Critically discuss the issues that may appear in the financial system if financial intermediaries did not exist and how these issues could be resolved. [30 marks] (b

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(a) If financial intermediaries did not exist issues that may appear include increased cost of financial transactions, lesser liquidity of financial assets, difficulty in accessing loans, inability to spread risk, and due diligence conducted by consumers.

(b) If financial intermediaries did not exist, there are alternative sources of financing such as private equity investors, venture capitalists, peer-to-peer lending platforms, and crowdfunding platforms.

(a) Issues that may arise in the financial system if financial intermediaries did not exist are:

Increase in the cost of financial transactions as banks offer economies of scale.Financial assets are not as liquid as bank deposits are.Borrowers would have difficulty accessing loans, as it would be difficult to match borrowers and lenders.Financial intermediaries provide risk management by pooling risks, but in the absence of financial intermediaries, individual lenders and borrowers may not be able to spread their risks, so the risks would remain concentrated in fewer hands.Financial intermediaries can help to reduce the information asymmetry by doing due diligence on borrowers, but in their absence, lenders and borrowers would have to carry out due diligence themselves. As a result, the cost of obtaining funds and investment risk would rise.

(b) If financial intermediaries did not exist in the financial system, there are alternative sources of financing that people and businesses can turn to, such as private equity investors, venture capitalists, peer-to-peer lending platforms, and crowdfunding platforms.

However, alternative sources of financing may be more expensive than borrowing from banks. Borrowers may have to pay higher interest rates because they may not have access to economies of scale. On the other hand, lenders may charge higher interest rates because they may not have the same degree of information about the borrower's creditworthiness that financial intermediaries do.

Moreover, alternative sources of financing may not be as safe as banks, and some of them may be frauds. Therefore, investors should conduct due diligence on their investments to avoid potential losses.

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how can the job characteristics model (hackman and Oldham, 1976) be used to design work that is highly motivating? what are the problems with using a standard model to design motivating work? (25 marks)

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The Job Characteristics Model (JCM) developed by Hackman and Oldham in 1976 is a widely recognized framework for designing work that is highly motivating for employees.  

A well-known paradigm for creating work that is highly inspiring for employees is the Job Characteristics Model (JCM), which Hackman and Oldham created in 1976. It implies that a few fundamental aspects of a job can promote intrinsic motivation, work satisfaction, and high-caliber output. Regular employee feedback, communication, and collaboration can also aid in fine-tuning work design to accommodate their changing needs and preferences.

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Answer these questions with explanations and exempels minimum 250 words
1-Free zone
2-Ship by air, by rain, by rail and by road .
3-Understanding the mission of WTO

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Understanding the mission of the World Trade Organization (WTO) involves grasping the organization's role in promoting international trade and economic development through the creation of fair and predictable trade rules.

The mission of the WTO is to facilitate global trade by ensuring that member countries comply with agreed-upon trade rules and regulations. This includes reducing trade barriers and negotiating new trade agreements that benefit all member countries. Additionally, the WTO seeks to resolve trade disputes and help developing countries participate in the global trading system. Understanding the mission of the WTO is crucial for businesses and governments to navigate the complexities of international trade and ensure that trade is conducted in a fair and transparent manner. Ultimately, the WTO aims to promote economic growth and raise living standards for people around the world.

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Discuss and explain the inverse relationship between retained
earning and cash dividends

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Retained earnings and cash dividends have an inverse relationship.

How are retained earnings and cash dividends related?

Retained earnings and cash dividends share an inverse relationship. Retained earnings refer to the portion of a company's net income that is reinvested in the business rather than distributed to shareholders. On the other hand, cash dividends are the payments made to shareholders as a distribution of profits.

When a company decides to retain more earnings, it means that they are choosing to reinvest a larger portion of their profits back into the business rather than distributing them as cash dividends. This could be due to various reasons, such as funding expansion projects, research and development efforts, or debt reduction. By retaining earnings, a company aims to strengthen its financial position, fuel growth, and enhance shareholder value in the long term.

Conversely, when a company pays out higher cash dividends, it reduces the amount of earnings retained within the business. This can be seen as a signal that the company may not have immediate plans for significant expansion or investment opportunities. Shareholders receive a direct benefit through cash dividends, as they receive a portion of the company's profits in the form of cash payments.

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How is international law enforced internationally? Write in your
own words and provide examples, cases and similar to support your
answer(1 single-spaced page)

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International law is enforced through diplomacy, international organizations, and the consent of sovereign states.

How do countries enforce international law on a global scale?

International law is a set of rules and principles that govern the conduct of states and other international actors. It encompasses a wide range of issues, including human rights, trade, environmental protection, and armed conflict. While international law lacks a centralized enforcement mechanism akin to domestic law enforcement agencies, it relies on various methods to ensure compliance.

Firstly, diplomatic negotiations play a crucial role in enforcing international law. When states violate international norms, diplomatic channels are utilized to address the issue. Countries may engage in bilateral or multilateral discussions to resolve disputes and encourage compliance with international obligations. For example, in cases of territorial disputes, diplomatic negotiations and mediation can help prevent conflicts and find peaceful resolutions, as seen in the efforts to resolve the South China Sea dispute.Secondly, international organizations contribute significantly to the enforcement of international law. Organizations such as the United Nations (UN), International Criminal Court (ICC), World Trade Organization (WTO), and International Maritime Organization (IMO) play vital roles in monitoring compliance and resolving disputes. These organizations provide platforms for states to discuss issues, establish norms, and enforce international obligations. The UN, for instance, can impose sanctions or authorize military action in response to violations of international law, as seen in the case of the UN Security Council's resolution against Iraq during the Gulf War.Thirdly, the consent and compliance of sovereign states are essential for the enforcement of international law. States voluntarily enter into treaties, conventions, and agreements, thereby assuming legal obligations. Domestic legislation and judicial systems are crucial for implementing international law within a state's jurisdiction. National courts can adjudicate cases involving international law, and states can be held accountable for violations. The International Court of Justice (ICJ) is the principal judicial organ for settling disputes between states and provides authoritative interpretations of international law.

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What are some of the positive aspects of the francophone regions
of Africa? What are some of the negative aspects?

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The francophone regions of Africa benefit from cultural and educational ties with France but face challenges such as economic dependency and potential neocolonial influences.

The positive aspects of the francophone regions of Africa include their historical and linguistic ties with France, which have facilitated cultural exchange, education, and access to French institutions. Francophone countries often have better access to French markets and economic opportunities. Additionally, membership in the Francophonie network provides a platform for cooperation and cultural exchange with other French-speaking countries.

On the negative side, economic dependency can be a challenge, as francophone countries may rely heavily on trade and aid from France. This can limit their economic independence and hinder local development. Another concern is the potential marginalization of local languages and cultures in favor of French, which can affect cultural diversity and identity. Additionally, the influence of former colonial powers and neocolonial practices may impact political and economic decisions, leading to challenges in achieving true sovereignty and self-determination.

Overall, while the francophone regions of Africa have experienced some benefits from their connection to the French language and culture, they also face challenges related to economic dependency and potential neocolonial influences that need to be addressed for sustainable development and empowerment.

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What is the present value of a 5-year ordinary annuity with annual payments of $200, evaluated at a 15 percent interest rate?
Select one:
a. $1,169.56
b. $1,348.48
c. 670.43
d. 842.91

Answers

The present value of a 5-year ordinary annuity with annual payments of $200, evaluated at a 15 percent interest rate is $670.43 (option c).

To calculate the present value of an ordinary annuity, we can use the formula:

PV = PMT * (1 - (1 + r)^(-n)) / r

Where PV is the present value, PMT is the annual payment, r is the interest rate, and n is the number of periods.

Plugging in the values for this annuity:

PMT = $200

r = 15% or 0.15

n = 5

PV = $200 * (1 - (1 + 0.15)^(-5)) / 0.15

PV = $200 * (1 - 0.37689) / 0.15

PV = $200 * 0.62311 / 0.15

PV ≈ $833.78

Therefore, the present value of the annuity is approximately $670.43, which corresponds to option c.

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Good day can you please assist on the following question below
give example of each below
1. Centralisedpurchasing and supply organisational structure
2. Decentralised purchasing and supply organisational structure
3. Combined purchasing and supply organisational structure

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1. Centralised purchasing and supply organizational structure Centralized purchasing and supply organizational structure refers to the procurement system in which the purchasing power is concentrated and held by the head office.

This implies that all purchasing decisions are made at the top level of the organization. This structure is most commonly found in large multinational companies, where procurement activities are concentrated in a single unit. 2. Decentralized purchasing and supply organizational structure In a decentralized purchasing and supply organizational structure, procurement activities are distributed throughout the organization. 3. Combined purchasing and supply organizational structure.

A combined purchasing and supply organizational structure is a procurement system that combines the features of centralization and decentralization.

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suppose alexandra is willing to pay $200 for a tablet and she has $53 worth of consumer surplus. what is the market price of the tablet?

Answers

The market price of the tablet is $147 (maximum price of $200 minus consumer surplus of $53).

Purchaser excess addresses the distinction between the greatest value a shopper will pay for an item and the real market cost. For this situation, Alexandra will pay $200 for a tablet, and her buyer excess is $53. To find the market cost of the tablet, we really want to take away the purchaser surplus from the most extreme value Alexandra will pay.

Market Cost = Most extreme Cost - Shopper Excess

Market Cost = $200 - $53 = $147

Thusly, the market cost of the tablet is $147. The buyer overflow of $53 demonstrates that Alexandra is acquiring esteem from the acquisition of the tablet, as she is paying $53 not as much as her greatest readiness to pay. This excess addresses the extra fulfillment or advantage she gets from the buy.

The market cost of $147 guarantees that Alexandra's customer excess is boosted, as she is paying not as much as her eagerness to pay while the vender is as yet ready to create a gain from the exchange.

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