The new price per share for HG Inc stock is closest to option (b) $30.77
To calculate the new price per share of HG Inc stock, we can use the constant growth model formula:
P0 = (Div1 / (rE - g))
where P0 is the current price per share, Div1 is the dividend per share in the coming year, rE is the expected return on equity, and g is the expected constant growth rate of dividends.
Before the dividend cut, the price per share was calculated as:
P0 = (1.50 / (0.075 - g)) (Equation 1)
We don't know the growth rate g, but we can solve for it using the given information:
EPS1 = Div1 / (1 - g) => 3.00 = 1.50 / (1 - g) => g = 0.5
Substituting this growth rate into Equation 1, we get:
P0 = (1.50 / (0.075 - 0.5)) = $46.15
After the dividend cut, the new dividend per share is $1.00. We can use the same formula to calculate the new price per share:
P0 = (Div1 / (rE - g))
Substituting the given values, we get:
P0 = (1.00 / (0.075 - 0.5)) = $30.77
Therefore, the new price per share for HG Inc stock is closest to option (b) $30.77.
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Full Question: Currently, the market projects that HG Inc will have earnings and dividends in the coming year given by EPS1 = $3.00 Div1 = $1.50 Given these projections, the expected return on equity for HG Inc is rE= 7.5% and price per share P0 = $46.15. You advise HG inc to cut its dividend to Div1=$1.00. Assuming the expected return on equity rE and the return on investment rROI remain unchanged under this new policy, the new price per share for HG stock is closest to
a. $54.55
b. $30.77
c. $75.25
d. $81.82
A principal of $4,570 is placed in an account that earns 4.5% interest. if the interest is compounded annually, how much money will be in the account at the end of 5 years? a. $4654.15 b. $4775.65 c. $5638.75 d. $5695.05 please select the best answer from the choices provided a b c d
$4,570 in principal is deposited in an account with a 4.5% interest rate. Money will be $5695.05 if interest is compounded annually.
How is compounded annually determined?
In order to compute compound interest, multiply the principle of the original loan by the annual interest rate multiplied by the number of compound periods minus one. You will then be left with the principal amount of the loan plus compound interest. annual interest compounding noun [U] FINANCE. a way to calculate and apply interest to a loan or investment once a year rather than over a longer period of time: If you borrowed $100,000 at 5% interest compounded annually, you would have $5,250 in debt on a $105,000 principal after the first year. Compound interest is computed as interest on the principle of an account plus any accrued interest. If you put $1,000 in a savings account with 2% yearly interest,
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A consumer products company has already reviewed its objectives and capabilities, established the screening criteria for reviewing potential foreign markets, and examined a series of environmental factors for the markets in which it plans to operate. What should the company do next as it proceeds with the international planning process
The international planning process is a measure used by companies that wish to expand their businesses to other countries. After the first stage of analyzing and screening the new market, the consumer products company should move to the next phase which is;
Evaluating the marketing mix to target markets.There are 4 phases in the international planning process which include; analysis and screening, adoption of the correct market mix, development of a marketing plan, and implementation/control.
For the consumer products company above that has established the screening criteria, they must ensure that they adopt the right market mix that will suit the organization.
This means that the product, place, price, and promotion should be right.
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Leong is a successful businessman in Penang. Due to uncertainty of economy and self-employed job nature, Leong is building his own retirement plan.
Leong has been following the stock of Axiata Berhad, and after conducting extensive analysis, he feels the stock is about ready to move. Specifically, he believes that within the next six months, Axiata Berhad could go to about RM50 per share, from its current level of RM35.90. The stock pays annual dividends of RM1.50 per share. Leong figures he would receive two quarterly dividend payments over his six-month investment horizon.
In studying Axiata Berhad, Leong has learned that the company has six-month call options (with RM31.25 and RM37.50 strike prices) listed on the Bursa Malaysia. The Bursa Malaysia calls are quoted at RM5.00 for the options with RM31.25 strike prices and at RM3.125 for the RM37.50 options.
Show how many alternative investments does Leong have if he wants to invest in Axiata Berhad for no more than six months. If he has a two-year investment horizon, identify how many alternatives of investment does Leong have.
Using a six-month holding period and assuming the stock does indeed rise to RM50 over this time frame:
Find the value of both calls, given that at the end of the holding period neither contains any investment premium.
Compute the holding period return for each of the three investment alternatives open to Leong.
Recommend which course of action that Leong would want to maximize profit. Justify whether your answer would change if other factors (e.g., comparative risk exposure) were considered along with return.
Leong has two alternative investments available for a six-month investment horizon in Axiata Berhad: buying the stock directly or buying call options.
For buying the stock directly at RM35.90 and expecting it to rise to RM50, with two quarterly dividend payments of RM1.50 each, Leong's holding period return can be calculated using the formula: Holding Period Return = (Final Stock Value + Dividends Received - Initial Stock Price) / Initial Stock Price. For buying call options with strike prices of RM31.25 and RM37.50, and quoted prices of RM5.00 and RM3.125 respectively, Leong's holding period return can be calculated using the formula: Holding Period Return = (Final Option Value - Option Price) / Option Price. Comparing the holding period returns for each investment alternative will help Leong determine the course of action that maximizes profit. However, other factors such as comparative risk exposure should also be considered. Buying call options can provide leverage and potentially higher returns, but it comes with higher risk compared to buying the stock directly. Leong should assess his risk tolerance, market volatility, and his confidence in predicting the stock's performance before making a decision. Considering both return and risk factors will help Leong make a more informed choice for his investment strategy in Axiata Berhad.
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the negative impact of the coronavirus as one of the socio- economic issues on businesses
Answer: reducuced workforce across all economic sectors and caused many jobs to be lost.
Explanation:
On March 1, 2017, Carla Vista Co. Acquired real estate, on which it planned to construct a small office building, by paying $79,000 in cash. An old warehouse on the property was demolished at a cost of $8,000; the salvaged materials were sold for $1,660. Additional expenditures before construction began included $1,160 attorney's fee for work concerning the land purchase, $4,400 real estate broker's fee, $8,660 architect's fee, and $13,800 to put in driveways and a parking lot. (a) Determine the amount to be reported as the cost of the land.
Answer:
The reported cost of the land = $99,560
Explanation:
In order to calculate the cost of the land, it is important to note that the amount recorded as cost of the land, includes the actual amount paid as the market price of the land, including all the necessary costs incurred to make the land ready for use. These include: attorney's fees, cost of demolition of old properties, broker's fees etc.
To calculate the net cost of the land, let us identify all the transactions done in the purchase of the land. This is done as follows:
market value of land = $ 79,000
cost of demolition = $ 8,000
additional expenses = $ 1,160
attorney's fee = $ 4,400
broker's fee = $ 8,660
salvaged materials = $ 1,660 (minus)
Total = $ 99,560
Note that the amount gotten from sale of salvaged materials is subtracted from the cost of land, because it is an income, not expenditure, while the architect's fee is not used in the calculation because, it doesn't meet the criteria for cost of land, instead it is part of the cost of building after the acquisition of the land.
why is market development necessary ?
Which of the following set is correctly depicting the same type of production: I. bridges, fishing, rum II. Hotel worker, processed coffee, sugar
III. furniture, clothing, roadway IV. all the above
Each sector of the economy involves a different type of production process.
Which of the following set is correctly depicting the same type of production?The correct set that is depicting the same type of production is set II, which includes hotel worker, processed coffee, and sugar.
In set II includes hotel workers, processed coffee, and sugar. Hotel workers are part of the service sector, which involves providing intangible goods and services such as hospitality, entertainment, and transportation. Processed coffee and sugar are part of the manufacturing sector, which involves the transformation of raw materials into finished goods for consumption. These items are all related to the same sector of the economy, which is the service and manufacturing sector.
In contrast, set I includes a mix of production types. Bridges are part of the construction sector, fishing is part of the primary sector (which involves extracting natural resources), and rum is part of the manufacturing sector. These items are not related to the same type of production.
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The increasing growth of the World Wide Web constantly enlarges the revenue generated by search engine advertising. Advertisers bid on ieywords associated with their products to display their ads on the search result pages. Assume that you have logs which consists of the details iuch as advertiser name, product details, keywords associated with their products and search query keywords which leads to high hits on the dvertisement link. [2+3+3=8M] 1. Propose and discuss the data structure suitable for storing the logs details which can help the system to recommend the keywords effectively. 2. Propose a Keyword suggestion method for the advertisers to fill the gap between the keywords chosen by advertisers and the popular queries by stating the suitable bottom-up clustering algorithm(s). 3. Propose a Top-down clustering algorithm to group the similar advertisers. Discuss about the Advantage(s) and disadvantage(s) of the proposed algorithm.
1. To effectively store and retrieve log details for keyword recommendation, a suitable data structure is a combination of a search index and a graph-based structure.
2. To suggest keywords that bridge the gap between advertisers' chosen keywords and popular queries, a suitable bottom-up clustering algorithm is the agglomerative hierarchical clustering method.
3. To group similar advertisers, a suitable top-down clustering algorithm is the k-means clustering algorithm.
1. Data Structure for Storing Log Details:
Here's a proposal for the data structure:
a) Search Index:
- Build an inverted index that maps each keyword to a list of logs containing that keyword. This allows for efficient keyword-based search and retrieval.
- The inverted index can be implemented using a hash table or a search engine library (e.g., Elasticsearch or Apache Solr) for fast keyword lookup.
b) Graph-Based Structure:
- Construct a graph where each node represents a keyword and is connected to other keywords based on their co-occurrence in the logs.
- The edges between nodes can be weighted based on the frequency of co-occurrence or other relevance measures.
- This graph structure enables the identification of related keywords and can support recommendation algorithms.
2. Keyword Suggestion Method using Bottom-Up Clustering:
Here's how the algorithm can be applied:
a) Preprocessing:
- Extract the keywords chosen by advertisers and the popular queries from the logs.
- Perform any necessary data cleaning, such as removing stop words or stemming.
b) Feature Extraction:
- Convert the keywords into numerical feature vectors using techniques like T/F-IDF (Term Frequency-Inverse Document Frequency) or word embeddings.
c) Bottom-Up Clustering:
- Start by considering each keyword as an individual cluster.
- Calculate the similarity or distance between each pair of clusters (e.g., using cosine similarity for T/F-IDF vectors).
- Merge the two most similar clusters into a new cluster.
- Repeat the similarity calculation and merging until a specified stopping criterion is met (e.g., a desired number of clusters or a similarity threshold).
d) Keyword Suggestion:
- For each advertiser's chosen keyword, find the cluster that contains it.
- Retrieve the keywords from the same cluster as suggestions for the advertiser.
- The suggested keywords are likely to be popular queries related to the advertiser's chosen keyword.
3. Top-Down Clustering Algorithm for Similar Advertisers:
To group similar advertisers, a suitable top-down clustering algorithm is the k-means clustering algorithm. Here's an overview of how it can be applied:
a) Preprocessing:
- Extract advertiser details, such as advertiser name and product details, from the logs.
- Convert categorical features into numerical representations using techniques like one-hot encoding or embedding.
b) Feature Extraction:
- Construct feature vectors for each advertiser by combining and normalizing the numerical representations.
c) Top-Down Clustering:
- Start with all advertisers in a single cluster.
- Apply the k-means algorithm to partition the advertisers into k initial clusters based on their feature vectors.
- Evaluate the quality of the clustering using an appropriate evaluation metric (e.g., silhouette score or within-cluster sum of squares).
- If the quality is satisfactory, stop. Otherwise, select the cluster with the largest within-cluster sum of squares and recursively apply the k-means algorithm on that cluster until the desired number of clusters is obtained.
Advantages of Top-Down Clustering (k-means):
- Scalability: The k-means algorithm can handle large datasets efficiently.
- Interpretability: The resulting clusters are easily interpretable and can provide insights into advertiser groupings.
- Convergence: The algorithm converges to a local optimum, ensuring stability in cluster assignments.
Disadvantages of Top-Down Clustering (k-means):
- Sensitivity to Initial Conditions: The choice of initial cluster centroids can affect the final clustering results.
- Assumes Spherical Clusters: K-means assumes that clusters are spherical and have similar sizes, which may not hold in all scenarios.
- Requires Specifying the Number of Clusters (k): Determining the appropriate number of clusters can be challenging and may require domain knowledge or additional analysis.
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Animeat is a company that sells food for exotic animals in the UAE. Business is going well but they predict they will have some cash flow problems five months from now. What type of finance do you recommend? Explain your recommendation
Answer:
Animeat should access a flexible line of credit.
Explanation:
While it is common knowledge that businesses including those that are profitable would at one time or another have cash flow problems, yet it is pertinent for business owners and managers to always plan ahead against lack or shortage of cash flow as such could lead to total collapse of the business or customers/suppliers loss.
With regard to the above scenario, I would suggest Animeat access a flexible line of credit like invoice finance,overdraft facilities or short term business loan etc, inorder to meet up with it's food supply when the time comes. This would give the business quick access to funds/cash hence cushion the effect of cash flow problem during the predicted time.
The most important source of finance is to find the one that suit the business need and in which interest payment will be seamless so that available cash will not be depleted.
What is interpersonal?
Answer:
having the ability to relate to and connect with others
If plant assets of a manufacturing company are sold at a gain of $1,000,000 less related taxes of $350,000, and the gain is not considered unusual or infrequent, the income statement for the period would disclose these effects as
A. operating income net of applicable taxes, $750,000.
B. an extraordinary item net of applicable taxes, $750,000.
C. a prior period adjustment net of applicable taxes, $1,000,000.
D. a gain of $1,000,000 and an increase in income tax expense of $350,000.
Answer:
D. a gain of $1,000,000 and an increase in income tax expense of $350,000.
Explanation:
Given that
The gain is $1,000,000
And, the taxes is $350,000
So here the income statement that disclose the impact is that
There is a gain of $1,000,000 and also at the same time the income tax expense is rise by $350,000
Therefore the option d is correct
hence, the same would be considered
Document 7: According to the author, what aspects of life are improved under communism?
CAN SOMEBODY HELP ME:(
Communist ideology supports widespread universal social welfare.
Improvements in public health and education, provision of child care, provision of state-directed social services, and provision of social benefits will, theoretically, help to raise labor productivity and advance a society in its development.
What is social welfare?
The term "social care" does not have a precise definition. Today, social care encompasses a wide range of activities and services by volunteers, non-profit organizations and government agencies. Social care includes assistance provided to those in need; activities and resources to improve or promote the well-being of individuals, families and wider society; and broad efforts to eliminate or reduce the incidence of social problems.To know more about social welfare, click the link given below:
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A new business has total sales of $14,000, applied $1,350 in merchandise discounts, and had returns of $234. Calculate the business's total net sales.
Answer:
$12,416
Explanation:
Applied merchandise discounts mean discounts issued.
The net sales will be total sales minus merchandise discounts applied minus returns.
Net sales = total sales - ( discounts + returns)
Net sales = $14,000 - ( $1,350 + $234)
Net sales = $14,000 - $1,584
Net sales = $12,416
Consider the following accounts (Click the icon to view the accounts.) Identify the financial statement (or statements) that each account would appear on. Use I for Income Statement, RE for Statement of Retained Earnings, B for Balance Sheet, and C for Statement of Cash Flows. (If a box is not used in the table, leave the box empty; do not select a label.) a. Accounts Payable b. Cash c. Common Stock d. Accounts Receivable e. Rent Expense f. Service Revenue g. Office Suppliesh. Land i. Salaries Expense
Answer:
a. Accounts Payable = B
b. Cash = I
c. Common Stock = B
d. Accounts Receivable = B
e. Rent Expense = I
f. Service Revenue = I
g. Office Supplies = B
h. Land = B
i. Salaries Expense = I
Explanation:
The Income Statement shows the Revenues (Incomes) and Expenses incurred during the period of operation.
The Balance Sheet shows the Balances of Assets, Liabilities and Equity at the end of the financial period.
The Statement of Cash flows shows the results of Cash Flow arising from Operating, Investing and Financing Activities.
elements that have little or no effect on search results include . select all that apply. a. keywords b. stop words
The element that has little or no effect on search results includes stop words.
Stop words are common words like "and," "the," "of," and "to" that search engines typically ignore because they appear in most documents and do not provide meaningful information.
On the other hand, keywords play a crucial role in determining search results as they help search engines understand the content and relevance of a page.
By incorporating relevant keywords into your content, you can increase your chances of appearing higher in search engine results pages (SERPs).
In conclusion, while stop words have little or no effect on search results, keywords play a crucial role in determining search rankings.
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Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?
All of the following, with the exception of conditions, are required.
Describe insurance.One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.
An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.
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true or false: strict liability is imposed on a party regardless of whether that the behavior is negligent or intentiona
True. Strict liability is imposed on a party regardless of whether the behavior was negligent or intentional. This means that even if the party had taken reasonable care in their actions, they could still be held liable for any damages caused.
Strict liability is typically imposed in cases involving hazardous activities, such as manufacturing products or keeping wild animals. In such cases, the plaintiff only needs to prove that the defendant engaged in the activity to hold them liable, regardless of the degree of care they took.
In order to avoid strict liability, it is important to take all reasonable measures to avoid causing harm. This means that any hazardous activities should be carried out safely, with the appropriate training and safety protocols in place. If the party has taken such steps, they may be able to avoid liability if an incident occurs.
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ashburn corporation issued 20-year bonds 2 years ago at a coupon rate of 7.2 percent. the bonds make semiannual payments. if these bonds currently sell for 95 percent of par value, what is the ytm?
If the price of these bonds is currently 95% of their par value, The YTM of these bonds is approximately 7.5%.
What is the YTM?
YTM (Yield to Maturity) is the total return expected on a bond if it is held until the maturity date. It is the internal rate of return of the bond, taking into account all coupon payments and the face value of the bond. In this question the answer in the step by step order given below
Calculate the present value of the bond.
The present value of the bond can be calculated by multiplying the face value of the bond (also known as par value) by the current market price of the bond (in this case, 95%).
Present Value = Par Value x Market Price
Present Value = 100 x 0.95
Present Value = 95
Calculate the present value of the coupon payments.
The present value of the coupon payments can be calculated by multiplying the coupon payment amount by the present value of an annuity factor.
The annuity factor can be found using a financial calculator or by using the following formula:
Annuity Factor = [1 - (1/(1+r)^n)] / r
Where r is the interest rate (in this case, 7.2%) and n is the number of payments (in this case, 40).
Annuity Factor = [1 - (1/(1+0.072)^40)] / 0.072
Annuity Factor = 37.3
The present value of the coupon payments can then be calculated by multiplying the coupon payment amount (7.2% of par value) by the annuity factor.
Present Value of Coupon Payments = Coupon Payment Amount x Annuity Factor
Present Value of Coupon Payments = 0.072 x 100 x 37.3
Present Value of Coupon Payments = 267.2
Calculate the YTM.
The YTM can be calculated by solving for the interest rate that makes the present value of the bond equal to the present value of the coupon payments. This can be done using a financial calculator or by trial and error.
For this example, the YTM is approximately 7.5%.
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what technique is recommended to help get to the core of the problem a company is facing?
One technique that is often recommended to help get to the core of a problem a company is facing is root cause analysis.
Root cause analysis is a systematic approach used to identify the underlying causes or factors that contribute to a problem or issue company.
The process typically involves the following steps:
1. Define the problem: Clearly articulate and understand the problem or issue that needs to be addressed.
2. Gather data and facts: Collect relevant data, facts, and information related to the problem. This can involve analyzing reports, conducting interviews, reviewing documentation, and examining processes.
3. Identify potential causes: Brainstorm and generate a list of potential causes that could contribute to the problem. This step involves exploring various possibilities without prematurely focusing on a single cause.
4. Analyze causes: Evaluate and analyze each potential cause to determine its likelihood of contributing to the problem. This can involve using tools such as cause-and-effect diagrams (also known as fishbone or Ishikawa diagrams) to visualize the relationships between causes and effects.
5. Determine the root cause(s): Narrow down the potential causes and identify the underlying root cause(s) that are most likely to be the primary drivers of the problem. This involves eliminating less likely causes and focusing on those that have the highest impact.
6. Develop solutions: Once the root cause(s) have been identified, brainstorm and develop potential solutions or ive actions to address the underlying issues and mitigate the problem.
By using root cause analysis, companies can move beyond addressing symptoms and instead focus on addressing the fundamental causes of problems. This approach helps in developing more effective and targeted solutions, leading to long-term improvement and prevention of recurring issues.
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According to the video, some workers who work for themselves, such as Actors, Musicians, or Writers, may have what
sort of worker represent them to potential customers?
O an Agent
O a Headhunter
an Employer
a Mentor
Answer:
an Agent
Explanation:
just answered it and got correct
Answer: Agent
Explanation: just got it right on edge
You follow the suggestion of your cousin on which computer to buy. What category of influence is this?
50 Points/Please give a real answer only else will have to report the account.
Thank you.
specialization the division of labor enhances productivity and efficiency by
Answer:
allowing workers to take advantage of existing differences in their abilities and skills.
Explanation:
With what kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily?
A.
the names of all the items on the restaurant menu
B.
finance-related words such as depreciation, capital expenditure, etc.
C.
restaurant-related terms such as banquet, buffet, etc.
D.
marketing terms such as product lifestyle, customer lifetime value, etc.
E.
advertising terms, such as brainstorming, captions, etc.
Answer:
Explanation:
For all Plato users.
Finance-related words such as depreciation, capital expenditure, etc. kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily. Thus, option (a) is correct.
What is a balance sheet?A balance sheet is a financial statement that lists an organization's assets, liabilities, and shareholder equity. One of the three important financial statements a company's evaluation will focus on is the balance sheet. It was the obligations using its current assets.
The terms depreciation, capital outlay, liabilities, assets as well as equity, and revenue should all be understood by someone who works in finance. A person can comprehend the data in a restaurant's balance sheet and make decisions about the restaurant's financial health with the aid of these finance-related terms if they are familiar with them.
As a result, the significance of the kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily are the aforementioned.
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Positive economic growth is realized when a country's production possibilities curve
(frontier) shifts outwards, however, can be calculated as the percentage increase in
either the real gross domestic product or the real gross domestic product per capita.
Answer:
True
Explanation:
It is TRUE that Positive economic growth is realized when a country's production possibilities curve
(frontier) shifts outwards.
This is evident in the fact that the outwards shifts of the production possibilities curve of a country indicate an increase in output or production level of that country.
Also, such production possibilities can indeed be estimated as the percentage increase in either the real gross domestic product or the real gross domestic product per capita.
Jean-Baptiste Say thought that entrepreneurs should be considered a fourth factor of production. Do you agree or not? Explain your reasoning.
Answer: i do agree
Explanation: they are a factor because they help the economy in the same ways as the other factors of production
Jean-Baptiste Say thought that entrepreneurs should be considered a fourth factor of production. The given statement is true. Because of the economy in the same ways as the other factors of production.
What is the economy?An economy is a collection of interconnected production and consumption processes that ultimately decide how resources are distributed within a community. The demands of persons who live there and conduct business there are met by the production and consumption of goods and services as a whole.
The traditional economy, which uses a country's traditions and history to direct the production and distribution of goods, is a well-known illustration of an economy. The main pillars of traditional economies are agriculture, fishing, and hunting.
Entrepreneurs should be considered a fourth factor of production labor, capital, natural resources, and entrepreneur.
Therefore, By the given statement(Jean-Baptiste Say thought that entrepreneurs should be considered a fourth factor of production) was true.
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While parked on the street overnight, the driver's side mirror of Sam's car is knocked off by a passing car. The driver flees the scene because they don't have insurance, so Sam never finds out who hit his car. Which type of auto insurance coverage will help cover the cost to get the mirror replaced
The portion of a bill that you pay for a good or service that is covered. In contrast to copays, which are fixed amounts, coinsurance represents a proportion of the service's cost. The coinsurance is the amount you're responsible for paying after your deductible is reached if your health plan offers one.
Your vehicle, driving style, demographics, and the coverages, limitations, and deductibles you select are a few variables that could have an impact on your auto insurance prices. These elements could consist of things like your age, the anti-theft equipment in your vehicle, and your driving history. the monthly premium you pay for health insurance.
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Abby is happy doing her own thing. She knows that some people think that she is a little unusual, but she has good friends and is doing well in school so she is not generally worried about what other people think. Which of these characteristics does Abby possess?
A.
leadership
B.
authenticity
C.
benevolence
D.
professionalism
Answer: Connexus
Explanation: B
Answer:
b
Explanation:
Aiden is a graphics designer for an advertising agency. What talent might Aiden use to do well at his job?
A.
be friendly and outgoing
B.
be artistic and like to create things
C.
enjoy the outdoors
D.
be kind and a good listener
Answer:
B
Explanation:
He is designing, that is all.
Many consumers feel skepticism towards salespeople.
True
False
Answer:
true
Explanation:
A startup business estimates first-year revenues at $93,000. Their cost of
goods sold is estimated at $41,200. The following amounts are estimates of
operating expenses for that year: rent, $11,400; utilities, $1,080; salaries,
$18,000; advertising, $950; supplies, $500; insurance, $1,800; other, $350.
What are the total estimated operating expenses?
A. $34,080
B. $41,200
C. $75,280