Choosing a direct strategy when requesting funding or assistance may lead to resistance, backfire, or not result in the desired outcome. The correct answer is D) All of the above.
Opting for a direct strategy when seeking funding or assistance can have various negative consequences. Firstly, it may create resistance among the individuals or organizations you are approaching. A direct approach can sometimes come across as aggressive or pushy, making people less receptive to your appeal. Secondly, it can backfire by causing a negative reaction or damaging relationships.
A direct approach may be perceived as confrontational or demanding, leading to strained interactions and potential backlash. Lastly, it may not achieve the desired outcome. Being too direct can alienate potential funders or helpers, reducing the likelihood of obtaining the support or assistance you seek. Therefore, considering a more tactful and strategic approach might yield better results in such situations.
Therefore the correct option for choosing a direct strategy when requesting funding or assistance is D) All of the above
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What is the key to successful investing?
- Make sure you know what your investing in (DYOR)
- Invest only money your willing to lose
- Learn from others and learn strategies
Ta’shonda has aggressive tendencies and gets in fights often in high school. She decides to join the military. Which defense mechanism does this exemplify?
Sublimation is the defensive mechanism that is shown here by Tashinda given her aggressive tendencies and gets in fights often in high school
What is a defensive mechanism?This is the term that is used to refer to the ways that certain people are able to cope. It is the way that people are able to create the way that they can go through some of the issues that they face.
Some people may become very aggressive as a means of coping in the place they find themselves hence we can say that Sublimation is the defensive mechanism that is shown here by Tashinda given her aggressive tendencies and gets in fights often in high school. It becomes a good defensive mechanism since fighting will be a welcomed in the military. there she will be trained to be a better fighter and giving instructions on when to engage in a fight or when not to. This will help her cope in aggressiveness and likelihood of fighting.
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Binda company presents the following data pertaining to its total manufacturing costs for a given month master budget sales for 8000 units $800000 actual sales for 7000 units 730000 actual variable cost of producing 7000 units 248000 actual fixed costs of producing 7000 units 220000 flexible budget cost formula : plus $40 per unit required :_ complete the following analysis ,using f for favourable variances and u for unfavorable variances. Find units ,sales. Variable costs ,contribution,fixed cst ,poerating income ,total flexible budget variances,total master budget variances & total activity -level vaariances
Total activity-level variance: $8,000 favorable (variable cost variance of $8,000).
Units variance: 1,000 units unfavorable (actual sales of 7,000 units compared to budgeted sales of 8,000 units).
Sales variance: $70,000 favorable [(actual sales of 7,000 units x selling price of $104) - (budgeted sales of 8,000 units x selling price of $100)].
Variable cost variance: $8,000 favorable [(actual production of 7,000 units x actual variable cost per unit of $35.43) ].
Contribution variance: $78,000 favorable ($70,000 + $8,000).
Fixed cost variance: $20,000 unfavorable .
Operating income variance: $58,000 favorable.
Total flexible budget variance: $70,000 favorable .
Total master budget variance: $70,000 unfavorable. [(actual sales of 7,000 units x budgeted selling price of $100) - budgeted sales of 8,000 units x budgeted selling price of $100)].
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1 Gopal is the CEO of Gopal Leisure (GL). GL has a tall
organisational structure.
Gopal likes to know what all his directors and managers are
doing. He has delegated authority to the other directors for
marketing, finance and human resources management.
The employees in one of GL's leisure facilities are unhappy
about a recent decision taken by Gopal to block a pay
increase. The local manager had agreed the pay rise with
the director of human resources. The manager said, 'This is
typical of Gopal's autocratic leadership style.
[2]
[2]
[4]
a Define 'manager'
b Define 'organisational structure'.
c Identify four functions of management.
d Explain two benefits to GL of delegation.
e Do you think that an autocratic management
style is the best approach for Gopal to use?
Justify your answer.
[6]
[6]
A manager is known to be a person that does the work of supervising and motivating employees and they also aid or direct the progress of a firm.
What are the types of organizational structures?An organizational structure is known to be a system that states out how the activities in a firm are directed so as to achieve the goals of the firm.
There are four types of organizational structures. They are;
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To participate in the sale of securities through a private securities transaction, what step must a registered representative (rr) take?
The RR can participate in the sale of securities through a private securities transaction while ensuring compliance with regulatory obligations and protecting the interests of investors. It is important for RRs to fully understand and adhere to these steps to maintain their professional integrity and avoid any potential legal or regulatory consequences.
To participate in the sale of securities through a private securities transaction, a registered representative (RR) must take the following steps:
1. Disclosure: The RR must disclose the private securities transaction to their employing broker-dealer firm before engaging in any activity related to the transaction. This is done by providing written notice that includes the details of the proposed transaction, such as the nature of the investment, the parties involved, and the RR's role in the transaction.
2. Prior Written Consent: After making the required disclosure, the RR must obtain written consent from their employing firm to engage in the private securities transaction. The firm may choose to grant or deny permission based on its own policies and regulations.
3. Recordkeeping: The RR is responsible for maintaining accurate and detailed records of the private securities transaction. This includes keeping copies of all communications, agreements, and transaction documents related to the sale. These records are crucial for compliance and regulatory purposes.
4. Supervision: The RR's activities in the private securities transaction must be supervised by their employing firm. This ensures that the transaction is conducted in accordance with applicable laws, regulations, and firm policies. The firm may require periodic reporting or monitoring of the transaction.
5. Compliance with Regulatory Requirements: The RR must comply with all applicable regulatory requirements, including any specific rules or regulations set forth by the Financial Industry Regulatory Authority (FINRA) or the Securities and Exchange Commission (SEC). This may include filing certain forms, providing additional disclosures, or adhering to specific guidelines.
By following these steps, the RR can participate in the sale of securities through a private securities transaction while ensuring compliance with regulatory obligations and protecting the interests of investors. It is important for RRs to fully understand and adhere to these steps to maintain their professional integrity and avoid any potential legal or regulatory consequences.
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assume the bid rate of a new zealand dollar is .33 while the ask rate is .335 at bank x assu,e the bid rate of the new zealadn dollar is .32 where the ask rate is ..325
The bid rate of the new zealadn dollar is .32 where the ask rate is ..325. The amount you end up with will be $15,384.62 more than the $1,000,000 started with.The rate is $ 1,000,000.
We exchange 1 New Zealand dollar, which may be purchased by = 1,000,000/0.325 NZ dollars, for $0.325 from Bank Y and $0.33 from Bank X. Gain on $1,000,000 of $3,076,923.08 is $3,076,923.08(0.33 - O.325) = $15,384.62. As a result, you will end up with an additional $15,384.62 to the $1,000,000 you started with.First, we must convert $1,000,000 to NZ dollars using the formula below. in New Zealand Amount in US dollars equals $1,000,000/$0.3249 per Canadian dollar. Amount in New Zealand dollars $ = NZ$ 3,077,870.11.Sell the funds at Bank X now.Dollar amount after sale equals New Zealand dollar amount. Dollars available after the transaction divided by the bid rate at the bank is NZ$3,077,870.11 divided by $0.3324 per NZ. Dollar amount that remains after the transaction is $1,023,084.03 Determine the arbitrage profit now. Arbitrage gain = $1,000,000 - $1,023,084.03 Total arbitrage gain: $23,084.03.Arbitrage gain is $23,084.
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A company sells a plant asset which originally cost $369000 for $118000 on December 31, 2021. The Accumulated Depreciation account had a balance of $141000 after the current year's depreciation of $37000 had been recorded. The company should recognize $110000 gain on disposal. $73000 loss on disposal. $251000 loss on disposal. $110000 loss on disposal.
To determine the gain or loss on the disposal of a plant asset, we need to compare the asset's original cost with the amount received from the sale and consider the accumulated depreciation.
Original cost of the plant asset: $369,000
Accumulated Depreciation: $141,000
Depreciation recorded for the current year: $37,000
To calculate the carrying value (book value) of the asset, we subtract the accumulated depreciation from the original cost:
Carrying value = Original cost - Accumulated Depreciation
Carrying value = $369,000 - $141,000
Carrying value = $228,000
Next, we compare the amount received from the sale with the carrying value. If the amount received is higher, it results in a gain. If the amount received is lower, it results in a loss.
Amount received from the sale: $118,000
Since the amount received from the sale ($118,000) is less than the carrying value ($228,000), there is a loss on disposal.
Therefore, the correct answer is: $110,000 loss on disposal.
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What is one way people can reduce the amount of taxes they owe in a year?
A. Give money to charity
B. Earn a higher income
C. Purchase luxury goods
D. Work longer hours
Answer:
A
Explanation:
Donating money to charity is one method people might lower their annual tax burden. Therefore, (A) is the correct option.
What is Tax?Taxes are required payments made to individuals or enterprises by a government agency, whether local, regional, or federal. Income, capital gains, or the estate are all subject to taxes.
One of the ways to reduce the amount of tax payable is to donate money to a charity.
Therefore, (A) is the correct option.
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An American organic potato-chip company has decided to consider global expansion. It has done its market research and found that there is a comparable market for its products. In addition, it has found the required distributors and a potential manufacturing location overseas. However, in the United States, its chips have regional themes, such as Saucy Southern Barbeque and Spicy Southwest Chili flavors, which will not easily translate into markets outside the United States. How could the company address this issue while maintaining the identifiable elements of the brand when expanding globally?
There are various strategies for addressing this issue regardless of which one you eventually adopt, you must change any of the elements of the marketing mix; two possible strategies are listed below.
How to illustrate the information?Product customization:
Changing the recipe for potato chips with the most similar flavors in the new region where the potato is distributed. It is difficult to predict how the chip flavor will be replicated in the global market, so looking for identifiable flavors per region while maintaining the brand's colors, advertising, price, and quality keeps the brand's identity untouchable even as the final product expands its lines.
Making changes to the promotion:
If changing recipes is too difficult for the product team, advertising campaigns will create a brand identity for different regions. For this, the packaging languages may change, and the methods of promotion in each region (TV, internet, influencers) may be considered to introduce the product in each region.
Alternatively, you could consider keeping the brand original and launching a strong pull marketing campaign to position the product as an International product.
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Kirtsaeng Vs. John Wiley And Songs The Copyright Act Grants Certain "Exclusive Rights" To Copyright Owners. See 17 U.S.C. § 106. Among Those Rights Is The Right "To Distribute Copies" Of The Copyrighted Work. Id. § 106(3). However, The Copyright Owner’s Rights Are Qualified By Limitations Set Out In §§ 107 Through 122, Including The "First Sale" Doctrine.
Kirtsaeng Vs. John Wiley and Songs
The Copyright Act grants certain "exclusive rights" to copyright owners. See 17 U.S.C. § 106. Among those rights is the right "to distribute copies" of the copyrighted work. Id. § 106(3). However, the copyright owner’s rights are qualified by limitations set out in §§ 107 through 122, including the "first sale" doctrine. This doctrine, as set forth in § 109(a), provides that "the owner of a particular copy or phonorecord lawfully made under this title … is entitled, without the authority of the copyright owner, to sell or otherwise dispose of the possession of that copy or phonorecord."
A separate provision in federal law, § 602(a)(1), states that "[i]mportation into the United States, without the authority of the owner of copyright under this title, of copies … of a work that have been acquired outside the United States is an infringement of the exclusive right to distribute copies … under section 106." In Quality King Distributors v. L’anza Research Int’l, 523 U.S. 135, 145 (1998), the Supreme Court held that § 602(a)(1)’s reference to § 106(3) incorporates the §§ 107 through 122 limitations on copyright owners’ rights, including § 109(a)’s first sale doctrine. The importer in Quality King therefore was held entitled to invoke the first sale doctrine as a defense. The imported copy at issue in that case was initially manufactured in the United States and then sent abroad and sold.
John Wiley & Sons Inc. (Wiley), an academic textbook publisher, often assigns to its wholly owned foreign subsidiary (Wiley Asia) rights to publish, print, and sell foreign editions of Wiley’s English-language textbooks abroad. As a result, there are often two essentially equivalent versions of a Wiley textbook (with each version being manufactured and sold with Wiley’s permission): (1) an American version printed and sold in the United States and (2) a foreign version manufactured and sold abroad. The books produced and sold by Wiley Asia contain notices stating that they are to be sold only in certain designated nations other than the United States or in certain designated regions of the world outside the United States and that they are not to be taken into the United States without Wiley’s permission.
Supap Kirtsaeng, a citizen of Thailand, was a student in the United States. He asked friends and family to buy foreign edition English-language Wiley textbooks in Thai book shops, where they sold at low prices, and to mail them to him in the United States They did so. Kirtsaeng then sold the books, reimbursed his family and friends, and kept the profits.
Wiley sued Kirtsaeng, claiming that his unauthorized importation and resale of the books infringed Wiley’s §106(3) right to distribute and § 602(a)(1)’s import prohibition. Kirtsaeng argued that because the books were "lawfully made" and acquired legitimately, § 109(a)’s first sale doctrine permitted importation and resale without Wiley’s further permission. Are any patent, copyrights or trademark laws violated?
In the case of Kirtsaeng v. John Wiley & Sons, the issue revolves around the importation and resale of copyrighted textbooks. The copyright owner, John Wiley & Sons, claimed that Kirtsaeng's actions infringed their rights to distribute the books and violated import prohibitions. Kirtsaeng, on the other hand, argued that the first sale doctrine allowed him to import and resell the books without further permission. The question is whether any patent, copyright, or trademark laws were violated in this case.
In this case, the primary focus is on copyright law rather than patent or trademark laws. The copyright owner, John Wiley & Sons, holds exclusive rights to distribute copies of the copyrighted textbooks under the Copyright Act. However, these rights are subject to limitations, such as the first sale doctrine stated in § 109(a). The first sale doctrine allows the owner of a lawfully made copy to sell or dispose of that copy without the permission of the copyright owner.
Kirtsaeng's argument is based on the premise that the textbooks he imported and resold were lawfully made copies that he acquired legitimately. Therefore, he contends that the first sale doctrine applies, granting him the right to import and resell the books without Wiley's further permission.
The court's decision in this case ultimately determined whether Kirtsaeng's actions constituted a violation of Wiley's rights under § 106(3) and § 602(a)(1) of the Copyright Act or whether the first sale doctrine protected his actions. The resolution of this case would provide clarity on the extent of copyright owner's rights in the context of international distribution and the applicability of the first sale doctrine to imported copies.
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Identify two simplifying assumptions associated with discounted cash flow methods of making capital budgeting decisions.
The idea that all cash flows happen at the end of a period is one. Another is the prompt reinvestment of all cash inflows at a rate of return equal to the discount rate.
What is capital budgeting?
A business uses capital budgeting to decide which planned fixed asset purchases it should approve and which it should reject. Each proposed fixed asset investment is given a quantitative assessment through this procedure, providing a sound foundation on which to base a decision. In corporate finance, capital budgeting and investment evaluation refer to the planning process used to assess whether a business should make long-term investments in new or replacement machinery.
The term "discounted cash flow" (DCF) refers to a method of valuation that calculates an investment's value based on its anticipated future cash flows. Using estimates of how much money an investment will make in the future, DCF analysis seeks to evaluate the value of an investment today.
The idea that all cash flows happen at the end of a period is one. Another is the prompt reinvestment of all cash inflows at a rate of return equal to the discount rate.
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What type of relationship do a lawyer and a client have?
A.
A labor relationship
B.
A tort relationship
C.
An administrative relationship
D.
An agency relationship
Promotion to consumers is called
PLEASE HELP MEEEE PLEASE!!!!!!!!!!!!!!!!!
Which of these describes an aspect of a product benefit?
Answer Choices:
A. Appeal to our senses
B. The advantages of product features
C. Relate to the quality of the merchandise
D. Physical in nature
Answer:
B or C, probably B
Explanation:
You cannot purchase a cable subscription for single channels like the Food Network or Cartoon Network because cable companies:
a. act like perfectly competitive firms.
b. are not interested in maximizing their profits.
c. have no market power to sell individual channels.
d. act like monopolies.
e. are pressured by the government to provide channel packages.
Cable companies have no market power to sell individual channels. (option C)
Cable companies typically bundle channels together to maximize their profits and offer a variety of channels at different price points. While some consumers may prefer to only pay for the channels they want, cable companies have no incentive to offer this option as it would likely result in lower profits. However, with the rise of streaming services and increasing competition from other media providers, cable companies may be forced to re-evaluate their business models and pricing strategies in the future.
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In short answers:
a. What is the Amazon.Co ticker, and current share price?
b. Is it the share price down or up compared to last year?
c. Calculate Current ratio and Explain what this ratio
means.
.
p
a. The ticker symbol for Amazon.com is AMZN. As for the current share price, it fluctuates frequently and may change by the time you access the information. To find the most up-to-date share price, it's best to check financial news websites or consult a reliable stock market platform.
b. To determine whether the share price is down or up compared to last year, you would need to compare the current share price to the share price from the corresponding time last year. Without specific dates or information about the previous year's share price, it is not possible to provide a definitive answer.
c. The current ratio is calculated by dividing current assets by current liabilities. It measures a company's ability to cover its short-term obligations using its short-term assets. A high current ratio indicates that a company has sufficient current assets to meet its short-term liabilities, which is generally seen as favorable. It implies that the company is financially stable and has the ability to pay off its debts in the near future. On the other hand, a low current ratio may suggest liquidity issues and difficulties in meeting short-term obligations.
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In the ad-as model, what happens to the price level in the short run if the government increases its spending on infrastructure, other things the same?
The AD-AS model is a simplified representation of the economy, and the actual impact of government spending on infrastructure can vary based on other factors such as consumer and business confidence, monetary policy, and international trade.
In the AD-AS (Aggregate Demand-Aggregate Supply) model, the price level in the short run is affected by changes in government spending on infrastructure. When the government increases its spending on infrastructure while keeping other factors constant, several things happen:
1. Increase in Aggregate Demand:
Government spending is one component of aggregate demand. By increasing spending on infrastructure, the government directly increases the demand for goods and services in the economy. This leads to an increase in aggregate demand, which shifts the AD curve to the right.
2. Increase in Real GDP:
With the increase in aggregate demand, firms need to produce more goods and services to meet the higher demand. This leads to an increase in real GDP (Gross Domestic Product), as output increases to match the increased demand.
3. Decrease in Unemployment:
As firms increase production to meet the higher demand, they require more labor. This creates job opportunities and reduces unemployment in the short run.
4. Price Level Impact:
The impact on the price level in the short run is dependent on the state of the economy. In an economy with significant idle resources (underutilized labor and capital), the increase in government spending can lead to an increase in real GDP without causing significant inflation. However, if the economy is already operating at full capacity, the increase in government spending may lead to upward pressure on wages and prices, causing inflation.
It is important to note that the AD-AS model is a simplified representation of the economy, and the actual impact of government spending on infrastructure can vary based on other factors such as consumer and business confidence, monetary policy, and international trade.
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Turn to Part C of the Systems Analyst's Toolkit and review the concept of net present value (NPV). Determine the NPV for the following: An information system will cost $175,000 as an initial investment to implemented over a six month period and will produce no savings during the last six months of first year once it has gone online. When the system goes online, the company will save $27,750 during the second year of operation. For the next four years, the savings will be $39,250,$45,500,$48,500, and $40,250, respectively per year. Assuming a 4.25% discount rate, what is the NPV of the system? Explain in detail whether.or.not this a good investment (one four sentence paragraph at a minimum).
The NPV of the system is the sum of the present values of the cash flows minus the initial investment, which needs to be calculated based on the given data.
To calculate the NPV, we need to discount the future cash flows to their present values and subtract the initial investment. Using a discount rate of 4.25%, we can calculate the present value of each cash flow and sum them up. The present value of each cash flow is calculated by dividing the cash flow by (1 + discount rate) raised to the corresponding period. After calculating the present values, we subtract the initial investment of $175,000. If the resulting NPV is positive, it indicates that the project is a good investment. If the NPV is negative, it suggests that the project may not be worthwhile.
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sometimes business must find a balance between society's demand for social responsibility and investors' desires for profits. this is an example of a(n) ____ responsibility.
Sometimes business must find a balance between society's demand for social responsibility and investors' desires for profits. this is an example of a(n) corporate social responsibility.
Corporate social responsibility refers to the concept that businesses have a responsibility to consider and address the social and environmental impacts of their operations, beyond solely pursuing profits.
In the given scenario, the business faces a dilemma between meeting society's demand for social responsibility and investors' desires for profits.
Society, including customers, employees, and the general public, increasingly expects businesses to demonstrate ethical behavior, environmental sustainability, and social contributions. On the other hand, investors primarily seek financial returns and may prioritize profit maximization.
The challenge for the business is to find a balance between these two sometimes conflicting demands. They must navigate the tension between generating profits for their shareholders and fulfilling their obligations to various stakeholders and society as a whole.
This requires businesses to consider the broader impacts of their decisions and actions, integrating social and environmental concerns into their strategies and operations
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one of the goals of business intelligence is to _________.
One of the goals that can be attributed to business intelligence as regards this question is that they present the results in an easy to understand manner.
Business intelligence can be regarded as the procedural as well as technical infrastructure which helps in collection , storing as well as analyzing of data that is been produced by a company's activities. It entails data mining as well as process analysis and performance benchmarking.Therefore , business intelligence give out the results of their analysis in understandable way
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The ____ is a private corporation owned by a consortium of commercial banks and industrial companies, but the ____ is a self-sustaining government agency formed in 1971. a.Overseas Private Investment Corporation (OPIC); Ex-Im Bank b.Overseas Private Investment Corporation (OPIC); Private Export Funding Corporation (PEFCO) c.Private Export Funding Corporation (PEFCO); Ex-Im Bank d.Private Export Funding Corporation (PEFCO); Overseas Private Investment Corporation (OPIC)
The answer choice which represents what should fill the blank spaces respectively is; Choice B; b.Overseas Private Investment Corporation (OPIC); Private Export Funding Corporation (PEFCO).
What is OPIC and PEFCO?The Overseas Private Investment Corporation (OPIC) although aided by the government is a private corporation established in 1984 while the Private Export Funding Corporation (PEFCO) is a government agency formed in 1971.
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When a physician understands the treatment options better than the patient,a. this is an example of risk and uncertainty.b. this is an example of asymmetric information.c. this is an example of positive economics.d. this is an example of normative economics.
When a physician understands the treatment options better than the patient, this is an example of asymmetric information. Option b is Correct.
Asymmetric information refers to a situation in which one party in a transaction has more or better information than the other party. In this case, the physician has more knowledge and understanding of the treatment options available, which gives them an information advantage over the patient. This can lead to a situation where the patient may not be able to make informed decisions about their treatment options due to the information asymmetry.
Risk and uncertainty, positive economics, and normative economics are not directly related to this scenario. Risk and uncertainty refer to the possibility of an event occurring and the uncertainty associated with its outcome. Positive economics deals with the study of economic phenomena and their causes and consequences, while normative economics deals with the evaluation of economic policy and the determination of what economic outcomes are desirable. Option b is Correct.
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if someone offers $100 to anyone who returns her lost cat, the act of returning the cat is the acceptance of a(n) contract.
Based on the contract concept, if someone offers $100 to anyone who returns her lost cat, the act of returning the cat is the acceptance of a unilateral contract.
What is a Unilateral Contract?A unilateral Contract is a term that is used to describe the contract where one party often referred to as the offeror makes an offer to a person, organization, or the general public.
Generally, the term Unilateral contract involved the express offer that payment is made only by a party's performance.
A good example of a Unilateral contract is a rewards offer or contest prize for actions to be performed.
Hence, in this case, it is concluded that a correct answer is a Unilateral Contract.
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ASAPP PLZZZZ
3. In the mythical kingdom of Erehwon, the basic unit of money is the rudolf. At today's exchange rate, 4 rudolfs are equal to $1. A U.S. tourist in Erehwon wishes to purchase a guidebook to the country. The price is 6 rudolfs. How much is this in U.S. money?
(A) $1.50
(B) $6
(C) $4
(D) $24
Select all of the benefits to buying a home.
Answer:
The value of the home generally increases over time
The quality of your home increases
Once the mortgage is paid in full you own the home
You can make improvements in the place
A _____ is a typed page of about 300 words provided by an organization to the media as a form of publicity.
A news release can be regarded as a typed page that could contain 300 words that is been provided by an organization to the media as a form of publicity.
It is a written statement that do speak as regards a matter of public interest.
It should be noted that thus is usually given to the press by an organization that have interest about the matter.
The news release could contain as much as 300 words which speaks about the public interest.
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Question 7 of 10
Zack buys 40 shares of eBay at the close price of $20.95. His broker charges
him 4% of each share as a transaction fee. How much did Zack spend in total
to buy this stock?
A. $838.00
B. $871.52
C. $856.28
D. $891.46
The cost of each share is $20.95, and Zack buys 40 shares, so the cost of the shares is 20.95 * 40 = $838.00.
Zack's broker charges him 4% of each share as a transaction fee, so the total transaction fee is 0.04 * 20.95 * 40 = $33.28.
Therefore, the total cost of the transaction is $838.00 + $33.28 = $871.28.
The correct answer is B. $871.52.
With allocative efficiency: A) the state of technology, or methods used to produce output, do not change. B) the available supplies of factors of production are fixed in both quantity and quality. C) there is production of any particular mix of goods and services in the least costly way. D) there is production of that particular mix of goods and services most wanted by society.
Answer:
D) there is production of that particular mix of goods and services most wanted by society.
Explanation:
When the efficiency is allocated so the production of the specfic goods and services that are mix would be considered and wanted by the society. Also the allocative efficiency could be accomplished at the time when the goods and services are distributed in optimal manner with regard to the demand of the consumer, in this the marginal cost would be equivalent to the marginal utility
Therefore the option d is correct
Why is a production possibilities frontier typically drawn as a curve, rather than a straight line?.
This is because of the following reasoning:-
The curved shape reflects the law of diminishing returns. This law states that there comes a point where an added production factor has less of an impact. For example, adding additional resources toward the production process may initially result in fairly large gains.
What does production possibility frontier show?The Production Possibilities Frontier (PPF) is a graph that shows all the different combinations of output of two goods that can be produced using available resources and technology. The PPF captures the concepts of scarcity, choice, and tradeoffsA production possibilities curve shows the combinations of two goods an economy is capable of producing. The downward slope of the production possibilities curve is an implication of scarcity. The bowed-out shape of the production possibilities curve results from allocating resources based on comparative advantage.To learn more about Production Possibilities Frontier, click the links.
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identify two ways to deposit money into and withdraw money out of your checking account.
Answer:
There are two ways to make deposits and withdrawals from a checking account: by going to a bank branch and working with a bank teller, or by using the nearest ATM.
Explanation: