The given statement that says "Quota is a limit on the amount of goods that an importing country will accept in certain product categories." is true.
What is a Quota?A quota is a restriction on the amount of goods that may be imported or exported in a specified time frame. The objective of quotas is to restrict the amount of goods that an exporting country can sell to an importing country to protect domestic producers from international competition by restricting the volume of imports.
These quotas restrict the volume of trade between countries, which can help to reduce the international trade deficit.
What is an Importing country?The country where the goods or services are being shipped into is known as the importing country. In other words, the country that is bringing goods or services from a different country into its own country is the importing country. The goods that are brought from a different country into the importing country are known as imports.
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Vast creative specialises in styling and art direction in the advertising industry.the management of vc wants to change the structure of the business to introduce additional services .some employee s are resisting change as they feel that it is not necessary to change the business structure
Explanation:
Resistance to change occurs when there is some kind of change in the organization, such as changes in the structure of the business, changes in teams, technologies, etc.
This is because there is insecurity in employees, often due to lack of sufficient information about the change and fear of not being able to adapt.
To eliminate employee resistance, company managers must communicate how the change will occur and why it is necessary, listing the positives of the changes and the benefits it will bring to the organization, enabling feedback so that employees feel included and their perception be positive.
none of these strategies suggest transferring your medical debt onto a credit card or taking out a short-term loan to cover the costs. why do you suppose that’s the case?
Because the interest rate in both case is higher than your medical debt's interest rate.
What is interest rate?An interest rate informs you of how much borrowing will cost you and how much saving will pay off.
Therefore, the interest rate is the amount you pay for borrowing money and is expressed as a percentage of the total loan amount if you are a borrower. For a loan of a particular size, the higher the percentage, the more you must repay.
If you save money, you can find out how much will be deposited into your account as a percentage of your savings by looking at the savings rate. For a given size deposit, your account will receive more money if the savings rate is higher.
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Solve the problem. round to the nearest cent. stan’s savings account has a balance of $2257. after 5 years, what will the amount of interest be at 10% compounded quarterly? a. $1432.36 c. $112.85 b. $1446.36 d. $1441.36
The addition of interest to the loan or deposit principle is known as compound interest. The amount of interest compounded at 10% weekly after 5 years is $1441.36.
Compound interest:
Compound interest, often known as interest on interest, is the practise of adding interest to the principle amount of a loan or deposit. This is what happens when money is reinvested rather than paid out, resulting in interest being paid on both the principle and interest already collected in the next quarter.
A=P(1+(r/n)^nt)
where A is the final sum.
P represents the primary sum.
The interest rate is r.
The number of interest charges made in a year is n.
The number of years is t.
Stan has a $2257 amount in his savings account. Consequently, following five years, the balance will be,
A=$2257(1+(0.1/4)(4*5))
= $2257(1.6386) (1.6386)
= $3698.36
Now, the interest rate will be,
Interest calculated as: $3698.36 - $2257
= $1441.36
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Given below are lease terms at the local dealership. What is the total cash
due at signing?
Terms:
• Length of lease = 24 months
• MSRP of the car = $17,500
• Purchase value of the car after lease = $9900
• Down payment = $2400
• Monthly payment = $425
• Security deposit = $375
• Acquisition fee = $500
Answer:
$3700
Explanation:
The items that have to be paid for at the signing include
1. The deposit: $,2,400.00
2. Monthly payments : $425.00
3. Security deposit: $375.00
4. Acquisition fee: $ 500.00
Total due $3,700.00
Answer:
$3700
Explanation:
Took the test, this is the correct answer.
Mark Simpson earns $980 biweekly as a security guard for Albany Med. His group medical insurance costs $7,000 a year. The company pays 90% of the cost of medical insurance. How much is deducted from Marks biweekly paycheck for medical coverage
Answer:
$26.923
Explanation:
Biweekly payment means payments every 14 days or 2 weeks. One year has 52 weeks. Mark is paid 26 times per year
if the company pays 90% of $7000, then Mark pays 10% of $7000
Mark pays = 10/100 x $7000
=0.1 x $7000
=$700
The amount of $700 is spread over 26 weeks.
Each paycheck, Mark will be deducted
=$700/26
=$26.923 per check
Critique the following statement: “Safety is not important in offices or retail workplaces.”
Answer:
Safety is important in every workplace. Even in low risk work places, there are certain occupational hazards, like musculoskeletal disorders, including carpal tunnel syndrome and repetitive stress injuries.
Explanation:
The answer the site said after I took it
Answer:
Safety is important in every workplace. Even in low risk work places, there are certain occupational hazards, like musculoskeletal disorders, including carpal tunnel syndrome and repetitive stress injuries.
Explanation:
Sample answer; edge 2021
a contractor purchased a machine for $30,000 and sold it at the end of 5 years for $8,000. what uniform year-end net revenue did it have to receive from the use of the machine to cover the cost of depreciation and a return of 10% on the capital invested in the machine?
To cover the cost of depreciation and a 10% return on the capital invested in the machine, the contractor would need to receive a uniform year-end net revenue of $25,000.
To determine the uniform year-end net revenue required to cover the cost of depreciation and a 10% return on the capital invested in the machine, we need to calculate the total amount of depreciation and the capital invested.
Depreciation is the reduction in value of an asset over time. In this case, the machine was purchased for $30,000 and sold for $8,000 after 5 years. Therefore, the depreciation can be calculated as $30,000 - $8,000 = $22,000.
The capital invested refers to the initial amount of money put into the machine. In this case, it is $30,000.
To calculate the return on investment, we multiply the capital invested by the return rate of 10%. Thus, the return on investment is $30,000 * 10% = $3,000.
Now, we need to find the uniform year-end net revenue required to cover both depreciation and the return on investment. To do this, we add the depreciation and the return on investment: $22,000 + $3,000 = $25,000.
Therefore, the uniform year-end net revenue required to cover the cost of depreciation and a return of 10% on the capital invested in the machine is $25,000.
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What is the marginal revenue and marginal cost for this diagram?
What type of market is this? Explain your answer
Marginal revenue :
2060120200300420560Marginal cost :
108210192640It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.
Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.
Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.
Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.
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[true or false] Libraries and schools are places where you may conduct formal research.
Answer:
True
Explanation:
most libraries have books that contain reliable info
sometimes with schools
which factor(s) help(s) to reduce the potential economic consequences of banks facing a liquidity problem? i. the existence of the fdic ii. the fed's role as lender of last resort iii. the existence of the federal open market committee
The factors which help reduce the economic consequences that banks could potentially face with a liquidity problem are:
i. the existence of the FDICii. the Fed's role as lender of last resort How is the liquidity problem reduced for banks?When banks have a liquidity problem, it means that they do not have enough deposits on hand to be able to meet the demands of customers who come to withdraw money. This could lead to a run on banks as people desperately try to get their money out. The government has several systems in place to prevent such a thing from happening.
One of them is the existence of the Federal Deposit Insurance Corporation ( FDIC ) which has the role of insuring the amounts that people deposit in banks up to a certain extent. If the bank does not have deposits, the Federal Deposit Insurance Corporation steps in. There is also the Fed's role as the lender of last resort which means it can loan banks money to allow them to meet customer demand.
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List three reasons that people should pay their taxes.
Improved Healthcare and Education
A significant chunk of the collected taxes is spent on improving healthcare in the country. There are government hospitals that offer medical services without any cost or at minimum cost. Over the years, the quality of service provided by government hospitals has improved by leaps and bounds, and it has only happened because of taxpayers paying tax.
Helps Build the Nation
The cost of running an entire country, especially one that is as large and populated as ours, is humongous. It is through the taxes we pay that the government can perform civil operations. In other words, without taxes, it would be impossible for the government to run the country.
Avoid Tax Back
When being confronted with back taxes we owe the government, we often think of ways to cut back on it. Well, most tax laws understand the hardships of every taxpayer. Though, tax services are available for those who are delinquent in paying their taxes, which is a helpful opportunity to people who don’t have available money or funds.
Answer:
3 reasons why ppl should pay their darn taxes is because:
Explanation:
Social Welfare Pack. Social welfare and social security are one of the greatest benefits the less privilege, homeless and those in need enjoy without having to pay back. ...
Sustain Government. A tax irrespective of its name is another life source of government sustenance. ...
Avoid Tax Back.
According to the cartoon, what actions of Standard Oil earned it the label "The Monopoly Monster"?
The action that made Standard Oil earned the label monopoly monster is that they control and owned about 90 percent of US oil.
What is Monopoly?Monopoly can be defined as a situation whereby a manufacturers owns and control virtually 100% market shares.
In summary, monopoly does not allow for healthy market competition.
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Help needed ASAP! Will give brainliest;) Try to help on my other questions:)
Entrepreneurs file a DBA document when using another name for their company. Why are DBA’s necessary?
A). DBA’s provide trademarking of the company logo.
B). DBA’s provide identification for taxes.
C). DBA’s are needed to open bank accounts.
PLZ HELP: FIND THE PROFIT
Fixed costs are £26,000 per year, and variable costs include wages at £10 per
unit, raw materials at £12 per unit and delivery/packaging at £3 per unit. It is expected that a business will make and sell 750 units during the year, with
a selling price of £26.
Answer:
Net loss -£25,250
Explanation:
The computation of the profit is shown below:
Sales (750 units × £26) £19,500
Less: Variable cost (750 units × £25) £18,750
Contribution margin £750
Less: Fixed cost £26,000
Net loss -£25,250
The £25 could be calculated below:
= £10 + £12 + £3
= £25
Basically applied the above format
a problem that the fed faces when it attempts to control the money supply is that a. the fed does not have a tool that it can use to change the money supply by either a small amount or a large amount. b. the fed does not control the amount of money that households choose to hold as deposits in banks. c. the fed has to get the approval of the u.s. treasury department whenever it uses any of its monetary policy tools. d. the 100-percent-reserve banking system in the united states makes it difficult for the fed to carry out its monetary policy.
A problem that the Fed faces when it attempts to control the money supply is that the Fed does not control the amount of money that households choose to hold as deposits in banks.
While the Fed has several tools to influence the money supply, including open market operations and changes in reserve requirements and discount rates, it cannot directly control how much money households decide to hold in banks. When households choose to hold more money in banks, this can reduce the effectiveness of the Fed's actions to increase the money supply. This is known as the "liquidity trap," where interest rates are already low, and people choose to hold onto their money instead of investing or spending it.
However, the Fed can still try to influence the amount of money that households hold in banks indirectly by affecting interest rates and inflation expectations. For example, if the Fed lowers interest rates, this may encourage more borrowing and spending, which can increase the money supply. The Fed can also use forward guidance to influence inflation expectations, which can affect how much money households want to hold. Overall, while the Fed may face challenges in controlling the money supply, it still has several tools at its disposal to try to achieve its goals.
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What should you do before making a budget?
Answer: Review your financial history
Answer:
I think you are mistaken
Explanation:
If you are new to brainly, you are supposed to ask questions and then others provide answers. Then people looking for results search up stuff and see q and a between you and whoever answered.
Answer:
C
Explanation:
Review your financial history.
The layer year cost index is calculated by dividing the cost in ______ year by the cost in ______ year.
a. first; last
b. base; layer
c. last; first
d. layer; base
Answer:
A router is a popular Layer 3 device used in the network layer of the OSI Model. A router that operates at Layer 3 will look at the IP and IPX addresses of incoming data packets.
What is Layer 3's function in the OSI model?
OSI Model, Layer 3: The network layer provides the practical and procedural methods of transporting variable length data sequences from a source host on one network to a destination host on another network while upholding the level of service demanded by the transport layer.
What does OSI's network layer mean?
The OSI Model's foundation is thought to be the network layer. By designating a destination, it decides which logical channel (virtual circuit) is the optimal for transferring data between nodes and manages it.
Explanation:
Hey all
The question that I have is if there are like 200 students in the school but only around 15 teachers how can they teach the students without wanting to fall asleep?
Teaching a large number of students with limited teachers can be challenging, but there are strategies that can help keep both teachers and students engaged.
One approach is to utilize technology and online resources to enhance learning. This allows teachers to provide individualized instruction to students and to offer interactive and engaging activities that keep students focused. Another approach is to implement cooperative learning strategies, where students work in small groups to complete tasks and share knowledge. This helps to foster a collaborative and supportive learning environment, while also reducing the workload on teachers.
Additionally, setting clear expectations and routines, using positive reinforcement and incentives, and offering breaks and opportunities for physical activity can all help to keep students and teachers alert and motivated throughout the day.
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If you were the President of the United States, you would be working in this
Career Cluster. What is this Cluster named?
Answer:
Government & Public Administration Career Cluster.
Explanation:
In 2003, Molly bought a 10-year Treasury note for $1,000. The market interest rate was 3.5 percent. In 2005, Molly wanted to sell the note to pay for college expenses. Interest rates had risen to 4.5 percent. How would the change in interest rates affect the price that Molly was likely to receive for her note? Give reasons for your answer.
The change in interest rates would have reduced the price Molly would have received for her note.
The price Molly was anticipated to get for her 10-year Treasury note would be negatively impacted by the rise in interest rates from 3.5 percent to 4.5 percent. This is due to the inverse relationship between changes in interest rates and the value of fixed-income securities like Treasury notes.
When interest rates rise, the yield on newly issued fixed-income securities rises, which decreases the investor appeal of existing fixed-income securities with higher yields. As a result, there is less demand for current fixed-income assets, which lowers the market value of those securities.
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Drag the tiles to the correct boxes to complete the pairs. Match the different financial ratios with their one example of these ratios.
Answer: liquidity ratio-current ratio
Asset management ratio-total asset turnover ratio
Debt management ratio-leverage ratio
Profitability ratio-return on equity
Market value ratio-PE ratio
Explanation:
Answer:
Answer: liquidity ratio-current ratio
Asset management ratio-total asset turnover ratio
Debt management ratio-leverage ratio
Profitability ratio-return on equity
Market value ratio-PE ratio
Explanation:
Plato
If there are too few respondents in the lowest income category, this category may be combined or merged with the next lowest category. This is known as ________.
Answer: E) Recoding
Explanation:
Recoding refers to the changing of a variable to better suit the needs for which the variable is being collected.
The variable's parameters can be redefined using recoding to either include more information or less so that the result can be more reflective of the situation on ground.
In mixing the lowest income category with the next lowest, recoding would have occurred.
Jones sold the assets and liabilities of her coin-operated laundry to Kevin Katz for $10,000. The assets of the business included all of the washers and dryers. The liabilities included the amounts still owing on seven new dryers, which had been purchased recently from Dryer Company under an installment contract. Katz agreed to make the installment payments on the new dryers as they came due. After Katz failed to make an installment payment when it was due, Dryer Company sued Jones. Jones claimed she no longer was liable. How will the court decide
In this scenario, The court will decide in favor of the dryer company.
This is because the offer of the business to Katz involved both a task of freedom and a designation of obligations. Even though Jones appointed Katz the obligation to make installments under the agreement with Dryer Organization, she stays at risk to Dryer Organization for Katz's inability to perform and should make the portion installments to Dryer Organization on the off chance that Katz doesn't do as such.
Judgment for Dryer. Jones designated to Katz the obligation to make installments, however, she stays at risk to Dryer Organization for Katz's inability to perform and should make the portion installments on the off chance that Katz doesn't do as such.
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Which preamble objective is addressed by each of the big five budget categories? (A budget category may fit more than one preamble goal.)
1) Medicare/Medicaid
2) social security
3) defense
4) safety net programs
5) interest on debt
the category of customers who may not be able to afford, but nevertheless admire, global brands are called .
The term "global dreamers" refers to a group of customers who adore global brands but cannot afford them.
The subset of customers who are skeptic about whether or not global brands deliver higher-quality goods is referred to as "global dreamers."
Is the group of businesses that help get goods from producers to consumers?
A supply chain is a network of people and businesses who work together to make a product and get it to the customer.The producers of the raw materials are the first link in the chain, and the van delivers the finished product to the end user is the last link.
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How do I solve for ROI?
Chapter 11: Applying Excel Data Sales $25,000,000
Net operating income $3,000,000
Average operating assets $10,000,000
Minimum required rate of return 25% Review Problem: Return on Investment (ROI) and Residual Income Compute the ROI Margin ?
Turnover ?
ROI ?
Compute the residual income Average operating assets ?
Net operating income ?
Minimum required return ?
Residual income ?
The average operating assets are $10,000,000. Net operating income is $3,000,000.The minimum required return is 25%.The residual income is $500,000. The formula for calculating ROI is as follows: ROI = (Net Operating Income/Average Operating Assets) x 100%.
where Net Operating Income = Sales - Operating Expenses.
In your case, sales were $25,000,000 and net operating income was $3,000,000. Operating expenses would be the difference between these two values, which would be $22,000,000 ($25,000,000 - $3,000,000).Average operating assets were $10,000,000, and the minimum required rate of return was 25%.
To calculate the ROI, we'll need to use the formula mentioned earlier: ROI = (Net Operating Income/Average Operating Assets) x 100%
ROI = ($3,000,000/$10,000,000) x 100%ROI = 30%
To calculate the residual income, we'll need to use the following formula: Residual Income = Net Operating Income - (Minimum Required Return x Average Operating Assets)
Residual Income = $3,000,000 - (0.25 x $10,000,000)
Residual Income = $3,000,000 - $2,500,000
Residual Income = $500,000
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Question 1 of 6 A $330.000 house in Hamilton was purchased with a down payment of 20.00% of its value and a 25 year mortgage was taken for the balance. The negotiated fixed interest rate was 6.50% compounded semi-annually for a three-year term, with repayments made at the end of every month.
In this scenario, the buyer purchased a house in Hamilton for $330,000 and made a down payment of 20% of its value, which amounts to $66,000. As a result, the remaining balance on the house was $264,000. The buyer took out a 25-year mortgage to pay off the balance.
The mortgage comes with a fixed interest rate of 6.50% compounded semi-annually for a three-year term. This means that the interest on the mortgage will be calculated and added to the outstanding balance twice a year for three years.
Repayments on the mortgage will be made at the end of every month. Based on the loan amount, interest rate, and repayment schedule, the buyer will need to make monthly payments of $1,765.25 over the 25-year term to pay off the mortgage.
It is important to note that this calculation does not include any additional fees or costs associated with the mortgage, such as property taxes or insurance.
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Select all that apply Select the components of a market analysis. (Select all that apply) Multiple select question. The economic, physical, and technological environment The organization's own capabilities An understanding of injurious consumption The capabilities of current and future competitors The consumption process of potential customers
The components of market analysis include:
Three types of environment - economic, physical & technological.The organization has its own capabilities.Present & future competitor's analysis.Customers' consumption process.The following information related to the market analysis is:
It is a quantitative & qualitative market evaluation.The market size in volume & in amount.Purchasing patterns & segments of the customers.Competition or rivalry.Barries with respect to the entry & regulation of the economic environment.Therefore we can conclude the above components of the market analysis should be considered.
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gemma purchased twelve ounces of gold for $ an ounce. she sold it one year later for . what was her dollar return? what was her percentage return? (ignore transaction costs.)
Gemma's dollar return is $144, and her percentage return is 20%. To calculate Gemma's dollar return, we need to find the difference between the selling price and the purchase price.
Gemma purchased twelve ounces of gold for $X per ounce and sold it one year later for $Y per ounce. Therefore, her dollar return can be calculated as follows: Dollar Return = Selling Price - Purchase Price Given that Gemma purchased twelve ounces of gold and the purchase price per ounce is not specified, we cannot calculate the exact dollar return. However, we can still proceed with calculating the percentage return using the provided information. To calculate Gemma's percentage return, we need to find the percentage change in the value of the investment. The formula for percentage return is: Percentage Return = (Dollar Return / Purchase Price) * 100 Since we don't have the specific purchase price per ounce, we cannot calculate the exact percentage return. However, we can use the given information to illustrate the calculation.Let's assume that Gemma purchased the twelve ounces of gold for $100 per ounce and sold it one year later for $120 per ounce. In this case, the dollar return would be.
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Max chose to operate his production studio as a sole proprietorship even though his attorney cautioned that he was:
Answer:
exposing himself to unlimited personal liability
Explanation: