Landlords attempting to get control of government owned buildings in order to extract rent from government agencies and it is illegal for the government to do things that are economically inefficient.
An economically inefficient, which can happen for a number of reasons, is one where an asset's prices do not fairly reflect their true value, in accordance with economic theory. Deadweight losses are often the result of inefficiencies. The majority of markets do, in fact, exhibit some degree of inefficiency, and in the worst situation an inefficient market might serve as an illustration of a market failure.
According to the efficient market hypothesis (EMH), in a market that functions effectively, asset prices always reflect the true worth of the asset. For instance, a stock's current market price ought to accurately reflect all information that is currently available to the public. Contrarily, in an inefficient market, all of the information that is publicly available is not reflected in the price, indicating that discounts are available or that prices may be too high.
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Which of the following is not a step in the decision making process
a.Identify Choices
b. MAKE a decision
c.Consult a career coach
d. DEFINE your needs and wants
Career Coach is wrong (Pretty sure)
Ourig 2021, Buke Compory eamed revenues of $160 milisn Flead tho reourement. Requirement 3, Precere the halance sheet faith a pooser hesingl tor sost.
Balancesheet for Buke Company as of 2021 Assets in millions Current Assets Cash and cash equivalents 15 Accounts receivable 40 Inventory 25 Total current assets 80.
Non-current Assets Property, plant, and equipment 60 Intangible assets10
Total non-current assets 70
Total Assets 150
Liabilities and Share holders' Equity Current Liabilities Accounts payable 25
Accrued expenses 5
Total current liabilities 30
Non-current Liabilities Long-term debt 40
Total Liabilities 70
Share holders' Equity Common stock 20
Retained earnings 60
Total Share holders' Equity 80
Total Liabilities and Shareholders' Equity 150
Buke Company had earned revenues of 160 million by the end of 2021.
A balance sheet with a power of 10 digits for costs was created as part of the requirement. In order to prepare this balance sheet, it is important to first identify the assets and liabilities of the company as of the end of the year.Assets can be categorized as current and non-current.
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PLEASE HELP ME!!!! I WILL GIVE BRAINLIEST
Answer:
yes
Explanation:
higher level profession requires in the knowledge good skills and a special training explain this statement with example
PLZZ make uhr on answer
Answer:
true
Explanation
Higher level professions are professions occupied by professionals who think strategically and carry out their duties by adhering to the ethical standards that governs their profession. Examples are medical practitioners, engineering, accountant and pilot. All these requires in-depth knowledge , good skill and special training because of the technical nature of the profession.
Having a degree is not enough to deliver on these professions because of their complexities. These professionals must adhere to the ethical standard that governs their profession and also hold themselves out of having the required training, knowledge and experience .
Take for instance a pilot who controls a plane. Asides having the required education, he would undergo special trainings on how to fly planes. He must also have the skills and experience of flying before being certified to fly people because of the risky nature of the profession.
The above example also applies to a doctor. He would undergo trainings depending on his area of specialization and must have knowledge before being certified to work as a doctor. The reason is that he is dealing with lives hence must possess the the required skills and experience
When planning a trip to Spain, Brett and his wife, both Americans, were concerned about how much they could afford to spend in Europe because sometimes the U.S. dollar will buy more goods and sometimes it will buy less, based on changing economic conditions. The ________ rate is the rate at which the currency of one area or country can be exchanged for the currency of another's. Group of answer choices transaction dividend exchange international fluctuation
Answer: Exchange
Explanation:
There are different currencies in the world used by different countries. We still need to trade with each other however so there must be a way for us to use our money to buy a good in a country with another currency.
We can do so by exchanging currency at a certain rate known as the exchange rate which is the rate that we can change a unit of one currency to another currency. This rate reflects the relative demand and supply factors of the various currencies such that one currency will be stronger or weaker than the other.
Why are aircraft carriers a thing? Why can’t there just be an airport on land only for military aircraft?
Answer:
Aircraft carriers are a vital component of modern naval warfare because they allow for military aircraft to operate far from land bases, providing a mobile platform for conducting a wide range of military operations.
Unlike land-based airports, aircraft carriers are not limited to fixed locations and can be moved to strategic locations in response to changing military requirements. This mobility provides significant advantages, as carriers can be deployed to various regions of the world, allowing for rapid response times and the ability to project power over long distances.
Additionally, aircraft carriers have the ability to launch and recover a large number of aircraft in a short amount of time, providing a significant force multiplier for military operations. They can be used for a variety of missions, including air support for ground troops, strike missions against enemy targets, and reconnaissance and surveillance operations.
Furthermore, an aircraft carrier can also serve as a mobile command center, allowing military commanders to conduct operations from the ship's command and control center, which provides an added level of flexibility and operational capability.
In summary, while land-based airports are certainly useful for military operations, aircraft carriers provide unique advantages that make them an essential part of modern naval warfare.
Explanation:
I had this exact question. This should get you a 100% grade.
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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A SWOT analysis helps companies put a priority on market research.
O True
O False
If there is an oil shock what will happen to the market for thick metal tables (they are very heavy)? e A.P decreases and Q increases o B.P increases and Q increases. e CP increases and Q decreases. D.P decreases and Q decreases
When an oil shock occurs, the price of thick metal tables (P) will decrease and the quantity supplied (Q) will also decrease.
The correct option is D.
This is due to the increased cost of production and transportation associated with oil shocks, resulting in a decrease in the demand for products such as heavy metal tables.
To explain further, an oil shock is an unexpected and significant increase in the price of oil, which is the primary source of energy for many industries and organizations. As the cost of production increases, firms become less willing to produce heavy metal tables and the price and quantity of the good decreases.
Thus, the correct option is D, P decreases and Q decreases.
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Alia Valbuena earns 68,400 per year as an automotive engineer. What is her monthly salary ? What is her weekly salary ?
according+to+the+capm,+what+is+the+market+risk+premium+given+an+expected+return+on+a+security+of+15.8%,+a+stock+beta+of+1.1,+and+a+risk-free+interest+rate+of+7%?
According to the CAPM (Capital Asset Pricing Model), the market risk premium will be 8% approximately.
The market risk premium can be calculated given an:
Expected return on security= 15.8%,
Stock beta= 1.1, and
Risk-free interest rate= 7%.
To find the market risk premium, you can use the CAPM formula:
Expected Return = Risk-Free Rate + (Beta * Market Risk Premium)
First, rearrange the formula to solve for the Market Risk Premium:
Market Risk Premium = (Expected Return - Risk-Free Rate) / Beta
Now, plug in the given values:
Market Risk Premium = (15.8% - 7%) / 1.1
Market Risk Premium = (8.8%) / 1.1
Market Risk Premium = 8%
So, according to the CAPM, the market risk premium is approximately 8%.
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special allocations of income or loss are available (as opposed to pro rata only) if the form of ownership is a(n):
Special allocations of income or loss are available (as opposed to pro rata only) if the form of ownership is a partnership. In a partnership, the partners can agree to allocate income or loss in a way that is different from their percentage ownership in the partnership. This is called a special allocation.
Special allocations can be beneficial for partnerships where one partner contributes more to the partnership than the others, or where the partners have different tax situations. For example, if one partner has a high tax rate and another has a low tax rate, the partnership may allocate more income to the partner with the lower tax rate to reduce the overall tax burden.
However, the IRS does have rules and limitations on special allocations to prevent abuse. The partnership agreement must provide a reasonable basis for the allocation, and it must have substantial economic effect. This means that the allocation must have a real impact on the partners' economic positions in the partnership.
In summary, special allocations of income or loss are available in partnerships and can be a useful tool for partners to allocate income or loss in a way that better fits their needs and tax situation. However, the partnership agreement must meet IRS rules and limitations to be valid.
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Wise consumers always understand their needs and wants before they buy.
a. True
O b. False
The statement is true. Wise consumers take the time to evaluate and understand their needs and wants before making a purchase. They consider factors such as the functionality, quality, and suitability of a product or service based on their specific requirements.
By understanding their needs and wants, consumers can make informed decisions, avoid impulsive purchases, and choose products or services that align with their priorities and preferences.
Understanding one's needs and wants is an important aspect of being a conscious and responsible consumer.
Therefore, the given statement is true.
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The government claimed that, to illegally control the market, Microsoft used
a. predatory pricing and mergers.
b. predatory pricing and buying out competitors.
c. predatory pricing and forming a cartel.
d. predatory pricing and requiring customers to buy other products.
Answer:
B. Predatory pricing and buying out competitors
Organizational climate is defined as the set of shared, taken-for-granted, implicit assumptions that a group holds and that determines how it perceives, thinks about, and reacts to its various environments.
a. True
b. False
Answer:
False.
Explanation:
Organizational culture is defined as the set of shared, taken-for-granted, implicit assumptions that a group holds and that determines how it perceives, thinks about, and reacts to its various environments.
Generally, there are four (4) main functions of the organizational culture and these are;
1. To ensure social system stability.
2. To establish organizational identity.
3. To act as a sense making tool.
4. To encourage collective commitment in an organization.
Assume Dancing with the Stars airs each week in November for a total of four airings. The average rating is 5.5. You ran one spot in each show in November. If the 4-week reach was 15%, what is the average frequency (rounded to one decimal point)? A. 15.0 B. 1.1 C. 1.5 D. 2.2 E. Cannot be determined
None of the given answer choices (A. 15.0, B. 1.1, C. 1.5, D. 2.2, E. Cannot be determined) match the calculated frequency. This could be due to incorrect data or a mistake in the question. Therefore, the answer is E. Cannot be determined.
To find the average frequency, you can use the formula: Frequency = (Impressions / Reach). In this case, you have 4 airings, each with an average rating of 5.5, so the total impressions are 4 x 5.5 = 22. The 4-week reach is 15%, which means 15% of the audience saw your ad at least once.
Now, you can use the formula:
Frequency = Impressions / Reach
Frequency = 22 / 0.15
Frequency ≈ 146.7
However, none of the given answer choices (A. 15.0, B. 1.1, C. 1.5, D. 2.2, E. Cannot be determined) match the calculated frequency. This could be due to incorrect data or a mistake in the question. Therefore, the answer is E. Cannot be determined.
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True or False: To finalize the budget, compare projected income to projected expenses. When income equals or exceeds total expenses, it is considered a balanced budget.
To finalize the budget, compare projected income to projected expenses. When income equals or exceeds total expenses, it is considered a balanced budget is True.
What is a Budget?
A Budget is a proposed plan that contain estimation on the spending plan based on the income and expenditure.
It is an estimate of the amount of money to be made and how much will be spend in a period or a year.
Therefore, it is True because A balanced budget is an estimation of a plan where the income is equal or exceeds the expenditure in a period.
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a manufacturer is an organization that performs manufacturing and/or purchasing needed to produce a product or device not for itself but as a service to another firm.
Contract manufacturer is a manufacturer is an organization that performs manufacturing and/or purchasing needed to produce a product or device not for itself but as a service to another firm.
What is meant by Contract manufacturer ?
A contract manufacturer (CM) is a third-party producer of parts or goods on behalf of a business. Outsourcing is what this is. Typically, a corporation may present a CM with a design or product and request a quote for manufacturing it based on factors such manufacturing procedures, labor costs, tooling prices, and material costs. Utilizing a CM may offer a variety of advantages, including cost savings, superior quality, easy access to skilled labor, and economies of scale. However, there may also be dangers, such as a lack of control, a reduction in responsiveness and adaptability, and a reduced capacity for quality control.
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Julie Martin bought stock for $3,000, using $2,000 of her own money and $1,000 borrowed from the broker. One month later, the stock is sold for $3,850. Interest owed to the broker is $15; brokerage commissions to buy and sell the stock totaled $150.
What is the rates of return?
Answer:
His return is 22.83%
Hope it helps
Answer:
21.64%
Explanation:
First you would want to take the total cost of buying the stock and add it up.
1000+2000+15+150=3165
After this you would take the price at which it was sold ($3850) and subtract 3165 from it.
3850-3165=685
$685 is the total profit.
Finally you would take the total profit and divide it by the total cost.
685/3165=0.2164297
This gives you the final Rates of Return of 21.64%
How is days to collect accounts receivable determined? A) 365 days divided by accounts receivable turnover. B) Net sales divided by 365. C) Net sales divided by average net trade receivables. D) Accounts receivable turnover divided by 365 days.
Days to collect accounts receivable is determined by dividing the number of days in the accounting period by the accounts receivable turnover. Thus, option A) 365 days divided by accounts receivable turnover is the correct answer.
How is days to collect accounts receivable determined? Days to collect accounts receivable is calculated as follows: Days to collect accounts receivable = 365 days ÷ Accounts receivable turnover is the measure of how frequently accounts receivable are converted into cash.
It is calculated by dividing net credit sales by the average net accounts receivable during the accounting period. It is a ratio that measures the effectiveness of a company's credit and collection policies.
Days to collect accounts receivable is a measure of the average number of days it takes a company to collect its accounts receivable.
A lower number of days to collect accounts receivable is an indicator that the company is efficient in its collection procedures.
A high number of days to collect accounts receivable indicates a weak collection process, which may result in an increase in bad debt expense.
The days to collect accounts receivable is an important measure of a company's financial performance because it indicates how efficiently the company is managing its accounts receivable.
The faster a company collects its accounts receivable, the more cash it will have on hand to invest in its operations, pay its bills, or distribute to shareholders.
Therefore, it is essential for a company to manage its accounts receivable effectively, so it can have sufficient cash to meet its short-term obligations.
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Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?
Printing Technology
Telecommunications
Performing Arts
Journalism
Answer:
Journalism
Explanation:
Answer:
journalism
Explanation:
roBuilder reports merchandise sales of $60,000 and cost of merchandise sales of $18,000 in its first year of perations ending June 30 . It makes fiscal-year-end adjusting entries for estimated future returns and allowances qual to 3% of sales, or $1,800, and 3% of cost of sales, or $540. I. \& b. Prepare the June 30 fiscal-year-end adjusting journal entry for future returns and allowances related to sales nd cost of sales. Journal entry worksheet Note: Enter debits before credits.
Journal entry worksheet particulars debit credit sales returns and Allowances $1,800 Cost of Sales Returns and Allowances $540 To Provision for Returns and Allowances $2,340 (Being future returns and allowances created at 3% of sales and 3% of cost of sales)
Therefore, the adjusting entry for returns and allowances would be: Debit Provision for Returns and Allowances for $2,340 Credit Sales Returns and Allowances account for $1,800 Credit Cost of Sales Returns and Allowances account for $540.
The provision for returns and allowances is a figure included on a company's financial statements that estimates the quantity of goods that will be returned by consumers as well as the amount of cash that will be refunded as a result of the sales of faulty goods. The estimate is based on prior experience and industry norms, and it is utilized to determine the amount of current and future period expenses as well as the proper amount of revenue to record in a given accounting period.
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think of a scenario where you are offered a new job tomorrow and asked to perform skills or meet requirements outside of your comfort zone. how would you approach the situation?
If I were offered a new job tomorrow that required me to perform skills or meet requirements outside of my comfort zone, there are a few ways I would approach the situation.
Firstly, I would be upfront with my employer about my concerns. I would explain to them that I am willing to take on the challenge and learn new skills, but I may require extra support and training to do so.This may involve attending training sessions, reading relevant literature or working with a mentor who can provide guidance and support.
Thirdly, I would seek feedback from my colleagues and supervisor regularly to ensure that I am progressing in my new role and meeting the expectations of my employer.Finally, I would embrace the opportunity to step outside of my comfort zone and view it as a chance to grow and develop both personally and professionally.
I would remind myself that it is natural to feel uncomfortable when facing new challenges, and that with time and effort, I can overcome any obstacles that may arise.In conclusion, accepting a new job that requires you to perform skills or meet requirements outside of your comfort zone can be intimidating, but it can also be an opportunity to learn and grow. By being honest, taking initiative, seeking feedback and embracing the challenge, you can approach the situation with confidence and succeed in your new role.
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Business name, report name, and period covered by report are included in the____?
Answer:
Annual Report
Explanation:
An annual report is a document that public corporations are required to provide to their shareholders each year that describes their operations and financial conditions. The report's front section frequently contains an impressive combination of graphics, photos, and an accompanying narrative, all of which chronicle the company's activities over the previous year and may also make predictions about the company's future. The report's back section contains detailed financial and operational information.
Why do economists prefer to compare Real GDP figures for various years instead of GDP figures? a. Because when GDP in one year is higher than in another year, there is no way to tell why it is higher. Is it because output is higher, prices are higher, etc.? This is not the case with Real GDP. If Real GDP is higher in one year than in another year, it is because output is higher. b. Because when GDP in one year is higher than in another year, there is no way of knowing if the quality of goods produced is higher in one year than the other. This is not the case with Real GDP. If Real GDP is higher in one year than in another year, it is because the quality of the goods produced is higher. C Actually the question is incorrect. Economists prefer to compare GDP figures instead of Real GDP figures. d. Because Real GDP is easier to compute than GDP. e. Because when GDP in one year is higher than in another year, there is no way to tell if the quality of life is higher in one year than the other. This is not the case with Real GDP. If Real GDP is higher in one year than in another year, it is because the quality of life is higher
Economists prefer to compare Real GDP figures for various years instead of GDP figures because Real GDP takes into account inflation and reflects changes in output only, not changes in prices. When Real GDP is higher in one year than in another year, it is because output is higher, and not because of changes in prices.
GDP figures do not take inflation into account and may be misleading when comparing across different years. If GDP in one year is higher than in another year, it could be due to either higher output or higher prices, making it difficult to distinguish which is the cause of the increase. On the other hand, Real GDP adjusts for inflation and provides a more accurate measure of changes in output over time, which is why economists prefer to use it for intertemporal comparisons.
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If the risk-free rate is 2.2 percent, the inflation rate is 1.9 percent, and the market rate of return is 6.8 percent, what is the amount of the risk premium on a u.s. treasury bill? multiple choice 0% 2.8% .5% 1.7% 4.3%
In this case, the risk-free rate is 2.2 percent and the market rate of return is 6.8 percent. The risk premium is therefore 4.3 percent. The risk premium on a US Treasury bill is the difference between the market rate of return and the risk-free rate.
This means that investors are willing to accept a higher yield on a US Treasury bill to compensate them for taking on the risk associated with investing in the market. The risk premium is calculated by subtracting the risk-free rate from the market rate of return, which in this case is 6.8 percent - 2.2 percent = 4.3 percent. This means that if an investor wants to buy a US Treasury bill, they will have to accept a yield of 6.8 percent, which is 4.3 percent higher than the risk-free rate of 2.2 percent.
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Does it make sense to buy software to measure carriers' performance? A. Yes. Doing so allows you to make side-by-side comparisons of carriers' on-time rates, damages, and many other important measurements. B. No. There's no substitute for calling carriers and finding out their information through a series of one-on-one conversations. C. Maybe, if you're just starting out in the business. D. Maybe, if you've been a broker or agent for many years and need to fine-tune your carrier selections.
Yes. Doing so allows you to make side-by-side comparisons of carriers' on-time rates, damages, and many other important measurements. Option A is the correct answer.
By purchasing software to measure carriers' performance, you gain access to data-driven insights and metrics that can help you evaluate carriers more effectively. This software provides objective measurements of carriers' performance, such as on-time delivery rates and damages, allowing you to compare different carriers' performance side by side.
This data-driven approach provides valuable information for making informed decisions and selecting carriers that best meet your specific requirements. It saves time and effort compared to relying solely on one-on-one conversations with carriers, making it a sensible choice for improving carrier selection and performance evaluation.
Option A is the correct answer.
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Investors are often critical to the success of a new venture and a new venture will have a better chance of getting those early stage investments if the venture seems to align with what investors look for. What do they look for, and specifically how are their interests addressed in the very first steps of forming a new venture? Explain how what investors look for is strongly correlated with the BMC.
Answer:
Investors look for certain key aspects in a new venture before deciding to invest. These aspects can be strongly correlated with the Business Model Canvas (BMC), a strategic management tool used to outline and analyze a business model.
Explanation:
The following are some elements that investors commonly consider:
Market Opportunity: Investors want to see a clear market opportunity for the venture. The BMC's "Customer Segments" and "Value Proposition" sections help articulate the target market and the unique value the venture offers.
Scalability and Growth Potential: Investors seek ventures with the potential for rapid growth and scalability. The BMC's "Key Partnerships," "Key Activities," and "Revenue Streams" sections help demonstrate how the venture can scale and generate revenue.
Competitive Advantage: Investors look for ventures that have a competitive advantage over existing solutions. The BMC's "Key Resources" and "Key Activities" sections help identify and highlight the venture's unique resources, capabilities, or value proposition that set it apart.
Team: Investors consider the quality and experience of the founding team. The BMC's "Key Partnerships" and "Key Activities" sections can showcase the team's expertise, partnerships, and network.
Revenue Model: Investors assess the revenue model and potential profitability of the venture. The BMC's "Revenue Streams" section provides insights into the revenue generation strategy and potential monetization avenues.
Cost Structure and Financial Viability: Investors analyze the cost structure and financial viability of the venture. The BMC's "Cost Structure" section helps outline the cost elements and efficiency measures.
By addressing these investor interests, the early steps of forming a new venture can align with the BMC. The BMC provides a framework to articulate and evaluate these crucial aspects, allowing entrepreneurs to present a compelling case to investors. It helps in identifying and refining the value proposition, target market, revenue streams, cost structure, and key resources and activities. Through this alignment, entrepreneurs can increase their chances of attracting early-stage investments by demonstrating a clear understanding of the market, scalability, competitive advantage, and financial viability of their venture.
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Josephine decided to be this platinum card since she saw the ads touting “0% A.P.R Platinum. Sign Up Now.” After reading this agreement, which of the following statements is TRUE?
After reading the agreement, the statement that is true is as follows: She has a 0% A.P.R for the first six months.
Josephine decided to apply for a platinum card when she came across an advertisement boasting "0% A.P.R Platinum. Sign Up Now.Josephine decided to apply for a platinum card because she saw an advertisement claiming "0% A.P.R Platinum. Sign Up Now.
APR stands for Annual Percentage Rate, which is a yearly percentage rate that includes all fees, including interest rates, which a borrower pays on loans and credit cards. Borrowers may use APR to assess the true cost of borrowing since it includes both the interest rate and any costs associated with the loan.
The statement that is true is: She has a 0% A.P.R for the first six months. This means that for the first six months, Josephine will not be charged any interest on the amount she spends on the platinum card she applied for because it is a 0% A.P.R. After six months, the rate may increase, and she will be required to pay interest on the amount she spends.
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(Correct and fast gets brainliest)
You own a lawn care business. You have employees who work long hours
laboring often exceeding 40 hours per week. They also would short hours when the weather is bad,
sometimes they can't work at all. You do all of the sales for your business. Which two types of compensation would be appropriate for these landscape employees?
(Pick two)
-equity
-piecework
-salary
-commission
-hourly
The two types of compensation that would be appropriate for landscape employees who work long hours and are affected by weather conditions are hourly and piecework. Options 2 and 5 are correct.
Hourly pay compensates employees for the time they spend on the job. This is suitable for the lawn care business since the employees work long hours and are often affected by weather conditions. They will be compensated for the time they put in, even if they are unable to work due to weather conditions.
Piecework pay compensates employees for the work they complete rather than the time spent on the job. This is appropriate for the lawn care business since the employees' productivity may vary depending on the weather conditions. They will be paid for the work they complete, and this will incentivize them to be more productive when they are able to work.
Equity, commission, and salary compensation are not appropriate for the lawn care business since they do not take into account the variable productivity of the employees due to weather conditions. Commission and salary are based on sales or a fixed amount, which may not accurately reflect the employees' productivity. Equity is a form of ownership, which is not relevant to this scenario. Options 2 and 5 are correct.
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