To charge a flat fee to all sellers regardless of the list price of the house, the broker can do this by showing the seller the flat fee versus a percentage of the list price and obtaining their agreement. Here option C is the correct answer.
The broker can explain to the seller the advantages of a flat fee compared to a percentage of the list price. By doing so, the broker can collect the same amount for their work, regardless of the selling price of the house.
For example, let's say the broker charges a 3% commission on the list price of the house. If the list price is $300,000, the commission would be $9,000. However, if the list price is $500,000, the commission would increase to $15,000.
On the other hand, with a flat fee, the broker can charge a fixed amount, let's say $10,000, regardless of the list price. This means that whether the house is listed at $300,000 or $500,000, the seller would pay the broker the same $10,000 fee.
By showing the seller this comparison and obtaining their agreement, the broker can charge a flat fee to all sellers and ensure they collect the same amount for their work, regardless of the list price of the house. Therefore option C is the correct answer.
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If you bought 100 shares of Company X at $30 per share, and sold it one
month later at $40 per share, what would be your total profit?
Answer:
$1,000
Explanation:
Number of shares bought 100 shares
Buying price = $30
Selling price= $40
The total profit will be total sales - total buying costs
=($40 x 100) -($30 x 100)
=$4,000 - $3,000
=$1,000
What are tic tac like what is good for you
Answer: Ingredients. Sugar, fructose, maltodextrin, peppermint essential oil, rice starch, gum arabic, filling agent (magnesium salts of fatty acids), glazing agent (carnauba wax).
Explanation:
They are NOT good for u. :(
Question 2 of 10
Which of the following is a benefit of contributing to a retirement account?
A. The amount of income that's taxable is reduced.
B. Contributions double each timbs they are deposited.
C. As long as you contribute, you don't have to pay any taxes.
D. Money deposited can be taken out at any time.
SUBMIT
It should be noted that a benefit of contributing to a retirement account is A. The amount of income that's taxable is reduced.
What is the benefit of retirement account?It should be noted that employee contribution can help in reducing taxable income.
Contributions and investment gains won't be taxed until they're distributed.
Therefore, the benefit of contributing to a retirement account is the amount of income that's taxable is reduced.
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how is data analysis changing in the world around you, including workplaces?
is undergoing significant changes in the world, including workplaces, due to the increased availability of data, the development of advanced tools and techniques, and the adoption of data-driven decision-making.
1. Increased availability of data: With the advent of technology, data is being generated at an unprecedented rate. This has led to a vast amount of data being available for analysis, including customer data, market trends, and operational metrics.
2. Advanced tools and techniques: There has been a rapid development of tools and techniques for data analysis. These include machine learning algorithms, predictive analytics, and data visualization tools. These tools enable organizations to extract valuable insights from their data and make informed decisions.
3. Data-driven decision-making: In the past, decisions were often made based on intuition or experience. However, data analysis is now playing a crucial role in decision-making processes. Companies are relying on data analysis to identify patterns, predict future trends, and optimize processes. This shift towards data-driven decision-making has the potential to improve efficiency and effectiveness in various industries.
Therefore, data analysis is changing in the world around us, including workplaces, due to the increased availability of data, the development of advanced tools and techniques, and the adoption of data-driven decision-making. These changes have the potential to revolutionize industries and improve decision-making processes.
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Which function of the marketing mix enables you to reach out to customers
Answer:
promotion
Explanation:
for plato
if the supply of product x is perfectly elastic, an increase in the demand for it will increase:
In case of perfectly elastic supply, an increase in the demand for the good results in an increase in the supply of the good as well.
Perfectly elastic supply means that supply can increase perfectly in response to change in demand and prices. This happens when the inputs required for the production of the good are readably available. The supply curve in this case is a horizontal line which demonstrates large changes in supply due to slight changes in the price of the good. When the demand for such goods increases, then the supply for the good also increases.
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If the premiums are not paid on a Traditional Whole Life policy that has been in force for decades with no loan outstanding, what happens
Answer:
The surrender cash value is used for the extended term option.
Explanation:
This is where the nonforfeiture clause comes to policyholders aid. The nonforfeiture clause allows the policy holder who has not made payment of premiums within the grace period to be able to get the cash value of his whole life policy(with already paid premiums), recovered either by cash or extended term option or any other agreement made prior. The cash value of his whole life policy could be applied to the extended term option, allowing the policy holder to get a term insurance policy worth the value of his surrender whole life policy minus any loans against it.
Select a business and write its strengths, weaknesses, opportunities and
threats
* a good answer please
Answer:
i can't understand your question bro
We embrace good ideas, bring them to life quickly, and are always looking for new ways to innovate for our customers
The customer satisfaction, and the ability to adapt quickly to changing market conditions.
Why will be always looking for new ways to innovate for our customers?This statement suggests that the company in question values innovation and agility in their approach to business.
By embracing good ideas and bringing them to life quickly, they are able to stay ahead of the competition and offer their customers new and exciting products or services.
The focus on innovation also suggests that the company is open to new ways of doing things and willing to take risks in order to stay competitive. This can be an important factor in the success of a business, particularly in fast-moving industries where change is constant.
Overall, this statement suggests a company culture that prioritizes innovation.
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what were some of the largest mergers and acquisitions over the past two years? what was the rationale for these actions? do you think they will be successful? explain.
In the past two years, some of the largest mergers and acquisitions include: Disney-Fox merger: The Walt Disney Company acquired 21st Century Fox in March 2019 for $71.3 billion, with the rationale being to combine complementary assets and gain a competitive advantage in the media industry.
This merger has shown promise, as Disney has seen increased revenues since the acquisition. AT&T-Time Warner merger: AT&T acquired Time Warner in March 2018 for $85 billion, with the rationale being to diversify its revenue streams and gain access to Time Warner's content. While there are risks and challenges associated with these actions, they have the potential to be successful if executed effectively and efficiently. However, it is important to consider the potential negative consequences, such as reduced competition and increased prices for consumers, as well as the possibility of unexpected challenges arising during the integration process.
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Which of the following decisions is most likely to create a temporary diseconomy of
scale? (Select the best answer.)
A)Buying supplies in bulk
B)Buying an expensive piece of machinery
C)Hiring employees who specialize
D)Using division of labor
Answer:
Buying an expensive piece of machinery
Explanation:
Which financial statement reports revenues and expenses?.
Answer:
The income statement
Explanation:
What should investors consider when planning for their retirement? Check all that apply. -the amount an employer will match for a 401(k) -the contributions an employer will make to an IRA -the ideal age to establish a particular retirement plan -the amount an investor is allowed to contribute annually -the tax laws and breaks related to different retirement plans -the amount that can be withdrawn early without getting taxed
In a 401k the employer usually matches a percentage and if you are lucky dollar for dollar, where in an IRA it is does an an extra option with a set amount of money usually 2500 or more for each IRA contribution.
Correct option is A, C, D and E.
1. The amount an employer will match for a 401(k):- you don't have to forget when you will need the money, retirement is years away, but you have to know what choices will make it worth by the time you need the money back. And it is also important to know really how much you can invest. When you have a large amount more options are available. But using a variety of investments will reduce the risk.
3. The ideal age to establish a particular retirement plan:- that will set you up for the plan you need. Below 50 or older.
4. The amount an investor is allowed to contribute annually, the federal law allows a maximum contribution for participants older than 50.
5. The tax laws and breaks related to different retirement plans:- retirement plans can often give you tax benefits in the present it depends to the one you choose. For example, the payment of the tax on the money deposited in a traditional 401 (k) plan can be delayed until the money is withdrawn from the account.
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Answer:
A,C,D,E
Explanation:
I did it and this was correct.
A naturalistic learning style fits a person who enjoys learning through _____.
listening to music
working alone
presenting a summary of a novel
comparing things found in nature
Answer: comparing things found in nature
Explanation:
Naturalistic learning involves the use of natural elements such as animals, plants, natural events and the environment in general to learn about various concepts.
People who would prefer this style of learning prefer to learn outdoors and are usually found comparing things found in nature to other things regardless of if they are indoors or outdoors. The strong attraction they feel to nature allows them to harness this learning style more effectively.
Answer:
comparing things found in nature
Explanation:
i got it right on my test
which of the following is an example of an adjusting entry
I believe the answer is C.
Explanation:I was looking at examples of adjusting entry and C was the closest one that made more sense. If I am incorrect please correct me. Hope this somehow helped and have a good one!
✍(◔◡◔)An example of an adjusting entry is revenue which has been billed but not paid yet. (A)
What is an adjusting entry?
In accounting/accountancy, adjusting entries are journal entries usually made at the end of an accounting period to allocate income and expenditure to the period in which they actually occurred.
What is revenue?Revenue is the income of an organization and a substantial nature.
What is a bill?Bill is an invoice that a commercial document issued by a seller to a buyer relating to a sale transaction and indicating the products
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Choose the term that best matches the description given.
The act that has its own definition and remedial steps for mistakenly created e-commerce contracts:
Pls help me. I will give best answer
Answer:
I have no idea is that history
When banks have less money in required reserves they lend more money out to people and business. So Lower reserves usually help do what to the economy?
Answer:
Lower reserves increase the money supply in the economy.
Banks can either keep deposits in reserves or give them out as loans.
the lower the reserve ratio, the higher the money multiplier and the higher the money supply.
Lowering the reserves can be a form of expansionary monetary policy
Explanation:
Fractional banking is a banking system where a portion of customer's deposits is kept as reserves while remaining portion is lent out. The amount kept as reserves is determined by the required reserve ratio set by the Central bank.
If the required reserve ratio is 10% and $100 is deposited, reserves would be $10 and $90 would be lent out
Increase in the total value of checkable deposit is determined by the money multiplier
Money multiplier = 1 / reserve requirement
Increase in value of total deposit = amount deposited / reserve requirement
Assume 100 is deposited in a bank and the reserve requirement is 10%
Increase in value of total deposit = 100 / 0.1 = 1000
Imagine that the reserve is reduced to 5%
Increase in value of total deposit = 100 / 0.05 = 2000
reducing the reserve requirement increased the value of total deposit and thus the money supply in the economy
which of the following statements is (are) true concerning private insurance? i.social insurance programs are always written by private insurers. ii.individuals and businesses purchase private insurance.
II- "Individuals and businesses purchase private insurance" is true.
Private insurance refers to insurance coverage that is purchased by individuals or businesses directly from insurance companies, as opposed to being provided by the government through a social insurance program. Private insurance is typically purchased to protect against financial losses from specific events such as illnesses, accidents, or property damage. Individuals and businesses can choose from a wide range of private insurance options, including health insurance, life insurance, and property and casualty insurance, to meet their specific needs.
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2. Optimal Portfolio: Edgar has three assets he can invest in: A risky stock with an expected return of 11% and a standard deviation of 14%, a risky bond with an expected return of 7.5% and a standard deviation of 9%, and a riskless bond with a return of 5%. The risky stock and risky bond have a coefficient of correlation of 0.31. a. 15 points. What is the expected return and standard deviation of the optimal risky portfolio? b. 15 points. What percentage of his money should Edgar put into each of these three investments if his coefficient of risk aversion is 3.4? c. 15 points. In the context of these models, what does a weight of less than 0 mean? What does a weight of more than 1 mean? What obstacles might you run into in the real world if you tried to build a portfolio with weights of less than 0 or greater than 1?
a. The expected return and standard deviation of the optimal risky portfolio cannot be determined without information on the investor's risk preferences and the risk-free rate.
b. The percentage allocation of funds to each investment depends on the investor's coefficient of risk aversion, but without that information, the specific weights cannot be calculated.
c. Weights less than 0 imply short selling or borrowing, while weights greater than 1 indicate leverage. Building portfolios with such weights can be challenging due to regulatory constraints, margin requirements, liquidity limitations, and increased risk.
a. To calculate the expected return and standard deviation of the optimal risky portfolio, we need to use the concept of portfolio diversification and the principles of modern portfolio theory. The optimal portfolio is determined by finding the combination of risky assets that provides the highest expected return for a given level of risk.
- Risky stock: Expected return = 11%, Standard deviation = 14%
- Risky bond: Expected return = 7.5%, Standard deviation = 9%
- Riskless bond (risk-free asset): Return = 5%
We also know the correlation coefficient between the risky stock and risky bond, which is 0.31.
To find the optimal portfolio, we need to consider the risk preferences of the investor. However, without information on the investor's risk preferences or the risk-free rate, we cannot determine the specific weights and expected return of the optimal portfolio.
b. To determine the percentage of money Edgar should allocate to each investment, we need to use the concept of the investor's coefficient of risk aversion. The coefficient of risk aversion measures an investor's willingness to bear risk.
A coefficient of risk aversion of 3.4, we can calculate the optimal portfolio weights using the Capital Allocation Line (CAL) equation:
Weight of risky stock = (Expected return of risky stock - Risk-free rate) / (Coefficient of risk aversion * Variance of risky stock)
Weight of risky bond = (Expected return of risky bond - Risk-free rate) / (Coefficient of risk aversion * Variance of risky bond)
The weight of the riskless bond will be the remainder (1 - weight of risky stock - weight of risky bond).
c. In the context of portfolio weights:
- A weight of less than 0 means that the investor has a short position or has borrowed money to invest, which implies selling assets they don't own. This is not common in traditional investment portfolios and is more associated with advanced trading strategies or derivatives.
- A weight of more than 1 means that the investor has leveraged their investment by borrowing money to invest more than their available capital. This amplifies both potential gains and losses.
In the real world, building a portfolio with weights less than 0 or greater than 1 can be challenging due to practical limitations and constraints. Some obstacles include:
- Regulatory constraints: Many investment regulations limit the extent of leverage and short selling activities.
- Margin requirements: Borrowing funds to invest usually involves margin requirements and additional costs.
- Availability of borrowing and lending opportunities: It may be difficult to find lenders or borrowers for certain assets or in certain market conditions.
- Increased risk and potential losses: Leveraging investments magnifies both gains and losses, leading to higher risk exposure and potential financial challenges if the investments perform poorly.
- Market liquidity: Trading large positions or engaging in short selling may be constrained by the liquidity of the underlying assets.
Overall, portfolio weights less than 0 or greater than 1 deviate from conventional investment practices and are typically associated with more sophisticated investment strategies and specialized trading approaches.
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Landon jewelers uses the perpetual inventory system. on april 2, landon sold merchandise with a cost of $2,500 for $7,000 to a customer on account with terms of 3/15, n/30. the journal entry to record the cost of goods sold would be:
Answer:
Dr Cash $6,790
Dr Sales discount $210
Cr Accounts Receivable $7,000
Explanation:
Cost of goods sold by Landon Jewelers is $7,000
The cost is subject to 3/15, n/30 meaning that 3% will discount will be applicable if payment is made in 15 days. Where the balance is not paid within 15 days, it must however be paid within 30 days.
Since payment was made to Landon Jewelers within the 15 days grace, 3% deduction will be applicable to the payment.
Therefore Sales discount would be ;
= $7,000 × 3%
=$210
Balance paid in cash would be;
=$7,000 - $210
=$6,790
Journal entry for cost of goods sold would be;
Dr Cash $6,790
Dr Sales discount $210
Cr Accounts Receivable $7,000
Sales discount is an expense hence debited while the whole amount is credited to accounts receivable.
How does technology trends affect a pharmacy business?
Answer: Artificial Intelligence or Machine Learning.
Explanation:
Artificial Intelligence or Machine Learning offers multiple benefits such as data processing, enabling pharmacists to make quicker data-backed decisions, and improving customer service. With the Internet of Things, drug inventory management will be more accurate and faster; through device-to-device communication.
The impact of Furman v. Georgia (1972) was that states had to
promise to use the death penalty only with approval from the Supreme Court.
throw out the old Miranda warning and write a new one.
agree to throw out all state laws regarding crime and impose national standards.
create clear standards to be applied fairly before imposing the death penalty.
Answer: D.create clear standards to be applied fairly before imposing the death penalty.
Explanation: The answer it's right there
The impact of Furman v. Georgia (1972) was that states had to
create clear standards to be applied fairly before imposing the death penalty.The Furman v. Georgia caseThis was a case that had to do with the cruel and the unusual way that people faced in the death penalty.
The case ruled that the death penalty was unconstitutional if it was applied in a discriminatory way.
It ruled that the eight amendment was being violated if used in this way.
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which of the following best describes alfred weber's analysis of location decisions? question 5 options: it seeks to evaluate the impact of a single factor of production on location. it seeks to minimize costs among multiple inputs of production. it is applicable only in postindustrial economies with predictable spatial patterns. it depends on the availability of a single node, link, and input of production. it is applicable only in industrial economies with predictable spatial patterns.
Alfred Weber's analysis of location decisions is best described as B. seeking to minimize costs among multiple inputs of production.
What is Weber's theory of industrial location?Weber's theory of industrial location, also known as the least-cost theory, suggests that firms choose locations that minimize the cost of production, taking into account the costs of transportation, labor, and raw materials.
Weber's theory is based on the assumption that firms are rational and seek to maximize profits. Therefore, they will choose locations that minimize production costs while maintaining access to markets.
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Which statement includes one real benefit from shopping with a credit card? *
1 point
You may earn cash back, travel rewards, or other perks for each dollar you spend
Most stores will give you a discount if you pay with credit instead of cash or debit
It pulls money directly from your bank account, preventing you from overspending
If you do not have the money to pay your monthly bill, you can just wait a few months and pay the same amount then
The statement which includes one real benefit from shopping with a credit card is:
A. You may earn cash back, travel rewards, or other perks for each dollar you spendA credit card is a payment card that is authorised by a financial institution which allows the owner of the card to make purchases based on his available card debit limit
There are various benefits to using a credit card which include:
A user can earn rewards or cash back when he spends with his credit cardA thief would not be able to successfully use a stolen credit cardIt is easier to make disputes on a transaction, etcTherefore, the correct answer is option A
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make a list of profession and identify their levels
i will send you in messenger
chegg total revenue is maximized at the point where group of answer choices marginal revenue equals marginal cost. marginal profit equals zero. marginal revenue equals zero. marginal cost equals zero.
The total revenue of Chegg is maximized at the point where the marginal revenue equals the marginal cost. To understand this concept, let's break it down step-by-step:
1. Marginal Revenue (MR): Marginal revenue refers to the change in total revenue resulting from selling one additional unit of a product. In order to maximize total revenue, Chegg needs to determine the quantity of units at which the marginal revenue is equal to the marginal cost.2. Marginal Cost (MC): Marginal cost is the change in total cost resulting from producing one additional unit of a product. It includes the cost of resources such as labor, materials, and overhead expenses. The marginal cost curve represents the additional cost incurred for each additional unit produced.
3. Maximizing Total Revenue: When the marginal revenue equals the marginal cost, it means that the additional revenue gained from selling one more unit is exactly offset by the additional cost incurred in producing that unit. 4. Marginal Profit: When marginal profit equals zero, it means that the additional revenue gained is equal to the additional cost incurred, resulting in no extra profit. In summary, Chegg's total revenue is maximized when the marginal revenue equals the marginal cost. This occurs at the point where marginal profit equals zero.
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Assuming elasticity of demand is reported as an absolute value, a price elasticity of demand of 0.4 indicates an: Multiple Choice elastic demand, meaning the percentage change in quantity demanded will be greater than the percentage change in price. inelastic demand, meaning the percentage change in quantity demanded will be greater than the percentage change in price. elastic demand, meaning the percentage change in quantity demanded will be less than the percentage change in price. inelastic demand, meaning the percentage change in quantity demanded will be less than the percentage change in price.
A Price elasticity of 0.4 means that there is inelastic demand, meaning the percentage change in quantity demanded will be less than the percentage change in price.
Price elasticity shows how much the quantity that is demanded of a good will change as a result of prices changing.
When the Price elasticity is less than 1, as is the case here, it means that for every 1% change in price, there is a 0.4% change in quantity demanded. This means that demand is inelastic as it does not change significantly as a result of a price change.
Examples of such goods include:
medicine utilities foodall essential goodsIn conclusion, a price elasticity of 0.4 means that a good is inelastic because the quantity demanded of it does not change significantly in response to a price change.
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5. (5 points) Which of the following would be classified as fiscal policy? a) The federal government passes tax cuts to encourage firms to reduce air pollution; b) The Federal Reserve cuts interest rates to stimulate the economy; c) A state government cuts taxes to help the economy of the state; d) The federal government cuts taxes to stimulate the economy; e) States increase taxes to fund education. 6. (5 points) When the economy enters into a recession, your employer is wages because to reduce your a) Unlikely; output and input prices generally fall during recession; b) Unlikely; lower wages reduce productivity and mora le; c) Likely; output prices always fall during recession; e) Likely; aggregate demand is vertical in the long run. 7. (5 points) Automatic stabilizers refer to. a) The money supply and interest rates that automatically increase or decrease along with the business cycle; b) Government spending and taxes that automatically increase or decrease along with the business cycle; c) Changes in the money supply and interest rates that are intended to achieve macroeconomic policy objectives; d) Changes in federal taxes and purchases that are intended to achieve macroeconomic policy objectives. 8. (5 points) Before the Great Depression of the 1930s, the majority of government spending took place at the place at the and after the Great Depression the majority of government spending took a) State and local levels; federallevel; b) Local level; federal level; c) Federal level; state and local levels; d) Federal level; state level.
5. The federal government cuts taxes to stimulate the economy can be classified as fiscal policy.
Which of the following is a form of fiscal policy?Fiscal policy refers to how the government uses taxes, spending, and transfer payments to support stability and growth in the economy. combats both inflation and unemployment, but not simultaneously. To boost the economy, the federal government lowers taxes. taxation and spending by the government that automatically rise or fall with the economy. The fiscal policy entails adjustments to taxes or expenditures in order to achieve economic objectives.
6. When the economy enters a recession, your employer is unlikely to reduce your wages because output and input prices generally fall during recession.
7. Automatic stabilizers refer to government spending and taxes that automatically increase or decrease along with the business cycle.
8. Before the Great Depression of the 1930s, the majority of government spending took place at the place at the State and local levels and after the Great Depression the majority of government spending took place at federal level.
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what is Key Influences of contribution of human resource management to business performance
Human resource management (HRM) plays a critical role in enhancing business performance through its key influences, which include talent acquisition, employee engagement, retention, and development.
Effective HRM practices ensure that the right talent is hired and trained to meet the organization's goals and objectives, resulting in increased productivity and profitability.
Furthermore, by promoting employee engagement and retention, HRM enhances job satisfaction and employee loyalty, which leads to better customer satisfaction and increased profitability.
Finally, HRM provides opportunities for employee development, which improves employee skills, knowledge, and abilities, leading to improved job performance and business success.
In summary, HRM's key influences on business performance include talent acquisition, employee engagement, retention, and development.
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While overall labor union membership has been declining over the last few decades, which type of workers has the highest percentage of union membership
The workers that have the highest percentage of union memberships are those in
educationtraininglibrary occupationsWhat is a labor union?This is a term that is used to refer to the labor unions that are formed in order to represent the workers that are in a country.
The unions are known to represent workers in terms of benefits, wages and labor hours.
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