In this situation, the company should review its terms and conditions regarding premature withdrawal and any applicable penalties or reduced interest rates.
What's the advise for company?If the company's policy permits premature withdrawals, it should calculate the interest earned by Mr. Aman up to the date of his request and determine the total amount to be repaid, including any applicable charges.
It is essential for Dream World Entertainment Limited to comply with their policies and any relevant regulations governing deposits and premature withdrawals.
The company should also ensure transparent communication with Mr. Aman and other depositors regarding their rights and obligations concerning deposit agreements.
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HELP QUICK PLEASE!!!!! William is not generally a risk-taker, but he knows he may need to step out of his comfort zone to make enough money for retirement. Which investment option would best meet William’s needs?
a US savings bond
a savings account
a commodity
a certificate of deposit
burberry took several steps to address its image problem and improve the value of its differentiation. the decision to hire a new designer, christopher bailey, represents which functional-level strategy?
The decision to hire a new designer, Christopher Bailey, represents a product innovation strategy at the functional level.
Burberry recognized that it needed to improve its image and value of differentiation, and the hiring of a new designer was a step towards achieving that goal. A product innovation strategy involves developing new or improved products to better meet the needs of customers or to create new markets.
In this case, the hiring of a new designer with a fresh perspective was seen as a way to create new and innovative products that would appeal to customers and help Burberry stand out from its competitors.
Thus, Hiring Christopher Bailey as a new designer represents the functional-level strategy of product innovation.
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You purchase 500 shares of ABC stock at $144 per share. The
initial margin requirement is 50% and the maintenance margin
requirement is 30%. At what price will you receive a margin
call?
The margin call price for the purchased ABC stock is $205.71. If the stock price falls to or below this price, a margin call will be triggered.
To determine the price at which you will receive a margin call, we need to calculate the equity percentage at which the margin call will be triggered.
The initial margin requirement is 50%, which means you initially borrowed 50% of the purchase price. So, the initial equity percentage is 100% - 50% = 50%.
The maintenance margin requirement is 30%, which is the minimum equity percentage that must be maintained.
To calculate the price at which you will receive a margin call, we can use the following formula:
Margin Call Price = Purchase Price / (1 - Maintenance Margin Requirement)
Margin Call Price = $144 / (1 - 0.30)
Margin Call Price = $144 / 0.70
Margin Call Price = $205.71
Therefore, you will receive a margin call if the stock price falls to $205.71 or below.
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Which statement is true? A savings plan and a budget don't really have anything to do with eachother. It doesn't do much do much good to have a savings plan if you dont know how to budget you money.
Answer: It doesn't do much do much good to have a savings plan if you dont know how to budget you money.
Explanation:
Budgeting and saving go hand in hand because budgeting enables us know what amount of our money we can save after spending on what we need to maintain our lifestyle.
If we don't have a budget or know how to budget our money, we will not know the amount to put towards a savings plan and if we start a savings plan without budgeting, we might end up in a situation where we have to withdraw from the savings constantly in order to meet our financial obligations.
Last week Sarah Carver worked 4 overtime hours at time-and-a-half pay. Her
regular pay rate is $8.70 per hour. What was her overtime
pay for the week
Answer:
34.80
Explanation:
8.70 times 4 is 34.80
Answer:
69.60
Explanation:
8.70 x0.5 = 17.4
17.4 is time and a half rate
17.4 x 4 = 69.60
4 is the hours she worked.
How do customers find out about Donny Ouyang's company
Answer:
People found out about his company through different types of promotion over the Internet. As well as offline around his community. Most people reach his Web sites through search engines like Gooogle and Bing.com.
Explanation:
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ABC analysis generally divides on-hand inventory into three classes based upon ______.A) unit priceB) annual dollar valueC) item quality
ABC analysis generally categorizes on-hand inventory into three classes based upon B: "annual dollar value".
ABC analysis is a method of categorizing items in inventory based on their relative importance in terms of annual dollar value. The items are classified into three categories, A, B, and C, based on their annual dollar value, with A being the most valuable items, and C being the least valuable.
This analysis helps businesses prioritize their inventory control efforts, as they can focus more attention and resources on the most valuable items while still monitoring the less valuable items. By focusing on the items that have the greatest impact on the bottom line, businesses can improve their overall inventory management and increase efficiency.
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One source of life and health insurance underwriting information is an organization that life and health insurance companies can join As a member, life and health insurance companies report health impairments of applicants, and this information is shared with member companies. Although the information is shared, the underwriting decision of the member company is not disclosed. What is this organization called? O Fair Isaac Corporation (FICO) Medical Information Bureau (MIB) O National Association of Insurance Commissioners (NAIC) National Association of Mutual Insurance Companies
The MIB does not make insurance underwriting decisions. Members of the MIB are bound by the terms of the MIB agreement, which obligates them to only use MIB information for underwriting purposes.
The organization that is called when one source of life and health insurance underwriting information is an organization that life and health insurance companies can join is Medical Information Bureau (MIB).What is Medical Information Bureau (MIB)?The Medical Information Bureau (MIB) is a consumer reporting agency that provides risk management information to its members. MIB members include life insurance, health insurance, disability insurance, and other insurers. MIB members share information with MIB about their applicants for insurance, and MIB provides this information to members who request it.
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Find the consumer and producer surpluses by using the demand and supply functions, where p is the price (in dollars) and x is the number of units (in millions). Demand Function Supply Function
p = 975 − 21x p = 44x
consumer surplus $ ________ millions
producer surplus $ ________ millions
Consumer surplus: $337.5 million , Producer surplus: $337.5 million
To find the consumer and producer surpluses, we need to calculate the areas under the demand and supply curves, respectively. Demand function: p = 975 - 21x Supply function: p = 44x The consumer surplus is the area between the demand curve and the equilibrium price (p) up to the quantity (x) exchanged. To find the consumer surplus, we need to integrate the demand function from 0 to the equilibrium quantity (x) and subtract it from the equilibrium price (p). Integrating the demand function, we get: Consumer Surplus = ∫[0, x] (975 - 21x) dx The producer surplus is the area between the supply curve and the equilibrium price (p) up to the quantity (x) exchanged. To find the producer surplus, we need to integrate the supply function from 0 to the equilibrium quantity (x) and subtract it from the equilibrium price (p).
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A student will decide to attend class when
A. The Marginal Cost in low
B. The Marginal Benefit of attending exceeds the marginal cost of attending
C. There is an attendance policy
D. The Marginal Benefit is positive
A student will decide to attend class when there is an attendance policy. Thus, option (c) is correct.
What is policy?The term policy refers to are the rules are the described in the details are the mention. The policy are the making follow to the country and the employees of the company. The policy are the making the company of the solving the issues.
A student was the decided to regularly attend lectures or classes was the main motive to fulfill the attendance policy. The attendance was the necessary to appear in the exam. An attendance was the help to gain good marks in the exams. An attendance policy was the best policy.
As a result, the student will decide to attend class when there is an attendance policy. Therefore, option (c) is correct.
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What does qualitative research and quantitative research means?
Answer:
Quantitative research is expressed in numbers and graphs. It is used to test or confirm theories and assumptions. This type of research can be used to establish generalizable facts about a topic.
Common quantitative methods include experiments, observations recorded as numbers, and surveys with closed-ended questions.
Qualitative research
Qualitative research is expressed in words. It is used to understand concepts, thoughts or experiences. This type of research enables you to gather in-depth insights on topics that are not well understood.
Common qualitative methods include interviews with open-ended questions, observations described in words, and literature reviews that explore concepts and theories.
Answer:
Qualitative research involves collecting and analyzing non-numerical data (e.g., text, video, or audio) to understand concepts, opinions, or experiences. It can be used to gather in-depth insights into a problem or generate new ideas for research.
Quantitative research is a research strategy that focuses on quantifying the collection and analysis of data.
Buying one movie ticket online costs $16. 50. Two tickets cost $30. 50. Assuming that the relationship is linear, use the drop down menus to complete the recursive formula, the function to represent the cost c of n tickets bought online, and the domain of the function.
There is a mathematical structure to the price of movie tickets.
The recursive formula is C(n)= C(n-1) + 14The domain of the function is [0, ∞)Recursive rule: What does it mean?The first term or terms of a sequence are provided by a recursive rule, which then demonstrates how each term connects to the term(s) that came before it using a recursive equation. Recursive descriptions are possible for sequences in mathematics and geometry, for example. Illustration of an arithmetic sequence.
In a recursive formula, any term in a series can be defined by its previous term (s). For illustration: The recursive formula for an arithmetic series is a = an-1 + d. The recursive formula for a geometric series is An = An-1r.
The parameters are as follows:
one movie ticket's price= \(a_{1}\)= 16.50
two movie tickets at the price= \(a_{2}\)= 30.50
(a) The recursive formula
Express 30.50 as 16.50 + 14
\(a_{2}\)= 16.50+ 14
Substitute 16.50 to \(a_{1}\)
\(a_{2}\)= \(a_{1}\) + 14
\(a_{2}\)= \(a_{2-1}\) + 14
\(a_{n}\)= \(a_{n-1}\) + 14
Express as a function
C(n)= C(n-1) + 14
(b) The domain
Tickets sold cannot be less than zero.
the following is the function's domain: [0, ∞)
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which of the following statements about regression/correlation analysis is false?group of answer choicescorrelation analysis involves the measurement of the closeness of the relationship between two or more variables.regression analysis involves the derivation of an equation that relates the criterion variable to one or more predictor variables.regression analysis can establish the causal relationship between two or more regression line minimizes the sum of the squared deviations about the is much more common to conduct regression analyses using a computer.
Regression analysis does not establish causal relationships between variables.
The false statement about regression/correlation analysis is:
"Regression analysis can establish the causal relationship between two or more variables."
Regression analysis is a statistical method used to examine the relationship between variables, but it does not establish causation. It identifies the strength and direction of the relationship between the predictor variables and the criterion variable.
Correlation analysis measures the closeness of the relationship between variables, but it also does not imply causation.
Causal relationships require additional evidence, experimental design, and consideration of confounding factors. Regression analysis aims to find the best-fitting equation that minimizes the sum of squared deviations, but it does not prove causation.
Lastly, the use of computers is common for regression analysis due to the complexity of calculations and large datasets.
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Agency problems are most likely to be associated with?
Agency troubles are most likely to be related with corporations. Agency troubles is the problem of interest inherent between the interest of two party in a corporation.
What is corporation?Corporation is the legal structure that creates with the laws and regulation of its state of incorporation. Specific states have the authority to make an effect of the law.
They can create, dismiss, organization and dissolution of any law within the state of corporation. Many states follow the Model Business Corporation Act.
Thus, Agency troubles are most likely to be related with corporations.
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) Briefly explain the difference between Regular Time Delay and Intra Assignment Delay control. [05 Marks]
Regular Time Delay and Intra Assignment Delay are two different types of control mechanisms used in telecommunications systems, specifically in the context of routing and transmission of data packets.
Regular Time Delay (RTD) is a control mechanism that introduces a predetermined delay or waiting time for each data packet before it is transmitted. This delay is typically constant and independent of the network conditions or traffic load.
The purpose of RTD is to provide a fair and equal opportunity for all packets to be transmitted, regardless of their arrival time. By introducing a fixed delay, RTD helps prevent congestion and ensures that packets are transmitted in a more orderly manner.
On the other hand, Intra Assignment Delay (IAD) is a control mechanism that dynamically adjusts the delay of each data packet based on the current network conditions and traffic load. Unlike RTD, IAD takes into account the real-time congestion levels and network performance metrics to determine the appropriate delay for each packet.
The goal of IAD is to optimize the network utilization and prioritize certain types of traffic based on their importance or quality of service requirements. By dynamically adjusting the delay, IAD can adapt to changing network conditions and allocate network resources more efficiently.
In summary, the main difference between Regular Time Delay and Intra Assignment Delay is that RTD introduces a fixed delay for all packets, while IAD dynamically adjusts the delay based on network conditions. RTD provides fairness, while IAD focuses on optimization and prioritization of traffic.
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what should i say if A customer is looking for a specific brand that the job does not sell?
The supply curve is upward-sloping because higher prices ________.
The supply curve is upward-sloping because higher prices incentivize producers to produce more.
As the price of a good increases in the market, the producers can sell each unit that they produce at a higher price, and make it more profitable for them to increase their production.
A supply curve can be defined as a graph that shows how a change in the price of a good or service can affects the quantity that a seller supplies. Price is usually listed on the vertical y-axis of the graph, while quantity supplied is listed on the horizontal x-axis of the graph.
Factors like- taxes and government regulation, market power of the suppliers, availability of the substitute goods, and the economic cycles may all shift the supply or demand curves or alter their respective shapes.
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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
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Explanation:
Here's the picture and I hope this helped!
Have a nice day!
What is the surface area of the Ceral box?
Hight is 30 width is 20 side width is 5
Answer:
The surface area of the ceral box is 1,500u².
Explanation:
2(30 × 5)+2(30 × 20)= 1,500
30 × 5 = 150
30 × 20 = 600
150 × 2 = 300
600 × 2 = 1,200
1,200 + 300 = 1,500
There's your answer, hopefully it's correct!
RJ has two loans. Loan H has a nominal rate of 5. 68%, compounded daily. Loan I has a nominal rate of 6. 33%, compounded monthly. Which loan's effective rate had the greater increase, relative to its nominal rate, and how much greater is its increase than that of the other loan? a. Loan I’s increase was 0. 03 percentage points greater than Loan H’s. B. Loan I’s increase was 0. 68 percentage points greater than Loan H’s. C. Loan H’s increase was 0. 16 percentage points greater than Loan I’s. D. Loan H’s increase was 0. 49 percentage points greater than Loan I’s. Please select the best answer from the choices provided A B C D.
The loan with the greater increase in effective rate is the loan (I). It is greater by 0.19%.
What is the effective rate?The effective rate is also called the actual rate paid on a loan. It takes into account the effect of compounding.
Formula:
\(\text{i}=(1+\dfrac{r}{m})^m-1\)
Where, r = Nominal Rate,
m= number of compounding.
Computation of Effective interest rate:
The effective rate of interest of loan (H) is:
\(\text{i}=(1+\dfrac{r}{m})^m-1\\\\\text{i}=(1+0.0568365)^3^6^5-1\\\\\text{i}=0.058439\\\\I=0.058439\times{100}\\I=5.8439\%\)
The effective rate of interest of loan (I) is:
\(\text{i}=(1+\dfrac{r}{m})^m-1\\\\\text{i}=(1+0.063312)^1^2-1\\\\\text{i}=0.065169\\\\I=0.065169\times{100}\\I=6.5169%\)
The differences between the effective rate and the nominal rates of the loans:
Loan H = 5.84%—5.68% = 0.16%
Loan I = 6.52%—6.33% = 0.19%
Therefore, the difference of interest of loan (I) is more than the loan (H) by 0.19%.
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Identify Maslow’s needs
Physiological, safety, love and belonging, esteem, and self-actualization needs are all important.
Ultimately concern over BP's ______ is pushing many investors to sell the company's stock.
A. business model
B. future cash flow
C. management
D. none of the above
(B.) future cash flow, In the end, worries over BP's future cash flow are causing many investors to liquidate their shares in the corporation.
Inflation and return are taken into consideration as it compares the present worth of money now to the present value of money in the future. A price is produced by the net present value (NPV) of a series of cash flows using inputs of cash flows and a discount rate or discount curve. Planning your financial flow is crucial since you need money in the bank to pay your payments. A method of valuation known as discounted cash flow (DCF) is used to estimate the value of an investment based on its expected return in the future, or future cash flows. DCF makes it easier to determine the current value of an investment based on expected future returns.
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horeline Supply offers their customers trade credit with terms 2/15 net 30. This implies that Multiple Choice paying within 30 days will let a customer deduct 15% off the invoice price. Shoreline's customers have very little incentive to pay within the discount period. most customers will pay their bill within 2 days in order to take the maximum discount. the annual financing cost of failing to pay within 15 days is about 48%.
The most suitable option is that Company S's customers have very little incentive to pay within the discount period, that is, a 2% of discount is allowed to customers of Company S on paying within 15 days of the discount period.
What is a cash discount?A cash discount is an incentive or rebate allowed to the customers on a receivable amount to be paid within a specified period. It is usually allowed to get prompt payments from the customers.
The credit term provided by Company S is 2/15, net 30 which means a 2% discount is provided to customers if they make the payment within 15 days, and after 15 days the discount period expires and they have to pay the full amount within the period 30 days.
Therefore, the customers of Company S have a very minimal amount of incentive on paying within the discount period.
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b. Now assume the firm improves its production process so that it can produce 6,250 units of output this year by combining its fixed capital with 100 units of labor and 450 units of raw materials. What are the total cost and average total cost of producing the 6,250 units of output
Required the total cost and average total cost of producing the 6,250 units of output are $27,000 and $4.32 per unit.
Assuming that the firm has improved its production process to produce 6,250 units of output by combining its fixed capital with 100 units of labor and 450 units of raw materials, the total cost of producing these units can be calculated as follows:
Total Cost = Fixed Cost + Variable Cost
Fixed Cost = $20,000
Variable Cost = (100 units of labor x $25 per unit) + (450 units of raw materials x $10 per unit)
Variable Cost = $2,500 + $4,500
Variable Cost = $7,000
Total Cost = $20,000 + $7,000
Total Cost = $27,000
The average total cost of producing 6,250 units of output can be calculated as follows:
Average Total Cost = Total Cost / Quantity of Output
Average Total Cost = $27,000 / 6,250
Average Total Cost = $4.32 per unit
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Cosmos issued a new series of bonds on January 1, 1995. The bonds were sold at par ($1,000), had a 12% coupon, and mature in 30 years, on December 31, 2024. Coupon payments are made semiannually (on June 30 and December 31). On July 1, 2018, 6.5 years before maturity, Cosmos's bonds sold for $916.42. What was the total return at that time? Note: answer is a percentage, enter only the number
The total return on July 1, 2018 is 94.39%.
We need to use the following formula:
Total Return = (Coupon Payment + (End Value - Initial Value)) / Initial Value
Let's first calculate the annual coupon payment, which is 12% * $1,000 = $120.
Since the bond pays semiannual coupons, the semiannual coupon payment is $120 / 2 = $60.
Now, let's calculate the number of semiannual periods between January 1, 1995, and July 1, 2018.
Number of semiannual periods = (6.5 years) * (2 semiannual periods/year)= 13 semiannual periods
To calculate the initial value of the bond, we need to find the present value of the 13 remaining semiannual coupon payments plus the present value of the bond's face value at maturity.
The discount rate used is 6% (since the bond was sold for $916.42 which is below the face value).
Initial Value = $60 * [(1 - (1 / (1 + 0.06)^13)) / 0.06] + (1000 / (1 + 0.06)^13)= $826.37
Now, let's calculate the end value of the bond, which is $916.42.
Total Return = (Coupon Payment + (End Value - Initial Value)) / Initial Value= (13 semiannual payments of $60 each + ($916.42 - $826.37)) / $826.37= $780.00 / $826.37= 0.9439
Total return = 94.39%
Therefore, the total return at that time is 94.39%.
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How do we manage change in the workplace effectively?
Companies need to embrace change if they want to stay ahead of new technology and economic developments.
What are Technology and Economic development?Through technological means, we have access to almost everything around us, including home appliances, infrastructure, automobiles, medical equipment, and educational tools.
Going to work or doing household chores is now easier thanks to technology. There are a variety of tools and equipment that make life easier for people. It has also had an impact on a number of modern-day industries, including medicine, education, and transportation.
The efficiency and safety of transportation, as well as access to food and healthcare, socialization, and productivity, are all affected by technology. The power of the internet has made it easier to share ideas and resources and create global communities.
The creation of wealth through which community benefits are realized is economic development. It is more than just a job program; it is also an investment in expanding your economy and improving the prosperity and standard of living of all residents. Different people have different ideas about what economic development means.
The four types of economic development are as follows:
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A student compares the boiling point of substances having different intermolecular forces. which scientific problem is the student most likely investigating? is boiling point affected by the strength of particle attraction? is boiling point correlated to melting point? is boiling point affected by the mass of the sample? is boiling point the temperature at which a substance changes its state?
Scientific problem is the student most likely investigating is Does the nature of inter molecular forces present in different substance affect their boiling points?
What are the comparisons made by the boiling point of substances having different inter-molecular forces?
The option that best describes the states of the substance represented by state z is that it is a solid because strong attractive forces prevent particles from moving.
The option that could result from a substance that undergoes a physical change is that it undergoes phase change.
The option that shows examples of things that converts chemical energy to mechanical energy is Airplane and human body.
If a student is comparing the boiling points of different substances having different inter-molecular forces, then his or her aim is to establish a relationship between the nature of inter-molecular forces present (independent variable) and the observed boiling point of the substance (dependent variable).
The scientific problem is the student most likely investigating is if the boiling point affected by the strength of particle attraction?
The option that best describes the states of the substance represented by state z is that it is a solid because strong attractive forces prevent particles from moving.
The option that could result from a substance that undergoes a physical change is that it undergoes phase change.
The option that shows examples of things that converts chemical energy to mechanical energy is Airplane and human body.
The type of change that occurs when a substance melt is known as physical change. Melting is known to be an example of a physical change where the substance is altered or changed phases from solid phase to liquid phase.
An independent variable is known to be the variable that is not affected by changes in the dependent variable.
When looking at the influence of temperature on chemical changes, Temperature is the independent/controlled variable. This is because it does not dependent upon chemical rate. The dependent variables is known to be the chemical change.
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The Architecture and Construction career cluster is a group of careers focused on
O designing, constructing, and maintaining buildings and other structures,
O assembly of buildings and structures.
O designing and planning buildings.
O identifying the safety standards for building regulations.
The correct answer is Designing, constructing, and maintaining buildings and other structures.
Explanation:
A career cluster groups different careers related to the same area of knowledge and similar applications. In the case of architecture and construction, this includes careers such as architecture, civil engineering, carpentry, paving operators, etc. Moreover, these careers are all related to creating buildings or structures, which involve designing or planing the structures, then constructing them, and finally, dealing with the maintenance of the building. This includes the creation of houses, bridges, roads, etc.
Answer:
answer is A
designing constructing, and maintaining buildings and other structures.
Explanation:
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`What type of market structure exists for the fast food industry?
Answer:
http://sellsidehandbook.com/2018/10/08/understanding-market-structure-perfect-competition-monopoly-and-monopolistic-competition/
Explanation:
What is a loan-to-value ratio?
a. The percentage of al ender's portfolio that is composed of a mortgage loans
b. The ratio of borrowed principal plus total intrest to the appraised value of the collateral property
c. The ratio of a lender's return on a mortgage loan to the value of the collateral property
d. The fraction of the appraised value of the property offered as collateral which the lender is willing to lend
The loan-to-value (LTV) ratio is the ratio of borrowed principal plus interest to the appraised value of the collateral property.
The loan-to-value (LTV) ratio is a financial term used in lending to determine the relationship between the amount of a loan and the appraised value of the property used as collateral. It is expressed as a percentage and represents the amount of borrowed funds compared to the value of the property. A higher LTV ratio indicates a higher level of risk for the lender, as it means the borrower has a smaller equity stake in the property. Lenders typically have maximum LTV ratios they are willing to accept based on the type of loan and the borrower's creditworthiness.
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