An import merchant is an organization that enters into a contract with the customer, purchases the product on the buyer's behalf from a foreign supplier, takes title, delivers the product to the agreed-upon location, and then charges the buyer the agreed-upon sum. As a result, choice (D) is appropriate.
Who is a merchant?A merchant is a person who deals in goods created by other people, particularly one who does business internationally. In the past, a merchant was somebody engaged in trade or business.
As long as there has been industry, trade, and commerce, there have been merchants. Meerseniers, a name for neighborhood traders, and Koopman, a term for global traders who functioned on a large scale, importing and exporting commodities over great distances and providing added-value services like credit and finance, arose in 16th-century Europe.
Hence, option (D) is accurate.
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Your question is incomplete, probably the complete question is-
In international buying, the entity that makes a contract with the buyer and then buys the product in its name from the foreign supplier, takes title, delivers to the place agreed on with the buyer, and then bills the buyer for the agreed-on price, is a(n):
A) import broker.
B) import agent.
C) sales agent.
D) import merchant.
E) trading company.
How does the changes in the Mexican peso affect your life?
Answer:
The Mexican peso produces higher returns than the U.S. dollar because of higher interest rates.
Explanation:
if your comparing the 2 places
Open-ended credit is credit for which debtors are given a specified amount of credit to purchase specific consumer goods and intangible goods.
Answer: False
Explanation:
Open-ended credit does not work by specified borrowing amounts given to a debtor to purchase specific goods.
Rather it works by giving the debtor a limit on the amount they can borrow and they are allowed to borrow whatever amount they want within that limit.
The credit described in the question is a close-ended credit.
Help please... This is due in an hour...
Answer:
but where the key word to it
Strategic planning can take place at different levels within a
company.
a. By using Volkswagen as an example, explain
how a corporate strategy differs from a business strategy and from
a functional st
The corporate strategy may involve decisions on acquiring or merging with other automotive companies, while a business strategy may focus on how to grow the electric car market. Meanwhile, functional strategies would deal with specific areas like human resource management or advertising.
Strategic planning refers to the process of setting priorities, direction, and resources allocation for an organization's operations. It can take place at different levels within a company, including corporate, business, and functional levels.
Corporate strategy refers to the overall plan for an organization, which outlines how it will create value and achieve its objectives. It involves decision-making on matters such as mergers and acquisitions, diversification, divestiture, and geographic expansion.
A corporate strategy is created by top-level executives and is meant to guide the entire organization. Business strategy, on the other hand, is developed for individual business units or product lines. It focuses on how a company can gain a competitive advantage in a specific market or industry.
A business strategy defines the scope of a particular business, its target customers, and how it will differentiate itself from competitors.
Functional strategy involves planning for specific functions within a business, such as marketing, human resources, finance, or operations. It outlines how these functions will contribute to the overall business strategy and objectives.
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What type of business makes physical goods that customers can see or touch?
Internet service provider
banking industry
manufacturing industry
commodities industry
Manufacturing industry, type of business makes physical goods that customers can see or touch. Thus, option (c) is correct.
The term business refers to the earning the profit. The business is the taking the risk and the earning the profit. The business are the mainly focuses to the activity of the creating, distribution and selling concept based.
Manufacturing industry is a type of business that can produced the goods (product) are tangible form. Manufacturing industry produced two types of goods such as consumer goods and industrial goods. Customer can easily touch and feel the product.
As a result, the significance of the type of business makes physical goods that customers can see or touch are the aforementioned. Therefore, option (c) is correct.
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define ecommerce in business with example
Answer:
See below
Explanation:
eCommerce refers to business transactions conducted via internment. eCommerce is the short form of electronic commerce. It is the selling and buying of products and services through the internet platform. eCommerce includes other commercial transactions conducted online such as online/internet banking, online money transfers, online auctions, ticketing, and payments.
An example of eCommerce is the online retail stores where shoppers pick and select merchandise on the retail store's website and pay online. The retail store then organizes for the items to be delivered to the customer's premises.
Mark Simpson earns $980 biweekly as a security guard for Albany Med. His group medical insurance costs $7,000 a year. The company pays 90% of the cost of medical insurance. How much is deducted from Marks biweekly paycheck for medical coverage
Answer:
$26.923
Explanation:
Biweekly payment means payments every 14 days or 2 weeks. One year has 52 weeks. Mark is paid 26 times per year
if the company pays 90% of $7000, then Mark pays 10% of $7000
Mark pays = 10/100 x $7000
=0.1 x $7000
=$700
The amount of $700 is spread over 26 weeks.
Each paycheck, Mark will be deducted
=$700/26
=$26.923 per check
Isaiah is in his 50s and currently does not have a retirement fund. However, he recently read a few articles about the insufficient savings of people in retirement and, as a result, he decides he wants to start now. He saves $500 per month for 15 years and earns 7% by investing in the stock market through an index fund.
Answer:
Future Value= $158,475.64
Explanation:
Giving the following information:
He saves $500 per month for 15 years and earns 7% by investing in the stock market through an index fund.
I assume we have to determine the value of the investment at the time of retirement.
We need to use the following formula:
FV= {A*[(1+i)^n-1]}/i
A= monthly deposit= 500
n= 15*12= 180
i= 0.07/12= 0.005833
FV= {500*[(1.005833^180) - 1]} / 0.006833
FV= $158,475.64
1. Assume that Alice wants to send Bob a message with the confidence that Bob will know the message was not altered while in transit. What goal of cryptography is Alice trying to achieve? And how can it be achieved?
Alice is trying to achieve the goal of ensuring message integrity through cryptography. Message integrity ensures that the message remains intact and has not been altered during transit.
To achieve message integrity, Alice can use a cryptographic technique called message authentication codes (MACs) or digital signatures.
Message Authentication Codes (MACs): Alice can generate a MAC for the message using a symmetric key shared with Bob. The MAC is a small piece of data generated using a cryptographic hash function and the shared key. Alice appends the MAC to the message before sending it to Bob. Upon receiving the message, Bob recalculates the MAC using the same key and verifies that it matches the MAC sent by Alice. If the MACs match, Bob can be confident that the message has not been tampered with.
Digital Signatures: Alternatively, Alice can use digital signatures, which provide message integrity along with authentication. Alice generates a digital signature for the message using her private key (part of a public-private key pair). The signature is unique to the message and provides a cryptographic proof of its integrity. Alice sends both the message and the digital signature to Bob. Upon receiving the message, Bob uses Alice's public key to verify the signature's authenticity and integrity. If the signature is valid, Bob can be confident that the message is unaltered and originated from Alice.
Both MACs and digital signatures provide cryptographic mechanisms to achieve message integrity and assure Bob that the message has not been modified during transit. The choice between MACs and digital signatures depends on the specific requirements and security context of the communication scenario.
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determine the payback period for an investment. evaluate the acceptability of an investment project using the net present value method. evaluate the acceptability of an investment project using the internal rate of return method. compute the simple rate of return for an investment.
An investment is an asset or object received with the aim of producing earnings or appreciation. Appreciation refers to a boom in the value of an asset over the years.
That in shape is loose cash and a guaranteed go-back on your funding. you could start with as low as 1% of each paycheck, though it is an excellent idea to intention for contributing at least as a great deal as your business enterprise match. for instance, a not-unusual matching association is 50% of the first 6% of the profits you contribute.
Investors are understandably cautious. record-high inflation and back-to-back interest rate increases have all triggered volatility. The S&P 500 briefly fell into a undergo market on May 20, again on June 13, and for a 3rd time in September. however, all of that also shouldn't mean sitting out of the marketplace.
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Based on the economists forcasts and analysis one year tresury nill rates nd liquidityy premium. Calculate teh current yield curve
Based on the economists forcasts, the estimated yield curve for Treasury bills of different maturities over the next four years for 1-year Treasury bill is 2.25%, 2-year Treasury bill is 3.22%, 3-year Treasury bill is 3.64% and 4-year Treasury bill is 4.14%.
In order to calculate the yield curve, we can construct an estimated yield curve for Treasury bills of different maturities over the next four years. To do so, we will use the following formula to calculate the expected yields.
Expected yield = Risk-free rate + Liquidity premium
For the 1-year Treasury bill, the risk-free rate is 2.25%, and there is no liquidity premium, so the expected yield is simply 2.25%.
For the 2-year Treasury bill, we can use the following formula.
Expected yield for 2-year Treasury bill = E(2r1) + L2
= 3.15% + 0.07%
= 3.22%
For the 3-year Treasury bill, we can use the following formula.
Expected yield for 3-year Treasury bill = E(3r1) + L3
= 3.55% + 0.09%
= 3.64%
For the 4-year Treasury bill, we can use the following formula.
Expected yield for 4-year Treasury bill = E(4r1) + L4
= 4.00% + 0.14%
= 4.14%
Therefore, the estimated yield curve for Treasury bills of different maturities over the next four years for 1-year Treasury bill is 2.25%, 2-year Treasury bill is 3.22%, 3-year Treasury bill is 3.64% and 4-year Treasury bill is 4.14%.
------------The given question is incomplete, the complete question is:
"Based On Economists’ Forecasts And Analysis, 1-Year Treasury Bill Rates And Liquidity Premiums For The Next Four Years Are Expected To Be As Follows: R1 =2.25% E(2r1)=3.15% L2 =0.07% E(3r1)=3.55% L3 =0.09% E(4r1)=4.00% L4 =0.14%. Calculate the current yield curve."------------
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How has creating an Income and Expense Statement helped Evan manage his money?
Evan was able to match up his revenue and cash inflow to his expenses and cash outflow by creating an income and expense statement. However, not all cash inflows and outflows are related to income or expenses.
Define revenue.Revenue is the money made from regular business operations and is calculated by multiplying the average sales price by the quantity of units sold. In order to calculate net income, costs must be deducted from the top line (or gross income) figure. On the income statement, revenue is also known as sales.
Even without income, receipts are conceivable. For instance, this activity results in a receipt but no revenue if the consumer paid in advance for a service or undelivered products.
Because it appears first on an income statement for a corporation, revenue is referred to as the top line. Revenues less expenses equals net income, sometimes referred to as the bottom line. When sales are more than costs, there is a profit.
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the type of marketing strategy in which a company captures a larger share of an existing market for current products through market saturation or market penetration or develops new markets for current products is called
Rebranding a product to increase its marketability to consumers is the process of market development (both those already consuming the products and those yet to consume them). This market development entails adopting a variety of inventive techniques to increase the appeal of an already-existing product to consumers.
Market development growth employs market segments.entire spectrum of goods and services consumers begins conducting market research, during which you will carry out an analysis of the market’s existing segments.Diversification of product pipeline, product proliferation, and development are all part of a market expansion strategy.focuses the company’s efforts on its current clients. Marketing campaigns are established market segments’ growth strategies.
Market penetration is a marketing strategy that focuses an organization’s efforts on existing customers while utilising the present marketing mix. We require effective marketing strategies.
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which of the following statements about reciprocal exchanges is (are) true? i. reciprocal exchange members insurance all the other members ii. examples of insurance organized as reciprocal exchanges include erie, farmers, and usaa
Statement (ii) Examples of insurance organized as reciprocal exchanges include Erie, Farmers, and USAA is true about reciprocal exchange.
Statement (i) is false. Reciprocal exchange members do not insure all the other members. Rather, each member of a reciprocal exchange agrees to insure the other members in return for their agreement to insure them. Members are not obligated to insure every other member of the reciprocal exchange, but only those that they agree to insure through their participation in the exchange.
A reciprocal exchange is a type of insurance organization in which members agree to insure each other. it is also reffered as reciprocity exchange. Each member of the exchange agrees to share in the risks and losses of the other members, in return for the other members agreeing to share in their risks and losses. Members typically contribute capital to the exchange, which is used to pay claims made by other members.
Reciprocal exchanges are often organized as unincorporated associations, and are governed by a group of trustees or managers. Members of the exchange typically elect the trustees or managers, and may have a say in the operation of the exchange.
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PLEASE HELP ME I WILL GIVE BRAINLIEST
Answer:
a supply chain managers. thanks
when managers become personally involved in developing public policy, the firm is at what level of business political involvement? multiple choice limited moderate aggressive holistic
Aggressive organizational involvement is business political involvement when managers become personally involved in developing public policy
What is Aggressive organizational involvement ?
Workplace aggression is a general term that refers to actions taken by persons within or outside of an organization that are harmful to or intended to be harmful to others within the company. Aggression at work can be both verbal and violent, with the latter being referred to as workplace violence.
Given the large number of aggression-related constructs in the industrial/organizational psychology, human resource management, and organizational behavior literature, the definition and measurement of workplace aggressiveness have been the subject of significant debate.
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In this diagram, which statement could be an example for the direction labeled "O"?
O Your friend purchases a new computer.
O Your parent lends money to a neighbor.
You save earnings in a bank account.
O You sell lemonade at your garage sale.
In this diagram, the statement that could be an example for the direction labeled "O" is: "You save earnings in a bank account." (Option C). This above diagram is simple model of the flow of money supply or the circular flow of income.
What is money supply?The money supply in macroeconomics refers to the total volume of cash owned by the public at a certain point in time. There are various ways to describe "money," but the most common are currency in circulation and demand deposits.
What is the circular flow of income?The circular flow of revenue, also known as the circular flow, is an economic model in which important transactions are represented as flows of money, commodities and services, and so on between economic players.
Money and products traded in a closed circuit have the same value but flow in the opposite direction.
Hence, it is correct to state that In the above diagram, the statement that could be an example for the direction labeled "O" is: "You save earnings in a bank account."
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Answer:
C. You save earnings in a bank account.
Explanation:
Took the test and got it right!
Have a nice day!
charlotte can produce pork and beans and can switch between producing them at a constant rate. if it takes charlotte 10 hours to produce a pound of pork and 5 hours to produce a pound of beans, what is charlotte's opportunity cost of pork and what is opportunity cost of beans?
Pork and beans can be produced in Charlotte. Pork has an opportunity cost of 10 pounds of beans divided by 5 equals 2 pounds of beans. 5 pounds of pork, 10 pounds of pork, or 1/2 pound of pork, is the opportunity cost of beans.
The demand for pork drives the demand for market hogs. Retailers create a wholesale demand plan for pork by subtracting an amount from the anticipated pork demand schedule that will cover their expenditures and generate a profit.
2020 saw the COVID-19 have an impact on the pork market. Neither state farms nor small-scale farmers can increase their output. Pork production did not increase and but decreased for the year by 1.42 million tonnes when compared to 2019. The demand for meat eventually exceeds the supply of pork.
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explain the law of diminshing marginal utility with diagram?
Answer:
Draw graph.
Make DMU line
Draw line increasing until a peak.
Then Drop at same rate as increase.
Explanation:
Just like the law of Diminishing marginal returns, The Law of diminishing marginal utility will max out at a certain point. This point is usually where the firms payment, space, and other capabilities are maxed out at the moment.
single-item scale and multiple-item scales are different because multiple choice multiple-item scale cannot collect ordinal data. multiple-item scale is a type of nominal scale. single-item scale involves collecting data about only one attribute of the object being investigated. single-item scale provides more than one possible response to its respondents. single-item scale simultaneously collects data on several attributes of a construct.
(A) The single-item scale differs from the multiple-item scale in that it entails gathering information regarding
Single-item scale:Single-item measures are typically employed to reflect universal concepts, such as job satisfaction (Wanous, Reichers, & Hudy, 1997).
However, several single-item measures have been employed to evaluate constructs that were first thought to consist of a number of facets or dimensions.
Data about just one aspect of the thing under investigation are collected using the single-item scale.
Multiple-item scale:A multi-item scale is made to gauge how the respondent feels about several characteristics of the stimulus object.
Each item on the rating scale, which consists of several questions and statements that must be evaluated, is a single question or statement.
Therefore, (A) the single-item scale differs from the multiple-item scale in that it entails gathering information regarding
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Correct question:
The difference between a single-item scale and a multiple-item scale is that a:
A. single-item scale involves collecting data about only one attribute of the object being investigated.
B. multiple-item scale is a type of nominal scale.
C. single-item scale simultaneously collects data on several attributes of a construct.
D. single-item scale provides more than one possible response to its respondents.
E. multiple-item scale cannot collect ordinal data.
Write a 6 paragraph essay on the importance of economic growth
Answer:
*insert long essay*
Explanation:
UNIT - V (a) Discuss any two types of depreciation methods. or (b) Explain the application of payback period with its limitations.
There are several types of depreciation methods, some of which are straight-line depreciation and reducing balance depreciation. Straight-line depreciation:This is the most often used method of calculating depreciation. This method involves the same amount of depreciation being charged to the asset every year.
It calculates the annual depreciation rate as a percentage of the cost of the asset. Reducing balance depreciation:This is a more complex method that takes into account the value of an asset at the beginning of each accounting period. Depreciation is calculated as a percentage of the asset's carrying value at the beginning of the accounting period.
This method results in greater depreciation charges in the early years of an asset's life and smaller charges in the later years. The payback period method measures the amount of time it takes to recover an initial investment. The payback period is the time it takes for a project to generate enough cash flow to recover the cost of the initial investment.
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Which phrase best completes the diagram?
Macroeconomic Goals for a Society
?
Stable prices
Economic growth
A. Increased inflation
B. Per capita GDP
C. Full employment
D. Decreased production
Answer:
Full Employment
Explanation:
just took the test
The phrase that best completes the given diagram is the full employment. Option C is correct.
What is macroeconomic?Macroeconomics is defined as a discipline of economics that studies an economy's whole performance, behavior, structure and decision-making.
This includes the economics of the country, region, and the world. The main goal of macroeconomics involves the full employment, then if the country is fully employed, this will make the prices stable and at last the economic growth occurred.
Therefore, option C is correct.
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we use photodiodes to track our orientation relative to the sun. briefly describe a possible signal chain from a photodiode to a microcontroller.
A possible signal chain from a photodiode to a microcontroller can involve several stages to convert the photodiode's analog output into a digital signal that can be processed by the microcontroller.
Here's a brief description of the signal chain:
Photodiode: The photodiode is a semiconductor device that generates a current proportional to the amount of light falling on it. It acts as a light sensor and converts incident light into an electrical signal.
Transimpedance Amplifier (TIA): The output current from the photodiode is typically very small. To amplify this current into a measurable voltage, a transimpedance amplifier is commonly used. The TIA converts the current from the photodiode into a voltage signal, with the gain of the amplifier being determined by the feedback resistor connected to the amplifier's input.
Signal Conditioning: Depending on the specific requirements and characteristics of the photodiode, additional signal conditioning circuitry may be employed. This could include filters to remove unwanted noise or interference, amplifiers for further gain adjustment, or voltage regulators to ensure stable power supply for the circuit.
Analog-to-Digital Converter (ADC): The analog voltage signal from the previous stages needs to be converted into a digital format for processing by the microcontroller. An ADC is used to sample the analog signal and convert it into a discrete digital representation.
Microcontroller: The digital signal output from the ADC is then fed into the microcontroller. The microcontroller is a programmable device that can process the digital data and perform various calculations or make decisions based on the received information.
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Suppose the economy is suffering from high rates of inflation. What kind of fiscal policy should be adopted and what are the options for implementing that policy? Briefly explain, in word, the effects of this policy on Aggregate Demand (AD) and equilibrium GDP.
If the economy is suffering from high rates of inflation, contractionary fiscal policy should be adopted. This involves decreasing government spending and/or increasing taxes to reduce the amount of money circulating in the economy.
One option for implementing contractionary fiscal policy is to decrease government spending on public goods and services such as infrastructure projects, education, and healthcare. Another option is to increase taxes on individuals and businesses to decrease their disposable income and limit their spending.
The effect of contractionary fiscal policy on Aggregate Demand (AD) is to shift the AD curve leftward, as less money is available for spending. This decrease in spending will cause a decrease in equilibrium GDP, as businesses will produce less output to match the reduced demand.While contractionary fiscal policy can help to reduce inflation, it can also have negative effects on economic growth and employment in the short term. Thus, policymakers must carefully balance the benefits of reducing inflation with the potential costs of decreased economic activity.
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Under the double-entry system of accounting, a debit is always a negative entry.
a) true
b) false
It is a false statement that a debit is always a negative entry under the double-entry system of accounting,
What is the double-entry system?In accounting, this refers to the system for recording transactions based on recording increases and decreases in accounts so that debits equal credits.
Hence, the double-entry system requires that each transaction must be recorded in at least two different accounts.
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By how much would the component cost of debt used to calculate the wacc change if the new tax rate was adopted?
The component cost of debt used to calculate the Weighted Average Cost of Capital (WACC) would change if the new tax rate was adopted. To determine the change, you need to consider the impact of the tax rate on the after-tax cost of debt.
The formula to calculate the after-tax cost of debt is:
After-tax cost of debt = Pre-tax cost of debt * (1 - Tax rate)
Assuming the pre-tax cost of debt is 150% and the new tax rate is adopted, you can substitute these values into the formula to find the after-tax cost of debt. The difference between the initial and new after-tax cost of debt will represent the change in the component cost of debt
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*ECONOMICS* please help
If the liabilities of a business are Rs.7,50,000 and the capital is Rs. 8,50,000. Find the total assets.
Rs 1600000
Explanation:
accounting equation= asset= liability+capital
American production is described as capital intensive, which means that:
A. Foreign investment is relatively small.
B. The ratio of machinery to labor is high
C. The ratio of labor to machinery is high.
D. Government control of production processes is high.
B. The ratio of machinery to labor is high. Capital intensive production means that a lot of capital is invested in machinery and equipment, rather than relying heavily on labor.
B. The ratio of machinery to labor is high. Capital intensive production means that a lot of capital is invested in machinery and equipment, rather than relying heavily on labor. This typically leads to a higher output of goods or services, but with fewer workers needed to produce them. Foreign investment may or may not be involved, but it is not necessarily related to whether production is capital intensive or not. Government control of production processes may also vary, but it is not a defining characteristic of capital intensive production.
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