The LNG (liquefied natural gas) and LPG (liquefied petroleum gas) ships B: often operate on long-term contracts and D: can also carry frozen fruit juices.
LNG and LPG ships are specialized vessels designed for the transportation of liquefied natural gas and liquefied petroleum gas, respectively. While they may not be as commonly used as container ships for general cargo transportation, they serve specific purposes in the energy industry.
These ships often operate on long-term contracts, as the transportation of LNG and LPG involves ongoing supply agreements between suppliers and buyers. Additionally, these ships have the capability to carry other types of cargo, such as frozen fruit juices, in addition to their primary cargo of LNG or LPG.
Options B and D are answers.
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What is the opportunity cost of studying for the test in order to get a good grade?
Answer:
the opportunity cost is the time spent studying and that money to spend on something else
The time spent studying and the money that could have been used for something else are the opportunity costs.
What is opportunity cost?According to microeconomic theory, an activity's opportunity cost is the value or gain that is forfeited in exchange for engaging in that activity as opposed to engaging in an alternative activity. More precisely, it means that by choosing one course of action (such as making an investment), you are forfeiting the chance to take an other course of action. The activity that yields the highest return among all others, net of opportunity costs, is the one that is considered to be the ideal activity.
The goal of opportunity cost is to ensure efficient use of limited resources as a depiction of the relationship between scarcity and choice. It takes into account all decision-related expenses, both explicit and implicit.
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read the closing case - starbucks: taking a stand on social issues (p. 384-6) and answer the following discussion questions. do you think it makes sense for companies to hold themselves to a higher standard than the law? do you think it makes sense for companies to utilize ethical standards that might not increase profitability?
Regarding the first question, whether it makes sense for companies to hold themselves to a higher standard than the law, it can be argued that companies have a responsibility to be good corporate citizens and to act in the best interests of their stakeholders, which includes customers, employees, shareholders, and the wider community.
This may involve going beyond compliance with legal requirements and adopting ethical and social responsibility standards that reflect the company's values and commitments.
By holding themselves to a higher standard, companies can enhance their reputation, build trust with stakeholders, and demonstrate leadership in addressing social and environmental issues. However, it is important to note that companies must also comply with applicable laws and regulations, and that ethical and social responsibility standards should not be used as a substitute for legal compliance.
Regarding the second question, whether it makes sense for companies to utilize ethical standards that might not increase profitability, it can be argued that companies have a responsibility to act in the best interests of their stakeholders, which includes not only shareholders but also customers, employees, and the wider community. This may involve adopting ethical and social responsibility standards that prioritize social and environmental impacts over short-term profitability.
While some ethical standards may not directly increase profitability, they can contribute to building long-term value and resilience for the company. For example, investing in sustainable practices can reduce costs and enhance operational efficiency, while promoting diversity and inclusion can improve employee morale and attract talent. Additionally, consumers are increasingly demanding that companies take a stand on social and environmental issues, and failure to do so can have negative reputational impacts that can ultimately affect profitability.
In conclusion, while companies have a responsibility to comply with legal requirements, they can also hold themselves to a higher standard by adopting ethical and social responsibility standards that reflect their values and commitments. Additionally, companies can benefit from adopting ethical standards that prioritize social and environmental impacts over short-term profitability, as these standards can contribute to building long-term value and resilience.
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PLEASE SEND HELP ASAP
Planning for regional natural disasters at work is _______.
a.
good practice
b.
unnecessary
c.
too cautious
d.
unsafe
Please select the best answer from the choices provided
A
B
C
D
Answer:
A. good practice
Explanation:
planning for these disasters can help reduce damage,injuries,even death.
Answer:
A
Explanation:
Just in case something were to happen it would be good to know where to go and what to do. It can prevent deaths and injuries if the real thing were to happen.
How's everyone's day? explain please
Answer:
You're asking how the people in a particular place or environment you are in on how their life was that day whether it was fun exciting sad or gloomy etc.
Answer:
I'm doing fin-e, just s-ad because I ca-n't get the New Toon Meo-wscles sk-in from fort-nite because my P-s4 br-oke and Now I ca-n't get the bundle which is at a good price. I wish I could get it.
Explanation:
terps company maintains a markup of 60 percent based on cost. the company's selling and administrative expenses average 30 percent of sales. annual sales were $1,440,000. the cost of goods sold and operating profit for the year are:
The cost of goods sold and operating profit for the year are $1,008,000 and $172,800 respectively.
It is provided that Markup = 60% based on cost, Selling and administrative expenses = 30% of sales, and Annual sales = $1,440,000. First, let's find the cost of goods sold. We know that the markup is 60% based on cost, so the cost can be calculated as follows:
Markup = 60% = 0.6,
Cost price = Selling price - Markup
Selling price = Cost price + MarkupS
ince we know that the annual sales are $1,440,000 and the selling and administrative expenses are 30% of sales, we can find the cost of goods sold as follows:
Sales = Cost of goods sold + Selling and administrative expenses + Profit
Annual sales = Cost of goods sold + (30/100) * Annual sales + Profit
$1,440,000 = Cost of goods sold + $432,000 + Profit
Cost of goods sold = $1,440,000 - $432,000 = $1,008,000
Now that we know the cost of goods sold, we can find the operating profit. We know that the markup is 60% based on cost, so we can find the profit as follows:
Profit = Markup * Cost of goods sold
Profit = 0.6 * $1,008,000 = $604,800
However, this is the total profit, and we need to subtract the selling and administrative expenses to get the operating profit.
Operating profit = Profit - Selling and administrative expenses
Operating profit = $604,800 - $432,000 = $172,800
Therefore, the cost of goods sold and operating profit for the year are $1,008,000 and $172,800 respectively.
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What is one method that helps control online fraud? O A. Deleting odd emails before reading B. Reporting odd emails to police • C. Reporting odd emails as spam • D. Signing into email in many locations
Answer: C. Reporting odd emails as spam
Explanation:
_____ is a career typically requiring a certificate from a vocational school program. Lawyer Actor Sales clerk Automotive mechanic
Answer:
The answer is Automotive Mechanic
Explanation:
To start with, a vocational school program also known as vocational training or Career and Technical Education (CTE) and Vocational Education and Training (VET), is any program that provides job-specific technical training for a particular career.
Students enrolled for such programs are given hands-on instructions that can lead to the award of certification. Automotive Mechanic is the best option and right answer for this question because the career requires hands-on experience which can be taught by vocational school programs. Other careers that require vocational school programs are plumbing, wiring, shoe making among others.
______________________ refers to the additional revenue gained from selling one more unit.
A) Marginal Revenue
B) Total Revenue
C) Economic Profit
D)Accounting Profit.
The term that refers to the additional revenue gained from selling one more unit is Marginal Revenue.(A)
To explain further, Marginal Revenue (MR) is the increase in total revenue that occurs when one additional unit of a good or service is sold. To calculate MR, you find the difference in total revenue between selling n units and n+1 units. In other words, MR = Total Revenue (n+1 units) - Total Revenue (n units).
This concept is essential in determining the optimal production level for a firm. It helps firms decide whether it is profitable to produce and sell additional units, based on the relationship between marginal revenue and marginal cost.
When marginal revenue exceeds marginal cost, a firm can increase its profit by producing and selling more units. However, when marginal cost is higher than marginal revenue, the firm should reduce its output to maximize profit.(A)
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There are many costs associated with owning a car. Which of these is not something you'll need to pay for?
A
Maintenance.
B
Registration.
C
Inspection.
D
Arbitration.
The answer will be -B-
The cost is the defined amount or sum of money that is incurred in the firm from the stage of production to the stage of selling and distributing the goods and services to the market for the customers.
The correct answer is C Inspection.
Option C Inspection is correct because it does not incur any of the expenses while owning a car. This is because the inspection is done free of cost at the service center to look after the condition of the vehicle.
Options A, B, and D are the wrong ones because they are to be paid at a certain period of time because it is the expense that we incur while owning a car.
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when a cpa is hired to report on the integrity of financial statements, which may include financial forecasts or reports on financial reporting processes, it is considered a(an)
When a CPA is hired to report on the truthfulness of financial statements, it is called "participating in an audit".
When a CPA is hired to report on the truthfulness of financial statements, including financial projections or to report on the financial reporting process, it is called "participating in an audit". An audit includes a systematic review of financial records, reports and related documents to ensure accuracy, reliability and compliance with applicable accounting standards.
The CPA performs various procedures, such as reviewing internal controls, verifying financial data, and evaluating the overall fairness and transparency of financial statements. The ultimate goal is to express an independent and objective opinion on the truthfulness and reliability of the financial information presented in the financial statements.
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if you invest 400 at year zero, then that same amount more every subsequent year, letting it accumulate and compound, at an interest rate of 4%, then after 20 years you'd have how much in total?
after 20 years you'd have how much in total : In 20 years, you will have 876.45.
Compound interest, also known as interest on principle and interest, is the practise of adding interest to the principal amount of a loan or deposit. It occurs when interest is reinvested, or added to the loaned capital rather than paid out, or when the borrower is required to pay it, so that interest is generated the next period on the principle amount plus any accrued interest. In finance and economics, compound interest is common.
In contrast to simple interest, which does not compound since past interest is not added to the principal for the current period, compound interest allows interest to build over time.
formula:
A = \(p(1+r/n)^{nt}\)
A = 400(1+.04/1)\(^{1*20}\)
A = 876.45
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You hear a pitch where the founder says he'll reach $30 million in sales in 5 years. His first-year sales are projected at $5 million. Which is closest to the compound growth rate he is implying?
Answer:
43.1%
Explanation:
Working out the interest rate given the Present Value, a Future Value and how many Periods.
The applicable formula is r = ( FV / PV )1/n - 1
Where r= interest rate
FV = future value... 30 m
Pv= present value... 5 m
n= number of periods.. 5
R = ( 30,000,000/ 5,000,000)1/5 -1
R=(6)0.2 -1
R=1.430969-1
R=0.430969
As a percentage , R=0.430969 x 100
=43.096
=43.1%
Answer:
56%
Explanation:
Does the state of the US economy have an effect on local businesses started by entrepreneurs? Please explain your answer.
The state of the United States' economy has an effect on local businesses that are started by entrepreneurs as it determines the amount of sales that the local business would make.
How does the U.S. economy affect local businesses?The state of the U.S. economy determines the income level of the average person in America. If the economy is doing well, then people generally have more income than if the economy is performing poorly.
When the economy is doing well and people have more income, they will be able to buy more goods and services from businesses including the local businesses established by entrepreneurs. If the reverse is the case, then local businesses would generally suffer when the economy is bad and people have less income.
There are also local businesses that see their income increase when the economy is doing poorly for instance, financial planners and health care.
In conclusion, local businesses started by entrepreneurs get affected by the state of the U.S. economy.
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PLEASE HELP ASAP
Last year, $3,155.24 was withheld from your pay for federal taxes. When you calculate the amount of federal tax you owe, it comes to $2,791.80. What does this mean?
A.You must pay an additional $363.44.
B.The remaining $363.44 will be applied to your state taxes.
C.You have lost $363.44.
D.You will get $363.44 refund from the government.
The fact that your federal taxes paid were more than you calculated means that D.You will get $363.44 refund from the government.
What happens when we overpay taxes?When a person pays too much in taxes, the Internal Revenue Service can be able to give you a refund for the amount that you overpaid.
In this case, that amount would be:
= 3,155.24 - 2,791.80
= $363.44
To get the refund, you would have to fill in your annual tax returns and the Internal Revenue Service would find the refund.
In conclusion, you can expect a tax refund of $363.44 from the government.
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Answer:
D. You will get $363.44 refund from the government.
Explanation:
connexus
If a company mistakenly counts less items during a physical inventory than actually exist, how will the error affect the cost of merchandise sold?.
The error will be declared as overstated.
What is overstated?
If an account or a figure on an account is inflated, the amount represented on the financial statement will be more than it should be.
Auditors will question the board of directors of the corporation to explain why non-current assets in the accounts were exaggerated and not represented at their recoverable amount.
Preproduction expenses for the fiscal year 2010 were inflated by almost $4 million, totaling $55.4 million.
If an account or a figure on an account is inflated, the amount represented on the financial statement will be more than it should be.
The phrase "overstated" has two meanings when used by an accountant:
1. The reported sum is inaccurate, and
2. The amount that was reported exceeds what is true or accurate.
Another account will also have an inaccurate balance in a double-entry accounting or bookkeeping system.
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If a company mistakenly counts less items during a physical inventory than actually exist, how will the error affect the cost of merchandise sold?
Structuralists tend to view free market globalization as
a new epoch of history
inevitable and something to embrace
An ideological manipulation by those in power with an economic interest in perpetuating the status quo
s omething only revolution will change
Structuralists believe that free market globalization as something only revolution will change.
They argue that the current global economic structure benefits wealthy nations and multinational corporations at the expense of developing countries and vulnerable populations. In their view, globalization perpetuates inequality and exploitation, leading to a cycle of poverty and dependency for many.
Free market globalization refers to the liberalization of international trade, investment, and capital flows, which is often driven by neoliberal policies. Structuralists contend that this economic model has created a global system where powerful actors have disproportionate influence and gain the most benefits. They argue that globalization has led to a race to the bottom in labor, environmental, and social standards, as countries compete to attract investment and create favorable conditions for businesses.
According to structuralists, addressing these issues requires more than just minor adjustments to the system; it necessitates a profound transformation through revolutionary action. They advocate for radical changes to the global economic and political order, such as the redistribution of wealth and power, the establishment of alternative economic models, and the dismantling of oppressive institutions.
In summary, structuralists view free market globalization as an inherently flawed system that perpetuates inequality and exploitation. They argue that only a revolution, which encompasses radical and transformative changes to the global economic and political structures, can effectively address these issues and create a more equitable and just world.
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what does these symbols mean on a measuring tape' &"
What is the total annual dividend received from owning 100 shares of stock A, if Company A issues a $0.15 quarterly dividend to its shareholders?
Answer:
$60/year
Explanation:
If Company A issues a $0.15 quarterly dividend to its shareholders, then the annual dividend per share would be:
$0.15/quarter x 4 quarters/year = $0.60/year
To find the total annual dividend received from owning 100 shares of stock A, we can multiply the annual dividend per share by the number of shares:
$0.60/year x 100 shares = $60/year
Therefore, owning 100 shares of stock A would result in a total annual dividend of $60.
company abc in scotland exports a pound of cheese to the us for $100. based on the value of the cheese, the us places a 20% tax on it. what type of tariff is this?
The type of tariff described in this scenario is a specific tariff.
A specific tariff is a fixed dollar amount charged per unit of the imported product, regardless of its value. In this case, the tariff is imposed on a pound of cheese, and the amount of the tariff is 20% of the value of the cheese, which is $100. Therefore, the specific tariff is $20 per pound of cheese.
It is important to note that specific tariffs are not based on the value of the imported product, but on its physical quantity or weight. This makes them different from ad valorem tariffs, which are calculated as a percentage of the value of the imported product.
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types of waves that can be plane polarized
In a five paragraph essay compare the role of citizens in the federal government, and in your state and local governments. Be sure to include: a. Criteria for membership as a citizen b. Different types of elections c. Civic responsibilities and duties
Answer:
I think it's C)
Explanation:
how to convert ration 13:25 into fraction,decimal and percentage pleas help and with full solving and explanation
Answer:
13/250.5252%Explanation:
13:25 is just a fraction (13/25)
13:25= 0.52 (decimal)
So when you divide 13 by 25, you get 0.52. To make that into a percentage, you just multiply it by 100 (move the decimal over 2 places to the left). That gives you 52%
What do we call a business that focused on building products that meet consumers' needs?
Answer: Market oriented business
Explanation:
Market orientation refers to the business philosophy whereby companies identifies the needs of their customers and make products that meet such needs or wants.
A business that's using market orientation will research the current trends in the market and make products that meet them. Strong brands use market orientation approach to meet customers needs.
a(n) is a company that has a proven business model and is willing to sell the rights to use the business model to others so that they can sell the same product or service within a given territory. select one: a. intrapreneur b. franchisee c. limited partner d. franchisor
In other words, a franchisor is a company that has a proven business model and is willing to sell others the rights to sell the same product or service in a particular territory using that business model.
What is a franchisor?A franchisor is a company that has a proven business model and is willing to sell the rights to use that business model to others, called franchisees. The franchisor provides the franchisee with a package of goods and services that includes training, marketing and ongoing support. The franchisee agrees to pay the franchisor an initial fee and ongoing royalties and to operate the business in accordance with the franchisor's policies and standards. A franchisee operates a business in a particular geographic area and sells the same products or services as the franchisor.
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Economic expansions in Europe and China would cause a. the U.S. price level to fall and real GDP to rise. b. the U.S. price level to rise and real GDP to fall. c. the U.S. price level and real GDP to fall. d. the U.S. price level and real GDP to rise.
Answer:
d. the U.S. price level and real GDP to rise.
Explanation:
Economic expansion refer to the expansion that has rise in the economic activity and goods availability. In this period, the real GDP is also increased
So as per the given situation since there is an economic expansion in Europe and the China so here the level price of the united states and read GDP would rised
therefore the option d is correct
Identify a circumstance outside the economy that can cause unemployment.
A. The United States hosts the Olympic Games
B. A hurricane damages the Gulf Coast
O
C. A new museum opens in the city of Dallas
O
D. The northeast experiences a summer heat wave
Answer:
B. A hurricane damages the Gulf Coast
Explanation:
If a hurricane occurs, it would destroy businesses and this can cause unemployment.
If the United States hosts the Olympic Games and if a new museum opens in the city of Dallas, employment would increase
If you wish to calculate the interest on an investment with a rate of 6.17%, what number will you plug into your equation? a. 0.00617 b. 0.0617 c. 0.617 d. 6.17 please select the best answer from the choices provided a b c d
Option b. 0.0617 is the correct answer as interest on investment at 6.17% converted into simpler form is 0.0617
Interest is the fee paid for having access to borrowed funds. While the interest rate used to compute interest is often reported as an annual percentage rate, interest expense or revenue is sometimes expressed as a dollar figure (APR). The compensation a lender or financial organization receives for giving out money is called interest. The percentage of a stockholder's ownership in a corporation that is also referred to as interest
Interest on investment = 6.17%
Removing the percentage sign and converting it into a simpler form:
= 6.17/100 = 0.0617
So, we will plug 0.0617 into the equation
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advantage of running a business with someone and disadvantage
Match the requirements for application to the type of school.
1. requires high school transcripts or GED application
graduate school
2. requires high school transcripts as well as the SAT or ACT, which demonstrate the ability to succeed
career or technical program
3. requires college transcripts that demonstrate a bachelor’s degree was earned; may require the GRE or another specific exam that demonstrates the ability to succeed in a specific program
Things to match to: graduate school, career or technical program, and university
Answer:
1. graduate school
2. career or technical program
3. university
Explanation:
I'm assuming after thoroughly reading your long descriptions.
Which of the following is not a correct step associated with performing a money market hedge of a foreign currency receivable due in one year? Select one or more: i. Selling foreign currency in the spot market today in order to purchase the domestic currency ii. Borrowing the contracted size of the receivable in the foreign currency money market today iii. Investing in your domestic money market today iv. Selling the foreign currency at the one year spot exchange rate in order to purchase domestic currency v. Investing the present value of the receivable in the foreign currency money market today vi. Receiving in one year's time the principal and interest on an investment you made in the domestic currency
The correct step associated with performing a money market hedge of a foreign currency receivable due in one year is "iv. Selling the foreign currency at the one year spot exchange rate in order to purchase domestic currency." This step involves selling the foreign currency at the predetermined one-year spot exchange rate to acquire the domestic currency needed to fulfill the receivable.
The incorrect step is "vi. Receiving in one year's time the principal and interest on an investment you made in the domestic currency." This step does not relate to the money market hedge of a foreign currency receivable. It refers to receiving the principal and interest from an investment made in the domestic currency, which is unrelated to hedging a foreign currency receivable.
The other steps (i, ii, iii, and v) are all correct and commonly associated with performing a money market hedge, involving actions such as selling foreign currency, borrowing in the foreign currency money market, investing in the domestic money market, and investing the present value of the receivable in the foreign currency money market.
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