a) The types of risk Neelofa should explain are business risk, financial risk, insurable risk, and non-insurable risk. b) The tools to mitigate risk are risk avoidance, risk reduction, risk transfer, and risk retention.
a) Types of Risk: There are four basic types of risk that Neelofa, the Takaful officer at Ombak Takaful Sdn Bhd, should explain to the top management, and they are as follows:
- Business Risk: This type of risk arises from uncertainties in financial markets, project failures, legal liabilities, natural disasters, or accidents.
- Financial Risk: This type of risk includes market risk, credit risk, liquidity risk, and operational risk.
- Insurable Risk: These are the risks that the Takaful Company has agreed to cover, such as theft, fire, accidents, and other similar risks.
- Non-Insurable Risk: These are risks that the Takaful Company has not agreed to cover. It includes government regulations, global economic changes, and technological advancements.
b) Tools to Mitigate Risk: The following are some of the tools that Neelofa should explain to the top management of Ombak Takaful Sdn Bhd to mitigate risk:
- Risk Avoidance: This is a technique that involves identifying and avoiding activities or investments that may result in a loss.
- Risk Reduction: This is a technique that reduces the impact of a risk event or lowers the probability of its occurrence.
- Risk Transfer: This is a technique that involves transferring the risk to another party, such as an insurance company.
- Risk Retention: This is a technique that involves the acceptance of risk. In this technique, the company acknowledges that the risk is present, but they do not take any action to reduce or transfer the risk.
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Which of the following might experience a factor of failure related to expansion?
A. A hair salon that hires new employees immediately after it opens
B. A restaurant that doesn't have a website
C. A shoe store located near another popular shoe store
D. A grocery store with employees who miss company meetings
Answer:
a
Explanation:
cggm nauseousness hfff fallen
on the consolidated statement of cash flows, the parent’s acquisition of additional shares of the subsidiary’s stock directly from the subsidiary is reported as:
The correct answer is Consolidated financial statements. A subsidiary is a company that is owned or controlled by a parent or holding company. Usually, the parent company will own more than 50% of the subsidiary company.
By recording a portion of the earnings based on its ownership stake, an investor who uses the equity method merely acknowledges its share of the investee's gains and losses. The investee's financial statements also show these gains and losses. The equity approach is only applied when the investor has the ability to affect the investee's operational or financial decisions. The investor instead utilises the cost technique to account for their investment if there is no meaningful control over the investee. When the equity method is applied, the investment account is boosted by the investor's portion of the investee's net income. The investment account will be reduced by the share on net loss specified in option C.
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Making sure that data collected on customer trends is organized is one way technology can help a business.
True
False
Answer:
True
Explanation:
I would say this statement in TRUE. Here is my reasoning: Data collection is information learned by a business. For example: If you are a moving company and you paid for a TV commercial. Wouldn't you like to know how many people are calling you for moves based on that commercial? Of course. So asking your customers "where did you hear about us?" and hearing "The TV commercial" can identify that not only is your commercial working but that it is paying for itself with the business coming your way. Data collected is a GREAT way to run a business successfully.
the members of the museum board of the city of springfield are appointed by the city of springfield city council, which has agreed to finance any operating deficits of the museum. under these conditions:
The members of the museum board of the city of Springfield are appointed by the city of Springfield city council, which has agreed to Financial any operating deficits of the museum. Under these conditions: The museum is a primary government.
What is primary government?A primary government may impose its will on an organization if it could materially affect the level of programs, projects, activities or services it undertakes or provides.Constituent Entities are those for whom a primary government official is financially responsible or whose relationship with the primary government would be misleading or incomplete to exclude them from the primary government's financial statements.It is a legally separate organization that A primary election is an election in which political parties nominate candidates for the general election. In the primary government, no one is elected. A candidate is nominated. Component Entities are separate legal entities for which the City is financially responsible. There are two types of component units: Blended and modestly presented.Financial information for mixed-component units is reported in the city's financial statements as if it were part of the city.To learn more about primary government from the given link :
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An automated car wash serves customers with the following serial process: pretreat, wash, rinse, wax, hand dry. Each of these steps is performed by a dedicated machine except for the hand-dry step, which is performed manually on each car by one of three workers. The steps of the process have the following processing times:
Pretreat: 1 minute per car
Wash: 5 minutes per car
Rinse: 2 minutes per car
Wax: 3 minutes per car
Hand dry: 8 minutes per car
a.Which resource is the bottleneck of this process?
b.If the car wash has a demand of 15 cars per hour, what is the flow rate of the process?
c.If the car wash has a demand of 15 cars per hour, what is the utilization of the machine that performs the Wax process?
d.If the car wash has a demand of 10 cars per hour, what is the utilization of hand dry?
e.If the car wash has a demand of 10 cars per hour, what is the cycle time of the process (minutes)?
f.Starting from an empty system (and assuming the stations can work independently), how long would it take (minutes) to wash 5 cars?
The bottleneck of the process is the resource with the longest processing time, which in this case is the hand-dry step performed manually by the workers. The flow rate of the process can be calculated by dividing the demand (15 cars per hour) by the processing time of the bottleneck resource.
The utilization of the machine that performs the Wax process can be calculated by dividing the processing time of the Wax step by the cycle time of the process.
The utilization of hand dry can be calculated by dividing the processing time of the hand-dry step by the cycle time of the process.
The cycle time of the process can be calculated by dividing the total processing time of all steps by the demand rate.
To calculate the time required to wash 5 cars, we need to sum up the processing times of all the steps for 5 cars.
a. The bottleneck of the process is the hand-dry step because it has the longest processing time (8 minutes per car).
b. The flow rate of the process is determined by the bottleneck resource. Since the hand-dry step is the bottleneck, the flow rate is limited by its processing time. Therefore, the flow rate would be 1 car every 8 minutes.
c. The utilization of the machine that performs the Wax process can be calculated by dividing the processing time of the Wax step (3 minutes per car) by the cycle time of the process. Without the cycle time information provided, the utilization cannot be determined.
d. The utilization of hand dry can be calculated by dividing the processing time of the hand-dry step (8 minutes per car) by the cycle time of the process. Without the cycle time information provided, the utilization cannot be determined.
e. The cycle time of the process can be calculated by dividing the total processing time of all steps by the demand rate. Since the total processing time is not given and only the demand rate (10 cars per hour) is provided, the cycle time cannot be determined.
f. To calculate the time required to wash 5 cars, we need to sum up the processing times of all the steps for 5 cars. The total time would be the sum of the processing times for each step multiplied by 5. However, without the specific processing times for each step, the time required to wash 5 cars cannot be determined.
In conclusion, some of the questions regarding utilization, cycle time, and the time required to wash 5 cars cannot be answered accurately due to insufficient information provided in the given context.
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The resources a business uses to conduct its operations are called.
Answer:
Assets.
Explanation:
A firm paid cash to apply against a debt. To record this transaction, the accountant would:
A. debit Cash and credit Accounts Payable.
B. debit Accounts Receivable and credit Cash.
C. debit Cash and credit Accounts Receivable.
D. debit Accounts Payable and credit Cash.
The correct answer to this question is option C, which is to debit Cash and credit Accounts Receivable. When a firm pays cash to apply against a debt, it means that they are paying off an outstanding amount owed to them by a customer or client.
The correct answer to this question is option C, which is to debit Cash and credit Accounts Receivable. When a firm pays cash to apply against a debt, it means that they are paying off an outstanding amount owed to them by a customer or client. In this case, the firm will need to record this transaction in their accounting books to ensure accurate financial records. To do this, the accountant would debit Cash, which represents the money that is leaving the firm's account, and credit Accounts Receivable, which represents the amount owed to the firm by the customer or client. This entry reflects the fact that the customer or client has now paid off their debt to the firm. It is important to note that options A and D are incorrect because they both involve the use of Accounts Payable, which is a liability account used to track money owed by the firm to its suppliers or vendors. In this case, the firm is receiving money, not paying it out, so Accounts Payable should not be involved. Option B is also incorrect because it involves the use of Accounts Receivable and Cash in the wrong way. When a customer or client owes money to the firm, the firm records this amount in the Accounts Receivable account. When the customer or client pays off their debt, the firm would debit the Accounts Receivable account and credit the Cash account to reflect the fact that they have received payment. Therefore, option C is the correct answer to this question.
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What are the definitive characteristics of ser demand
Answer:
Demand is called the economic factor by which market agents require a certain number of goods and / or services for consumption. Thus, the quantity of goods that these require is the quantity demanded.
Demand is directly influenced by two factors: the price of the good (the higher the price, the lower the demand, as the cost will be higher in relation to wages) and the quantity supplied (the higher the supply, the cheaper the good will be, as there will be availability for all consumers; on the contrary, the lower the supply, the more expensive the good will be as it will be subject to the laws of the market of supply and demand).
Through transformational leadership, employees can receive greater ________ from their membership in the organization
Through transformational leadership, employees can receive greater satisfaction from their membership in the organization.
Transformational leadership is a leadership style that inspires and motivates subordinates to realize their full potential and exceed their own expectations. This type of leadership involves creating a vision for the organization and direction, and empowering employees.
Transformational leaders are known for their ability to create a positive organizational culture that values employee development, growth, and happiness. They encourage open communication, collaboration, and a sense of community within the organization.
By providing employees with greater satisfaction, transformational leadership can lead to a range of positive outcomes, including increased motivation, productivity, and performance.
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Last year, Rec Room Sports reported earnings per share of $9.10 when its stock price was $282.10. This year, its earnings increased by 20 percent. If the P/E ratio remains constant, what is likely to be the price of the Stock? (Round your answer to 2 decimal places.)
Answer:
The correct answer is "$338.52".
Explanation:
The given values are:
Market price,
= $282.10
Earning per share,
= $9.10
Earning increased,
= 20%
As we know,
⇒ \(PE \ ratio=\frac{Market \ price}{Earning \ per \ share}\)
On substituting the given values, we get
⇒ \(=\frac{282.10}{9.10}\)
⇒ \(=31\)
Current year earnings,
= \(9.10\times 120 \ percent\)
= \(10.92 \ per \ share\)
Thus,
⇒ \(31=\frac{Market \ price}{10.92}\)
⇒ \(Market \ price = 31\times 10.92\)
⇒ \(=338.52\) ($)
Bank's Balance Sheet
Assets Liabilities and Owners' Equity
Reserves $200 Deposits $1,600
Loans $800 Debt $250
Securities $1,000 Capital (owners' equity) $150
Suppose a new customer adds $100 to his account at Northeastern Mutual Bank, which the owners of the bank then use to make $100 worth of new loans. This would increase the loans account anddecrease the account.
This would also bring the leverage ratio from its initial value of to a new value of .
Which of the following is true of the capital requirement? Check all that apply.
Its intended goal is to protect the interests of those who hold equity in the bank.
It specifies a minimum leverage ratio for all banks.
The higher the percentage of assets a bank holds as loans, the higher the capital requiremen
This would increase the loans account and increase the deposits account. The initial value of 13.33 to a new value of 14. The higher the percentage of assets a bank holds as loans, the higher the capital requirement. Thus, option (c) is correct.
What is a Balance Sheet?
The balance sheet and details of reconciled transactions for each account are the two most important reports that the accountant will want.
(a) This would increase the reserves account and increase the deposits account.
(b) The bank leverage ratio refers to its Assets divided by Capital (Owner's equity).
Liabilities should match assets. Therefore, keeping both sides equal by adding $100.
= (Reserves + loans + securities)/Capital
= (200 + 800 + 1,000) / 150
initial value of 13.33
After the $100 was borrowed
= (200 + 800 + 1,000 + 100) /150
new value of 14
(c) The capital requirement increases as the proportion of an institution's assets held as loans rises. Given that loans are made from deposits, the capital requirement is intended to safeguard depositors in the event that loans are defaulted upon.
Hence, the significance of the Balance Sheet is aforementioned.
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An investor deposited some money at 1.3% annual interest, and two equal but larger amounts at 2.3% and 2.5%. The total amount invested was $24,000, and the total annual interest earned was $554. How much was invested at each rate? At the rate 1.3%,4 Wras invested.
Approximately $3,285.71 was invested at each of the 1.3% and 2.3% rates, and approximately $17,428.58 was invested at the 2.5% rate.
In order to find out how much money is invested at each rate, let's assume the amount invested at 1.3% is x dollars, and the amount invested at 2.3% would also be x dollars. The amount invested at 2.5% would be (24,000 - 2x) dollars since the total amount invested is $24,000.
Now, let's calculate the interest earned from each investment:
Interest earned at 1.3% = (1.3/100) × x
Interest earned at 2.3% = (2.3/100) × x
Interest earned at 2.5% = (2.5/100) × (24,000 - 2x)
According to the problem, the total annual interest earned is $554, so we can set up the following equation:
(1.3/100) × x + (2.3/100) × x + (2.5/100) × (24,000 - 2x) = 554
Simplifying the equation:
0.013x + 0.023x + 0.025(24,000 - 2x) = 554
0.013x + 0.023x + 600 - 0.05x = 554
0.013x + 0.023x - 0.05x = 554 - 600
-0.014x = -46
x = -46 / -0.014
x = 3,285.71
Now that we have the value of x, we can calculate the other amounts:
Amount invested at 1.3%: x = $3,285.71
Amount invested at 2.3%: x = $3,285.71
Amount invested at 2.5%: 24,000 - 2x = 24,000 - 2(3,285.71) = $17,428.58
Therefore, approximately $3,285.71 was invested at each of the 1.3% and 2.3% rates, and approximately $17,428.58 was invested at the 2.5% rate.
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Your question seems incomplete, but I suppose the question was:
"An investor deposited some money at 1.3% annual interest, and two equal but larger amounts at 2.3% and 2.5%. The total amount invested was $24,000, and the total annual interest earned was $554. How much was invested at each rate?"
Which area of intellectual property law did this case address?
copyright
trademark
trade secrets
right of publicity
Answer:
A is correct :)
Explanation:
Answer:A is correct i took the assingment trust me!
Explanation:
Jessi has received a loan to start her new bakery. She wants to make sure that she spends the money wisely, getting all of the machinery, tools, and ingredients that she will need to make her bakery a success. What should Jessi make FIRST to make to make sure to manage her money so that she prioritizes what she needs for her bakery?
buying plan
sales forecast
profit margin
investment
Since Jessi has received a loan to start her new bakery, and he wants to make sure that she spends the money wisely, getting all of the machinery, tools, and ingredients that she will need to make her bakery a success. What she should make FIRST to make sure to manage her money so that she prioritizes what she needs for her bakery is a "buying plan" (Option A)
What is the definition of a "Buying Plan"?A buying plan, sometimes known as a buying club, is a sort of plan that obligates a buyer to purchase products on a fixed timetable, to acquire items that a seller may deliver without warning, or to pay membership fees in exchange for the right to purchase at a supposedly discounted price.
Goods planning and procurement is a systematic strategy used by retailers to predict merchandise inventory requirements and negotiate the best terms with suppliers.
Typically, retailers employ a centralized buyer or team of buyers that supervise the chain's purchasing process. They may have additional local or regional merchandise managers that supervise merchandise implementation in stores.
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the length of time between the acquisition of inventory by a firm and the payment by the firm for that inventory is called the:
The length of time between the acquisition of inventory by a firm and the payment by the firm for that inventory is called the operating cycle.
What is the operating cycle?The time it takes for a business to purchase items, sell them, and get payment for those sales is referred to as an operating cycle. It is, in other words, the time it takes for a business to convert its inventories into cash. Depending on the sector, an operational cycle can be any length.
The time it takes for a business to purchase items, sell them, and get payment for those sales is referred to as an operating cycle. It is, in other words, the time it takes for a business to convert its inventories into cash. Depending on the sector, an operational cycle can be any length.
Hence, The operating cycle consists of fundamental steps such as: purchasing inventory with cash, selling inventory on credit, and collecting payment for purchases.
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kendra asked the creative team to come up with an overall orderly arrangement of the headline, body copy, photo, and logo to be used in the ad. what is kendra asking for?
Kendra asked the creative team to come up with an overall orderly arrangement of the headline, body copy, photo, and logo to be used in the ad. Kendra is asking for layout.
A headline is a top-level heading that sums up the content of an article or other piece of information. In order for readers to know the broad subject of what they would see if they were to read further, a headline is intended to highlight the primary point or category of information.The layout of an advertisement is its overarching structure, plan, and blueprint. It organizes text body, identification markings, graphics, slogans, headlines, sub headlines, and other elements in a methodical way.There are several different types of layout, including magazine layout, advertising layout, static, dynamic, adaptive, and responsive.By converting text from a format that can be read by the user to a format suitable for processing, and vice versa, layout functions can handle bidirectional languages correctly.Learn more about Layout, here
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Over the past year, productivity grew 2%, capital grew 2%, and labor grew 2%. If the elasticities of output with respect to capital and labor are 0.4 and 0.6, respectively, how much did output grow
The percentage change in output (GDP or production at a single firm) divided by the percentage change in an input is known as output elasticity in economics. To make it clear that it applies to changes in only one input, it is sometimes referred to as partial output elasticity.
The growth accounting equation is given by
% Change in productivity = %change in output - \(\alpha\)%growth of capital -\(\beta\) growth in labor
2%=%change in output -0.319\(\times\)(-2%)-0.681\(\times\)(-2)%
=%change in output+0.00638+0.01362
=%change in output+2%
%change in output=2%-2%=0%
Hence output growth rate is 0%
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Why do the media sensationalize issues?
A.
to generate interest in a story, attracting readers or viewers
B.
to ensure that both sides of a story are explored
C.
to remove bias from a story
D.
to make sure that only the most important issues get news coverage
Please select the best answer from the choices provided
A
B
C
D
Answer:
A. to generate interest in a story to attract viewers and readers
In managerial leadership, which part is leadership?Multiple Choiceinfluencingfacilitatingunderstandingdemonstratingexhibiting
In managerial leadership, the key element is leadership.
It involves influencing and facilitating the work of others, understanding the needs and motivations of team members, and demonstrating and exhibiting the values and behaviors that promote success. Effective managerial leadership requires a combination of strong interpersonal skills, strategic thinking, and the ability to inspire and motivate others towards a common goal. This type of leadership involves guiding and directing a team towards achieving organizational objectives while fostering a positive and collaborative work environment. Ultimately, the success of any organization depends on the quality of its leadership, and effective managerial leadership is crucial to creating a culture of excellence, innovation, and growth.
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Assume capital markets are perfect. Kay Industries currently has $200 million invested in​ short-term Treasury securities paying 8 %, and it pays out the interest payments on these securities as a dividend. The board is considering selling the Treasury securities and paying out the proceeds as a​ one-time dividend payment. Assume investors pay a 15 % tax on dividends and capital​ gains, and a 40 % tax on interest​ income, while Kay pays a 40% corporate tax rate.
a. If the board went ahead with this​ plan, what would happen to the value of Kay stock upon the announcement of a change in​policy?
b. What would happen to the value of Kay stock on the​ex-dividend date of the​ one-time dividend?
c. Given these price​ reactions, will this decision benefit​investors?
a) The increase in Kay's equity value would be 0.15 x 200, or $30,000,000.
b) On the tax-dividend rate of the one-time dividend, the value of Kay stock would decline by $200,000,000.
c) Given these price movements, the decision will net investors $30 million in profit.
The tax advantage is the term used to describe the economic benefit that is given to some investments or accounts that are, by law, tax-free, tax-deferred, or tax-reduced. Retirement plans, college savings accounts, medical savings accounts, and government bonds are a few examples of tax-advantaged accounts and investments.
a) Calculation of Tax Advantage:
Tax Disadvantage = [1 - (1 - Corporate Tax Rate) * (1 - Dividend Tax Rate)] / [1 - Tax rate on Interest]
Tax Disadvantage = [1 - (1 - 0.40) * (1 - 0.15)] / [1 - 0.40}
Tax Disadvantage = [1 - (0.60 * 0.85)] / 0.6
Tax Disadvantage = (1 - 0.51) / 0.6 = 0.49 / 0.6 = 1 - 0.85 = 0.15
Therefore, Tax Disadvantage = 0.15.
Kay's equity value would rise by 0.15 * 200 = $30,000,000.
b) It would decrease by $200,000,000. Because tax rates on dividends and capital gains are equal, the effective dividend tax rate is 0.
c) Given these price reactions, this choice will result in a $30 million profit for investors.
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You have $1200 to invest in a bank account with an interest rate of 5.5%, compounded monthly. After how many years will your account total pass $2000
You are considering in a security that has the following cash flow pattern. At the end of year 7 , you will receive the first payment of $400. Every year after that, you will receive the same amount forever. What is the maximum amount that you should be willing to pay for this security if you want a rate of return of 6.99% ? Answer: $ (round to the nearest cent)
Maximum amount that you should be willing to pay for this security if you want a rate of return of 6.99% = $ 4,884.92
Let P be the maximum amount that you should be willing to pay for this security. Given, you will receive $400 at the end of year 7, and every year after that, the same amount forever, and you want a rate of return of 6.99%. Hence, the present value of the security can be found using the formula, Present value = Payment / (1 + r) ^ n
Where, r is the rate of return, n is the number of years
P = 400 / (1 + 0.0699) ^ 7 + 400 / 0.0699 = $4,884.92
Hence, the maximum amount that you should be willing to pay for this security if you want a rate of return of 6.99% is $ 4,884.92.
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Research the options for AP and IB classes in your local school district or state and write a one-page report presenting the following information:
What programs are available that can help you get college credit for your chosen career?
What are the entrance requirements, if any?
How many college credits could you possibly graduate high school with?
What are the benefits of programs such as AP and IB, and how can you prepare yourself in middle school to take these types of classes in the future?
The programs that available that can help you to get the college credit for the career that you have chosen are:
Advanced placement classesCollege level examinationsThe entrance requirements for this schools would need you to have up to an achievement rating of 4 in some basic subjects.
You could possibly graduate with up to 120 college credits from school.
The benefits of Advanced placements is that they help to prepare students for the college school. They are used to place and grade students as they prepare for college.
What is college credit?When students join in these courses, they study college-level content more rigorously and at a faster speed. They can acquire college credits in return for taking a course like this.
High school pupils need to be aware that there are options like these, with great rewards. Students who know this information can finish their college education before arriving on the campus of their chosen institution or university.
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Answer: (Answers may vary.)
After researching the AP and IB options in my town, I found out that my state doesn’t offer the IB curriculum. I think that the IB program sounds very interesting. I’d like to see a real IB school and learn more about the curriculum, but unfortunately I won’t be able to in my school district. My school district does, however, offer AP classes in high school.
In order to get into the AP program in my school district, I have to be on the AP path. This means that I would take the pre-AP classes in middle school, which will allow me to get farther along in the curriculum, and then I’d take the AP classes starting in my junior year. I also have to get a 3.0 GPA and maintain that GPA through my AP classes while in high school or I may lose my place in the program.
If I get on the right track, I could possibly take up to eight AP classes in my junior year of high school and another eight AP classes in my senior year, which would mean that I could get a lot of college credits! I don’t know if I could realistically do this, however, because the classes are so much more difficult than regular high school classes are. I’d also be very worried about taking all of those AP exams at the same time!
I think I’ll try to take as many AP classes in high school as I possibly can, but only for the core classes, such as English, Science, Math, and History. That way, I can get through college sooner and pay less for my degree. I have to make sure I get good grades in my classes, and I plan to get on the AP track so I can take these classes in the future.
Explanation: Edmentum Answer
Janice contracts to sell a certain tract of land to Anthony for$5,000, but the contract does not state a time for delivery of the deed andpayment of the price. In this situation: courts will treat the promises to deliver the deed and to pay the $5,000 as mutually dependent.
When a contract fails to state a time for the delivery of the deed and payment of the price, the promises to deliver the deed and pay the amount will be treated as mutually dependent, and both parties are expected to perform their obligations at the same time.
What is the legal outcome when a contract does not state a time for delivery of the deed and payment of the price?Courts frequently view the pledges to deliver a deed or pay the sum as being mutually reliant when an agreement does not specify a deadline for either event.
This means that both parties are expected to fulfill their respective obligations at the same time, and neither party has the right to demand performance from the other without also being ready and willing to perform.
This principle is based on the concept of concurrent conditions, which is a rule that requires each party to perform their obligations under the contract simultaneously.
The courts will, therefore, treat the contract as containing an implied condition that both parties must be ready and willing to perform before either can demand performance from the other.
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Give (2) examples how we deal with "Scarcity"
Answer:
Either increasing supply or lowering demand
Explanation:
increasing supply:
e.g. when less developed countries (LDCs) experience a famine or drought, other countries can supply food and/or water to them
lowering demand:
finding alternative solutions of the product (that have the same effect as the original product) or reducing the reasons for why there is a high demand
- e.g. crops not growing well due to weather/crop disease going around -> find a crop that is more resistant to the disease (reducing reasons for demand)
- e.g. rice field has an infestation -> not yielding enough rice to feed the population -> population feels hungry and other foods cannot help them feel full/sustain them -> find another crop to substitute, like yam or potatoes that are equally filling (alternative solutions)
but these two are pretty much the same so
also please note I don't take any courses on supply and demand other than geography so I might be completely wrong
how do people help millions 100 millions of people? 99 points for answering
Answer:
Well first, you must know there are a few requirements.
be a natural-born U.S. citizen of the United Statesbe at least thirty-five years oldbe a resident in the United States for at least fourteen years.Then you would be helping more than 350 million people a day!
Explanation:
Give an example for each of the following types of transactions:
1. Increase in one asset, decrease in another asset
2. Inerease in asset, increase in liability.
3. Inerease in asset, increase in owner's capital
Answer:A)Increase in one asset, decrease in another asset.- purchase of machinery in cash . ie. increase in asset and decrease in cash
B)Increase in asset, increase in liability - purchase goods on credit ie. increase in stock and increase in creditors
C)Increase in asset, increase in owner's capital -issue of shares ie. increase in share capital and increase in cash .
D)Decrease in asset, decrease in liability -Payment to creditors ie, decrease in cash and decrease in creditors
E)Decrease in asset, decrease in owner's capital- drawings (withdrawn by partners ) ie, decrease in capital ad decrease in cash
F)Increase in one liability, decrease in another liability- Bills Payable issued to Creditors.ie., This will reduce one liability (Creditors) on the one hand and increase another liability (Bills Payable) on the other hand.
G)Increase in liability, decrease in owner's capital - Conversion of share capital into debentures.ie, increase in debentures and decrease in share capital .
H)Decrease in liability, increase in owner's capital.-Conversion of debentures into shares.,ie. increase in share capital and decrease in debenture (long term liability )
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Explanation:
Examples of variable costs include all of the following except what?
Examples of variable costs include direct labor, raw materials, and sales commissions. However, one type of cost that is not considered a variable cost is fixed costs.
Variable costs are expenses that change in direct proportion to the level of production or sales. They fluctuate based on the volume of activity or output. Common examples of variable costs include direct labor, raw materials, sales commissions, packaging costs, and shipping costs. These costs increase or decrease as the production or sales volume changes.
On the other hand, fixed costs are expenses that remain constant regardless of the level of production or sales. They do not vary with changes in activity volume. Fixed costs include expenses like rent, salaries of permanent employees, insurance premiums, and equipment depreciation. These costs stay the same regardless of whether the company is producing or selling more or fewer units.
Therefore, when considering examples of variable costs, it is important to understand that fixed costs are not included. Fixed costs are independent of the level of production or sales and do not vary with changes in activity volume.
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One of the first things to do to prepare for a job interview is to _____. A. Ask for a formal offer letter b. Plan how to spend your first paycheck c. Research the company d. Send a follow-up letter Please select the best answer from the choices provided A B C D.
Answer:
c reasearch the company
Explanation:
Answer:
C is correct
Explanation:
i took the test
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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