Sponsorship agreements within the sports industry commonly refer to the team, event, or sports organization as the property. Hence, Option (C) is correct.
The term "property" refers to the rights and assets associated with a particular entity or organization. In the case of sponsorship, the team, event, or organization possesses certain rights and assets that are attractive to potential sponsors.
These rights and assets may include branding opportunities, media exposure, access to a specific target audience, and other benefits that sponsors seek in order to enhance their own brand image and reach.
Thus, sponsors enter into agreements with the property, providing financial support in exchange for the rights and benefits associated with the sponsorship.
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What is significance of evaluating PeCS of a successfull entrepreneur? What insights can you draw from this activity?
Answer:
It is very important to assess one's personal entrepreneurial competencies (PECs) in order to know the strengths and weaknesses of the entrepreneur. In that manner, the entrepreneur can design a plan to compensate for his weaknesses and develop his strength in order to deliver the excellency that was expected of him.
a bond is redeemable in eight years at 120% of its par value. the bond pays an annual coupon rate of 6%. calculate the premium as a percent of the par value if the bond is purchased to yield 6% annually.
Using a financial calculator or spreadsheet, we can input the following variables:
- N (number of periods): 8
- I/Y (yield): 6%
- PMT (coupon payment): 6% of the par value
- FV (future value): 120% of the par value
Solving for PV (present value), we get:
PV = $1,000 / (1 + 6%)^1 + $60 / (1 + 6%)^2 + ... + $1,200 / (1 + 6%)^8
PV = $851.36
This means that the bond is worth $851.36 today if it is purchased to yield 6% annually.
To calculate the premium as a percent of the par value, we can subtract the present value from the future value and divide by the par value:
Premium = ($1,200 - $851.36) / $1,000
Premium = 34.86%
Therefore, the premium as a percent of the par value is 34.86% if the bond is purchased to yield 6% annually.
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A new company can offer stocks in an initial public offering (IPO) before the company has proven itself capable of generating long-term profits for its stockholders. If the company seems likely to generate profits, the stock price in the IPO will rise; if the company seems less likely to generate profits, the stock price in the IPO will fall. Today business analysts announced that the Tenon Corporation has turned a profit in the financial quarter just completed. Therefore, stock prices for the Tenon Corporation's IPO, which is planned for next week, will rise.
Which of the following, if true, most weakens the argument above?
A. Companies that do not have profitable quarters are not profitable in the long run.
B. Stock price predictions for the Tenon Corporation's IPO have varied markedly over the last several months.
C. The last financial quarter has proven profitable for numerous other companies in addition to the Tenon Corporation.
D. Industry experts announced today that the raw materials from which the Tenon Corporation manufactures its products will become prohibitively expensive within the next month.
E. Most people who purchase stocks in an IPO decline to attend stockholders' meetings of the companies in which they own stock.
Answer: D. Industry experts announced today that the raw materials from which the Tenon Corporation manufactures its products will become prohibitively expensive within the next month.
Explanation:
Costs eat into the profits of a company because the higher the costs of producing something, the less profit can be made after the costs are covered.
If there is a situation therefore, where the raw materials that Tenton relies on becomes more expensive, it is definitely going to affect their profitability because they will incur a higher cost to produce.
This will reduce their future profitability which would mean that Tenton becomes less likely to generate a certain level of profit in future thereby weakening their stock according to the logic above.
Dmitri bought a $1,000 bond at par value with a coupon rate of 5 percent. He determines the yield by dividing the amount of interest he earns by the price.
a. How much interest would he earn in the first year and what would be the yield?
b. How much interest would he earn in the first year and what would be the yield if he had paid $950 for the bond? What would be the interest and yield if he paid $1,050?
This is not a multiple choice question, please answer both parts if you can.
The interest earned is 5%.
Interest / Price is 4.76%
How to solve for the interest and the priceInterest can be defined as the cost of borrowing. That is, it is the additional amount that the borrower pays to the lender for a principal sum of money that was received.
How to solve the yield on the bond
Part A
Yield = Interest / Price = $50 / $1,000 = 0.05 or 5%
So, the yield on the bond is 5%.
Part B
Yield = Interest / Price = $50 / $950 = 0.0526 or 5.26%
If Dmitri paid $1,050 for the bond, the yield would be lower
Yield = Interest / Price = $50 / $1,050 = 0.0476 or 4.76%
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In the context of incentive systems, which of the following is true of profit-sharing plans? Multiple Choice
They reward individual performance.
They are used to reward employees for increasing productivity in areas under their control.
They are usually implemented in the division or the organization as a whole.
They are given on the basis of how a worker’s performance measures against an objective standard.
They do not give all employees a stake in the company’s success.
They are given on the basis of how a worker’s performance measures against an objective standard.
Profit-sharing plans are based on objective standards such as the company's profits or financial performance, and the rewards are given based on how well an individual or a team contributes towards achieving those objectives. They are not based on individual performance but on the overall productivity and success of the division or the organization as a whole. Profit-sharing plans are designed to give all employees a stake in the company's success and encourage them to work towards improving productivity and profitability.
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Differentiate between electricity geyser and gas geyser
In the united states, total government purchases of goods and services make up about ____________________ percent of all the goods and services the country produces.
In the United States, total government purchases of goods and services make up about 18 to 20 percent of all the goods and services the country produces, depending on the specific year and the calculation method used.
The expenditure approach to calculating gross domestic product (GDP) takes into account the sum of all final goods and services purchased in an economy over a set period of time. That includes all consumer spending, government spending, business investment spending, and net exports. Quantitatively, the resulting GDP is the same as aggregate demand because they use the same formula.
The Formula for Expenditure GDP
GDP=C+I+G+(X−M)
where:
C=Consumer spending on goods and services
I=Investor spending on business capital goods
G=Government spending on public goods and services
X=exports
M=imports
GDP is calculated as follows: Government consumption and investment plus net exports.
Almost two-thirds of GDP is made up of the consumption of goods and services, with the remaining portion split roughly equally between private investment and government spending. Household spending on services like dining out, leisure activities, and medical care fell significantly in 2020, which contributed significantly to the GDP fall. From 2019 to 2020, consumer spending decreased by more than $570 billion.
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You must consider the physical aspects of different work environments when choosing a career.
Responses
False
True
Answer: True.
Explanation: If you choose a career without knowing about the environment you’ll be in, or the impact it will have on your well-being, you’re setting yourself up for a miserable lifestyle. It’s common sense to find out more about the career you want to peruse.
_____ has become a major recipient of FDI and hit a record of $139 billion in 2018. Multiple choice question.
If a person's nominal income increases by 2% while the price level increases by 6%, the person's real income:
If a person's nominal income increases by 2% while the price level increases by 6%, the person's real income increases by 4% (6%- 2%= 4%).
What is real income?Real income is an economic metric that estimates a person's actual purchasing power on the open market after taking inflation into account.
It takes a dollar's worth of economic inflation out of a person's income, which often results in a lower value and less purchasing power.
Real income is the amount of money an organization or person earns after taking inflation into account. When referring to an individual's earnings after accounting for inflation, it is sometimes referred to as real wage.
Earnings that are not adjusted for future changes in inflation rates are referred to as nominal income.
Real GDP serves as a proxy for the actual revenue generated by an economy's output of goods and services. When analyzing production-related phenomena like productivity increase, this metric should be used.
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with regards to demand characteristics, which type of product, functional or innovative, has the higher inventory levels?
Innovative products have larger inventory levels than utilitarian ones when it comes to demand characteristics.
What distinguishes inventive products from those that serve purely functional purposes?In contrast to the demand for innovative products, which is very unpredictable due to their short life cycles, high levels of innovation, and high levels of fashion, the market for functional goods is stable because they have extended product life cycles.
How can something that starts out as merely beneficial end up being novel?Innovative products are brand-new ones that have a distinctive offering. These products can have substantial profit margins because to the irregular demand patterns and the requirement for a supply chain that is very dissimilar from those of fundamental goods.
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If an agency's qualifying new business premium is ____ than the set minimum in a given month or quarter in the prior year, that agent's baseline will be increased to the minimum baseline that month or quarter.
Answer:
lower
Explanation:
If the premium set is below the minimum threshold then agent baseline will be increased. This is because the commission of an agent is based on the percentage of the premium. If the premium amount is lower then the commission will also be lower resulting in the agent baseline to decrease.
Delectable, Inc.'s unadjusted trial balance includes Accounts Receivable of $10,000; Allowance for Doubtful Accounts of $50 credit balance; and Sales Revenue of $100,000 (all on credit). Management estimates that 2% of credit sales will be uncollectible. Delectable's financial statements will show ______. (Check all that apply.)
Delectable's financial statements will show Allowance for Doubtful Accounts of $1,000 on balance sheet and Bad debts expense of $950 on Income statement
Here, we are to determine the records of bad debts expenses on Income statement and Allowance for doubtful accounts on Balance sheet.
Bad debts expense = Estimated bad debts - credit balance in allowance account
Bad debts expense = $1,000 - $50
Bad debts expense = $950
Journal Entry
General journal Debit Credit
Bad debts expense $950
Allowance for Doubtful accounts $950
(Bad debts expense recorded)
The allowance for doubtful account will be $1,000. ($950+$10) because the Allowance for Doubtful Accounts had $50 credit balance.
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difference betwee auditor and finance managys
Answer:
Image result for difference between auditor and finance manager
Auditor ensures that the businesses are saved from any fraud by highlighting any discrepancies undertaken in accounting methods whereas a Finance manager provide with accurate and detailed financial reports which are vital for the profitability of the business.
Explanation:
Open data is always distributed under a community data license agreement.
a. true
b. false
Open data is always distributed under a community data license agreement. The given statement is true.
Open data is information that is freely exploitable, shareable, modifiable, and available by anybody for any reason, including a profit. An open license governs the licensing of open data.
Open data is information that is available to everyone for unrestricted use, repurposing, and distribution with only the minimal requirements of attribution and sharealike. There are many different types of open data, including datasets, survey findings, and metadata. Data must be available in a format that allows for the replication and validation of study results.
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Write down two or three ways you compare yourself to others.
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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The computer accessories that Javier is making and
selling are bringing in a substantial amount of money
for him. Inspired by this success, he decides to hire two
people and expand his business.
A.international competition
B.consumer sovereignty
C.wealth creation
D.property rights
E.profit motive
Answer:
E. Profit motive
Explanation:
Profit motive can be defined as the intention, motivation or desire to form a business or engage in business ventures so as to generate financial (monetary) gains.
This ultimately implies that, profit motive is a desire for monetary gains (profits) which motivates a business owner to engage in the sales of finished goods or services.
Hence, profit motive is the premise on which all businesses are built on because the ultimate goal of every business is to achieve financial gains.
In this scenario, the computer accessories that Javier is making and selling are bringing in a substantial amount of money for him. Inspired by this success, he decides to hire two people and expand his business.
Thus, this is an example of profit motive.
Which of the following is NOT an example of a metric
?
Answer:
can you tell me what the choices are and I'll answer in the comments
Explanation:
floor gang aooh sub to pewdiepie
Which of the following is an example of a soft skill?
A. Ability to use CSS spreadsheets
B. Ability to manage spreadsheets
C. Ability to work well with a project team
D. Ability to manipulate images using computer software
Answer:
Ability to work well with a project team
Explanation:
Which of the following political actions is likely to favor international marketing?
A. Placing trade embargo on Cuba owing to widespread political instability in the country.
B. U.S. government placing a trade ban on Libya for rampant terrorism.
C. Paraguay imposing low tariffs and tax rates for manufacturing industries.
D. Tariff hike for imports established by China.
E. U.S. government coupling human rights issues with foreign trade policy.
The political action that is likely to favor international marketing is the imposition of low tariffs and tax rates for manufacturing industries. Option C is correct. Paraguay imposing low tariffs and tax rates for manufacturing industries.
International marketing refers to the marketing of products and services beyond national borders, from one country to another. It refers to the marketing activities carried out across the globe by businesses. International marketing involves the export and import of products and services, licensing, franchising, and foreign direct investment.
A tariff is a tax imposed on goods that are traded internationally. It is an important aspect of foreign trade. Tariffs are collected by the government and can be levied on exports as well as imports. Tariffs are usually used to regulate trade between countries.
The main goal of tariffs is to protect domestic industries and companies from foreign competition. The impact of tariffs on international trade depends on the amount and nature of goods being traded, the size of the economy, and the level of trade restrictions imposed by the countries involved.
So, from the given options, the political action that is likely to favor international marketing is Paraguay imposing low tariffs and tax rates for manufacturing industries.
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historically, long-term returns of the stock market have been positive. True or False
Historically, long-term returns of the stock market have been positive. This statement is false.
The phrase "stock market" describes a number of marketplaces where shares of publicly traded firms can be purchased and sold. Such financial transactions take place on official exchanges and in over-the-counter (OTC) markets that adhere to a predetermined set of rules.
The terms "stock exchange" and "stock market" are frequently used interchangeably. On one or more of the stock exchanges that make up the broader stock market, traders purchase and sell shares of stock.
The New York Stock Exchange (NYSE) and the Nasdaq are two of the most significant U.S. stock exchanges.
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Suppose that Florida Bank has recently granted a loan of $2 million to Oyster Farms at LIBOR plus 0. 5 percent for six months. In return for granting Oyster Farms an interest-rate cap of 6. 5 percent on its loan, this bank has received from this customer a floor rate on the loan of 5 percent. Suppose that, as the loan is about to start, LIBOR declines to 4. 25 percent and remains there for the duration of the loan. How much (in dollars) will Oyster Farms have to pay in total interest on this six-month loan with floor and without floor?How much in interest rebates will Oyster Farms have to pay due to the fall in LIBOR?
Oyster Farms will have to pay a total interest of $95,000 on the six-month loan without the floor rate, and $100,000 with the floor rate. They will receive an interest rebate of $5,000 due to the fall in LIBOR.
Without the floor rate, Oyster Farms would have to pay interest at a rate of LIBOR plus 0.5 percent, which equals
4.25% + 0.5% = 4.75%.
With a loan amount of $2 million, the total interest payment without the floor rate would be
$2,000,000 * 4.75% = $95,000.
With the floor rate of 5 percent, Oyster Farms would have to pay interest at a rate of 5 percent, regardless of the decline in LIBOR to 4.25 percent. Again, with a loan amount of $2 million, the total interest payment with the floor rate would be
$2,000,000 * 5% = $100,000.
Since LIBOR declined, Oyster Farms will receive an interest rebate due to the fall in LIBOR. The difference between the interest payment without the floor and the interest payment with the floor is
$100,000 - $95,000 = $5,000.
Therefore, Oyster Farms will receive an interest rebate of $5,000.
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Broker Ron wants to open a separate escrow account for each transaction he is involved in. Is this legal?
No, only lawyers and trust companies can open escrow accounts.
No, each broker can only have one escrow account.
Yes, this is legal unless he has more than three escrow accounts open at once.
Yes, there is no legal limit on the number of escrow accounts a broker can have.
Yes, a broker is permitted to have an unlimited number of escrow accounts.
What are escrow transactions?
During the course of a transaction between two parties, a third party holds a temporary pass-through account known as an escrow account. In an escrow account, money is held by a third party until it is given to the intended recipient. With high asset values and dispute-prone industries like real estate, it offers protection against scams and fraud. Escrow-based payments are not new and have been around for a while. When two parties participate in a transaction but there is doubt about whether their obligations will be met, escrow is a financial procedure that is used. Escrow can be used in a variety of situations, including those involving banking, real estate, mergers and acquisitions, law, intellectual property, and online transactions.
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Question 4 of 4
What method of accessing a scaffold is unsafe and should never be used?
Using a ladder
Climbing a stair tower
Using a ramp
Climbing on cross braces
Mute
Forward
> CareerSafe
A method of accessing a scaffold that is unsafe and should never be used is Climbing on cross braces.
Climbing the structural braces of a scaffold has been ruled as unsafe and therefore it is highly forbidden. OSHA regulatory standards doess not permit this.
But it gives the permission to gain direct access through a different scaffold or a different structure.
Portable ladders, hook-on ladders, attachable ladders and ramps may also be used if non of these are available.
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b. Department S is the fourth, and final, stage of Service Corporation's production cycle. On March 1, beginning work in process contained 102,000 units, which were 80 percent complete as to conversion costs. During March, 680,000 units were transferred in from the third stage of the production cycle. On March 31, ending work in process contained 79,000 units, which were 35 percent complete as to conversion costs. Materials are added when the units are 50 percent complete with respect to conversion costs. Using the weighted-average method, what are the equivalent units of production for prior department costs, materials, and conversion costs for the month of March, respectively?
To calculate the equivalent units of production using the weighted-average method, we need to consider the units completed and transferred out, as well as the equivalent units in the ending work in process inventory.
1. Equivalent units for prior department costs:
The units in the beginning work in process inventory are 80% complete, and the units transferred in are considered 100% complete. Therefore, the equivalent units for prior department costs are calculated as follows:
Beginning work in process units: 102,000 units × 80% = 81,600 equivalent units
Transferred-in units: 680,000 units × 100% = 680,000 equivalent units
Total equivalent units for prior department costs: 81,600 + 680,000 = 761,600 equivalent units
2. Equivalent units for materials:
Materials are added when the units are 50% complete with respect to conversion costs. Therefore, the equivalent units for materials are the same as the total equivalent units for prior department costs, which is 761,600 equivalent units.
3. Equivalent units for conversion costs:
The ending work in process units are 35% complete. Therefore, the equivalent units for conversion costs in the ending work in process inventory are:
Ending work in process units: 79,000 units × 35% = 27,650 equivalent units
The total equivalent units for conversion costs are the sum of the equivalent units for prior department costs and the equivalent units in the ending work in process inventory:
Total equivalent units for conversion costs: 761,600 + 27,650 = 789,250 equivalent units
In summary, the equivalent units of production for the month of March are as follows:
- Prior department costs: 761,600 equivalent units
- Materials: 761,600 equivalent units
- Conversion costs: 789,250 equivalent units
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What is an Income Tax? for education
Answer:
If your employer pays more than $5,250 for educational benefits for you during the year, you must generally pay tax on the amount over $5,250. Your employer should include in your wages (Form W-2, box 1) the amount that you must include in income.
Explanation:
Answer:
Explanation:
An income tax is a tax imposed on individuals or entities that varies with respective income or profits. Income tax generally is computed as the product of a tax rate times taxable income. Taxation rates may vary by type or characteristics of the taxpayer. The tax rate may increase as taxable income increases
g turing facilities in Asia. Emerson needs to build a new manufacturing facility to produce automotive parts for cars manufactured in Detroit. Emerson executives are considering whether to build the new facility in China or in the United States. Which of the following, if true, undermines the argument to build a new Emerson facility in China? A. Fuel costs in China have risen sharply and are not expected to drop. B. China has committed over $500 billion to infrastructure projects. C. U.S. firms continue outsourcing service jobs despite the economy. D. China is the world's largest exporter of manufactured goods.
Answer: A. Fuel costs in China have risen sharply and are not expected to drop.
Explanation:
The main reason that companies would want to invest in another country and set up factories there for production, is usually because of the cost savings that it would enjoy doing so.
China offers a lot of cost savings to manufacturers such as with labor and material but if it is found that fuel costs have risen sharply and will not drop anytime soon, production in China will become more expensive and might dissuade companies like Emerson from setting up shop there.
a manager who is examining an action or policy based on the ethical norm of utility would likely ask which of the following questions? Is the action or policy consistent with what is considered fair or equitable?
a manager who is examining an action or policy based on the ethical norm of utility would likely ask which of the following questions: Is the action or policy consistent with what is considered fair or equitable
In many firms, the position may be created to release the owner of responsibilities so that they may concentrate on particular elements of business growth. The owner and business manager frequently collaborate to maintain the smooth operation of the company. Efficiency is improved by specialization in a certain area, such as sales, marketing, public relations, or finance, but business managers often acquire personal attributes that are beneficial in carrying out the task effectively.
Understanding each of their subordinate employees' jobs and knowing how to collaborate with each employee to successfully complete those tasks are social skills of a company manager.
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Which industry is the second-largest employer of teens
and young people?
What percentage of employed teens are employed by
the government?
I got it
is retail trade
and 7%
Answer:
I. Retail industry
ii. 7%
Explanation:
Retail industry is the second largest employers of teen and young people next to health sector which is the largest employer.
Retailing involves buying goods either from the producers or wholesaler and selling them to the final consumers. Some services are also offered in these retailing such as call center representative, those who work in innovation lab. etc
In the United States, about 7% of teens and young people are in the employment of government , while retail industry is the largest employer of teen and young people because it provides flexibility and also do not involve much academic qualifications.
Example of these retail jobs are those who work in call center, sales representatives and those who works in stores.
Answer:
Retail Trade
7%
Explanation:
Edge 2020