The party that the agent brings to the principal as a seller or buyer of the property is known as the prospective buyer or prospective seller.
The agent acts as a mediator between the principal and the prospective buyer or prospective seller. They present the interested party to the principal, who is either looking to sell or buy the property. The prospective buyer or seller is someone who has shown interest in the property and is considering making an offer or negotiating a deal.
The agent's role is to facilitate the communication and negotiation process between the principal and the prospective buyer or seller, ensuring that both parties' interests are represented. The agent helps in gathering information, scheduling appointments, and arranging meetings between the principal and the interested party.
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when mario found out his company was going to miss its quarterly projections, he immediately sold all of his stock. he told his friends, and they sold their stock too before the price went down. the stock subsequently crashed and lot of people lost a lot of money. this is an example of
It is an example of insider trading as Mario is using inside information for his and his friends benefit.
Insider trading is defined as the acquiring or selling of stock in a publicly listed company by an individual who knows non-public, substance knowledge about that stock. Material nonpublic information refers to any information that has not yet been made public that might have a significant impact on an individual's decision to buy or sell a security.
This type of insider trading is ethically wrong and holds serious punishments, including both fines and imprisonment.
In this case Mario is using, inside information that the company is going to miss out its quarterly projections and will lead to reduction in stock price therefore, he and his friends sell the stock which caused crash in prices and led to loss for many investors.
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The name Pepsi AM suggests to consumers that the beverage should be consumed ________.
only in the evening
only in the morning
any time of day
Customers could assume that Pepsi AM should only be sipped in the morning based on the name.
What class of consumer good would furniture fall under?
Shopping goods are ones that are purchased less frequently, are more expensive on average than convenience goods, and are durable. Furniture and televisions are two examples of retail items. Consumer goods with a niche market are uncommon and frequently seen as expensive purchases.
Which seven of the following influence customers' purchasing decisions*?Consumers take into account a variety of factors, including the product's attributes, the price charged, availability of the product at the desired location, and much more. The consumer's gender, age, occupation, lifestyle, and social and economic standing are all considered personal aspects.
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The Federal Reserve is worried about rising prices, so it has decided to decrease the money supply. The government wants to encourage economic growth, so it has decided to cut taxes. This situation shows that the Federal Reserve and the government can have _____ goals.
The Federal Reserve has chosen to reduce the amount of money in circulation because it is concerned about growing prices. The administration has chosen to reduce taxes in order to promote economic growth. This instance demonstrates how the objectives of the Federal Reserve and the state can diverge.
What is Economic growth?The rise or improvement in the market value of the commodities and services generated by an economy within a fiscal year is referred to as economic growth. Statisticians typically gauge this growth as a percentage rate of growth in the real GDP, or gross domestic product.
To remove the distorting influence of inflation on the prices of produced items, growth is typically calculated in real terms, i.e., terms adjusted for inflation. National income accounting is used to calculate economic growth. The benefits and downsides of that approach are present since economic growth is calculated as the annual percent change of GDP. Utilizing the GDP to population ratio, it is common practice to compare the economic growth rates of various nations.
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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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Eight years ago you purchased an asset for $100,000 that has yielded a nominal capital gain of $30,000. If you sold the asset today, your inflation-adjusted capital gains would be zero due to inflation over the last eight years. The capital gains tax is 28 percent. If you sold the asset today your tax liability would be
Answer: $8,400
Explanation:
Tax liability for a year is computed on the nominal capital gain as of that year not the inflation-adjusted gain. As such, should the asset be sold today, the capital gains tax of 28% will be computed on the capital gain of $30,000 in the following manner;
= 28% * 30,000
= $8,400
Which word best describes the nature of projects, given that they have starting points and (hopefully) ending points?
A. difficult
B. temporary
C. long-term
D. simplistic
The word that best describes the nature of projects, given their starting points and (hopefully) ending points, is "temporary."
Projects, by their nature, have defined starting points and ending points. They are undertaken to achieve specific objectives or deliverables within a specified timeframe. The word "temporary" accurately captures this characteristic of projects. Projects are not ongoing or permanent endeavors like routine tasks or operations. They are distinct initiatives with a clear beginning and end. Once the project objectives are achieved, the project is considered complete, and the team disbands or moves on to other projects. The temporary nature of projects is essential because it helps provide structure, focus, and accountability.
Project teams work towards specific goals within a predetermined timeline and allocated resources. This temporary nature also allows for evaluation and reflection upon project outcomes, enabling organizations to learn and improve from each project experience. In contrast, the other options provided do not fully capture the nature of projects. While projects can certainly be difficult and may require significant effort, complexity, or challenges, the primary defining characteristic is their temporary nature. Lastly, the term "simplistic" does not accurately represent the complexity and scope typically associated with projects.
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The Alpine House, Incorporated, is a large retailer of snow skis. The company assembled the information shown below for the quarter ended March 31: Amount Sales $ 1,107,000 Selling price per pair of skis $ 410 Variable selling expense per pair of skis $ 48 Variable administrative expense per pair of skis $ 17 Total fixed selling expense $ 160,000 Total fixed administrative expense $ 110,000 Beginning merchandise inventory $ 60,000 Ending merchandise inventory $ 105,000 Merchandise purchases $ 285,000 Required: 1. Prepare a traditional income statement for the quarter ended March 31. 2. Prepare a contribution format income statement for the quarter ended March 31. 3. What was the contribution margin per unit
Contribution Format Income Statement for the quarter ended March 31: The contribution margin format income statement shows the contribution margin and then fixed expenses are deducted from the contribution margin to calculate the net operating income.
Contribution per unit = selling price per unit – variable cost per unit
Selling price per unit = $410
Variable selling expense per unit = $48
Variable administrative expense per unit = $17
Contribution per unit = $410 – ($48 + $17) = $345
Contribution Margin = Sales revenue x Contribution margin ratio
Sales revenue = $1,107,000
Contribution margin ratio = 345 ÷ 410 = 0.8414
Contribution margin = $1,107,000 x 0.8414 = $931,124
Fixed expenses:
Selling expenses = $160,000
Administrative expenses = $110,000
Net Operating Income = Contribution Margin – Fixed Expenses
Net Operating Income = $931,124 – ($160,000 + $110,000) = $661,1243. Contribution Margin per unit is given by the formula,
Contribution Margin per unit = Selling price per unit - Variable cost per unit
Given, Selling price per pair of skis is $410.
Variable selling expense per pair of skis is $48.
Variable administrative expense per pair of skis is $17.
Variable cost per unit = $48 + $17 = $65
Contribution Margin per unit = $410 - $65 = $345
Therefore, the Contribution Margin per unit for Alpine House, Incorporated is $345.
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Agency authority directly communicated by the principal to the agent is called
O Express authority
O Implied authority
O Power of attorney
O Apparent authority
Answer:
O Express authority
Explanation:
In express authority, the principal communicates directly to the agent. The principal instructs the agent, either in writing or orally, to act on their behalf. In express authority, the directives given are for the agent to represent the principle on a specific matter. The scope of authority entrusted is clearly defined and understood by both parties.
if an earthquake strikes, destroying a large number of factories, the long-run aggregate supply curve will move:
If an earthquake strikes, destroying a large number of factories, the long-run aggregate supply curve will move rightward.
When the aggregate supply curve shifts to the correct, then at each price index, a larger amount of real value is made. Value push inflation happens once provides of necessary commodities are unit briefly provided.
According to theory, a provide shock creates a cloth shift within the mixture provide curve and forces costs to scramble towards a replacement. The supply curve shifts to the correct as productivity will increase or the worth of key inputs falls, creating a mix of lower inflation, higher output, and lower state attainable.
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what organizations provide for and protect the U.S. citizens.
Answer: Freedom to practice their religion or not practice one, and freedom of speech.
Explanation: Politics.
Answer:
Explanation:
Unión Estadounidense de Libertades Civiles: Es la organización más grande de derechos civiles en el país y de hecho actualmente se encuentra demandando al presidente Donald Trump.
Catholic Charities of the Rios Grande Valley: Brinda a los refugiados ropa y alimentos. Además acepta donaciones por internet.
The American Immigration Lawyers Association: Esta organización toma voluntarios para que representen a las familias con su evaluación de asilo, audiencias de fianzas, y otros asuntos relacionados.
American Immigrant Representation Projec: Destinada a la representación legal de inmigrantes.
Which of the following is true about
your "gross" pay?
A. It is the money you make before taxes.
B. It is the money you take home after taxes are taken
out..
C. It is the amount of money you pay in social security
tax.
D. It is the amount of money you pay in federal tax.
the effectiveness of monetary policy is in part due to selected answer will be automatically saved. for keyboard navigation, press up/down arrow keys to select an answer. a the lack of political influence. b the long implementation lag. c the zero limit on interest rates. d the short effectiveness lag. e all of the above.
The effectiveness of monetary policy is attributed to various factors, including the lack of political influence, the long implementation lag, the zero limit on interest rates, and the short effectiveness lag.
One of the main reasons why monetary policy is effective is due to the lack of political influence. Central banks are typically independent of political influence, which allows them to make decisions based on economic data and analysis rather than political pressure. This independence ensures that monetary policy decisions are made in the best interest of the economy as a whole. Another factor that contributes to the effectiveness of monetary policy is the long implementation lag. It can take several months or even years for monetary policy decisions to have their full impact on the economy. However, once the effects do kick in, they tend to be significant and long-lasting.
In summary, all of these factors contribute to the effectiveness of monetary policy in stimulating economic growth and stability.
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Which of the following is a risk banks should prepare for?
A.
Falling interest rates
B.
Borrowers who don't pay back loans
C.
Too many people requesting loans
D.
People switching to online transactions
Borrowers who don't pay back loans.
Which selling approach is considered direct and focuses mainly on convincing the buyers that the item is needed?
A. upselling
B. consultative selling
C. relationship selling
D. personal selling
E. traditional selling
Answer:
Which selling approach is considered direct and focuses mainly on convincing the buyers that the item is needed?
A. upselling
B. consultative selling
C. relationship selling
D. personal selling
E. traditional selling
answer is B
The selling approach that is recognized direct and lays emphasis primarily on persuading the buyers about the need of the item would be:
D). Personal selling.
'Personal selling' is described as the selling approach in which the seller hires salesmen to get their products sold directly to the customers. In this technique, the salesman personally interacts with the consumers and uses his/her communication or other skills to convince them about the quality and the worth of the product. They often practically show the effects of the product to the consumers so that they are persuaded to buy it and they can make a maximum sale.Thus, option D is the correct answer.
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A consulting company won a $20.8 million three-year contract. The contract requires software development, hosting, and maintenance over three years. The total estimated cost of the project is $17 million, with $10 million expected in Year 1, $5 million in Year 2, and $2 million in Year 3. The billing schedule shows that $5 million will be billed upon start of the work, and then $5 million at each year end. At the end of the first year, the actual cost incurred is $9 million, and total estimated costs are unchanged at $17 million. Using the percentage-of-completion method, how much revenue should be recognized at the end of the first year
Answer:17%
Explanation: I just want points
i have a brainlest for anybody if the can tell me who won the wwe champoinship in 1996
Three business people who wish to invest in a new company. Each person is willing to pay one third of the total investment. . After careful calculation, they realize that each of them would pay $ 7600 less if they could find two more equal investors. How much is the total investment in the new business.
A) $ 64,000
B) $ 54,000
C) $ 21,000
D) $ 5,400
E)e) $57,000
1
1
Design a two-stage cascade system, analyzed your design, and then minimize the refrigeration power requirements. (1) The design problem is open-ended problem. The objective is to carry out a preliminary thermal design & analysis as indicated. A detailed schematic diagram is expected. These problems have no specific answers, so each student's design and analysis are unique. (2) You can do any necessary assumptions, explanation of what you are doing are important but be brief. (3) Engineering lettering is a must.
The design a two-stage cascade system and provide a preliminary thermal analysis. Please note that since this is an open-ended problem, there can be multiple valid design approaches. Here's a step-by-step guide to designing the system:
Step 1: Assumptions
Before proceeding with the design, let's establish some assumptions:
The cascade system will use two separate refrigerants for the high-stage and low-stage cycles.The refrigerants will be selected based on their temperature ranges and specific properties to optimize performance.The system will operate at steady-state conditions.The design will focus on minimizing refrigeration power requirements.Step 2: Preliminary Analysis
Perform a preliminary analysis to determine the temperature ranges required for the cascade system. Consider the desired cooling load and the temperatures at which cooling is needed. This will help determine the temperature difference between the high-stage and low-stage cycles.Step 3: Refrigerant Selection
Select suitable refrigerants for the high-stage and low-stage cycles. Consider refrigerants with compatible temperature ranges and favorable properties, such as low boiling points, high heat transfer coefficients, and environmental considerations.
Step 4: System Schematic
Design a schematic diagram to illustrate the two-stage cascade system. Use engineering lettering for labeling the components. The following components are typically included.
Step 5: Thermodynamic Analysis
Conduct a thermodynamic analysis to determine the operating conditions of each component in the cascade system. Start by assuming an arbitrary set of operating conditions and iterate until convergence is achieved. Consider factors such as heat transfer rates, pressure drops, and energy balances.
Step 6: Optimization
To minimize refrigeration power requirements, you can consider the following optimization strategies:Optimize heat exchanger designs for improved heat transfer.Adjust the operating conditions and pressures to maximize system efficiency.Evaluate alternative refrigerants with higher performance characteristics.Incorporate energy-saving features such as variable-speed compressors or economizers.Step 7: Final Analysis
Perform a final analysis of the optimized cascade system to ensure it meets the cooling requirements while minimizing refrigeration power requirements. Calculate key performance metrics such as coefficient of performance (COP) or energy efficiency ratio (EER) to validate the system's performance.
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Read the sentence.
The endangered Borneo pygmy elephant lives contentedly in Malaysia.
Which word in the sentence is an example of an adverb?
endangered
elephant
lives
contentedly
Answer:
Lives
Explanation:
Answer:
Lives
Explanation:
what is a business?
A business is defined as an organization or enterprising entity engaged in commercial, industrial, or professional activities. The term "business" also refers to the organized efforts and activities of individuals to produce and sell goods and services for profit.
The 12-year, $1,000 par value bonds of Waco Industries pay 9 percent interest annually. The market price of the bond is $1,075, and the market's required yield to maturity on a comparable-risk bond is 7 percent.
a. Compute the bond's yield to maturity.
b. Determine the value of the bond to you given the market's required yield to maturity on a comparable-risk bond.
c. Should you purchase the bond?
a. The yield to maturity (YTM) of the Waco Industries bond is approximately 8.07%. b. the value of the bond, given the market's required yield to maturity, is approximately $1,285.69. c. The decision to purchase the bond should be based on a thorough evaluation of your investment objectives and the specific characteristics of the bond.
To compute the bond's yield to maturity (YTM), we can use the following formula:
YTM = (Annual interest payment + ((Face value - Market price) / Number of years)) / ((Face value + Market price) / 2)
Given that the Waco Industries bond has a 12-year maturity, a $1,000 par value, pays 9% interest annually, and has a market price of $1,075, we can substitute these values into the formula:
YTM = (0.09 * $1,000 + (($1,000 - $1,075) / 12)) / (($1,000 + $1,075) / 2)
Simplifying the equation, we get:
YTM = ($90 + (-$75 / 12)) / (($1,000 + $1,075) / 2)
YTM = ($90 - $6.25) / ($2,075 / 2)
YTM = $83.75 / $1,037.50
YTM ≈ 0.0807 or 8.07%
Therefore, the yield to maturity (YTM) of the Waco Industries bond is approximately 8.07%.
b. To determine the value of the bond given the market's required yield to maturity, we can use the present value formula:
Bond Value = (Annual interest payment / Yield to maturity) * (1 - (1 / (1 + Yield to maturity)^Number of years)) + (Face value / (1 + Yield to maturity)^Number of years)
In this case, the bond pays an annual interest of 9% on a $1,000 par value, and the market's required yield to maturity is 7%. The bond has a 12-year maturity.
Substituting these values into the formula, we get:
Bond Value = (0.09 * $1,000 / 0.07) * (1 - (1 / (1 + 0.07)^12)) + ($1,000 / (1 + 0.07)^12)
Simplifying the equation, we have:
Bond Value = $1,285.69
Therefore, the value of the bond, given the market's required yield to maturity, is approximately $1,285.69.
c. To determine whether you should purchase the bond, we compare the market price of the bond with its calculated value.
The market price of the bond is given as $1,075, while the calculated value of the bond is $1,285.69.
If the market price is lower than the calculated value, it suggests that the bond is undervalued and potentially a good investment. In this case, the market price is indeed lower than the calculated value, indicating that the bond may be worth purchasing.
However, it's important to consider other factors such as your investment goals, risk tolerance, and market conditions before making a decision. Additionally, conducting further analysis and comparing the bond with other investment opportunities can provide a more comprehensive assessment.
Ultimately, the decision to purchase the bond should be based on a thorough evaluation of your investment objectives and the specific characteristics of the bond.
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Which sentences identity the investing activities of a cash slow statement?
Tyler Enterprises has achieved remarkable growth in the past five years. Qualified accountants have prepared and analyzed the cash flow statement to
offer financial advice to help safeguard the future of the business. It includes details of the amount of cash flowing into and out of the business. The
statement begins with the amount of revenue that the sales team has brought in. It also involves the corresponding marketing campaign costs incurred
in the promotional exhibition. The profit was declared to the shareholders in the form of dividends. The production team undertook projects that involved
installation of automatic botting machines. New dishwashers were installed in the cafeteria as part of an efficiency improvement project. The stakes of
an old division of packing material were sold off in order to concentrate solely on present business. Old investors were issued stocks when their
convertible bonds attained maturity. Some of the old machineries in the production line were sold off as scrap while rest was revamped
The sentences that identify the investing activities of a cash slow statement are - The production team undertook projects that involved installation of automatic botting machines. New dishwashers were installed in the cafeteria as part of an efficiency improvement project. The stakes of an old division of packing material were sold off in order to concentrate solely on present business. Some of the old machineries in the production line were sold off as scrap.
What are investing activities?Investing activities include the acquisition of physical assets, the purchase of securities, and the sale of securities or assets. Cash flow from investing activities includes long-term cash uses.
Negative cash flow from investing activities may not be a bad sign if management is investing in the company's long-term health.
Therefore, the sentences mentioned above identity the investing activities of a cash slow statement.
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Answer:
"The production team undertook projects that involved installation of automatic bottling machines. New dishwashers were installed in the cafeteria as part of an efficiency improvement project" and "Some of the old machines in the production were4 sold off as scrap while rest was revamped."
Explanation:
I got it right on plato
Using the marine corps planning process (mcpp) to produce an operations order (opord) is an example of which level of risk management?
Answer:
Deliberate level of risk management
Explanation:
Risk management can be defined as a process whereby situations or circumstances that can pose or cause risks to a firm or management operations is properly identified.
Risk management also involves taking appropriate measures to prevent such risks from occurring or taking place.
Risk management also involves controlling or mitigating against any for of risks that may occur in the future.
Risk management includes the following steps:
a) Identify the risks
b) Assess the risks
c) Make decisions
d) Place appropriate controls in place
e) Carry out adequate supervision.
Operational Risk Management has 3 levels and they are:
1) Deliberate Risk Management.
2) Time Critical Risk Management.
3) Strategic Risk Management.
In the question above, using the marine corps planning process (mcpp) to produce an operations order (opord) is an example of Deliberate level of risk management.
Deliberate level of risk management can be defined as the risk management level that is carried out or well executed amongst a group of personnels.
It is the level of risk management that is carried out when we are trying to execute or carry out a particular project.
write a journal post with three things you might be able to do to go to college (or any other option you are considering after high school) without student loan debt?
Answer:
You can apply for scholarships, work in high school, and receive grants.
Explanation:
You can possibly graduate college without debt or little money owed back to a bank.
The first option is a scholarship, this money is usually only offered from a range of $500-fully paid tuition. You may have to apply to hundreds before you are granted some but they are offered from freshmen in high school all the way to almost graduating college.
Your second option is working, sophomore year is when you'd be able to get a job the earliest. Every paycheck you save about 20%, work all the way through college and you can save enough to pay for your first year, possibly second year of college. You could also work while you're a full-time student, it'd be hard work but it can be done.
Your third option, but not last is to apply for grants. This is basically free money, they differ from scholarships though. You do not have to pay grants back, and you can get sponsored by companies to pay your way through college.
wildhorse co. retires its delivery equipment, which cost $52,420. accumulated depreciation is also $52,420 on this delivery equipment. no salvage value is received.
If the delivery equipment had a salvage value, the entry would include a credit to Cash or Accounts Receivable for the salvage value received.
When Wildhorse Co. retires its delivery equipment, which has a cost of $52,420 and accumulated depreciation of $52,420, and no salvage value is received, the following accounting entries should be made:
Debit Accumulated Depreciation - Delivery Equipment: $52,420
Credit Delivery Equipment: $52,420
This entry removes the accumulated depreciation associated with the delivery equipment.
Debit Loss on Disposal of Delivery Equipment: $52,420
Credit Delivery Equipment: $52,420
Since no salvage value is received, there is a loss on the disposal of the equipment. This entry recognizes the loss by debiting the Loss on Disposal of Delivery Equipment account and reducing the value of the Delivery Equipment account.
It's important to note that the specific account titles used may vary based on the company's chart of accounts or specific naming conventions. The entries above reflect the general approach for retiring an asset with no salvage value.
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An example of a cost is _____.
revenues
principal and interest on loans
tornadoes
profits
A tool that has been __________defective will creates headache and irritation. *
2 points
A. Frequently
B. Once a year
C. Once a month
D. Seldom
Answer:
frequently
Explanation:
I think its frequently
Why should you avoid leaving your idle
cash sitting in a bank?
A. You will not be able to access it quickly.
B. Your money will not be growing as rapidly as if you used
another option.
C. You will be required to pay a high interest rate.
how you can deal with competition in a business
I would defintley say try to make offers better than the competion even if you lose some money but ya gotta know that it will be worth it because people will recognize your store more than the other because you have daily offers (if you do em)
an employee can be dismissed if their job surplus to requirements' outline why this state ment is false