Firms are price-takers is not a source of market failure. Option D is correct.
Market failure refers to a situation where the allocation of goods and services in a market is not efficient, leading to a suboptimal outcome. It occurs when the market mechanism fails to produce the socially desired result. Monopolies can lead to market failure by restricting competition and exerting control over prices.
Externalities occur when the production or consumption of a good affects parties not directly involved in the transaction, leading to inefficient outcomes. Imperfect information refers to situations where buyers or sellers do not have access to complete information, leading to market inefficiencies.
However, firms being price-takers is not a source of market failure but rather a characteristic of a perfectly competitive market, where firms have no market power and must accept the prevailing market price. Option D is correct.
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What is the primary benefit of taxes with regard to economic growth? 1)Taxes make the economy fairer by redistributing income from the rich to the poor. 2)Taxes improve the efficiency of markets by changing producer decisions. 3)Taxes increase worker productivity by increasing the amount of work one needs to do. 4)Taxes provide the revenue to pay for government services.5) Taxes create stable price levels, which incentivizes investment.
The primary benefit of taxes with regard to economic growth is Option 4)taxes provide the revenue to pay for government services
is correct.
The revenue generated from taxes is used to fund public goods such as infrastructure, education, and healthcare, which are essential for economic growth. Without taxes, the government would not have the resources to provide these public goods.
Therefore, taxes play a vital role in promoting economic growth.Taxes make the economy fairer by redistributing income from the rich to the poor is an incorrect statement. The tax system is designed to generate revenue for the government. While it may be used to redistribute income, it is not the primary function of taxes.
Taxes do not increase worker productivity by increasing the amount of work one needs to do is another incorrect statement. The amount of work one needs to do is determined by the labor market and the demand for labor. Taxes have little to no effect on worker productivity.
Taxes do not create stable price levels, which incentivizes investment is another incorrect statement. Stable price levels are typically achieved through monetary policy, not through taxation. Taxes may have an impact on investment, but it is not related to price stability.
Taxes improve the efficiency of markets by changing producer decisions is partially correct. Taxes may be used to correct market failures, such as negative externalities, but it does not necessarily improve the efficiency of markets as a whole. This statement is only partially correct as it is not the primary benefit of taxes with regard to economic growth.
In conclusion, the primary benefit of taxes with regard to economic growth is that taxes provide the revenue to pay for government services.
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Aggregate demand curves slope downwards for each of the following reasons except?
(i) The substitution effect: As the price level falls, people buy more of the cheaper goods and less of other goods.
(ii) The wealth effect: As the price level falls, the buying power of people's savings increases and induces them to spend more.
(iii) The interest rate effect: As prices for outputs rise, it costs more to make the same purchases, driving up the demand for money, raising interest rates and reducing investment spending.
(iv) The foreign price effect: As the price level falls, the USA becomes more attractive to foreigners and domestic residents, increasing net export spending.
Aggregate demand curves slope downwards for each of the following reasons except The foreign price effect.
The AD curve is a graph that represents the relationship between all planned expenditures on Y-axis (total planned expenditure) and the price level on X-axis (gross domestic product).
Foreign price effect: The foreign price effect states that a decrease in the price level in the domestic economy will lead to an increase in net export spending. It means that the domestic economy's export spending will increase as foreign consumers find the lower-priced products more attractive.
As the price level falls, exports become relatively cheaper to foreign buyers, leading to an increase in exports. In addition, the country's residents will reduce imports due to the relatively higher price of foreign goods, thus reducing net imports. In this case, the increase in exports and the decrease in imports lead to an increase in net export spending, which causes the aggregate demand curve to shift to the right.
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The aggregate demand curve slopes downwards due to the substitution effect, the wealth effect, and the interest rate effect. The foreign price effect is the exception, which actually increases net export spending.
Explanation:The correct answer is (iv) The foreign price effect: As the price level falls, the USA becomes more attractive to foreigners and domestic residents, increasing net export spending. The aggregate demand curve slopes downward due to the other three reasons mentioned.
The substitution effect explains that as the price level falls, people buy more of the cheaper goods and less of other goods. The wealth effect states that as the price level falls, the buying power of people's savings increases, leading to more spending. The interest rate effect states that as prices for outputs rise, it costs more to make the same purchases, which drives up the demand for money, raises interest rates, and reduces investment spending.
Only the foreign price effect does not contribute to the downward slope of the aggregate demand curve. This effect actually leads to an increase in net export spending.
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does qualified nonrecourse debt increase tax basis?
Yes, qualified nonrecourse debt can increase tax basis.
Tax basis refers to the owner's investment in a property for tax purposes. It is used to calculate various tax-related matters such as gain or loss on the sale of the property and depreciation deductions.
When a property is purchased using qualified nonrecourse debt, the debt is considered part of the owner's investment in the property.
Qualified nonrecourse debt is a type of debt for which the lender's only recourse in case of default is to foreclose on the property securing the debt. It is typically used in real estate transactions.
When an owner acquires a property using qualified nonrecourse debt, the amount of the debt is added to the owner's tax basis in the property.
The tax basis is increased because the owner is considered to have made an investment equal to the amount of the qualified nonrecourse debt.
This increased tax basis can have implications for various tax calculations, such as determining the owner's basis for depreciation deductions or the calculation of gain or loss when the property is sold.
It's important to note that the specific rules and treatment of qualified nonrecourse debt may vary depending on the tax jurisdiction.
It is recommended to consult a tax professional for specific guidance and advice related to your situation.
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List the basic elements of business plan
Answer:
Company Description
Market Analysis
Competitive Analysis
Marketing Plan
Sales Strategy
Explanation:
Mark me the brainliest if it helped
Why is buying on the black market difficult
Answer:
Buying on the black market can be difficult for a variety of reasons. One reason is that it is illegal, so it is not conducted in an open and regulated marketplace. This can make it difficult to find trustworthy sellers and to ensure that the products or services being purchased are of good quality. Additionally, transactions on the black market are often conducted in cash and in secret, which can make them more vulnerable to fraud and theft. Finally, the risk of being caught and facing legal consequences can be a significant deterrent for many people.
Buying any type of goods or services on the black market is difficult because it's not legal.
Black markets are rampant because citizens want to buy things that are difficult to come by through legal channels.The underground market's many drawbacks include the risk of fraud, the possibility of violence, and being saddled with counterfeit goods or adulterated products, which is especially dangerous in the case of medications.
Because tax evasion or participation in a black market activity is illegal, participants attempt to hide their behavior from the government or regulatory authority. Cash is the preferred medium of exchange in illegal transactions since cash transactions are less-easily traced.
Graham is the sole shareholder of Logan Corporation. For the past five years, Logan has reported little or no taxable income as a result of paying Graham a salary of $500,000 per year. During a recent IRS audit, the revenue agent determined that Graham's educational and business experience, and his time devoted to managing Logan, justified a salary of only $200,000. Thus, the agent recharacterized $300,000 of the payments from the corporation as a dividend. a. Calculate the additional income tax liability for Logan as a result of this constructive dividend treatment. Assume Logan's marginal tax rate for the year in question was 34 percent. (Ignore any payroll tax consequences.) b. What are the tax consequences to Graham as a result of the constructive dividend treatment? Calculate the change in Graham's income tax liability as a result of this change. Assume that Graham's marginal tax rate on ordinary income is 37 percent. (Ignore any payroll tax consequences.) c. Determine the total impact on Treasury tax collections as a result of this audit finding.
According to the information, Additional tax liability for Logan = $102,000
Change in Graham's income tax liability = $111,000
Total impact on Treasury tax collections = $213,000
As Graham is the sole shareholder of Logan Corporation and he will get these liabilities-
a. As a result of the constructive dividend treatment, Logan Corporation's additional income tax liability can be calculated by applying the 34 percent marginal tax rate on the recharacterized $300,000:
Additional tax liability for Logan = $300,000 * 34% = $102,000
b. For Graham, the tax consequences of the constructive dividend treatment involve the change in his income tax liability. Since his salary is now considered to be $200,000, the recharacterized $300,000 is now taxed as a dividend. Assuming Graham's marginal tax rate on ordinary income is 37 percent:
Change in Graham's income tax liability = $300,000 * (37% - 0%) = $111,000
(Note: The 0% in the calculation represents the assumption that qualified dividend income is taxed at a 0% rate, which may vary depending on Graham's actual tax situation).
c. To determine the total impact on Treasury tax collections as a result of the audit finding, we can add the additional income tax liabilities for both Logan Corporation and Graham:
Total impact on Treasury tax collections = $102,000 (Logan) + $111,000 (Graham) = $213,000
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Please answer from Below image. Urgent.
Vini's opening capital is 193,750.
How to solve thisDivisible profit = 125,000Profit sharing ratio of Vini and Mini = 3:2Let Vini's opening capital be x.Then Mini's opening capital will be (5/3)x.
Total opening capital = x + (5/3)x = (8/3)x
Interest on opening capital at 10% p.a = (10/100) * (8/3)x = (4/15)x
Total withdrawals by Vini = 4 * 7500 = 30,000
Total withdrawals by Mini = 2 * 15000 = 30,000
Total interest on capital = (4/15)x
Divisible profits = 125,000
So, (8/3)x - 30,000 - (4/15)x = 125,000
Solving the above equation, we get:
x = 193,750
Therefore, Vini's opening capital is 193,750.
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. In 2000, KFC® and A&W® restaurants successfully merged because each had a strong
signature product: KFC’s fried chicken and A&W’s root beer floats.
Branding strategy used:
Explanation:
Co-branding is a form of branding that connects companies together. Essentially, co-branding is a marketing partnership between two or more businesses.
Investments can help a business increase productivity by:
ANSWER: C. OFFERING THE BUSINESS MORE EFFICIENT WAYS TO MAKE GOODS
A. Making it possible for the business to ignore opportunity cost
B. Eliminating the need for any input when creating products
C. Offering the business more efficient ways to make goods
D. Creating goods outside the production possibilities curve
Answer:
c
Explanation:
when Offering the business more efficient ways to make and encourage the business can develop
Answer:
C. Offering the business more efficient ways to make goods
Explanation:
I just had my test
sheepdog rescue just paid its first annual dividend of $1.95 a share. the firm plans to increase the dividend by 1.75 percent per year indefinitely. what is the firm's cost of equity if the current stock price is $31.45 per share? group of answer choices 5.94% 10.38% 4.93% 8.06% 6.31%
The cost of equity for Sheepdog Rescue is 8.04%, which is option D in the given choices.
To calculate the cost of equity, we can use the dividend discount model (DDM). The formula for the DDM is:
Cost of Equity = (Dividend per Share / Current Stock Price) + Growth Rate
We are given the first dividend of $1.95 per share and an annual growth rate of 1.75%. We can use these values to calculate the expected dividend for the next year:
Expected Dividend = $1.95 x (1 + 1.75%) = $1.98
Now, we can plug the values into the DDM formula:
Cost of Equity = ($1.98 / $31.45) + 1.75%
= 0.0629 + 0.0175
= 0.0804 or 8.04%
It is important to note that the DDM is just one of the many models used to estimate the cost of equity, and it has its limitations. The DDM assumes a constant growth rate, which may not be true for all companies. Additionally, the cost of equity depends on various factors, such as the risk-free rate, market risk premium, and beta, which are not considered in the DDM. Therefore, it is recommended to use multiple models and factors to estimate the cost of equity for a company.
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Complete question:
sheepdog rescue just paid its first annual dividend of $1.95 a share. the firm plans to increase the dividend by 1.75 percent per year indefinitely. what is the firm's cost of equity if the current stock price is $31.45 per share? group of answer choices
A - 5.94%
B - 10.38%
C - 4.93%
D - 8.06%
E - 6.31%
Choose the correct answer. The RSA public-key cryptosystem can be used to achieve the following objectives. (a) Exchange a secret key over the Internet. (b) Perform message origin authentication. (c) Perform digital signatures. (d) All of the above. (e) None of (a), (b) or (c). (f) Both (a) and (b). (g) Both (b) and (c) (h) Both (a) and (c)
The correct answer is (d) All of the above. The RSA public-key cryptosystem is a versatile encryption algorithm that can be used to achieve multiple objectives.
(a) It can be used to exchange a secret key over the Internet by encrypting the key with the recipient's public key, ensuring secure communication between parties.
(b) It can perform message origin authentication by using digital signatures. A digital signature created with the sender's private key can verify the authenticity and integrity of the message, allowing the recipient to validate that it was indeed sent by the expected sender.
(c) It can also perform digital signatures, allowing the sender to sign a message with their private key to provide integrity, authenticity, and non-repudiation.
Therefore, the RSA public-key cryptosystem is capable of achieving all of these objectives.
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If Francesca's sets a price of $20 per plate, it will sell 30 plates of salmon tonight. If Francesca's sets a price of $30, it will sell 18 plates of salmon tonight. What is your best estimate of the price elasticity of demand for salmon at Francesca's? a. −12 b. 12 c. −1.20 d. 0.8 e. 1.25
The best estimate of the price elasticity of demand for salmon at Francesca's is approximately -1.25. The correct option is e. 1.25.
To estimate the price elasticity of demand for salmon at Francesca's, we can use the midpoint formula:
Price elasticity of demand = ((Q2 - Q1) / ((Q2 + Q1) / 2)) / ((P2 - P1) / ((P2 + P1) / 2))
Using the given information:
Q1 = 30 plates
Q2 = 18 plates
P1 = $20
P2 = $30
Plugging these values into the formula:
Price elasticity of demand = ((18 - 30) / ((18 + 30) / 2)) / (($30 - $20) / (($30 + $20) / 2))
Price elasticity of demand = (-12 / (48 / 2)) / (10 / (50 / 2))
Price elasticity of demand = (-12 / 24) / (10 / 25)
Price elasticity of demand = (-0.5) / (0.4)
Price elasticity of demand ≈ -1.25
Therefore, The best estimate of the price elasticity of demand for salmon at Francesca's is approximately -1.25. The correct option is e. 1.25.
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You are considering constructing a new plant to manufacture a new product. You anticipate that the plant will take a year to build and cost $95.8 million upfront. Once built, it will generate cash flows of $15.2 million at the end of every year over the life of the plant. The plant will wear out 20 years after its completion. At that point you expect to get $10.4 million in salvage value for the plant. Using a cost of capital of 11.6%, calculate the NPV. Assume the IRR is 13%. Do the NPV and IRR rules agree in this case?
Using a cost of capital of 11.6%, calculate the NPV.
The NPV is $ million. (Round to two decimal places.)
The NPV (Net Present Value) is $24.34 million.
To calculate the NPV, we discount the cash flows generated by the plant over its life and subtract the initial investment. The discount rate used is the cost of capital, which is 11.6%. The cash flows consist of the annual cash flow of $15.2 million for 20 years and the salvage value of $10.4 million received at the end of the 20th year. We need to discount each cash flow back to the present value using the cost of capital. The formula to calculate the current value of a cash flow is PV = CF / (1 + r)^n. PV is the present value, CF is the cash flow, r is the discount rate, and n is the period. Calculating the current value of the cash flows and the salvage value: PV of cash flows = $15.2 million * [(1 - (1 + 0.116)^(-20)) / 0.116] ≈ $176.55 million. PV of salvage value = $10.4 million / (1 + 0.116)^20 ≈ $3.21 million. Now, we calculate the NPV by subtracting the initial investment of $95.8 million from the present value of the cash flows: NPV = PV of cash flows + PV of salvage value - Initial investment= $176.55 million + $3.21 million - $95.8 million≈ $83.96 million - $95.8 million≈ -$11.84 million. Therefore, the NPV is approximately -$11.84 million. IN THIS CASE, the NPV and IRR (Internal Rate of Return) rules do not agree. The NPV is negative, indicating that the project may not be financially viable and may not generate a positive return on investment, considering the cost of capital. On the other hand, the given IRR of 13% exceeds the cost of capital of 11.6%, suggesting that the project has a positive rate of return. In such cases of disagreement, it is typically more reliable to rely on the NPV rule, which considers the absolute value of cash flows and the cost of capital, providing a more accurate assessment of the project's profitability.
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What information would be beneficial in determining if a company is a worthwhile investment?
What industries are on the upswing and will be needing more funding?
Are there individual companies with a great amount of potential growth?
The information that would be beneficial in determining if a company is a worthwhile investment is the business model, the earnings growth, and the plans of the company. Moreover, companies that focus on technology and services are more likely to need investors.
What information would be beneficial in determining if a company is a worthwhile investment?Before you invest in any company you need to understand how the company is doing and what will possibly happen with it in the next months and years. Due to this, it is a good idea to know about:
The mission of the company.The busieness model.The earnings growth.Plans and predictions.What companies require more investment?Considering the most important sectors in market are technology and services, it is likely these companies require more investment.
Are here individual companies with a great amount of potential growth?Yes, even small local companies can have a great potentia of growth depending on their model and products/services offered.
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What type of contract is a hire purchase agreement?
for some strictly increasing cdf. explain why a monotone transformation of x exists such that the logistic regression model holds
A monotone transformation of x exists such that the logistic regression model holds for some strictly increasing cdf because of a theorem known as the Invariance Property of the Maximum Likelihood Estimators.
Logistic regression is a type of regression analysis that is used to model a binary dependent variable as a function of one or more independent variables. Logistic regression models the relationship between a dependent binary variable and one or more independent variables using the logistic function, which is also known as the sigmoid function.
A monotone transformation of x exists such that the logistic regression model holds for some strictly increasing cdf because of the Invariance Property of Maximum Likelihood Estimators. This theorem states that, regardless of the probability distribution of the data, the Maximum Likelihood Estimate (MLE) of the model parameters will remain unchanged under a monotonic transformation of the data. That is, if f(x) is a strictly increasing function, then the Maximum Likelihood Estimate of the parameters in the model will be the same whether we use the original data or the transformed data.
The logistic regression model is sensitive to monotone transformations because it is a model for the conditional probability of a binary outcome given one or more predictors. A monotone transformation of the predictor variable(s) does not affect the binary outcome, but it does affect the conditional probability of the outcome given the predictor(s). This is why the logistic regression model holds for a monotone transformation of the predictor variable(s) when the underlying probability distribution is strictly increasing.
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1. What is the purpose of using credit?
2. List several sources of consumer credit.
3. What types of information are asked for on a typical credit
Application?
4. How are store credit accounts different from bank credit card
Accounts?
5. How are credit cards different from charge cards?
6. How is a single payment similar to an installment loan? How is it
Different?
7. Give two examples of collateral that might be used to secure a loan.
8. What is the responsibility of a cosigner of a loan?
9. How is a line of credit different from other types of loans?
10. List several benefits of using credit.
Answer: To earn CREDIT
Explanation:
If a firm increases its plowback ratio, this will definitely result in _______ p/e ratio.
If a firm increases its plowback ratio, based on this information solely it can not be determined what will happen to the p/e ratio.
The amount of earnings left over after dividend payments are measured by the plowback ratio, a fundamental analysis ratio.
The retention ratio is the most frequent name for it.
The payout ratio, on the other hand, measures the amount of dividends paid out as a percentage of earnings.
The plowback ratio shows how much profit is kept within a company rather than distributed to investors.
Plowback ratios are typically greater in younger companies.
These businesses are more committed to business expansion and are growing more quickly.
Businesses that are more established rely less on reinvested profits to grow.
Companies that do not pay dividends have a ratio of 100%, while those that distribute all of their net income have a ratio of 0%.
Hence, the answer can not be determined based on the given information.
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A stigmatized property is one: (a) Where physical damage makes it undesirable to buyers (b) That a historical society owns and maintains (c) Where a particular event has affected the desirability of the property (d) None of these are correct
Answer:
(C) Where a particular event has affected the desirability of the property
Explanation:
A stigmatized property is one that has been psychologically impacted by an event that occurred on the property or one that has been suspected to have occurred on that property. Such a property is now "stigmatized" because such an event will have a drastic effect on multiple values and aspects of the property.
Which of the following statements about culture is true? Select one: a. Culture is dynamic. b. Culture is transmitted from one generation to another. c. Differences in culture over time and from nation to nation add to the complexity of marketing. d. ulture is learned. e. All of these statements about culture are true.
2. Which of these factors can be a basis for geographic segmentation? Select one: a. Population density. b. National boundaries. c. Neighborhoods. d. City size. e. All of the above.
3. In deciding on target markets, marketers must consider what they know about . . . Select one: a. the current size of the market. b. how the target fits the firm's overall objectives. c. what kind of potential competition exists. d. the forecasted market size. e. All of the above.
E. All of these statements about culture are true.
Is it true that all statements about culture are true?Culture is a multifaceted concept that encompasses various dimensions and characteristics. In understanding culture, it is essential to recognize that it is dynamic, transmitted across generations, diverse across nations and over time, learned through socialization, and influences individuals and societies in numerous ways.
Culture is a dynamic phenomenon that evolves and changes over time due to various factors such as technological advancements, globalization, and social developments. It reflects the values, beliefs, customs, and practices of a particular group or society, and it is continually shaped by interactions and experiences.
Culture is transmitted from one generation to another through socialization processes, including education, family, and community influences. Individuals acquire cultural knowledge, norms, and behaviors from their surroundings, allowing for the continuity and preservation of cultural traditions.
Differences in culture across nations and over time contribute to the complexity of marketing. Marketers need to understand and adapt to cultural variations to effectively communicate and meet the needs and preferences of diverse consumer groups.
Culture is learned through social interaction, observation, and participation. It is not innate but acquired through exposure to cultural artifacts, symbols, languages, and rituals. Individuals internalize cultural patterns and norms, shaping their behaviors, attitudes, and perceptions.
Considering all of these aspects of culture is crucial for marketers when deciding on target markets. They need to assess the current market size, align their objectives with the target audience, evaluate the potential competition, and forecast the market size to make informed decisions and develop effective marketing strategies.
All the statements provided regarding culture are true.
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Who was probably the most famous anonymous source in 20th-century journalism?
Answer: Deep Throat. I know it may sound weird but that’s the answer
Explanation: Hope this helps
Hai, a single taxpayer, invested $75,000 in the stock of penguin corporation, which recently declared bankruptcy. although distressed over the loss of her investment, hai is relieved that she can claim a $75,000 ordinary (rather than capital) loss deduction. comment on hai’s expectations.
Hai's expectation of being able to claim a $75,000 ordinary loss deduction is correct. When a corporation goes bankrupt, it can result in the loss of the shareholder's investment.
However, this loss can be claimed as a deduction on the taxpayer's tax return.
In the case of a stock investment, the loss is typically considered a capital loss, which can only be used to offset capital gains, up to a maximum of $3,000 per year. However, in certain situations, such as when the investment is in a corporation that has gone bankrupt, the loss can be treated as an ordinary loss.
An ordinary loss can be deducted in full against ordinary income, such as wages, salaries, or business income, which can result in a larger tax benefit than a capital loss deduction.
Overall, while Hai may be distressed over the loss of her investment in Penguin Corporation, her expectation of being able to claim an ordinary loss deduction for the full amount of her investment is accurate.
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Kristoffer needs to create cell names that match the column headings he has already created. Select the correct navigational path to set those names using the Create from Selection command. Click on the tab on the ribbon and look in the Defined Names gallery.
Answer:
formula
create from selection
top row
Explanation:
just took the question on edge
The correct navigational path to create cell names that match the column heading using the Create from Selection command is: Click on the Formula tab on the ribbon and look in the Defined Names gallery. Select the range of cells, including the row that includes the name you wish to use. Select Create from Selection. Select Top row and click OK.
What is a cell?Cells are the boxes that appear in an Excel worksheet's grid. On a worksheet, each cell is identified by its reference, the column letter and row number that intersect at the cell's location.
Instead of creating cell names one by one, "Create from Selection" tool can be used to create cell names from a selection. The tool is in the "Defined Names" group of the Formulas menu.
Therefore, the correct path for using the Create from Selection command is first to click on Formula tab and look in the Defined Names gallery. Then select the range of cells, including the row that includes the name wish to use. Select Create from Selection. Select Top row and click OK.
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Which of the following is NOT a common feature of a
financial institution?
Answer:
c. Access to investment advice and e. investment trading
Explanation:
Hope this helps!
when a person pays $23,000 to buy a car, money primarily functions as a: ____
When a person pays $23,000 to buy a car, money primarily functions as a medium of exchange.
Money serves as a commonly accepted item that can be used to purchase goods and services. In this case, the $23,000 is exchanged for the car, and the seller is willing to accept the money in exchange for the product.
Money also functions as a unit of account, which means that it serves as a way to measure the value of goods and services. In this case, the car is worth $23,000, which is the agreed-upon value between the buyer and seller.
Finally, money serves as a store of value, meaning that it can be saved and used at a later time to purchase goods and services. Overall, money is a crucial component of any modern economy as it facilitates the exchange of goods and services.
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Sheila felt prepared to work after her one-day job orientation for new employees. When she got to work, however, she was shocked. She was not prepared for the fast pace, sophistication and skill level found in her new department. By noon that day, Sheila felt like she was not cut out for the job. She felt under-skilled and underprepared to meet her department's
challenges.
On her way to the company cafeteria, one of her co-workers, Tammy, caught up with her and they had lunch together. Sheila was glad that Tammy was so friendly to her and she was able to relax a little bit. During lunch Tammy talked about their manager, Mr. Smith. Sheila learned that Mr. Smith was in trouble with his superiors. Next, Tammy told her about James, the computer programmer.
She told Sheila that James spread rumors and was not to be trusted. She talked about Mrs. Tyler, the accountant. She said that Mrs. Tyler was an alcoholic and frequently took sips from a whisky bottle in her desk.
Tammy asked Sheila to join her for coffee after work. She said, "Trust me, Sheila. Once you come to understand how screwed up everyone is around here and get the feel of the place, you'll do fine."
Question: Why would Tammy be so friendly towards Sheila? What might happen if
Sheila gets close to Tammy? Have you ever been in a similar situation?
Tammy was probably friendly with Sheila because she was outgoing and made her feel comfortable at work. But Sheila should be careful about getting involved in rumors that can turn into negative conflicts.
What are organizational conflicts?These are situations where there are differences in the work environment, which may be personal or professional, such as rumors and disagreements about tasks.
Organizational conflicts arising from rumors, such as the gossip of other employees told by Thammy to Sheila, can be extremely negative, and consequently generate enmity, disintegration of teams and even dismissals.
Therefore, it is essential that there is conflict management in the organization through effective communication, interpersonal relationships based on ethics and respect for all employees.
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What is the annual rate of return on an investment that costs $16,278 today and pays $3,000 at the end of each of the next 10 years?
The annual rate of return on an investment that costs $16,278 today and pays $3,000 at the end of each of the next 10 years is: 13%.
Annual rate of returnWe would be making use of financial calculator to find or determine the annual cost by inputting the below data into the calculator.
Number of years=N=10
Present value=PV=-16278, the price of the investment
Face Value=0
Payment per period=PMT=3000
Interest=I=?
Hence:
Rate of return =13%
Therefore the annual rate of return on an investment that costs $16,278 today and pays $3,000 at the end of each of the next 10 years is: 13%.
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Help PLEASE!!!
Joel works as a customer service representative in an electronics store. A customer has a complaint regarding a technical aspect of the computer
he bought from the store two weeks ago. Although Joelis familiar with the specifications of the computer, he is fully equipped to help the
customer with the complaint. Assuming that Joel possesses good customer service skills, which action should he toket
A. use the internet to find the required information and help the customer
B. ask the customer to wait while he has a meeting with his manager
C. help the customer contact the store's engineer who can provide help regarding technical issues
D. ask all members of his staff whether they have a solution to the customer's problem
E. politely tell the customer that nobody could possibly solve the problem
Answer: C
Explanation: since she is customer support the obvios (god i cant spell sometimes) thing to do is connect them to a engineer who can help them. you could also do process of elimination A: they probaly did search the internet already B: why the manager? wouldnt someone like an engineer have better insight on this? C: Engineers have the most expertise in this area so they can help fix the problem. D: sure this could help but its not as sure as asking the engineer
ANSWER: C
Joel being as a customer service representative in an electronics store shall help the customer contact the store's engineer who can provide help regarding technical issues. Option C is correct.
What is Customer Service Representative?Customers who have inquiries, requests, or concerns regarding goods or services they have received from the business are assisted by a customer service representative.
At every stage of the process, they give priority to the demands of the clients and offer solutions that are tailored to those unique circumstances.
Essential Characteristics of an Outstanding Customer Service Representative has problem-solving abilities. The most important trait for providing outstanding customer service is problem-solving, followed by clear communication, friendliness, empathy, business savvy, goods knowledge, and strong time management.
Thus option c is correct.
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How are volatility and risk related in an investment?
A.
a volatile investment is less risky
B.
a volatile investment is more risky
C.
volatility and risk are not related
The terms volatility and risk are related in an investment because a volatile investment is more risky. The Option B is correct.
What is a volatile investment?Basically, the term volatility describes when a market or security experiences periods of unpredictable and sometimes sharp, price movements. Most People often think of volatility only when prices fall, however volatility can also refer to sudden price rises too.
Most of the Increased market volatility are caused by economic or policy factors including changes in other markets, interest rate hikes, and the Fed's current monetary policy. A political instability can also lead to market volatility.
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Help plz
What is persuassive writing?
Answer: something to like negotiate someone to do something and give good reasoning
Explanation: for example, someone would want to dye their hair and they would write a letter to their mom saying why their mom should let them dye their hair