a client signs a discretionary account agreement, his registered representative deciedes to buy some stock for the client on margin. the registered representative should

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Answer 1

Before engaging in the first margin trade, the registered representative should "Have the client sign a margin agreement and get supervisory approval before the first margin trade." Thus, Option C is correct.

When a client signs a discretionary account agreement, it allows their registered representative to make trades without prior approval from the client. However, according to the Financial Industry Regulatory Authority (FINRA), the representative must obtain supervisory approval for any trades made on margin within three business days of the first margin trade. In addition, the representative must also have the client sign a margin agreement that explains the terms and conditions of the margin account.

The margin agreement helps to ensure that both the representative and the client understand their respective rights and obligations, and provides protection against certain risks. By obtaining both supervisory approval and signing a margin agreement, the representative can be sure that all requirements have been met, and that the client is aware of and comfortable with the risks involved in trading on margin.

This question should be provided with answer choices, which are:

[A] Obtain verbal permission from the client[B] Have the client sign a margin agreement[C] Have the client sign a margin agreement and get supervisory approval before the first margin trade.[D] Have the client sign a margin agreement and get supervisory approval within three business days of the first trade.

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fill in the blank. ____is when one firm buys another through a stock purchase, cash or the issuance of debt. group of answer choices an acquisition a merger an unrelated diversification a related diversification

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Acquisition is when one firm buys another through a stock purchase, cash or the issuance of debt.The process when one firm buys another through a stock purchase, cash, or the issuance of debt is called an acquisition.

What is an acquisition?

An acquisition refers to a process of purchasing another company or part of it. The term acquisition is used in the context of the company's financial statements. Acquisition is often referred to as a takeover of one business entity by another. The acquiring company takes over the management and control of the target company.

Acquisitions can be done through different methods. The most common methods of acquisition include the following:

Stock purchase: A stock purchase involves buying the outstanding shares of a company. The purchasing company acquires ownership of the purchased company through stock ownership.

Cash purchase: A cash purchase involves buying the outstanding shares of a company for cash. The purchasing company acquires ownership of the purchased company through cash payment.Issuance of debt: This method of acquisition involves buying the outstanding shares of a company by issuing debt.

Related diversification: A related diversification acquisition is when one firm acquires another firm that is in a similar line of business. This type of acquisition is intended to create synergy between the two companies.

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jay king, owner of a local bed and bath store, knows that his customers will pay at most $299 for an air mattress. assuming jay wants a 40% markup on the selling price, the most he could pay the manufacturer for the air mattress is:

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Assuming Jay wants a 40% markup on the selling price, the most he could pay the manufacturer for the air mattress is $179.40.

If Jay wants a 40% markup on the selling price and his customers will pay at most $299 for an air mattress, then the maximum cost he could pay the manufacturer for the air mattress can be calculated as follows:

Let's call the cost he pays the manufacturer "C".

Selling Price = Cost + Markup

Markup = 40% of Selling Price

Selling Price = $299

Markup = 0.4 x $299 = $119.60

Therefore, we can set up the equation:

$299 = C + $119.60

Solving for C, we get:

C = $299 - $119.60

C = $179.40

So, the most Jay could pay the manufacturer for the air mattress is $179.40 if he wants a 40% markup on the selling price and his customers will pay at most $299 for the air mattress.

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accounts receivable are valued and reported on the balance sheet question 1 options: a) at gross amounts less sales returns and allowances. b) only if they are not past due. c) at cash realizable value. d) in the investment section.

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Accounts receivable are valued and reported on the balance sheet at the cash realizable value.

The cash realizable value is the expected amount of cash that the company will receive from its accounts receivable after accounting for any uncollectible amounts, discounts, or allowances.

This means that accounts receivable are not reported on the balance sheet at their gross amounts or only if they are not past due. Instead, they are reported at the estimated amount of cash that the company expects to collect.

The cash realizable value is calculated by subtracting the estimated amount of uncollectible accounts, sales discounts, and sales allowances from the total accounts receivable balance. This provides a more accurate representation of the company's current financial position and the amount of cash that it can expect to receive in the future.

Therefore, option C - at cash realizable value - is the correct answer to this question.

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16. jocko was just told that the expected return for echo stock was 20%, based on the capm. assuming that the market return and the risk-free rate are 12% and 4%, respectively, what is the beta for echo?

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Echo has a beta of 1.0, which means that it has the same level of risk as the overall market.

Echo stock's beta is calculated by the Capital Asset Pricing Model (CAPM).

The formula for beta is Beta = Covariance (Echo, Market) / Variance (Market).

The covariance is the expected return of Echo (20%) minus the risk-free rate (4%) multiplied by the expected return of the Market (12%) minus the risk-free rate (4%).

The variance is the expected return of the Market (12%) minus the risk-free rate (4%) squared.

When calculating the beta of Echo, you get Beta = (16% x 8%) / 64% = 1.0.

This means that Echo has a beta of 1.0, which means that it has the same level of risk as the overall market.

This means that if the market goes up or down, Echo is expected to move by the same amount in the same direction. The beta of Echo is not affected by the risk-free rate since it is used in the formula both as a constant and in a negative position. The expected return of Echo, however, is affected by the risk-free rate, since it is used as a constant when calculating the beta.

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true or false? the us sarbanes-oxley (sox) act sets regulations for financial reporting by publicly traded companies. true false

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True. The US Sarbanes-Oxley (SOX) Act sets regulations for financial reporting by publicly traded companies.

What is the Sarbanes-Oxley (SOX) Act?

The Sarbanes-Oxley (SOX) Act was enacted in 2002, in response to various corporate and accounting scandals such as the Enron scandal that occurred in 2001.

It establishes a legal framework for corporate governance and defines regulations for financial reporting by publicly traded companies to protect shareholders and the public from accounting errors and fraudulent practices.

It establishes a federal oversight board, known as the Public Company Accounting Oversight Board (PCAOB), that is responsible for regulating and overseeing public accounting firms. Its objective is to restore trust in public accounting and to safeguard investors' interests from fraudulent accounting practices.

The Sarbanes-Oxley Act has a significant impact on public accounting firms, as it requires them to maintain and retain extensive records for years, including electronic and paper records. These records must be made accessible to authorized parties during investigations, including the SEC, PCAOB, and other authorities.

It also mandates CEOs and CFOs to certify their companies' financial statements, holds management accountable for the accuracy of financial statements, and imposes significant criminal penalties for noncompliance.

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what is the difference between income and expenses?

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Income and expenses are two fundamental concepts in personal finance. Income refers to the money earned or received during a particular period, usually on a monthly or annual basis.

This includes wages, salaries, tips, bonuses, interest, dividends, and any other source of revenue. Income can be categorized as gross or net, depending on whether or not taxes and other deductions have been taken out.

Expenses, on the other hand, refer to the money spent during a particular period. Expenses can be fixed or variable, and they can be essential or discretionary. Fixed expenses are bills that must be paid regularly, such as rent, mortgage, car payments, and insurance premiums. Variable expenses are discretionary, meaning they can be adjusted and are not essential. Examples include groceries, entertainment, clothing, and travel.

The difference between income and expenses is known as net income or net cash flow. If income is greater than expenses, there is a surplus, which can be saved or invested. If expenses are greater than income, there is a deficit, which may lead to debt or financial hardship. Understanding and managing the difference between income and expenses is essential for maintaining financial stability and achieving long-term financial goals.

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When starbucks sells the rights to other companies globally to open coffee shops with the starbucks name for a fee and a share of the profit, in return for using starbucks brand name and a package of materials and services, it is considered ____. group of answer choices - franchising - countertrading - importing - exporting - offshoring

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When Starbucks sells the rights to other companies globally to open coffee shops with the Starbucks name for a fee and a share of the profit, in return for using Starbucks brand name and a package of materials and services, it is considered Franchising.

What is Franchising?

Franchising is a business strategy that allows business owners to license their business operations to a third-party company. A franchise is an arrangement in which the franchisor grants the franchisee the right to use its brand name, product or service, and operating methods in exchange for an initial fee and an ongoing royalty fee.

Franchising enables entrepreneurs to expand their businesses rapidly while minimizing risks.

What are the advantages of Franchising?

The advantages of Franchising are as follows: Expansion: Franchising allows entrepreneurs to expand their businesses quickly and profitably without having to invest in expensive infrastructure, management, and training.

Lower Costs: The franchisee is responsible for all of the costs of running the franchise, including site selection, construction, inventory, and payroll. The franchisor provides the franchisee with all of the materials, equipment, and support they need to run their business. Profit Sharing: The franchisee pays the franchisor an initial fee and ongoing royalties, which are based on a percentage of the franchisee's sales.

This provides the franchisor with a share of the profits generated by the franchisee's business.

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With segment screening it may be a good idea toA. operate with larger, more populated segments rather than smaller ones.B. rely on traditional marketing approaches to have clear market definitions.C.regard new products as part of a product line extension.D.view markets on a regional rather than on a national level, moving beyond national lines.

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In segment screening, it may be a good idea to operate with larger, more populated segments rather than smaller ones as it's easier to identify trends and patterns. Thus, the correct option is A. operate with larger, more populated segments rather than smaller ones

This approach allows you to target a wider audience, increasing the chances of reaching potential customers and generating sales. Additionally, larger segments can provide more opportunities for growth and expansion.

However, it's also essential to consider the specific needs and preferences of the targeted segment to ensure your marketing efforts are effective and relevant.

To conclude, segment screening is an essential part of market research, and companies need to be strategic when selecting the segments to target. When considering segment screening, operating with larger, more populated segments is advisable as it can help to identify trends and generate more revenue. So, the answer is option A.

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the auditor is most likely to presume that a high risk of a fraud relating to the misappropriation of assets exists if:

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The auditor is most likely to presume a high risk of fraud relating to the misappropriation of assets exists if any of the following conditions are present:

Weak internal controls or lack of segregation of duties over cash, inventory, or other assets.

Inadequate or non-existent monitoring of access to assets, such as a lack of surveillance cameras, password controls, or physical security measures.

Discrepancies or irregularities in inventory or accounting records, such as missing items or unexplained changes in account balances.

High turnover rates or unusual behavior of employees, such as unexplained lifestyle changes or financial difficulties.

If any of these conditions exist, the auditor is likely to presume that there is a high risk of fraud and take appropriate steps to investigate further.

This may include conducting more extensive tests of transactions, analyzing financial statements and documents in detail, and interviewing employees and management to gain a deeper understanding of the situation.

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inventory costing methods place primary reliance on assumptions about the flow of question 7 options: 1) values. 2) resale prices. 3) costs. 4) goods.

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Inventory costing methods place primary reliance on the assumptions about the flow of costs. These organizations keep a track of money. The correct option is 3.

What are Inventory costing methods?

Inventory costing methods are used by organizations to keep track of how much money they spend on their products, what products are available, and how much profit they are making. It is essentially a way of keeping track of how much of the company's funds are tied up in its products.

Inventory costing methods are critical for accurately pricing products and determining the overall profitability of a company. Inventory costing methods depend on two primary assumptions:

1. Cost flow assumptions: There are several cost flow assumptions for inventory costing, including FIFO (first in, first out), LIFO (last in, first out), and weighted average.

2. Periodic and Perpetual Inventory Systems: A periodic inventory system records inventory transactions only at the end of an accounting period.

Therefore, the correct option is 3.

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to determine whether an economy is operating at its golden rule level of capital stock, a policymaker must determine the steady-state saving rate that produces the:

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To determine whether an economy is operating at its golden rule level of capital stock, a policymaker must determine the steady-state saving rate that produces the highest steady-state consumption per capita.

A golden rule level is an optimal level of the capital stock that maximizes consumption in the steady state. A policymaker must determine the steady-state saving rate that produces the highest steady-state consumption per capita to determine whether an economy is operating at its golden rule level of capital stock.

The steady-state capital stock that maximizes consumption in the steady state is known as the Golden Rule capital stock level. When determining the Golden Rule capital stock level, economists presume that firms maximize profits and that households maximize utility. According to the neoclassical growth model, at the Golden Rule level of capital stock, the marginal product of capital equals the economy's steady-state rate of depreciation (which is a function of the steady-state population growth rate).

As a result, if the economy invests a certain amount in physical capital, the extra production created by the new capital would be entirely counterbalanced by the depreciation of existing capital. As a result, the economy would be unable to increase consumption by investing more. As a result, the steady-state capital stock would be the Golden Rule capital stock level.

The formula for calculating the steady-state capital stock is as follows:K* = [(s / δ + n + g) / A]1 / (1 − α)where,K* is the steady-state capital stock, s is the economy's steady-state saving rate,δ is the rate of depreciation, andn + g is the rate of population growth plus technological progress (i.e., the growth rate of the labor-augmenting technical change parameter),α is the elasticity of output with respect to capital, andA is a productivity parameter that represents technology.

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revenue represents: group of answer choices expected cash inflows. expected cash outflows. actual cash inflows and expected cash inflows. actual cash inflows.

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Revenue represents "expected cash inflows" and "actual cash inflows" received by a company from its operations, sales, or other sources, which contribute to its income and overall financial health. Thus, the correct answer is C.

Revenue is a crucial component of a company's financial performance and represents the inflow of cash that it generates from its operations or sales. It is the primary source of income for a business and plays a significant role in determining its profitability and growth potential. Revenue can come from various sources, including the sale of goods and services, interest income, rental income, and royalties.

Expected revenue is typically projected based on past performance, market conditions, and other factors, while actual revenue is the actual cash inflow received by a company from its operations. Monitoring revenue is critical for businesses as it helps them to track their financial performance, make informed decisions, and plan for future growth.

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a bond that sells for par value has three yaers until it matures and has a 4 coupon rate assuming semi annual interest payments hte current yeild is closest to

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A bond that sells for par value with 3 years until maturity will have a current yield of 4%.

The current yield is the annual interest payment divided by the current market price of the bond, expressed as a percentage. In this case, the bond sells for par value, which means its market price is equal to its face value of $1000.

The annual interest payment is calculated by multiplying the coupon rate (4%) by the face value of the bond, then dividing by 2 (since interest is paid semi-annually).

Annual interest payment = (4% x $1000)/2 Annual interest payment = $20

Therefore, the current yield is:

Current yield = ($20/$1000) x 100% Current yield = 2% x 2 Current yield = 4%

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what is the fourth primary goal that a project manager may have to consider if the project involves work done for an outside company or individual?

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The fourth primary goal that a project manager may have to consider if the project involves work done for an outside company or individual is profit or financial gain.

What is project management?

Project management is the process of designing, organizing, preparing, and managing resources to achieve a certain goal. The goal of project management is to accomplish objectives within a particular period and with specific resources.

The project manager's role is to ensure that the project is delivered on time, within budget, and to a high standard. The fourth primary goal that a project manager may have to consider if the project involves work done for an outside company or individual is profit or financial gain.

The primary goals of a project manager include:

ScopeTimeCostQualityRisk managementCustomer satisfactionProfit or financial gain

Conclusion Project management is a critical aspect of any company or business that has a goal to accomplish. The project manager must have the necessary abilities and expertise to manage the project's demands, constraints, and requirements.

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which form of business relationship lets a company grant patent rights, trademark rights, and the rights to use technological processes to another company in a foreign country?

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The form of business relationship that allows a firm to grant patent rights, trademark rights, and the rights to use technological processes to another company in a foreign country is licensing.

What's licensing

Licensing is a method of transferring technology from one firm to another. It is a business arrangement in which one business (the licensor) allows another company (the licensee) to utilize its intellectual property, such as patents, trademarks, copyrights, or trade secrets, in exchange for royalty payments.

The licensee is free to use the technology to manufacture and sell the product with the licensor's brand name.The company that grants patent rights, trademark rights, and the rights to use technological processes to another company in a foreign country is known as a licensor. This sort of company provides a license to the other company to use its trademark, patent, or technology.

In addition, the licensee may utilize the product's sales or marketing strategy to boost its own sales by following the licensor's directions

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which of the following makes it easier for customers to find a product and eliminate competitors' products from consideration? a. coupons cross out b. pop (or pos) displays cross out c. contests cross out d. trade shows cross out e. premiums

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The correct response is (B) -  ( POP  or  POS) displays make it simpler for customers to find a product and rule out alternatives.

Point-of-purchase (POP) or point-of-sale (POS) displays are marketing tools positioned close to the register or in-store displays to draw customers' attention and nudge them into making a purchase. These displays can help buyers identify the things they're looking for by emphasizing a particular product and its advantages while excluding products from rival brands from consideration.

Although they may not always make it simpler for buyers to identify a product or rule out alternatives, coupons, competitions, trade fairs, and premiums can nonetheless be powerful promotional tactics.

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when the makers of lay's potato chips teamed up with the makers of kc masterpiece barbecue sauce to create a new line of barbecue potato chips, they demonstrated which brand strategy? multiple choice question. brand revitalization rebranding brand extension co-branding

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When the makers of Lay's potato chips teamed up with the makers of KC Masterpiece barbecue sauce to create a new line of barbecue potato chips, they demonstrated the C. Co-branding brand strategy

Co-branding is a strategy used to increase the appeal of a product by combining the strength of two or more brands. In this case, the makers of Lay's Potato Chips and KC Masterpiece Barbecue Sauce joined forces to create a new line of BBQ-flavored potato chips. This strategy is beneficial for both companies as the combination of the two brands allows them to capitalize on the existing popularity of each while creating something new and exciting.

The partnership gives consumers the convenience of one product with the flavor of two beloved brands, ultimately creating a win-win situation. Additionally, this brand strategy helps both brands to attract new customers, increase their customer base, and reach new markets. Therefore, Option C. Co-branding is Correct.

The Question was Incomplete, Find the full content below :

when the makers of lay's potato chips teamed up with the makers of kc masterpiece barbecue sauce to create a new line of barbecue potato chips, they demonstrated which brand strategy?

A. brand revitalization

B. rebranding brand extension

C. co-branding

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sue offers to buy a house from john, and they were negotiating the price of the house. in the meantime, sue confides in john's sister that she is willing to pay an amount of $50,000 for the house. delighted to hear this, john's sister tells john the good news. john immediately calls sue and accepts her offer. is there a binding contract?

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The correct answer is (B) A binding contract has been formed because the third party (John's sister) communicated Sue's offer to John and he accepted it.

This is known as the doctrine of indirect communication or the mailbox rule, which holds that an acceptance of an offer is effective when it is communicated to the offeror or their agent. In this case, John's sister acted as John's agent when she communicated Sue's offer to him. The fact that the offeror (Sue) did not communicate the terms of the offer directly to the offeree (John) is not relevant in this situation. The contract does not need to be signed by both parties for it to be legally binding, as long as there is an offer, acceptance, and consideration.  A binding contract has been formed because the third party (John's sister) communicated Sue's offer to John and he accepted it.

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The complete question is :

Sue offers to buy a house from john, and they were negotiating the price of the house. in the meantime, sue confides in john's sister that she is willing to pay an amount of $50,000 for the house. delighted to hear this, john's sister tells john the good news. john immediately calls sue and accepts her offer. is there a binding contract?

A. Yes, because there is valid consideration.

B. Yes, because a third party has communicated the terms of Sue's offer to John and that John had accepted the same.

C. No, because the offeror had not communicated the terms of the offer to the offeree.

D. No, because the contract is still not signed by both the parties.

the demand for chicken wings is more inelastic than the demand for prime rib steak. suppose the government levies an equivalent tax on chicken wings and prime rib steak. the deadweight loss would be larger in the market for group of answer choices prime rib steak than in the market for chicken wings because the quantity of prime rib steak would fall by more than the quantity of chicken wings. chicken wings than in the market for prime rib steak because the quantity of prime rib steak would fall by more than the quantity of chicken wings. prime rib steak than in the market for chicken wings because the quantity of chicken wings would fall by more than the quantity of prime rib steak. chicken wings than in the market for prime rib steak because the quantity of chicken wings would fall by more than the quantity of prime rib steak.

Answers

The demand for chicken wings is more inelastic than the demand for prime rib steak. It is then asked what would happen to the deadweight loss if the government levies an equivalent tax on both chicken wings and prime rib steak.

The correct answer is: the deadweight loss would be larger in the market for prime rib steak than in the market for chicken wings because the quantity of prime rib steak would fall by more than the quantity of chicken wings.

This is because a more inelastic demand means that consumers are less responsive to changes in price. Therefore, if the government levies a tax on both chicken wings and prime rib steak, the quantity demanded of each will fall. However, the quantity of prime rib steak will fall by a larger amount because the demand for it is more elastic. This means that the deadweight loss will be larger in the market for prime rib steak than in the market for chicken wings.

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at what rate was the amount of oil in the well decreasing when there were 1.5 million barrels of oil remaining

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The rate of oil depletion in a well is determined by its natural production rate, which can vary depending on the size of the well and the pressure it is under. When there were 1.5 million barrels of oil remaining in the well, the rate of depletion would have been dependent on this production rate.

In general, the rate of depletion would have been fairly low, as the well would have been near the end of its production cycle.

To understand the rate of oil depletion further, you would need to have knowledge of the production rate and other factors that influence the amount of oil being produced. This could include the pressure within the well, the depth of the well, the amount of oil being extracted, and the number of other wells in the same area.

In conclusion, the rate of oil depletion in a well when there were 1.5 million barrels of oil remaining would have been determined by its natural production rate, which can vary depending on several factors.

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two possible limitations associated with establishing internally consistent compensation systems are: there may be limitations; however, that hamper agility for companies that strive to differentiate themselves from their competition. for example, internally consistent pay systems may reduce a company's flexibility to respond to changes in competitors' pay practices because job analysis leads to structured job descriptions and job structures. in addition, job evaluation establishes the relative worth of jobs within the company. responding to the competition may require employees to engage in duties that extend beyond what's written in their job descriptions whenever competitive pressures demand. in the process, the definitions of jobs become more fluid, which makes equity assessments more difficult. another potential limitation of internally consistent compensation structures is the resultant bureaucracy. companies that establish job hierarchies tend to create narrowly defined jobs that lead to greater numbers of jobs and staffing levels. such structures promote heavy compensation burdens. employees' core compensation depends on the jobs they perform, how well they perform their jobs, or the skills they possess. employee benefits, however, represent fixed costs that typically do not vary with employees' job performance or their skills. employing a larger number of workers to staff a multitude of narrowly defined jobs contributes substantially to exorbitant fixed costs for employee benefits. question 10 options: true false

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True.

Two possible limitations associated with establishing internally consistent compensation systems are that it may reduce a company's flexibility to respond to changes in competitors' pay practices and result in bureaucracy with exorbitant fixed costs for employee benefits.

Job analysis leads to structured job descriptions and job structures, and job evaluation establishes the relative worth of jobs within the company. This makes equity assessments more difficult and employees' core compensation depends on the jobs they perform, how well they perform their jobs, or the skills they possess. Employee benefits represent fixed costs that typically do not vary with employees' job performance or their skills.

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Business rules must be rendered in writing.a. Trueb. False

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The given statement, "Business rules must be rendered in writing" is True (T) because business rules are an essential part of any business and must be rendered in writing to be useful because they can then be used to ensure that everyone in the company is on the same page.

What are business rules?

Business rules are the constraints, requirements, and conditions that govern the operation of a business. They are necessary for ensuring that all of the company's activities and transactions are carried out correctly, efficiently, and in compliance with legal and regulatory requirements. Business rules can be related to anything from the types of products and services that the company offers to the methods used for conducting business with customers. They can also relate to the internal operations of the company, such as how employees are hired, trained, and managed.

Why are written business rules important?

Written business rules are important because they provide a clear and concise way to communicate the company's policies and procedures. This makes it easier for employees to understand what is expected of them and how to perform their jobs correctly.Written business rules also provide a record of the company's policies and procedures. This can be important in cases where legal or regulatory compliance is at issue because it demonstrates that the company has a system in place for ensuring that its activities are in compliance with relevant laws and regulations.

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according to the lesson, what two lessons did president ballard learn after a failed business venture?

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According to the lesson, President Ballard learned two lessons after a failed business venture. The two lessons he learned were that no amount of preparation can prevent failure and that failure is not an event, but rather a process. According to the lesson,

However, despite his best efforts, the business failed. This taught him that no amount of preparation can guarantee success. Failure is not an event, but rather a process: Another lesson that President Ballard learned was that failure is not an event, but a process.

It is not just a one-time thing, but rather a gradual decline that happens over time. This taught him that it is essential to identify and address the issues in the early stages to prevent a complete failure.

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Question: Consider A System Of Banking In Which The Federal Reserve Uses Required Reserves To Control The Money Supply (As Was The Case In The United States Before 2008). Assume That Banks Do Not Hold Excess Reserves And That Households Do Not Hold Currency, So The Only Money Exists In The Form Of Demand Deposits. To Further Simplify, Assume The Banking System HasConsider a system of banking in which the Federal Reserve uses required reserves to control the money supply (as was the case in the United States before 2008). Assume that banks do not hold excess reserves and that households do not hold currency, so the only money exists in the form of demand deposits. To further simplify, assume the banking system has total reserves of $500. Determine the money multiplier as well as the money supply for each reserve requirement listed in the following table.The reserve requirement, open market operations, and the moneysupply Consider a system of banking in which the Federal Reserve uses required reserves to control the money supply (as was the case in the United States before 2008). Assume that banks do not hold excess reserves and that households do not hold currency, so the only money exists in the form of demand deposits. To further simplify, assume the banking system has total reserves of $500. Determine the money multiplier as well as the money supply for each reserve requirement listed in the following table. A lower reserve requirement is associated with a money supply. Suppose the Federal Reserve wants to increase the money supply by $200. Maintain the assumption that banks do not hold excess reserves and that households do not hold currency. If the reserve requirement is 10%, the Fed will use open-market operations to worth of U.S. government bonds. Now, suppose that, rather than immediately lending out all excess reserves, banks begin holding some excess reserves due to uncertain economic conditions. Specifically, banks increase the percentage of deposits held as reserves from10%to25%. This increase in the reserve ratio causes the money multiplier to to Under these conditions, the Fed would need to worth of U.S. government bonds in order to increase the money supply by$200. Which of the following statements help to explain why, in the real world, the Fed cannot precisely control the money supply? Check all that apply. The Fed cannot control whether and to what extent banks hold excess reserves. The Fed cannot prevent banks from lending out required reserves. The Fed cannot control the amount of money that households choose to hold as currency.

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As the reserve requirement decreases, the money supply increases. As a result, a lower reserve requirement is linked with a higher money supply. To raise the money supply by $200, if the reserve requirement is 10%, the Fed will use open-market operations to buy $2,000 worth of U.S. government bonds. When banks increase the percentage of deposits held as reserves from 10% to 25%, this raises the reserve ratio and reduces the money multiplier. The Fed would need to buy $800 worth of U.S. government bonds in order to increase the money supply by $200 under these conditions.This increase in the reserve ratio causes the money multiplier to to Under these conditions, the Fed would need to worth of U.S. government bonds in order to increase the money supply by$200. Which of the following statements help to explain why, in the real world, the Fed cannot precisely control the money supply? Check all that apply. The Fed cannot control whether and to what extent banks hold excess reserves. The Fed cannot prevent banks from lending out required reserves.The following statements help to explain why the Fed cannot precisely control the money supply: The Fed cannot control whether and to what extent banks hold excess reserves, the Fed cannot prevent banks from lending out required reserves, and the Fed cannot control the amount of money that households choose to hold as currency. The Fed's ability to control the money supply is limited due to these factors. Therefore, in the real world, it cannot precisely control the money supply.

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a human resources manager would know that which of these types of discrimination is the most difficult to document in the workplace?

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A human resources manager would know that implicit or unconscious discrimination is the most difficult to document in the workplace.

What is Implicit or unconscious discrimination?

Implicit or unconscious discrimination is a form of discrimination that occurs when individuals hold attitudes or beliefs that unconsciously affect their behavior, resulting in discrimination against a particular group.

Unlike explicit or overt discrimination, which is intentional and can be easily identified and documented, implicit discrimination is often unintentional and can be more difficult to recognize and address. It can manifest in subtle ways such as through biased language, decisions, or behaviors.

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true or false: if the equilibrium price of live comedy performance tickets were $30, a price ceiling of $40 will cause fewer people to attend comedy performances than if there is no price control.

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False: A $40 price ceiling would deter more people from attending classical music concerts than if there was no limitation, if concert tickets had an equilibrium price of $40.

What effect does the price cap have on the market equilibrium?

A price cap above the level of the equilibrium competitive price will result in a surplus. If the price cap is less than the price at which there is an equilibrium of competition, a scarcity will result.

When the cost of an item is restricted by legislation, a price cap is set by the government.

If the price ceiling is set lower than the equilibrium price, it forces the market to experience a shortage. So, if the equilibrium price is $40 or less, a price ceiling of $40 is not enforceable and has no effect on how many people go to musical events.

Nevertheless, if the equilibrium price for a ticket in the absence of price limitations is greater than $40, a price cap of $40 will lead to a shortage of tickets and a drop in the number of people who attend classical music events. Find out how price ceilings affect market outcomes.

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sue holloway was an accountant in 1944 and earned $12,000 that year. her son, josh holloway, is an accountant today and he earned $210,000 in 2017. suppose the price index was 17.6 in 1944 and 218.4 in the current year. refer to scenario 24-1. in real terms, sue holloway's income amounts to about what percentage of josh holloway's income? a. 65.2 percent b. 70.9 percent c. 11.0 percent d. 114.7 percent

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Sue holloway's income amounts to about what percentage of josh holloway's income is b. 70.9 percent.

Real income = (Nominal income / price index) x 100

Now, we will apply the given values in this formula to calculate the real income of Sue and Josh. Sue Holloway's income in real terms:

Real income = (Nominal income / price index) x 100

Real income = ($12,000 / 17.6) x 100

Real income = $68,181.81

Josh Holloway's income in real terms:

Real income = (Nominal income / price index) x 100

Real income = ($210,000 / 218.4) x 100

Real income = $96,038.56

Now, we will calculate the percentage of Sue's income with respect to Josh's income.

Percent of Sue's income in comparison to Josh's income:

Percentage = (Sue's real income / Josh's real income) x 100

Percentage = ($68,181.81 / $96,038.56) x 100

Percentage = 70.9

Therefore, Sue Holloway's income in real terms amounts to about 70.9% of Josh Holloway's income.The correct option is b) 70.9 percent.

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a firm plans to invest $10,000,000 in a new factory that will generate annual cash flows to the firm of $3,000,000 for 5 years, then will be scrapped. if the appropriate opportunity cost of capital for this investment is 8.0%, what is its npv?

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The net present value of the investment is $2,964,258.

To calculate the net present value (NPV) of this investment, we need to discount the cash flows generated by the factory back to their present value using the appropriate opportunity cost of capital of 8%.

We can use the following formula to calculate the NPV

NPV = -Initial Investment + (CF1 / (1+r)^1) + (CF2 / (1+r)^2) + ... + (CFn / (1+r)^n)

Where

Initial Investment is the amount invested in the factory, which is $10,000,000 in this case

CF1 to CF5 are the annual cash flows generated by the factory in years 1 to 5, which are $3,000,000 in each year

r is the opportunity cost of capital, which is 8%

n is the number of years, which is 5 in this case

Using this formula, we can calculate the NPV as follows

NPV = -$10,000,000 + ($3,000,000 / (1+0.08)^1) + ($3,000,000 / (1+0.08)^2) + ($3,000,000 / (1+0.08)^3) + ($3,000,000 / (1+0.08)^4) + ($3,000,000 / (1+0.08)^5)

NPV = -$10,000,000 + $2,777,778 + $2,569,204 + $2,377,579 + $2,201,195 + $2,038,503

NPV = $2,964,258

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when a coffee purveyor chooses to use fair-trade coffee beans instead of less expensive sources, its profits are often reduced. this is an example of

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When a coffee purveyor chooses to use fair-trade coffee beans instead of less expensive sources, its profits are often reduced. This is an example of ethical sourcing.

The process of purchasing goods that have been produced in compliance with ethical standards is known as ethical sourcing.

Ethical sourcing typically refers to goods that have been produced with respect for workers' rights and the environment. A purveyor of coffee who opts to use fair-trade coffee beans rather than less expensive sources demonstrates ethical sourcing practices.

When a coffee purveyor chooses to use fair-trade coffee beans instead of less expensive sources, its profits are often reduced, which is an example of ethical sourcing.

By choosing to pay a fair price for their goods, purveyors who engage in ethical sourcing strive to help promote positive social and environmental outcomes in the communities where their products are produced.

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the aws free tier includes offers that are available to new aws customers for a certain period of time following their aws sign-up date. what is the duration of this period?

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The duration of the period for which offers are available to new AWS customers following their AWS sign-up date is 12 months.

What is AWS Free Tier?

AWS Free Tier is Amazon Web Services' program for customers that offers limited usage of the AWS platform for free. Amazon provides a restricted amount of free storage, computing, and database services for twelve months, allowing users to try them out and see if they're suitable for their demands.

Users who register for the Free Tier will also have access to many features that are only available to paying customers. AWS Free Tier is designed for individual use, rather than commercial use, and it is possible to sign up for it at any time.AWS offers a variety of pricing options to meet the requirements of various clients.

AWS offers a range of pricing options, such as pay-as-you-go, which charges users only for the resources they use, or dedicated usage, which charges users for resources used per hour or per month.Amazon Web Services is a collection of services that form a cloud computing platform that allows for scalable, flexible, and cost-effective infrastructure solutions.

AWS offers over 200 cloud-based services, including computing, storage, networking, database, and security, among others.

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