kylah enterprises signs a 3-month, noninterest-bearing note with a stated rate of 13.5% and a maturity value of $215,000? what is the cash proceeds available to the borrower?

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Answer 1

The cash proceeds available to the borrower is $207,540.61

The amount of cash that the borrower receives from a non-interest-bearing note will be less than the face value of the note because the borrower will not receive any interest on the note.

The cash proceeds available to the borrower is the amount of cash that the borrower receives from the note. This amount will be less than the face value of the note because the borrower will not receive any interest on the note.

kylah enterprises signed a 3-month, noninterest-bearing note with a stated rate of 13.5% and a maturity value of $215,000.

[tex]Cash proceeds = Maturity value / (1 + (stated rate x time))\\Maturity value = $215,000\\Stated rate = 13.5%Time = 3 months\\Cash proceeds = $215,000 / (1 + (0.135 x 0.25))\\ $215,000 / 1.03375= $207,540.61\\[/tex]

[tex]Time = 3 months\\Cash proceeds = $215,000 / (1 + (0.135 x 0.25))\\$215,000 / 1.03375= $207,540.61\\[/tex]

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Related Questions

a change in relative prices between two counties has caused net exports to increase, resulting in real gdp increasing from $12,000 to $17,000. what is the percent change in real gdp? round your answer to the nearest tenth.

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The percent change in real GDP between two countries is (17000 - 12000) / 12000 = 41.7%. The percent change in real GDP is 41.7%, rounded to the nearest tenth.

To find the percent change in real GDP, we can use the following formula:

Percent change in real GDP = ((New real GDP - Old real GDP) / Old real GDP) x 100%

Substituting the given values, we get:

Percent change in real GDP = ((17000 - 12000) / 12000) x 100%

Percent change in real GDP = (5000 / 12000) x 100%

Percent change in real GDP = 41.7%

Therefore, the percent change in real GDP is 41.7%, rounded to the nearest tenth.

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according to sponsorship, based on a 2015 study, what percentage of the north american sponsorship market is sports?

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According to sponsorship, based on a 2015 study, 70% of the North American sponsorship market is sports.

What is sponsorship?

Sponsorship refers to the monetary or in-kind support given by businesses to organizations, events, or causes. Businesses benefit from increased brand recognition, improved consumer perception, and increased sales when they sponsor something.The practice of sponsoring anything in exchange for something in return is known as sponsorship.

When one firm supports another, they typically do so to increase recognition, reputation, or influence. Companies can also sponsor events, which can help them attract new customers and boost their brand image.

What percentage of the North American sponsorship market is sports?

According to a 2015 report, sports events are the most popular sponsorship item, accounting for around 70% of the North American sponsorship market. Sports events are followed by entertainment and non-profit organizations, respectively, in terms of popularity.

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suppose that the price of borrowing money is $0.04 per year for every dollar you owe. the interest rate is multiple choice question. 0.04 percent. 0.40 percent. 40 percent. 4 percent.

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The interest rate is d) 4 percent.

Calculate the interest rate

To explain this, for every dollar you borrow, you must pay $0.04 in interest each year.

Therefore, if we divide the $0.04 by the dollar borrowed, we get the interest rate of 4%. Mathematically, this can be expressed as:

Interest Rate = $0.04 / Dollar Borrowed x 100 = 4%. By this result the answer of interest rate is 4%.

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martha and liz have applied for a mortgage. they both have excellent credit and very successful careers and they are perfect on paper. martha and liz are partners and are expecting the birth of their first child together. they are denied a loan. what's the violation here?

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Martha and Liz have likely been denied a mortgage due to their marital status. In some jurisdictions, it is illegal to deny a loan to individuals based on their sexual orientation or marital status. This practice is a violation of their civil rights and would be considered discriminatory.


The violation in the given situation is likely based on discrimination against Martha and Liz due to their sexual orientation or marital status. Mortgage discrimination is against the law in the United States, and it occurs when a lender refuses to lend to someone based on their characteristics that are protected by the Fair Housing Act. Discrimination based on race, gender, national origin, disability, and familial status is prohibited under the Fair Housing Act, as well as discrimination based on sexual orientation or marital status in certain states or localities.

It is entirely possible that the lending institution denied Martha and Liz's mortgage loan because of their sexual orientation or marital status. They may have looked perfect on paper in terms of their credit scores and job stability, but discrimination can come in many forms, and it is not always evident.

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while some segmentation methods rely on external descriptions and factors to break down the market, blank segmentation relies on consumers' descriptions of themselves. multiple choice question. geo-demographic psychographic demographic benefit geographic

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Psychographic segmentation is a segmentation technique that uses consumers' self-descriptions. This technique is helpful for locating customers with similar requirements and preferences

A segmentation method that makes use of consumers' self-descriptions is called psychographic segmentation. Consumers are categorised into groups based on their attitudes, values, personality traits, hobbies, and lifestyles in psychographic segmentation, a sort of market segmentation. It bases the creation of separate customer categories on the self-descriptions and self-perceptions of consumers. This technique is helpful for locating customers with similar requirements and preferences, which may assist businesses in customising their marketing plans and product offers to better fit the demands of their target customers. In order to produce a more complete picture of the market, psychographic segmentation is frequently used in conjunction with other segmentation techniques, such as demographic and geographic segmentation.

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which of the following would ordinarily be classified as current assets on the balance sheet? note: select all that apply. check all that apply accounts receivable accounts receivable accounts payable accounts payable cash cash

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A: Accounts Receivable and C: Cash are ordinarily classified as current assets on the balance sheet.

Based on typical accounting practices, the following items would ordinarily be classified as current assets on the balance sheet:

Accounts receivable: This is money that a business is owed by its customers for goods or services that have been sold but not yet paid for.Cash: This includes all the cash that a business has on hand or in bank accounts.

Accounts payable, on the other hand, is typically classified as a current liability on the balance sheet. Accounts payable refers to the money that a business owes to its suppliers or vendors for goods or services that have been purchased but not yet paid for.

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if a plant has an effective capacity of 6,500 units and an efficiency of 88%, what is the actual output?

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The actual output of a plant with an effective capacity of 6,500 units and an efficiency of 88% is 5,720 units.

This can be calculated by multiplying the effective capacity of 6,500 units by the efficiency of 88%, which equals 5,720 units.

To calculate the actual output of a plant, first, determine the effective capacity, which is the maximum number of units that the plant can produce. Then, find the efficiency, which is the percentage of units that can be produced in comparison to the effective capacity.

Next, multiply the effective capacity by the efficiency to find the actual output. For example, if a plant has an effective capacity of 6,500 units and an efficiency of 88%, the actual output would be 5,720 units.

This can be calculated by multiplying 6,500 units by 0.88, which equals 5,720 units.

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when there is a sharp decline in the cboe volatility index (vix), stock prices also tend to decline. group of answer choices false true

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The statement that when there is a sharp decline in the CBOE Volatility Index (VIX), stock prices also tend to decline, is true. The CBOE Volatility Index (VIX) is a measure of market volatility and is often referred to as the “fear gauge”, as it is a measure of the expectation of volatility over the next 30 days.

When the VIX is high, it typically indicates that investors are expecting a sharp market move, either up or down. When the VIX is low, it typically indicates that investors are expecting a relatively calm and steady market. Therefore, when the VIX experiences a sharp decline, this is often a sign that investors are becoming more confident and less fearful, and that stock prices will tend to follow suit.

To illustrate this, consider the recent market volatility caused by the coronavirus pandemic. As the virus spread, market uncertainty increased and the VIX spiked to an all-time high of 82.69. This was followed by a sharp decline in the VIX, as investors became increasingly confident that the worst of the crisis was over. This confidence was reflected in the stock market, and the S&P 500 rose by approximately 25%.

Overall, the statement that when there is a sharp decline in the CBOE Volatility Index (VIX), stock prices also tend to decline, is true. The VIX is a measure of market volatility, and when it declines, it typically indicates that investors are becoming more confident and stock prices will rise as a result.

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calculate variable cost using the high-low method. month units sold total cost jan. 190 $2,000 feb. 180 $2,100 march 40 $600 april 65 $550

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To calculate the variable cost using the high-low method, first identify the highest and lowest activity levels:

Highest activity level: January with 190 units sold

Lowest activity level: March with 40 units sold



Then, calculate the variable cost per unit:

Variable cost per unit = (Total cost of highest activity - Total cost of lowest activity) / (Units sold at highest activity - Units sold at lowest activity)

Variable cost per unit = ($2,000 - $600) / (190 - 40)

Variable cost per unit = $6.32



Finally, multiply the variable cost per unit by the number of units sold in the other months to calculate the variable cost:

April variable cost = 65 units x $6.32 = $411.80

February variable cost = 180 units x $6.32 = $1,149.60

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mount pleasant tires does not have sufficient funds to pay damages for a tort that arose out of the operation of the business. jess, a business owner, is not personally liable if:

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Mount Pleasant Tires does not have sufficient funds to pay damages for a tort that arose out of the operation of the business. Jess, a business owner, is not personally liable if he operates under a corporation and the corporation has limited liability.

What is a corporation? A corporation is a separate legal entity that provides limited liability to its shareholders. The shareholders of a corporation are not personally liable for the corporation's actions. A corporation can own assets, enter into contracts, and sue or be sued. The shareholders' liability is limited to the amount of their investment, and their personal assets are protected. This is one of the primary advantages of incorporating.

What is limited liability? Limited liability is a type of legal structure that provides protection to shareholders' personal assets. Shareholders' personal assets are not at risk in the event of a lawsuit or bankruptcy if the company is structured as a corporation with limited liability. It's important to remember that limited liability only extends to the amount of the shareholder's investment. A corporation's creditors are not entitled to the personal assets of its shareholders.

What is a tort? A tort is a civil wrong, other than a breach of contract, that results in harm or damage to a person or their property.

It is the responsibility of the business owner to ensure that they do not cause damage to others while operating their business. If someone is injured or their property is damaged as a result of the business owner's negligence, they may be held liable. If the business owner operates as a corporation with limited liability, they are protected from personal liability.

In conclusion, Jess, a business owner, is not personally liable if he operates under a corporation and the corporation has limited liability.

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mass marketers often ignore market segment differences and target the whole market with one offer. what is their approach to segmentation?

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Mass marketers often ignore market segment differences and target the whole market with one offer. The approach they take towards segmentation is known as undifferentiated marketing.

What is undifferentiated marketing?

Undifferentiated marketing, also known as mass marketing, is a marketing strategy in which the seller targets the whole market with a single product or service, ignoring market segment differences.

The goal of this marketing approach is to reach as many people as possible with a message or product that will resonate with the greatest number of people. It is a mass-market approach that allows for broad appeal but does not differentiate or target specific segments of the market.

This type of marketing typically works best for products that have broad appeal and are not geared toward a specific demographic group. One of the major drawbacks of undifferentiated marketing is that it can be costly to develop and launch a marketing campaign that will appeal to a wide audience.

The company must also be prepared to handle a high volume of customer inquiries and complaints.

It is important to note that undifferentiated marketing may not be the most effective approach for all businesses or products.

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what did porter call the concept where firms are typically most sensitive to the needs of their closest customers?

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Porter famously coined the term “buyer power” to refer to the concept where firms are typically most sensitive to the needs of their closest customers.

Buyer power is the ability of a customer to dictate the terms of the relationship with a supplier or service provider. It is also the ability of the customer to influence the quality, quantity and price of the products they buy. It is generally stronger in markets where there are few large customers compared to many small customers. The level of buyer power is determined by factors such as customer size, loyalty, product differentiation and degree of price elasticity.

Large customers are in a position to demand discounts, faster delivery, higher quality or exclusive deals. On the other hand, smaller customers may not have much negotiating power and may have to accept whatever terms the suppliers offer. Buyer power can also be used by large customers to threaten suppliers with threats of withholding orders or changing suppliers if they don’t meet their demands.

It is therefore important for companies to recognize the power of their customers, both large and small, and take steps to ensure that they are providing the best service and products at competitive prices. It is also important to remember that buyers can switch suppliers if they don’t feel they are getting the best value for their money.

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a differentiation strategy enables a business to address the five competitive forces by group of answer choices having brand-loyal customers become more sensitive to prices. increasing economies of scale. providing protection against rivalry. serving a broader market segment.

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A differentiation strategy enables a business to address the five competitive forces by serving a broader market segment. Here option D is the correct answer.

A differentiation strategy is a marketing strategy where a company creates a unique product or service that is different from its competitors in some significant way. This strategy allows a company to target a specific market segment by providing products or services that meet the unique needs and preferences of that segment.

By targeting a specific market segment, a company can reduce the intensity of competition by avoiding head-to-head competition with other companies that serve a different segment. In addition, a differentiation strategy can help a company build brand loyalty and reduce the sensitivity of its customers to price changes.

Overall, a differentiation strategy can help a company establish a strong market position and protect itself against the competitive forces in its industry.

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Complete question:

A differentiation strategy enables a business to address the five competitive forces by group of answer choices

A - having brand-loyal customers become more sensitive to prices.

B - increasing economies of scale.

C - providing protection against rivalry.

D - serving a broader market segment.

When using the high-low method, if the high or low levels of cost do not match the high or low levels of activity:
a. choose the period with the highest and lowerst level of cost and their associated activities.
b. skip that period and move to the next highest or lowest level where cost and activity match.
c. choose the period with the highest and lowest level of activity and their associated costs.

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When using the high-low method, if the high or low levels of cost do not match the high or low levels of activity, the correct option is to choose the period with the highest and lowest level of activity and their associated costs. (C)



The high-low method is a cost estimation technique that involves separating a mixed cost into its fixed and variable components by comparing the highest and lowest points on the cost-volume graph. The method is based on the idea that the difference between the highest and lowest points on the graph is entirely due to the variable cost element of the mixed cost, and the fixed cost element remains the same regardless of the level of activity.

However, there may be cases when the high or low levels of cost do not match the high or low levels of activity, which could occur due to various reasons such as outliers, measurement errors, or abnormal situations. In such cases, the correct option is to choose the period with the highest and lowest level of activity and their associated costs.

This is because the high-low method assumes that the cost behavior pattern observed at the highest and lowest levels of activity is representative of the entire range of activity. Therefore, by choosing the period with the highest and lowest level of activity and their associated costs, we ensure that we are using the most relevant and representative data to estimate the fixed and variable cost components.(C)

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which of the following factors does not negatively impact operating cash flows? multiple choice accounts receivable are increasing. inventories are increasing. operating costs are increasing faster than sales. sales are increasing faster than operating costs.

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Sales are increasing faster than operating costs, does not negatively impact operating cash flows. This is because the cash flow statement is a financial report that summarizes a company's sources and uses of cash during a specific period.

It is divided into three sections: operating, investing, and financing activities. Of the four factors listed, the factor that does not negatively impact operating cash flows is option : Sales are increasing faster than operating costs.

Accounts receivable increasing negatively impacts operating cash flows because it means the company is selling goods or services on credit, and it may take longer to receive payment from customers. Inventories increasing negatively impacts operating cash flows because it means the company is investing in unsold goods, which tie up its capital.


This creates a positive cash flow that can be used to invest in new projects, pay dividends to shareholders, or pay off debt.

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when revenue is recognized on long-term construction projects, a journal entry is recorded to recognize revenue and cost of goods sold. the difference between revenue and cost of goods sold (gross profit) is recognized in which account?

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The difference between revenue and cost of goods sold (gross profit) is recognized in the income statement account, known as gross profit. In a journal entry, this would be a debit to revenue and a credit to cost of goods sold.


Gross profit is an important indicator of the performance of a business. It represents the amount of revenue remaining after subtracting the cost of goods sold. It is used to calculate a business's net income, which is the amount of money a business has earned after taking into account all its expenses.

Gross profit can also be used to determine the company’s profit margin. This is calculated by taking the gross profit and dividing it by the total revenue. The higher the profit margin, the more efficient the company is at generating revenue from sales.

For long-term construction projects, revenue should be recognized when it is earned, not when it is collected. This means that revenue should be recognized at the completion of the project. Costs associated with the project, such as materials and labor, should be recorded as incurred, not when the money is paid out.

By recognizing revenue and costs associated with a construction project, businesses can more accurately track their profit margins and make more informed decisions about their operations.

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individual taxpayers are not taxed on their cancellation of debt (cod) income if their debt was forgiven as part of bankruptcy proceedings group of answer choices true false

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True. Individual taxpayers are not taxed on their Cancellation of Debt (COD) income if their debt was forgiven as part of bankruptcy proceedings.

This applies to any debts forgiven in the tax year, such as credit card debt, student loan debt, business debt, or other forms of debt.

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normative economic statements group of answer choices violate the law of ceteris paribus. contain value judgments. are usually irrational. are easily testable.

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Normative economic statements "contain value judgments" and are usually irrational. Thus, Option B is correct.

Normative economic statements are subjective statements that involve value judgments and opinions. These statements cannot be easily tested or proven true or false, as they are based on personal beliefs and opinions. They are different from positive economic statements, which are objective and based on empirical evidence.

Normative statements violate the law of ceteris paribus, which means that they do not consider all the factors that could affect an economic decision. As a result, they cannot be easily tested or verified. It is important to differentiate between normative and positive statements when analyzing economic theories and policies.

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the following data were extracted from the income statement of shriver inc.: current yearprior year sales$1,124,200 $1,169,500 beginning inventories79,106 55,364 cost of merchandise sold562,100 649,700 ending inventories71,506 79,106 a. determine for each year (1) the inventory turnover and (2) the number of days' sales in inventory. round interim calculations to the nearest dollar and the final answers to one decimal place. assume 365 days a year. current yearprior year 1. inventory turnoverfill in the blank 1 fill in the blank 2 2. number of days' sales in inventoryfill in the blank 3 daysfill in the blank 4 days b. the inventory turnover has , while the number of days' sales in inventory has . the sales volume has faster than the inventory, resu

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The following data were extracted from the income statement of shriver inc for current year: 1) Inventory turnover is 7.6, 2) Number of days' sales in inventory is 48.0 days For Prior year: 1. Inventory turnover is 9.3,  2) Number of days' sales in inventory is 39.2 days b. The inventory turnover has decreased from 9.3 to 7.6, while the number of days' sales in inventory has increased from 39.2 days to 48.0 days.

Current year:
1. Inventory turnover: To calculate inventory turnover, use the formula (Cost of Merchandise Sold) / ((Beginning Inventory + Ending Inventory) / 2). So, for the current year, the inventory turnover is (562,100) / ((79,106 + 71,506) / 2) = 7.6
2. Number of days' sales in inventory: To calculate the number of days' sales in inventory, use the formula 365 / Inventory Turnover. So, for the current year, the number of days' sales in inventory is 365 / 7.6 = 48.0 days

Prior year:
1. Inventory turnover: For the prior year, the inventory turnover is (649,700) / ((55,364 + 79,106) / 2) = 9.3
2. Number of days' sales in inventory: For the prior year, the number of days' sales in inventory is 365 / 9.3 = 39.2 days

b. The inventory turnover has decreased from 9.3 to 7.6, while the number of days' sales in inventory has increased from 39.2 days to 48.0 days. This means that the sales volume has decreased faster than the inventory, resulting in a lower inventory turnover and a higher number of days' sales in inventory.

This could be due to various reasons such as lower demand, a decrease in the efficiency of the inventory management process, or changes in the product mix. In order to improve this situation, Shriver Inc. should analyze the factors contributing to the decline in sales volume and the increase in days' sales in inventory, and implement strategies to address these issues. This may involve optimizing inventory levels, improving demand forecasting, or implementing more effective marketing and sales strategies.

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the initial step in determining the overall conversion value of a convertible bond when converted to

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The initial step in determining the overall conversion value of a convertible bond when converted to common stock is to multiply the conversion ratio by the market value per share of the common stock.

How to determine the overall conversion value of a convertible bond?A convertible bond is a type of bond that can be converted into a certain number of shares of common stock by the bondholder. The overall conversion value of a convertible bond is the value of the common shares received when the bond is converted.

The initial step in determining the overall conversion value of a convertible bond when converted to common stock is to multiply the conversion ratio by the market value per share of the common stock. Example: Suppose a convertible bond has a conversion ratio of 50:1 and the market value per share of the common stock is $20. To determine the overall conversion value, multiply the conversion ratio by the market value per share:50:1 x $20 = $1,000This means that if the bondholder were to convert their bond, they would receive $1,000 worth of common stock.

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if an adjuster terminates their insurance appointment, how long from the date of the termination do they have to reactivate their appointment?

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When an adjuster terminates their insurance appointment, they must reactivate the appointment within 60 days from the date of the termination. If the adjuster does not reactivate the appointment within the allotted time, the appointment will be permanently closed and the adjuster will have to apply for a new appointment.

It is important for adjusters to keep track of their appointments and ensure that they remain active. If an appointment is terminated, the adjuster should act promptly to reactivate it within the given time frame. Failure to do so may result in the need to reapply for the appointment, which can be time-consuming and may require additional documentation.

To avoid this situation, adjusters should communicate regularly with their insurance provider and ensure that all necessary paperwork is filed on time. They should also keep a record of their appointments and termination dates, so they can act quickly to reactivate the appointment if necessary.

To reactivate the appointment, the adjuster should contact their insurance provider and provide all necessary information. The adjuster may need to provide documentation of the terminated appointment, such as a copy of the termination letter.

Once the insurance provider verifies the termination and reactivates the appointment, the adjuster will be able to continue their duties.

Overall, maintaining an active appointment is crucial for adjusters to continue their work and ensure that they are able to provide quality service to their clients.

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all other things unchanged, an increase in loanable funds demand would most likely be caused by a(n):

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The final answer rise in investment opportunities will encourage people to invest, resulting in a rise in loanable funds demand.

An increase in loanable funds demand would most likely be caused by a(n) increase in investment opportunities. When all other things remain constant, an increase in loanable funds demand would most likely be caused by an increase in investment opportunities.

An increase in investment opportunities would make borrowers willing to take on more loans to finance their investment ventures. When the number of investment opportunities in the economy increases, loanable funds demand increases correspondingly, resulting in an increase in the overall interest rate.

Investment, which is an essential determinant of loanable funds demand, increases the demand for funds because investors require money to finance investment ventures. Investment is a type of economic activity that is influenced by economic conditions,

such as interest rates and market expectations, as well as non-economic conditions, such as political and social factors.

Thus, a rise in investment opportunities will encourage people to invest, resulting in a rise in loanable funds demand.

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physical controls to safeguard assets do not include question 2 options: a) cashier department supervisors. b) locked warehouses. c) vaults. d) safety deposit boxes.

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The answer is cashier department supervisors.

Explanation: Physical controls are specific measures taken by organizations to protect physical assets like properties, equipment, and resources from theft, damage, or loss. Physical controls to safeguard assets do not include cashier department supervisors. Physical controls to safeguard assets do not include cashier department supervisors.locked warehouses, vaults, and safety deposit boxes - are all valid physical controls to safeguard assets.The following are the types of physical control that can be used to safeguard assets;Vaults locked warehouses Security cameras Smoke alarms Fire alarms Safety deposit boxes Guard dogs, and so on.

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the importing of foreign goods by u.s. firms is called foreign direct investment. group startstrue or falsetrue, unselectedfalse, unselected

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The statement "the importing of foreign goods by u.s. firms is called foreign direct investment." is True because  the  Foreign direct investment (FDI) is when U.S. firms import goods from foreign countries.

This involves the direct investment of capital from a U.S. firm into a foreign business, with the goal of increasing the U.S. firm's presence in the global market. FDI may involve buying stocks or assets, opening a new business, or merging with an existing foreign business.

In any case, it gives the U.S. firm access to foreign markets, resources, and technologies, helping them compete in a global economy. FDI can also increase economic growth in both the U.S. and foreign countries, creating jobs and driving up wages in both countries.

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which of the following would not be considered a group? which of the following would not be considered a group? the employees at a fast-food restaurant the faculty members of the english department at your college the people who shop at a mall the organizers of the chicago marathon

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Answer:

the people who shop at a mall. Hopefully, I correctly answered your question! If I did, I would really appreciate Brainliest. You can give Brainliest by clicking the crown (it only works if there’s two people who answered.) I would also appreciate if you rated my answer 5 stars, and clicked the heart!

The people who shop at a mall would not be considered a group.

What is a group?

A group is a collection of people or objects that are located near each other or are considered or classified as a unit. A group is a collection of individuals, organizations, or things that are considered together because they share a characteristic.

Effective Group Characteristics

1. The group's objectives are well known.

2. The members of the group operate well together.

3. A sense of "belonging" to the community exists.

4. There is a shared feeling of responsibility for the group's success.

5. Group members are able to converse openly.

6. Members of the organization are open to hearing and respecting opposing viewpoints.

 7. The introduction of novel ideas aids in the retention of interest and motivation.

Therefore, the people who shop at a mall do not possess any of the characteristics of a group.

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from our discussion on the ibm book, what did lou mention was the most important component of a business to be successful?

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Lou Gerstner mentioned that the most important component of a business to be successful is its people.

What is IBM?

IBM stands for International Business Machines Corporation, which is a multinational technology corporation. IBM provides software, cloud computing, and infrastructure services, as well as technology consulting and support. IBM was founded in 1911 as the Computing-Tabulating-Recording Company (CTR) and was renamed "International Business Machines" in 1924.IBM's former CEO Lou Gerstner was known for his business acumen and strategies, and his book provides an insight into IBM's recovery strategy.

Lou Gerstner spoke about the importance of people in business success. He considered that one of the most critical components of a successful business is the people who work for it.In short, the most critical component of a business to be successful, according to Lou Gerstner, is its people.

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mount mountain is a manufacturer of outdoor gear and apparel. it uses american sizing and standards for its apparel and gear across all markets. which strategy is mount mountain adhering to? multiple choice question. international

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Mount Mountain is a manufacturer of outdoor gear and apparel that uses American sizing and standards for its apparel and gear across all markets. The correct answer is the international strategy.

An international strategy is a strategy for expanding a company's business into foreign markets. The most important feature of an international strategy is that it utilizes the same products and services across different countries. The use of an international strategy enables businesses to expand globally, and it does not involve the company creating new products or services but rather, the company's products and services are the same in all markets.

This strategy enables companies to have a broader market by making products that can be sold internationally, increasing the volume of sales, and maintaining the same quality standards globally.

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a production function in which the inputs are perfectly substitutable would have isoquants that are:

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A production function in which the inputs are perfectly substitutable would have isoquants that are straight lines.

In economics, an isoquant is a contour line drawn on a graph showing all combinations of inputs that produce the same level of output. Isoquants are used to illustrate the technological feasibility of production. The slope of an isoquant represents the marginal rate of technical substitution (MRTS), which is the rate at which one input can be substituted for another while maintaining the same level of output. In a production function, inputs are the factors that a firm uses to produce output.

The most common inputs are capital and labor. If a production function has inputs that are perfectly substitutable, it means that one input can be replaced by another input without affecting the level of output. For example, if a firm can replace one hour of labor with one unit of capital and maintain the same level of output, then labor and capital are perfectly substitutable inputs.

If inputs are perfectly substitutable, the isoquants will be straight lines. This is because any combination of inputs that produces a given level of output can be replaced by any other combination of inputs that produces the same level of output.

Thus, a production function in which the inputs are perfectly substitutable would have isoquants that are straight lines.

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northeast foodbank corp. works in cooperation with three local grocery stores and a meat market to supply food to underprivileged families. the grocery stores and meat market are examples of

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Northeast Foodbank Corp. works in cooperation with three local grocery stores and a meat market to supply food to underprivileged families. Grocery stores and meat markets are examples of retailers.

What is a retailer?

A retailer is an individual or company that sells goods directly to the end consumer. Retailers play a vital role in the supply chain by bridging the gap between manufacturers and consumers. Retailers buy goods in bulk from producers or wholesalers, store them, and then sell them to customers for profit.

The following are some characteristics of retailers:

They buy and sell in bulk.They have a physical or online presence. They provide customer service, including warranty and returns.They serve the end customer directly.They are responsible for maintaining inventories.

Retailers' main objective is to profit by providing customers with products that meet their needs. In the case of Northeast Foodbank Corp., retailers provide food to underprivileged families in need.

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a property appraised for $257,000 and the buyer paid $249,000. which value will a lender use when determining the loan-to-value ratio? unset starred question $249,000 $257,000 whichever provides the seller prefers. whichever the borrower prefers.

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When determining the loan-to-value ratio, the lender will use the appraised value of the property, which in this case is $257,000.

The lender will use the appraised value of the property, which in this case is $257,000, when determining the loan-to-value ratio. This is because the appraised value represents an independent evaluation of the property's worth, while the purchase price may be influenced by factors such as negotiation between the buyer and seller, market conditions, and other variables that do not necessarily reflect the property's true value.

What is loan-to-value ratio?

The loan-to-value (LTV) ratio is a financial term that represents the ratio of a loan amount to the value of the asset being purchased with the loan. In the case of a mortgage, it is the ratio of the loan amount to the appraised value of the property being mortgaged. It is expressed as a percentage and is used by lenders to assess the risk of providing a loan to a borrower. A lower LTV ratio indicates less risk for the lender, while a higher LTV ratio indicates more risk. Typically, lenders prefer lower LTV ratios and may require borrowers to purchase private mortgage insurance if the LTV ratio is too high.

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