which of the followig people would prioritizing returns over liquidity be the most productive choice

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Answer 1

Prioritizing returns over liquidity would be the most productive choice for a long-term investor.

When one prioritizes returns over liquidity, they invest in a longer-term asset that provides a higher rate of return, rather than one that is more liquid, meaning that it is more easily converted into cash. The following people would benefit the most from prioritizing returns over liquidity: Long-term investors are individuals who prioritize long-term gains over short-term gains.

Prioritizing returns over liquidity would benefit them because they are in it for the long haul and want to earn a high return on their investment over time. They are not seeking for instant returns or quick liquidity, but rather to grow their assets over time. Portfolio managers, hedge funds, and mutual funds, for example, are organizations that manage money for their clients. By prioritizing returns over liquidity, they can provide their customers with a higher rate of return on their investments over time, resulting in satisfied clients and, as a result, more business.

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if students in the united states go online and import the much cheaper indian version of your textbook instead of buying the american edition, how might this arbitrage nevertheless help the publisher of your textbook?

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This type of arbitrage could help the publisher of the textbook by allowing them to extend their market and customer base to include students in the United States.

A book publishing license agreement is a written agreement between the creator and the publisher to exercise economic rights over a work with the author's permission.

Granting of publishing licenses allow them to potentially increase the number of customers they have, as well as increase their revenue by selling the Indian version of the textbook to the US customers. It could also potentially create an incentive to reduce the price of the American edition in order to remain competitive.

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the most appropriate entry strategy for a company seeking a limited amount of financial commitment and risk in a global market is:

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The most appropriate entry strategy for a company seeking a limited amount of financial commitment and risk in a global market is to use a strategic alliance.

A strategic alliance is a form of partnership between two or more businesses in which they agree to share resources in order to achieve a common goal. The alliance allows companies to leverage the strengths of their partner, minimize risk, and reduce financial commitment. For example, a company may choose to partner with another company in order to gain access to markets or technology that it may not have been able to access on its own. This can be a cost-effective way for companies to gain a presence in a global market while limiting their financial commitment and risk.

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horace contributed $2,000 to a coverdell education savings account on behalf of his nephew, $2,000 to a qualified tuition program (qtp) on behalf of his niece, and $2,000 to his own roth individual retirement account. if horace is 35 years old and his agi was $109,500, what is the maximum amount he can deduct for these three contributions?

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Horace made three different types of contributions: a Coverdell Education Savings Account (ESA), a Qualified Tuition Program (QTP), and a Roth Individual Retirement Account (IRA).

Let's examine the tax implications of each contribution.

1. Coverdell ESA: Contributions to a Coverdell ESA are not tax-deductible. Therefore, Horace cannot deduct the $2,000 contribution made on behalf of his nephew from his taxable income.

2. Qualified Tuition Program (QTP): Contributions to a QTP, also known as a 529 plan, are not tax-deductible at the federal level. However, some states offer tax deductions or credits for these contributions. Since we do not have information about Horace's state of residence, we cannot determine whether he is eligible for a state-level deduction. Nevertheless, the $2,000 contribution made on behalf of his niece does not qualify for a federal tax deduction.

3. Roth IRA: Roth IRA contributions are made with after-tax dollars, meaning they are not tax-deductible. Therefore, Horace cannot deduct the $2,000 contribution made to his own Roth IRA from his taxable income.

In conclusion, based on the information provided and considering federal tax regulations, the maximum amount Horace can deduct for these three contributions is $0. It is important to note that this answer only takes into account federal tax rules, and there may be deductions or credits available at the state level depending on Horace's state of residence.

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a manufacturer that wants to smooth out manufacturing peaks and valleys throughout the year in order to have more efficient production, would most likely use

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A manufacturer that wants to smooth out manufacturing peaks and valleys throughout the year in order to have more efficient production, would most likely use the inventory smoothing system. This system works by controlling the flow of inputs into the production system, thereby stabilizing production.

What are inventories

Inventories are maintained to ensure that the production requirements of customers are met while also avoiding excessive inventory build up. Through the inventory smoothing system, manufacturers can manage their resources better and maintain a steady flow of production throughout the year.

The inventory smoothing system works by looking at the overall inventory level, taking into account the demand for the product and the rate of production. Then, it sets a goal for the inventory level for the upcoming period.

The level of inventory for the next period will then be determined by subtracting the goal from the existing inventory level. If the goal is higher than the existing level, then the production will be increased to make up the difference. On the other hand, if the goal is lower than the existing level, then the production will be decreased to make up the difference.

Inventory smoothing helps to reduce the amount of resources wasted due to excessive inventory build up or not meeting customer demand. It also allows manufacturers to plan better, since they can predict what their needs will be in the near future. Ultimately, it allows manufacturers to produce in a more efficient manner while also meeting customer demand.

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because of their pivotal role in international trade, firms can and do exert a strong influence on government policy toward trade. t/f

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The answer to the given student question is "firms can and do exert a strong influence on government policy towards trade." is True.

The influence of business corporations on public policy decisions is a major subject of study in political science and other fields of research. The state and business organizations often collaborate, making it difficult to discern the border between public and private interests.

In general, businesses use both direct and indirect approaches to exert their influence. Direct approaches are those where business entities express their views to decision-makers or lobbyists, engage in informal conversations or hearings, provide assistance in the form of expertise, or contribute to political campaigns. Business firms, for instance, have several options for influencing international trade policy.

The most basic is to express their views directly to policymakers. They can use lobbyists to influence decision-making or make donations to political candidates who support free trade policies. Indirect approaches, on the other hand, are those in which businesses seek to shape the broader public environment in which political decisions are made. This may involve, for example, making their case in the media, engaging with civil society organizations, or producing research and analysis that supports their views.

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sarah recently completed her undergraduate degree and just started her first job. she has set a goal to be promoted to a senior-level management position. this goal is most likely

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Sarah recently completed her undergraduate degree and just started her first job. She has set a goal to be promoted to a senior-level management position. This goal is most likely an example of a long-term career goal.

There are various types of career goals that individuals can set for themselves, including short-term and long-term goals.

Long-term career goals are the aspirations that people set for themselves to achieve over an extended period, usually several years or more. These goals are typically specific, measurable, achievable, relevant, and time-bound (SMART), and they are set to provide direction and motivation for a person's career.

What is a senior-level management position? Senior-level management is the highest level of management in an organization. Individuals in senior-level management positions are responsible for developing, implementing, and overseeing the company's overall strategy and operations. Senior managers are typically accountable for the organization's performance and are responsible for ensuring that it meets its goals and objectives. Senior-level management positions are also responsible for ensuring that the company complies with relevant laws and regulations and that it operates in an ethical and socially responsible manner.

What is the significance of Sarah's goal? By setting a goal to be promoted to a senior-level management position, Sarah is setting herself up for long-term success in her career. This goal is significant because it provides her with a clear direction for her career and helps her stay motivated and focused on achieving her aspirations. It also gives her a target to work towards and allows her to identify the skills and experience she needs to develop to attain the position.

Finally, setting long-term career goals like Sarah's helps individuals become more resilient and persistent in the face of setbacks and challenges, which can significantly benefit their overall professional growth and development.

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why does the yield curve normally slope upwards? in what circumstances would the yield curve slope downward?

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The yield curve normally slope upwards as the associated interest rate rises as the time until maturity does.

Short-term debt instruments have a lower yield than long-term debt instruments of the same credit quality under the normal yield curve. A yield curve that slopes upward denotes a potential rise in interest rates. A yield curve that slopes downward portends a decline in interest rates in the future.

A yield curve typically has an upward slope, with the associated interest rate rising as the time to maturity does. Because there is a higher chance of inflation or default over a longer period of time, debt issued for a longer term typically carries more risk.

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if the sales mix changes to 1:4 (one chair sold for every four bar stools sold), what is the break-even point in dollars of sales? in units of chairs and bar stools?

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The break-even point in dollars of sales is $6,186.70, the break-even point in chairs sold is 9.18 chairs, and the break-even point in bar stools sold is 36.71 bar stools.

The formula for finding the break-even point isSales revenue = Fixed cost + Variable cost. For a particular sales mix, break-even sales revenue can be calculated. The following is the calculation: Break-even sales revenue = Fixed cost ÷ Contribution margin ratio

The contribution margin ratio formula is as follows: Contribution margin ratio = (Sales price - Variable cost) ÷ Sales price

For the calculation, we must first find the total fixed cost, variable cost per unit, and sales price per unit. These are given below:

Fixed cost = $5,000

Variable cost per chair = $20

Variable cost per bar stool = $12

Sales price per chair = $60

Sales price per bar stool = $80

Now, the contribution margin ratio is calculated for both the items as follows: Contribution margin ratio of chair = ($60 - $20) ÷ $60 = 0.6667 or 66.67%

Contribution margin ratio of bar stool = ($80 - $12) ÷ $80 = 0.85 or 85%

The weighted average contribution margin ratio is then calculated as follows: Weighted average contribution margin ratio = [(0.6667 x 1) + (0.85 x 4)] ÷ 5= 0.8067 or 80.67%

The weighted average contribution margin ratio is then used to find the break-even point as follows: Break-even sales revenue = $5,000 ÷ 0.8067 = $6,186.70

Thus, the break-even point in dollars of sales is $6,186.70. The number of chairs and bar stools can be calculated using the sales mix. If the sales mix changes to 1:4 (one chair sold for every four bar stools sold), then the number of chairs sold would be 20% of the total units sold and the number of bar stools sold would be 80% of the total units sold.

Therefore: Number of chairs sold = 20% of total units sold = 0.20 x Break-even sales unitsNumber of bar stools sold = 80% of total units sold = 0.80 x Break-even sales units

Substituting the value of break-even sales units as 45.89, we get: Number of chairs sold = 20% x 45.89 = 9.18Number of bar stools sold = 80% x 45.89 = 36.71

Thus, the break-even point in dollars of sales is $6,186.70, the break-even point in chairs sold is 9.18 chairs, and the break-even point in bar stools sold is 36.71 bar stools.

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find the payment made by the ordinary annuity with the given present value. 88894 monthly payments for 28 years; interest rate is 4%

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The payment made by the ordinary annuity with the given present value can be calculated using the annuity formula.

The formula is P = PV / ((1-(1/(1+i)^n))/i), where P is the payment, PV is the present value, i is the interest rate per period and n is the number of payments. In this case, the payment P is 88894 monthly payments for 28 years, the present value is 88894, the interest rate is 4% and the number of payments is 28x12 = 336. Therefore, the payment is 88894/((1-(1/(1+0.04)^336))/0.04) = 595.54.

The ordinary annuity is a financial instrument that pays out a fixed amount of money at regular intervals over a period of time. It is most commonly used for retirement and pension plans, annuities, loan payments, mortgages, and other financial instruments.

The payment is usually fixed over the term of the annuity, and the payments occur at the same time each period. The present value is the amount of money that needs to be paid in order for the annuity to be established, and the interest rate is the rate of interest that will be charged on the annuity.

In this case, the payment made by the ordinary annuity with the given present value is 595.54. This is calculated by using the annuity formula which takes into account the present value, the interest rate and the number of payments.

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In the short run, which of the following does not explain why real GDP falls when the price level falls?
a. flexible input prices
b. menu costs
c. money illusion
d. sticky input prices

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In the short run, menu costs does not explain why real GDP falls when the price level falls. The correct answer is option b.

Real Gross Domestic Product (GDP) is a macroeconomic measure that assesses the economic efficiency of a country. The real GDP is a macroeconomic calculation of the monetary worth of all the final goods and services created in an economy over a given period, such as a year or a quarter, measured in base-year costs. The real GDP falls when the price level falls, according to the Quantity Theory of Money.

The Quantity Theory of Money is a concept that describes the relationship between money and prices in the economy.

According to this theory, real GDP (Y) is determined by the following equation: Y = M x V / P

Where, M represents the quantity of money in the economy V represents the velocity of money in the economy P represents the price level in the economy. As we know, real GDP falls when the price level falls. This means that there is a negative relationship between real GDP and the price level. This relationship is influenced by a variety of variables in the short run, including flexible input prices, sticky input prices, menu costs, and money illusion.

However, in the short run, menu costs do not explain why real GDP falls when the price level falls.

Therefore option b is correct.

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if you deposit rs.1000 today in a bank which pays 10 interest compounded annually.what will be amount of deposit after 8years and 12 years

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If you deposit Rs.1000 today in a bank which pays 10% compound interest annually, the amount of the deposit after 8 years will be Rs. 1810.46, and after 12 years it will be Rs. 2512.89.


The formula for calculating compound interest is A=P(1+r/n)^nt, where A is the final amount, P is the principal amount, r is the rate of interest, n is the number of times compounded annually and t is the number of years.  

The amount of the deposit after 8 years can be calculated as:

A = [tex]1000 (1+10/100)^8 \times 8= 1810.46[/tex]


Similarly, the amount of the deposit after 12 years can be calculated as: A

[tex]= 1000 (1+10/100)^{12} \times 12 = 2512.89[/tex]

Therefore, the amount of the deposit after 8 years will be Rs. 1810.46, and after 12 years it will be Rs. 2512.89.

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sarah has saved $3,000 for a down payment on a car. she has determined that she can afford a monthly payment up to $350 per month for an auto loan. her credit union has quoted her a 6% rate on a 60-month car loan. what is the maximum amount sarah can afford to finance? (round to the nearest $100.)

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A 6% interest rate over 60 months has been provided by her credit union to her. Sarah can afford to finance up to $19,400.

We must compute the present value of an annuity due with a monthly payment of $350 for 60 months at a 6% annual interest rate in order to ascertain the greatest amount Sarah may finance. PV = (PMT/i) x [1 - (1/(1+i)n)], where PV is the present value, PMT is the monthly payment, I is the interest rate each month, and n is the number of months, is the result of using a present value annuity formula. PV = ($350/0.005) x [1 - (1/1.00560)] = $19,360 is the result of plugging in the data. Sarah can borrow up to $19,400, rounded up to the closest $100.

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if the federal government implements programs so that the unemployed are more quickly matched with jobs, then group of answer choices the natural rate of unemployment will decrease. the natural rate of unemployment could either increase or decrease. the natural rate of unemployment will increase. the natural rate of unemployment will not change.

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If the federal government implements programs so that the unemployed are more quickly matched with jobs, then the natural rate of unemployment will increase. (option c).

Now, if the federal government implements programs that facilitate the matching of the unemployed with jobs, it can have several effects on the natural rate of unemployment. On the one hand, such programs can help reduce the duration of unemployment spells and increase the efficiency of the labor market.

On the other hand, the effect of matching programs on the natural rate of unemployment may not be straightforward or immediate.

Therefore, it is challenging to predict whether the natural rate of unemployment will increase or decrease in response to matching programs without analyzing the specific design and implementation of such programs.

Hence the option (c) is correct.

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reggie's records uses time-series forecasts, such as past holiday sales and the strength of store sales this year, to predict future sales based on patterns of historical data. reggie's is using

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Data analytics is being used at Reggie's. Analyzing data collections to identify trends and make judgements about the data they contain is known as data analytics (DA).

What exactly does data analytics mean?

Data analytics is increasingly carried out with the use of specialist hardware and software. Over the coming ten years, the field of data analytics will continue to expand quickly. By 2030, the U.S. Department of Labour Statistics (BLS) predicts 22% growth, which is seen as significantly quicker than normal.

A data analyst examines data to find significant customer insights and potential uses for the information. They also advise the company's management and other stakeholders of this information.

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which of the following pairs often leads to conflict escalation, confusion, and anxiety in businesses?

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The pair that often leads to conflict escalation, confusion, and anxiety in businesses are communication and management. The correct answer is option B.

Communication is the exchange of information and ideas between individuals or groups. Communication, in any setting, is critical for ensuring that people are on the same page and that everyone understands what is required of them. Communication can, however, become a source of anxiety and confusion if it is mismanaged.

Management is the process of organizing and overseeing the work of others to achieve a specific goal.  Management, on the other hand, can lead to conflict escalation if it is done improperly. Employees who feel like they are being micromanaged, for example, may become resentful, causing conflicts that could harm productivity and morale.

In conclusion, communication and management are the pair that often leads to conflict escalation, confusion, and anxiety in businesses.

Therefore option B is correct.

The question should be:

Which of the following pairs often leads to conflict escalation, confusion, and anxiety in businesses?

A. The neutrality and negativity effects

B. Communication and management

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floating exchange rate: group of answer choices reduces the ability of monetary policy to stabilize the economy. makes foreign goods easier to price. retains the ability of monetary policy to help stabilize the economy. neutralizes the effectiveness of monetary policy. reduces the uncertainty faced by business firms.

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Floating exchange rates reduce the ability of monetary policy to stabilize the economy. This is because when exchange rates fluctuate, the value of a country’s currency changes, making it more difficult for a central bank to control the supply of money in the economy and, ultimately, the overall rate of inflation.

Floating exchange rates also make foreign goods easier to price. By allowing currencies to fluctuate with market forces, businesses are able to better understand the cost of importing goods from foreign countries, as they are more aware of the exchange rate and its effects on the price of goods.

Despite this, floating exchange rates do retain the ability of monetary policy to help stabilize the economy. For example, a central bank can intervene in the currency market by buying or selling its own currency in order to affect the exchange rate and, by extension, the cost of goods and services.

This can help to stabilize prices and prevent inflationary pressures.

However, it is also true that floating exchange rates neutralize the effectiveness of monetary policy. This is because when the value of a currency fluctuates, it can offset any attempts by a central bank to control the money supply and, therefore, the rate of inflation.

Finally, floating exchange rates can reduce the uncertainty faced by business firms. By allowing currencies to fluctuate with market forces, businesses are better able to predict the cost of goods and services, and can make more informed decisions about their operations.

In conclusion, floating exchange rates can reduce the ability of monetary policy to stabilize the economy, make foreign goods easier to price, retain the ability of monetary policy to help stabilize the economy, neutralize the effectiveness of monetary policy, and reduce the uncertainty faced by business firms.

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which of the following is not an example of a personal consumption expenditure? multiple choice question. clothing a restaurant meal a fighter jet a television set

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The correct option is: A fighter jet

The personal consumption expenditure which is not an example of personal consumption expenditure is a fighter jet. The correct option is: A fighter jet.What is a personal consumption expenditure?Personal consumption expenditure (PCE) refers to the amount of goods and services that households purchase and use up for their benefit.

Personal consumption expenditure is used by economists to measure the level of the economy's expenditures on consumption goods and services. To calculate the PCE, take the total amount spent by consumers and subtract any spending that went toward taxes, savings, or investments.

In summary, it refers to the amount of goods and services that households purchase and consume for their own use. However, a fighter jet is not an example of personal consumption expenditure.

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arca company reports the following for its product for its first year of operations. direct materials $ 85 per unit direct labor $ 65 per unit variable overhead $ 35 per unit fixed overhead $ 102,000 per year variable selling and administrative expenses $ 5 per unit fixed selling and administrative expenses $ 55,000 per year the company sells its product for $375 per unit. compute gross profit using absorption costing assuming the company produces 2,550 units and sells 2,150 units.

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The gross profit using absorption costing is $311,750.

What is the gross profit?

First, let's calculate the total variable cost per unit:

Direct materials + Direct labor + Variable overhead + Variable selling and administrative expenses = $85 + $65 + $35 + $5 = $190

Next, we can calculate the total cost per unit using absorption costing:

Total cost per unit = Variable cost per unit + Fixed overhead per unit

Total cost per unit = $190 + ($102,000 ÷ 2,550 units) = $190 + $40 = $230

Now we can calculate the total cost of goods sold:

Total cost of goods sold = Total cost per unit × Number of units sold

Total cost of goods sold = $230 × 2,150 = $494,500

Finally, we can calculate the gross profit:

Gross profit = Sales revenue - Cost of goods sold

Gross profit = ($375 × 2,150) - $494,500

Gross profit = $806,250 - $494,500

Gross profit = $311,750

Therefore, the gross profit using absorption costing is $311,750.

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a property owner moved from a farm he owned in fee simple to another county . he continued to pay taxes on the property and kept the title clear. did he violate his rights of private ownership? no, because as long as he paid the taxes, the property is not considered abandoned.

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No, because the property is not regarded as abandoned if the taxes were paid.

How is a building abandoned?

It is described as particular property left behind by people who were either enemy aliens, missing from Bangladesh, or whose whereabouts were unknown. They could also have stopped managing their property personally or had stopped occupying it.

How can I get title to abandoned land?

Adverse Possession is the term used when someone seeks to claim possession of land that is not theirs. You must submit an application to the Land Register to assert adverse possession. Before you may assert ownership over land you do not own, you must first complete a rigid set of requirements laid forth by the Land Registry.

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which of the following measures the economy's overall performance? multiple choice question. gross state product the stock market national income accounting private accounting

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The Gross State Product (GSP) measures the economy's overall performance. Therefore the correct option is A.

GSP is the total market value of all goods and services produced in the state over a specific period of time. Other measures of the economy's overall performance include the stock market, national income accounting, and private accounting.  Gross State Product is the total value of all goods and services produced in a particular state in a given year. This includes services, private and public investment, and consumer spending. It is an important indicator of a state's economic health and growth.

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if country a's real gdp grows at a rate of 14 percent per year, about how many years will it take for country a's real gdp to double? group of answer choices 30 14 5 10 7

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The approximate number of years it will take for Country A's real GDP to double with a growth rate of 14 percent per year is 5 years, so the correct answer is C.

The rule of 70 states that to find the approximate number of years it takes for a variable to double, divide 70 by the annual growth rate. Therefore, in this case, 70 divided by 14 equals 5 years. So, it will take approximately 5 years for Country A's real GDP to double with a growth rate of 14 percent per year.

The rule of 70 is a commonly used formula to estimate the doubling time of any variable that grows at a constant rate. It is based on the mathematical relationship between exponential growth and the natural logarithm. While it provides only an approximation, it is a useful tool for understanding the impact of growth rates on various economic and financial indicators.

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An e-commerce website offers fewer models, colors, and sizes than a physical store.a. Trueb. False

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The statement "An e-commerce website offers fewer models, colors, and sizes than a physical store" is true because it has some limitations.

What is e-commerce?

E-commerce, short for "electronic commerce," is the act of purchasing and selling goods and services over the internet. This entails the transfer of funds and the completion of online transactions. E-commerce has changed the way people conduct business by providing consumers with access to products and services 24 hours a day, seven days a week.

Furthermore, due to its global reach, it has become easier for entrepreneurs to access global markets. Because of this global reach, e-commerce websites can provide a wide range of products and services to their customers. However, it is true that e-commerce websites offer fewer models, colors, and sizes than a physical store.

Here are some of the limitations of an e-commerce website:

E-commerce websites have a physical boundary that is unable to match the physical stores that can be established globally. Physical stores can connect to customers directly and encourage them to purchase items.E-commerce websites can offer limited customization options. The option of customization in an e-commerce website is less as compared to physical stores.E-commerce websites are unable to handle delicate items like clothes and others properly. They might not have an adequate idea about the texture and quality of the clothes. E-commerce websites offer a limited number of models, colors, and sizes.

These are some of the limitations of an e-commerce website, and it is true that e-commerce websites offer fewer models, colors, and sizes than a physical store.

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a(n) is an inclusive term for a publication or article that includes advertising and marketing information for a product

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A(n) brochure is an inclusive term for a publication or article that includes advertising and marketing information for a product.

What is a brochure?

A brochure is a marketing or promotional tool that is typically a pamphlet or leaflet. A brochure can also be referred to as a leaflet or a pamphlet, and it is typically printed on glossy paper to make it look more attractive.

Brochures can be printed in color or in black and white, and they can have a variety of designs depending on the product they are promoting.

What is advertising and marketing information?

Advertising and marketing information refers to any type of information that is used to promote a product, service, or brand. This can include details about the product, its features, benefits, pricing, and availability. Advertising and marketing information can be presented in various formats such as print, television, radio, and online media.

A brochure is a type of advertising and marketing information that is used to promote a product or service. It is a convenient way for businesses to provide information about their product to potential customers.

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the natural rate of unemployment (nru) occurs when elimination tool select one answer a the number of job seekers is greater than the number of job vacancies. b the number of job seekers is equal to the number of job vacancies. c the number of job seekers is less than the number of job vacancies. d frictional unemployment is no more than 2%.

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The natural rate of unemployment (NRU) occurs when elimination tool is  frictional unemployment is no more than 2%. (option d).

Frictional unemployment, which refers to the temporary unemployment that occurs as workers search for new jobs or enter the workforce, is a natural part of the labor market and is generally not included in the NRU calculation.

However, it is important to keep frictional unemployment at a reasonable level, typically around 2%, to ensure that workers can move between jobs and that employers can find the workers they need.

In summary, the NRU is the level of unemployment that exists when the labor market is in equilibrium, and there is no cyclical unemployment. It is determined by various factors and is typically measured by the number of job seekers being equal to the number of job vacancies.

So, the correct option is (d).

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if a country experiences a real gdp growth rate of 1 percent and population growth of 2 percent, then the growth rate of real gdp per person is group of answer choices 0 percent. 2 percent. 1 percent. -1 percent. 3 percent.

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The growth rate of real GDP per person in a country with a real GDP growth rate of 1 percent and a population growth rate of 2 percent is -1 percent. To calculate this, we take the difference between the two growth rates, subtracting population growth from GDP growth:

Real GDP per person growth rate = GDP growth rate - Population growth rateReal GDP per person growth rate = 1 percent - 2 percentReal GDP per person growth rate = -1 percent

The growth rate of real GDP per person is a crucial indicator of a country's economic growth and development. It reflects the change in the economic output of a country relative to its population growth. A higher growth rate of real GDP per person indicates an increase in the standard of living, as there is more economic output available per person.

In a scenario where a country experiences a real GDP growth rate of 1 percent and population growth of 2 percent, the growth rate of real GDP per person would be -1 percent. This means that the real GDP per capita has decreased by 1 percent. This is not a desirable outcome, as it suggests that the country's economic output is not keeping up with its population growth, leading to a decline in the standard of living. This highlights the importance of achieving a real GDP growth rate that is higher than the population growth rate to ensure sustainable economic growth and development.

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wayne is an architect. he designs all kinds of buildings, but lately he has found that designing correctional institutions is a very lucrative business. he knows a couple of people who have gone to jail and prison and has been asked to come up with the best way to maintain security in each facility. wayne has been contacted by the geo group to design a facility. what type of facility is he about to design?

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Wayne, the architect is being asked to design a correctional institution. The type of facility he is about to design is a correctional institution. It is a facility that is designed to house individuals who have been arrested, awaiting trial, or serving a sentence in prison.

It is a facility that is meant to restrict and control the movement of the individuals within the facility. A correctional institution is a type of facility that is designed to house individuals who have been arrested, awaiting trial, or serving a sentence in prison. It is a facility that is meant to restrict and control the movement of the individuals within the facility.

A correctional institution is a place where individuals who have been convicted of a crime are housed. They are designed to ensure that the security of the facility is maintained to keep the inmates safe and prevent them from escaping. An architect who designs a correctional institution has the responsibility of ensuring that the security and safety of the facility are maintained. The facility must be designed in such a way that it restricts the movement of the inmates within the facility. The architect must design the facility in a way that maximizes the security and minimizes the risk of escape. The design of the facility must also take into account the well-being of the inmates, staff, and visitors. The design must be such that the facility can be easily maintained and that it meets all of the necessary codes and regulations.

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which steps are integral in bringing a code of ethics to life? select all that apply group of answer choices establishing protection of whistle-blowers copying what other companies have created getting executive buy-in and commitment to follow through ensuring that the code of ethics is enforced inconsistently across the company establishing optional ethical training programs

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To bring a code of ethics to life, the steps that are integral include establishing protection of whistle-blowers, getting executive buy-in and commitment to follow through, and ensuring that the code of ethics is enforced consistently across the company.

Establishing protection of whistle-blowers: Whistleblowers are individuals who report any activities that are against the code of ethics. They provide essential information about illegal and unethical activities taking place in a company. Companies must protect whistleblowers and ensure that they are not retaliated against for providing such information.

Getting executive buy-in and commitment to follow through: To ensure that the code of ethics is implemented correctly, it is essential that the company executives understand the importance of the code of ethics. It is essential to get executive buy-in and commitment to follow through to achieve this.

Ensuring that the code of ethics is enforced consistently across the company: Enforcement is the backbone of the code of ethics. If the code of ethics is not enforced, it becomes a document that has no relevance. Enforcement should be consistent across the company.

Therefore, companies should prioritize establishing protection of whistle-blowers, getting executive buy-in and commitment to follow through and ensuring that the code of ethics is enforced consistently across the company when bringing a code of ethics to life.

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bottle corporation sold land for $17,000. they paid $16,500 for the land two years ago. on the date of sale, bottle corporation should record:

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Bottle Corporation sold land for $17,000.

They paid $16,500 for the land two years ago. On the date of sale, Bottle Corporation should record a gain on sale of land for $500. There are different accounts that are affected when a company sells an asset. These accounts depend on the nature of the asset being sold, its original cost, its accumulated depreciation, and the sales price.

For example, when Bottle Corporation sold land for $17,000, they recorded a gain on sale of land for $500.The gain is computed as the difference between the sales price of the land and its original cost. In this case, the original cost was $16,500, and the sales price was $17,000.

Therefore, the gain on sale of land is $500. When a gain is recorded, the accounting entry involves debiting cash for the amount of the sales proceeds, crediting the asset account for the original cost of the land, crediting the accumulated depreciation account for the depreciation incurred over the years, and crediting the gain account for the difference between the sales price and the original cost.In conclusion, on the date of sale, Bottle Corporation should record a gain on sale of land for $500.

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your investor client julia wants to buy a three-bedroom, one-bath, income-producing property for $125,000. it rents for $820. comparable three-bedroom, two-bath homes in the area rent for around $1,000 and are valued an average of $20,000 more. the area's gross rent multiplier is 147. calculate the loss in income due to depreciation based on functional obsolescence using the capitalized value method.

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The loss in income due to depreciation based on functional obsolescence using the capitalized value method is approximately $180.

Depreciation refers to the decrease in the value of an asset over time due to wear and tear, obsolescence, or other factors. It is a method used in accounting to allocate the cost of an asset over its useful life.

The purpose of depreciation is to match the cost of the asset with the revenue it helps generate over its useful life. Depreciation is recorded as an expense on the income statement, reducing the reported profit or net income of the business.

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PXG Co, has total assets of $9,600,000 and a total asset turnover of 2.46 times. Assume the return on assets is 12 percent. What is its profit margin? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Profit margin ___ %

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The profit margin for PXG Co. is 4.88%.

To calculate the profit margin, follow these steps:

1. We know that Total Asset Turnover = Sales / Total Assets. We are given the Total Asset Turnover as 2.46 times and Total Assets as $9,600,000.

2. Calculate Sales: Sales = Total Asset Turnover * Total Assets = 2.46 * $9,600,000 = $23,616,000.

3. We are given that the Return on Assets (ROA) is 12%. ROA = Net Income / Total Assets. We can rearrange this equation to find Net Income: Net Income = ROA * Total Assets = 0.12 * $9,600,000 = $1,152,000.

4. Calculate the Profit Margin: Profit Margin = Net Income / Sales = $1,152,000 / $23,616,000 = 0.0488 or 4.88% when rounded to two decimal places.

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