The statement "a blended capitalization rate is the capitalization rates that would be used for the properties in a portfolio" is true because the capitalization rate is metric to evaluate return on investment.
When an investor has a portfolio of multiple properties, each with its own cap rate, a blended capitalization rate can be calculated to provide an overall measure of the portfolio's performance. By averaging the individual cap rates, the blended capitalization rate helps investors to understand the overall risk and potential return of their property investments as a whole, rather than focusing on individual properties.
This approach can be useful for comparing different investment portfolios or for making strategic decisions about managing an existing portfolio.
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If there is a good that is consumed almost entirely by children, a significant reduction in the birth rate would:________
If there is a good that is consumed almost entirely by children, a significant reduction in the birth rate would move its demand curve to the left.
What is a demand curve?Basically, a demand refers to the quantity of a good that consumers are willing and able to purchase at various prices during a given time. For this demand, the curve is a sort if graphical representation of the relationship between the price of a good or service and the quantity demanded for a given period of time such as a year.
When the demand curve move to the left, this indicates a decrease in demand because the consumers are purchasing fewer products for the same price. Some other causes are when Consumers spend less because the cost of living is rising or because government taxes have increased or decide to spend less and save more if they expect prices to rise in the future.
In conclusion, when there is a good that is consumed almost entirely by children, a significant reduction in the birth rate would move its demand curve to the left.
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As the owner of G&G Consulting, Rick is responsible for activities that are directly connected to the company's goals and sources of its competitive advantage Based on the scenario, Rick is Multiple Choice a. functioning in a central b. controlling the agenda c. building alliance d. controlling uncertainty e. focusing on generating resources
Based on the scenario provided, Rick is functioning in a central role as the owner of G&G Consulting.
He is responsible for activities that are directly connected to the company's goals and sources of its competitive advantage, which indicates that he is at the center of decision-making and directing the company's efforts towards achieving success.
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Which tasks would be performed by someone in an Administration and Information Support career?
analyzing information to predict future sales and supervising others
answering telephone calls and filing paperwork
training employees and administering employee benefits
hiring and firing employees and approving budgets
Answer:
B. Hope this helps my friend!
Explanation:
Answer:
anwer is B
Explanation:
Why is it important for people to maintain a good credit history?
A. So that it's easier to list the expenses on their personal budget
B. So that the IRS won't investigate them for tax fraud
C. So that they know all of the fees associated with their credit cards
D. So that they have an easier time getting loans and credit cards
Answer:
D. So that they have an easier time getting loans and credit cards
Explanation:
A credit score is a three-digit numerical that communicates reliability in debt repayments. Credit scores range between 300 to 850. Lenders seek to find the credit score for a borrower before advancing credit facilities to them. A higher credit score indicates a borrower is less likely to default on a loan.
Maintaining a high credit score enables one to obtain credit with relatively easy and at lower interest rates. Lenders feel comfortable extending credit to a customer with a high credit score. They consider them a low-risk borrower.
Which of the following statements would come from someone classified as unemployed? Question 25 options: I can't stand my current job as a telemarketer. I used to be a nuclear engineer. I'm a full-time student at the University of Illinois who doesn't have time to work. I'm not working because I'm going to Jamaica with my buddy. I'm not working. I had three interviews this week, and I'm trying to find a job. I haven't had a job in a year, and I stopped looking for a job nine months ago.
Answer:
I'm not working. I had three interviews this week, and I'm trying to find a job.
Explanation:
Unemployment rate refers to the percentage of the total labor force in an economy, who are unemployed but seeking to be gainfully employed. The unemployment rate is divided into various types, these include;
I. Natural Rate of Unemployment (NU).
II. Frictional unemployment rate (FU).
III. Structural unemployment rate (SU).
IV. Actual unemployment rate (AU).
V. Cyclical unemployment rate (CU).
The statement which would come from someone classified as unemployed is; I'm not working. I had three interviews this week, and I'm trying to find a job.
3. Why are many resources allocated through markets?
a. Because there are not enough resources to satisfy everyone's desires.
b. Because greedy people don't leave enough for others.
c. Because price is the best determinant of individual wealth.
d. Because resources are so abundant price can help us choose amongst them.
Answer:
d. Because resources are so abundant price can help us choose amongst them.
Explanation:
Different markets would value the same item at different prices, and buyers can compare prices to buy the desired item at its lowest cost (in order to save money)
Which of the following is a job evaluation method that can group a wide range of work together in one system but leave too much room for manipulation?
A) Ranking
B) Point
C) Scaling
D) Classification
Classification is a job evaluation method that can group a wide range of work in one system but leave too much room for manipulation. Option D is the correct answer.
Classification is a job analysis method that groups a wide range of work in one system but leaves too much room for manipulation. In the job analysis process, the goal of classification is to group positions into different job classes, each of which has similar responsibilities and requirements, for ease of analysis and review.
Therefore, Option D is a job evaluation method that can group a wide range of work in one system but leave too much room for manipulation.
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Does the Federal Reserve pay taxes?
Answer:
Federal Reserve banks are exempt from paying taxes at the federal, state and local levels, except on real estate holdings. This is because of rules on taxation set forth in Section 7(c) of the Federal Reserve Act.
Explanation:
What is a contingency plan?
Answer:
Um plano de contingência é um tipo de plano preventivo, preditivo e reactivo.
Apresenta uma estrutura estratégica e operativa que ajudeá a controlar uma situação de emergência e a minimizar as suas consequências negativas.
O plano de contingência propõe uma série de procedimentos alternativos ao funcionamento normal de uma organização, sempre que alguma das suas funções usuais se vê prejudicada por uma contingência interna ou externa.
HELP! i need help with this brochure project for economics and personal finance. its about Understanding Checking and Debit Accounts can someone please give me the information or something for it or if u have already done it can you please give it to me.
the document has all the information.
Answer:
PLEASE DO YOU HAVE IT NOW I NEED IT ASAPP
Explanation:
please I need to graduate
Reporting Cash Tina Company has the following items at year-end. Currency and coin in safe. $4,100 Funds in savings account (requires $2,500 compensating balance) 26,540 Funds in checking account 6,750 Traveler’s checks 625 Postdated check 1,250 Not-sufficient-funds check 1,880 Money market fund 35,100 Required Identify the amount of the above items that should be reported as cash and cash equivalents on Tina Company’s balance sheet. Cash and Cash Equivalents = $
The amount that should be reported as cash and cash equivalents on Tina Company's balance sheet is $47,715.
To determine the amount of cash and cash equivalents on Tina Company's balance sheet, we need to consider the nature of each item and whether it meets the definition of cash or cash equivalents. Cash and cash equivalents are highly liquid assets that are readily convertible into known amounts of cash and have a short maturity period, typically three months or less.
The items that should be reported as cash and cash equivalents are as follows:
1. Currency and coin in safe: This item qualifies as cash and should be included. The amount is $4,100.
2. Funds in checking account: This account balance represents readily available cash and should be included. The amount is $6,750.
3. Traveler's checks: These checks are considered cash equivalents as they can be easily converted into cash. The amount is $625.
4. Money market fund: Money market funds are highly liquid and have a short maturity period, making them cash equivalents. The amount is $35,100.
Therefore, the total amount of cash and cash equivalents is $4,100 + $6,750 + $625 + $35,100 = $47,575.
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During the byzantine empire, the use of religious images in worship and art became a topic of great debate in the christian church. What title was later given to this debate?.
The debate over the use of religious images in worship and art during the Byzantine Empire is known as the Iconoclastic Controversy.
This controversy centered around whether or not the use of religious images, or icons, was appropriate and in line with Christian doctrine. Some argued that the use of icons was a form of idolatry, while others believed that they were important aids to worship and veneration of holy figures.
The controversy led to the destruction of many religious images, as well as the persecution of those who supported their use. Eventually, the controversy was resolved in favor of the use of religious images, with the Seventh Ecumenical Council affirming their importance in Christian worship.
The debate over religious images had a significant impact on the development of Byzantine art and theology, and its legacy can still be seen today in the use of icons in Eastern Orthodox Christianity.
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A visual depiction of the subassemblies and components that are needed to produce and/or assemble a product is called a(n):
A) Assembly time chart B) Product structure tree C) MRP II
D) Pegging E) Gantt Chart
A Gantt chart is a visual representation of the subassemblies and components that are required to produce and/or assemble a product. Option E
It provides a timeline view of the project, outlining each task or component required, and the duration of time it will take to complete each step.
The Gantt chart is an essential tool in project management and is widely used across industries. It allows project managers to plan, schedule, and track progress of a project in a visual format that is easy to understand.
By breaking down the project into its subcomponents and tasks, project managers can identify potential bottlenecks and dependencies, ensuring that everything is in place to keep the project on track.
In summary, a Gantt chart is a powerful tool that helps project managers to plan and visualize the subassemblies and components required to produce and/or assemble a product. It is an essential tool for any project manager looking to streamline their operations, minimize costs, and maximize efficiency. So the correct answer is Option E.
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a method for managing pollution in which a limit is placed on emissions and businesses or countries can by and sell emissions allowances
The policy's reaction establishes a cap-and-trade emissions standard that lowers outflows, In a cap-and-trade system.
It is a market tool wherein a government sets a "limit" or cut-off on the total amount of ozone-harming compounds that may be released. Producers of ozone-depleting substances would be required to pay for each considerable amount of carbon dioxide or carbon dioxide equivalent1 that they emit under such a strategy. For instance, those from power plants, by establishing a market and setting a limit on contamination. Limiting outflows and charging for them is the best environmental solution, both ecologically and financially. Cap-and-trade is a technique for achieving both. The policy's reaction establishes a cap-and-trade emissions standard that lowers outflows, The public authority establishes an outflows cap and distributes a number of emanation stipends in accordance with that cap under a cap-and-exchange structure.
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On January 1, 2019, Billips Corporation purchased equipment having a fair value of $72,054.94 by issuing a $90,000 note, payable in three $30,000 annual installments beginning December 31, 2019.
Required:
Prepare:
a. the journal entry to record the purchase of the equipment.
b. a schedule to compute the annual interest expense.
c. the journal entries to record yearly interest expense and note repayments over the life of the note.
Answer:
a. the journal entry to record the purchase of the equipment.
January 1, 2019, equipment is purchased
Dr Equipment 72,054.94
Dr Discount on notes payable 17,945.06
Cr Notes payable 90,000
b. a schedule to compute the annual interest expense.
Since we are not given any type of interest rate to compute the amortization of the discount of notes payable using the effective interest method, I will use straight line amortization. Amortization of interest expense per year = $17,945.06 / 3 = $5,981.68
interest expense for year 1 = $5,981.68, carrying value of discount on notes payable = $11,963.38interest expense for year 2 = $5,981.68, carrying value of discount on notes payable = $5,981.70interest expense for year 3 = $5,981.70.c. the journal entries to record yearly interest expense and note repayments over the life of the note.
December 31, 2019, accrued interest expense
Dr Interest expense 5,981.68
Cr Discount on notes payable 5,981.68
December 31, 2020, accrued interest expense
Dr Interest expense 5,981.68
Cr Discount on notes payable 5,981.68
December 31, 2021, notes payable is paid off
Dr Notes payable 90,000
Dr Interest expense 5,981.70
Cr Cash 90,000
Cr Discount on notes payable 5,981.68
Identify from the dialogue the negotiation category the buyers of the Department of Health might undertake with a relevant example and the circumstance for the negotiation with a relevant example from the case study
In the given scenario, the buyers of the Department of Health may undertake the negotiation category of "Price Negotiation" and "Contract Negotiation" with relevant examples and circumstances.
1. Price Negotiation: Price negotiation involves discussing and bargaining over the cost of a product or service. In the context of the Department of Health, the buyers may negotiate the price of medical equipment or supplies with suppliers. For example, they could negotiate the price of a large quantity of face masks needed for healthcare workers during a pandemic. The circumstance for this negotiation could be to secure a lower price to ensure cost-effectiveness and efficient allocation of the department's budget. 2. Contract Negotiation: Contract negotiation involves negotiating the terms and conditions of a contract between two parties.
In the case study of the Department of Health, the buyers may undertake contract negotiations with healthcare providers or pharmaceutical companies. For instance, they could negotiate the terms of a contract with a hospital to provide healthcare services to the community. The circumstance for this negotiation could be to ensure the contract includes appropriate provisions regarding the quality of care, reimbursement rates, and duration of the agreement.
These negotiation categories, price negotiation and contract negotiation, are commonly encountered by the buyers in the Department of Health. By engaging in these negotiations, the department can secure favorable prices for essential medical supplies and ensure that contracts with healthcare providers meet the needs of the community while maintaining cost-efficiency.
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Arturo is deciding between two jobs. At Company A, the base pay is $42,000, and there is a 60% chance of getting a $4,000 bonus. At Company B, the base pay is $38,000, and there is a 30% chance of getting a $25,000 bonus. Find the expected total pay for each job. Which job has the greater expected pay
The expected total pay for Job A is $45,200, while the expected total pay for Job B is $39,700. Therefore, Job A has the greater expected pay.
To calculate the expected total pay for each job, we need to multiply the probabilities of receiving the bonus by the corresponding bonus amounts and add them to the base pay.
For Job A:
Expected bonus = 60% of $4,000 = $2,400
Expected total pay = Base pay + Expected bonus = $42,000 + $2,400 = $45,400
For Job B:
Expected bonus = 30% of $25,000 = $7,500
Expected total pay = Base pay + Expected bonus = $38,000 + $7,500 = $45,500
Comparing the expected total pay for both jobs, we find that Job A has an expected total pay of $45,400, while Job B has an expected total pay of $45,500. Therefore, Job A has the greater expected pay.
It's important to note that the expected total pay is based on the probabilities and bonus amounts provided. The actual pay for each job may vary depending on the specific circumstances and individual performance.
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Drag each label to the correct category. the fictional country of kovasia decides to open its market to foreign businesses. what positive and negative effects will kovasia likely experience? the volume of exports will increase. people may lose jobs to outsourcing. goods and services may become less expensive. domestic products may become less popular.
The positive effect of market opening is that goods and services would be cheaper (option C), while the negative effect is that local products are consumed less (option D).
What is market opening?Market opening is a term that refers to the action of a state to open its economy so that foreign companies send their products to that country.
The opening of the market is an economic activity that brings benefits and harm to the economy of a country because it diversifies the products that are on the market for citizens.
However, it has negative effects such as local products sometimes being the most expensive or losing popularity compared to imported ones, so people consume less of them.
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Answer:
Post Test: The Contemporary World
Explanation:
Positives:
The volume of exports will increase.
Goods and services may become less expensive.
Negatives:
People may lose jobs to outsourcing
Domestic products may become less popular.
What is friendship?? :)
Bye! Y'all!!
Answer:
agree with this
.................................
Answer:
just for fun
Explanation:
real friends are those who open their mouth to just insult there bestij
Who are the majority of businesses in resort towns targeted to?
O
seniors
O
tourists
O
employees
investors
The majority of businesses in resort towns target tourists.
Who is the luxury hotel industry's target customer?As you can see, a wide range of people from across all walks of life who are prepared to pay a little extra for the luxury hotel experience makes up the target audience for luxury hotels.
What advantages come from forming and focusing on prospect groups?Overall, specialization is the main advantage of identifying and pursuing niche markets. Finding more wealthy guests who will gush about your hotel will be easier if you can be more precise with your market segmentation.
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An investor short sells 200 shares of a stock for $ 20.58 per share. The initial margin is 60 % , and the maintenance margin is 27 %. The price of the stock falls to $ 13.12 per share. What is the margin, and will there be a margin call?
a. The margin in the account is nothing %. _______(Round to the nearest percent.)
To calculate the margin in the account, we need to determine the initial margin requirement and the value of the short position.
Short selling price per share (P) = $20.58,Number of shares (N) = 200,Initial margin requirement (IM) = 60%.
Value of the short position = P * N = $20.58 * 200 = $4,116
Initial margin = IM * Value of the short position = 0.6 * $4,116 = $2,469.6
Margin = Value of the short position - Loaned amount = $4,116 - $2,469.6= $1,646.4.To determine if there will be a margin call, we need to compare the margin in the account to the maintenance margin.Maintenance margin (MM) = 27%.
Maintenance margin = MM * Value of the short position = 0.27 * $4,116 = $1,112.92.
Determine if there will be a margin call:If the margin in the account falls below the maintenance margin, there will be a margin call.In this case, the margin in the account is $1,646.4, which is greater than the maintenance margin of $1,112.92.
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Match the types of goods with their characteristics regarding exclusivity and rivalry. The task is to match the lettered items with the correct numbered items. Appearing below is a list of lettered items. Following that is a list of numbered items. Each numbered item is followed by a drop-down. Select the letter in the drop down that best matches the numbered item with the lettered alternatives. a. It can be exclusive or not It can be rival or not b. It is exclusive It is rival c. It is nonexcusive It is nonrival 1. Semiprivate Goods and Services a 2. Private Goods and Services a 3. Public Goods and Services
Answer:
1. Excludability
2. Rivalry in Consumption
3. 4 Different Types of Goods
4. Private Goods
Explanation:
Question 6
Cash flow is divided into two parts: cash
and cash
Answer: Cash Inflows and Cash Outflows
Explanation:
Cash inflows refers to those activities that are bringing cash into the company. These increase the cash balance and include things like sales revenue, share sales or loan acquisition.
Cash outflows take money out of the business and therefore reduce the cash balance. They include expenses, fixed asset acquisitions and investments in other company securities.
10 C What is the effect of education on employment?
The effect of education on Employment is that it increases the employment rate and reduces unemployment
Effect of Education on EmploymentWith proper education, individuals can get the skills needed to to employed as skilled labor and earn a decent amount of money as a salary.
Without education, most people become unemployed and at best even get a job that is not enough to take care of them.
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A. Preparing a cash flow forecast helps a company to avoid __________.
• net losses
• liquidity
• opportunity costs
• higher financing costs
B. Why are ethical issues complicated for businesses that operate in the global economy?
• Because their employees won't know what the laws are in other countries.
• Because they tend to have more employees.
• Because different cultures have different norms and values.
• Because they don't have as much moral character as small, local businesses.
C. The pro forma balance sheet shows how the __________ resulting from a strategic plan will be financed.
• AFN
• equity
• inventory
• sales forecast
1) Preparing a cash flow forecast helps a company to avoid net losses. (Option A)
2) Note that ethical issues are complicated for businesses that operate in the global economy "Because different cultures have different norms and values." (Option C)
3) The pro forma balance sheet shows how the AFN resulting from a strategic plan will be financed. (Option A)
What is AFN?In finance, AFN means Additional Funds Needed.
Additional funds required (AFN) is a financial term that is utilized when a company wants to expand its activities. Because a company that wants to raise its sales would need more assets to do so, some needs to be made to handle the rise in assets.
This may be determined using mathematical methods that employ inputs from a company's financial accounts.
AFN = projected rise in assets - spontaneous increase in liabilities - any increase in retained profits, is the simpler calculation.
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Did NAFTA hurt Mexican farmers?
NAFTA had policies under which the prices of corn crop reduced abruptly to about 66% of its actual price due to which many had to abort farming and find new job to earn money.
NAFTA refers to North American Free Trade Agreement. It was established as free trade zone in North American countries such as Canada, Mexico and United States. It helped to increase trade, generate economic output, attract foreign investment, and ensure better consumer prices. However, in the years 1997 to 2007, there was great economic instability in the world. There was loss of manufacturing units, and Mexico which was a majorly corn producing nation, found it difficult to incur the money which the farmers had invested in farming.
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If the company issues common stock of $5,000 and pay dividends of $40,900, how much is net income (loss)?
Answer:
1. $13,000
2. $34,000
3. $52,200
4. $28,100
5. $13,700
6. ($18,500)
Explanation:
Hi, I have attached the full question as pdf below
The Accounting equation is stated as :
Assets = Equity + Liabilities
also stated as,
Equity = Assets - Liabilities
therefore,
1. Equity = $29,000 - $16,000 = $13,000
2. Equity = $63,000 - $29,000 = $34,000
now
Beginning Equity + Common Stock Issue + Net Income - Dividends = Ending Equity
where,
Beginning Equity = $13,000 (calculated)
Ending Equity = $34,000 (calculated)
therefore,
3. Net Income = $34,000 +$36,700-$13,000-$5,500 = $52,200
4. Common Stock = $34,000 + $8,100 - $13,000 - 1,000 = $28,100
5. Dividends = $13,000 + $16,700 + $18,000 - $34,000 = $13,700
6. Net (Ioss) = $34,000 - $13,000 - $41,100 + $1,600 = ($18,500)
A large public corporation in the telecommunications industry has become so powerful that it uses its vast resources to prevent other companies from entering the market as a competitor. the federal courts determine the company to be an illegal monopoly and order it to be split into multiple separate corporations. why
is this government action considered appropriate in americas free market economy?
A. in a free market economy, it is important for wealth to be distributed evenly.
B. by acting to disband a monopoly, the government is actually protecting competition and the free market.
C. the government has extraordinary power to step in and intervene in cases dealing with public corporations.
D. despite popular belief, America is not meant to have a free market economy.
Answer:
by acting to disband a monopoly, the government is actually protecing competition and the free market
Explanation:
Fees received by a hospital for a "healthy heart" workshop offered to patients should be reported as:a. Other revenue.b. Administrative service revenue.c. Patient service revenue.d. Nonoperating gains.
Fees received by a hospital for a "healthy heart" workshop offered to patients should be reported as patient service revenue. The correct answer is option (c).
Patient service revenue represents the primary revenue stream for a healthcare organization and includes the fees charged for services directly related to patient care. In this case, the "healthy heart" workshop is a service provided to patients with the aim of promoting cardiovascular health. As such, the fees collected from patients for participating in the workshop would fall under patient service revenue. Administrative service revenue typically refers to fees earned for administrative or support services provided to other entities, such as consulting or management services.
Other revenue encompasses miscellaneous income that is not directly related to patient care or administrative services. It typically includes items such as investment income or donations. However, since the workshop is a service provided to patients, it should be categorized under patient service revenue rather than other revenue. Nonoperating gains generally refer to revenue from activities that are not directly related to the core operations of the hospital, such as gains from the sale of assets or investments. Hence option (c) is the correct answer.
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economic development that meets the needs of the present without compromising the needs of future generations is called
Development that is sustainable is one which satisfies existing demands without jeopardizing the capacity of future generations to satisfy their own needs.
What is social development that is sustainable?It is seen as a non-declining public value that accounts for activity-related technological, ecological, and social constraints. In order to be sustainable, development must not only promote economic growth but also ensure that economic activity is compatible with social, environmental, and intellectual concerns.
What are the definition and guiding principles of the green economy?In a green economy, infrastructure and assets that enable decreased carbon emissions and pollution, improved energy and resource efficiency, and the prevention of the loss of biodiversity and ecosystem services are what generate growth in employment and income.
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