The resort would have followed a proper risk management process by identifying the risk associated with the freestyle jump, analyzing its severity and likelihood, implementing control measures through signage, and transferring the responsibility to users through the sports liability waiver and lift ticket purchase.
1) Risk identification: The resort would have identified the risk associated with using the freestyle jump in the Terrain Park, recognizing the potential for injuries and accidents.
2) Risk analysis: The resort would have analyzed the identified risk to assess its severity and likelihood, considering factors such as the nature of the activity, the skill level required, and the potential consequences of accidents.
3) Risk control: The resort would have implemented measures to control the identified risk, such as posting large signs at the entrance of the Terrain Park, explicitly stating that freestyle skills are required and users assume the risk of injury.
4) Risk treatment (transfer of responsibility): The resort would have taken steps to transfer the responsibility of the risk to the users by displaying the sports liability waiver terms in the ticket office through a poster and requiring the purchase of a lift ticket, which serves as an acknowledgment of the waiver.
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a is a temporary team or committee designed to solve a short-term problem involving several departments.
The team or committee in question is commonly known as a task force. Task forces are assembled for the purpose of addressing specific problems or challenges that require input and expertise from multiple departments or areas of the organization.
These teams typically have a defined timeline and scope, and are disbanded once the issue has been resolved or the goal has been achieved. It's worth noting that task forces can vary in size and composition depending on the nature of the problem they're addressing. They may include representatives from different departments or functional areas, as well as subject matter experts or outside consultants. The task force may also be led by a project manager or coordinator who is responsible for keeping the team on track and ensuring that all stakeholders are kept informed.
Overall, task forces can be an effective way to bring together diverse perspectives and expertise to solve complex problems and achieve specific goals within a defined timeframe.
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I WILL GIVE BRAINLIEST!!!
A wholesaler-especially one that promotes as well as physically distributes
products or that has an exclusive agreement is often called a
O A distributor
B. manufacturer's sales branch
O C. broker
D. drop shipper
Answer:
A . Distributor
Explanation:
I just had this question lol >.<
- mark me brainliest :0
A distributor acts as a link in the supply chain or distribution channel between a manufacturer, who produces a product, and an entity further down the line. The downstream company can either be a wholesaler or retailer, known as a value-added reseller (VAR).
Thus, option A is Correct.
What is the distributor's procedure?A distributor purchases products from a producer and sells them to customers, occasionally via stores in the distribution channel. Distributors can sell goods directly to consumers or to other firms, depending on the good or service.
A distributor is a company that buys non-competing products or product lines and resells them to customers directly. The majority of distributors also provide a range of services, including service, technical support, and warranty protection. Distributors are essential in assisting manufacturers in reaching markets that they would not otherwise be able to approach.
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What are the two main factors that contribute to how much interest is paid on a mortgage loan?
The two main factors that contribute to how much interest is paid are the time period and credit score of the person taking the mortgage.
The other factors that the mortgage loan depends on are :
The location of the property.Whether the price of the property is high or low.The down payment was paid for the property.The current interest rates that are already prevailing in the market.The time period of the mortgage.The type of loan you require.When searching for a lender to get a mortgage from, most borrowers will choose the lender that offers the lowest mortgage interest rate. The lower the interest rate the less expensive will be the monthly payment. So over the period, the borrower will be able to save money.
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Pastina Company sells various types of pasta to grocery chains as private label brands. The company's reporting year-end is December 31. The unadjusted trial balance as of December 31, 2021, appears below.
Account Title Debits Credits
Cash35,500
Accounts receivable43,000
Supplies3,000 Inventory63,000
Notes receivable23,000
Interest receivable0
Prepaid rent2,500
Prepaid insurance9,000
Office equipment92,000
Accumulated depreciation 34,500
Accounts payable 34,000
Salaries payable 0
Notes payable 53,000
Interest payable 0
Deferred sales revenue 3,500
Common stock 81,000
Retained earnings 36,000
Dividends7,000
Sales revenue 161,000
Interest revenue 0
Cost of goods sold85,000
Salaries expense20,400
Rent expense12,500
Depreciation expense0
Interest expense0
Supplies expense2,600
Insurance expense0
Advertising expense4,500
Totals 358,600 358,600 Information necessary to prepare the year-end adjusting entries appears below.1. Depreciation on the office equipment for the year is $10,300.2. Employee salaries are paid twice a month, on the 22nd for salaries earned from the 1st through the 15th, and on the 7th of the following month for salaries earned from the 16th through the end of the month. Salaries earned from December 16 through December 31, 2021, were $900.3. On October 1, 2021, Pastina borrowed $50,600 from a local bank and signed a note. The note requires interest to be paid annually on September 30 at 12%. The principal is due in 10 years.4. On March 1, 2021, the company lent a supplier $20,600 and a note was signed requiring principal and interest at 8% to be paid on February 28, 2022.5. On April 1, 2021, the company paid an insurance company $6,600 for a one-year fire insurance policy. The entire $6,600 was debited to prepaid insurance.6. $560 of supplies remained on hand at December 31, 2021.7. A customer paid Pastina $2,300 in December for 900 pounds of spaghetti to be delivered in January 2022. Pastina credited deferred sales revenue.8. On December 1, 2021, $1,200 rent was paid to the owner of the building. The payment represented rent for December 2021 and January 2022 at $600 per month. The entire amount was debited to prepaid rent.Prepare closing entries.
The necessary December 31, 2021, adjusting journal entries are: Debit Depreciation expenses $10,300, Credit Accumulated depreciation $10,300.
Journal entriesPastina Company Adjusting entries
Debit Depreciation expenses $10,300
Credit Accumulated depreciation $10,300
Debit Wages expense $900
Credit Wages payable $900
Debit Interest expense $1,518
($50,600 × 12% × 3/12)
Credit Interest payable $1,518
Debit Interest receivable $1,373
($20,600 × 8% × 10/12)
Credit Interest revenue
Debit Prepaid insurance $4,125
($6,600 × 15/24)
Credit Insurance expense $4,125
Debit Supplies expense $340
($900 − $560)
Credit Supplies $340
Debit Sales revenue $2,300
Credit Unearned revenue $2,300
Debit Rent expense $600
Credit Prepaid rent $600
Therefore the necessary December 31, 2021, adjusting journal entries are: Debit Depreciation expenses $10,300, Credit Accumulated depreciation $10,300.
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What are two major advantages and two major disadvantages of having unions in the United
States? Explain each advantage or disadvantage.
Answer:
two major advantages of unions:
1. we get more items from different countries
2. Unions promote higher wages and better benefits
two major disadvantages:
1. Labor unions discourage individuality
2. Unions can drive up costs as well as making it harder to promote and terminate workers.
Suppose Congress changed the tax laws so that Berndt's depreciation expenses doubled. No changes in operations occurred. What would happen to reported profit and to net cash flow
Suppose Congress changed the tax laws so that Berndt's depreciation expenses doubled. No changes in operations occurred. What would happen to reported profit and to net cash flow taxable income would fall to zero, taxes would be zero, and net cash flow would rise.
An asset loses value over time as a result of use, damage, or obsolescence. Depreciation is the measurement for this decline. Description: A loss in an asset's value, or depreciation, can also be brought on by other reasons like bad market conditions, etc.
The base of an income tax system is referred to as taxable income. In other words, the amount of revenue that was subject to taxation. In general, it comprises all or a portion of the items of income and is lessened by costs and other deductions.
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Radovilsky Manufacturing Company, in Hayward, California, makes flashing lights for toys. The company operates its production facility 300 days per year. It has orders for about 12,000 flashing lights per year and has the capability of producing 100 per day. Setting up the light production costs $50. The cost of each light is $1. The holding cost is $0.10 per light per year.
Answer:
The right solution is:
(a) 4,272 units
(b) $134.16
(c) $134.17
(d) $12,268.33
Explanation:
Seems that the given question is incomplete. The attachment of the complete question is provided below.
According to the question, the values are:
Annual demand,
D = 12,000
Number of days,
= 300
Daily demand,
d = \(\frac{12000}{300}\)
= 40
Production rate,
P = 100
Ordering cost,
S = $50
Holding cost,
H = $0.10
(a)
The production run's optimal size will be:
Q = \(\sqrt{\frac{2DS}{H(1-\frac{d}{P} )} }\)
By putting the values, we get
= \(\sqrt{\frac{2\times 12000\times 50}{0.10\times (1-\frac{40}{100} )} }\)
= \(\sqrt{20,000,000}\)
= \(4,471.14\)
or,
= \(4,472 \ units\)
(b)
The average holding cost will be:
= \(\frac{Q}{2}\times H\times [1-\frac{d}{P} ]\)
= \(\frac{4472}{2}\times 0.10\times [1-\frac{40}{100} ]\)
= \(134.16\) ($)
(c)
The average setup cost will be:
= \(\frac{D}{Q}\times S\)
= \(\frac{12000}{4472}\times 50\)
= \(134.17\) ($)
(d)
The total cost per year will be:
= \(Avg. \ holding \ cost+ Avg. \ setup \ cost+Cost \ of \ purchase\)
= \(134.16+134.17+(1\times 12000)\)
= \(12,268.33\) ($)
what type of event is an agent conducting when he presents plan information that includes benefits and cost sharing in an audience-presenter format?
Considering the marketing strategies ideas, the type of event an agent is conducting when he presents plan information that includes benefits and cost-sharing in an audience-presenter format is "Formal marketing/sales events."
This is because Formal marketing/sales events are a type of marketing sales event that is created or structured in a formal or an audience and presenter style.
It is usually done in a way that involves the salesperson giving plan-specific information via a content management system.
It also involves the presentation styles called carrier-approved sales presentations, talking points, and marketing materials.
Hence, in this case, it is concluded that the correct answer is "Formal marketing/sales events."
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In the United States, there are various forms of economic oversight that are performed by the government. Sometimes the government will step in when they feel the need to encourage competition in a particular industry and to break up companies that have nearly complete control over a particular market. What is this called when the government initiates action against companies that appear to have too much power?
Antitrust laws initiate action against companies that appear to have too much power.
Antitrust laws are rules that promote competition by restricting a firm's ability to dominate the market. This frequently entails dismantling monopolistic enterprises as well as making sure mergers and acquisitions don't excessively concentrate market power.
Additionally, cartels or groups of companies working together to restrict competition through tactics like price fixing are prohibited by antitrust laws. Antitrust law has developed into distinct legal expertise as a result of the difficulty in determining what actions may restrict competition.
Federal antitrust laws are currently enforced by the Federal Trade Commission, often in cooperation with the Department of Justice.
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Which type of networking doesn't require a password to access
A Wi-Fi network connection with Wi-fi protected setup (WPS) for a home or a small environment doesn't require a password to access the networking system.
What is a password?Password is a code that helps in securing the data maintained on a computer or laptop. it also helps in securing the data from any unauthorized access.
WPS is a kind of network security that enables a protected wireless network for a home or a small surrounding. It allows a faster network connection between a router and any portable wireless device.
Therefore, the Wi-Fi network with WPS security requires no password to access the network.
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What are two things a good investment might do?
Answer: With a good investment there should be very little chance of losing the total amount invested. Good investment ideas will hold their value or increase in value for a long time. The way any investment product is structured and regulated should offer investors protection.
Explanation:
Good investment must contain
Long term planPast records The fund where you invest must have good past records of benifit.If it has Andy fraud records of misleading money you shouldn't invest thereAlso the growth rate must be measured for long term interest and benifitsUnder what conditions would the APC equal the MPC at all levels of disposable income? Can you explain each correct and incorrect answers?
When autonomous consumption equals 0.
When there is saving at very high levels of disposable income.
When disposable income is greater than consumption.
When the aggregate expenditure line is horizontal.
The condition under which the Average Propensity to Consume (APC) equals the Marginal Propensity to Consume (MPC) at all levels of disposable income is when autonomous consumption equals 0.
APC is the ratio of total consumption to total disposable income, while MPC is the change in consumption resulting from a change in disposable income. When autonomous consumption equals 0, it means that there is no consumption that occurs independently of disposable income. In this case, consumption only depends on the level of disposable income.
In this situation, the consumption function can be written as C = MPC × Yd (where C is consumption, Yd is disposable income, and MPC is the Marginal Propensity to Consume). Since APC is defined as C/Yd, when autonomous consumption equals 0, we get APC = (MPC × Yd) / Yd, which simplifies to APC = MPC.
Incorrect scenarios:
1. When there is saving at very high levels of disposable income: This does not guarantee that APC equals MPC at all levels of disposable income, as the relationship between consumption and income could still be nonlinear.
2. When disposable income is greater than consumption: This condition simply means that savings are positive, but it does not imply that APC equals MPC at all levels of disposable income.
3. When the aggregate expenditure line is horizontal: This situation implies that the economy has a constant level of aggregate expenditure, regardless of the level of income. It does not guarantee that APC equals MPC at all levels of disposable income, as it does not account for the relationship between consumption and disposable income. The correct option is when autonomous consumption equals 0.
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define sale trading
Answer:
A trade sale is the sale of a company, or part of a company, to another business that will carry on the company's trade
which kind of budget will cause the largest increase in a country's national debt
true or false? group insurance is a type of private insurance that anticipates a large group of individuals will purchase insurance through their employer and the risk is spread among those paying individuals.\
This is untrue; group insurance is a form of private insurance that assumes a sizable number of people will purchase insurance through their employer, distributing the risk among those paying individuals.
The majority of people have some sort of insurance, whether it is for their life, their home, or their car. However, the majority of us don't really take insurance the time to consider what insurance is or how it risk operates.
Simply put, insurance is a contract, represented by a policy, under which a policyholder receives monetary protection or payment from an insurance firm against losses. To make payments more manageable for risk the insured, the company pools the risks of its clients.
Insurance policies are used as a hedge against the risk of monetary losses, both large and minor, that may arise from harm to the insured or their insurance property, or from liability for damage or injury given to a third party.
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35 points!!!111
Outlining involves arranging topics or ideas in relationship to each other. Please select the best answer from the choices provided T F
Answer:
TRUE
Explanation:
Answer:
Honestly, you're lying about the 35 points thing...
But the answer is TRUE
the average tax rate required to service the public debt is roughly measured by:
The average tax rate required to service the public debt is roughly measured by the Debt Service Ratio.
The Debt Service Ratio is a measure that relates the government's interest payments on its public debt to its total tax revenue. It represents the percentage of tax revenue that is required to service the interest payments on the public debt.
The formula for calculating the Debt Service Ratio is:
Debt Service Ratio = (Interest Payments on Public Debt / Total Tax Revenue) * 100
By dividing the interest payments on the public debt by the total tax revenue and multiplying by 100, we get the Debt Service Ratio as a percentage.
The Debt Service Ratio provides an indication of the proportion of tax revenue that is allocated to servicing the public debt. A higher ratio indicates a larger burden on taxpayers, as a larger portion of tax revenue is needed to pay the interest on the debt. Conversely, a lower ratio suggests a smaller burden, with less tax revenue being used for debt servicing.
It is important to note that the Debt Service Ratio provides a rough measure of the average tax rate required to service the public debt. It assumes that all tax revenue is used solely for debt servicing, which is an oversimplification. In reality, tax revenue is also used for other government expenditures and programs.
The average tax rate required to service the public debt is roughly measured by the Debt Service Ratio. This ratio calculates the proportion of tax revenue allocated to paying the interest on the public debt. However, it should be recognized that the Debt Service Ratio provides a simplified measure and does not capture the full complexity of government finances and the allocation of tax revenue.
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Give an example of a time where you used Physical Capital to make or create something.
Answer:
cash is one example of a physical capital
Explain,using PED,why a company might introduce a policy of raising travel fares at peak times and lowering travel fares at non peak time ?
Using Price Elasticity of demand or (PED) a company might introduce a policy of raising travel fares at peak times because :-
Understanding the 'elasticity of demand' that is pertinent in this situation. Applying price elasticity of demand demonstrates the relationship between the impact of raising fares during busy periods and changes in total revenue, as well as the impact of reducing fares during less busy periods and changes in total revenue.
The quantity demanded of a good or service divided by the percentage change in price is the price elasticity of demand. The percentage change in quantity supplied divided by the percentage change in price represents the price elasticity of supply.To learn more about Price Elasticity of demand, click the links
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The _____ environment includes the people and groups with whom an organization interacts.
The general environment includes the people and groups with whom an organization.
What do you understand about the environment?The environment can be defined as a total of all the living and non-living elements and their effects that influence human life. While all living or biotic elements are animals, plants, forests, fisheries, and birds, non-living or abiotic elements include water, land, sunlight, rocks, and air.
The functions of an Environment are: (1) Supplies resources: The environment offers resources for production, It includes both renewable and non-renewable resources. Examples: Wood for furniture, soil, land, etc. (2) Sustains life: The environment includes the sun, soil, water, and air, which are essential for human life, It sustains life by providing genetics and biodiversity. (3) Assimilates waste: Production and consumption activities generate waste, This occurs mostly in the form of garbage. The environment helps in getting rid of garbage.
(4) Enhances the quality of life: The environment enhances the quality of life, Human beings enjoy the beauty of nature which includes rivers, mountains, deserts, etc. These add to the quality of life.
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No real question. But anyone know this answer, If your are a doctor, DO ANY of you know how to bring a frozen person back to life. I looked it up and it said a human that is frozen can be brought back to life, I just want to double-check
Answer:
prob melt them with fire but you gotta be careful because you can burn then if not i guess just use potions or something?
Explanation:
the company decided to create a matrix structure to operate under after the merger. for the most part, managers at medical one would continue to report to the same functional directors they had before, but each manager would also now answer to another director, a region-based efficiency expert (in this case, colleen). this structure tends to be more flexible, allowing quicker adjustments. it also means two chains of command, which can cause stress and power struggles. which organizational behavior is likely to be most negatively affected as a result of the merger
The organizational behavior that is likely to be most negatively affected as a result of the merger and the implementation of a matrix structure is employee motivation.
The introduction of a new reporting structure and the addition of a region-based efficiency expert means that employees may become confused about who they should report to and may feel like their roles and responsibilities are uncertain.
This can lead to a decrease in employee motivation as they may feel that their work is not valued or recognized. Additionally, the potential for power struggles and stress due to the dual chains of command can further demotivate employees.
In order to mitigate these negative effects, it is important for the company to communicate clearly with employees about their roles and responsibilities and ensure that they feel supported and valued in their new reporting structure. Providing opportunities for employee feedback and input can also help to improve motivation and engagement.
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Question: Read this paragraph and identify and write at least five concepts that need concept analysis and operational definition. Explain your choice.
Paragraph: "Industrial processes emit huge amounts of organic compounds, carbon monoxide, hydrocarbons, and chemicals into the air" (Munsif, 2020). Industrial production and operations are responsible for industrial pollution, which makes up a large portion of overall air pollution emissions. Indoor (or domestic) air pollution is caused by the collective actions of people around the world. These include sources, such as transportation, which also constitutes a large percentage of total greenhouse gas emissions. A car, for example, emits greenhouse gasses, such as carbon dioxide, methane, and nitrous oxide (REF). "Pollutants come from human activities, such as cars, trucks, airplanes, marine engines, etc., factories, electric power plants, etc. Nowadays, vehicles on the road constitute the major source of air pollution in populated countries. Road transport accounts for a major source of air pollution. It is specified that road transport is the second source of air emissions up to 28.6% after the industrial use of solvents which is 41.4%." (Munsif, 2020).
Concept analysis and operational definition are necessary to understand which gases are included and what their potential impacts are on the environment and health. An operational definition will help us know what actions can be taken to control the emissions of these gases
Industrial processes:
Concept analysis and operational definition is necessary to understand which processes and industries are being referred to, as not all industries have the same pollution levels and causes. For instance, a paper mill has different emissions and pollutants than a cement factory. Therefore, which industries are included in the industrial process is essential to know. Also, operational definition of industrial processes will give clarity on what steps can be taken to reduce emissions and pollutants in each type of industrial process.
Organic compounds:
Concept analysis is required to determine which organic compounds are emitted and what their impact is on the environment and health. While operational definition of organic compounds is needed to establish a common understanding of what organic compounds are being referred to, as this is a broad term.
Carbon monoxide:
Concept analysis and operational definition are required to understand its impact on the environment and health. Also, an operational definition will help us know where it is emitted from, and how it can be controlled.
Hydrocarbons:
Concept analysis and operational definition are required to understand which hydrocarbons are being referred to, how they impact the environment, and their potential for causing health problems.
Collective actions:
Concept analysis and operational definition are necessary to understand what actions are being referred to, and how they impact air pollution. Also, operational definition will help us identify what steps can be taken to reduce the collective impact of these actions.
Greenhouse gases:
Concept analysis and operational definition are necessary to understand which gases are included and what their potential impacts are on the environment and health.
An operational definition will help us know what actions can be taken to control the emissions of these gases.
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Which descriptions offer examples of Marketing Information Management and Research workers? Check all that apply.
a-Amelia gathers and analyzes information about a company's competitors and target market to determine its
market strategy.
b-Donna meets with people in person and on the phone to ask them survey questions.
c-Nick arranges products in a store for customers to see.
d-Otis calls customers on the phone to sell them products.
e-Sung writes survey questions and analyzes the information gathered from them.
f-Ginger schedules product shipments and organizes the workers and activities in a warehouse.
Answer:
A,B, and E
Explanation:
Got right on edge
Descriptions that offer examples of Marketing Information Management and Research workers are Amelia gathers and analyzes information about a company's competitors and target market to determine its market strategy, Donna meets with people in person and on the phone to ask them to survey questions, Sung writes survey questions and analyzes the information gathered from them. Option (A) (B) and (E) are correct.
What do you mean by Marketing?The activity, set of institutions, and processes for making, communicating, delivering, and changing offerings that have value for customers, clients, partners, and society at large are referred to as marketing.
A target market is a group of people that have been determined as the most likely possible customers for merchandise because of their shared characteristics such as age, income, and lifestyle.
Therefore, Options (A) (B), and (E) are correct.
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HELP PLEASE:)
to get the most accurate savings figures, which item should you vary when you are comparing 2 loans from separate banks?
A. the APR should be different
B. the number of years it takes to pay it off
C. fixed and variable rates
D. nothing should be varied
I Think its answer C: Fixed and Variable rates
What levels of risk does investing in the stock generally carry
medium
medium, high,
low, high
or low?
Low, high levels of risk does investing in the stock generally carry. Over the long term, stocks have the highest potential for growth for investors. Investors who have chosen to hold onto stocks for an extended length of time—say let's 15 years.
Typically been rewarded with robust, profitable returns. Utilize your associated banking account to open a risk and trading account. Access that trading account. Choose the shares you want to purchase or sell. Make sure you have the necessary investing funds in your account to purchase the shares stocks. taking dividends in— Many stocks distribute dividends, which are based on the company's earnings per share.
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Which loan or loans listed below are awarded based on the financial need of the student?
Answer:
B) 1 and 2. I just took the quiz
Explanation:
Answer:
f me
Explanation:
What may happen if your job does not require you to use the aptitudes you possess?
A restaurant owner purchased a new dishwasher for $3,500.00.
She paid 20% down and financed the balance with a 12-month fixed installment loan with an APR of 8.5%.
Determine the total finance charge and monthly payment for the loan.
Total Finance Charge=$130.64; Monthly Payment=$244.22
Total Finance Charge=$138.32; Monthly Payment=$244.26
Total Finance Charge=$182.70; Monthly Payment=$306.89
Total Finance Charge=$215.32; Monthly Payment=$251.28
The total finance charge for the loan is $215.32, and the monthly payment amount is $251.28. This can be calculated by taking into account the 20% down payment and the 12-month fixed installment loan with an APR of 8.5%.
The correct answer is: Total Finance Charge=$215.32; Monthly Payment=$251.28.
To determine the total finance charge and monthly payment for the loan, we need to calculate the amount financed, the finance charge, and the monthly payment.
Amount Financed:
The restaurant owner paid a 20% down payment on the dishwasher, which means she financed 80% of the purchase price.
Amount financed = 80% of $3,500.00 = $2,800.00
Finance Charge:
The finance charge can be calculated using the following formula:
Finance Charge = Amount Financed \(\times\) (APR/12)
Finance Charge = $2,800.00 \(\times\) (8.5%/12)
Finance Charge = $2,800.00 \(\times\) 0.00708
Finance Charge ≈ $19.83 (rounded to the nearest cent)
Monthly Payment:
To calculate the monthly payment, we'll use the following formula:
Monthly Payment = (Amount Financed + Finance Charge) / Number of Months
Monthly Payment = ($2,800.00 + $19.83) / 12
Monthly Payment = $2,819.83 / 12
Monthly Payment ≈ $234.99 (rounded to the nearest cent)
Therefore, the correct answer is:
Total Finance Charge = $19.83
Monthly Payment = $234.99
None of the provided answer options match the correct calculations.
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Richard Voith estimated the price elasticity of demand for round-trip rail fare to be 0.62. If fares rose by 30 percent, one would expect the quantity of round-trip tickets purchased to:
Answer:
Fall by 18.6%.
Explanation:
Calculation for quantity of round-trip tickets purchased
Using this formula
Quantity of round-trip tickets purchased=Round-trip rail fare*Fares percentage
Let plug in the formula
Quantity of round-trip tickets purchased=30%*0.62
Quantity of round-trip tickets purchased=0.186*100
Quantity of round-trip tickets purchased=18.6%
Therefore one would expect the quantity of round-trip tickets purchased to:Fall by 18.6%.