The minimum wage will not impact the unskilled labor market.
Cash that is paid or acquired for work or services, as with the aid of the hour, day, or week. compare residing wage and minimum salary. usually wages. Economics. the percentage of the goods of enterprise obtained through labor for its work (as wonderful from the proportion going to capital).
One of the maximum critical elements of a job for maximum people is the salary it pays. Wages allow employees to make a reside from their labor. additionally, they offer incentives to be productive and constant to an employer. In a broader sense, the wages workers earn gas the economy.
There are two fundamental forms of wages- (1) Nominal wages and (2) real wages. The time period 'nominal wages' refers to cash wages. however the term 'actual wages' refers to the commodities and offerings that the money wages can provide. the same old living of workers rely on actual wages and now not on cash wages.
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zacher co.'s stock has a beta of 1.40, the risk-free rate is 4.25%, and the market risk premium is 5.50%. what is the firm's required rate of return? group of answer choices
The firm's required rate of return is 11.95% i.e. Option C is correct.
The required rate of return (RRR) is the base measure of benefit (return) a financial backer will look for or get for expecting the gamble of putting resources into a stock or one more sort of safety.
RRR is likewise used to work out how productive a task may be comparative with the expense of financing that undertaking. RRR signals the degree of hazard that is implied in focusing on a given speculation or undertaking. The more prominent the return, the more prominent the degree of hazard.
A lesser return for the most part intends that there is less gamble. RRR is normally utilized in corporate money while esteeming ventures. You might utilize RRR to compute your possible profit from venture (return for money invested).
According to CAPM (capital asset pricing model) , the required return on an asset is computed as follows:
Required Return = Risk Free Rate + Beta * Market Risk Premium
Required Return = 4.25% + 1.4 *5.5%
Required Return = 11.95%
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Complete Question is -
Zacher Co.'s stock has a beta of 1.40, the risk-free rate is 4.25%, and the market risk premium is 5.50%. What is the firm's required rate of return?
a. 11.36%
b. 11.65%
c. 11.95%
d. 12.25%
e. 12.55%
How does the minimum wage affect the market for labor?
a. It may prevent the market for labor from clearing, causing unemployment.
b. It causes a shortage of labor.
c. It increases employment in all sectors.
d. It allows the market for labor to reach equilibrium quickly.
Answer:
I think it may be B
Explanation:
Because labours come to only gulfil their job which was occupied by the machines.Atleast for making machines labours are needed.so,as the machinenary increases they expect the labours to decrease.
1. Your friend asks to borrow $50 and offers to pay you back with interest. What factors
would you consider in your decision to accept or decline their request?
The factors that you have to think about would before giving out the loan would be the following:
The loan periodThe ability to pay back the loanThe interest that is on the loanHow the money is to be returned.What is a loan?This is the term that is used to refer to an amount of money that would be given to a person that is the borrower by the lender for a period pf time and for them to pay back with interest.
To be able to determine if you are to give out a loan, you have to take the ability of the person to pay you back the amount as a fator.
Also you have to check the character of the person that you are to loan the money to.
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18. How often should interior check valves be inspected?
The interior check valves should be inspected internally every five years to verify that all components operate correctly, move freely, and are in good condition.
A sprinkler system has many components that, when not properly maintained, can lead to failure. One of these working parts is the check valve. Per NFPA 25 13.4.2.1.and 13.4.2.2, 2009 edition: Valves shall be inspected internally every five years to verify that all components operate correctly, move freely, and are in good condition. Internal components shall be cleaned, repaired, or replaced as necessary in accordance with the manufacturer’s instructions.
The most common component associated with a check valve is the FDC.
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Mc Graw Hall Target's A New Day women's clothing line provides higher quality apparel at Target-level pricing, enhancing the product's Multiple Choice O brand awareness. O perceived value. O brand associations O brand quality
The New Day women's clothing line by Mc Graw Hall provides higher quality apparel at Target-level pricing, enhancing the product's perceived value.
McGraw Hill's Target's A New Day women's clothing line has been recognized for providing higher quality clothing at Target-level pricing, which enhances the product's perceived value. This implies that the New Day women's clothing line's customers feel like they're getting a great deal for their money since they're receiving high-quality apparel at a low price. Customers that purchase high-quality clothing for a low price are more likely to purchase the product again. Therefore, this line can gain long-term customers.
Additionally, by providing high-quality clothing at a low price, McGraw Hill's Target's A New Day women's clothing line is increasing its brand awareness and developing customer loyalty. Consequently, this apparel line is perceived as a brand that provides quality, trendy clothing for a fraction of the price of other designer brands.
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______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
which of the following should be included in the incremental cash flows for a project? interest expense paid on debt acquired to purchase the assets of the project dividends paid to shareholders the marketing cost associated with performing market analysis the synergies caused by the implementation of the project
In incremental cash flow analysis for a project, the marketing cost associated with performing market analysis and the synergies caused by the implementation of the project should be included.
Incremental cash flow is the difference between a company's cash flow with and without a specific investment, as well as its impact on the company's overall cash flow. It is the cash flow derived from a project that is directly attributable to the project. Therefore, it is the most important part of project analysis.
Incremental cash flow is calculated by subtracting a company's cash flow without the investment from its cash flow with the investment. In business, synergy refers to the combined effort of two or more parts of a company. It occurs when two or more parts of a company work together to create something more significant than they could on their own. In other words, it is the idea that the sum of the parts is greater than the individual parts total. Incremental cash flows should be considered in a business's investment analysis. Incremental cash flow analysis is critical since it calculates the cash flow derived from a project that is directly attributable to the project. The marketing cost associated with performing market analysis and the synergies caused by the implementation of the project should be included in incremental cash flows for a project.Learn more about Incremental Cash Flow: https://brainly.com/question/14691485
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All else being equal, which would be less valuable: a December put option on a small cap tech stock or a December put option on a large cap healthcare stock?
All else being equal, a December put option on a small cap tech stock would be less valuable than a December put option on a large cap healthcare stock.
This is because small cap tech stocks tend to be more volatile and risky than large cap healthcare stocks. Therefore, the market perceives a greater risk of price fluctuations and uncertainty in the small cap tech stock, which would require a higher premium to purchase a put option.
On the other hand, large cap healthcare stocks are typically more stable and less prone to sudden price movements, making them a less risky investment. As a result, the market perceives less risk in the large cap healthcare stock and the put option would require a lower premium.
Overall, the value of a put option depends on a variety of factors, including the underlying stock's volatility, market sentiment, and current market conditions.
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how many sole proprietorships are there in the united states
Answer:
23 million or more than 23 Million
Explanation:
When conducting an independent audit the accountant is to evaluate a company's financial statements and ______.
When conducting an independent audit the accountant is to evaluate a company's financial statements and provide an unbiased opinion about their accuracy.
What is financial statement?Financial statements are documents that describe a company's activities and financial performance. Financial statements are routinely audited by government agencies, accounting firms, etc. to ensure their accuracy and for tax, financing, or investment reasons.
The basic financial statements are
Income statement. Cash flow statement. Statement of changes in equity. Balance sheet. Note to financial statements.Thus, it is provide an unbiased opinion about their accuracy.
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Suppose that a firm is earning a 12% return on capital in a perfectly competitive industry, and the market return outside the industry is 9.5%. Which of the following statements is TRUE?
Correct answer is- In the long run, the firm's return on capital will be 9.5%. Please explain how this is true
In the long run, the firm's return on capital will be 9.5%. The reason behind this is the process of the entry of new firms in a perfectly competitive industry, which eventually causes the return on capital to fall.
As more and more firms enter the industry, the supply of goods and services increases and the demand curve for each individual firm becomes more elastic. If a firm is earning a 12% return on capital in a perfectly competitive industry and the market return outside the industry is 9.5%, it means that the firm is earning an above-average return. This will attract new firms to enter the market and take advantage of the higher return. As the number of firms increases, the supply of goods and services will increase, which will lower the market price. This will lead to lower profit margins for each firm in the industry. As profit margins decline, some firms may exit the industry, while others may continue to operate at a lower level of profitability.
In the long run, the entry of new firms into the industry will cause the return on capital to fall to the level of the market return outside the industry. Thus, the firm's return on capital will eventually fall to 9.5% in the long run.
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Do you think it would be ethical for a CPA to have someone else do for them what they are prohibited from doing by the AICPA Code of Professional Conduct?
Answer:
The description of the given question is described in the below section.
Explanation:
CPA is responsible for raising its opinion against another unethical conduct. An individual can't bear his/her responsibilities by enabling staff to act unethically besides stating that it is not a contribution to knowledge.Whether this is damaging to certain other persons as well as the organization stakeholder, this same CPA should take appropriate harsh measures against these employees.Explain two types of prepayment risk in mortgage-backed securities. How does prepayment risk affect mortgage lenders and MBS investor?
Pre-payment risk introduces uncertainty and potential financial consequences for mortgage lenders and MBS investors. They must carefully manage and assess these risks to mitigate their impact on profitability, cash flow, and investment performance.
Prepayment risk refers to the possibility that borrowers will pay off their mortgages earlier than expected, which can have significant implications for mortgage-backed securities (MBS) and the parties involved. Here are two types of prepayment risk in MBS and their effects on mortgage lenders and MBS investors:
Refinancing Risk: Refinancing risk occurs when borrowers choose to refinance their mortgages at lower interest rates. This typically happens when interest rates in the market decline, making it financially beneficial for borrowers to replace their existing mortgages with new ones that offer lower monthly payments.
Mortgage Lenders: Mortgage lenders face the risk of losing the interest income they would have received had borrowers not refinanced. They may also face the cost of processing refinancing applications and originating new loans.s.
MBS Investors: MBS investors, who hold pools of mortgage loans bundled into securities, are exposed to refinancing risk. When borrowers prepay their mortgages through refinancing, the principal is returned to the investors earlier than anticipated.
Seasoning Risk: Seasoning risk arises from the fact that mortgage loans are more likely to be prepaid during the early years of their terms. Borrowers tend to move or refinance their homes more frequently during this period, resulting in higher prepayment rates.
Mortgage Lenders: Seasoning risk affects mortgage lenders by potentially reducing the duration of their loan portfolios. As loans are prepaid earlier, lenders may have to replace them with new loans at prevailing interest rates, which may be lower.
MBS Investors: MBS investors face the challenge of uncertain cash flows and duration due to seasoning risk. If borrowers prepay their mortgages earlier than expected, the weighted average life of the MBS can shorten, affecting the expected return and yield for investors.
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List examples of words that can describe a store's image.
Some words which can be used to describe a store's image are:
Public perceptionPersonal brandWhat is Perception?This refers to the way people view a business with regards to its ease of operations (or lack of it), and ethical outlook, etc.
Hence, we can see that a store that has a bad image, perhaps from selling substandard goods would have a bad/negative public perception and this would affect the business because they would lose customers.
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can someone help me? got till the end of the day :/
Answer:
A
Explanation:
4.
If a person is self-employed and earns $70,000
annually, the person
A. does not have to pay federal income tax
because his salary is too low.
b. must pay estimated income taxes every
quarter.
C. is only responsible for paying FICA tax to
cover Social Security.
d. will not have to pay any local or state
taxes.
Answer:
B
Explanation:
That's the only one that is fair
Cycle Wholesaling sold merchandise on account, with terms n/60, to Sarah's Cycles on February 1 for $1,250 (cost of goods sold of $725). On February 9, Sarah's Cycles returned to Cycle Wholesaling one-quarter of the merchandise from February 1 (cost of goods returned was $195). Cycle Wholesaling uses a perpetual inventory system, and it allows returns only within 15 days of initial sale. Required:
Answer:
1. 1-Feb
Dr Accounts receivable 1,250
Cr Sales revenue 1,250
2 . 1-Feb
Dr Cost of goods sold 725
Cr Inventory 725
3. 9-Feb
Dr Sales revenue 312.50
Cr Accounts Receivable 312.50
4. 9-Feb
Dr inventory 195
Cr Cost of goods sold 195
5. 2-Mar
Dr Cash 937.50
Cr Accounts receivable 937.50
B. Gross profit percentage=43.47%
Explanation:
A. Preparation of the journal entries to record sales , goods return on February 9 and Cash collected on March 2
1 to 3 Preparation of the journal entries to record sales
1. 1-Feb
Dr Accounts receivable 1,250
Cr Sales revenue 1,250
2 . 1-Feb
Dr Cost of goods sold 725
Cr Inventory 725
3. 9-Feb
Dr Sales revenue 312.50
Cr Accounts Receivable 312.50
(1/4*1,250)
4. Preparation of the journal entry to record goods return on February 9
9-Feb
Dr inventory 195
Cr Cost of goods sold 195
5. Preparation of the journal entry to record collected on March 2
2-Mar
Dr Cash 937.50
Cr Accounts receivable 937.50
(1,250-312.50)
B. Calculation for the gross profit percentage for sales to Sarah's Cycles
First step is to find the gross profit
Net sales 937.50
Less Cost of goods sold (530)
(725-195 )
Gross profit 407.50
Now let calculate the Gross profit percentage using this formula
Gross profit percentage = Gross profit/Sales
Let plug in the formula
Gross profit percentage=407.50/937.50
Gross profit percentage=0.4347*100
Gross profit percentage=43.47%
Need help ASAP!
Select the described workplace culture from the drop-down menu below.
* workplace culture emphasizes everyone being in agreement
* workplace culture emphasizes development of new skills
* workplace culture emphasizes reacting quickly to change
* workplace culture emphasizes accomplishing goals
Answer:
The workplace culture emphasizes everyone being in agreement.
Explanation:
The workplace culture emphasizes everyone being in agreement.
An organization should have a good work condition that should be create a good relationship and employee-employee and employer-employer relationship.
It should helped to everyone to achieve their organizational target.
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✔ Consistency-oriented
workplace culture emphasizes everyone being in agreement.
✔ Involvement-oriented
workplace culture emphasizes development of new skills.
✔ Adaptive
workplace culture emphasizes reacting quickly to change.
✔ Achievement-based
workplace culture emphasizes accomplishing goals.
Explanation:
answer on edge
Click this link to view O*NET’s Tasks section for Municipal Firefighters. Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to O*NET, what are some common tasks performed by Municipal Firefighters? Check all that apply. directing traffic at accident sites analyzing evidence of criminal activity guarding crime suspects until they can be arrested searching burning buildings to locate victims rescuing victims from burning buildings and accident sites administering first aid and cardiopulmonary resuscitation to help injured people
Answer:
it's D E F
Explanation:
Answer:
i got abd on edg
Explanation:
To the right is a graph of . How can you use this graph to describe the relationship between the rate of return and the number of years it would take the investment to double?
Answer:
The graph you provided shows a relationship between the rate of return and the number of years it would take an investment to double . The horizontal axis represents the rate of return, while the vertical axis represents the number of years it would take for the investment to double.
From the graph , we can see that as the rate of return increases, the number of years it takes for the investment to double decreases. This makes sense because a higher rate of return would mean that the investment is growing faster, thus leading to a quicker doubling time. Conversely, a lower rate of return would mean that the investment is growing more slowly, so it would take longer to double.
Therefore, investors can use this graph to estimate how long it would take for their investment to double based on the rate of return they are expecting. For example, if an investor is hoping for a 10% rate of return, they can look at the graph and estimate that it would take around 7 years for their investment to double.Explanation:
Which kinds of protection are employers required to pay for?
a) Hard hats
b) Lifting belts
c) Hearing protection
d) Welding PPE
In order to encourage employees to work safely and responsibly, the workplace must be made safe. This involves providing instructions, procedures, training, and supervision.
Certain dangers may still exist even after engineering controls and safe work practices have been implemented. These include wounds to the lungs, such as those caused by breathing in contaminated air, the head and feet, such as those caused by falling objects, the eyes, such as those caused by flying particles or liquid splashes, the skin, such as those caused by contact with corrosive materials, and the body, such as those caused by extreme heat or cold.
In these circumstances, PPE is required to lower the risk.
What should business owners do?
Use PPE just as a last resort.
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You will have $ in 20 years if you set aside $2,000 at 8%. (Use the future value tables from Chapter 5.)
In 20 years you'll have $5,220.
2,000×0.08=160
2,000+(160×20)= 5,220.
The total interest will be $3200 (160X20) at an interest rate of 8%. You'll have $5,220 after 20 years.
What is the interest rate?The amount of interest due each period expressed as a percentage of the amount lent, saved, or borrowed is known as an interest rate (called the principal sum). The total interest on a loaned or borrowed sum is determined by the principal amount, the interest rate, the frequency of compounding, and the period of time the loan, deposit, or borrowing took place.
The rate calculated over a year is the annual interest rate. However, they are typically annualized. Various interest rates are applicable over shorter time frames, such as a day or a month.
A key tool of monetary policy, interest rate goals are taken into consideration when addressing issues like investment, inflation, and unemployment. When a nation wants to boost consumption and investment in the economy, its central bank typically lowers interest rates.
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does anyone know how this is done? i need to know asap due in a while
a) The method used to calculate GDP should be the expenditure approach, which adds up total consumption (C), investment (I), government spending (G), and net exports (X-M).
Solution to the rest of the questions in detailb) Using the expenditure approach, the GDP can be calculated as follows:
GDP = C + I + G + (X - M) = 30 + 15 + 20 + (50 - 70) = 25.
c) The value of net exports can be calculated as:
Net exports = Exports - Imports = 50 - 70 = -20
d) The method that cannot be used with the given data is the income approach.
e) The data is incomplete because the information provided only covers some of the components of GDP, such as consumption, exports, rent, investment, government spending, and wages. Information on other components, such as net taxes, subsidies, and depreciation, is not provided, making the data incomplete for calculating GDP using the income approach.
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When it comes to investing, what is the best approach to very optimistic and big news about a new company? (5 points)
a
Invest right away; trust the news.
Caution; research the company first.
O Invest a large amount through a financial advisor.
Contact the company to obtain information.
Answer:
caution research company first
Explanation:
safest option
Tom is head of the marketing department and must decide how to allocate a fixed amount of funds. There are two top projects that Jim believes hold the most promise. Recently, the majority of funds have been allocated to Project A, but Tom wonders if it is time to provide Project B with a larger share of the money. Tom decides to assign a particular individual, Janice, to thoroughly criticize the proposal for Project B, looking for every possible flaw. Which technique is Tom using to help him make a better decision
Answer: Devil's advocacy
Explanation:
Devil's advocacy could be defined as having a critique on a team, board of administration who most times goes against the decision of the group. It has been realized that this helps the groups to have unbiased decisions, reduces expenses and avoid pitfalls.
This decision making method is involved mostly in areas that has to do with finance and budget.
Tom deciding to choose Janice to criticize the project is playing out the Devil's advocacy.
discuss how
prices are formed under a perfectly competition market
Answer:
In a perfectly competitive market, equilibrium price is determined by the forces of market demand and market supply. Market demand refers to the sum total of demand for a commodity by all the buyers in the market.
TRUE / FALSE. when you need to convey simple or straightforward information to your manager, it is best to use oral communication, because it is more efficient than other forms of communication.
The statement "when you need to convey simple or straightforward information to your manager, it is best to use oral communication" is false because it is not always the best or most efficient form of communication
The choice of communication method depends on various factors such as the nature of the information, the context, and the preferences of the individuals involved. In some cases, written communication may be more appropriate, especially when there is a need for documentation, clarity, or detailed instructions.
Written communication allows the recipient to refer back to the information and provides a record of the communication. Additionally, written communication can be more effective when dealing with complex or technical information that requires careful analysis and understanding.
Ultimately, the choice of communication method should be based on the specific requirements of the situation and the needs of both the sender and the receiver.
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What is an economic indicator and why is it important? Use at least two complete sentences to provide your response.
Answer:
Answer is provided in two separate headings below.
Explanation:
Economic Indicator
They are briefly described as the figures used to understand the current position of the economy. Few examples of such are the Inflation rate, Gross Domestic Product (GDP), and Unemployment ratio compared to the populace.
Reason for Important
They are important because the information provided from them helps in grasping the state of the economy in the upcoming years. This data helps both the local and business individuals to make better decisions for their upcoming financial goals such as regarding the investment of capital, increase or decrease their employment level, buying property, etc.
explain socialism, capitalism and mixed economy with their features advantages and disadvantages
Acceptance of goods means that the buyer has agreed, by words or by conduct, that the goods received are conforming goods or a satisfactory accommodation. True Or False
Answer:
True
Explanation:
1) Acceptance of goods occurs when the buyer
(a) after a reasonable opportunity to inspect the goods signifies to the seller that the goods are conformingor that he will take or retain them in spite of their non-conformity; or
(b) fails to make an effective rejection (subsection (1) of Section 2-602), but such acceptance does not occur until the buyerhas had a reasonable opportunity to inspect them; or
(c) does any act inconsistent with the seller's ownership; but if such act is wrongful as against the seller it is an acceptance only if ratified by him.