Which of the following statements is true? O After obtaining a statutory power of sale, the mortgagee can only sell the mortgaged property in an auction. O Any excess in sale proceeds will be returned

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Answer 1

After obtaining a statutory power of sale, the mortgagee can only sell the mortgaged property in an auction. This statement is true.

What is statutory power of sale?

Statutory power of sale is a method by which a mortgagee can sell mortgaged property when the mortgagor fails to fulfill the conditions of the mortgage agreement. The mortgagee is empowered by law to sell the property without seeking judicial intervention under statutory power of sale. It is a less expensive and time-consuming method of selling a mortgaged property than going to court. Only in an auction After obtaining a statutory power of sale, the mortgagee can only sell the mortgaged property in an auction. This means that an auction is the only means by which the mortgagee can dispose of the property. The sale proceeds are used to cover the mortgage debt, interest, and other related expenses. If there is any money left over after the mortgage has been paid in full, it is returned to the mortgagor. Excess in sale proceeds If the sale proceeds of the mortgaged property exceed the amount owed to the mortgagee, the excess amount is returned to the mortgagor. This is the case when the sale proceeds of the mortgaged property exceed the amount of the outstanding mortgage balance, including interest and any other fees and charges. The excess amount is returned to the mortgagor by the mortgagee.

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Related Questions

Lipto Biomedical has credit sales of $740,000 yearly with credit terms of net 60 days, with an average collection period of 75 days. Lipto does not offer a discount for early payment.

A) What is the average receivables balance? What is the receivables turnover?

B) If Lipto offered a 3 percent discount for payment in 10 days and every customer took advantage of the new terms and paid on the tenth day, what would the new average receivables balance be? Use the full sales of $740,000 for your calculation of receivables.

C) If Lipto reduces its bank loans, which cost 8 percent, by the cash generated from reduced receivables, what will be the net gain or loss to the firm? Should it offer the discount?

D) Assume the new trade terms of 3/10, net 30 will increase sales by 12 percent because the discount makes Lipto price competitive. If Lipto earns 19 percent on sales before discounts, should it offer the discount?

Answers

A) What is the average receivables balance? What is the receivables turnover?The average receivables balance can be determined by the following formula:Avg Receivables = (Sales / 365) x (Avg Collection Period)Avg Receivables = ($740,000 / 365) x 75Avg Receivables = $151,781.51The receivables turnover ratio can be determined by dividing net credit sales by the average accounts receivable.

Turnover = (Sales) / (Avg Receivables)Turnover = $740,000 / $151,781.51Turnover = 4.87B) If Lipto offered a 3 percent discount for payment in 10 days and every customer took advantage of the new terms and paid on the tenth day, what would the new average receivables balance be? Use the full sales of $740,000 for your calculation of receivables.If customers take advantage of the discount, they will pay within 10 days instead of 60 days.

The calculation for the new average receivables balance is as follows:New Avg Receivables = [(0.97 x $740,000 x 10/365) + (0.03 x $740,000 x 55/365)]New Avg Receivables = $136,356.16C) If Lipto reduces its bank loans, which cost 8 percent, by the cash generated from reduced receivables, what will be the net gain or loss to the firm? Should it offer the discount?The amount of cash that will be generated from reduced receivables is:Cash generated from discount = $151,781.51 - $136,356.16Cash generated from discount = $15,425.35The cost of the bank loan can be computed as:Bank loan cost = ($151,781.51 x 0.08)Bank loan cost = $12,142.52Net gain or loss from offering the discount is therefore:Net gain or loss = Cash generated from discount - Bank loan costNet gain or loss = $15,425.35 - $12,142.52Net gain or loss = $3,282.83Since Lipto would gain $3,282.83, it is recommended that they offer the discount.D) Assume the new trade terms of 3/10, net 30 will increase sales by 12 percent because the discount makes Lipto price competitive. If Lipto earns 19 percent on sales before discounts, should it offer the discount?Lipto’s current receivables turnover is 4.87 times per year, with an average collection period of 75 days. If the new trade terms are implemented, the average collection period would reduce to 20 days. The new receivables turnover ratio is:New Turnover = 365 / Avg Collection PeriodNew Turnover = 365 / 20New Turnover = 18.25With the new turnover ratio, Lipto’s sales would increase from $740,000 to $829,600 ($740,000 x 1.12). Their net gain from the new discount is therefore:Net Gain = $829,600 x 0.19 - ($829,600 x 0.97 x 0.03)Net Gain = $148,944 - $23,815.68Net Gain = $125,128.32Since Lipto will have a net gain of $125,128.32, it is recommended that they offer the discount.

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Question 2 For a given unit of labor, a country can produce either 78 bushels of wheat or 159 pounds of coffee. What is the country's opportunity cost of producing wheat in terms of coffee? Round your final answer to two decimal places (Ex. 0.00). 2.04 A Moving to another question will save this response.

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The country's opportunity cost of producing wheat in terms of coffee is approximately 2.04.

To find the opportunity cost of producing wheat in terms of coffee, we need to determine how much coffee the country would have to give up in order to produce one unit of wheat.

The ratio of wheat to coffee production is 78 bushels of wheat to 159 pounds of coffee. We can calculate the opportunity cost by dividing the amount of coffee by the amount of wheat:

Opportunity cost of producing wheat in terms of coffee = 159 pounds of coffee / 78 bushels of wheat

Calculating this value:

Opportunity cost = 159 / 78 ≈ 2.04

Therefore, the country's opportunity cost of producing wheat in terms of coffee is approximately 2.04.

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General partnerships can be funded by selling ownership rights.

a. true
b. false

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The statement "General partnerships can be funded by selling ownership rights" is false.

General partnerships are a form of business organization where two or more individuals come together to conduct business for profit. In a general partnership, the partners share the responsibility and liability for the business's debts and obligations.

Unlike corporations or limited liability partnerships (LLPs), general partnerships do not typically sell ownership rights or shares to raise funds. The partners contribute capital to the partnership by investing their own money, assets, or skills. Each partner's contribution determines their ownership interest in the partnership, as well as their share of profits and losses.

While general partnerships may seek external financing through loans or other forms of debt, the fundamental structure of a partnership does not involve selling ownership rights to outside investors. The partners have a personal relationship and share in the management and decision-making of the business.

If a partnership decides to bring in additional owners or investors, it may consider restructuring as a different entity type, such as a limited partnership or a corporation. These entities offer different ownership structures and methods for raising capital, including selling ownership rights or shares to investors.

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Suppose that the borrowing rate that your client faces is 9%. Assume that the equity market index has an expected return of 13% and standard deviation of 25%, that rf = 5%. Draw a diagram of your client’s CML, accounting for the higher borrowing rate. Superimpose on it two sets of indifference curves, one for a client who will choose to borrow and one for a client who will invest in both the index fund and a money market fund.

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The capital market line (CML) is a graph showing the returns that can be achieved by investors for different amounts of risk.

This graph is useful in assisting investors in understanding the risk and reward of various investments. The graph shows the relationship between risk and return for various portfolios.Suppose the borrowing rate that a client faces is 9%. In this scenario, we will draw a diagram of your client’s CML, accounting for the higher borrowing rate. Superimpose on it two sets of indifference curves, one for a client who will choose to borrow and one for a client who will invest in both the index fund and a money market fund. The equity market index has an expected return of 13% and a standard deviation of 25%. rf= 5%.The formula for CML isE(Rp) = Rf + σp / σM * [E(RM) - Rf]WhereRp is the expected return on the portfolioRf is the risk-free rate of returnσp is the portfolio standard deviationσM is the market standard deviationE(RM) is the expected return on the market portfolioThe first step is to calculate the expected return of the portfolio. E(RP) = 5% + (25/σM) * [13% - 5%] = 5 + 1.6 * 8 = 18.8%Next, we can draw the CML on a graph with expected return on the y-axis and risk (standard deviation) on the x-axis. We will plot the expected return of the portfolio, 18.8%, at the point where it intersects the CML curve. The slope of the CML is (E(RM) - Rf) / σM, which is (13-5) / 25 = 0.32.Next, we will add two sets of indifference curves on the graph. The first set is for a client who will borrow and invest in the market portfolio. This set of curves will be downward sloping, with a steeper slope than the CML, reflecting the additional risk of borrowing. The second set is for a client who will invest in both the index fund and a money market fund. This set of curves will be parallel to the CML, reflecting the fact that the portfolio is not leveraged. The following is a diagram of your client’s CML with the two sets of indifference curves:Diagram of CML with the two sets of indifference curves.

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Mannar & Company kick started a major cross company project that involved working with multiple business unit leaders to build enterprise wide platform. Impressed by the success of small projects in Agile: company leadership enforced Agile in this transformation project. Shortly after few Sprints, teams witnessed that The Product Owner was not able to build consensus among the business unit leaders on requirements. There were several political aspects behind the collaboration. What went wrong?
For large transformation projects, Design Thinking is required before Agile is based on trust and collaboration so that consensus can be arrived at quickly. This scenario did not have that
Agile doesn't require any pre-requisites. It works very well in all context. In this scenario: the Product Owner doesn't seem to be competent

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The major issue in the scenario is the absence of Design Thinking, which is essential for large transformation projects to establish trust and collaboration. The presence of political aspects further hinders the consensus-building process among business unit leaders.

What went wrong in this scenario is the lack of Design Thinking and the presence of political aspects hindering collaboration among business unit leaders. Design Thinking is a problem-solving approach that emphasizes understanding user needs, empathy, and iterative development. In large transformation projects, it is crucial to engage in Design Thinking before implementing Agile. This allows for building trust, fostering collaboration, and arriving at a consensus quickly.

Agile itself is a flexible and adaptable methodology that can work well in various contexts. However, in this case, the problem lies with the Product Owner's inability to build consensus among the business unit leaders. It suggests a lack of competence or skill in facilitating effective communication and managing stakeholder expectations. While Agile is a versatile methodology, the Product Owner's incompetence in addressing these challenges exacerbates the situation.

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Joanne and Melvin are putting the finishing touches on their 6cottages that they have recently built on their rural property in Southern Queensland. Each cottage is fully self-contained and sleeps up to 4 people. The cottages have amazing views over the nearby national park and immediate access to some of the region’s best bush walking trails. Joanne and Melvin are ready to prepare their marketing and promotional activities. Initially they plan to focus on middle income earners who reside in Queensland. They believe the cottages will appeal to all ages couples as well as families. However, they need to know more about their market so they can effectively position their cottages within a somewhat competitive market place.
a) While Joanne and Melvin have considered demographic and geographic segmentation criteria what other two criteria would you recommend they consider prior to promoting their cottages and why?

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Besides the demographic and geographic segmentation criteria, Joanne and Melvin should consider the psychographic and behavioral segmentation criteria for promoting their cottages.

Psychographic segmentation criteria are a type of market segmentation that considers consumer lifestyles, personality characteristics, values, attitudes, interests, and behavior. By using psychographic segmentation, Joanne and Melvin can develop a more detailed picture of their customers' needs, motives, and behaviors. This will enable them to design marketing campaigns and promotional activities that will appeal to their customers. For example, if they find that their target market is more interested in eco-tourism, they could focus their promotions on eco-friendly and sustainable features and highlight their eco-friendly practices such as recycling and water conservation. Behavioral segmentation is a type of market segmentation that considers customers' purchasing behavior, usage rate, loyalty, and readiness to buy.

By using behavioral segmentation, Joanne and Melvin can develop marketing campaigns that will be more effective in targeting their customers. For example, if they find that their customers are more likely to stay for longer periods of time, they could offer package deals or discounts for longer stays. Similarly, if they find that their customers prefer to book online, they could offer online booking discounts or exclusive online promotions. Overall, considering psychographic and behavioral segmentation criteria can help Joanne and Melvin to more effectively position their cottages within a competitive marketplace.

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Select three local businesses (one large and two small) and play the role of "mystery shopper". How easy was it to do business with each company? How would you rate their service, quality and convenience? Were sales people helpful and friendly? Did they handle transactions professionally and courteously? How would you rate the business' appearance? How would you describe each company's competitive advantage? What future do you predict for each company? Prepare a brief report on the findings and conclusions. Use APA Style, add narrative to your paper, I also want to know about the experience of being a mystery agent.

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Selecting three local businesses, you can play the role of "mystery shopper" to determine how easy it is to do business with each company. It assesses the company's service quality, convenience, and the friendliness and helpfulness of salespeople. A mystery shopper's experience can be insightful and exhilarating.

In addition to assessing the quality of customer service, it can also be a fun adventure that allows individuals to see what it's like to work in different industries. Small Business :For this small business, it was effortless to do business. The customer service was excellent. The salespeople were very courteous, professional, and helpful. The business appearance was well-maintained and clean. Competitive advantage: high-quality products, exceptional customer service.Future prediction: optimistic.Small Business:For this small business, it was somewhat challenging to do business. It took a while to find what I was looking for, and there was limited customer service. The salesperson was not particularly friendly or helpful. The appearance of the business was satisfactory, but it seemed somewhat outdated.
Competitive advantage: None found. Future prediction: unfavorable.
Large Business: Doing business with this large business was relatively easy. The customer service was good, and the salespeople were courteous and helpful. The appearance of the business was impeccable, and the overall shopping experience was comfortable. Competitive advantage: low prices and a vast selection of products. Future prediction: positive. it is essential for businesses, regardless of their size, to prioritize customer service. It can have a significant impact on their success and future prospects. The mystery shopping experience can be enjoyable and informative, providing individuals with a behind-the-scenes look at the workings of different businesses. Using APA Style, this report is a well-formatted narrative.

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Find functions f and g so that fog=H.
H(x) = (4x+6)^7

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By defining functions,  f(x) = 4x + 6 and g(x) = x⁷, we achieve the desired composition fog = H(x) = (4x + 6)⁷.

Let's find functions f and g such that fog = H, where H(x) = (4x + 6)⁷.

To achieve this, we can decompose the function H(x) into two steps: the inner function f and the outer function g.

First, we can define the inner function f(x) as f(x) = 4x + 6. This function takes the input x, multiplies it by 4, and adds 6.

Next, we define the outer function g(x) as g(x) = x⁷. This function raises its input to the power of 7.

Now, if we take the composition of f and g, we have fog(x) = g(f(x)) = g(4x + 6).

Applying the outer function g to the inner function f, we have fog(x) = (4x + 6)^7, which is the same as H(x).

Therefore, we achieve the desired composition fog = H(x) = (4x + 6)⁷.

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some manufacturing companies prefer to sell only high-priced specialty products online because: group of answer choices the warehousing costs for specialty products can erode any profits to be made from their sales. the customers are not able to purchase specialty items from store locations. the companies do not wish to enter into a direct competition with its wholesale and retail partners. the companies want their customers to use online banking rather than cash for the transaction.

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Manufacturing companies that specialize in high-priced products sometimes choose to sell their products exclusively online for many reasons.

The first reason is that selling these specialty products online eliminates the need for a physical store, which can reduce overhead costs. This also allows companies to focus on their online presence, building a customer base and marketing their products through digital advertising. It also helps companies to reach their target audience more effectively, as they can tailor their marketing strategies and product offerings to specific customers who are looking for premium products.

Additionally, selling exclusively online can help manufacturing companies to avoid competition with their retail and wholesale partners. By focusing on the online market, they can avoid direct competition and instead collaborate with these partners to build a stronger business network. Finally, by selling exclusively online, companies can encourage customers to use online banking for transactions.

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in dividend discount model , why the growth rate g is deducted from the required rate of return at denominator rather than multiplying (1 g) to the dividend at numerator in the equation?

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In the Dividend Discount Model (DDM), the growth rate g is deducted from the required rate of return at the denominator rather than being multiplied by (1+g) and added to the dividend payout at the numerator for several reasons.

Firstly, the required rate of return represents the opportunity cost of investing funds in one stock rather than in another, and it should not include expected growth. Secondly, subtracting g from the required return ensures that the denominator represents the current market price of the security,

while adding (1+g) to the dividend payout would overvalue the stock by assuming growth indefinitely. Finally, this approach is consistent with the assumption that dividends are the primary source of returns for investors in the long run.

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If you believe that price of stock A will go up and the volatility of the underlying stock will decrease, what will you do?

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The long straddle strategy can be a profitable way to take advantage of a stock price increase and a decrease in volatility. However, it is important to keep in mind that options trading involves risk.

If you believe that the price of stock A will go up and the volatility of the underlying stock will decrease, you can buy the stock and sell a straddle at the same time. This can be done through an option trading strategy called a long straddle. The long straddle involves buying both a call option and a put option with the same expiration date and strike price.

This strategy is used when an investor believes that the price of a stock will move significantly, but is uncertain which direction it will move. If the stock moves up, the investor can exercise the call option and profit from the price increase. If the stock moves down, the investor can exercise the put option and profit from the price decrease.In this case, selling the straddle helps to reduce the cost of the options.

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Zhao Company has fixed costs of $308,000. Its single product sells for $167 per unit, and variable costs are $112 per unit. Compute the units that must be sold to achieve a target income of $110,000.

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To achieve a target income of $110,000, Zhao Company needs to sell approximately 4,454 units of its product.

How many units does Zhao Company need to sell in order to reach a target?

To determine the number of units that Zhao Company must sell to achieve a target income of $110,000, we need to consider the fixed costs, selling price, and variable costs.

First, subtract the target income from the fixed costs: $308,000 - $110,000 = $198,000.

Then, divide the result by the contribution margin per unit, which is the difference between the selling price and variable cost per unit: $198,000 / ($167 - $112) = $198,000 / $55 ≈ 3,600 units.

Therefore, Zhao Company needs to sell approximately 3,600 units of its product to reach the target income of $110,000.

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Which of the following variables includes a money component? A. Real interest rate B. None of the variables above include a money component. C. Nominal GDP D. Unemployment E. Real GDP

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The variable that includes a money component is Nominal GDP. The correct option is C.

The total value of goods and services produced within an economy calculated at current prices is represented by nominal GDP. It incorporates the financial value of all finished goods and services and thus includes the financial component.

Nominal GDP is a variable with a monetary component because it captures both the real output of the economy and the exchange rates at which these goods and services are sold. The other factors like real GDP, real unemployment and real interest rate do not directly take into account the money component. The correct option is C.

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Suppose a firm under perfect competition has the following total cost function: TC = 2q+0.5q² and a marginal cost of MC=2+q If the market price is $2 then this firm will make $ in profit and should the industry +2, stay -2, exit -4, exit O 0, stay

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The firm being under perfect competition having a total cost function of TC = 2q+0.5q² and marginal cost of MC=2+q , the firm will make a profit of $0 and the industry should stay. The correct answer is option D.

The firm under perfect competition has the following total cost function:

TC = 2q+0.5q² and a marginal cost of MC=2+q;

The market price is $2.

For perfect competition, if the market price is equal to the marginal cost, then the firm will be making only normal profit.

Let's put these values in the given information.

Since the marginal cost is MC = 2+q, and the total cost function is TC = 2q+0.5q². The average total cost (AC) is given by AC = TC/q

Let's substitute the given values:

AC = (2q + 0.5q²)/q = 2 + 0.5q

Now, since AC = price in perfect competition, we get2 + 0.5q = 2 => 0.5q = 0 => q = 0

We need to determine the profit of the firm:

Profit = total revenue - total cost

Revenue = price * quantity sold = 2 * 0 = 0

Total cost = TC = 2q+0.5q² = 2 * 0 + 0.5 * 0 = 0

Therefore, profit = 0 - 0 = 0

The industry is in perfect competition, where the firms make only normal profit.

Hence, the answer is (d) $0, stay.

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At a sales level of $285,000, the magnitude of operating leverage for Donuts Unlimited is 4.3. If number of units sold increase by 10%, profits will increase by

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If number of units sold increase by 10% at a sales level of $285,000 and the magnitude of operating leverage for Donuts Unlimited is 4.3, profits will increase by 43%.

Operating leverage is the ratio of fixed costs to variable costs that a company incurs to produce its products or services. The magnitude of operating leverage is a measure of the company's risk that is derived from its fixed costs.

Profit is given by the equation:

Sales - Variable Costs - Fixed Costs

Profit is derived from the sales. As fixed costs do not change with changes in the level of sales, increasing the sales will increase the profits. The degree of change in profits that occurs with changes in sales is dependent on the magnitude of operating leverage.

A 10% increase in the number of units sold will lead to a 10% increase in sales. If the magnitude of operating leverage is 4.3, then a 10% increase in sales will lead to a 4.3 × 10% = 43% increase in profits.

Therefore, profits will increase by 43%.

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Which of these is NOT an earning category on a paystub?
A. Holiday
B. Regular
C. Medicare
D. Overtime
What section of Form I-9 is completed only in certain circumstances?
A. Section 1 (employee information portion)
B. Section 1 (attestation portion)
C. Section 2
D. Section 3

Answers

The answer is C. Medicare is not an earning category on a paystub.

A paystub typically provides a breakdown of an employee's earnings and deductions. The earning categories represent different types of income or compensation received by the employee. Common earning categories include regular wages, overtime pay, holiday pay, and various types of bonuses or commissions.

Medicare, on the other hand, is not an earning category but a deduction category. It represents the amount deducted from the employee's earnings for Medicare taxes, which help fund the healthcare program for eligible individuals.

Regarding the second question, the answer is D. Section 3 of Form I-9 is completed only in certain circumstances. Form I-9 is used to verify the identity and employment authorization of individuals hired for employment in the United States. Section 1 of the form is completed by the employee, providing personal information and attesting to their employment eligibility. Section 2 is completed by the employer or authorized representative, who verifies the employee's documentation.

Section 3 of Form I-9 is used for reverification and updating employment authorization in specific cases such as when an employee's work authorization document expires, or when their employment authorization is subject to temporary status or limited duration.

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The expected return for the general market is 15%, and the risk premium is 10%. The beta of Ncell is 1.25. What is the required rate of return for Ncell? O 23.75% O 11.25% O 12.50% O 17.50%

Answers

Given data:Expected return for the general market = 15%Risk premium = 10%Beta of Ncell = 1.25Formula:Required rate of return = Risk-free rate + (Market return - Risk-free rate) × Beta cell is the company.

Beta is 1.25. Beta is the risk of Ncell relative to the market. We are given the expected return for the market, which is 15%, and the risk premium, which is 10%. The risk-free rate is not given, we can assume it is 5%.We can use the formula for required rate of return which is,Required rate of return = Risk-free rate + (Market return - Risk-free rate) × BetaRequired rate of return = 5 + (15 - 5) × 1.25Required rate of return = 5 + 10 × 1.25Required rate of return = 5 + 12.5Required rate of return = 17.5%Hence, the required rate of return for Ncell is 17.5%.

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Use the Internet to briefly define each of the following terms and explain how they are examples of annuities.

a) RRSP
b) RESP
c) RRIF
d) Mortgage

Answers

a) RRSP: Registered Retirement Savings Plan (RRSP) is a government-backed, tax-deferred savings plan. An RRSP is an example of an annuity because it is designed to help Canadians save for retirement, and the funds are invested in a range of financial instruments that generate income over time. When the account holder reaches retirement age, the funds in the RRSP are converted into an annuity, which provides a guaranteed income for life.

b) RESP: Registered Education Savings Plan (RESP) is an education savings plan that allows parents and guardians to save for their children's post-secondary education. RESP is an example of an annuity because it is designed to provide a steady stream of income over a long period of time. The contributions made to the RESP grow tax-free and are used to purchase an annuity when the child reaches post-secondary age.

c) RRIF: Registered Retirement Income Fund (RRIF) is a government-backed retirement income plan that provides a regular income for Canadians in retirement. RRIF is an example of an annuity because it provides a guaranteed income stream over a long period of time. When the account holder reaches retirement age, the funds in the RRSP are converted into a RRIF, which provides a guaranteed income for life.
d) Mortgage: A mortgage is a loan that is used to purchase a property. Although a mortgage is not an annuity, it is similar in that it is a long-term financial commitment that requires regular payments over an extended period. A mortgage can be structured to provide a fixed monthly payment for a set number of years, making it similar to an annuity in terms of regular payments over a long period.

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What is not true regarding individual demand curve?

a. higher price implies less amount of quality demanded.

b. it can be also considered as a marginal benefit curve.

c. individual curves shows the behaviors of suppliers.

d. downward sloping.

Answers

The statement that is not true regarding individual demand curve is that "individual demand curve shows the behaviors of suppliers."

So, this is option C.

What is a demand curve?

The graphical representation of the relationship between the quantity of goods demanded and their respective prices is known as a demand curve. It's a model that shows the relationship between price and quantity demanded.

The demand curve's downward slope indicates that the higher the price, the less the quantity of goods that will be demanded, whereas the lower the price, the greater the quantity of goods that will be demanded.

Therefore, the statement "higher price implies less amount of quantity demanded" is true.A marginal benefit curve can be considered a demand curve. It reflects the quantity of a good that a consumer is ready to purchase at various prices

Hence, the answer is c.

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The statement that is not true regarding individual demand curve is individual curves shows the behaviors of suppliers. Option c is correct.

In economics, a demand curve is a graphical representation of the demand for a good or service. It represents the relationship between the price of a good or service and the quantity demanded of it at any given time, holding all other factors constant.

The marginal benefit curve represents the additional benefit that an individual receives from consuming one more unit of a good or service. The individual demand curve is essentially a graphical representation of the marginal benefit curve for a given individual. It shows how the marginal benefit of a good or service varies as its price changes.

Therefore, c is correct.

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If the equipment had a salvage value of $300,000 at the end of five years, would you expect the project’s payback period to be higher, lower, or the same?
a)Higher
b)Lower
c)Same

Answers

The project's payback period is the length of time required to recoup the initial investment through cash inflows. In this case, if the equipment has a salvage value of $300,000 at the end of five years, we need to assess the impact on the payback period.

If the equipment has a salvage value, it means that at the end of the project's life (five years in this case), there will be an additional cash inflow of $300,000. This salvage value acts as a reduction in the overall investment needed to be recouped. Therefore, with a salvage value, the project's payback period is expected to be lower. The salvage value effectively reduces the net initial investment and shortens the time required to recover the remaining cash outflows. As a result, the project is expected to generate a positive cash flow sooner, enabling a quicker payback period compared to a scenario without salvage value. Thus, the correct answer is b) Lower.

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this excerpt best suggests that jackson’s intended impact on the national economy involved

Answers

The excerpt from President Jackson's veto of the Bank Bill suggests that Jackson's intended impact on the national economy involved transforming the economy to benefit the less well-off. Therefore, option B is correct.

Jackson criticizes the government for granting artificial distinctions, titles, and exclusive privileges that make the rich richer and the powerful more powerful. He argues that under a just government, every individual, regardless of wealth or social status, is entitled to equal protection and should receive the blessings and benefits of the government's actions equally.

Jackson's rejection of the Bank Bill, which aimed to reestablish the national bank and grant it significant power and influence over the economy, aligns with his belief in limiting government interference and preventing the concentration of power in the hands of the wealthy elite.

By opposing the bill, Jackson aimed to create a more level playing field, where the humble members of society—farmers, mechanics, and laborers—would not be disadvantaged due to their lack of means and resources.

In conclusion, President Jackson's veto of the Bank Bill reflects his desire to transform the economy to benefit the less well-off, ensuring equal protection and opportunities for all individuals rather than granting artificial advantages to the wealthy and powerful.

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Complete Question:

Excerpt from President Jackson’s veto of the Bank Bill

It is to be regretted that the rich and powerful too often bend the acts of government to their selfish purposes. Distinctions in society will always exist under every just government. Equality of talents, of education, or of wealth can not be produced by human institutions. In the full enjoyment of the gifts of Heaven and the fruits of superior industry, economy, and virtue, every man is equally entitled to protection by law; but when the laws undertake to add to these natural and just advantages artificial distinctions, to grant titles, gratuities, and exclusive privileges, to make the rich richer and the potent more powerful, the humble members of society—the farmers, mechanics, and laborers—who have neither the time nor the means of securing like favors to themselves, have a right to complain of the injustice of their Government. There are no necessary evils in government. Its evils exist only in its abuses. If it would confine itself to equal protection, and, as Heaven does its rains, shower its favors alike on the high and the low, the rich and the poor, it would be an unqualified blessing. In the act before me there seems to be a wide and unnecessary departure from these just principles.

Q1. Use the excerpt from President Jackson’s veto of the Bank Bill to answer the question. This excerpt BEST suggests that Jackson’s intended impact on the national economy involved

A. removing the restraints on private monopolies.

B. transforming the economy to benefit the less well off.

C. providing American business with an advantage over foreign ones.

D. increasing the influence of the national bank over the U.S. economy.

Question 1 Calculate the two-sided 95% confidence interval for the population standard deviation (sigma) given that a sample of size n-9 yields a sample standard deviation of 17.45. Your answer: O 13.

Answers

Therefore, the two-sided 95% confidence interval for the population standard deviation (σ) is [2.81, 32.15]. Answer: O 13.

Question 1:
Given that the sample size is n = 9 and the sample standard deviation is

s = 17.45.

To calculate the two-sided 95% confidence interval for the population standard deviation (σ),

we use the formula:  

σ = χ^2[α/2, n-1] ≤ (n - 1)s^2/σ^2 ≤ χ^2[1-α/2, n-1]

Where

χ^2[α/2, n-1] and χ^2[1-α/2, n-1]

are the values of the chi-squared distribution with n - 1 degrees of freedom corresponding to the lower and upper percentiles α/2 and 1-α/2, respectively.

We are given that α = 0.05 (95% confidence interval) and n = 9.

The degrees of freedom for a chi-squared distribution with n - 1 degrees of freedom is

n - 1 = 9 - 1 = 8.

Using a chi-squared distribution table or calculator,

we find that

χ^2[0.025, 8] = 2.179 and

χ^2[0.975, 8] = 17.534.

Substituting these values and the given sample standard deviation, we get:

2.179 ≤ (9 - 1)s^2/σ^2 ≤ 17.534

2.179σ^2/8 ≤ s^2 ≤ 17.534σ^2/8

(8/17.534)s ≤ σ ≤ (8/2.179)s

σ ∈ [2.81, 32.15]

Note: The answer given as O 13 is not correct, since it does not represent the confidence interval.

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Julie and Kristen are partners in a local sporting good store. They needed $51,000 to start the
business. They invested in the ratio of 3:10 respectively. How much money did each invest?
What percent is owned by Kristen?

Answers

Answer: See explanation

Explanation:

Since the amount needed to start the

business is $51000 and Julie and Kristen invested in the ratio of 3:10 respectively.

Amount invested by Julie = 3/(3+10) × $51000

= 3/13 × $51000

= $11769.23

Amount invested by Kristen = 10/(3+10) × $51000

= 10/13 × $51000

= $39230.77

The percent that is owned by Kristen will be:

= ($39230.77 / $51000) × 100

= 76.92%

= 77% approximately

1. What are some common (real world) examples of intermodal
transportation? Briefly describe how each works

Answers

Intermodal transportation is mostly used for bulky and heavy goods that cannot be transported through road and rail. Barge transportation is economical as it does not require much fuel and can carry large quantities of cargo.

Intermodal transportation is the mode of moving freight from the shipper to the receiver by utilizing two or more means of transportation without handling the cargo while changing modes. There are several real-world examples of intermodal transportation that help the cargo or freight in an efficient manner, such as:1. Air Cargo- The use of air transportation in freight movement is known as air cargo.

This method of transport is used to move time-sensitive and high-value goods. Air freight is an important mode of transport for perishable goods, machinery, electronic components, and the automotive industry.2. Rail and Truck Transportation- One of the most common intermodal transportation examples is the movement of goods through rail and truck. Rail is one of the most efficient modes of transportation for large and heavy goods.

Once the goods reach the rail station, they are loaded into a container and shipped to the nearest hub station. From the hub, they are transported through a truck to the final destination.3. Road and Ship Transportation- Intermodal transportation can also take place through the use of road and ship transportation. This method is best suited for heavy and bulky cargo. The cargo is loaded onto a truck and transported to the port.

The cargo is then loaded onto a ship and transported to the destination country or continent. Once the cargo arrives at the port, it is loaded onto a truck and transported to the final destination.4. Barge and Truck Transportation-  Once the goods reach the destination port, they are loaded onto a truck and transported to the final destination.

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Consider the macroeconomic data in the following table. Variable 2021 2020 Consumption spending $91 billion $90 billion Investment spending $83 billion $78 billion Government spending $97 billion $96

Answers

a) The GDP for the economy in 2021 is $277 billion.

b) The GDP per capita for this economy in 2021 is approximately $9,233.33.

c) The unemployment rate for this economy in 2021 is approximately 5.91%.

d) The inflation rate for this economy in 2021 is approximately 1.37%.

a) To calculate the GDP for the economy in 2021, we can use the expenditure approach:

GDP = Consumption spending + Investment spending + Government spending + Net exports

Consumption spending in 2021: $91 billion

Investment spending in 2021: $83 billion

Government spending in 2021: $97 billion

Net exports in 2021: $6 billion

GDP = $91 billion + $83 billion + $97 billion + $6 billion

   = $277 billion

Therefore, the GDP for the economy in 2021 is $277 billion.

b) To calculate the GDP per capita for the economy in 2021, we divide the GDP by the total population:

GDP per capita = GDP / Total population

GDP per capita = $277 billion / 30 million

             = $9,233.33

The GDP per capita for this economy in 2021 is approximately $9,233.33. This indicates the average economic output per person in the economy.

c) To calculate the unemployment rate for the economy in 2021, we divide the number of unemployed persons by the total labor force:

Unemployment rate = (Unemployed persons / (Employed persons + Unemployed persons)) * 100

Unemployment rate = (1.1 million / (17.5 million + 1.1 million)) * 100

                = (1.1 million / 18.6 million) * 100

                ≈ 5.91%

The unemployment rate for this economy in 2021 is approximately 5.91%.

d) To calculate the inflation rate for the economy in 2021, we can use the Consumer Price Index (CPI):

Inflation rate = ((CPI in 2021 - CPI in 2020) / CPI in 2020) * 100

Inflation rate = ((118.7 - 117.1) / 117.1) * 100

             = (1.6 / 117.1) * 100

             ≈ 1.37%

The inflation rate for this economy in 2021 is approximately 1.37%.

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Which of the following is true of the opening time of a business?
a.The opening of a new business does not depend on the competitors' moves
b.The timing of start is a function of the general environment and lifestyle issues.
c.Entrepreneurs should realize that businesses depend on similar conditions for opening.
d.One should open a business during or at the beginning of a recession.

Answers

The timing of the opening of a business is influenced by various factors, including competitors' moves, the general environment, lifestyle issues, and economic conditions.

b. The timing of start is a function of the general environment and lifestyle issues: This statement is true. When deciding on the opening time of a business, entrepreneurs often consider factors such as market conditions, consumer behavior, economic trends, and lifestyle preferences. They analyze the general environment to determine the optimal time to launch their business and align it with customer needs and trends.

a. The opening of a new business does not depend on the competitors' moves: This statement is not necessarily true. Competitors' actions and market dynamics can influence the decision to open a new business. Entrepreneurs need to assess the competitive landscape, including the actions of existing businesses and potential competitors, to determine the viability and differentiation of their own venture.

c. Entrepreneurs should realize that businesses depend on similar conditions for opening: This statement is not entirely accurate. While some businesses may have similar considerations for opening, such as market demand or economic factors, every business is unique, and the specific conditions for opening can vary widely depending on the industry, target market, business model, and other factors.

d. One should open a business during or at the beginning of a recession: This statement is not universally true. The decision to open a business during a recession depends on various factors, including the nature of the business, market conditions, available resources, and risk tolerance. While some opportunities may arise during economic downturns, opening a business during a recession can also present challenges and risks.

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2 2.57 points Exercise 6-8 (Algo) Petty cash fund with a shortage LO P2 Waupaca Company establishes a $390 petty cash fund on September 9. On September 30, the fund shows $120 in cash along with receipts for the following expenditures: transportation-in, $50; postage expenses, $62; and miscellaneous expenses, $145. The petty cashier could not account for a $13 shortage in the fund. The company uses the perpetual system in accounting for merchandise inventory. Prepare (1) the September 9 entry to establish the fund, (2) the September 30 entry to reimburse the fund, and (3) an October 1 entry to increase the fund to $450. No 1 2 3 Date September 09 September 30 October 01 Petty cash Cash Merchandise inventory Postage expense Miscellaneous expenses Cash over and short Petty cash Cash Answer is not complete. General Journal 3000 ›› Debit 390 50 ✓ 62 ✓ 145✓ 13✓ 70 x Credit 390✔ 70 x

Answers

To address the situation described, we need to prepare the necessary journal entries for establishing the petty cash fund, reimbursing the fund, and increasing the fund amount.

1. September 9: Establishing the Petty Cash Fund

On September 9, the company establishes the petty cash fund. The entry would typically involve debiting the Petty Cash account and crediting the Cash account for the same amount. In this case, the petty cash fund is set at $390.

Journal entry:

Date: September 9

Account           Debit     Credit

Petty Cash         $390

Cash                       $390

2. September 30: Reimbursing the Petty Cash Fund

On September 30, the petty cash fund is reimbursed to replenish it for the expenditures made during the month. The receipts for transportation-in, postage expenses, and miscellaneous expenses are used to determine the amount to be reimbursed. The petty cashier is unable to account for a $13 shortage in the fund, which is treated as an expense called "Cash Over and Short."

Journal entry:

Date: September 30

Account                           Debit        Credit

Postage Expense           $62

Miscellaneous Expense   $145

Transportation-in                $50

Cash Over and Short              $13

Cash                                  $270

The debits to the expense accounts reflect the nature of the expenses incurred, while the cash over and short amount is recognized as an expense to account for the discrepancy in the petty cash fund. The total debits to the expense accounts amount to $257 ($62 + $145 + $50), and when combined with the cash over and short expense of $13, the total expense reimbursed is $270.

3. October 1: Increasing the Petty Cash Fund

On October 1, the company decides to increase the petty cash fund to $450. This is done by debiting the Petty Cash account and crediting the Cash account for the additional amount.

Journal entry:

Date: October 1

Account      Debit   Credit

Petty Cash    $60

Cash                $60

The debit of $60 to the Petty Cash account increases the fund to $450, while the Cash account is credited for the same amount.

Please note that the missing account information is indicated by "x" in the table provided. In practice, you would need to fill in the appropriate account names for the entries based on the company's chart of accounts.

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10 Which is incorrect with respect to disability insurance? A A policy may have a non-cancellable provision which gives you the right to renew each year at the same premium with a change in benefits. B A policy with a guaranteed renewable provision gives you the right to renew the policy with the same benefits. C A policy's waiting period is a timeframe that must lapse from the time of disability until the time of receipt of disability income benefits. D A policy's benefit period determines the length of time of coverage.

Answers

The incorrect option with respect to disability insurance is a policy may have a non-cancellable provision which gives you the right to renew each year at the same premium with a change in benefits.

The correct answer to the given question is option A.

Disability insurance is a type of insurance that provides coverage to individuals who become disabled and are unable to work. There are several terms that need to be considered while buying a disability insurance policy such as the waiting period, benefit period, renewability, etc.

The incorrect option is A policy may have a non-cancellable provision which gives you the right to renew each year at the same premium with a change in benefits. This option describes the guaranteed renewable provision which provides the policyholder the right to renew the policy with the same benefits.

Whereas, the non-cancellable provision gives the policyholder the right to renew the policy each year at the same premium and with the same benefits. Thus, option A is incorrect with respect to disability insurance. Hence, the correct option with respect to disability insurance is A policy may have a non-cancellable provision which gives you the right to renew each year at the same premium and with the same benefits.

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How can a country (kuwait) overcome the resourse curse?

Answers

Resource curse is defined as the paradoxical situation where countries with abundant natural resources tend to have lower economic growth and are more prone to corruption and political instability.

To overcome the resource curse, a country such as Kuwait should take the following steps: Developing economic diversification initiatives: Countries should engage in economic diversification programs that encourage a broader range of economic activities. Kuwait, for example, has the opportunity to leverage its oil resources to create other industries such as tourism and technology investment initiatives.

Kuwait should also improve the efficiency and productivity of its oil industry by implementing new technologies and practices that reduce production costs and increase output. Implementing good governance reforms: Countries should also improve their governance systems by implementing reforms that promote transparency, accountability, and citizen participation.

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_____ is the problem confronting the decision maker. It asks what the decision maker needs to do.
A. The research problem B. Problem definition C The environmental context of the problem D. The management decision problem

Answers

The problem confronting the decision maker that asks what the decision maker needs to do is known as the management decision problem. The correct option is D.

The management decision problem is the specific problem the researcher wishes to solve with the market research and it is the most important aspect of the research. It must be well defined and precisely stated. The management decision problem is different from the marketing research problem, which asks what information is needed to solve the management decision problem.

The management decision problem is the initial and foremost question that should be answered when a company is thinking about introducing a new product or service. It's the key question or issue that the researchers are attempting to address. The management decision problem is the question that management is trying to solve with the market research.The management decision problem is the first stage of market research and is a broad problem. The management decision problem requires market research to be conducted and is addressed with particular marketing research problems that require specific research methods and techniques to solve.

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