Which type of risk derives from a firm's business cycle and industry?
Long term risk Marketing risk Business risk Operating risk Which type of risk derives from the level of a firm's variable and fixed costs? Business risk Financial risk Operating risk
Marketing risk Which of the following is not included in the annual free cash flows over a project's life? Depreciation and taxes Interest expenses Changes in working capital
Changes in capital spending

Answers

Answer 1

The type of risk that derives from a firm's business cycle and industry is: Business risk (Option c)

The type of risk that derives from a firm's business cycle and industry is:

c. Business risk

The type of risk that derives from the level of a firm's variable and fixed costs is:

a. Business risk

The item that is not included in the annual free cash flows over a project's life is:

a. Depreciation and taxes

Business risk: Business risk is the type of risk that arises from the inherent nature of a firm's operations, its business cycle, and the characteristics of the industry it operates in. It is associated with factors such as changes in demand, competition, technological advancements, and economic conditions that can impact the firm's financial performance and profitability.

Business risk: The level of a firm's variable and fixed costs directly contributes to business risk. Variable costs are costs that change with the level of production or sales, while fixed costs remain constant regardless of the level of output. The higher the proportion of fixed costs in a firm's cost structure, the greater the business risk, as any decline in sales or revenue can have a significant impact on profitability.

Depreciation and taxes: Depreciation and taxes are typically considered when calculating net income, but they are not included in the calculation of annual free cash flows. Free cash flows represent the cash generated by a project or investment after accounting for all expenses, including changes in working capital, capital spending, and interest expenses. Depreciation is a non-cash expense, and taxes are not considered as they are specific to the tax obligations of the business rather than the cash flow of the project

The correct question is:

1. Which type of risk derives from a firm's business cycle and industry?

a. Long term risk

b. Marketing risk

c. Business risk

d. Operating risk

2. Which type of risk derives from the level of a firm's variable and fixed costs?

a. Business risk

b. Financial risk

c. Operating risk

d. Marketing risk

3. Which of the following is not included in the annual free cash flows over a project's life?

a. Depreciation and taxes

b. Interest expenses

c. Changes in working capital

d. Changes in capital spending

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Related Questions

If you see the letters "wh” on your paycheck, what do they stand for?

Answers

Withdraw I think.......
I’m pretty sure it means Withdraw

all the following are reasons to invest, EXCEPT

all the following are reasons to invest, EXCEPT

Answers

Answer:

B

Explanation:

The competitive force of new entrants into an industry is weak when Multiple choice question. existing industry members are looking to expand their market reach by entering new product areas. industry members will strongly contest the efforts of new entrants to gain market share. the pool of entry candidates is large. newcomers can expect to earn attractive profits.

Answers

Answer:

industry members will strongly contest the efforts of new entrants to gain market share.

Explanation:

The Porter’s five forces of competition is a framework developed by Michael E. Porter in 1979, it is used to measure and analyze an organization's competitiveness in a business environment.

The Porter's five forces of competition framework are:

1. The bargaining power of suppliers.

2. The bargaining power of customers.

3. Threat posed by substitute products.

4. Threats posed by new entrants.

5. Threats posed by existing rivals in the industry.

A competitive force can be defined as all of the variables and factors that are capable of threatening the profitability, continuous growth and development of a business firm. Also, the competitive forces differs from one industry to another and as such they are never the same.

The competitive force of new entrants into an industry is usually weak when existing or old industry members with better experiences, understanding of the market and greater competitive advantage strongly contest the efforts of new entrants, in order to gain market share. New entrants generally do not have the wherewithal to contest with existing industry members.

Orlando invested $16,000 in an eight-year CD bearing 6. 5% simple annual interest, but needed to withdraw $3,500 after five years. If the CD’s penalty for early withdrawal was one year’s worth of interest on the amount withdrawn, when the CD reached maturity, how much less money did Orlando earn total than if he had not made his early withdrawal? a. $227. 50 b. $682. 50 c. $910. 00 d. $455. 0.

Answers

The amount earned less by Orlando if he had made his early withdrawal is $3,727.50

Computation:

Given,

Principal amount =$16,000

Simple interest rate =6.5%

Time period =8 years

Future value =$3,500, after 5 years

The formula of future value will be used to determine the difference amount earned irrespective of the early payments.

\(\begin{aligned}F&=P+(P\times i \times t)\\&=\$16,000+\$16,000\times0.065\times8\\&=\$24,320\end{aligned}\)

Now, the same formula will be used for the payment received after 5 years.

\(\begin{aligned}F_1&=F-[\text{Withdrawal}-(\text{Withdrawal}\times i )]\\&=\$24,320-[\$3,500-\$3,500\times0.065\\&=\$20,592.50\end{aligned}\)

The amount earned less is the difference between the future value of the principal and the future value of the withdrawn amount.

\(\begin{aligned}\text{Amount}&=F-F_1\\&=\$24,320-\$20,592.50\\&=\$3,727.50\end{aligned}\)

Therefore, the given options are incorrect and the correct amount is $3,727.50 that is less money Orlando earned in total without the early payments.

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Works that are published on an ongoing, regular basis are called:_________

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Ongoing, regularly published works are referred to as: Sources that are consistently published include periodicals.

What is consistently opposed to?

This list of 89 words that are conceptually related to the word regularly includes the terms automatically, faithfully, frequently, repeatedly, and constantly. Additionally, the word frequently is not a precise synonym for daily or every day; rather, it simply refers to a regular regularity or habit. For instance, when someone claims to often visit the dentist, they might not necessarily mean that they do it daily but rather that they do so frequently, such as once or twice a week. Regular exercise, whether it be through sports, playing a sport, walking, cycling, wheeling, or other forms of physical recreation, is beneficial to health. It is best to exercise slightly than not at all.

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The bonds of Ford Motor Company have received a rating of "B" by Moody's. The "B" rating indicates Group of answer choices the bonds are "high-yield" or junk bonds. the bonds are referred to as "high-yield" bonds. the bonds are insured. the bonds are junk bonds. the bonds are insured or junk bonds.

Answers

The bonds of Ford Motor Company have received a rating of "B" from Moody's, which indicates that the bonds are "high-yield" or junk bonds.

This means that the bonds have a higher risk of default and are therefore considered riskier investments.

The rating does not indicate whether the bonds are insured or not, but it does suggest that investors should exercise caution when considering purchasing them.

In general, "high-yield" or junk bonds offer higher returns than more stable investments, but they also come with greater risk.

So, in summary, the bonds of Ford Motor Company with a "B" rating are considered junk bonds or high-yield bonds, but their insurance status is not indicated by this rating.

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The slope of a demand curve is not used to measure the price elasticity of demand because.

Answers

The correct option is C.

The measurement of slope is sensitive to the units chosen for price and quantity.

What Is Meant by Elasticity in Economics?

The term "elasticity" refers to a measurement of how responsively a quantity that is required or supplied is to one of its determinants. When a factor, like as price or supply, changes, the demand for a good responds quickly. Conversely, items that are inelastic maintain their demand even when prices increase significantly.

How do we measure elasticity?

The calculation for this indicator, also known as cross-price elasticity of demand, involves dividing the percentage change in the amount demanded of one good by the percentage change in its price.

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I understand that the question you are looking for is:

The slope of a demand curve is not used to measure the price elasticity of demand because

A) the slope of a linear demand curve is not constant.

B) the slope of a line cannot have a negative value.

C) the measurement of slope is sensitive to the units chosen for price and quantity.

D) the slope of the demand curve does not tell us how much quantity changes as price changes.

What is the marginal revenue and marginal cost for this diagram?

What type of market is this? Explain your answer

What is the marginal revenue and marginal cost for this diagram?What type of market is this? Explain

Answers

Marginal revenue :

2060120200300420560

Marginal cost :

108210192640

It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.

Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.

Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.

Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.

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Assume you won a $10M lottery but it pays in 10 equal installments of $1m each, the first installment is now and the rest 9 payments will continue over the next 9 years. At 10% discount rate, what is the present value (cash value) of this lottery of 10 payments? Hint Find the PV of 9 payments of $1m each discounted at 10% and then add the initial $1m to the PV you just found. The result would be the cash value of the 10 payments Be careful with the signs your calculator displays. Another method is to set your calculator's mode to "Beginning, BGN mode" and just plug N=10 A. 6.759m B.6.156 C.10m D.16.245m

Answers

The present value (cash value) of the lottery of 10 equal installments of $1m each, paid over 10 years, at a discount rate of 10% is $6.759m.

In order to calculate the present value (cash value) of the lottery, we need to find the value of 9 payments of $1m each discounted at a rate of 10% and then add the initial $1m payment to the PV we just found.

Using the formula for present value of annuity, we get:

PV of 9 payments of $1m each discounted at 10% = [$1m x (1 - (1/ (1 + 0.10)^9))] / 0.10

= $6.024m

Adding the first $1m payment to this value, we get a total PV of $7.024m. However, this is not the correct answer.

This is because the calculator is assuming that the payments are made at the end of each period (END mode). We need to change the calculator to assume that the payments are made at the beginning of each period (BEGIN mode).

Once the calculator is set to BEGIN mode, we can simply enter N=10, I/Y=10 and PMT=-$1m and then press the PV button. This will give us the exact value of $6.759m, which is the cash value of the lottery.

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A debit in the T-Account for 'Cash' may be balanced by a credit in which of the following?
A. Equipment
B. Inventory
C. Accounts Payable
D. All of the Above

Answers

Answer:

B

Explanation:

5 (SO 6) Putnam Sound, Inc. (PSI) is a manufacturer of stereo speaker systems. The company prepares special journals and subsidiary ledgers for its revenue, expenditures, payroll, and conversion processes. For administrative processes, however, journal vouchers are created for the related general ledger entries. Steve Jamison is the accounting clerk who has responsibility for preparing journal vouchers.
Journal vouchers are prepared on preprinted forms; however, these forms are not prenumbered. Steve records a sequential journal voucher number on each form that is prepared. This procedure is in place because of the large number of journal vouchers that are typically voided each period at PSI. Because of the nonrouting nature of the underlying processes, it is not unusual for a journal entry to be revised once or twice before it is actually recorded.
Journal vouchers are posted to the general ledger on a biweekly basis. Once a journal voucher has been posted, Steve records it in a voucher log. This log is simply a chronological listing of all journal vouchers written that allows Steve to account for the numerical sequence of vouchers.
On a bimonthly basis, Steve reconciles the subsidiary accounts to their control accounts in the general ledger and verifies that the general ledger is in balance.
Required:
Describe the internal control strengths and weaknesses of PSI's general ledger accounting processes. For any weaknesses, suggest an improvement.

Answers

One internal control strength of PSI's general ledger accounting processes is that journal vouchers are prepared on preprinted forms, which can help ensure that all necessary information is included and recorded accurately.

Additionally, the sequential numbering of the journal vouchers allows for better tracking and control of the process. However, a weakness of the process is that the forms are not prenumbered, which could lead to errors or fraud if a voucher is duplicated or skipped.

A potential improvement would be to use prenumbered forms to ensure that all vouchers are accounted for and in the correct sequence. Another weakness is the fact that journal entries can be revised multiple times before being recorded.

This could potentially lead to confusion or errors if changes are not properly documented or communicated. An improvement could be to implement a review and approval process for all journal voucher revisions, to ensure that changes are properly authorized and recorded.

Overall, while PSI's general ledger accounting processes have some strengths, there are also areas that could benefit from improvements to strengthen internal controls and reduce the risk of errors or fraud. .

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We can imagine the financial manager doing several things on behalf of the firm’s stockholders. For example, the manager might do the following:
a. Increase the firm's market value by investing in real assets.
b. Modify the firm’s investment plan to help shareholders achieve a particular time pattern of consumption.
c. Choose high- or low-risk assets to match shareholders’ risk preferences.
d. Help balance shareholders’ checkbooks.

Answers

Answer:

A

Explanation:

One of the responsibilities of a financial manager is to direct investment activities towards increasing the market value of an organization and also support the long term financial goal of the firm.

In as much as the financial manager is expected to act in the best interest of the shareholders , he should not be bias towards them in carrying out his responsibilities,

Therefore , the best option of the given alternatives in the scenario is the he should work towards increasing the market value by investing in real assets.

The export of new world crops to the old world transformed european society mostly by.

Answers

The export of crops from the New World to the Old World transformed European society mainly by improving the diets of the population, which consequently increased population growth.

How did the colonization of the new world benefit Europe?

The discovery of America by European explorers made the place known as the New World, due to the fact that there were lands and riches that were used by Europeans for the crops and exploitation of precious metals for the enrichment of the European metropolis.

Therefore, the colonization of the New World made Europe rich through the exploitation of the resources of the conquered lands, increasing the supply of raw materials and reducing the scarcity of society.

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Can earn 8.0% interest compounded continuously. if he deposits $1,400 right now, how much interest will have been earned after 1 year

Answers

After 1 year, approximately $3,115.76 will have been earned in interest.

To calculate the interest earned after 1 year, we can use the formula for continuous compounding:

A = P*e^(rt)

where A is the final amount, P is the principal amount (initial deposit), e is Euler's number (approximately 2.71828), r is the interest rate, and t is the time in years.
In this case, the principal amount is $1,400 and the interest rate is 8.0% or 0.08 in decimal form.
Plugging these values into the formula, we have:

A = 1400 * e^(0.08*1).
Calculating this equation, we find that

A ≈ 1400 * 2.22554.
Thus, after 1 year, approximately $3,115.76 will have been earned in interest.

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Effective October 1, 2015, the real estate industry has new requirements as specified in the1 - HUD-1A Rules.2 - TILT/RESPA Loan Disclosure (TRLD) Rule.3 - Consumer Protection Rules (CPR).4 - TILA/RESPA Integrated Disclosure (TRID) Rule.

Answers

Effective October 1, 2015, the real estate industry has new requirements as specified in the (4) - TILA/RESPA Integrated Disclosure (TRID) Rule is correct option.

The TILA/RESPA Integrated Disclosure (TRID) Rule, also known as the "Know Before You Owe" rule, was implemented by the Consumer Financial Protection Bureau (CFPB) and became effective on October 1, 2015. The TRID rule combined the disclosure requirements of the Truth in Lending Act (TILA) and the Real Estate Settlement Procedures Act (RESPA) into two forms: the Loan Estimate and the Closing Disclosure. The Loan Estimate form must be provided to borrowers within three business days of submitting a loan application, and the Closing Disclosure form must be provided to borrowers at least three business days before the closing of the loan. The TRID rule was implemented to make the mortgage disclosure process more transparent and easier for consumers to understand.

Thus the correct option is (4).

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which of the following is not a characteristic evaluated in ratio analysis? a.liquidity b.marketability c.profitability d.solvency

Answers

B) marketability When analyzing financial statements, analysts use ratio analysis, horizontal analysis, and vertical analysis.

One of the many financial analysis methods that analysts and potential investors use to evaluate various companies in a given industry is the financial ratio analysis, which is used in accounting. The horizontal and vertical analysis techniques are the other methods of analysis.

The process of comparing the relationship (or ratio) between two or more pieces of financial data from a company's financial statements is known as financial ratio analysis. It is primarily used to make accurate comparisons across time and between various businesses or industries.

Which four financial ratios are they?Benefit proportions.Ratios of liquidity.Ratios of solvency.multiples or value ratios.

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our self-talk consists of words pictures and emotions. as we imprint our affirmations we

Answers

Self-talk is your inner voice or the way you speak to yourself. Although you almost probably are doing it without realizing it, you almost certainly are. In order to produce an internal monologue throughout the day, this inner voice mixes conscious thoughts with ingrained beliefs and biases.

What are the four categories of self-talk?

Your inner discourse is known as self-talk.

Personalizing. You own all of the guilt for yourself.

Magnifying.

Catastrophizing.

Polarizing.

What are the five tiers of one's own self-talk?

Helm Stetter outlines the "Five Levels of Self-Talk" (Negative Acceptance, Recognition and Need to Change, Decision to Change, The Better You, and Universal Affirmation) and offers advice on how to navigate each level for significant life changes.

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a financial exchange will need to occur. Evaluate each of the following types of financial exchanges and recommend the best option for the exchange.
(a) Cash
(b) Credit
(c) Debit
(d) Electronic Funds Transfer (EFT)

Answers

Financial exchange can be of different types however the best option for exchange is A. Cash.

What is Credit?

Credit is the type of transfer of financial assets, this transfer includes financial institutions in this type the funds are transferred.

Debit

An exchange type is debit which is the transfer of financial liabilities in return of a consideration, One party transfer a good or service and instead of payment the party which transferred goods also transfers some liabilities.

Electronic Funds Transfer (EFT) is the exchange which is completely online and transfer is made through financial institutions, this transfer is quick.

Cash is the most preferred mode of exchange and therefore this is considered as the best option. Cash is paid in hand, it has the lowest risk of false transfer.

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At what amount will accounts receivable for progress company be reported on the balance sheet if the gross receivable balance is $52,000 and the allowance for doubtful accounts is estimated at 4% of gross receivables?.

Answers

Progress Company will report $49,920 as its accounts receivable on the balance sheet. Accounts receivable refers to an amount that a business is entitled to receive in the future from its customers to whom it has sold products or services.

Progress Company has a gross receivable balance of $52,000 and the allowance for doubtful accounts is estimated at 4% of gross receivables. To arrive at the amount that accounts receivable will be reported on the balance sheet, we need to calculate the net accounts receivable. We can do this by subtracting the allowance for doubtful accounts from the gross receivables. Given, Gross receivable balance = $52,000,

Allowance for doubtful accounts = 4% of gross receivables

= 4/100 * $52,000 = $2,080

Net receivable balance = Gross receivable balance - Allowance for doubtful accounts

= $52,000 - $2,080

= $49,920

Therefore, Progress Company will report $49,920 as its accounts receivable on the balance sheet.

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A budget that is prepared with the full cooperation of managers at all levels is a self-imposed or _____.

Answers

A self-imposed or participatory budget is one that is created with the full support of all management, regardless of their position.

What exactly does participatory budgeting mean?

In a budgeting procedure called participatory budgeting, those in lower levels of management take part in the creation of the budget.

What benefits can participatory budgeting provide?

Organizations can give their workforce a sense of ownership and influence by using the effective budgeting technique known as participatory budgeting. By better understanding the financial requirements of their divisions, firms can introduce this technique to reduce loss.

Participatory budgeting is used by who?

When upper and lower level management work in perfect harmony, participatory budgeting is effective. It goes without saying that top-level managers have relatively little knowledge of the organizational expenditures and expenses incurred by departments.

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During an interview with the sales representative job candidate, she or he makes this statement: "I always try to get along with people. It’s really important to me that other people like me." With which personality trait would this seem to be most consistent?
A) High neuroticism
B) High agreeableness
C) High introversion
D) Low openness
E) High conscientiousness

Answers

The statement "I always try to get along with people. It’s really important to me that other people like me" is most consistent with the personality trait of high agreeableness (Option B).

Agreeableness is characterized by being friendly, cooperative, and considerate towards others.

Agreeableness is a personality trait that reflects a person's tendency to be kind, cooperative, empathetic, compassionate, and helpful in social situations.

People with high levels of agreeableness are generally likable, supportive, and cooperative, while people with low levels of agreeableness are generally more competitive and less willing to compromise.

They are often less interested in the needs and feelings of others.

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commercial banks hold deposits and

Answers

Anddd??? What?? You just typed and stopped midway lol
? Umm I don’t get it

A decrease in the interest rate would cause investment to
This will lead to ____________
shift in the aggregate expenditure
​(AE​) curve.
In the​ end, the new equilibrium output​ (income) (Y​)will change by ________the change in investment.

Answers

A decrease in the interest rate leads to an increase in investment spending, which causes a shift in the aggregate expenditure (AE) curve.

When the interest rate decreases, it becomes cheaper for businesses to borrow money for investment purposes. This leads to an increase in investment spending, as businesses are more willing to undertake new projects and expand their operations.

The increase in investment spending, in turn, leads to a shift in the aggregate expenditure (AE) curve, which represents the total spending in the economy at different levels of income.

The shift in the AE curve occurs because investment is one of the components of aggregate expenditure. As investment increases, the AE curve shifts upward, indicating higher levels of spending at each level of income.

The magnitude of the shift in the AE curve depends on the size of the change in investment. The new equilibrium output (income) will change by a multiple of the change in investment, known as the multiplier effect.

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Since work packages provide the basis for future project
planning activities, they should be as detailed as possible.
a. True
b. False

Answers

Work packages provide the basis for future project planning activities, they should be as detailed as possible. The statement is a. True

Work packages serve as the foundation for project planning activities. They provide the necessary level of detail and specificity to ensure that tasks are well-defined and can be effectively executed. By breaking down project work into smaller, manageable components, work packages facilitate resource allocation, scheduling, and coordination. Detailed work packages enable project managers and team members to have a clear understanding of the scope, objectives, deliverables, and dependencies of each task. This clarity helps in estimating timelines, assigning responsibilities, and tracking progress.

Therefore, it is important for work packages to be as detailed as possible to support accurate planning and successful project execution. The statement is true.

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Which of the following is NOT a component of relationship marketing? Total quality management. Understanding customer expectations. Empowering employees. Building service partnerships. Maximizing prof

Answers

Total Quality Management is the relationship marketing component that is NOT relevant. Relationship marketing is a form of marketing strategy that aims to provide lasting value over the long term through fostering connections with clients, consumers, and other stakeholders.  

It involves the use of techniques and tools that promote collaboration, cooperation, and mutual understanding between businesses and their customers in order to increase customer retention, loyalty, and advocacy.  The components of relationship marketing are as follows: Understanding customer expectations Empowering employees Building service partnerships Maximizing profits by creating customer loyalty

As a result, relationship marketing does not include Total Quality Management. The goal of Total Quality Management (TQM), a company management strategy, is to meet or exceed customer expectations by continuously improving processes, goods, and services.   Long-term client connections are not always a need for TQM, nor does it include the other essential elements of relationship marketing like staff empowerment, service partnerships, and profit maximization.

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Compared to a short-term investment, what is the general return of a long-term investment? A) A long-term investment has a similar return to a short-term investment.
B) A long-term investment has a greater return because it has greater risk.
C) A long-term investment has a greater return because it has lower risk.
D) A long-term investment has a lower return because it has lower risk.

Compared to a short-term investment, what is the general return of a long-term investment? A) A long-term

Answers

Let understand that "short-term investment" are investments that can be easily converted to cash and has a maturity period of less than a year. Example of this investment are Money Market.

"Long term investment" are investment that runs over a long period of time and yield higher return than the short-term investment". Example of these investment are stocks, bonds, real estate

People invest in "Long term investment" because its offers more risk for higher rewards.

In conclusion, long-term investment has a greater return because it has greater risk.

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Answer:

Compared to short-term investment, what is the general return of long-term investment?

Long-term investment has a similar return to short-term investment.Long-term investment has a greater return because it has greater risk.Long-term investment has a greater return because it has lower risk. <<<CORRECTLong-term investment has a lower return because it has lower risk.

Explanation:

Edge 2022

Sometimes the parties believe consideration exists when it does not. When does this occur? Choose three answers.
When the parties agree to something they already have a preexisting duty to do
When the parties agree to something they have no intention of doing
When the parties agree to something that involves actions or events that have already occurred
When the parties agree to something that is so uncertain that a party has not really agreed to do anything

Answers

The three options are as follows: The parties already have a duty to do something when they agree to it. When the parties reach an agreement that is so ambiguous that one party hasn't actually committed to anything

desfaso.

Parties are the people or organisations that are involved in a contract or agreement, as defined by contract law. A contract typically involves two parties: the offeror, who makes the offer or proposition, and the offeree, who accepts it. However, other parties could also be engaged, such third-party beneficiaries or agents working for the parties. According to the provisions of the contract, each party is responsible for upholding their respective tasks in accordance with the agreed-upon terms. Each party also has certain rights. If one party breaches a contract duty, the other party may also be subject to legal action.

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Companies allow customers to pay for products using third-party credit cards because: (Check all that apply.)

Answers

The reasons why Companies allow customers to pay for products using third-party credit cards are;

a variety of payment options typically increase sales volume.the seller does not have to evaluate customer credit.cash is received from the credit card company faster than from a credit customer.the seller avoids the risk of customer non-payment.

Why do companies allow payment with third-party credit cards?

In most cases, companies usually prefer the payment by customer using third-party credit cards because cash is received from the credit card company faster than from a credit customer.

And this also help the seller to avoids the risk of customer non-payment.

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Amazonians shone bright during another record-breaking turkey 5. once again,, customers around the world turned to amazon to deliver holiday cheer. what was one of the best-selling items?

Answers

One of the best-selling items during Amazon's record-breaking turkey 5 holiday season was the Echo Dot. The Echo Dot is a small, voice-controlled device that allows users to access various services and information, including music, news, weather, and more. It is powered by the Amazon Alexa voice service, which uses artificial intelligence to understand and respond to voice commands.

The Echo Dot was popular among Amazon customers due to its convenience and versatility. Its compact size allows it to be placed almost anywhere in the home, making it easy to access from any room. Its voice control feature allows users to ask Alexa to play music, set alarms, answer questions, and more without lifting a finger.

In addition to its functionality, the Echo Dot was also a hit due to its affordability. At just $49.99, it was a budget-friendly option for those looking to upgrade their home entertainment system or add a smart home device to their home.

The Echo Dot's popularity was not limited to the holiday season, as it has consistently been a top seller on Amazon for several years. Its success can be attributed to Amazon's dedication to constantly updating and improving the device and its ability to integrate with other smart home devices and services.

The Echo Dot was a standout product during Amazon's record-breaking turkey 5 holiday season. Its popularity is expected to continue as more consumers turn to smart home devices to simplify and enhance their daily lives.

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How does technical education play a vital role to develop the entire nation?

​pls- don´t lie


;)

Answers

Answer: Education is needed for jobs. If we dont have education people cant get certain jobs. Without certain jobs the world would fall into a pandemic.

Explanation:

Answer:

Technical education play a vital role to develop the entire nation by improvimg the well beimg of youth and communities.

It increases the productivity. It also helps to accelerate the pace of work and motivate the person towards his/her work.It creayes skilled manpower and improves the quality of life.

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