todd, a manager at dexter manufacturing, received a grievance filed by a group of his subordinates who are union members. unable to settle the grievance, both sides agree to enter into arbitration. which of the following questions is least relevant for the arbitrator to ask when establishing the fairness of management's actions? group of answer choices what are the right-to-work guidelines involved? has there been lax enforcement of the rule? were the grievants knowledgeable about the rules? what is the past record of the grievants?

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Answer 1

While the two groups are unable to settle the grievances, the least relevant question to the arbitrator while establishing the fairness to the actions of the management will be "What are the right-to-work guidelines involved?"

The correct option is option a.

Human Resource Management or HRM is basically a business management expertise which happens to focus on the hiring, recruiting, training, deploying, as well as managing the employees who are a part of an organization.

Todd who is a manager at Dexter Manufacture got a grievance which were filed by his subordinates. The groups entered into an arbitration. In such case, the least relevant question to them would be "What are  the right-to-work guidelines involved?"

Hence, the correct option is option a.

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Related Questions

if each of two competing monopolists undertakes equal advertising efforts to attract consumers away from the other, the total result is

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If each of two competing monopolists undertakes equal advertising efforts to attract consumers away from the other, the total-result is that they will simply neutralize one another's efforts.

If two monopolists are competing with each other and both undertake equal efforts to attract consumers away from the other, the total result is that they will simply neutralize each other's efforts.

This is because the efforts of one monopolist to attract customers away from the other will be countered by the other's efforts to attract customers back.

Therefore, there will be no net-gain in market share for either monopolist.

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what are two complications or risks of failure that can arise from gathering data from six different operational databases covering six riverboat gambling casinos and hotels? what might be done to minimize each one.

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Two complications or risks of failure that can arise from gathering data from six different operational databases covering six riverboat gambling casinos and hotels are inconsistent or inaccurate data and data security breaches

Two complications or risks of failure that can arise from gathering data from six different operational databases covering six riverboat gambling casinos and hotels are

Inconsistent or Inaccurate Data: Since the data is collected from six different operational databases, there is a risk that the data collected may be inconsistent or inaccurate due to variations in the data collection processes or standards used across the different databases.

To minimize this risk, data standardization and data quality checks should be implemented. Standardization involves creating a common data structure and format that is used across all databases, ensuring that all data collected is consistent and uniform.

Data Security Breaches: Gathering data from multiple sources increases the risk of data breaches, as there are more entry points for hackers to exploit. The sensitive nature of the data collected, including customer and financial data, makes it particularly vulnerable to attacks.

To minimize this risk, proper data security measures must be put in place, including firewalls, encryption, and access controls.

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the strength of competitive pressures that suppliers can exert on industry members is mainly a function of

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The strength of competitive pressures that suppliers can exert on industry members is mainly a function of supplier bargaining power.

Supplier bargaining power refers to the ability of suppliers to influence the terms of a business relationship, such as price, quality, and delivery times. This power depends on several factors, including:

1. Supplier concentration: When there are only a few suppliers or the suppliers are highly concentrated, they can exert more influence on industry members due to the limited alternatives available.

2. Product differentiation:
If a supplier offers a unique or differentiated product, industry members may be more reliant on that supplier and thus the supplier has increased bargaining power.

3. Switching costs: If it is expensive or time-consuming for an industry member to switch to a new supplier, this can give the current supplier more power to dictate terms.

4. Forward integration:
If suppliers have the ability to integrate forward into the industry member's business, they can potentially compete directly with them, increasing their bargaining power.

5. Industry member dependence:
If the supplier's product is a critical component of the industry member's business, the supplier will have more bargaining power as the industry member is more dependent on their product.

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one year ago, the jenkins family fun center deposited $4,200 into an investment account for the purpose of buying new equipment four years from today. today, they are adding another $6,000 to this account. they plan on making a final deposit of $8,200 to the account next year. how much will be available when they are ready to buy the equipment, assuming they earn a rate of return of 5 percent?

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When the Jenkins Family Fun Center is ready to buy new equipment four years from today, they will have $22,924.32 available in their investment account, assuming they earn a rate of return of 5 percent.

One year ago, the Jenkins Family Fun Center deposited $4,200 into an investment account for the purpose of buying new equipment four years from today.

Today, they are adding another $6,000 to this account. They plan on making a final deposit of $8,200 to the account next year. How much will be available when they are ready to buy the equipment, assuming they earn a rate of return of 5 percent?

To solve this problem, you can use the formula for calculating the future value of an investment:

FV = PV x (1 + r)n

where:

FV is the future value of the investment

PV is the present value of the investment

r is the rate of return on the investment

n is the number of years until the investment matures

Using this formula, you can determine the total amount of money available in the investment account when the Jenkins Family Fun Center is ready to buy new equipment:

PV = $4,200 + $6,000 + $8,200 = $18,400

r = 5% (or 0.05)

n = 4 years

FV = $18,400 x (1 + 0.05)4 = $22,924.32

Therefore, when the Jenkins Family Fun Center is ready to buy new equipment four years from today, they will have $22,924.32 available in their investment account, assuming they earn a rate of return of 5 percent.

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Automated Fingerprint Verification
O confirms a person's identity
O tracks which employees have used the copy machine
O checks for a criminal history
O tracks where customers have traveled

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Answer:

confirms a person's identity

lego divides its customers by age and gender. dividing a market into several sections of customers is known as . mass customization market positioning market segmentation value engineering undifferentiated marketing

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Lego divides its customers by age and gender. Dividing a market into several sections of customers is known as market segmentation.

Market segmentation is a process of dividing a large and heterogeneous market into smaller groups of buyers who have similar needs and characteristics. Each group of buyers is likely to respond differently to the marketing mix, so it is essential to design and implement different marketing strategies for different segments. Market segmentation helps firms to increase their sales, reduce costs, and improve customer satisfaction. Lego is an excellent example of market segmentation based on age and gender. They have a wide range of products that cater to the needs and wants of different age groups and genders.

For example, Lego Duplo is designed for children aged between 1.5 and 5 years, while Lego Friends is designed for girls aged between 5 and 12 years. The Lego Ninjago and Lego Star Wars are designed for boys aged between 5 and 12 years. Lego's market segmentation strategy has been successful as it allows them to target their marketing efforts more effectively. They are able to design products that are tailored to the specific needs and wants of each segment. This helps to increase customer satisfaction and loyalty, which in turn helps to increase sales.

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leo buys an exclusive territory in which he is authorized to set up a plant to make midwest dairy, inc., products. after receiving the formula, leo begins making nice ice-brand ice cream and other midwest products. this is a chain-style franchise. a distributorship franchise. a manufacturing franchise. no franchise.

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Answer:

distributorship franchise

The type of franchise in which Leo buys an exclusive territory to set up a plant to make Midwest Dairy, Inc. products is a manufacturing franchise.

What is a franchise?A franchise is a sort of commercial relationship in which an entrepreneur (the franchisee) buys the right to operate a franchise system's brand and sell its products or services within a certain territory or location. Franchisees often pay an initial fee for the privilege of joining the system, as well as continuing royalties to the franchisor for continued use of the system and other services in order to continue running the business.In this case, Leo is buying an exclusive territory to set up a plant to make Midwest Dairy, Inc. products. Therefore, this is an example of a manufacturing franchise. Leo is granted the right to use Midwest Dairy's products and formula to make his own ice cream, which he will then distribute to customers.

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a credit union has eight branches; each branch has two departments, and each department has three employees. how many total people does the credit union employ?

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The credit union employs a total of 48 people.

The credit union has:

A credit union is a financial cooperative that is owned and controlled by its members. It provides financial services such as savings and checking accounts, loans, and other financial products to its members. Credit unions are not-for-profit organizations, which means that any profits are returned to the members in the form of lower fees and better interest rates on loans and savings accounts.

Credit unions are typically smaller.

8 branches

2 departments per branch, for a total of 8 x 2 = 16 departments

3 employees per department, for a total of 16 x 3 = 48 employees

Therefore, the credit union employs a total of 48 people.

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the link between the home currency value of a firm's assets and liabilities and exchange rate fluctuations is operating exposure. asset exposure. none of the options asset exposure and operating exposure.

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The link between the home currency value of a firm's assets and liabilities and exchange rate fluctuations is known as both asset exposure and operating exposure. The correct option is asset exposure and operating exposure.

Asset exposure refers to the potential changes in a firm's assets' value due to exchange rate fluctuations. This can directly affect the company's balance sheet, as assets and liabilities are usually denominated in different currencies. When exchange rates fluctuate, the home currency value of these assets and liabilities can change, potentially impacting the firm's financial position.

Operating exposure, on the other hand, is the extent to which exchange rate fluctuations can affect a company's future operating cash flows. This is because exchange rate movements can impact the firm's competitiveness, as well as its revenues and costs in different currencies. For example, a company with a significant portion of its costs in a foreign currency may experience increased expenses if that currency appreciates relative to its home currency.

Both asset exposure and operating exposure are essential aspects for a firm to manage when operating in international markets. By understanding and managing these exposures, companies can mitigate the risks associated with exchange rate fluctuations and maintain a stable financial position.

In summary, the relationship between a firm's home currency value of assets and liabilities and exchange rate fluctuations involves both asset exposure and operating exposure. The correct option is asset exposure and operating exposure.

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explain what the saying low prices cure low prices and high prices cure high prices means

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The saying low prices cure low prices and high prices cure high prices means that when prices are low, they stimulate demand and create competition among producers. This, in turn, leads to higher prices.

The phrase "low prices cure low prices" means that low prices can help solve low prices. In other words, when prices are low, they stimulate demand and create competition among producers. This, in turn, leads to higher prices. The phrase "high prices cure high prices" means that high prices can help solve high prices. When prices are high, consumers demand fewer goods and services, and producers reduce the supply of goods and services. This leads to lower prices.

In other words, high prices can lead to a reduction in demand and supply, which can lead to lower prices. The saying, "low prices cure low prices and high prices cure high prices," is also known as Say's Law. It suggests that the economy works best when prices are allowed to fluctuate freely. When prices are too high, producers will cut prices to attract consumers, and when prices are too low, producers will increase prices to maintain their profit margins. Therefore, the saying means that prices should be allowed to fluctuate naturally without any interference from governments or other outside forces.

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of the following statements about brand mantras, which is true? question 12 options: they average one paragraph in length. they can provide guidance about what ad campaigns to run and where and how to sell the brand. they are used by employees only, not external marketing partners. their influence does not extend beyond tactical concerns. they guide only major decisions, they have no influence on mundane decisions.

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The true statement about brand mantras is option (C) They can provide guidance about what ad campaigns to run and where and how to sell the brand.

Brand mantras are short, three-to-five-word phrases that capture the essence of a brand's identity and serve as a guiding principle for all brand-related decisions. They are intended to be memorable, inspiring, and easily understood by both employees and customers.

Brand mantras can provide guidance not only for major strategic decisions but also for day-to-day tactical decisions such as ad campaigns, sales strategies, and product development. They are not just for internal use by employees but are also useful for external marketing partners who work with the brand.

Therefore, the correct option is (C) They can provide guidance about what ad campaigns to run and where and how to sell the brand.

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The given question is incomplete, the complete question is:

Of the following statements about brand mantras, which is true? A. They guide only major decisions, they have no influence on mundane decisions. B. Their influence does not extend beyond tactical concerns. C. They can provide guidance about what ad campaigns to run and where and how to sell the brand. D. They average one paragraph in length. E. They are used by employees only, not external marketing partners.

on a particular date, fedex has a stock price of $81.56 and an eps of $7.28. its competitor, ups, had an eps of $4.01. what would be the expected price of ups stock on this date, if estimated using the method of comparables?

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The expected stock price of UPS on this date is approximately is $44.95.

On a particular date, FedEx has a stock price of $81.56 and an EPS of $7.28. Its competitor, UPS, had an EPS of $4.01.

To estimate the expected price of UPS stock on this date using the method of comparables, follow these steps:

1. Calculate the Price-to-Earnings (P/E) ratio for FedEx:

P/E ratio (FedEx) = Stock price (FedEx) / EPS (FedEx)

P/E ratio (FedEx) = $81.56 / $7.28 ≈ 11.21

2. Use the P/E ratio of FedEx and the EPS of UPS to estimate the expected stock price for UPS:

Expected stock price (UPS) = P/E ratio (FedEx) × EPS (UPS)

Expected stock price (UPS) = 11.21 × $4.01 ≈ $44.95

So, the expected price of UPS stock on this date, if estimated using the method of comparables, would be approximately $44.95.

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a self-employed individual purchased a van for $30,000 on february 1, year 1, for business use. the individual elected to take the section 179 deduction. on january 1, year 3, the individual sold the van for $20,000. what amount must the individual report under section 1245?

Answers

The adjusted basis of the van at the time of sale is zero. Since the sale price of 20,000 is greater than the adjusted basis, the entire amount of the sale proceeds must be reported as ordinary income under section 1245. The individual must report $20,000 under section 1245.

To calculate the amount to be report under section 124, we need to determine the adjusted basis of the Van at the time of sale. The section 179 deduction allows a taxpayer property in the year it is placed in service, up to a certain limit. In this case, the van was purchased for $30,000 and the taxpayer elected to take the section 179 deduction, So the entier cost of the van was expensed in year 1. Therefore, The van has no adjusted basis at the time of sale. The entire amount of the sale proceeds must be reported as ordinary income in accordance with section 1245 because the sale price of 20,000 is higher than the adjusted basis.

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owns an apple orchard in the state of washington. aubrey has permission to come onto the property and take apples to sell. this right is known as a(n

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Aubrey's right to come onto the property and take apples to sell is known as a license.

A license is a legal permission or authorization granted by the owner of a property to another party to use or access the property for a specific purpose, in this case, to take apples from the orchard for selling. It is typically a revocable privilege that is subject to certain terms and conditions, and does not transfer ownership or any other legal rights to the licensee. it is an easement by permission, which is a type of easement that is granted by the property owner and can be revoked at any time.

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variable manufacturing costs are $70 per unit, and fixed costs are $134,680. sales are estimated to be 5,200 units. how much would absorption costing operating income differ between a plan to produce 5,200 units and a plan to produce 6,500 units?

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The difference in operating income between the two production plans would be $121,000 if the sales price per unit remains constant.

Operating Income = Sales - (Variable Costs + Fixed Costs)

Using the given information, we can calculate the operating income for a production plan of 5,200 units:

Operating Income = (5,200 units x Sales price per unit) - [(5,200 units x $70 per unit) + $134,680]

Operating Income = (5,200 x Sales price per unit) - $470,680

To calculate the operating income for a production plan of 6,500 units, we need to determine the total manufacturing costs for that production level:

Total Manufacturing Costs = (Variable Costs per unit x Number of units) + Fixed Costs

Total Manufacturing Costs = ($70 x 6,500) + $134,680

Total Manufacturing Costs = $609,680

Then, we can calculate the operating income for the production plan of 6,500 units:

Operating Income = (6,500 units x Sales price per unit) - $609,680

Operating Income = (6,500 x Sales price per unit) - $609,680

The difference in operating income between the two production plans can be calculated as follows:

The difference in Operating Income = Operating Income (6,500 units) - Operating Income (5,200 units)

Difference in Operating Income = [(6,500 x Sales price per unit) - $609,680] - [(5,200 x Sales price per unit) - $470,680]

The difference in operating income between the two production plans will depend on the sales price per unit. If the sales price per unit remains constant, the difference in operating income can be calculated as follows:

The difference in Operating Income = (6,500 - 5,200) x Sales price per unit - ($609,680 - $470,680)

The difference in Operating Income = 1,300 x Sales price per unit - $139,000

For example, if the sales price per unit is $200, the difference in operating income would be:

Difference in Operating Income = (1,300 x $200) - $139,000

Difference in Operating Income = $260,000 - $139,000

Difference in Operating Income = $121,000

It's important to note that absorption costing can lead to differences in operating income between production plans due to changes in fixed overhead costs allocated to each unit of production.

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company x, a manufacturer of pencils, offers to sell company y 1,000,000 pencils for $1 million. the offer, which is signed by company x's president, says that it will remain open for six months. the offer does not request that company y pay any consideration for the promise to keep the offer open, and company y does not pay company x any consideration. when can company x revoke the offer?

Answers

Under the given circumstances, Company X can revoke the offer to sell 1,000,000 pencils to Company Y at any time before Company Y accepts the offer.

This is because there is no consideration paid by Company Y for Company X's promise to keep the offer open for six months.

Consideration is an essential element of a valid contract, and it refers to something of value exchanged between the parties involved. In this case, since there is no consideration paid by Company Y to Company X, the offer is not a binding contract, and Company X can revoke the offer at any time before it is accepted by Company Y.

Furthermore, the offer is open for six months, which means that it will expire after six months if Company Y does not accept it. After the offer expires or is revoked by Company X, it can no longer be accepted by Company Y, and there is no contract formed between the two companies.

Therefore, under the given circumstances, Company X can revoke the offer at any time before it is accepted by Company Y, as there is no consideration paid by Company Y for Company X's promise to keep the offer open for six months.

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below are amounts (in millions) from three companies' annual reports. beginning accounts receivable ending accounts receivable net sales walco $1,675 $2,622 $308,427 tarmart 5,466 5,994 53,878 costget 489 525 54,963 required: 1. calculate the receivables turnover ratio and the average collection period for walco, tarmart and costget. 2. which company appears most efficient in collecting cash from sales?

Answers

a) The receivables turnover ratio is 110.5 for walco, 9.1 for Tarmart and 212.2 for costget. The average collection period is 3.31 months for walco, 40.11 days for Tarmart and 1.72 months for costget.

b) Costget appears to be the most efficient in collecting cash from sales

a) The receivables turnover ratio measures how quickly a company collects its accounts receivable during a period. It is calculated by dividing net sales by the average accounts receivable balance.

The average collection period is the number of days it takes for a company to collect its accounts receivable on average. It is calculated by dividing the number of days in the period by the receivables turnover ratio.

Calculating the receivables turnover ratio and the average collection period for each company, we get:

Walco: Receivables Turnover Ratio = $308,427 / (($1,675 + $2,622) / 2) = 110.5

Average Collection Period = 365 / 110.5 = 3.31 months

Tarmart: Receivables Turnover Ratio = $53,878 / (($5,466 + $5,994) / 2) = 9.1

Average Collection Period = 365 / 9.1 = 40.11 days

Costget: Receivables Turnover Ratio = $54,963 / (($489 + $525) / 2) = 212.2

Average Collection Period = 365 / 212.2 = 1.72 months

b) Among the three companies, Costget appears to be the most efficient in collecting cash from sales since it has the highest receivables turnover ratio of 212.2 and the shortest average collection period of 1.72 months.

This indicates that Costget is able to collect its accounts receivable quickly, which is a positive indicator of the company's financial health and liquidity. In contrast, Tarmart has the lowest receivables turnover ratio and the longest average collection period, suggesting that it may have difficulty collecting its accounts receivable in a timely manner.

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ou buy a treasury note for $990. instructions: round your answers to two decimal places. a. if you receive a payment of $40 every six months, then the annual rate of return is: %. b. if you receive a payment of $30 every six months, then the annual rate of return is: %. c. if you receive a payment of $45 every six months, then the annual rate of return is: %.

Answers

For a treasury note for $990, a. if you receive a payment of $40 every six months, then the annual rate of return is: 8.08%;

b. if you receive a payment of $30 every six months, then the annual rate of return is: 6.06%;

c. if you receive a payment of $45 every six months, then the annual rate of return is: 9.09%.

a. To calculate the annual rate of return when you receive a payment of $40 every six months, follow these steps:

1. Multiply the payment by 2 (since there are two six-month periods in a year):

$40 * 2 = $80

2. Divide the annual payment by the treasury note's purchase price:

$80 / $990 = 0.0808

3. Convert the result to a percentage and round to two decimal places:

0.0808 * 100 = 8.08%

The annual rate of return when receiving a payment of $40 every six months is 8.08%.

b. To calculate the annual rate of return when you receive a payment of $30 every six months:

1. Multiply the payment by 2: $30 * 2 = $60

2. Divide the annual payment by the treasury note's purchase price: $60 / $990 = 0.0606

3. Convert the result to a percentage and round to two decimal places: 0.0606 * 100 = 6.06%

The annual rate of return when receiving a payment of $30 every six months is 6.06%.

c. To calculate the annual rate of return when you receive a payment of $45 every six months:

1. Multiply the payment by 2: $45 * 2 = $90

2. Divide the annual payment by the treasury note's purchase price: $90 / $990 = 0.0909

3. Convert the result to a percentage and round to two decimal places: 0.0909 * 100 = 9.09%

The annual rate of return when receiving a payment of $45 every six months is 9.09%.

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laws governing franchising are designed in part to prevent franchisors from terminating franchises without good cause. true false

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The statement that "laws governing franchising are designed in part to prevent franchisors from terminating franchises without good cause" is true.

This means that franchisors are prohibited from arbitrarily terminating a franchise without good cause. In general, franchise agreements require that both parties must meet specific requirements and that the franchisor must make certain promises about the quality of its products or services.

However, these agreements do not guarantee that a franchise will last forever. If the franchisor violates any of the terms of the agreement, the franchisee may be terminated without cause. The franchisee can also terminate the agreement if the franchisor fails to meet its obligations.

In certain situations, such as if the franchisor goes bankrupt or fails to uphold certain promises, the franchisee may also have the right to terminate the agreement.

To summarize, the laws governing franchising are designed in part to prevent franchisors from terminating franchises without good cause. This helps to protect the interests of franchisees and ensures that the franchisor acts in a fair and reasonable manner.

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a. if household wealth falls by 4 percent because of declining house values, and the real interest rate falls by 2 percentage points, in what direction and by how much will the aggregate demand curve initially shift at each price level? aggregate demand will initially shift

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The aggregate demand curve will initially shift leftward due to the decrease in household wealth caused by declining house values, which will likely outweigh the rightward shift caused by the decrease in real interest rates.

The decrease in household wealth due to declining house values will likely cause consumers to reduce their spending, leading to a leftward shift of the aggregate demand (AD) curve. This shift is due to a decrease in consumer confidence and a decrease in the amount of money available for spending.

On the other hand, the decrease in real interest rates will stimulate spending and investment, leading to a rightward shift of the AD curve. This shift is due to the lower cost of borrowing and the increased incentive for consumers and firms to spend and invest.

The net effect of these two shifts will depend on the magnitude of each shift and the overall size of the economy. However, in general, we can expect the initial effect of the decline in household wealth to outweigh the effect of the lower real interest rates, leading to a net leftward shift of the AD curve.

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Explain how credit can be both a good thing and a bad thing> How do you plan establish credit in the nextt 5-7 years?

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Credit can be both a good thing and a bad thing depending on how it is used. On the positive side, credit can help individuals build a credit history, which can be used to secure loans and other financial products in the future.

This can allow individuals to make important purchases, such as a home or car, that they might not otherwise be able to afford. Additionally, responsible use of credit can help individuals establish a good credit score, which can result in lower interest rates and better loan terms.On the negative side, credit can also be a bad thing if it is not used responsibly. Taking on too much debt or missing payments can lead to high interest rates, late fees, and damage to your credit score. This can make it more difficult to secure loans or obtain credit in the future.To establish credit in the next 5-7 years, it's important to start by obtaining a credit card or other form of credit and using it responsibly.

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a seller has accepted an offer from a ready, willing, and able buyer, and the real estate agent is anticipating the closing of the transaction and receiving a commission. however, if the transaction does not close, the broker still would receive a commission under which circumstances?

Answers

The circumstances under which a real estate broker would still receive a commission even if the transaction does not close are typically laid out in the listing agreement between the broker and the seller.

This agreement should detail the commission structure and the conditions under which the broker is entitled to receive payment. In some cases, the listing agreement may include a clause that states that the broker is entitled to a commission if the seller enters into a contract to sell the property with a ready, willing, and able buyer, but the sale falls through due to no fault of the seller.

This clause is known as a protection period, safety clause, or holdover clause. The duration of the protection period can vary, but it is typically between 30 and 90 days. During this time, if the property is sold to a party who was shown the property during the listing period, the broker would still be entitled to a commission.

However, if the property is sold to a party who was not shown the property during the listing period, the broker would not be entitled to a commission. It is important for both the broker and the seller to carefully review and understand the terms of the listing agreement before entering into a contract.

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the accounting records for portland products report the following manufacturing costs for the past year. direct materials$315,000 direct labor 262,500 variable overhead 231,000 production was 150,000 units. fixed manufacturing overhead was $270,000. for the coming year, costs are expected to increase as follows: direct materials costs by 20 percent, excluding any effect of volume changes; direct labor by 4 percent; and fixed manufacturing overhead by 10 percent. variable manufacturing overhead per unit is expected to remain the same. required: a. prepare a cost estimate for a volume level of 120,000 units of product this year. b. determine the costs per unit for last year and for this year.

Answers

Total manufacturing costs for 120,000 units come to $907,400. The cost per unit increased from $4.35 to $5.04, which is an increase of 16 percent.

a. To prepare a cost estimate for a volume level of 120,000 units of product this year, we first need to calculate the total manufacturing cost for this level of production.

Direct materials cost for 150,000 units = $315,000

Direct labor cost for 150,000 units = $262,500

Variable overhead cost for 150,000 units = $231,000

Fixed manufacturing overhead cost = $270,000

To estimate the cost for 120,000 units, we can use the following formula:

Total manufacturing cost = (Direct materials cost per unit × Number of units) + (Direct labor cost per unit × Number of units) + (Variable overhead cost per unit × Number of units) + Fixed manufacturing overhead cost

Direct materials cost per unit for this year = $315,000 / 150,000

= $2.10 per unit

Direct materials cost per unit for next year = $2.10 × 1.20

= $2.52 per unit

Direct labor cost per unit for this year = $262,500 / 150,000

= $1.75 per unit

Direct labor cost per unit for next year = $1.75 × 1.04

= $1.82 per unit

Variable overhead cost per unit for this year = $231,000 / 150,000

= $1.54 per unit

Variable overhead cost per unit for next year = $1.54 per unit

Fixed manufacturing overhead cost for next year = $270,000 × 1.10

= $297,000

Total manufacturing cost for 120,000 units

= ($2.52 × 120,000) + ($1.82 × 120,000) + ($1.54 × 120,000) + $297,000

= $907,400

b. To determine the cost per unit for last year and this year, we can use the following formula:

Cost per unit = Total manufacturing cost / Number of units

For last year, the cost per unit = ($315,000 + $262,500 + $231,000 + $270,000) / 150,000

= $4.35 per unit

For this year, the cost per unit = ($315,000 × 1.20 + $262,500 × 1.04 + $231,000) / 150,000

= $5.04 per unit

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keynes suggested: a money is the prime factor affecting aggregate demand. b a variety of factors affect aggregate supply. c a variety of factors affect aggregate demand. d money is the prime factor affecting aggregate supply. e net exports is the prime factor affecting aggregate demand.

Answers

Keynes suggested that D. a variety of factors affect aggregate demand.

According to John Maynard Keynes, a British economist, aggregate demand plays a critical role in determining the overall performance of an economy. Aggregate demand is the total amount of goods and services demanded by households, businesses, the government, and foreign countries at different price levels.

Keynesian economics emphasizes that changes in aggregate demand can lead to fluctuations in economic output, employment, and price levels. These fluctuations may result from various factors such as changes in consumer confidence, government spending, investment, and net exports.


In conclusion, Keynes emphasized the importance of various factors that can influence aggregate demand in an economy. His theories have significantly shaped modern macroeconomic policies and continue to provide valuable insights into managing economic fluctuations. Therefore the correct option is D

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true or false? an increase in productivity that affects many or most firms across the economy can cause the aggregate supply curve to shift to the left, thus creating inflationary pressures in the economy.

Answers

An increase in productivity can cause the aggregate supply curve to shift to the left, leading to inflationary pressures in the economy. The statement is false.

About productivity increase

An increase in productivity typically causes the aggregate supply curve to shift to the right, as firms are able to produce more output at lower costs. This leads to lower prices and higher output in the economy, which is generally seen as a positive development.

However, if there are other factors at play that are causing inflationary pressures in the economy, such as high demand or supply shocks, then the aggregate supply curve may shift to the left, leading to higher prices and reduced output.

Therefore, while an increase in productivity can have an impact on the aggregate supply curve, it does not necessarily lead to inflationary pressures. The relationship between productivity and inflation is complex and depends on a variety of factors in the economy.

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a taxpayer purchased 100 shares of caisson corporation for $1,000 in year 1. on december 1, year 2, an additional 100 shares were purchased for $1,500. on december 28, year 2, the taxpayer sold the 100 shares acquired in year 1 for $1,200. what is the taxpayer's recognized gain or loss from the december 28 sale and the basis in the stock purchased on december 1, year 2?

Answers

The taxpayer's recognized gain or loss from the December 28 sale is a loss of $800 and the basis in the stock purchased on December 1, Year 2 is $15 per share.

Capital gains or losses are recognized when a capital asset, such as stock, is sold. A taxpayer's recognized gain or loss is calculated by subtracting their adjusted basis in the asset from the amount received for it. In this scenario, the taxpayer bought 100 shares of Caisson Corporation for $1,000 in Year 1. Later on, December 1, Year 2, they bought an additional 100 shares for $1,500. As a result, the taxpayer now holds a total of 200 shares with an aggregate cost basis of $2,500. On December 28, Year 2, the taxpayer sold the 100 shares acquired in Year 1 for $1,200.

The taxpayer's recognized gain or loss from the December 28 sale is calculated as follows: Sales price of 100 shares sold = $1,200Adjusted basis of 100 shares sold = $1,000Loss on sale of 100 shares = $200The basis of the stock purchased on December 1, Year 2, is determined by dividing the aggregate cost basis by the total number of shares held, which is $2,500/200 shares = $12.50 per share.Additionally, the basis is adjusted upwards to account for any additional costs that the taxpayer incurred in connection with the purchase, such as brokerage fees or commissions.

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what tool is used to determine how present performence measure up to past performace or to industry standers for performace

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A benchmarking tool is used to determine how present performance measures up to past performance or industry standards for performance.

The tool used to determine how to present performance measures up to a past performance or industry standards for performance is known as Benchmarking. Benchmarking is the practice of comparing an organization's performance metrics to those of similar organizations in the same industry or market. Benchmarking can be used to evaluate all aspects of a business, from its products and services to its internal processes and operations. This practice can help organizations identify areas where they are excelling and areas where they need to improve. Benchmarking is a crucial tool in evaluating an organization's performance. By comparing its performance metrics to those of other organizations in the same industry, a company can determine whether it is performing better or worse than its peers. This information can then be used to develop strategies to improve performance and achieve a competitive advantage.
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all of the following are examples of a service firms except: select one: a. lawn care companies b. online retailers c. professional taxi services d. public accounting firms

Answers

Online retailers is not an example of a service firms. So, correct option is B.

Online retailers, such as Amazon, are not considered service firms because they primarily sell physical goods rather than intangible services.

Service firms, on the other hand, offer intangible services, such as lawn care, taxi services, and public accounting services. Lawn care companies provide a service of maintaining and caring for lawns, while taxi services provide transportation services to customers.

Public accounting firms offer accounting and financial services, such as auditing and tax preparation, to their clients. These firms rely on their employees' expertise and skills to provide quality services to their customers, rather than tangible goods.

In contrast, online retailers mainly rely on their website and logistics infrastructure to deliver physical goods to customers. While online retailers may offer some services, such as customer support, their primary business is the sale and distribution of physical goods.

Therefore,  correct option is B.

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which of the following institutions issue bonds that are traded in the bond market? multiple select question. public corporations state governments the federal government sole proprietorships

Answers

The following institutions issue bonds that are traded in the bond market:

Public corporationsState governmentsThe federal government

The correct option is A, B and C.

What is a bond?

A bond is a type of loan that is given to an entity, typically a corporation or government, by an investor. This is a type of fixed-income security that provides investors with a fixed return for a specified period of time. A bond is a loan that an investor gives to an entity.

A bond is similar to a loan because the issuer is the borrower and the investor is the lender. A bond is similar to a loan in that the issuer is the borrower and the investor is the lender

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michael's, incorporated, just paid $1.80 to its shareholders as the annual dividend. simultaneously, the company announced that future dividends will be increasing by 4 percent. if you require a rate of return of 8.2 percent, how much are you willing to pay today to purchase one share of the company's stock?

Answers

If you require a rate of return of 8.2%, you would be willing to pay up to $41.49 to purchase one share of Michael's, Incorporated stock.

To calculate the price of one share of Michael's, Incorporated stock, we need to use the dividend discount model. This model uses the current dividend and the expected growth rate of dividends to estimate the intrinsic value of a stock.

First, we need to calculate the expected future dividends. We know that the annual dividend is currently $1.80, and it will increase by 4% in the future. Therefore, the next year's dividend will be $1.80 x 1.04 = $1.872.

Next, we can use the formula for the dividend discount model to calculate the intrinsic value of the stock:

Intrinsic value = D / (r - g)

Where:

D is the expected dividend

r is the required rate of return

g is the expected growth rate of dividends

Plugging in the values we have, we get:

Intrinsic value = $1.872 / (0.082 - 0.04) = $41.49

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