an open-end mutual fund has the following stocks: stock shares stock price a 14,000 $ 82 b 31,000 26 c 4,500 61 d 84,000 14 the fund has 56,000 shares and liabilities of $142,000. assume the fund is sold with a front-end load of 3.25 percent. what is the offering price of the fund? (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

Answer 1

$64.41 per share is the mutual fund's offering price. The net asset value (NAV), which is the sum of the fund's assets less its liabilities.

Following are the formulas for calculating the stock value of the fund:

14,000 shares of Stock A times $82 per share equals $1,148,000.

Stock B: 31,000 shares at $26 a share equals $806,000.

Stock C: 4,500 shares times $61 per share equals $274,000

84,000 shares of Stock D at $14 each equate to $1,176,000.

The value of the stocks as a whole is $3,405,500 ($1,148,000 + $806,000 + $274,500 + $1,176,000).

The NAV can then be determined as follows:

NAV is calculated as follows: Total Stock Value – Liabilities / Total Shares

NAV is equal to ($3,405,500 + $142,000) / 56,000 shares, or $62.32 per share.

The offering price can then be determined by multiplying the NAV by 3.25 percent. NAV * (1 + Load) is the offering price.

Offering price: $62.32 * (1 + 0.0325) = $64.41 per share

Consequently, $64.41 per share is the mutual fund's offering price.

Learn more about Mutual Fund here:

https://brainly.com/question/13247161

#SPJ4


Related Questions

the balance sheet for jim's hardware has the following items listed. current liabilities, $25,345; long-term debt, $100,000; total liabilities, $125,345; total assets, $325,490. what is the owner's equity for this company?

Answers

200145  is the owner's equity for this company .

What does owner's equity mean?

Equity, also known as shareholders' equity or owners' equity for privately held businesses, is the sum of money that would remain with a company's shareholders after all of its assets have been sold and all of its debt has been settled in the event of a liquidation.

                                 The amount of a company's value that can be claimed by its shareholders is shown on the balance sheet.

Owner's Equity= $200145

Workings

Owner's Equity= Total Asset - Total Liabilities

                          = 325490 - 125345

                           = 200145

Learn more about the owner's equity

brainly.com/question/28246336

#SPJ1

The asset section of a balance sheet normally presents assets in: A) Alphabetical Order B) Order of Largest to smallest dollar amounts C) In the order what will be converted into cash D) No order

Answers

The asset section of a balance sheet normally presents assets in the order what will be converted into cash. Option C is correct.

The asset section of a balance sheet normally presents assets in the order of liquidity or the order what will be converted into cash first. This means that the assets that are most easily converted into cash are listed first, followed by assets that will take more time and effort to convert into cash.

The typical order of assets on a balance sheet is as follows: Cash and cash equivalents, such as checking accounts, savings accounts, and money market accounts.

Short-term investments, such as marketable securities.

Accounts receivable, or amounts due from customers.

Prepaid expenses, or expenses paid in advance that will be used up over time.

Long-term investments, such as stocks and bonds.

Intangible assets, such as patents, trademarks, and goodwill.

This order allows users of the balance sheet to quickly determine the liquidity and financial strength of the company.

To know more about balance sheet here

https://brainly.com/question/26323001

#SPJ4

which of the following statements is incorrect? multiple choice preferred stock prices fluctuate with market interest rates and behave like corporate bond prices. common stock prices changes with the value of the company's underlying business. preferred stockholders have higher precedence for repayment than common stock in the event of firm liquidation from bankruptcy. all of these choices are correct.

Answers

All of the given choices are correct. It is correct that the preferred stock prices fluctuate with market interest rates and behave like corporate bond prices. Also, Common stock prices change with the value of the company's underlying business and preferred stockholders have higher precedence for repayment than common stock in the event of firm liquidation from bankruptcy.

Preferred stock prices pay fixed payments like bonds and thus their prices fluctuate with fluctuation in the payment rates. Common stock price changes with the value of the underlying business as the business grows/declines, and so does the share value. Preferred stockholders do have precedence of payment in the event of liquidation as they get paid first and the balance left is then distributed among common stockholders.

Learn more about Stocks here: brainly.com/question/29992015

#SPJ4

Answer:

The statement that is incorrect is that preferred stock prices fluctuate with market interest rates and behave like corporate bond prices. Preferred stock prices are generally less affected by market interest rates than bond prices, so they tend to move in the opposite direction of bond prices.

during its first month of business, dig the dogs, inc. purchased $900 of hotdogs of which it paid $500 and owes the rest. during the month, it sold two thirds of its inventory for $1,500 on account. what is the amount of cost of goods sold for the month ended?

Answers

Answer:

the COGS for the month is $1200

Explanation:

o calculate the cost of goods sold (COGS) for Dig the Dogs, Inc. during its first month of business, we first need to determine the cost of the hot dogs that were sold.

At the start of the month, Dig the Dogs had $900 worth of hot dogs of which it paid $500 and owes the rest, so the cost of the hot dogs still owed is $900 - $500 = $400.

During the month, the company sold two-thirds of its inventory for $1,500 on account, so we can calculate the cost of the hot dogs sold as follows:

$400 / (1 - 2/3) = $400 / 1/3 = $1200

So, the COGS for the month is $1200.

which of the following options increases the strength of the market entrant force? (1 point) an increase in the cost of necessary equipment high customer loyalty toward existing businesses the availability of a younger workforce with the necessary knowledge and skills at an advantageous cost an increase in the government or local regulations that govern an industry an industry with highly competitive rivals with very low profit margins

Answers

A reduction in government or local regulations that govern an industry increases the strength of the market entrant force.

Although this question is incomplete this is what I have figured out-

When the government reduces its regulation that governs the organization or establishment of business, then it becomes very easier for new players to enter the market and open their businesses.

When new people open their businesses it ultimately increases the competition and provides strength to the market. By reducing the regulations new businesses can compete with an established businesses in a more effective way as these regulations increase the cost of doing business.

Please see the complete question-

Which of the following options increases the strength of the market entrant​ force? A. A reduction in government or local regulations that govern an industry B. An increase in the government or local regulations that govern an industry C. High customer loyalty toward existing businesses D. An industry with highly competitive rivals with very low-profit margins E. An increase in the cost of necessary equipment

To know more about government regulations -

brainly.com/question/29382040

#SPJ4

why do labor organizations downsize their labor force and what are some of the nrgative effects of this practice\

Answers

Changes to the workplace have long-term effects, such as rising voluntary turnover and declining innovation.

What is voluntary turnover?

When an employee quits their position voluntarily, whether it's due to retirement, internal transfer, or finding a new employment, it's referred to as voluntary turnover. Because they frequently result in the loss of a tall employee, these kinds of turnover are usually more expensive to firms.

Is voluntary turnover beneficial?

The opportunity it provides for new talent and innovative ideas makes voluntary turnover not necessarily a bad thing. However, it is typically an expensive activity because it is frequently unanticipated and can impede workflow.

To know more about voluntary turnover visit:

https://brainly.com/question/29214829

#SPJ4

major trends in today's dynamic world of work include increased emphasis on self-directed work groups and virtual teams, heightened global competition, innovative communication technologies, new work environments, and focus on

Answers

Heavy focus on identity project teams and virtual teams, increased global rivalry, cutting-edge multimedia applications, new work spaces, and a focus on corporate ethics are some prominent developments in today's dynamic workplace.

What are the main tendencies in the fast-paced workplace of today?

The importance of inner project teams and virtual teams is increasing, and there is greater competition on a worldwide scale as well as new work spaces and novel communication tools. Many workers today don't require an office because they can work from home or elsewhere.

What kind of writing, in a variety of media, must employees in the modern workforce be capable of producing?

Today's workers must develop their ability to write emails effectively. In today's employment, workers must be ready to interact with customers, coworkers, and the general public utilizing a range of media, including e-mail, messaging, texting, blogs, content sharing, and social media.

To know more about virtual teams Visit:

https://brainly.com/question/28498553

#SPJ1

Kaizen meansA.bringing the entire person to work.B.empowered employees.C.​mistake-proofing of processes.D.a focus on continuous improvement.E.standard practice.Q2:The 5s technique is used on the tarmac at Alaska Airlines toA.position ground staff.B.arrange baggage as it is moved to the plane.C.organize the galley.D.mark location of ground equipment.

Answers

Kaizen is a Japanese term that means "continuous improvement". It is a philosophy that focuses on making small, incremental improvements to processes and products over time, with the goal of improving quality, efficiency, and productivity.

This involves a culture of teamwork, constant learning, and problem-solving, where all employees are empowered to identify and make suggestions for improvement.  The 5S technique is a system used to organize workspaces for maximum efficiency and productivity. The five S's stand for Sort, Set in order, Shine, Standardize, and Sustain. At Alaska Airlines, the 5S technique is used on the tarmac to organize the movement of baggage to and from the plane. This involves sorting out items that are not needed, setting everything in order to create a more streamlined process, and ensuring that everything is clean and in good condition. This technique also helps to standardize the process so that all ground staff work in the same way, and to sustain the improvements over time. By implementing the 5S technique, Alaska Airlines can improve efficiency and reduce errors, resulting in a better experience for passengers.

For more information on technique see:

https://brainly.com/question/30078437

#SPJ4

green co. has an inventory conversion period of 80 days and annual revenue of $4,200,000. how many times per year (360 days) does green turn over its inventory?

Answers

The inventory turnover ratio is calculated as the number of times inventory is sold and replaced in a given period.

It is calculated by dividing the cost of goods sold by the average inventory level. However, in this case, we are given the inventory conversion period, which is the number of days it takes to sell and replace inventory. The formula for calculating inventory turnover using inventory conversion period is:

Inventory turnover = Number of days in period / Inventory conversion period

To find the number of times Green Co. turns over its inventory in a year, we need to divide the number of days in a year (360) by the inventory conversion period (80):

Inventory turnover = 360 / 80

Inventory turnover = 4.5

Therefore, Green Co. turns over its inventory 4.5 times per year.

Inventory turnover is a financial ratio that measures how efficiently a company manages its inventory. It indicates how many times a company sells and replaces its inventory during a given period. A higher inventory turnover ratio is generally considered better because it suggests that a company is selling products quickly and efficiently, and not holding onto excess inventory. The inventory conversion period is the average number of days it takes a company to turn its inventory into sales.

To know more about inventory:

https://brainly.com/question/14184995

#SPJ4

he fomc has instructed the frbny trading desk to purchase $500 million in u.s. treasury securities. the federal reserve has currently set the reserve requirement at 5 percent of transaction deposits. assume u.s. banks withdraw all excess reserves and give out loans. a. assume also that borrowers eventually return all of these funds to their banks in the form of transaction deposits. what is the full effect of this purchase on bank deposits and the money supply? b. what is the full effect of this purchase on bank deposits and the money supply if borrowers return only 95 percent of these funds to their banks in the form of transaction deposits

Answers

As per the requirements in the question -

a. Increase in bank deposit and money supply by (1/.05)*$500m= 10 billion

b. increase in bank deposits and money supply by (1/(.05+(1-.95)))*$500m= 5 billion

The money supply is the whole of the entirety of the money and other fluid resources in a country's economy on the date estimated. The cash supply remembers all money for the course and all bank stores that the record holder can without much of a stretch believer to cash.

Governments issue paper currency and coins through their national banks or depositories, or a blend of both. To keep the economy stable, banking controllers increment or decrease the accessible cash supply through approach changes and administrative choices. The Fed likewise impacts the cash supply, through activities that increment or abate how much money is in the framework.

Monetarists, who view the cash supply as the primary driver of interest in an economy, accept that rising the cash supply prompts expansion.

Know more about Money Supply - https://brainly.com/question/24249291

#SPJ4

which of the following is least likely to promote economic growth? a investment in tools and machines. b investment in training of labor. c increase in consumption of nondurable goods. d tax credit for technology improvement. e none of the above - all of these would promote economic growth.

Answers

c. Increase in consumption of nondurable goods is least likely to promote economic growth

Nondurable goods are any consumer items that must be replaced in subsequent purchases because they are either used up quickly or consumed in one use, depending on the type of economy. The least likely way to encourage economic growth is to boost nondurable goods consumption.

Little increases or declines in the purchasing of nondurable products are not regarded as economic indicators because they are a stable component of an economy. Whereas, investments can help create the aggregate demand that is necessary for economic growth, whereas durable products, such as automotive fuel, are often a larger part of short-run economic growth than nondurable items.

Read more about nondurable goods on:

https://brainly.com/question/30699020

#SPJ4

greg tobin wishes to invest a $5000 bonus check into a savings account that pays 6.3% interest. find how many years it will take for the $5000 to grow to at least $11,000 if interest is compounded (a) quarterly. (be careful; interest is added to the account only every quarter. see example 5.) (b) continuously.

Answers

A. It will take approximately 8.56 years for $5000 to grow to $11,000 if interest is compounded quarterly.

B. It will take approximately 11.03 years for $5000 to grow to $11,000 if interest is compounded continuously.

(a) To find the number of years it will take for $5000 to grow to $11,000 if interest is compounded quarterly, we can use the formula:

A = P(1 + r/n)^(nt)

where:

A = amount after time t

P = principal (initial amount)

r = annual interest rate (as a decimal)

n = number of times interest is compounded per year

t = time (in years)

Plugging in the given values, we get:

11000 = 5000(1 + 0.063/4)^(4t)

Simplifying, we get:

2.2 = (1.01575)^(4t)

Taking the natural logarithm of both sides, we get:

ln(2.2) = 4t ln(1.01575)

Solving for t, we get:

t = ln(2.2)/(4 ln(1.01575))

= 8.56 years

Therefore, it will take approximately 8.56 years for $5000 to grow to $11,000 if interest is compounded quarterly.

(b) To find the number of years it will take for $5000 to grow to $11,000 if interest is compounded continuously, we can use the formula:

A = P e^(rt)

where:

e = the mathematical constant e (approximately 2.71828)

A, P, r, and t have the same meanings as in the previous formula

Plugging in the given values, we get:

11000 = 5000 e^(0.063t)

Dividing both sides by 5000 and taking the natural logarithm of both sides, we get:

ln(2.2) = 0.063t

Solving for t, we get:

t = ln(2.2)/0.063  

= 11.03 years

Therefore, it will take approximately 11.03 years for $5000 to grow to $11,000 if interest is compounded continuously.

For such more question on Quarterly:

https://brainly.com/question/28424369

#SPJ4

ceteris paribus, if the price of a digital camera rises, then we can expect multiple choice a decrease in the demand for digital cameras. a decrease in the quantity demanded of digital cameras. an increase in the quantity demanded of digital cameras. an increase in the demand for digital cameras.

Answers

Growth if its price decreases, otherwise. Generally speaking, we can anticipate the following if the cost of a digital camera increases: the quantity of digital cameras being purchased has declined (movement along the same curve).

What are a few examples of growth?

The cost of the company's automobiles has gone up. The economy will be stabilised by the increased investment. There are more issues that we are dealing with now. He demanded an increase in income tax of 1 pence.

The price of oil has substantially increased. Rents have dramatically increased as a result of the tax. enhance something The amount has increased ten-fold since the previous figure. an improvement over something This is a 12% rise from the prior year.

Know more about  purchased  Visit:

https://brainly.com/question/24112214

#SPJ1

5. which of the following is the best mov statement? a. our project should make dayton customers flock to the stores in droves to buy our products. b. our project should be completed in no more than 180 days and should cost no more than $150,000 and be completed 100% in-house. c. our project should increase sales in the dayton market by 15% next year to complete our company's ohio expansion strategy. d. d) our project should utilize the spiral development approach to eliminate 95% of the major risks to our dayton sales program. e. e) our project should produce an advertising campaign in dayton that wins the ohio advertising guild's award for most creative campaign.

Answers

The best MOV (Measurable Organizational Value) statement is: Our project should increase sales in the Dayton market by 15% next year to complete our company's Ohio expansion strategy i.e. Option C

Measurable Organizational Value (MOV) is a concept used in project management to define and measure the expected benefits or value that a project will deliver to an organization. It is a quantitative and qualitative statement that describes the specific goals, outcomes, or benefits that an organization seeks to achieve by implementing a project.

A MOV statement typically outlines the expected financial and non-financial benefits that a project will provide, such as increased revenue, cost savings, improved customer satisfaction, or enhanced brand recognition. It should be specific, measurable, achievable, relevant, and time-bound (SMART) to ensure that it can be accurately measured and achieved within the specified timeline.

The MOV statement serves as a guidepost for the project team, providing a clear understanding of what success looks like and what benefits the project should deliver. It also helps project sponsors and stakeholders to evaluate the performance of the project and determine whether it has achieved its objectives. By defining and measuring the MOV, project managers can demonstrate the value that the project adds to the organization and justify the resources and investment required to complete it.

Know more about Measurable Organizational Value - https://brainly.com/question/29999898

#SPJ4

Complete Question -

Which of the following is the best MOV statement?

A. Our project should make Dayton customers flock to the stores in droves to buy our products.

B. Our project should be completed in no more than 180 days and should cost no more than $150,000 and be completed 100% in-house.

C. Our project should increase sales in the Dayton market by 15% next year to complete our company's Ohio expansion strategy.

D. Our project should utilize the Spiral Development approach to eliminate 95% of the major risks to our Dayton sales program.

E. Our project should produce an advertising campaign in Dayton that wins the Ohio Advertising Guild's Award for most creative campaign

for a given set of foreign interest rates, the quantity of u.s. loanable funds demanded by foreign governments or firms will be u.s. interest rates. a. unrelated to b. inversely related to c. positively related to d. none of these choices are correct.

Answers

a hypothetical curve that depicts the willingness to borrow money to finance investment projects as the interest rate falls.

How does foreign investment impact loanable funds?

2. Foreign investment - When foreign investors transfer their financial resources into a nation, the amount of loanable cash is increased. Real interest rates are a major factor in influencing economic growth.

How does interest rate impact loanable funds?

From the perspective of a borrower (the source of demand in the loanable funds framework), as interest rates rise, the cost of borrowing rises and the individual (or firm) is less likely to borrow. As a result, the amount of funds requested lowers as interest rates rise.

To know more about hypothetical visit;

https://brainly.com/question/15708938

#SPJ1

what is the primary benefit that firms acquire if and when they decide to perform supply chain functions themselves?

Answers

The primary benefit that firms acquire if and when they decide to perform supply chain functions themselves is the ability to have more control over their supply chain.

By performing these functions themselves, firms are able to ensure that they have greater control over the quality of their products, the timeliness of their deliveries, and the overall efficiency of their supply chain. This can lead to improved customer satisfaction, increased profits, and a stronger competitive advantage in the marketplace.

Additionally, performing supply chain functions in-house can also lead to cost savings, as firms are able to avoid paying fees to third-party providers. Overall, the decision to perform supply chain functions in-house can provide firms with greater control, increased efficiency, and cost savings, all of which are important benefits in today's competitive business environment.

You can read more about supply chain at https://brainly.com/question/15217906#:

#SPJ11

if direct materials are added at the beginning of a process, the equivalent units completed of direct materials will be:

Answers

It will be equivalent units completed as to conversion costs if direct materials are added.

Direct material is what?

Direct material refers to the tangible components that make up a product. For instance, flour, eggs, yeast, sugars, oil, and water are material objects for a baker. Cost accounting uses the direct material concept to categorize this cost independently for various forms of financial analysis.

How is the variance in the pricing of direct materials calculated?

The differential between both the standard price (SP) and the actual price (AP), multiplied by the actual quantity (AQ), is used to calculate the direct materials price variance: Variance in the direct materials price equals (SP - AP) x AQ.

To know more about variance visit:

https://brainly.com/question/29505178

#SPJ4

the goal and plan selection step of the formal planning process comes after which action?

Answers

Answer:

goal and plan evaluation

Explanation:

your aunt offers you a choice of $22,100 in 30 years or $450 today. a-1. if money is discounted at 14 percent, what is the present value of the $22,100? (do not round intermediate calculations. round your final answer to 2 decimal places.)

Answers

Present value is defined as Amount/(1+r)n, which equals 22100 / (1.14), or 22100 * 0.01962702428, or 433.752. Answer So, today, we ought to go with the 450 dollar choice.

What does present value mean?

Money's current value is what it is worth today. Due to inflation, money loses value with time and is currently worth $100, but will be worth somewhat less in one year. Whatever sum is exactly identical in value right today, today, is the current value of $100 1 year down the road. It is the estimated value of a future revenue stream in terms of today's money.

How is present value determined?

Using this formula, you may determine present value. Divide each amount of cash Y by (1+r)n, in which r is the financial ratio per period (often the interest rate or the assured risk-free rate). Y is the amount of money that will be received over the course of n periods.

To know more about present value visit:
https://brainly.com/question/29669538

#SPJ4

if you deposit $11,000 in a bank account that pays 3% interest annually, how much will be in your account after 5 years? do not round intermediate calculations. round your answer to the nearest cent.

Answers

Using the interest of 3% we know that after 5 years we will get back the amount of $12,650.

What is interest?

In the fields of finance and economics, interest is the payment of a sum over and above the principal amount to a lender or depositor by a borrower or deposit-taking financial institution at a set rate.

It is not the same as a fee that the borrower might pay to the lender or another entity.

Consider borrowing $1,000 at a 10% interest rate for seven years.

Your interest for the first year would be $100.

Your interest payment for the following year would be made up of the principal amount plus interest, or $1,100.

As a result, your interest for the following year would be $110 ($1,100 multiplied by 0.10).

So, the amount we will get after 5 years:

11000/100 * 3

= $330

5 years: 330 * 5

= $1,650

Then, the amount after 5 years: 1650 + 11000 = $12,650


Therefore, using the interest of 3% we know that after 5 years we will get back the amount of $12,650.

Know more about interest here:

https://brainly.com/question/2294792

#SPJ1

What is the opportunity cost of samsung repairs production (in terms of iphone repairs/samsung repairs)?

Answers

The opportunity cost of Samsung repairs production in terms of iPhone repairs/Samsung repairs is the ratio of the number of iPhone repairs that could have been performed instead of producing one more unit of Samsung repairs.

Opportunity cost is the expense of giving up the next best option while making a decision. The finest option in this situation is Samsung repair production, with iPhone repair coming in second.

The opportunity cost of creating Samsung repairs, for instance, would be 2 iPhone repairs for every Samsung repair if generating one extra unit of Samsung repairs meant forgoing two units of iPhone repairs. This indicates that the potential cost of the manufacture of Samsung repairs was two units of iPhone fixes for every unit of Samsung repairs produced.

The worth or benefit lost by engaging in a specific activity in comparison to engaging in a different task is defined as the opportunity cost in microeconomic theory.

For such more questions on Opportunity cost :

brainly.com/question/24319061

#SPJ4

Developing a strategic vision for a company entails:
a) prescribing a future strategic direction for the company to pursue and a rationale for why this strategic path makes good business sense.
b) describing its business model and the kind of value that it is trying to deliver to customers.
c) putting together a story line of why the business will be a moneymaker.
d) describing "who we are and what we do"
e) coming up with a 5-year term plan for outcompeting rivals

Answers

Developing a strategic vision for a company entails: "a) prescribing a future strategic direction for the company to pursue and a rationale for why this strategic path makes good business sense."

Why it is ?

Developing a strategic vision involves setting a long-term direction for the company and creating a clear rationale for why this direction makes sense for the business. This involves identifying the company's goals, mission, and values, as well as understanding its competitive environment and market trends.

The strategic vision should provide a clear roadmap for where the company is headed and what it hopes to achieve, and it should be aligned with the company's overall strategy and goals. It should also be communicated clearly to all stakeholders, including employees, customers, investors, and partners.

While describing the business model, identifying value proposition, and coming up with a 5-year term plan are important components of developing a strategic vision, they are not sufficient on their own. A strategic vision needs to be comprehensive, forward-looking, and grounded in a clear understanding of the company's market and competitive environment.

To know more about company strategy visit:

https://brainly.com/question/20630010

#SPJ4

robert, who's 17 years old, signed a contract to purchase stan's house. stan didn't realize robert was underage until robert's mother figured out what was happening and called robert's agent. because robert is a minor, the contract is voidable by whom?

Answers

Since Robert is a minor (under the age of 18), he is considered to lack legal capacity to enter into a contract.

What is a Contract law?

Under contract law, a minor is generally considered to lack the legal capacity to enter into a contract. This means that a contract entered into by a minor is voidable, which means it can be either affirmed or disaffirmed by the minor.

In the case presented, since Robert is only 17 years old and therefore a minor, he has the right to void the contract he signed with Stan, and this would release him from any obligations under the agreement. If Robert chooses to disaffirm the contract, he must return any consideration received from Stan, such as a down payment or any other form of payment. Stan would then be obligated to return any property that Robert had transferred to him, such as the title to the house.

It's important to note that while minors have the right to void a contract, the law generally seeks to protect the interests of the other party to the contract. Therefore, if a minor receives benefits under the contract, the law may require them to compensate the other party to the extent of the benefits received.

To know more about Contract law, check out:

https://brainly.com/question/30626918

#SPJ4

in this week's guest video, jill silverboard shares a story of how the city of clearwater responded to the 2008 financial crisis by shifting the city's support functions to what organizational form?

Answers

An organizational is a business, institution, or group of people with a single, overarching objective (Commonwealth English; see spelling variations).

The term is derived from the Greek word organon, which is often used to describe a variety of equipment and instruments as well as an organ.There are many different types of legal entities, including corporations, governments, non-governmental organisations, political parties, international organizational , armed forces, nonprofit organisations, for-profit companies, partnerships, cooperatives, and educational institutions, to name a few.A hybrid organisation is one that concurrently generates commercial market activity in the public and private sectors while carrying out public duties.A voluntary association is a group that is run entirely by volunteers. Certain organisations may be allowed to exist without following formal legal rules depending on the jurisdiction.

Learn more about organizational :

https://brainly.com/question/28503044

#SPJ4

a customer has asked ch for an estimate on a basic, 1,500 square-foot home on a vacant lot, which already has utilities installed. the client is a cooking enthusiast, and also wants luxury appliances. based on the engineering estimates above, what will such a house cost to build?

Answers

Without more information about the specific location and other details about the house and appliances, it's difficult to provide an accurate estimate for the cost of building a 1,500-square-foot home with luxury appliances on a vacant lot with utilities installed.

However, we can provide some general information about factors that can impact the cost of a new home build.

One of the biggest factors that affects the cost of building a new home is the location. Construction costs can vary widely depending on factors such as local building codes, the availability of skilled labor, and the cost of materials in the area. Other factors that can impact the cost of a new home build include the complexity of the design, the type of foundation, and the quality of the materials used.

Additionally, the cost of luxury appliances can vary widely depending on the specific products chosen. Luxury appliances can range from high-end refrigerators and ovens to specialized equipment such as built-in espresso machines and wine coolers. The cost of these appliances can add significantly to the overall cost of a new home build.

To provide an accurate estimate for the cost of building a specific home, it would be necessary to have more information about the location, design, and materials to be used. A professional contractor or builder could work with the client to create a detailed estimate that takes all of these factors into account.

In summary, the cost of building a new home can vary widely depending on a number of factors, including location, design, materials, and appliances. To get an accurate estimate for the cost of building a specific home, it's important to work with a professional contractor or builder who can provide a detailed estimate based on the specific details of the project.

To know more about account: https://brainly.com/question/29108212

#SPJ4

during what decade of the twentieth century did australia and new zealand decide to dramatically reduce government intervention and regulation of the economy? group of answer choices

Answers

Only groups historically regarded as "white" were allowed to immigrate to Australia and New Zealand.

Bauxite, diamonds, opals, lead, and coal are among Australia's top exports to the rest of the world. Timber and rich soil may be found in New Zealand. the preservation of public health and safety, the dissemination of accurate information about food to enable customers to make knowledgeable decisions, and the suppression of deceptive behaviour. Each nations are constitutional monarchy and Commonwealth realms with Westminster-based parliamentary democracies, with the same person serving as the sovereign and autonomous head of state in both.

To learn more about immigrate click on the link below:

brainly.com/question/27770592

#SPJ4

Beginning Balance $1000
19-Jul ACH Outgoing Transfer $(730)
20-Jul Incoming App Transfer $1800
23-Jul ACH Incoming Transfer
$20
24-Jul E-bill Pay Utilities
$(100)
What is the ending
balance on this
account after
these transfers
are completed?

Answers

Answer:

the ending balance after these transfers are completed is $1990.

Explanation:

Beginning Balance: $1000

19-Jul ACH Outgoing Transfer: -$730

Balance after transaction: $1000 - $730 = $270

20-Jul Incoming App Transfer: +$1800

Balance after transaction: $270 + $1800 = $2070

23-Jul ACH Incoming Transfer: +$20

Balance after transaction: $2070 + $20 = $2090

24-Jul E-bill Pay Utilities: -$100

Balance after transaction: $2090 - $100 = $1990

check my work janie received her monthly credit card bill from express visa and discovers a billing error. which law will provide janie a remedy?

Answers

The law that would  give her with a remedy would be the Fair Credit Billing Act( FCBA), If Janie received her habitual credit card bill from Express Visa and discovered a billing error.

The FCBA is a civil law that outlines the rights of consumers in billing  controversies with creditors, including credit card companies. Under the FCBA, Janie has the right to dispute the billing error and request an  disquisition from Express Visa. The credit card company is  also  needed to respond to Janie's  disagreement within a specific timeframe and  give a resolution to the error.

However, Janie may be entitled to damages, including a refund of any overcharged  price, If Express Visa fails to misbehave with the FCBA.

To learn more about Fair Credit Billing Act:

https://brainly.com/question/30623058

#SPJ4

adjustments ensure that ______ balances are reported at amounts representing the economic benefits that remain at the end of the current period.
a. account
b. liability
c. asset
d. revenue
e. expense

Answers

Adjustments ensure that asset balances are reported at amounts representing the economic benefits that remain at the end of the current period.

What are adjusting entries?

Adjusting entries are a set of journal entries made at the end of an accounting period to ensure that the financial statements accurately reflect the economic activity of the business. One of the primary objectives of adjusting entries is to ensure that the balances of the accounts in the financial statements are reported at amounts that represent the economic benefits that remain at the end of the period.

One of the main types of accounts that require adjustment at the end of the period are asset accounts. Asset accounts represent economic resources owned or controlled by a business that have the potential to provide future benefits. Examples of asset accounts include cash, accounts receivable, inventory, and property, plant and equipment.

To know more about Adjusting entries, check out:

https://brainly.com/question/14298458

#SPJ1

QuestionWhich of the following gives a vertical demand curve?APerfectly elastic demandBPerfectly inelastic demandCImperfect elastic demandDImperfect inelastic demand

Answers

The correct option is B. Perfectly inelastic demand gives a vertical demand curve.

When a price adjustment has no impact on the quantity required, the demand is said to be perfectly inelastic. The demand curve is vertical in this instance, and there is no demand elasticity. Products that are regarded as essential typically have very low elasticities. That is, we will continue to purchase them regardless of their increasing cost. Gasoline, basic foods, and healthcare are examples of items having low elasticities. A demand curve is said to be totally inelastic if it is perfectly vertical (up and down). The excellent is referred to as "elastic" or "very elastic" if the curve is shallow rather than steep. This implies that a little change in the good's price will result in a significant change in the amount required. We refer to a curve as being perfectly elastic if it is perfectly flat (horizontal). Luxury goods are frequently quite elastic; if the price goes up slightly, customers will switch to something else.

Learn more about Vertical Demand Curve here: brainly.com/question/30108373

#SPJ4

Other Questions
a marked decrease in brain processing and memory in some older adults may be attributed to: a. the use of both hemispheres of the brain. b. more neural fluid that slows cerebral blood flow. c. increased production of neurotransmitters. d. shrinkage of the prefrontal cortex and the hypothalamus. How much do Verrazanos observations seem to be affected by his own beliefs and experiences? Two draws are made at random without replacement from a box containing the following five tickets:1 2 3 4 3What is the probability that the sum of the tickets is 5?in % Everyone should have free Internet access to education, news, jobs, and more.The graph plots education and news on the x-axis and other goods and services on the y-axis.Draw the economy's PPF before the Internet and label it PPF0.Draw the PPF after the arrival of the Internet if the effect on education and news is greater than on other goods and services. Label it PPF1. i developed many beauty and hair care products. i started a cosmetics business in 1906. i had saleswomen called walker agents go door to door selling my products. this made me a millionaire. Who am i? Which of these structures cannot be resolved with a conventional light microscope?A. RibosomeB. ArchaeaC. UcleusD. Bacteria What are two ways cells maintain homeostasis? In the diagram below, AD EB, m/ABD = 115 and m/D = 27.Find m < ABE a 5-card poker hand is dealt from a standard deck of cards (with 4 suits, and 13 kinds for each suit (2, 3, 4, 5, 6, 7, 8 , 9, 10, j, q, k, a). how many distinct ways are there to form a hand with two pairs? A friend of yours confided that she intended to drop out of school to get married. Write a letter to her giving at least three reasons why she should stay in school Find dy/dx by implicit different iation xy^2= 4. What do monsters teach us about human nature? How to I arrive at this number using a common factor? what should you do when you are going to enter a roadway from a private road what settings do i need for my 75 hp honda outboard motor to talk to my lowrance fishfinder on a nmes 2000 system Based on previous sales, Ron predicted sales of 80 pen sets. He actually sold 100 pen sets. Find the error and absolute error for the pen sets. A 5-column table with 3 rows. Column 1 is labeled Item with entries folders, erasers, pen sets. Column 2 is labeled Approximate Value with entries 25, 220, 80. Column 3 is labeled Exact value with entries 30, 200, 100. Column 4 is labeled Error with entries negative 5, 20, a. Column 5 is labeled Absolute Error with entries 5, 20, b. explain why there is no gene flow in reproductive isolation. determine why reproductive isolation is a prerequisite for speciation to occur. Which greco-egyptian author is our earliest source for dividing ancient egypt kings into dynasties?a. aristotleb. Ian Rutherfordc. Manethod. Alexandria HELP pls will mark you the brainliest Which statement best describes wavelengths of sunlight that are longer than 700 nanometers? These wavelengths form the infrared part of the spectrum. These wavelengths form the ultraviolet light of the spectrum. These wavelengths are shorter than the wavelengths of visible light These wavelengths are part of the visible light spectrum