What, according to the Black-Scholes option valuation model, is the relationship between the value of a call option and each of the following?a) Risk as measured by the variability of the underlying stock's return
b) Interest rates
c) The term of the option (i.e., the length of time to expiration)

Answers

Answer 1

A call or put option's ideal value is computed employing the Black-Scholes pricing model based on a variety of parameters.

The relationship between the value of a call option in the given factors can be described as -

a) Risk as measured by the variability of the underlying stock's return

The Black-Scholes model presupposes that the underlying stock has a log-normal distribution and that the stock returns' volatility impacts the option's value. All other things being equal, the value of a call option increases with the return volatility of the underlying stock.

b) Interest rates

The risk-free interest rate is considered to be constant and known in the Black-Scholes model. All other things being equal, the value of a call option increases with the risk-free interest rate.

c) The term of the option

All other things being equal, the value of a call option increases with the length of the option's term. This is because a longer period offers the underlying stock more time to move in a direction advantageous to the call option holder.

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Related Questions

Please can you help in writting the summary on The merger of AB InBev and SABMiller

Answers

The merger of AB InBev and SABMiller is a significant business event that has resulted in a massive global beer brewing giant. It was announced in November 2015 that the two companies would merge and become a single entity known as AB InBev. The merger was approved by the European Commission and the United States Department of Justice and allowed both companies to benefit from the added financial stability of being part of a larger company. The combined company now operates in more than 24 countries around the world and produces some of the most popular international beer brands. The ultimate result of the merger is a stronger global brewer with a larger market share and increased profitability.

To close a recessionary gap, the Fed ______ interest rates which ______ planned aggregate spending and ______ short-run equilibrium output.

Answers

To close a recessionary gap, the Fed typically decreases interest rates, which increases planned aggregate spending and raises short-run equilibrium output.

When the economy is in a recessionary gap, it means that the actual output of the economy is below its potential output, resulting in high unemployment rates and low economic growth. By decreasing interest rates, the Fed aims to encourage borrowing and investment, which increases spending on goods and services, and boosts aggregate demand. As aggregate demand increases, businesses will respond by increasing production, which will raise short-run equilibrium output and lead to an increase in employment. This increase in output and employment will eventually lead to higher economic growth, and the economy will move closer to its potential output. It's worth noting that the effectiveness of monetary policy in closing a recessionary gap depends on a variety of factors, including the responsiveness of consumers and businesses to changes in interest rates and the extent to which the economy is suffering from supply-side constraints. Additionally, in some cases, other policy tools like fiscal policy may also be necessary to address a recessionary gap.

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Which of these would NOT be a valid reason to add the waiver of premium rider to a life insurance policy?
a.Allows a policyowner to take out a policy loan to cover premium payments in the event of total disability
b. A policyowner is permitted to take out a policy loan on a whole life policy

Answers

B. A policyowner being permitted to take out a policy loan on a whole life policy would not be a valid reason to add the waiver of premium rider to a life insurance policy.

The waiver of premium rider is designed to waive premium payments on a life insurance policy if the policyholder becomes totally disabled and is unable to work, thereby protecting the policy from lapsing due to non-payment of premiums.

While a policy loan may be used to cover premium payments, it is not directly related to the purpose of the waiver of premium rider.

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katz gives $500 to a family who is in need of assistance after their home was destroyed by a fire. katz can deduct the $500 as a charitable contribution.

Answers

The statement is False. Katz gives $500 to a family who is in need of assistance after their home was destroyed by a fire. Katz can deduct the $500 as a charitable contribution.

A charitable contribution is an endowment of money or property made to a philanthropic association to assist it with achieving its objectives, for which the giver doesn't get anything of significant worth consequently. In the U.S., gifts can be deducted from the government expense forms of people and organizations making them.

U.S. citizens can deduct gifts equivalent to up to 60% of their changed gross pay (AGI) yearly. They must use Form 1040 or Form 1040-SR and itemize their deductible contributions on a Schedule A form. The IRS permits citizens to deduct gifts of money and property to qualified altruistic associations. Altruistic gifts should be organized to be deducted.

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Complete Question -

Katz gives $500 to a family who is in need of assistance after their home was destroyed by a fire. Katz can deduct the $500 as a charitable contribution. True or False?

You learn that you can buy a used robot for $25,000. The robot can replace two people doing assembly work that are paid $19 per hour. About how long would it take for the robot to pay for itself in labor savings?.

Answers

Assuming the two human workers work 8 hours a day, 5 days a week, that comes out to $2,080 per week. To pay off the robot, you would need 12 weeks of labor savings, or 84 days.
658 Hours
Step-by-step explanation:
All you do is divide.
$19 for every hour, it's 2 persons so, $38 for every hour.
SO,
25,000/38
= 657.894736842 which is about 658 so, = 658 Hours

1. The responsibilities of the U.S. Federal Reserve System include ________.
overseeing the banking system and regulating the quantity of money in the economy
setting the level of real interest rates
working with Congress to devise a financial plan for the country and execute the President's orders
calculating and reporting the unemployment rate
2. To increase the supply of money when the economy is weak, the Fed ________.
closes banks
reduces inflation
sells bonds
buys bonds
3. The federal funds rate is the short-term interest rate that ________.
banks charge their best customers when borrowing
banks earn on savings accounts with the Fed
banks charge each other when borrowing or lending to each other
the Fed charges banks when borrowing
4. When the Fed increases the money supply and consequently lowers interest rates, the value of the dollar ________.
will rise by more in the market for foreign exchange, all else equal
will fall, all else equal
is not impacted by Fed policy
will rise, all else equal

Answers

The U.S. Federal Reserve System's duties include regulating the amount of money in the economy and supervising the banking sector.

What is the purpose of the Federal Reserve System?

The central bank of the United States is the Federal Reserve System, also known as the Federal Reserve or simply "the Fed." It was established by the Congress to give the country a more secure, adaptable, and stable financial and monetary system. By buying assets on the open market and adding the matching cash to the bank deposits of commercial banks, the Fed produces money. The Fed modifies the money supply and other interest rates using the federal funds rate. To better understand the effects of financial services laws and practices on customers and communities, the Federal Reserve promotes supervision, public reinvestment, and research.

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Top 3 tips for selling a home

Answers

The top 3 tips for selling a home include:

Pricing it right Staging your house Marketing the house

How can you sell a home ?

One of the most important factors in selling a home is setting a fair and competitive asking price. Pricing your home too high can turn away potential buyers, while pricing it too low can leave money on the table.

Staging is the process of preparing your home to appeal to potential buyers.  Marketing your home is key to attracting potential buyers. Work with your real estate agent to create a marketing plan that includes listing your home on popular real estate websites, holding open houses, and creating high-quality photos and videos.

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Which of the following is included in a business case for a
project?
Risks
O Benefits
O Expectations
O Requirements

Answers

Benefits is included in a business case for a project. Hence, option B is correct.

What is a business case?

An executive summary, financial data, an analysis, and dangers are all included. Any industry might utilize it for a business case. Before meeting to discuss the project in more detail, sending this concise overview to important stakeholders is a wonderful idea.

For writing a business case, the majority of firms use a standard template. Business cases describe the problem, the idea, its financial impact, and implementation concerns such as risks, opportunities, resource requirements, and measurement methods.

Thus, option B is correct.

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A plaintiff, a resident of State A, filed a complaint against two defendants in a state court in State B, where a car accident between the parties took place. The claims were based solely on state law. One defendant resides in State B, where the accident occurred, and another resides in State C, a neighboring state. The complaint alleged $100,000 in damages. The defendant who resides in State B was personally served with a complaint and summons while he was walking to work. The defendant who resides in State C was served by a process server in the forum state after attending a business meeting in that state. Shortly thereafter, both defendants filed a motion to remove the case to the federal district court in the district where the case was filed. The federal district court denied the motion.
What is the most likely reason that the motion was denied?

Answers

For a court to make a binding judgment on a case,it must have subject matter jurisdiction,the power to know the type of case,as well as personal jurisdiction the power over the parties to the case.

While subject matter jurisdiction refers to the authority of the court to hear a certain type of case,personal jurisdiction refers to the authority of a court to exercise jurisdiction over an individual.That is,the court must have the legal authority to adjudicate the matter involving the specific person.These two types of jurisdiction are known as personal jurisdiction and material jurisdiction.A court must have personal jurisdiction and subject matter jurisdiction over all parties to a claim,or the court will not have the authority to hear that claim.The Constitution provides that the Supreme Court has both original and appellate jurisdiction. Subject matter jurisdiction means that the court has the authority to hear the type of cause or controversy initiated in its court Issues Jurisdiction Federal courts have original subject matter jurisdiction of cases involving an issue or issue of federal law.

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Perry deposited $940 into a savings accoutnt with 1.4% simple interest. How much
interest should he have after 10 years?
What should the total be in the account after this time, assuming he does not touch
this account until the 10 years are up?
Blank 1
Blank 2

Answers

Answer:

After 10 years, Perry would have earned $130.96 in interest, and the total amount in the account would be $1070.96.

Explanation:

Determine the principal amount: The amount deposited into the savings account is $940.

Determine the interest rate: The interest rate is 1.4%, which can be expressed as a decimal by dividing by 100: 0.014.

Determine the time: The time period is 10 years.

Calculate the interest: Using the formula for simple interest:

Interest = Principal x Rate x Time

Plug in the values we have determined:

Interest = $940 x 0.014 x 10 = $130.96

Calculate the total amount in the account: The total amount in the account is the sum of the principal and the interest earned:

Total = Principal + Interest = $940 + $130.96 = $1070.96

So, after 10 years, Perry would have earned $130.96 in interest, and the total amount in the account would be $1070.96.

Problem 20-39 (Algo) CU, Incorporated (CUI), produces copper contacts that it uses in switches and relays, CUI needs to determine the order quantity, Q, to meet the annual demand at the lowest cost. The price of copper depends on the quantity ordered. Here are price-break and other data for the problem: Price of copper $ 0.84 per pound up to 2,999 pounds 0.83 per pound for orders between 3,000 and 5,999 pounds 0.81 per pound for orders 6,000 pounds or greater 47,000 pounds per year 30 percent per unit per year of the price of the copper $ 30 Annual demand Holding cost Ordering cost Which quantity should be ordered? Quantity pounds

Answers

The optimal order quantity of CUI is 3,345.21 pounds, and the total cost to meet the annual demand at the lowest cost is $1,410,832.95.

The economic order quantity (EOQ) formula may be used to find the order quantity that will satisfy the yearly demand at the cheapest price. It goes like this: EOQ = √((2 × Annual demand × Ordering cost) ÷ Holding cost)

When the annual demand is 47,000 pounds, the ordering cost is $30, and the holding cost is 30% of the copper price per unit each year

At each price break, we may use the following ranges to get the copper price:

as much as 2,999 pounds: 0.84 cents per pound

3,001 to 5,999 pounds 0.83 cents per pound

more than 6,000 pounds: At $0.81 per pound

By using the EOQ formula to get the total cost for each price break, we can determine the ideal order quantity. The best amount to order is the one that has the lowest overall cost.

EOQ = √((2 × 47,000 × 30) ÷ (0.3 × 0.84))

∴ EOQ = 3,345.21 pounds

We will utilize the pricing of $0.83 per pound because the ideal order amount is between 3,000 and 5,999 pounds. As a result, the final price for the ideal order quantity is:

Total cost = (Annual demand × Ordering cost) + (Holding cost × EOQ × Price of copper)

Total cost = (47,000 × 30) + (0.3 × 3,345.21 × 0.83)

Total cost = $1,410,000 + $832.95

∴, Total cost = $1,410,832.95

∴ , The ideal order size is 3,345.21 pounds, and it would cost $1,410,832.95 to fulfill the annual demand at this size.


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A chemical company is considering buying a magic fan for its plant. The magic fan is expected to
work forever and help cool the machines in the plant and, hence, reduce their maintenance costs
by $6,000 per year. The cost of the fan is $50,000. The appropriate discount rate is 10 percent,
and the marginal tax rate is 35 percent. Should the company buy the magic fan? (2.5 Marks)

Answers

No, the company should not buy the magic fan because the NPV (-$24,243.92) of the investment is negative which means expected costs of the fan exceed the present value of the expected benefits.

How do we determine if the company should buy the magic fan?

To determine whether the company should buy the magic fan, we can perform a net present value (NPV) calculation which is a method of evaluating the value of an investment by calculating the difference between the present value of the expected cash flows and the cost of the investment.

The formula for NPV is: (CF1 / (1 + r)^1) + (CF2 / (1 + r)^2) + ... - Cost where: CF1, CF2, etc. are the expected cash flows (in this case, the savings from reduced maintenance costs), r is the discount rate (10%), Cost is the cost of the magic fan ($50,000)

Data

Company expects to save $6,000 per year from reduced maintenance costs for the next 10 years.

Our calculation of the present value of these cash flows:

CF1 = $6,000 * (1 - 0.35) = $3,900 (after taxes)

CF1 / (1 + 0.1)^1 = $3,518.18

CF2 = $6,000 * (1 - 0.35) = $3,900 (after taxes)

CF2 / (1 + 0.1)^2 = $3,173.85

CF10 = $6,000 * (1 - 0.35) = $3,900 (after taxes)

CF10 / (1 + 0.1)^10 = $1,462.07

The sum of the present value of the expected cash flows is $25,756.08. So, the net present value equals:

= $25,756.08 - $50,000

= -$24,243.92

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Olney Cleaning Company had the following items that require adjustment at year-end: For one cleaning contract, $10,550 cash was received in advance. The cash was credited to Unearned Service Revenue upon receipt. At year-end, $2,760 of the service revenue was still unearned. For another cleaning contract, $11,160 cash was received in advance and credited to Unearned Service Revenue upon receipt. At year-end, $3,240 of the services had been provided.

1. Prepare the adjusting entries needed at December 31.

2. What is the effect on the financial statements if these adjusting entries are not made?
If these adjusting entries were not made, revenue would be understated and liabilities would be overstated. This would result in an understatement of net income and an
understatement of shareholders’ equity.

3. What is the balance in Unearned Service Revenue at December 31 related to the two cleaning contracts?

Answers

The adjusting entries at December 31 are as follows:

Debit Service Revenue $2,760

Credit Unearned Service Revenue $2,760

Debit Unearned Service Revenue $3,240

Credit Service Revenue $3,240

How to explain the information

Additionally, the financial statements would not accurately reflect the company's financial position or performance. The balance sheet would show an overstated amount of assets in the form of unearned revenue, and the income statement would understate the actual revenue earned during the year.

This could lead to incorrect decision-making and a misperception of the company's financial health by stakeholders, such as investors, lenders, and customers. It's important for companies to make accurate adjusting entries to ensure that their financial statements accurately reflect their financial position and performance.

The balance in Unearned Service Revenue at December 31 related to the two cleaning contracts is $10,550 - $2,760 + $3,240

= $11,040.

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1. Which of the following is not classified as a current liability account?
a. Accounts payable
b. Note payable, due in 2 years
c. Salaries and wages payable
d. Income taxes payable

Answers

It’s most likely b always happy to help

The following is not classified as a current liability account:  Note payable, due in 2 years. Thus option (b) is correct.

What is a current liability account?

A current liability account is a type of account in accounting that records the obligations of a business that are expected to be settled within a short period, typically within one year.

These liabilities are debts or financial obligations that a business owes to another party and are expected to be paid off in the near future.  they represent a company's short-term obligations and can impact its liquidity and financial stability.

Some examples of current liabilities include accounts payable, salaries payable, taxes payable, short-term loans, and accrued expenses.

The Note payable, due in 2 years is not classified as a current liability account. Therefore, option (b) is correct.

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The term "Starving Artist" was coined from
people trying to sell their work through which
of the following venues?
A. charity
B. silent auction
C. public display

Answers

Answer:



Explanation:

1. What are some of the challenges you might encounter if you get equity financing
from friends and/or family members?

Answers

Because investors run the danger of offering more that company are bear to lose or of demanding a refund when it benefits individuals but again not their company.

What is equity financing?

The practice of obtaining money through the selling of stock is known as equity financing. Companies fundraise either because they can have an immediate need to make payments or a protracted initiative that would help them expand needs funding.

Inappropriately, they might also wish to become more involved with the company. The business succeeds and thus becomes prosperous, a portion of those profits should also be distributed to shareholders as a form of payouts.

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Calculate the amount a person would have to deposit today to be able to take out $500 a year for 10 years from an account earning 8 percent.

Answers

To calculate the amount that would need to be deposited today, we can use the present value formula:

Present Value = Payment / (1 + interest rate)^n

where Payment is the annual payment amount, interest rate is the interest rate per period, and n is the number of periods.

In this case, Payment is $500, interest rate is 8% per year, and n is 10 years. Plugging in these values, we get:

Present Value = $500 / (1 + 0.08)^10

Present Value = $500 / 2.158925

Using a calculator, we get:

Present Value = $231.38 (rounded to the nearest cent)

Therefore, a person would need to deposit $231.38 today in an account earning 8% per year to be able to withdraw $500 a year for 10 years.

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PLEASE HELP WILL GIVE BRAINLIEST!!!!!
Decisions made about quantities are:

a/ best made using the marginal principle.

b/ optimal when costs equal benefits.


c/ the same as making either/or decisions.

d/ best made when comparing prices and costs.

Answers

Decisions made about quantities are:  best made using the marginal principle. The correct option is a.

What is a marginal principle?

The marginal principle refers to the examination of the additional benefits of an activity (MB) compared to the additional costs incurred by that same activity (MC). An application of this principle is when consumers employ this technique to make their purchase decisions they compare the marginal benefits and marginal costs of consuming an additional unit. Marginal cost is calculated as the total expenses required to manufacture one additional good. Therefore, it can be measured by changes to what expenses are incurred for any given additional unit.

Marginal Cost = Change in Total Expenses / Change in Quantity of Units Produced.

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5 LAST WORD a. Price ceilings during a hyperinflation are problematic because O the excess money supply makes prices too high. O consumers don't like the goods that producers are offering for sale. O many government officials will become corrupt. many producers will go out of business because the costs of production will soon exceed the legal selling price. b. A Venezuelan-style economic collapse would be less likely in a mixed economy like the United States because Instructions: In order to receive full credit, you must make a selection for each option. For correct answer(s), click the box once to place a check mark. For incorrect answer(s), click the option twice to empty the box. inflation is always low in a mixed economy. ? corruption is less likely when economic power is more diffused. private industry has strong financial incentives to produce efficiently. 1 mixed economies like the United States usually have a more equal distribution of income.

Answers

Price ceilings during a hyperinflation are problematic because many producers will go out of business because the costs of production will soon exceed the legal selling price. Thus, the correct option is 1(D), 2(A,C).

What do you mean by Price ceilings?

A price ceiling prevents a price from increasing over a predetermined level, or the "ceiling". A price floor prevents a price from dropping below the "floor" level.

Maximum price ceilings are upper limits placed on product prices by the government.

A price cap results in deadweight loss, which is an unproductive result. Even if deadweight loss occurs, the government sets a price cap to safeguard consumers.

Therefore, for both the statements are:

Price ceilings during a hyperinflation are problematic because many producers will go out of business because the costs of production will soon exceed the legal selling price.A Venezuelan-style economic collapse would be less likely in a mixed economy like the United States because inflation is always low in a mixed economy, private industry has strong financial incentives to produce efficiently.

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Given the high quantity of patents, it is difficult for innovators to know when or if they have inadvertently infringed on a ompetitors patent.a. trueb. false

Answers

This statement is true. With the increasing number of patents, it becomes more challenging for innovators to avoid patent infringement.

Inadvertent infringement can occur when a product or process developed by one entity is similar to an existing patented product or process. The patent holder may sue the infringing party, and the litigation process can be lengthy and costly. To avoid infringement, innovators can conduct a patent search to determine if any existing patents cover their innovation. However, even with a comprehensive search, it can be challenging to determine if their innovation infringes on a competitor's patent, especially if the competitor's patent is broad or vague.

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As a result of 5G networks and edge computing, there will be an increasing

number of different internet-connected devices with specialized functions.

Which term is used to describe this?

Answers

The term used to describe this is the "Internet of Things" (IoT).

What is the Internet of Things?

The Internet of Things refers to the network of physical devices, vehicles, appliances, and other items embedded with sensors, software, and connectivity which enables them to connect and exchange data with other devices and systems over the internet.

With the advancements in 5G networks and edge computing, it is expected that the number of IoT devices will continue to grow, allowing for greater interconnectivity and efficiency in various industries and applications.

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You decided to take advantage of the Black Friday deals and buy kitchen cabinets at Home Depot. You will be paying for the cabinets with a Home Depot consumer loan in the amount $5,630. To pay off the loan you will be required to make monthly payments for 7 years. The loan interest rate is 8 percent per year. Calculate the amount of each payment.

Answers

The amount of loan payment is given as $87.29

How to solve for the loan

To calculate the monthly payment amount for a loan, you can use the following formula:

Payment = (Interest rate / 12) * Principal / (1 - (1 + Interest rate / 12)^(-12 * Number of years))

Using this formula, the monthly payment for your Home Depot consumer loan would be as follows:

Payment = (0.08 / 12) * 5630 / (1 - (1 + 0.08 / 12)^(-12 * 7))

Payment = $87.29

So you would need to pay $87.29 each month for 7 years in order to pay off the loan in full.

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You are employed as the Personal Assistant to the Customer Service Manager at Sukram Industries Ltd., a regional Logistics company. The company has its headquarters in Miami, Florida and offices in Jamaica, St. Lucia, and Panama. The local office was forced to close operations during the height of the pandemic due to months of inactivity in the logistics sector. Many customer service agents done virtually. were laid off and what little work was done, was The local office started operation in October 2018. Many of the administrative functions were just being developed before the pandemic hit causing the company to close for months. The business reopened in June 2021. Since then, the company has been embarking on job enrichment and enlargement programmes as a means of motivating staff, succession planning and dealing with high labour turnover. Your manager will be promoted to Regional Customer Service Manager which will require him/her to travel to all the locations occasionally. A new position of Senior Customer Service Officer was created with the responsibility to lead the local customer service team and develop strategies to expand the product and service offerings in Jamaica. The position reports to the Regional Customer Service Manager. The management team identified that there were several challenges with formal documentation within the customer service and administrative and office services departments. The team also realizes that they will need to engage in continuous training of the customer service agents if they wish to gain a competitive advantage in the local industry. TASK 1 1. You applied for the position of Senior Customer Service Officer and was short listed. One aspect of the interview will require you to make a presentation to the panel. In preparation for your interview: compile an electronic portfolio of evidence that you will need to present at the a. interview b. create a PowerPoint presentation on the most effective leadership style you believe should be used to lead the customer service team and why​

Answers

The electronic portfolio that you woyuld have to compile are:

ResumeYour cover letterYour philosophythe success stories

What are the portfolios needed?

For the electronic portfolio, you can include the following items:

Resume: An updated and professional resume highlighting your relevant work experience, education and skills.

Cover letter: A well-written cover letter explaining your motivation for applying for the Senior Customer Service Officer position and how you can contribute to the company's goals.

Customer Service Philosophy: A clear and concise statement that outlines your approach to customer service, including your core values, beliefs, and principles.

Success Stories: Examples of customer service situations that demonstrate your ability to provide excellent customer service, handle difficult situations and achieve positive outcomes.

Training and Development Plan: A detailed plan that outlines your approach to training and development of customer service agents, including strategies to improve customer satisfaction, build staff morale and increase customer loyalty.

Organizational Chart: A visual representation of the proposed structure of the customer service team, showing the reporting lines, responsibilities, and accountability of each team member.

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3. Explain the control procedures over sales and receivables.

Answers

Answer:

Explanation:

Control procedures over sales and receivables are measures taken to ensure that sales are accurately recorded, billed, and collected in a timely manner. These procedures are important for maintaining the integrity of financial records and preventing fraud or errors in the sales and accounts receivable process.

Some common control procedures over sales and receivables include:

Segregation of duties: Assigning different employees to perform different tasks in the sales and accounts receivable process, such as recording sales, billing customers, and collecting payments, helps prevent fraud and errors.

Sales authorization: Implementing a process for approving sales before they are recorded helps ensure that only legitimate sales are recorded in the financial records.

Billing accuracy: Verifying the accuracy of invoices and bills before they are sent to customers helps prevent errors and ensures that customers are charged the correct amount.

Credit checks: Conducting credit checks on new customers before extending credit helps minimize the risk of uncollectible accounts.

Collection procedures: Implementing systematic collection procedures and following up on overdue accounts helps ensure that payments are received in a timely manner.

Reconciliation: Regularly reconciling accounts receivable with the general ledger helps ensure that the financial records accurately reflect the amounts owed by customers.

Internal audits: Regular internal audits of the sales and accounts receivable process can help identify and prevent fraud or errors.

By implementing these and other control procedures, companies can ensure the accuracy and integrity of their sales and accounts receivable records and minimize the risk of fraud or errors.

Which of the following can directly be determined from a production possibilities curve? Select all that apply: (Select all that apply.) a. how much less of one output must be produced if more of another output is produced b. what combination of outputs is best c. what combinations of outputs can be produced with the available resources d. how much output can be produced if some of the resources are left unused.

Answers

(C) what combinations of products can be produced with the available resources can be determined directly from a production possibilities curve.

A production possibilities curve in economics measures the maximum production of two goods using a fixed amount of input.The input is any combination of the four factors of production, natural resources, including labor on the land, capital goods,and entrepreneurship.A production possibilities curve (PPC) shows the maximum amount of one good that can be produced given a level of production of another good, and given the total amount of inputs available for the production of both goods, and given the production technology PPP is concave in shape because more and more units of one commodity are sacrificed to obtain one additional unit of another commodity.Factors of production are resources that are the building blocks of the economy,they are what people use to produce goods and services.

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Application: Elasticity and hotel rooms The following graph input tool shows the daily demand for hotel rooms at the Peacock Hotel and Casino in Las Vegas, Nevada. To help the hotel management better understand the market, an economist identified three primary factors that affect the demand for rooms each night. These demand factors, along with the values corresponding to the initial de curve, are shown in the following table and alongside the graph input too Initial value Demand Factor Average American household income $50,000 per year round trip airfare from San Francisco (sFo) to Las Vegas (LAS) $100 per round trip Room rate at the Grandiose Hotel and Casino, which is near the Peacock $250 per night Use the graph input tool to help you answer the following questions. You will not be graded on any changes you make to this graph. Note: Once you enter a value in a white field, the graph and any corresponding amounts in each grey field will change accordingly. Graph Input Tool Market for Peacock's Hotel Rooms 500 450 Price 200 (Dollars per room) 400 Quantity 300 Demanded 350 (Hotel rooms per night) 300 250 Demand Factors 200 150 Average Income 50 Demand (Thousands of 100 dollars) Airfare from SFO to 50 100 (Dollars per round trip) 0 50 100 150 200 250 300 350 400 450 500 Room Rate at QUANTITY (Hotel rooms) 250 Grandiose (Dollars per night) For each of the following scenarios, begin by assuming that all demand factors are set to their original values and that Peacock is charging $200 per room per night.

Answers

The initial equilibrium amount of hotel rooms required at the Peacock Hotel and Casino is around 300 rooms per night at a cost of $200 per room, according to the graph input tool, the starting demand parameters, and the room rate.

What is equilibrium?

A condition of equilibrium is one in which the forces of supply and demand are in balance and neither prices nor quantities have a tendency to fluctuate. In a market economy, equilibrium is when the amount of an item or service that customers are willing and able to purchase equals the quantity that producers are willing and able to offer at a specific price. There is neither an excessive supply nor an excessive demand in an equilibrium market, and the only factor affecting price and quantity is how buyers and sellers interact. Because it explains how markets operate and how prices are decided, equilibrium is a key idea in economics.

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What are the three system inhibitors that make it complicated to match supply with demand while also making a profit?

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The three system inhibitors that make it complicated to match supply with demand while also making a profit are:

Variability: The inherent variation in the demand for goods and services, as well as in the production process, can make it challenging to match supply and demand.Uncertainty: The unpredictability of demand, supply, and other market factors can create uncertainty, which can make it challenging to plan and execute effective supply chain operations.Complexity: The complexity of modern supply chains, including the number of suppliers, the complexity of the production process, and the diversity of distribution channels, can create challenges in matching supply with demand while also maintaining profitability.

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The real exchange rate (RER) between two currencies is the product of the nominal exchange rate (the dollar cost of a euro, for example) and the ratio of prices between the two countries. The core equation is RER = eP*/P, where, in our example, e is the nominal dollar/euro exchange rate, P* is the average price of a good in the euro area, and P is the average price of the good in the United States.

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Yes, that is correct. The real exchange rate (RER) is a measure of the relative price of goods and services between two countries.

It is calculated by dividing the nominal exchange rate (the price of one currency in terms of another) by the ratio of the price levels in the two countries. The RER is an important concept in international trade and finance because it affects the competitiveness of a country's exports and the cost of its imports. A high RER means that a country's goods and services are relatively expensive compared to those of other countries, which can make it harder to sell exports and can lead to a large trade deficit. A low RER, on the other hand, means that a country's goods and services are relatively cheap, which can make its exports more competitive and boost economic growth.

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waterway corporation had net sales of 2429800 and interest revenue of 40500 during 2020. expense for 2020 were cost of goods sold 1452600, administrative expenses 221700selling expense 289000. and interest

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Revenue is the money generated from normal business operations, calculated as the average sales price times the number of units sold.

What is the meaning of Revenue?

Revenue, which is determined by multiplying the average sales price by the number of units sold, is the money made from regular business operations. The top line (or gross income) figure is what is used to calculate net income by deducting costs. Sales are another name for revenue in the income statement.

Revenue is the sum of all sales of products and services that a business records over a given period. Revenue, often known as sales or income, is the first line of a firm's income statement and thus is frequently referred to as the "Top Line" of a company.

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()=2+5+100 billion Birr t-years after 1995
a) At what rate was GNP changing with respect to time in 2005? (4 points)
b) At what percentage rate was the GNP changing with respect to time in 2005

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The gross national product (GNP) is an estimation of the total worth of all finished goods and services produced over a specific time period using resources owned by the citizens of a nation.

Commonly, the gross national product (GNP) is determined by adding up all domestic private investment, domestic government spending, net exports, and any resident income from overseas investments, then deducting foreign resident income. The difference between a country's exports and any imports of goods and services is what is known as net exports.

Gross domestic product (GDP), a crucial economic indicator that accounts for all output produced inside a nation's boundaries regardless of who owns the production equipment, is related to the gross national product (GNP).

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