jan throng invested $31,000 in the invesco charter mutual fund. this fund is a front load fund with 5.50 percent commission. calculate the amount of commission jan will pay when the fund is purchased.

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Answer 1

The amount of commission Jan will pay when the fund is purchased is $1,705.

What do you mean by fund?

A fund is a collection of money set aside for a specific purpose. A fund can be established for a variety of reasons, such as the government setting aside funds to build a new convention centre, a college setting aside funds to grant a scholarship, or an insurance company setting aside funds to repay its customers' claims.

The investment is $31,000 in the invesco charter mutual fund and fund is a front load fund with 5.50 percent commission,

so, 31000 x 5.50 %

= $1,705 commission paid

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Related Questions

not being able to sell an investment conveniently and at a reasonable price. b. having inflation erode the purchasing power of your investment. c. having to trade a security in a broad market. d. having declining price levels affect the reinvestment rate of your current income stream.

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Liquidity risk is defined as not being able to sell an investment conveniently and at a reasonable price.

Liquidity risk occurs when a company cannot pay its debts by selling its investments at time. This financial risk affects the may only occurs for a while but affects the position of the company a lot.

For a business timely trading of assets to pay debts is necessary. If due to some circumstances, the company fails to process the trades of investments quickly to find money to close the short-term debts, a liquidity risk may occur.

This risk results in losses and may decline the credibility of the company as timely payment of obligations are not done.

The question is incomplete. Find the complete question below:

Liquidity risk is defined as the risk of:

a. not being able to sell an investment conveniently and at a reasonable price. b. having inflation erode the purchasing power of your investment. c. having to trade a security in a broad market. d. having declining price levels affect the reinvestment rate of your current income stream.

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your opinion is that boeing has an expected rate of return of 0.0952. it has a beta of 0.92. the risk-free rate is 0.04 and the market expected rate of return is 0.10. according to the capital asset pricing model, what is the alpha, and is this security over-priced, underpriced, or fairly valued?

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The security or stock is overpriced because the required rate of return (9.52%) is greater than the expected rate of return (9%).

What is stock?A stock, also known as equity, is a financial instrument that represents ownership of a portion of the issuing corporation. Shares are units of stock that entitle the owner to a proportion of the corporation's assets and profits equal to the amount of stock they own. Stocks are ownership stakes in a publicly traded company. When you purchase stock in a company, you become a part-owner of that company. If a company has 100,000 shares and you purchase 1,000 of them, you own 1% of the company. A stock is a type of security that represents a portion of a company's ownership. When you buy stock in a company, you are purchasing a small piece of that company known as a share.

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suppose a firm is operating in a competitive market and is maximizing profit by producing at the point where marginal revenue equals marginal cost. now suppose that consumer wealth decreases in this market (and the good is a normal good). what might you expect to happen to the price and the profit-maximizing output quantity for the firm?

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The correct option is B. For the firm is operating in a competitive market price in the market would decrease, and the firm's profit-maximizing output would decrease.

A market is said to be competitive when there are many buyers and sellers and no one buyer or seller has any control over the price of the items being sold. Perfect competition is another name for a market that is competitive. No one controls the market in a competitive one, and there is no distinction between the competing businesses' products in terms of quality, cost, or volume. Understanding that competitive markets are hypothetical and not actual is among the most crucial things to do. Although some markets meet the conditions and exhibit the traits of a competitive market or perfect competition, none of them actually do.

Suppose a firm is operating in a competitive market and is maximizing profit by producing at the point where marginal revenue equals marginal cost. Now suppose that consumer wealth decreases (and the good is a normal good). What might you expect to happen to the price and the profit-maximizing output of the firm?

A. Price in the market would increase, and the firm's profit-maximizing output would increase.

B. Price in the market would decrease, and the firm's profit-maximizing output would decrease.

C. Price in the market would decrease, and the firm's profit-maximizing output would increase.

D. Price in the market would increase, and the firm's profit-maximizing output would decrease.

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use the data from the u.s. bureau of labor statistics to answer the questions. round your answers to two decimal places. type of worker number of individuals in 2009 number of individuals in 2018 working-age population 236 million 258 million unemployed 14 million 6 million employed 140 million 156 million a. what was the size of the labor force in each year? labor force in 2009: million pe

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The size of Labor force in 2009: 154.3 million and The size of Labor force in 2018: 162.3 million.

The labor force includes the employed and the unemployed who are looking for work actively. The discouraged workers, retired population, and homemakers not working are excluded from this. The labor force participation rate determines the health of an economy. This rate is computed and published by the Bureau of Labor Statistics (BLS) in the US.

The unemployed individuals who want a job, but have not been looking for it in the previous month, are not included in the labor force. A nation’s productivity, competitiveness, and efficiency are highly dependent on the quantity and quality of its labor force.

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henry signed an employment contract when she began working for the law firm of hesling and epstein. there was an arbitration clause that was binding in the contract. one month later, he slipped on files his boss had left scattered on the floor. his friend told him he should sue the law firm. if he does, the court will likely:

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Say that the 4th Amendment protects the right to arbitrate disputes. In accordance with the fourth amendment, innocent victims may file lawsuits, but criminal defendants may not.

For the Fourth Amendment to be applicable to a specific set of facts, there must be a "search" and a "seizure," which usually occurs in a criminal case, followed by an effort to use what was seized judicially. Consideration of the complainant's interest and whether it was formally exploited will frequently determine whether a search and seizure occurred within the meaning of the Amendment and if the complainant's interests were lawfully violated.

What is protected by the Amendment?

There was no question in terms of common law. In Entick v. Carrington, Lord Camden remarked that persons joined society primarily to protect their property. This privilege is kept holy and untransferable in all circumstances when it hasn't been restricted or eliminated by a public law acting in the public interest.

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a company had net sales of $29,800 and accounts receivable of $4,400 for the current period. its days' sales uncollected equals: (use 365 days a year.)

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Days' sales uncollected means the average collection period. It means how many days are required to collect the cash for its sales.

This can be calculated using two items which are account receivables and net sales. Account receivables are the proceeds of payment to be received from customers who have been sold goods on credit. Net sales are the gross sales minus returns, discounts and interests.

In this ques, days' sales uncollected equals 53.874 days which is approximately 54 days.

It is given that the net sales of the company are $29800 and account receivables are $4400.

Days' sales uncollected can be calculated as:

= (AR÷NS)×365

where, AR= Account receivables

NS = Net Sales

In this ques,

AR = $4400

NS = $29800

Thus,

Days' sales uncollected = (AR÷NS)×365

= (4400÷29800)×365

= 0.1476 ×365

= 53.874

Thus, days' sales uncollected equals 53.874 days which is approximately 54 days.

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organizational design skills are critical to career success, but total organizational design or redesign typically is not put in the hands of newly hired managers. why then is it important for you early in your career to understand the structure and the specific differentiation and integration mechanisms of the organization you work in?

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While organizational behavior is the psychology of organizations, organization design may be considered the sociology of organizations.

Organization design could be thought of as the sociology of organizations, whereas organizational behavior is the psychology of organizations. This is the main distinction between an organization design and organizational behavior.

Therefore, organization design explains how workflow in an organization is to be achieved, including supervision, task allocation, and coordination. A boundary-less system is one that aims to increase flexibility so that all stakeholders have a reasonable level of freedom to collaborate for the organization's benefit sociology. All types of obstacles, including those between workers and customers, that occasionally potentially limit flexibility and effectiveness are removed, allowing management and workers who are Calls are made by people who are near to the issue at hand and have a better understanding of the circumstance, saving both time and input. Boundary-less firms exhibit excellent levels of adaptation to changes in technical and environmental practices that have advanced business in the 21st century.

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if the dollar appreciates relative to foreign currencies, we would expect: group of answer choices a country's net exports to rise. a country's exports and imports to both fall. a country's net exports to fall. the multiplier to decrease.

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if the dollar appreciates relative to foreign currencies, we would expect:  a country's net exports to fall.

A foreign currency is a currency used as a means of exchange recognized in a foreign country. This particular currency is the only form of exchange that each government allows to be bought or sold within its borders.

The foreign exchange market is a market in which foreign currencies such as yen, euros and pounds are traded against domestic currencies such as the US dollar.

To facilitate the exchange of money between different countries. You can find countries with excess liquidity and those in need of liquidity. To finance international trade, whose trading constitutes an important part of the foreign exchange market.

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which of the accounting changes listed below is more associated with financial statements prepared in accordance with u.s. gaap than with international financial reporting standards?

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Change to the LIFO method from the FIFO method is more associated with financial statements prepared in accordance with US GAAP than with international financial reporting standards

A new Accounting Standard Update (ASU) may need mandatory adjustments, in which case a new accounting principle is applied, or. on the grounds that it is desirable, voluntarily switches from one accepted accounting theory to another.

What three categories of modifications are recognised by GAAP as accounting changes?

Three different forms of accounting changes exist. These include modifications to reporting entities, modifications to accounting principles, and modifications to accounting estimations.

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wonder company manufactures one product that sells for $90 per unit and has a contribution margin ratio of 35%. the company's fixed expenses are $46,800. if wonder desires a monthly target net operating income equal to 15% of sales, the amount of sales in units will have to be (rounded):

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wonder company manufactures one product that sells for $90 per unit and has a contribution margin ratio of 35%.

The steps are listed below.

Providing the following details:

Sales= $640,000 ($40)

Total variable costs = 448,000 (28)

Margin of contribution = 192,000 ($12).

Fixed costs = (145,200)

$46.800 in net operating income

1) Use the following calculations to get the break-even point in units and dollars:

Break-even point in units = contribution margin per unit minus fixed costs

Break-even point equals 145,200 units (40-28)

Break-even point equals 12,100 units in units.

Fix expenses divided by contribution margin ratio is the break-even point in dollars.

Break-even point (12/40) = 145,200 dollars

The break-even mark is equal to $484,000.

2) The break-even point is the quantity of units that must be sold to generate a zero net profit. Since fixed costs cannot be changed, the contribution margin must match them.

Margin of contribution = 145,200

3) Gain = $75,600

Break-even point in units = contribution margin per / (fixed expenses + targeted profit)unit

Break-even point is 220,800/12 in units.

Break-even point equals 18,400 units in units.

Sales= 18,400*40= 736,000

Total variable expenses are 18,400*28. (515,200)

Margin of contribution = 220,800

145,200 in fixed costs

75,600 is the net profit

4) The safety margin

Risk of error = (current sales level - break-even point)

Margin of safety is equal to 640,000 - 484,000, or $156,000.

Break-even point divided by current sales level is the margin of safety ratio manufacture.

Ratio of the safety margin = 156,000 to 640,000

0.244 times the margin of safety equals 24.4%.

5) Ratio of contribution margin: 12/40 = 0.3

Net growth equals 96,000*0.3, or $28,800.

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a manager walks around the kitchen every hour to answer questions and to see if staff members are following procedures. this is an example of which step in active managerial control?

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One of the main responsibilities of organizational executives is managerial control. The managers and executives of an organization use it to establish performance standards, evaluate performance in light of those standards, and take any necessary remedial action.

What Does Active managemental control mean?In order to exert control over the risk factors for foodborne illnesses, industry management must actively include certain activities or procedures into how their company is run. Through a constant system of monitoring and verification, it embodies a preventive rather than a reactive approach to food safety.Industry can utilize a variety of techniques to give active managerial control over risk variables. The following are possible components of an efficient food safety management system:Certified food safety managers who have demonstrated their knowledge of the necessary material by completing a test that is a component of an accredited programStandard operating procedures (SOPs) for carrying out crucial operational processes, including cooling, during a food preparation processRecipe cards that outline the precise procedures for creating a food item as well as the key parameters for food safety, like the final cooking temperatures that must be watched and confirmedPurchase requirementsDesign and upkeep of equipment and facilitiesMonitoring techniques.

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the risk mitigation plan serves as a formal repository source for capturing the project knowledge regarding risks and their status. group of answer choices true false

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False, A risk register is an information depository an association creates to document the pitfalls they face and the responses they ’re taking to address the pitfalls.

Risk mitigation is the process of planning for disasters and having a way to lessen negative impacts.

what is risk migration?

Risk mitigation is a strategy to prepare for and lessen the goods of pitfalls faced by a business. similar to risk reduction, risk mitigation takes way to reduce the negative goods of pitfalls and disasters on business durability. pitfalls that might put a business at threat include cyberattacks, rainfall events and other causes of physical or virtual damage. threat mitigation is one element of threat operation and its perpetration will differ by association.

Identify all possible events in which threat is presented.

Perform a threat assessment

Prioritize pitfalls

Track pitfalls

apply and cover progress

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which of the following statements describes one the weaknesses of group decision making? group of answer choices groups bring less information and knowledge to the decision process. groups tend to generate significantly fewer alternatives than an individual. the participation of group members decreases the likelihood that a decision will be accepted by the employees. group members may pressure others to conform to decrease the possibility of disagreement. all of the above statements describe weaknesses of group decision making.

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One of the weaknesses of group decision-making is that group members may pressure others to conform to decrease the possibility of disagreement.

         It is always difficult to make a particular decision if there are a lot of people in the group. Every person has their own ideas and thoughts, and everyone can produce new ideas. Their ideas would be best for themselves, and they would want to incorporate them into the group activity. Thus, it would lead to chaos and confusion and can even lead to an argument among the members of the group.

         In every group, there are some dominating members, and they might force the other members to conform to their wishes. In this way, a pressure situation is created in which the other members do not get the chance to put forward their ideas and have to agree with the others. In this way, creativity is subdued.

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in the short run, a monopolist's economic profits multiple choice are always zero because consumers prefer to buy from competitive sellers. may be positive or negative depending on market demand and cost conditions. are always positive because the monopolist is a price-maker. are usually negative because of government price regulation.

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Depending on the state of the market and the cost structure, a monopolist's economic earnings could be positive or negative in the short term.

Accounting earnings are significantly different from economic earnings, which are what stockholders actually make. In the beginning, GAAP accounting data was created for loan investors rather than equity investors. More than 30 modifications must be made to accounting results before economic earnings can be derived. These adjustments eliminate items that are disguised in the MD&A and footnotes of annual filings and plug gaps in GAAP accounting.

Economic earnings outperform accounting profits because, They are based on all of the financial data that is available. For all businesses, they are standardized. They give a truer picture of the underlying cash flows of the business. A corporation is not creating shareholder value if its economic earnings are negative.

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projects x and y are mutually exclusive. project x: invest $1000, pv of return in 3 year is $2000. project y: invest $2000, pv of return in 1 year is $3500. in which should you invest?

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I would definitely invest in Project Y! We actually don't need complicated formula to choose which project is worth investing.

So, imagine you have a budget that you can use to take a risk in a business. Suddenly, two mutually exclusive projects are proposed or pitched to you. (Just remember that you can calculate your profit by deducting your investment from the Present Value of Return):

Project X will give you $2000 after 3 years if you give them your $1000. Thus, you will only earn $1000... after a very long time.

(It was solved like this by the way: $2000 - $1000 = $1000)

On the other hand, Project Y will give you a $3500 after a year if you give them your $2000. You'll earn a $1500 here!

(It was solved like this: $3500 - $2000 = $1500)

It is much better to take risk to a project that the Present Value of Return is higher and shorter in period.

And since you have a budget to invest, pick Project Y.

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there are four common variations of person-administered/computer-assisted interviews: the in-home interview, the mall-intercept interview, the in-office interview, and the telephone interview. true false

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True. Four common variations of person-administered/computer-assisted interviews are :

The in-home interview,

The mall-intercept interview,

The in-office interview, and

The telephone interview.

What is computer assisted interviews?

Computer- supported particular interviewing  ( CAPI) is an canvassing fashion in which the replier or interview uses an electronic device to answer the questions. It's analogous to computer- supported telephone interview , except that the interview takes place in person rather of over the telephone.

What's a computer administered check?

Computer- administered checks are an illustration of an information technology that agents, specialists, and other Extension preceptors could use to gather data presently collected using posted questionnaires. Electronic checks can be used to reveal the geste of people who use computers as a communication mode.

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if the mpc in an economy is 0.80, government could close a recessionary expenditure gap of $160 billion by cutting taxes by multiple choice $128 billion. $200 billion. $160 billion. $80 billion.

Answers

The government can close a recessionary expenditure gap of $160 billion by cutting taxes by $200 billion. So, the correct answer is (b).

Given information,

Expenditure gap (consumption) = $160

Marginal propensity to consume (MPC) = 0.80

Let, income be Y

Marginal Propensity to Consume (MPC) = Consumption/ Y

Income (Y) = $160/0.80 = $200

A measure called marginal propensity to consume (MPC) quantifies the assumption of induced consumption, which maintains that because a boost in disposable income results in a rise in personal consumer expenditure (consumption). Marginal propensity to consume is the percentage of discretionary income that people can spend on spending. MPC is the proportion of extra revenue that a consumer is willing to pay.

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what is ghanas general economic condition? why is it qualified to make a global fund application? does it carry significant debt burden and how does this impact the availability of services? (100-200 words below)

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Ghana has a significant danger of debt crisis and urgently needs IMF assistance. Application eligibility for global funds is based on a country's income level and disease load. Regardless of the prevalence of diseases, all low- and lower-middle income countries are eligible.

What are the impacts of debt burden on Ghana ?

The large level of debt Ghana is carrying may potentially induce capital flight by increasing the likelihood of currency devaluation, tax rises, and the desire to preserve the true worth of financial assets. In consequence, capital flight lowers domestic savings and investment, which lowers GDP, the tax base, and the ability to service debt. The Ghanaian private sector's ability to import goods, its competitiveness, and its ability to attract investment, all of which are constrained by the diversion of foreign currency to debt payments.

Due to the pervasiveness of government debt in the financial system, downgrades by foreign credit rating agencies increase sovereign risk, which has a negative impact on domestic banks' funding costs through a variety of channels. The domestic banking industry will be impacted by the country's public debt downgrade depending on how focused they are on domestic operations, how dependent they are on income from the government, and how much of their capital is exposed to government debt. Four key channels in which the local banking system may be impacted by the downgrading of sovereign debt are:

The balance sheets of banks are weakened by losses on holdings of government debt, which raises their risk and increases the cost and difficulty of obtaining credit. The value of the collateral that banks might use to secure wholesale funding and central bank liquidity is also diminished by increasing sovereign risk. When a sovereign is downgraded by a credit rating agency, domestic banks' ratings typically suffer as a result. increasing their expenses for wholesale financing and even limiting their access to the market. Banks have fewer funding benefits from implicit and explicit government guarantees when the sovereign is weaker.

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g identify which offering process is typically used for municipal debt securities? group of answer choices a. brokered b. competitive c. direct listing d. negotiated

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The negotiated municipal bonds typically used for municipal debt securities. In place of competitive bidding, a negotiated sale occurs when the issuer and a small number of bidders negotiate the conditions of a transaction.

What is negotiated bonds ?

A negotiated sale is a method of offering municipal bonds or other similar financial instruments in the fixed-income market where the issuing entity and a chosen underwriter negotiate the terms of the issue rather than having multiple underwriting groups competitively bid on the issue to determine its terms.

The interest rate, call features, and issue purchase price are some of the key issues that an issuer needs to discuss in a negotiated sale. This method of selling a new issuance of securities is often referred to as a negotiated underwriting.

In a negotiated sale, the financing for the issuance will be handled by the underwriter, who will be chosen by the issuing organisation prior to the sale date. As the underwriter collaborates with the business to market the offering, lower quality concerns typically gain the most from this type of underwriting strategy.

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you are given the task of brainstorming with a team about how the marketing information and research results will help your company adjust the marketing strategy for the price of its product. what types of questions should you be asking?

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The types of questions should you be asking is How are we doing at providing good value for the price?

What is marketing strategy?A marketing strategy is a long-term plan for attaining a business' objectives through an understanding of client needs and the development of a distinct and long-lasting competitive advantage. It includes everything, from choosing which channels to utilize to contact your customers to figuring out who they are. A company's limited resources can be focused on the best possibilities to boost sales and gain a long-term competitive edge through the use of a marketing plan. Product, pricing, place, and promotion make up the four Ps. They serve as an illustration of a "marketing mix," or the collection of tools and techniques utilized by marketers to accomplish their marketing goals.The types of questions should you be asking is How are we doing at providing good value for the price?

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a machine is purchased on september 30, 2024, for $60,000. useful life is estimated at four years and no residual value is anticipated. the double-declining-balance depreciation method is used. depreciation expense for 2025 should be:

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One of the two accelerated depreciation methods is the declining balance method, which employs a depreciation rate that is at least a multiple of the straight-line method rate.

A type of declining balance method that employs double the normal depreciation rate is the double-declining balance (DDB) method.

The Double-Declining Balance (DDB) Depreciation Method: What Is It?

One of the two common approaches businesses take to account for the cost of a long-lived asset is the double-declining balance depreciation (DDB) method, also known as the reducing balance method. When compared to straight-line depreciation, which uses the same amount of depreciation each year over an asset's useful life, the double-declining balance depreciation method is an accelerated depreciation method that counts as an expense more quickly. Essentially, contrasted with the standard declining balance strategy, the twofold declining technique devalues resources two times as fast.

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Open road bicycles has chosen a market penetration strategy. As sales continue to grow, the company’s costs continue to drop, allowing even further reductions in the price. This is due to.

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Open road bicycles has chosen a market penetration strategy. As sales continue to grow, the company’s costs continue to drop, allowing even further reductions in the price. This is due to experience curve effects.

What is the experience curve effects?

This is the term that is used to refer to the systematic decline that would be found to occur in the cost/quantity that is found in the cumulative volume as it is made to go higher.

The curve effect is made up of three types that includes:

Learning that would basically come from practice as well as others. Hence we would say that the reason that the price or the cost is dropping further is what is called the experience curve effects

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You have performed an audit and found an active account for an employee with the username joer. This user no longer works for the company. Which command can you use to disable this account?.

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Since this user no longer works for the company, a command which you can use on a Linux computer system to disable this account after an audit is: usermod -l joer.

What is a Linux?

In Computer technology, Linux can be defined as an open-source and community-developed operating system (OS) that is designed and developed for use on the following electronic computing devices:

Embedded systems.Computers.Mobile devices.Mainframes.

What is a Linux command?

A Linux command can be defined as a software program that is designed and developed to run on the command line, in order to enable an administrator or end user of a Linux computer network perform both basic and advanced tasks by only entering a line of text such as disabling a username.

In conclusion, a Linux command which can be used to disable the username of an end user who no longer works for a company, but has an active account is usermod -l joer.

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during a bank robbery, gene steals $2,500 in cash and kills a bank teller. under ucr's hierarchy rule, which crime(s) is/are reported in the official statistics?

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The number of crimes that are not reported is typically referred to by this term, but it can also be used to describe crimes that are unknown to all parties outside the law enforcement system or for which the law has not been broken.

Which federal agency is in charge of gathering information about crimes?

The primary federal agency in charge of measuring crime, criminal victimization, criminal offenders, victims of crime, correlates of crime, and the operation of the federal, state, tribal, and local criminal and civil justice systems is the U.S. Department of Justice's Bureau of Justice Statistics.

Which of them is regarded as the sinister figure of criminality?

Self-reported crimes and victimization studies suggest the "dark figures" of crime, which include tax evasion, prostitution, illegal drug use, illegal gambling, child abuse, domestic violence, and traffic violations.

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which model of global leader development argues that the company's global business strategy is a major determinant of the relevant lessons and skills that the leader needs?

Answers

The pyramid model of global leadership.

The Pyramid Model of Global Leadership is just an strategy based on the assumption that all leaders share a set of skills and capabilities.

What is pyramid model?Effective global leaders are able to collaborate with people from various backgrounds, understanding that their viewpoints and behavioral patterns are inspired by their cultures and values, and that their interpretations and behaviors are just as important as the leaders' own.The foundational qualities required for advancement from manager to leader are listed at the bottom of the pyramid: courage, aptitude, commitment, and discipline.It is the most widely held belief about leadership. The pyramid has several layers, including global knowledge at the bottom. The threshold traits, attitudes and orientations, interpersonal skills, and finally system skills are depicted above in order.

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firms are increasingly shifting spending from the web to other media such as print, radio, and television as these are often easier to track and analyze. group of answer choices true false

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Firms are increasingly shifting spending from the web to other media such as print, radio, and television as these are often easier to track and analyze.

False

What is Media?

The word "medium," which refers to any channel of communication, is pluralized as "media." This could include anything from exposed paper to virtual information and includes things like academic content, art, and news in addition to many other kinds of records.

In other words, Media is a communication tool used to deliver information.

The three types of media are commonly known as news media, social media, and web media, but you might also see them referred to as earned media, shared media, and owned media.

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during the covid-19 pandemic, many companies temporarily closed their offices and allowed employees to work from home. this had a huge impact on cintas, which saw a steep decline in the need for their services. managers at cintas understand that this change in the buying process is a result of

Answers

This change in the buying process is a result of the impact on business in the Pandemic era. In a pandemic era, many companies have rearranged their marketing strategies that are adaptable to that situation. Many companies make innovations so that their sales continue in a long term and the company's profit can settle.

A business strategy can be described as a plan that outlines how a company will achieve its goals. There are many different business strategies, but some common examples include cost leadership, differentiation, and focus.

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Which of the following is an example of a variable cost?
A.
Hourly labor
B.
Interest on a loan
C.
Insurance
D.
Rent for an office

Answers

Answer:

A is the correct answer

Explanation:

Wages paid to workers for their regular hours are a fixed cost. Any extra time they spend on the job is a variable cost.

if you had $10 million, and didn't have to pay any of it back, but you were only allowed to keep any profits (i.e. if you end up with $10.4 million, you get to take home $400k, but if you end up with $5 mil, you take home nothing), what would you do if you had:

Answers

One should keep $10 million and use investment methods to earn profits. One can invest in bonds, mutual funds, buy real estate etc.

Here are few ways-

Begin with cash generated income.

Pay off your debts.

Increase the size of your emergency fund.

Give it to someone else.

Invest more in property investment and bonds.

Think about an annuity.

Investigate actively managed portfolios.

Keep track of your retirement.

Purchase stocks.

Invest in cryptocurrency.

Invest in non-traditional investments.

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emma purchased two call option contracts on vergara stock with a strike price of $18.50 when the option was quoted at $.78. the option expires today when the value of vergara stock is $19.45. ignoring trading costs and taxes, what is the net profit on this investment?

Answers

The net profit for Emma on this investment is calculated to be $0.17

Call option can be described as an option to buy by paying for a call premium. This option is used when the strike price is less than the current market price. In this problem, the strike price is $18.50 and the premium is $0.78 whereas the current market price is $19.45. The option buyer can exercise the contract by purchasing the stock at a lower price and selling at the current market price to gain a profit.

The gain can be calculated as;

Gain value = Current price - Strike price

Gain value = $19.45 - $18.50

Gain value = $0.95

Now we subtract the premium cost from this value to calculate the net profit as follows;

Profit = Gain value - Call premium

Profit = $0.95 - $0.78

Profit = $0.17

Therefore, the net profit on this investment is $0.17

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