Yes, John Decina is personally liable on the contract with Smith Lumber because he signed the credit application as an individual, not as a representative of Decina Corporation. Even though he listed himself as the "president," the application did not clearly indicate that he was signing on behalf of the corporation.
John Decina may be personally liable on the contract with Smith Lumber due to the information provided on the credit application. Although he indicated the type of ownership as a "corporation" and listed himself as "president," he wrote his own name as the "Business/Individual" and provided his personal builder's license number and Social Security number, rather than those of Decina Corporation.
The corporation's name was not mentioned anywhere on the application. This may suggest that John Decina was acting in his personal capacity, rather than as a representative of Decina Corporation, potentially making him personally liable for the unpaid materials.
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What can marketers learn from the diffusion of innovation theory? (Choose every correct answer.) a. How to create buzz and hype around a new product or service b. How to target early adopters and innovators c. How to create effective marketing campaigns for mainstream consumers d. How to extend the life cycle of a product or service
Marketers can learn several things from the diffusion of innovation theory, including: b. How to target early adopters and innovators,How to create effective marketing campaigns for mainstream consumers.etc
How to target early adopters and innovators: The theory explains that certain individuals are more likely to adopt new products or services early on, and marketers can target these individuals through tailored messaging and channels.
c. How to create effective marketing campaigns for mainstream consumers: The theory also outlines how mainstream consumers adopt new products or services, providing insights into how marketers can effectively reach and persuade this audience.
d. How to extend the life cycle of a product or service: By understanding the different stages of the adoption process, marketers can develop strategies to extend the life cycle of a product or service, such as by targeting late adopters or emphasizing different benefits at different stages.
a. How to create buzz and hype around a new product or service: While the theory doesn't necessarily provide specific tactics for creating buzz and hype, it does suggest that early adopters and innovators play a crucial role in spreading awareness and excitement about new products or services. Marketers can leverage this by targeting these individuals and providing them with the tools and information they need to share their experiences with others.
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The ability of the president to veto a bill passed by congress is a good example of what principle of limited government?
The ability of the president to veto a bill passed by congress is a good example of the checks and balances principle of limited government.
The Checks and Balances system gives each arm of government its own authority to check the others and prevent any one branch from gaining excessive power.
What is the importance of checks and balances?In organizations, checks and balances can assist cut down on errors and avoiding improper conduct. The concept of checks and balances is most frequently applied to governmental structures, such as the executive, legislative, and judicial branches of the U.S. government.
A system in which each component of an organization, such as a government, has the ability to influence and regulate the others in order to prevent any one component from gaining undue power.
Since Congress manages the funds used to finance all executive activities, it holds the power of the purse. Federal officials are nominated by the president, but their confirmation by the Senate is required.
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If a stock you buy is $50 per share and pays $2 per year in total dividends;
what is the dividend yield of the stock?*
Answer:
4%
Explanation:
Dividend yield shows the dividends paid out annually as a percentage of the share market price.
The formula for calculating dividend yield is the annual dividend per share/market value per share.
Dividend yield = dividend/ market share price x 100
Dividend yield = 2/50 x 100
Dividend yield = 0.04 x 100
Dividend yield = 4%
Alana only has 56.47 saved for college.Brainstorm possible reasons why she has only managed to save this amount
Answer: Alana might be a compulsive consumer.
Explanation:
Seems like she didn't had any savings plans during her high school period, spending a big portion of her money going out with friends or buying liabilities, instead of assets.
n the two-sector (manufacturing and agriculture) specific-factors model, suppose that a country has a comparative advantage in manufacturing output. Will workers be better or worse off following the opening of trade with other countries? Group of answer choices Workers will be better off because both nominal and real wages increase. Workers may be better off or worse off because the real wage in terms of the agricultural good falls and the real wage in terms of the manufactured good rises. Workers will be better off because the nominal wage increases. Workers may be better off or worse off because the real wage in terms of the agricultural good rises and the real wage in terms of the manufactured good falls.
Answer:
Workers may be better off or worse off because the real wage in terms of the agricultural good falls and the real wage in terms of the manufactured good rises.
Explanation:
Because the country has comparative advantage in manufacturing, opening to trade means that the manufacturing sector will grow because it will now export goods to other parts of the world. This will increase the real wages of manufacturing workers.
However, the country does not have a comparative advantage in agriculture, and this means that the agricultural sector will likely shrink, because consumers will be able to access cheaper and higher quality agricultural goods from other regions. This will cause agricultural workers' wages to fall.
let’s say you bought a 98 strike put and the stock is currently trading at $100. the current price of the option is $2.20. how much of the price is intrinsic value?
The intrinsic value of the put option is $2, while the extrinsic value is $0.20.
To determine the intrinsic value of a put option, you need to calculate the difference between the strike price and the current stock price. If the stock price is higher than the strike price, the put option has intrinsic value.
In your example, you bought a 98 strike put, and the stock is currently trading at $100. To calculate the intrinsic value, subtract the strike price from the current stock price:
Intrinsic value = Current stock price - Strike price
= $100 - $98
= $2
Therefore, the intrinsic value of the put option is $2. Since the current price of the option is given as $2.20, the remaining value of $0.20 would be the time value or extrinsic value of the option.
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supporters of globalization believe that tougher environmental regulations and stricter labor standards are a natural aspect of economic progress.
True, Stronger environmental laws and higher labor standards, according to proponents of globalization, are a necessary part of economic development.
How does globalization affect environmental standards?Globalization has some advantages, but it has also had negative consequences on the environment (Xia et al., 2022). Globalization has facilitated deforestation and massive consumption of non-renewable fossil fuels and natural resources. Trade, especially import and export, is given a lot of attention by globalization.
How has globalization affected the state of the economy today?Globalization results in a general decline in production costs. It would seem that businesses may charge less for their products. A significant factor in improving quality of life is the average cost of commodities. The range of products available to consumers has likewise increased.
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Which of the following are traits of successful entrepreneurs?
quits when he or she fails
doesn't make the same mistake twice
is self-assured
relies on everyone else to get the job done
Answer:
Self assured and doesn't make the same mistake twice
Explanation:
Hope this helps!
Career Cluster
If your dream is to be an elementary school teacher, the
might be best for you.
A. Education and Training
B. Human Services
C. Health Sciences
D. Training and Instruction
Answer: A
Explanation
Which of the following is true about the relationship between Ru (unlevered cost of capital), Re (cost of equity), and WACC for a levered firm?
a WACC>Ru>Re
b Ru>Re>WACC
c WACC>Re>Ru
d Re>Ru>WACC
The correct answer is:
c) WACC > Re > Ru
The relationship between Ru (unlevered cost of capital), Re (cost of equity), and WACC (weighted average cost of capital) for a levered firm is as follows:
Ru (unlevered cost of capital) represents the cost of capital for a firm with no debt. It is the required return on the firm's assets, considering only equity financing.
Re (cost of equity) represents the return required by equity investors to invest in the firm. It takes into account the risk associated with investing in the firm's equity.
WACC (weighted average cost of capital) represents the average cost of capital for the firm, taking into account both equity and debt financing. It is a weighted average of the cost of equity and the after-tax cost of debt, where the weights are determined by the proportion of equity and debt in the firm's capital structure.
In a levered firm, where debt is present, the relationship between these variables is as follows:
WACC > Re > Ru
The WACC is higher than the cost of equity because debt is cheaper than equity due to the tax shield provided by interest expense. The cost of equity is higher than the unlevered cost of capital (Ru) because equity investors require a higher return to compensate for the additional risk associated with equity investments.
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Consider the following scenario. A shoe company has a budget of $50,000 to manufacture shoes. It can spend $25 to manufacture a pair of sandals or $50 to manufacture a pair of boots. Which of the following combinations are on the budget constraint? Select all that apply. A) 0 sandals; 2,000 boots B) 2,000 sandals; 0 boots C) 1,000 sandals; 500 boots Consider the following scenario. Jeff has a budget of $25 per week that can be spent on apples and oranges. The cost of apples is $1 per apple, and the cost of oranges is $5 per orange. Which of the following combinations of apples and oranges lies on Jeff's budget constraint? Select the best answer. A) 5 apple(s) and 4 orange(s) B) 4 apple(s) and 4 orange(s) C) 6 apple(s) and 2 orange(s)
For the shoe company: A) 0 sandals; 2,000 boots and C) 1,000 sandals; 500 boots are on the budget constraint. For Jeff's budget: A) 5 apple(s) and 4 orange(s) lies on the budget constraint.
In the shoe company scenario, the budget constraint is determined by the total available budget of $50,000. Each pair of sandals costs $25 to manufacture, while each pair of boots costs $50. By dividing the budget by the cost of each product, we can determine the feasible combinations that lie on the budget constraint. Similarly, in Jeff's budget scenario, his total budget of $25 needs to be allocated between the cost of apples ($1 per apple) and the cost of oranges ($5 per orange). By dividing the budget by the cost of each fruit, we can identify the combinations that lie on the budget constraint.
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Explain the tradeoffs involved in setting an ideal level of inventory for a
particular product. What are the costs if too much is maintained? What are
the costs if too little is maintained?
3. Describe two real or made up situations in the workplace when you would need to use
speaking skills. (1-2 sentences. 2.0 points)
In order to reduce conflict, speaking skill, is the skill that helps to settle a disagreement or conflict between two parties, or amount group of people.
Why speaking skills is essential in workplace?
No company has stated in his vision or mission, to keep a zero conflict among staff, because it is believed that every workers and staff of the company is disciplined and should focus on why the company has hired him or her.
But on the other hand, conflict among workers in a company has been on increase. Because people differs so their ideology differs too. Conflict may not only be when a worker yells at a co worker, it can also be an argument between workers.
It is difficult to find a company made of more than 10 workers with out conflict among co workers, the conflict could be envy or side talks.
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Poitioning" i a marketing management aid that refer to: _________ A. How cutomer think about propoed and/or preent brand in a market
Positioning is a marketing management tool that describes how consumers perceive existing and/or potential brands in a certain market. So, the suitable option will be option (a).
Give a brief account on marketing management.Marketing management applies economics and competitive strategy techniques to analyze the business environment in which the organization works. Marketers use SWOT analysis to focus on the relative competitive strengths and weaknesses of each competitor in the market as they create extensive profiles of each competitor. Marketing managers will look at each rival's cost structure, profit sources, assets, and capabilities as well as its competitive positioning, product differentiation, level of vertical integration, past responses to market changes, and other elements.
Market and marketing research are frequently conducted by marketing management in order to undertake marketing analysis. Although there are many techniques used by market researchers, the following are some of the most common ones :
Focus groups and different kinds of interviews are examples of qualitative marketing research.statistics surveys are examples of quantitative marketing research.experimental methods, including test marketsTechniques of observation like ethnographic (on-site) observationTo know more about, marketing management, visit :
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The complete question is mentioned below :
"Positioning" is a marketing management aid that refers to: ______
A) how customers think about proposed and/or present brands in a market.
B) a product's ability to provide both immediate satisfaction and social responsibility.
C) how a firm approaches customer relationship management.
D) a firm's ability to distribute products through intermediaries who are in the right position to reach target customers.
E) all of these alternatives are true.
a high volume of goods is produced efficiently by people, equipment or departments arranged in an assembly line when using which layout?
An assembly line layout, also known as a production line or linear layout, is utilized when a high volume of goods needs to be produced efficiently by people, equipment, or departments.
In this layout, tasks are arranged sequentially, and each workstation is responsible for a specific part of the manufacturing process. The assembly line allows for smooth and continuous production, minimizing idle time and maximizing output.
It also helps in reducing labor costs and ensuring quality control, as each worker becomes specialized in their specific task. This type of layout is commonly used in mass production industries like automotive and electronics manufacturing
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Write a scenario that will help you understand the following word or topic and show me that you understand their importance.
Disciplines - information literacy practices change based on the discipline (or what one is
studying or researching) to determine if information is relevant to the need
A specific reading, writing, and communication techniques are referred to as disciplinary literacy. It focuses on reasoning, capacities, and equipment employed by specialists in the relevant fields.
What is discipline?It is the practise of teaching people to follow rules or a behavioural code by using punishment to correct disobedience. It is also a body of knowledge that is typically studied in higher education.
Teachers anticipate that by the time students enter high school and middle school, they will have mastered the fundamental techniques and methods for reading and interpreting material.
Students who are still learning to read and write in the classroom may require assistance from their regular classroom teachers as well as, in some cases, reading or special education experts.
Making connections, asking questions, drawing conclusions, summarizing, and checking their understanding are just a few of the fundamental techniques they have mastered for reading texts of various genres and subjects.
Therefore, by this we understand that there is a need to learn the basic disciplines, and even if a person is not able to be getting fundamental guidance related to it.
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e. In a given economy with an MPC of 0.8, the equilibrium GDP equals $480,000 and the potential GDP equals $670,000. How much would G have to change in order to close the recessionary gap? f. What will the numerical value for the balanced budget multiplier always be? g. If real GDP is greater than the aggregate expenditures, what should be done to production to get them to equal one another? Will savings or Ig be greater in this case?
G would have to increase by $237,500 to close the recessionary gap.
How to solve for the increasee. To close the recessionary gap, we need to increase aggregate demand (AD) in order to reach the potential GDP. One way to increase AD is through government spending (G). The change in G required to close the gap can be calculated using the following formula:
Change in G = (Potential GDP - Equilibrium GDP) / MPC
Given:
MPC = 0.8
Equilibrium GDP = $480,000
Potential GDP = $670,000
Change in G = ($670,000 - $480,000) / 0.8
Change in G = $190,000 / 0.8
Change in G = $237,500
Therefore, G would have to increase by $237,500 to close the recessionary gap.
f. The numerical value for the balanced budget multiplier is always 1.
g. . If real GDP is greater than aggregate expenditures, it means there is an unplanned increase in inventories, indicating that production exceeds current demand.
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e. In a given economy with an MPC of 0.8, the equilibrium GDP equals 480,000 and the potential GDP equals 670,000.
To calculate the recessionary gap, you must first determine the GDP gap. The GDP gap is calculated by subtracting equilibrium GDP from potential GDP, which is as follows:
GDP gap = potential GDP - equilibrium GDPGDP gap = 670,000 - 480,000 = 190,000To determine the amount that G must change to close the recessionary gap, use the following formula:
Change in G = - MPC x GDP gap Change in G = - 0.8 x 190,000Change in G = -152,000Therefore, G would need to increase by 152,000 to close the recessionary gap.
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On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720.
Complete Question:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720
Journalize the first interest payment and the amortization of the related bond discount using the Straight line method
Answer:
Kindly check Explanation
Explanation:
Given the following :
Face value of bond issued = $1,450,000
Cash received on Issuance = $1,408,720
Number of Interest payment on bond = 5 × 2 = 10(semiannual)
Therefore, discount on bond :
$(1,450,000 - 1,408,720) = $41,280
Spreading or amortizing diacou t on bond over the bond duration (use te straight line method)
Discount / period
$41,280 / 10 = $4,128
Interest expense a/c Dr $40,378
To discount on bond payable a/c Cr $4128
To cash a/c $36,250
what do i say to "tell me about yourself" in a job interview
(20 pts)
Answer:
1- Mention past experiences and proven successes as they relate to the position. ...
2- Consider how your current job relates to the job you're applying for. ...
3- Focus on strengths and abilities that you can support with examples. ...
4- Highlight your personality to break the ice.
Explanation:
The process by which prospective buyers "internalize" or consider the information presented by the salesperson is referred to as a black box because:A. sales actions lead to buyer reactions.B. salespeople cannot read a buyer's mind.C. psychological needs outweigh social wants.D. for every stimulus, there must be a response.E. salespeople seem untrustworthy to most buyers.
Answer:
B. salespeople cannot read a buyer's mind
Explanation:
Since in the question it is mentioned that the prospective buyer or the buyer who wants to purchased considerd that information which is presented by the seller that called as a black box as the sales people is not able to read the purchaser mind as they are also a human and they dont know what actually the buyer wants until the buyer didnt tell them about their need
Therefore, the correct option is B.
Which statement best describes the relationship between credit and debt
when you use a credit card?
A. Your debt decreases as you use your credit card more.
B. Your credit decreases as you lower your debt.
C. Your credit stays the same as you lower your debt.
D. Your debt increases as you use your credit card more.
Answer:
D. Your debt increases as you use your credit card more
When you make a purchase something with a credit card, you are borrowing money from someone else. This puts you in debt. You will build up more debt from purchases until you pay the total amount due.
Hope this helps :)
Your debt increases as you use your credit card more is the statement best describes the relationship between credit and debt when you use a credit card. Thus, option (d) is correct.
What is credit card?
A bank will issue plastic or metal "credit cards" as forms of payment. When using a credit card, also known as a payment card, charges are made against a line of credit instead of the account holder's cash deposits. The credit card is more convenient as compare to cash.
By using credit card more frequently, the debt grows. They must pay the minimum amount due on credit card each month by the balance's due date in order to use one, at least.
Therefore, option (d) is correct.
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If jack consumes 3 popsicles and 1 ice cream cone, then: a. He still has $5 left to spend. B. The price of ice cream must have increased to $8. C. The price of popsicles must have decreased. D. None of these are true
The most accurate answer would be option D) None of these are true as we do not have enough information to draw conclusions about the prices of popsicles and ice cream cones or Jack's remaining money.
If Jack consumes 3 popsicles and 1 ice cream cone, we cannot directly determine the changes in the prices of popsicles or ice cream cones. However, we can analyze each option:
A. If Jack still has $5 left to spend, it indicates that he has spent a certain amount on the popsicles and ice cream cone, but without knowing the initial amount of money or the prices, we cannot confirm this.
B. The price of ice cream increasing to $8 is a possibility, but we cannot conclude this solely based on the given information about Jack's consumption.
C. The price of popsicles decreasing is another possibility, but again, we cannot confirm this without knowing the initial prices and Jack's total spending.
D. Since we cannot confirm any of the previous statements, the most accurate answer would be "None of these are true," as we do not have enough information to draw conclusions about the prices of popsicles and ice cream cones or Jack's remaining money.
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What financing source involves wealthy individuals giving their money to fund a startup?
A.
venture capitalist
B.
angel investors
C.
banks
D.
government sources
Answer:
Angel Investors
Explanation:
ANWSER HURRY, RUNNING OUT OF TIME....
I'LL GIVE YOU 15$ FOR THE ANWSER , IF YOU GIVE ME SOMETHING I CAN COPY AND PASTE...PUT UR CASHAPP IN THE EXPLANATION AREA....
Explain incentives and opportunity cost. Also give an example of both.
Answer:
Incentives can be either monetary or non-monetary. When opportunity costs change, incentives change, and people's choices and behavior change. Changes in incentives cause people to change their behavior in predictable ways.
Explanation:
i dont want money thx though.
What are the issues and challenges with Circuit City 2018 latest
e-commerce initiative?
As of my knowledge cutoff in September 2021, Circuit City, a once-prominent electronics retailer, experienced financial difficulties and declared bankruptcy in 2008.
There have been no recent developments or initiatives in 2018 or afterward regarding Circuit City's e-commerce initiatives. It's worth noting that my information may not be up to date, and I recommend referring to recent news sources or the official Circuit City website for the latest updates on their e-commerce initiatives and any associated issues or challenges. E-commerce, short for electronic commerce, refers to the buying and selling of goods and services over the internet. It has revolutionized the way businesses operate and how consumers shop. E-commerce offers numerous benefits, including convenience, a wide selection of products, competitive pricing, and the ability to reach a global customer base.
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Explain Societal benefits of Apple as a first mover company.
Societal benefits of Apple as a first mover company include technological innovation, job creation, economic growth, improved consumer experiences, and the stimulation of competition leading to further advancements.
As a first mover, Apple's technological innovations have revolutionized industries, improving productivity and enhancing communication and entertainment for individuals worldwide. The company's success has also created numerous job opportunities, contributing to economic growth. Apple's products and services have set high standards, inspiring competition and driving further advancements, benefitting society through improved technology and consumer experiences.
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Your investment portfolio had annual returns of -11.5%, -23.4%, 7.9 %, and 2.1% over the past four years. What was the portfolio's annual geometric return? 1) -7.0% 2) -7.4% 3) -6.7% 4) -6.3% 5) -7.9%
Your investment portfolio had annual returns of -11.5%, -23.4%, 7.9 %, and 2.1% over the past four years. The portfolio's annual geometric return is -6.7%.
To calculate the geometric return, we need to multiply the annual returns for each year and then take the nth root, where n is the number of years.
Let's substitute the values and perform the calculations:
Annual return for Year 1 = -11.5% = -0.115
Annual return for Year 2 = -23.4% = -0.234
Annual return for Year 3 = 7.9% = 0.079
Annual return for Year 4 = 2.1% = 0.021
Geometric return = (1 + Return1) * (1 + Return2) * (1 + Return3) * (1 + Return4) ^ (1/n) - 1
Geometric return = (1 + (-0.115)) * (1 + (-0.234)) * (1 + 0.079) * (1 + 0.021) ^ (1/4) - 1
Geometric return = (0.885) * (0.766) * (1.079) * (1.021) ^ 0.25 - 1
Geometric return = 0.933 - 1
Geometric return = -0.067 or -6.7%
Therefore, the portfolio's annual geometric return is -6.7%, which corresponds to option 3.
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The price of gas, which started at $2. 56 per gallon, increased at a rate of 4% per year.
The function would be: P(t) = \(2.56(1 + 0.04)^t\). The function that models the situation is P(t) = \(A(1 + r)^t\), where P(t) is the price of gas after t years, A is the initial price of $2.56 per gallon, and r is the rate of increase at 4% per year (expressed as a decimal).
The function P(t) = \(A(1 + r)^t\) is a mathematical model that describes how a value (in this case, the price of gas) changes over time. The variable t represents the number of years that have passed since the initial price of gas was $2.56 per gallon. The variable A represents that initial price, and the variable r represents the rate of increase, which is 4% per year in this case.
So the function would be: P(t) = \(2.56(1 + 0.04)^t\)
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Your best friend just purchased a new house and is planning to buy a homeowner’s insurance policy. Based on what you learned in this section, which of the following does a typical policy not cover?
Answer:
flood coverage
Explanation:
i took the quiz and it was correct
a project has an initial cost of $57,000 and is expected to generate a single cash inflow of $73,000 in 6 years. what is its irr?
A project will initially cost $57,000 and will produce a single cash inflow of $73,000 over the course of 6 years. 4.20% is the IRR.
An IRR is defined.A financial analysis tool used to determine the profitability of possible investments is the internal rate of return (IRR). In a discounted cash flow analysis, the IRR is the discount rate that reduces all cash flows' net present values (NPV) to zero. The formula used in NPV calculations also applies to IRR estimates.
An increase in IRR typically translates into an increase in return on investment. In the area of commercial real estate, an IRR of 20%, for instance, would be regarded as favorable, but it's crucial to keep in mind that it's always tied to the cost of capital.
anticipated cash flow at the end of six years= $73,000
Initial cost=$57,000
Expected cash inflow= 57,000\((1+r)^{n}\)
73,000= 57000\((1+r)^{6}\)
r= 0.042096= 4.20%
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