The Real Estate Commission may take action against OB. A licensee employed to sell real estate and OD. An executor handling real estate transactions.
The Real Estate Commission has the authority to take action against certain individuals involved in real estate transactions. In this scenario, the Commission may take action against a licensee employed to sell real estate (Option B) and an executor handling real estate transactions (Option D).
Option B refers to a licensee who is employed to sell real estate. Licensees are individuals who hold a license to engage in real estate activities, such as real estate agents or brokers. If a licensee violates the rules or regulations set by the Real Estate Commission, they may face disciplinary action.
Option D pertains to an executor who is responsible for handling real estate transactions. Executors are individuals appointed to administer the estate of a deceased person. If an executor engages in misconduct or fails to fulfill their fiduciary duties in relation to real estate transactions, the Real Estate Commission may take action against them.
On the other hand, Option A states that an attorney acting in accordance with her legal practice and Option C referring to real estate owners selling their own property are not typically under the direct jurisdiction of the Real Estate Commission. Attorneys practicing within the bounds of their legal profession and real estate owners selling their own property are subject to the applicable laws and regulations but are not specifically regulated by the Real Estate Commission.
To learn more about Real Estate Commission refer:
https://brainly.com/question/30047265
#SPJ11
How did business impact the process of cultural diffusion in the second half of the twentieth century? it slowed it down significantly. it slowed it down modestly. it had no unmistakable impact. it accelerated it significantly.
The Right Response is Option A which states that It slowed it down significantly.
Diffusion of culture is the spreading and blending of elements from other cultures. People adore and take pleasure in the wide variety of foods, outfits, and even languages that are part of these many cultures.
What are some instances of cultural diffusion?
Cultural diffusion refers to the process through which certain aspects of one culture are incorporated into other cultures. The widespread usage of mobile phones (and frequently smartphones) throughout several nations and cultures is an example of cultural diffusion.To Learn more about Cultural diffusion, click the links
https://brainly.com/question/28212750
https://brainly.com/question/2035730
#SPJ4
Answer:
The answer is D “ it accelerated it significantly”
Explanation: got it right on my test!
TRUE OR FALSE? Please help
Compound interest includes interest only on the principle balance
Ossie enters a convenience store and points a gun at the clerk Pico. Ossie forces Pico to open the cash register and give him all the money. Ossie will most likely be charged with a.burglary.
b.robbery.
c.larceny.
d.receiving stolen property.
Ossie enters a convenience store and points a gun at the clerk Pico. Ossie forces Pico to open the cash register and give him all the money. Ossie will most likely be charged with a robbery.
Robbery is the crime of taking or attempting to take something of value by using force, the threat of force, or terror. Robbery is described by common law as stealing the property of another with the goal to permanently deprive the individual of that property via force or terror; that is, it is larceny or theft completed through an assault.
Burglary, commonly known as breaking and entering and occasionally housebreaking, is the act of unlawfully entering a building or other regions with the goal of committing a criminal offence. Typically, that offence involves theft, robbery, or murder, although most countries include additional offences under the umbrella of burglary.
Larceny is a crime that involves the illegal taking or theft of another person's or business's personal property. It was an offence under English common law, and it became an offence in countries that integrated English common law into their own law, where it is still in effect in many circumstances.
To learn more about robbery, burglary and larceny, here
https://brainly.com/question/10411138
#SPJ4
Which of the following statements is true about mortgages?
A. The adjustable mortgage has an adjustable term of years but
fixed interest rate.
B. The adjustable mortgage has adjustable rates over a set amount
of time.
C. The fixed mortgage has a fixed term of years but adjustable
interest rate.
D. The fixed mortgage has an adjustable interest rate over a set time.
The statement true about mortgage is B. adjustable mortgage has adjustable rates over a set amount of time.
A mortgage is basically a pact or agreement between the person who is providing a loan in the form of money and the person taking the loan in the form of money. It includes that if you fail to return the amount the lender has all the rights by which they can take away your property that you have submitted as a security deposit in form of property papers.
There are two types of mortgages on the basis of interest rates first is adjustable mortgages which has adjustable rates of interest through a fixed period of time. On the other hand is fixed mortgages which means there is a fixed rate of interest for a fixed period of time.
To know more about mortgages refer to the link below
https://brainly.com/question/22598793
#SPJ1
You have just been promoted at your job, and now you have a net income of $2,190. You would like to use this income to meet new financial goals. 1. Create a budget that will allow you to save at least $100 by the end of October. (10 points) Remember, your old budget reflected a net income of $1850.00 and included these expenses: • $600 for your rent • $475 for your car payment, car insurance, and gas • $230 for your utilities, phone, and Internet • $300 for your groceries • $50 for your entertainment • $20 for your renters insurance • $75 for discretionary spending • A final net total of $100 saved per month Your new budget needs to include these changes: • A new line to budget $50 per month toward a new computer • Other expenses may be modified as you choose. • A final net total of at least $300 saved per month
Answer: $300 saved per month
Explanation:
new budget $2,190.
rent $650car, insurance and gas $480utilities, phone and internet $250groceries $300entertainment $50rentals $30discretionary spending $80new line budget $50total $1890
final net total = \(2190 - 1890\\\)
= $300 saved per month
it say we need to save at least $300 per month, what this implies is that the minimum we can save is $300.
Answer:
300 per month saved
Explanation:
PLEASE HELP ME!! please, please,, please explain how you got it, thank you
Answer:
I think the second one.
1/10 cookies per pizza
pls can someone buy me the upgrade i beg youuu :(
Answer:
no
Explanation:
Based on the Interactive Illustration 3 Holding Costs for Domestic vs. Foreign Sourcing (HBS "Supply Chain Management" reading), under which of the following conditions will the holding cost for domestic sourcing be equal to that for foreign sourcing, when the Foreign Lead Time is set to 13 weeks and the Standard Deviation of Weekly Demand is set to 75? (Select all that apply)
a.
Holding cost per unit per week is $0.00 and the In-Stock Rate is 50%.
b.
Holding cost per unit per week is $0.15 and the In-Stock Rate is 99%.
c.
Holding cost per unit per week is $0.00 and the In-Stock Rate is 99%.
d.
Holding cost per unit per week is $0.30 and the In-Stock Rate is 50%.
e.
Holding cost per unit per week is $0.15 and the In-Stock Rate is 75%.
The holding cost for domestic sourcing will be equal to that for foreign sourcing under the condition of the Holding cost per unit per week is $0.00 and the In-Stock Rate is 99%.
In this scenario, when the holding cost per unit per week is $0.00 and the in-stock rate is 99%, the costs associated with holding inventory are eliminated and a high in-stock rate ensures availability. As a result, the holding costs for domestic and foreign sourcing become equal.
It's important to note that the other options (a, b, d, and e) do not satisfy the condition of equal holding costs for domestic and foreign sourcing, as they involve different combinations of holding costs and in-stock rates.
To learn more about holding cost, Click here: brainly.com/question/31236493
#SPJ11
Which two advantages do renters have that home buyers don’t have?
Renters are not affected by changing property price.
Renters don't have to pay for major repairs to the property.
Answer:
Renters are not affected by changing property price.
Renters don't have to pay for major repairs to the property.
Explanation: it’s right on Plato
July company currently outsources a relay switch that is a component in one of its products. The switches cost $20 each. The company is considering making the switches internally at the following projected annual production costs: unit-level material cost $ 3 unit-level labor cost $ 2 unit-level overhead $ 1 batch-level set-up cost (5,000 units per batch) $ 25,000 product-level supervisory salaries $ 37,500 allocated facility-level costs $ 20,000 the company expects an annual need for 5,000 switches. If the company makes the product, it will have to utilize factory space currently being leased to another company for $1,500 a month. Moreover the company would need to hire an additional supervisor. If the company decides to make the parts, total costs will be: a. $27,000 less than if the switches are purchased. B. $20,000 less than if the switches are purchased. C. $10,500 more than if the switches are purchased. D. $30,500 more than if the switches are purchased.
The total costs if the company decides to make the parts, given the cost of making the part versus purchasing it, will be C. $10,500 more than if the switches are purchased.
What are the costs of purchasing v. buying ?The cost of purchasing to July company would be :
= Number of switches x Cost of each switch
= 5, 000 x 20
= $ 100, 000
The cost to make the switches would be :
= Material cost + Labor cost + Overhead cost + Set up costs + Supervisor salary + Rent lost
= ( ( 3 + 2 + 1 ) x 5, 000 units ) + 25, 000 + 37, 500 + ( 1, 500 x 12 )
= $ 110, 500
Difference in cost :
= 110, 500 - 100, 000
= $ 10, 500
Find out more on making vs. buying at https://brainly.com/question/15304126
#SPJ1
What technology allows retailers to better respond to consumer buying patterns?
During the year, Squid Roe Inc.'s revenues were $200,000 and its net income was $60,000. It had not preferred shares, and its stockholders' equity and total assets were $380,000 and $780,000 at the beginning of the year and $420,000 and $900,000 at year-end, respectively. ROE (rounded to the nearest tenth of a percent) equals ______. Multiple choice question. 14.3% 50.0% 6.7% 15.0% 7.1%
Based on the information given the return on equity (ROE) is 15.0%.
Using this formula
Return on equity (ROE)=Net income/ Average Stockholders' equity
Let plug in the formula
Return on equity (ROE)=$60,000/[($380,000+$420,000)/2]
Return on equity (ROE)=$60,000/($800,000/2)
Return on equity (ROE)=$60,0000/$400,000
Return on equity (ROE)=0.15×100
Return on equity (ROE)=15%
Inconclusion the return on equity (ROE) is 15.0%.
Learn more about return on equity (ROE) here:https://brainly.com/question/25648334
Riku Company manufactures two products. The budgeted per-unit contribution margin for each product follows: Super Supreme Sales price $ 68 $ 94 Variable cost per unit (38 ) (44 ) Contribution margin per unit $ 30 $ 50 Riku expects to incur annual fixed costs of $540,000. The relative sales mix of the products is 70 percent for Super and 30 percent for Supreme. Required Determine the total number of products (units of Super and Supreme combined) Riku must sell to break even. How many units each of Super and Supreme must Riku sell to break even?
Answer:
Super= 10,500
Supreme= 4,500
Explanation:
Giving the following information:
Spuer:
Contribution margin= $30
Sales proportion= 0.70
Supreme:
Contribution margin= $50
Sales proportion= 0.30
Fixed costs= $540,000
First, we need to calculate the break-even point in units for the whole company:
Break-even point (units)= Total fixed costs / Weighted average contribution margin
Break-even point (units)= 540,000 / (0.7*30 + 0.3*50)
Break-even point (units)= 15,000 units
Now, for each product:
Super= 15,000*0.7= 10,500
Supreme= 15,000*0.3= 4,500
The functional areas of business ethies include
Answer:
Production, Marketing and employment.
Explanation:
Business ethics refers to the policies which govern how a business would operate. It is the moral behaviour upon which a business entity revolves.
The functional areas of business ethics are;
1. Production. Businesses must produce goods which is part of the reason of being in existence. The business ethics here are the rules and policies that governs production in an organization.
2. Marketing. Businesses would advertise the goods and services they deal in to the outside world. The business this here is the moral relationship between the business employees and the perspective customers.
3. Employment. The business ethics in employment is the policy that governs how people are employed in an organization.
The marketing team of Kyns Technologies needed more funds to carry out market research for one of its new products. The research and development team also needed funds to improve the company's existing products. The teams decided to split the company's funds so that both teams could use them, but not optimally. Which of the following concepts does this scenario illustrate? A. Despotism B. Compromise C. Repression D. Domination
Answer: compromise
Explanation:
Compromise refers to a scenario whereby a deal is made between different parties and in such scenario, each party gives up part of their demand. It simply means finding agreement through communication.
Since despite the need of the marketing team and the research team, both teams decided to split the company's funds so that both teams could use them, but not optimally. This is referred to as compromise.
Answer:
Compromise
Explanation:
When agreement is made or a conclusion is reached between tow different parties or wings, such that each of the agreeing parties has to shelve a certain part of its plans or demand in other to reach a reasonable conclusion. This idea shelving or cutting down on intention or projects by each party is called compromise. In the scenario, both the marking and research and development teams needed funds, however, due to inadequate provision, they had to agree on rationing what is available even though an optimal usage would be very unlikely.
Learning is best defined as a relatively permanent change in behavior that ________.
Learning is best defined as a relatively permanent change in behavior that occurs as a result of experience
The outcome of experience is learning, which is a somewhat permanent change in behavior. Information, knowledge, and abilities are acquired through this process. It's simple to concentrate on formal schooling that occurs during childhood and the early stages of life while thinking about learning. Nevertheless, learning is a continuous process that happens all throughout life and is not restricted to the classroom.
It still takes a few steps to learn something, even if you pick it up rather rapidly. In order to learn, one must be exposed to new knowledge, pay attention to it, integrate it with what they currently know, memorize it, and put it into practice.
Learn more about learning here
https://brainly.com/question/1503472
#SPJ4
All of the following are skills of public relations except:
A. Writing
B. Selling
C. Editing
D. Reading
E. Speaking
Answer: B. Selling
Explanation:
One way to demonstrate a potential robber that dollar general employees care about their store is to
One way to demonstrate to a potential robber that Dollar General employees care about their store is to Option C. keep a clean, in-stock, and recovered store.
By keeping the store clean and organized, the employees are indicating that they care about the appearance and reputation of the store and are committed to keeping it looking its best for customers and the community. A clean and organized store can also indicate that employees are attentive and focused on their work, which can deter potential robbers who may be looking for an easy target.
In addition, a well-stocked and recovered store can indicate that the employees are efficient and skilled at their job, which can also deter potential robbers who may be looking for a vulnerable or disorganized store. Wearing a proper uniform can also demonstrate that employees care about their store, as it shows that they are representing the company and taking pride in their appearance.
Arriving for work on time and being punctual can indicate that employees are committed and dependable, which can also contribute to a positive impression of the store and its employees. Taking breaks on time can also indicate that employees are following company policies and procedures, which can help to maintain a professional and well-managed store.
Overall, demonstrating care and commitment to the store can help to create a positive and professional image of Dollar General, which can deter potential robbers and create a safer and more welcoming environment for customers and employees alike. Therefore, the correct option is C.
The question was incomplete, Find the full content below:
One way to demonstrate to a potential robber that Dollar General employees care about their store is to:
A. Take a break on time
B. Wear a proper uniform
C. Keep a clean, in-stock, and recovered store
D. Arrive for work 10 minutes early
Know more about Potential robber here:
https://brainly.com/question/28791882
#SPJ8
Write three sentences.What is summer mainly about and what is your fav thing about summer time?
how could a thief get your credit card statement sent to his address instead of yours? group of answer choices
If a thief managed to get a person's credit card statement sent to their address instead of the legitimate recipient's address.
There are many ways as it is possible that they may have accomplished this by changing the address on the account through fraudulent means. This could involve stealing the person's identity and contacting the credit card company to request a change of address, or by intercepting the statement in transit and redirecting it to their own address.
It is also possible that the thief may have gained access to the person's credit card account through password hacking, phishing scams, or other forms of fraud. Once they have access to the account, they may be able to change the address on file and redirect the statement to their own address.
Learn more about statement here:
https://brainly.com/question/28403037
#SPJ1
The complete question is:
How could a thief get a person's credit card statement which was sent to the thief address instead of yours?
Suppose the mean rate of return on the common stocks in a large, diversified investment portfolio was 12% last year. If the rates of return of the stocks within the portfolio are approximately normally distributed and a rate of return of 15% represents the 80th percentile, what is the approximate standard deviation of the rates of return in the portfolio
The approximate standard deviation of the rates of return in the portfolio is approximately 3.57%.
To find the approximate standard deviation of the rates of return in the portfolio, we can use the normal distribution and the given information about the mean rate of return and the 80th percentile.
We know that the mean rate of return is 12%, which represents the 50th percentile in a normal distribution. We also know that the 80th percentile corresponds to a rate of return of 15%.
Using this information, we can use the standard normal distribution table or calculator to find the z-score that corresponds to the 80th percentile.
The z-score is a measure of how many standard deviations a value is from the mean in a normal distribution. In this case, the z-score is approximately 0.84.
We can use the formula for the z-score to calculate the standard deviation of the rates of return:
z = (x - μ) / σ
where z is the z-score, x is the value corresponding to the 80th percentile (15%), μ is the mean rate of return (12%), and σ is the standard deviation of the rates of return.
Rearranging this formula to solve for σ, we get :
σ = (x - μ) / z
Plugging in the values we have, we get :
σ = (15% - 12%) / 0.84 = 3.57%
Therefore, the approximate standard deviation of the rates of return in the portfolio is approximately 3.57%.
To know more about standard deviation refer here :
https://brainly.com/question/23907081#
#SPJ11
Word of mouth promotion is also known as what?
Answer:
Word-of-mouth advertising (WOM advertising), also called word of mouth marketing, is the process of actively influencing and encouraging organic word of mouth discussion about a brand, organization, resource, or event.
Explanation:
hope this helps, pls mark brainliest :D
Word-of-mouth advertising is another name for viral marketing.
What is Word-of-mouth promotion?The technique of deliberately influencing and supporting organic word-of-mouth talk about a brand, organization, resource, or event is known as word-of-mouth advertising (WOM advertising), sometimes known as word-of-mouth marketing.
A corporation can reach new audiences and establish a solid brand reputation by using word-of-mouth marketing. Businesses can enhance profitability, draw in new clients, and strengthen their bonds with current consumers by utilizing this distinctive and natural kind of marketing.
The type of rewards utilized has a significant impact on the effectiveness of word-of-mouth marketing. The employment of incorrect incentives to encourage customers or representatives to spread good word of mouth about goods or brands can have negative effects on a business, according to research.
Learn more about Word-of-mouth marketing, from:
brainly.com/question/15472521
#SPJ6
A C corporation earns $8.30 per share before taxes and the company pays a dividend of $4.00 per share. The corporate tax rate is 39%, the personal tax rate on dividends is 15%, and the personal tax rate on non-dividend income is 36%. What is the after-tax amount an individual would receive from the dividend?
Answer:
$3.4
Explanation:
The computation of the after-tax amount that received from dividend is shown below:
The Dividend is $4 per share
And, the tax on dividend is 15%
So, after tax amount after receiving the dividend is
= dividend - dividend × tax on dividend
= $4 - $4 × 15%
= $4 - $0.6
= $3.4
It is to be paid by the corporation it is not the liability of an investor
Prepare a monthly and yearly budget for Bill and Maura Jones based on the following information. They plan
on putting $50 into a college fund.
Net paychecks total = $1,555 monthly
Average monthly expenses:
Rent
$450
Utilities
$ 80
Gasoline
$ 70
Insurance
$ 90
Clothing
$ 50
Groceries
$300
Car payment $190
Car Maintenance
$ 50
Telephone
$ 25
Entertainment and Recreation $100
Gifts and donations $ 10
Personal care
$ 25
Miscellaneous $ 50
Savings - To be determined
Answer:
it is c on usa
Explanation:
The Jones have monthly income of $ 3,110, expenses of $ 1,540, and savings of $ 1,570. In turn, the Jones have annual income of $ 37,320, expenses of $ 18,480, and savings of $ 18,840.
To establish an annual and monthly budget for the Jones, taking into account the expenses raised, the following calculation must be performed:
All the expenses must be added, and thus the monthly budget is obtained. It must be multiplied by 12 to obtain the annual budget. 50 + 450 + 80 + 70 + 90 + 50 + 300 + 190 + 50 + 25 + 100 + 10 + 25 + 50 = X 1,540 = X 1,555 x 2 = 3,110 3,110 - 1,540 = 1,570
Thus, the Jones have monthly income of $ 3,110, expenses of $ 1,540, and savings of $ 1,570.
3,110 x 12 = 37,320 1,540 x 12 = 18,480 1,570 x 12 = 18,840
In turn, the Jones have annual income of $ 37,320, expenses of $ 18,480, and savings of $ 18,840.
Learn more in https://brainly.com/question/14188925
Cindy Haskins is paid $9.00 an hour. Her overtime rate is 2 times (double time) her regular hourly rate. This week Haskins worked her regular 40 hours plus 8 hours of overtime. What is her total pay?
Her entire compensation is $504.
The term "total pay" means what?Total Pay is the sum of a worker's regular straight-time pay or base salary plus any additional wages received for overtime, shift differentials, incentive pay, bonuses, and other special payments.
The following formula will be used to determine Cindy Haskins' total compensation:
Hourly Payment per hour= $9.00
Hours worked= 40 hours
Payment = 40 X 9 = $360
Overtime payment per hour = $9.00 X 2= $18
Overtime = 8 hours
Payment = 18 X 8= $ 144
Total Payment= $360 + $144= $504
How do you figure up total pay?The number of hours worked multiplied by the hourly wage of an employee is how gross wages for hourly workers are determined. For instance, if a worker does 25 hours per week of part-time employment at a wage of $12, their gross compensation would be $300 (25 x $12 = 300).
Learn more about total pay: https://brainly.com/question/1150645
#SPJ9
(03.02 LC)
Which of these might decrease the length of a mortgage loan?
Property taxes
O Insurance
O Amount owed
Collateral
Answer:
D.) Collateral
Explanation:
Tbh I'm not confident on this choice, but real estate basically is just a fancy term for property, for those who don't know. A collateral is a piece of property that can be sold by the lender to recover all or part of a loan if the borrower fails to repay. So with that being said, the only logical choice in my opinion would be D, or Collateral.
Collateral might decrease the length of a mortgage loan. As it minimises the risk for the mortgage loan.
What is mortgage loan?Mortgage loan is the fund that is provided to the lender against the immovable assets or property, or collateral to the Borrower. The lender used to keep the assets until their loan is repaid by the person.
Thus, option C is correct.
For more details about mortgage loan, click here:
https://brainly.com/question/15082835
#SPJ2
You are financial managers of a company that produces printers. Currently, you are using NPV method to evaluate a 10-year project that will produce a new model. The WACC is 10% and the tax rate is 21%. 1. The project needs a set of machines that are worth $5 million. The company uses a 10-year straight-line depreciation method so that 100% of fixed assets will be depreciated by year 10. The fixed asset is estimated to be sold for $0.5 million at the end of year 10. 2. In the past two years, the company spent $800,000 in R&D to develop the new model. 3. The project will be partially financed with debt, and the interest to be paid every year would be $100,000. 4. If the new project is taken, it is expected that the current inventory level will increase by $1,500,000, account receivable will increase by $1 million, account payable increases by $800,000, and the minimum cash balance will increase by $0.5 million. 5. The net sales from this project will be $8 million per year, of which 20 percent will be from the lost sales of existing products. The variable costs of the production will be 30% of the net sales. 6. The project will require hiring a new manager, who will cost $100,000 per year. In addition, the firm needs to rent a new office for $50,000 a year. 7. Currently, the overhead of the firm is $500,000. And the accounting department will allocate 20% of this amount to the new project.
How much is the operating cash flow for the first year?
a. 3,265,000
b. 3,225,500
c. 3,146,500
d. 2,765,000
e. 2,646,500
The operating cash flow for the first year is $3,265,500. Therefore, option A is the correct answer.
The operating cash flow (OCF) for the first year of the project can be calculated using the formula:
OCF = (Revenue - Costs - Depreciation) × (1 - Tax rate) + Depreciation.
Here's how to calculate the OCF for the first year of the project using the given information:
Revenue = Net sales × (1 - Lost sales %) = $8,000,000 × (1 - 20%) = $6,400,000
Costs = Variable costs × Net sales + Fixed costs = 30% × $8,000,000 + $100,000 + $50,000 + 20% × $500,000 = $2,640,000
Depreciation = Fixed asset cost - Salvage value / Life = ($5,000,000 - $500,000) / 10 = $450,000
Substituting these values into the OCF formula:
OCF = ($6,400,000 - $2,640,000 - $450,000) × (1 - 0.21) + $450,000
OCF = $3,265,500
Therefore, the operating cash flow for the first year is $3,265,500. Therefore, option A is the correct answer.
Know more about the operating cash flow click here:
https://brainly.com/question/21322525
#SPJ11
what is business operation scheme model?
it's your answer pls mark me brainleast
it may help you
the foreign exchange market is where currency is bought and sold. because of this, the forex graph is basically similar to (the)
The forex graph is basically similar to a stock market graph, as it shows the fluctuations in the value of a currency over time in relation to another currency or a basket of currencies.
Like the stock market, the forex market is subject to various economic and geopolitical factors that can influence the supply and demand of currencies, and therefore affect their exchange rates. Traders and investors use the forex graph to analyze market trends, identify potential opportunities and risks, and make informed decisions about buying and selling currencies.
The foreign exchange market is where currency is bought and sold. Because of this, the forex graph is basically similar to the supply and demand graph. In both graphs, the x-axis represents the quantity of a particular good (in this case, currency), and the y-axis represents the price of that good. The interaction between supply and demand determines the equilibrium price and quantity.
To know more about forex graph visit:
https://brainly.com/question/27352176
#SPJ11
Which of the following would increase aggregate demand?