(a) Shortly explain "forecasting" and "Forecasting error." State the different types of forecasting. (b) You are given with the following data:

Year: 2007 2008 2010 2009 2011 2012 2013 2015 2014 2016
Sales: 1800 1700 1650 1550 1440 1360 1300 1250 1200 1100 (in lac TK)

What will be predicted sales for 2017?

Answers

Answer 1

(a) Forecasting is the estimation of future events and forecasting errors means the shortcomings of the forecasted value and actual value. (b) The predicted sales for 2017 is 1183.33.

(a) Forecasting is a method used by businesses to estimate future trends and patterns using historical data and statistical models. Forecasting provides companies with valuable insights into what they can expect in the future, allowing them to make better decisions. Forecasting error, on the other hand, is the difference between actual and predicted values. If the forecasting error is small, it indicates that the forecast was accurate.

Types of Forecasting are as follows:

Qualitative Forecasting Method: This method is based on expert judgment and analysis of subjective information. It is a less rigorous method that is more appropriate for new products or in situations where little data is available.Quantitative Forecasting Method: This method is based on historical data and mathematical models. Quantitative forecasting is useful in situations where there is sufficient historical data available, and the variables being analyzed can be quantified.Time Series Forecasting Method: This method uses historical data to identify patterns and trends over time. The time series forecasting method can be used for short-term and long-term forecasting, depending on the nature of the data and the desired outcome.

(b) To predict sales for 2017, we can use the Time Series Forecasting Method by using the moving average technique.

For this, we will calculate the moving average of the previous three years, which will be as follows:

Moving Average for 2015, 2016 and 2014 = (1250 + 1200 + 1100) / 3= 1183.33

Therefore, the predicted sales for 2017 will be 1183.33 (in lac TK).

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Related Questions

which of the following cause a deferred tax liability to occur? (select all that apply.) multiple select question. revenue being reported on the tax return after the income statement. expense being reported on the tax return before the income statement. expense being reported on the tax return after the income statement. revenue being reported on the tax return before the income statement.

Answers

An amount that is deducted on the tax return but not included as an expense on the income statement. Revenue included on the income statement but not on the tax return.

What is tax?

Tax compliance refers to policy actions and individual behavior aimed at ensuring that taxpayers are paying the right amount of tax at the right time and securing the correct tax allowances and tax reliefs.

A tax is a mandatory financial charge or some other type of levy imposed on a taxpayer by a governmental organization to fund government spending and various public expenditures.

In 3000–2800 BC, the first recorded taxation was enacted in ancient Egypt. A violation of the law includes failing to pay on time and evading or resisting taxation.

Taxes can be paid in cash or in the work equivalent and can be either direct or indirect.

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Why is profit maximization supposedly not the most important goal of a company? Explain your answer by citing real life situations

Answers

Answer:

Profit maximization refers to a method adopted by the company to earn more amount of profit through its business operations and investments. Under this, a firm focuses that every decision should contribute profit in the account of the organization.

Explanation:

explain the negative effects that will arise as a result of the management's actions that often practice favoritism in the process of hiring new employees​

Answers

Answer:

When management practices favoritism in the process of hiring new employees, it can lead to negative effects on both the organization and its employees, including:

1. Decreased morale: Employees who are passed over for promotions or job opportunities due to favoritism may become demotivated and feel undervalued. This can result in decreased productivity, higher absenteeism, and even employee turnover.

2. Decreased trust: When management practices favoritism, it erodes trust among employees and between employees and management. Employees may feel that the organization is not transparent or fair in its practices, which can lead to a lack of commitment and loyalty.

3. Decreased diversity: Favoritism can lead to a lack of diversity in the workplace, as managers may favor candidates who share their same background, experiences, or opinions. This can limit the perspectives and ideas brought to the table and may negatively impact the organization's performance and growth.

4. Legal repercussions: Favoritism in the hiring process can result in legal issues for the organization, including discrimination lawsuits or complaints filed with government agencies. This can damage the organization's reputation and result in financial penalties or other legal consequences.

Explanation:

In conclusion, the negative effects of management's actions of favoritism in the process of hiring new employees can be significant, and can impact the organization's overall performance and success. It is important for management to establish fair and transparent hiring practices, which can help to ensure that all employees are valued and given equal opportunities for career advancement.

1. Raphael pays Better Buy $800 to for a new high-definition television (HDTV) and its installation. He's attracted by Better Buy's guarantee that he'll be happy with the new HDTV, or he'll get his money back.
2. Better Buy pays Firedog $650 to install the HDTV
3. Firedog buys hardware worth $50 from The Home Station
Compute contributions to GDP, using the expenditure approach. Assume that The Home Station receives the hardware at no charge and that other costs are zero
Hint: Add the amount of money spent by buyers of final goods and services
Which of the following would be included in the expenditure method of calculating GDP?
1. Raphael spends $800
2. Firedog spends $50
3. Better Buy spends $650
The total contribution to GDP, measured by the expenditure method, is_________
Now use the following table to compute contributions to GDP, employing the resource cost-income approach. In particular, indicate the costs of intermediate goods and the value added at each stage of production Stage of Production
The Home Station Firedog Better Buy Sale Value $50 $650 $800 Cost of Intermediate Goods Resource Cost-Income sale value value added cost of intermediate goods
The contribution to GDP that you found using the expenditure approach corresponds to the sum of the ______ at each stage of production.

Answers

Answer:

A. Raphael spend $800

B.$800

C.VALUE ADDED

Explanation:

A. The amount of $800 is the amount that would be included in the expenditure method reason been that Rapheal used the amount of $800 to pay for a new high-definition television (HDTV) as well as its installation

B. The total contribution to GDP which is measured by the expenditure method, is the amount of $800 calculated as :

The Stages of Production; The Sale Value - The Cost of Intermediate Goods = VALUE ADDED

The Home Station $50 - $0 = $50

Firedog $650 -$50 =$600

Better Buy $800- $650=$150

TOTAL $800

($50+$600+$150)

C.The contribution to GDP that you found using the expenditure approach corresponds to the sum of the VALUE ADDED at each stage of production

The risk for the seller is maximum in type of a contract. O Firm fixed price Cost plus incentive fee Fixed price with award fee O Cost plus award fee

Answers

The risk for the seller is maximum in the type of contract known as "Firm Fixed Price."

In a firm fixed price contract, the seller agrees to deliver goods or services to the buyer at a fixed price, regardless of the costs incurred by the seller during the execution of the contract. This means that if the seller encounters unexpected costs or difficulties that result in higher expenses than anticipated, they are responsible for bearing the additional financial burden. The seller takes on the maximum risk in this type of contract because any cost overruns or unforeseen circumstances could significantly impact their profitability.

On the other hand, in contracts like cost plus incentive fee, fixed price with award fee, or cost plus award fee, there are provisions to reimburse the seller for incurred costs and potentially provide additional incentives or awards based on performance. These types of contracts typically provide more flexibility and shared risk between the buyer and the seller, reducing the maximum risk borne solely by the seller as in a firm fixed price contract.

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Which is a short term consequence of making a late payment on your bill

Answers

Answer:

There will be a late fee added to the bill.

Answer:

just if you don't think the person on top of me is right he is I did the quiz and got a 100%

Explanation:

golden company had the following accounts and balances at the end of the year. what are total assets at the end of the year?

Answers

The golden company had the following accounts and balances at the end of the year. Accounts Payable $18,000 are total assets at the end of the year.

The assets is a set of collection like stock, gold etc, which has the chance to increase the price of the current market-price.

The accounts payable is the amount that transact after the selling of the gold products. It can include the depositing funds, and card transaction. The importance of asset is basically give strong impact on the IPO time, more investor can invest in the business if they have more assets.

The more assets reflects the good image of the business or company and show it is financially well and earn profitable by the selling more goods or services.

The Accounts Payable $18,000 are total assets at the end of the year.

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The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter

Answers

The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as

$4.3055

This is further explained below.

What is the APR interest rate?

Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.

The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.

Interest rate APR = 12%

Average balance = ((200*5)+(350*15)+(150*10))/30

Average balance = $258.33

Average balance*APR/12

Finance charge =\(\frac{258.33*20 \%}{12 }\)

Finance charge = $4.3055

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Which of the followind one-time payments are renters typically required to pay In to their first month's rent when they sign a lease

Answers

Answer:

Security deposit

Explanation:

Security deposits is a term that is used to describe a one-time payment that renters are typically required to pay into their first month's rent when they sign a lease.

This security deposit is usually given back to the renter after the tenancy period has ended, and the tenants did not cause any form of unusual damage beyond what is expected through the usage period.

Which tasks are commonly done by employees in the Energy cluster? Check all that apply.
installing equipment
performing inspections
interpreting technical plans
manufacturing gauges
designing systems
following schedules
gathering information

PLEASE HURRY TIMED TEST I WILL GIVE 20 POINTS

Answers

Installing equipment
Manufacturing gauges
And designing systems.
Hope this helped xxxx

Answer:

a, d, and e

Explanation:

There always has to be some unemployment, because a. there are always some people changing jobs, and it takes time to find a new job.b. there are always some people in the labor force who are not qualified for any job. c. there aren't enough jobs in the economy for all the available workers. d. the average level of wages in the labor market is too low.

Answers

The answer to your question is c. There aren't enough jobs in the economy for all the available workers. While a and b do contribute to some level of unemployment, the overall state of the economy and the number of available jobs is the primary factor that determines the Frictional unemployment rate.


Frictional unemployment occurs when people are transitioning between jobs, such as when they are searching for new jobs or moving to new locations. This is a natural part of the economy because it takes time for job seekers to find suitable positions, and for employers to match qualified candidates with open positions. While the other options might contribute to overall unemployment, frictional unemployment is a key reason there will always be some level of unemployment in the economy.

When there are not enough jobs available for all the workers seeking employment, it can lead to a high unemployment rate and a struggling economy. Governments and businesses can work to create more jobs and improve the economy to reduce unemployment.
The statement "There always has to be some unemployment" is primarily true because of option a. there are always some people changing jobs, and it takes time to find a new job. This type of unemployment is known as frictional unemployment.

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Which of the following best explains the significant increases in the equilibrium prices for higher education in the United States since the 1980s? The supply of higher education is highly price elastic, and demand has increased substantially. The demand for higher education is highly price inelastic, and the supply has decreased substantially. The demand for higher education is highly price elastic, and the supply has decreased substantially. The supply of higher education is highly price inelastic, and demand has increased substantially.

Answers

Answer: The supply of higher education is highly price inelastic and demand has increased substantially.

Explanation:

The option that best explains the significant increases in the equilibrium prices for higher education in the United States since the 1980s is that the supply of higher education is highly price inelastic and demand has increased substantially.

Price inelastic means that a change in price has little effect on the demand for education and since there has been an increase in the demand for education, the suppliers will increase the price which led to the increase in equilibrium price.

In which market would a producer sell bicycles to consumers?

Answers

In the markets for goods and services, a producer would sell his bike for purchase by customers.

What is the market for goods and services?

Consumers buy consumables on the products and services market, and firms sell their commodities there. The market encompasses physical stores, the Internet, and any other location where consumers can exchange products and services.

The trading of finished goods takes place here. Businesses receive payment from customers in exchange for goods. The consumer gives money to the business in a flow. In contrast to this, enterprises can buy the materials they need on the factor market to make an item.

The rule of supply and demand governs how much is produced and at what price in the market for products and services.

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Two serious ethical issues in marketing research are deception and invasion of privacy. What is an example of deception or invasion of privacy?

Answers

An example of deception in marketing research could be when a company falsely represents itself in a survey or study, leading participants to believe they are providing information for a different purpose than the actual one.


An example of an invasion of privacy in marketing research could be when a company collects personal information about participants without their knowledge or consent, such as tracking their online behavior or purchasing history without clearly informing them about the data collection practices.

This can lead to participants feeling their personal information has been violated and may result in a loss of trust in the company.

In summary, deception, and invasion of privacy are two serious ethical issues in marketing research, with examples being a company misrepresenting the purpose of a study and collecting personal information without proper consent, respectively.

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Insurance companies determine risk exposure by which of the following?
Law of large numbers and risk pooling. All forms of insurance determine exposure through risk pooling and the law of large numbers.
TermWhich of these are considered to be events or conditions that increase the chances of an insured's loss?
Hazards are events or conditions that increase the likelihood of an insured's loss.
People with higher loss exposure have the tendency to purchase insurance more often than those at average risk. Adverse selection is the tendency of persons with higher loss exposure to purchase insurance more often than those at average risk.
Which of these techniques will remove the risk of losing money in the stock market by never purchasing stocks?
Risk avoidance could eliminate the risk of losing money in the stock market by never investing in stocks.
How do insurers predict the increase of individual risks?
The law of large numbers helps insurance companies predict the increase of individual risks.

Answers

Diverse techniques are employed by insurers to forecast the rise in individual risks. When predicting future claims, some insurers may utilize models that take historical claim data into account, while others may use demographic or geographic information.

Any strategy an insurer uses to forecast the rise in particular risks will ultimately be subject to some degree of uncertainty. Numerous factors, like as the unpredictable nature of occurrences beyond the insurer's control (such natural catastrophes or terrorist attacks) and the inherent limits of mathematical models, might contribute to this uncertainty. As a result, there is always a possibility that a model used by an insurer will produce forecasts that are incorrect in some circumstances, even if the model is thought to be accurate within certain ranges.

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Part I
The Scenario:
When the day begins, Mary has $70 in her checking account, and she has overdraft protection
Before work she buys her cousin a round trip bus fare for $10 using her debit card
She then uses the card to get gas in her car for $60
Then she buys groceries with a check of $70.
Then she uses her debit card to buy a $2 coffee
Then she goes to buy a donut for $1 using her card
Finally, she finishes out the day with some shopping to buy new makeup for $30 using her debit card at the store

Compare ABC bank and XYZ bank when
ABC charges $37 overdraft transactions up to 3 a day, no reorder of transactions


XYZ charges $33 overdraft transactions up to 6 a day and reordering transactions from higher to low

Find Balance at the end of the day with each bank
Mary’s balance with ABC bank is ______________
Mary’s balance with XYZ bank is ______-__________


Which bank do you recommend for Mary?________________

Which bank would you choose and why?__________________

Need answers ASAP please it would be greatly appriciated

Part IThe Scenario: When the day begins, Mary has $70 in her checking account, and she has overdraft

Answers

Answer:

do u still need

Explanation:

Chrissy spends her income on fishing lures (L) and guitar picks (G). Lures are priced at $2, while a package of guitar picks cost $1. Assume that Chrissy has $30 to spend and her utility function can be represeted as U(L,G) = L^{0. 5} G^{0. 5}. For this utility function, MUL = 0. 5L^{-0. 5} G^{0. 5} and MUG = 0. 5L^{0. 5 } G^{-0. 5}.


What is the optimal number of lures and guitar picks for Chrissy to purchase?


How much utility does this combination bring her?

Answers

A) 7.5 units is the optimal number of lures and guitar picks for Chrissy to purchase.

B)  This combination brings her 10.61 utility.

What is utility function?

The advantages attained or satisfaction felt as a result of using products or services are referred to as utility. The utility function quantifies the preferences that consumers have when consuming goods and services.

A)

At the optimal point,

MUL / MUG = PL / PG

0.5L⁻⁰ॱ⁵ G⁰ॱ⁵  / 0.5L⁰ॱ⁵ G⁻⁰ॱ⁵  = 2 / 1

G / L = 2

G* = 2L* .... (1)

Budget line:

2L + 1G = 30

Using 1,

G + G = 30

Thus, G* = 15 units

L* = 15/2 = 7.5 units

B)

TU = 15⁰ॱ⁵ × 7.5⁰ॱ⁵ = 112.5⁰ॱ⁵ = 10.61 utility

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Wilson Properties just closed a new mortgage loan of $18,000,000 with interest at 5%, 20-year amortization and due in seven years. What it the principal balance of the loan at the end of year seven?
(A) $18,000,000 (B) $13,606,404 (C) $12,094,581 (D) $7,470,892
All of the following are acquisition period costs of investing in distressed properties except?
(A) Renovation, repair, and maintenance costs (B) Market research costs (C) Legal and title costs (D) Property inspection costs

Answers

The principal balance of the loan at the end of year seven will be; $12,094,581. The correct option is C.

All of the following are acquisition period costs of investing in distressed properties except Market research costs. Market research costs are not acquisition period costs of investing in distressed properties. Acquisition period costs are costs that are incurred by the investor during the time between the initial investment and the time when the property becomes fully operational or is sold.

The principal balance of the loan at the end of year seven can be found using the formula below;

Loan amount, P = $18,000,000

Interest rate, r = 5% = 0.05

Number of years, t = 7 years

Number of payment periods, n = 20 years × 12 months/year = 240

Interest per payment period, i = r/n = 0.05/240 = 0.0002083

Present value factor, PVF = (1 - (1 + i)-n) / i

Principal balance = P × PVF

Therefore, the principal balance of the loan at the end of year seven will be; $12,094,581.

Option C: $12,094,581

Therefore, option C is the correct answer.

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A company has a book value per share of $26.70 at the end of 2019. Its EPS in 2020 is $6.42. Its beta is 1.7, the risk-free rate is 2.17% and the equity risk premium is 5.25%. What is the company's residual income in 2020? a. $4.96
b. $3.46
c. $3.96
d. $4.46

Answers

The residual income is calculated as follows:

Residual income = EPS - (Cost of equity * Book value per share).

The cost of equity is calculated using the capital asset pricing model (CAPM):

Cost of equity = Risk-free rate + Beta * Equity risk premium

In this case, the risk-free rate is 2.17%, the beta is 1.7, and the equity risk premium is 5.25%. Therefore, the cost of equity is 10.36%.

The book value per share is $26.70. Therefore, the residual income is:

Residual income = 6.42 - (0.1036 * 26.70) = $3.96

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a structural deficit refers to that part of the deficit that exists as a result of a downturn in economic activity. true or false

Answers

The statement " A structural deficit refers to a deficit that exists even during times of normal economic activity." is false as it is a result of the government's long-term spending commitments exceeding its long-term revenue sources.

In other words, it is a fundamental imbalance between spending and revenue that cannot be easily resolved by short-term economic fluctuations. This type of deficit can result from factors such as demographic changes, changes in tax policy, and entitlement programs.

A cyclical deficit, on the other hand, is a temporary deficit that arises due to a downturn in economic activity. It is caused by a decrease in tax revenue and an increase in government spending on programs such as unemployment benefits. Understanding the difference between a structural deficit and a cyclical deficit is important for policymakers in determining the appropriate fiscal policy response to economic downturns.

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What is Anderson hoping to do as a next step and why

Answers

Answer:

To make the game into an app

Explanation:

Interestingly, William Anderson was passionate about what he was doing; this passion led Anderson to think about making his Wealth Effect Game an app.

Why? Because he realized that most people lacked basic financial skills and his goal was to to make an app that would allow teachers throughout the country teach their students financial literacy effectively.

what is qbasic program​

Answers

Answer:

structured programming language :)

Explanation:

Answer:

structured

Explanation:

Un unlevered (all-equity) firm has 500,000 common shares trading at $80 per share. With its investment plan fixed, it is expected to generate a perpetual EBIT stream of $6 million per year. The corporate tax rate is 40%. The firm is contemplating taking on debt by issuing a $20 million face value perpetual bond carrying 5% coupon interest per year and using the proceeds to retire some of its stock outstanding. PROBLEM 2 (9 points: 3 points for each part) a) What will be the share price after the firm changes its capital structure? b) Suppose you are holding 100 shares bought at $80 per share just before the firm changes its capital structure. How much capital gain tax will you pay by selling your 100 shares just after the firm's change its capital structure. Assume that the capital gain will be taxed at half of the 40% corporate tax rate?< c) What will be the firm's WACC after the firm changes its capital structure?

Answers

a) To calculate the share price after the firm changes its capital structure, we need to determine the new number of shares outstanding and the new value of the firm.

Initially, the firm has 500,000 common shares trading at $80 per share, resulting in a total market value of $40 million (500,000 shares * $80 per share).

When the firm takes on debt and uses the proceeds to retire some of its stock, the value of the firm remains the same at $40 million. Therefore, the new number of shares outstanding can be calculated as:

New Number of Shares = Initial Number of Shares - Shares Retired

New Number of Shares = 500,000 - (Proceeds from Debt / Share Price)

The proceeds from the debt issuance are $20 million, and the face value of the perpetual bond is $20 million. Since the bond carries a 5% coupon interest, the annual interest payment will be $20 million * 5% = $1 million. The interest payment is tax-deductible, so it reduces the firm's taxable income by $1 million * (1 - 0.4) = $600,000.

The net cost of debt (after tax) is $1 million - $600,000 = $400,000.

The new number of shares outstanding is:

New Number of Shares = 500,000 - ($20 million / $80 per share)

New Number of Shares = 500,000 - 250,000

New Number of Shares = 250,000

The new share price is:

New Share Price = Value of the Firm / New Number of Shares

New Share Price = $40 million / 250,000

New Share Price = $160

Therefore, the share price after the firm changes its capital structure is $160 per share.

b) If you are holding 100 shares bought at $80 per share just before the firm changes its capital structure, the capital gain can be calculated as:

Capital Gain = (New Share Price - Purchase Price) * Number of Shares

Capital Gain = ($160 - $80) * 100

Capital Gain = $8,000

The capital gain tax is calculated as half of the corporate tax rate, which is 0.5 * 0.4 = 0.2 or 20%.

Capital Gain Tax = Capital Gain * Tax Rate

Capital Gain Tax = $8,000 * 0.2

Capital Gain Tax = $1,600

Therefore, you will pay $1,600 in capital gain tax by selling your 100 shares just after the firm changes its capital structure.

c) The Weighted Average Cost of Capital (WACC) takes into account the cost of equity and the cost of debt. The cost of equity can be estimated using the Capital Asset Pricing Model (CAPM), and the cost of debt is the yield on the perpetual bond.

The cost of equity can be calculated as:

Cost of Equity = Risk-Free Rate + Beta * Equity Risk Premium

Given that the firm is all-equity, the beta is zero, and the equity risk premium can be assumed to be the same as the historical equity risk premium.

Assuming a risk-free rate of 4% and an equity risk premium of 6%, the cost of equity is:

Cost of Equity = 4% + 0 * 6% = 4%

The cost of debt is the coupon interest rate of the perpetual bond, which is 5%.

To calculate the WACC, we need to determine the weights of equity and debt in the capital structure. Since the firm has retired some of its stock using debt proceeds, the new weights can be calculated as:

Equity Weight = New Number of Shares * New Share Price / Value of the Firm

Equity Weight = 250,000 * $160 / $40 million

Equity Weight = 1

Debt Weight = Debt / Value of the Firm

Debt Weight = $20 million / $40 million

Debt Weight = 0.5

The WACC is then calculated as:

WACC = (Equity Weight * Cost of Equity) + (Debt Weight * Cost of Debt)

WACC = (1 * 4%) + (0.5 * 5%)

WACC = 4% + 2.5%

WACC = 6.5%

Therefore, the firm's WACC after the change in capital structure is 6.5%.

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ou are given the following data tables:

Employees(EmployeeID, LastName, FirstName, BirthDate, Notes)

Orders(OrderID, CustomerID, EmployeeID, OrderDate, ProductID, UnitPrice, Quantity, ShipperID)

Note that:

The data type of "LastName", "FirstName", and "Notes" is string.

The data type of "OrderID", "ProductID", "UnitPrice", "Quantity", "CustomerID", "EmployeeID" ,and "ShipperID" is number.

The data type of "BirthDate" and "OrderDate" is date.

"EmployeeID" in relation "Orders" represents the single employee who handles this order, and it is a foreign key that references "EmployeeID" in relation "Employees".

Each order contains only a single type of product with a positive quantity.

Question: Find all orders where the shipper ID of the order is gr

Answers

Based on the given data tables, if you want to find all orders where the shipper ID of the order is "gr," you would need to query the "Orders" table using the appropriate filter condition.

SELECT *

FROM Orders

WHERE ShipperID = 'gr';

This query selects all columns ("*") from the "Orders" table and applies a filter condition to retrieve only the rows where the shipper ID is "gr." Please note that the query assumes the shipper ID values are stored as strings, based on the given data type of "ShipperID" being a string. Adjust the query accordingly if the actual data type of "ShipperID" is different.  the given data tables, if you want to find all orders where the shipper ID of the order is "gr," you would need to query the "Orders" table using the appropriate filter condition.

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Which of the following is NOT an example of a metric
?

Answers

Answer:

can you tell me what the choices are and I'll answer in the comments

Explanation:

floor gang aooh sub to pewdiepie

Suire Corporation is considering dropping product D14E. Data from the company's accounting system appear below: Sales $ 640,000
Variable expenses $ 270,000 Fixed manufacturing expenses $ 240,000 Fixed selling and administrative expenses $ 188,000 All fixed expenses of the company are fully allocated to products in the company's accounting system. Further investigation has revealed that $194,500 of the fixed manufacturing expenses and $109,500 of the fixed selling and administrative expenses are avoidable if product D14E is discontinued.
Required: a. According to the company's accounting system, what is the net operating income earned by product D14E?
b. What would be the financial advantage (disadvantage) of dropping product D14E? Should the product be dropped?

Answers

The net operating income that has been earned according to the accounting system is a loss of $58000, while the financial disadvantage is given as -$66000

How to solve for the particulars

Net operating income: This is by

sales - variable expenses - fixed manufacturing - fixed selling and administrative expenses

640000 - 270000 - 240000 - 188000

= The net income is a loss of 58000

How to solve for the financial disadvantage

This has to do with the difficulty to pay for something without having to incur serious challenges.

290000 - 194500

= 45500

188000 - 109000

= 78500

45500 + 78500 = 124000

Financial disadvantage = 58000 - 124000  

= -$66000

If it is dropped what is going to be incurred would be 66000 dollars hence it is advised that it should not  be dropped.

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Which of the following statements about investing is TRUE?
1. Investing is a guaranteed way to make money.
2. Investing is best for short-term financial goals.
3. Investing is riskier than putting money in a savings accounts.
4. On average, putting money in a savings account earns a higher return than investing money in the stock market.

Answers

Answer:

3. Investing is riskier than putting money in a savings accounts.

Explanation:

Investing involves putting money in profits generating ventures. It is risky because the money invested may be lost should the venture make losses instead of profits. Investments activities include buying of shares and other marketable securities or starting and operating a business. Should the business or investment do well, the returns or profits can be attractive.

Saving is putting money aside for future consumption. Saving may be done through savings accounts that as safe and secure. Money saved is risk-free. The possibility of losing it is very minimal. Because money saved is kept safe, it does not generate much income for the owner.

state accounts are audited under the direct supervision of the

Answers

State accounts are audited under the direct supervision of the state auditor. Examiner General is the sole power endorsed in the Constitution endowed with the obligation of review of records.

The State Auditor's Office (SAO) develops strategies for making government more effective and efficient and provides citizens with independent and open examinations of how state and local governments use public funds.

In 48 states, the auditor is a state-level position with administrative authority over the state's accounting and financial operations. In addition, auditors conduct internal government audits and investigate allegations of fraud as watchdogs for other state agencies.

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Little's Law states there is a relationship between: (Choose all that apply)- inventory- flow time- throughput

Answers

Little's Law states that there is a relationship between inventory, flow time, and throughput. Specifically, inventory is equal to the product of flow time and throughput.

This law is commonly used in operations management and supply chain management to optimize the flow of goods and services.
Inventory refers to the amount of goods or materials that are held in stock by a company or organization. Flow time is the time it takes for a product or service to move through a system or process, from beginning to end. Throughput is the rate at which a system can produce or deliver a product or service over a given period of time. By understanding and applying Little's Law, organizations can better manage their inventory levels, improve efficiency, and reduce costs.

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What will be the end result for the taxpayer who filed his federal income tax return.

Answers

If your federal gross income was $12,950 or more and you're under 65, you must submit a single status tax return. If your federal gross income was $14,700 or more and you are 65 years of age or older, you must file.

What is the status of federal filing?

Determines the tax rate applied to income. Head of household, married filing jointly, married filing separately, single, and qualified widow(er) with dependent child are the five filing statuses. A tax year is the 12-month period of time that a tax return covers. The tax year for people in the US is from January 1 to December 31 and includes taxes due on income earned during that time. The Where's My Return? feature is the easiest method to find out if you've received a tax refund. After receiving an e-filed return, taxpayers have 24 hours to start monitoring the status of their refund. After the return is processed and a refund is approved, the program also offers a customized refund date.

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