It is not accurate to suggest that Europe "dominates" the world in the present day, as countries around the world hold significant political, economic, and cultural power.
However, during the colonial period, European nations did assert their dominance over much of the world, often imposing their views on non-European peoples. European views of non-European peoples during this period varied widely, but many Europeans believed in the concept of "civilization," which they often equated with economic success. Non-European peoples who did not adhere to European standards of civilization were often seen as "uncivilized" or "barbaric." This belief was used to justify colonization and the imposition of European cultural and economic practices on non-European peoples. As for whether the poor in the world were "de-civilized," it is true that colonialism and economic exploitation often left formerly prosperous societies impoverished and dependent on European powers. However, this is not the same as de-civilization, which implies a loss of culture or social development. Many non-European societies had sophisticated social, cultural, and economic structures before European colonization, and their poverty was the result of external exploitation rather than a lack of civilization.
Learn more about civilization here:
https://brainly.com/question/12207844
#SPJ11
It is not accurate to suggest that Europe "dominates" the world in the present day, as countries around the world hold significant political, economic, and cultural power.
However, during the colonial period, European nations did assert their dominance over much of the world, often imposing their views on non-European peoples. European views of non-European peoples during this period varied widely, but many Europeans believed in the concept of "civilization," which they often equated with economic success. Non-European peoples who did not adhere to European standards of civilization were often seen as "uncivilized" or "barbaric." This belief was used to justify colonization and the imposition of European cultural and economic practices on non-European peoples. As for whether the poor in the world were "de-civilized," it is true that colonialism and economic exploitation often left formerly prosperous societies impoverished and dependent on European powers. However, this is not the same as de-civilization, which implies a loss of culture or social development. Many non-European societies had sophisticated social, cultural, and economic structures before European colonization, and their poverty was the result of external exploitation rather than a lack of civilization.
Learn more about civilization here:
brainly.com/question/12207844
#SPJ11
When considering a competition policy for a natural monopoly, doing nothing will ________.increase costsearn the firm economic profitsnot earn the firm economic profits
When considering a competition policy for a natural monopoly, doing nothing will result in the firm earning economic profits.
This is because natural monopolies have high barriers to entry, making it difficult for other firms to enter the market and compete. Without competition, the natural monopoly can charge higher prices and earn economic profits. However, implementing a competition policy can potentially lower prices and decrease the firm's economic profits. A natural monopoly is a type of monopoly that arises when a single firm can supply a product or service to an entire market more efficiently and at a lower cost than any potential competitor. This occurs when the fixed costs of production are high relative to the market size.
Learn more about natural monopoly here:
https://brainly.com/question/29765560
#SPJ11
Recording, classifying, and summarizing economic events in a logical manner for the purpose of providing financial information for decision making is commonly called Group of answer choices auditing. economics. finance. accounting.
Recording, classifying, and summarizing economic events in a logical manner for the purpose of providing financial information for decision making is commonly called accounting.
Accounting is a fundamental process in business and financial management. It involves systematically recording financial transactions, classifying them into appropriate categories, and summarizing the information to create financial statements such as the income statement, balance sheet, and cash flow statement. These financial statements provide a snapshot of a company's financial performance, position, and cash flows, enabling decision-makers to analyze and make informed decisions about the organization's operations, investments, and financial strategies.
While auditing, economics, and finance are related disciplines, each has its own distinct focus. Auditing involves examining and evaluating financial records and statements to ensure accuracy, compliance, and reliability. Economics studies the production, distribution, and consumption of goods and services within an economy. Finance, on the other hand, focuses on managing financial resources, investments, and the financial aspects of decision making. However, accounting serves as the foundation for providing the necessary financial information in these areas.
learn more about "economic ":- https://brainly.com/question/17996535
#SPJ11
clairmont company recently changed from a manual manufacturing process to an automated manufacturing process. based on this, they should also implement incentives for ethical behavior. implement activity-based costing. pursue corporate social responsibility. evaluate the company for a balanced scorecard.
A balanced scorecard (BSC) is a visual tool used to compare an activity's effectiveness to a company's strategic aims. In order to make sure that the company's activities are in line with its overall strategy and vision, balanced scorecards are frequently employed during strategic planning.
Activity-based costing:
Overhead and indirect costs are divided across related goods and services according to the Activity-based costing (ABC) method. This accounting approach of costing acknowledges the link between costs, overhead activities, and produced items, allocating indirect costs to products less arbitrarily than conventional costing systems do. However, it can be difficult to link some indirect costs, like the management and office staff salaries, to a particular product.
Employees should be rewarded for making moral decisions by receiving money bonuses, professional advancement, or awards for good stewardship while boosting profitability. Making a profit sharing scheme is arguably the best incentive for employees to behave ethically.
Learn more about Activity-based costing:
https://brainly.com/question/26647034
#SPJ4
HELP
When a company/economy is making money,
how does the demand curve shift?
B. down
A. up
D. to the left
C. to the right
Answer:
It's A, The demand curve shifts up
Explanation:
It goes up
Use of a computer-based system to transfer money from the drawer's account to the payee's account is called a(n)
None of these
Automatic Withdrawal
Online Banking
Electronic Funds Transfer
Answer:
It's an electronic funds transfer.
Explanation:
Online banking would make no sense it would say a whole different story , automatic withdrawal would make no sense also , so therefore it is Electronic funds transfer
If the demand for a product decreases, what is likely to happen?
A.
The supply is likely to increase.
B.
The demand is likely to be inelastic.
C.
The price is likely to increase.
D.
The price is likely to decrease.
What are the items in assets and liabilities of balance sheet?
A company's balance sheet is a picture of its financial situation at a given point in time. It is the sum of a company's assets, liabilities and equity.
Assets are those that are expected to be converted into cash or consumed within one year, such as cash, accounts receivable, and inventory, investments, land, buildings and equipment. Liabilities are the company's obligations and are classified as current or long-term liabilities.
Current liabilities are those that must be paid within a year, such as accounts payable and taxes due. Long-term liabilities are those that must be repaid over a longer period of time, such as mortgages and bank loans. Equity is the difference between a company's total assets and total liabilities and is the shareholders' residual interest in the company.
To know more about balance sheet click here
https://brainly.com/question/26323001
#SPJ4
Television advertising offers many advantages to national advertisers, but it is a relatively ______ form of advertising
Television advertising offers many advantages to national advertisers, but it is a relatively expensive form of advertising.
Advertisement is used by companies to promote their products and make people aware of such products. There are different forms of advertisement such as through television, radio, newspaper, etc.
Television advertising is typically desirable but costly to produce the advertisement. It's desirable but expensive to buy time. Despite its advantages, it's costly.
Read related link on:
https://brainly.com/question/25562494
Not including a warning label about choking hazards on the box of a new toy
is an example of a defect issue.
0
A. marketing
B. warranty
c. manufacturing
o
D. design
The warning label should inform customers of the risk and offer guidance on how to use the product safely. Thus, option A is correct.
What warning label about choking hazards in marketing?In the US, warning labeling laws must include everything from fall and strangling threats to suffocation hazards and small parts.
This manual provides a succinct explanation of the warning labeling regulations for children's products in the US.
Because of this, the American National Standards Institute mandates that warning labels on products provide the following information: Potential dangers and their seriousness.
Not all items need to carry warning labels, but those that could be harmful or pose a risk to consumers must.
Therefore, marketing is not including a warning label about choking hazards on the box of a new toy is an example of a defect issue.
Learn more about hazards here:
https://brainly.com/question/5016331
#SPJ2
Answer: MArketing would be the answer
Explanation: I just took the test
Increases in the money supply will cause demand for investment and consumption goods to _______ in the short run and cause interest rates to _______ in the long run.
increase; increase
increase; decrease
decrease; decrease
decrease; increase
Increases in the money supply will cause demand for investment and consumption goods to increase in the short run and cause interest rates to decrease in the long run.
In the short run, when the money supply increases, individuals and businesses have more money available for spending. This increased liquidity leads to higher demand for investment and consumption goods as people have more funds to invest and purchase goods and services. This higher demand stimulates economic activity and can lead to an increase in production and employment.
However, in the long run, the increased money supply can lead to inflationary pressures. As the money supply outpaces the growth of real output in the economy, the value of money decreases. To counteract this, central banks typically raise interest rates to reduce the growth rate of money supply and stabilize prices. Higher interest rates increase the cost of borrowing, which in turn reduces demand for investment and consumption goods, as borrowing becomes more expensive. Therefore, in the long run, the increased money supply leads to lower demand and higher interest rates.
To know more about money supply click here
brainly.com/question/30218160
#SPJ11
Which characteristic gives the term preference shareholder its distinct name?
Preferred shareholder gets its name from its unique feature that shareholders of such shares are given first preference in terms of payment in case the business_____.
Answer: dividends
Explanation:
Dividends are not liability of the firm. The preferred dividends are differed. The dividends and preferred dividends must be paid to the individual stakeholders so that equal share share can reach out to the individual owner before the common shareholders can receive any monetary gain. Dividends are the taxes that are not included in the business expenses but it is included as corporate tax. The dividends by the shareholders are included with the tax.
Answer:
shuts down
Explanation:
your organization uses a projectized structure to perform project work. one of their programs consists of three projects each with their own project manager. the program manager has been monitoring the progress of the three projects and notices that the one of the projects is behind schedule. after analyzing the situation, the program manager has submitted a change request to have a resource named alice moved to this project from one of the other projects. this should help bring this project back on schedule. as a result of this change, what should be updated? answers a. the team charter for the affected projects b. the resource breakdown structures for affected projects c. the requirements documentation for the affected projects d. the resource management plan for the affected projects
Because of this modification the split of resources for the impacted projects.
What are projectized organization structures?
In a projectized organisation structure, the project manager is placed at the top of the hierarchy and is given complete authority over all project-related decisions. The team members immediately answer to him or her, and the project is the focus of all tasks. Project managers in the projectized organisational structure are not restricted to duties like decision-making and resource usage, in contrast to the usual functional organisation. The goal of the aforementioned organisational structure depends on establishing one in external domains. A projectized organisational structure is typically made up of departments like accounting, human resources, and administration, all of which work as support systems for the project management process.
To learn more about projectized organization structure visit;
https://brainly.com/question/19259441
#SPJ4
One characteristic of the United States Foreign Corrupt Practices Act is that it: ____________
a. applies to only international transactions that occur within the territorial borders of the United States.
b. is an attempt to support U.S. businesses by exporting U.S. values that indirectly aid business.
c. clearly stipulates terminology and behavior that is illegal on the part of U.S.
d. businesses and foreign business operating in the United States.
e. includes uncertainties such as terminology, definitions, accounting standards, and behavior standards.
One characteristic of the United States Foreign Corrupt Practices Act is that it clearly stipulates terminology and behavior that is illegal on the part of U.S
United States Foreign Corrupt Practices Act was set up in 1977. It helps to
serve as a guide to know the legal and illegal behavior expected of
individuals by the USA.
Example of illegal behavior by the Act includes offering bribes for favor to gain business deals, keeping to agreements etc.
Read more on https://brainly.com/question/25277461
The letters A, B, C, D, E, F, G are called what?
Why would a producer conduct a marginal analysis?
A. To understand the type of taxes paid on a good or service
B. To determine whether a price increase will change what a
consumer will buy
C. To predict the amount of environmental pollution caused by a
manufacturer
D. To suggest a way to package a product so that it causes less
pollution
E
Answer:
B to determine whether a price increase
Explanation:
cuz I said
The graph shows the market for apartments in Rivercity. As a result of the rent ceiling of $400, ________ are rented and people are willing to incur search costs of _
The apartment market in Rivercity is depicted on the graph. The $400 rent cap has caused ___ to be rented and people are ready to pay for searches...
What do you name an apartment?
An apartment (American English), flat (British English, Indian English, South African English), or unit (Australian English) is a self-contained dwelling unit (a sort of residential real estate) that occupies part of a building, typically on a single storey. These general buildings go by various names; a list is provided below.
British English uses the term "the flat," while American English uses the term "apartment." Most often, a flat has one level; however, apartments can have multiple stories. Sometimes, the terms "flat" and "apartment" are used to describe low-class or middle-class lodging, respectively.
To know more about Rivercity visit
https://brainly.com/question/24146041
#SPJ4
You own 1,000 shares of stock in Avondale Corporation. You will receive a dividend of $1.04 per share in one year. In two years, Avondale will pay a liquidating dividend of $37.50 per share. The required return on Avondale stock is 15.8 percent. What will your dividend income be this year if you use homemade dividends to create two equal annual dividend payments? a. $19,270 b. $16,712 c. $18,667 d. $17,935 e. $20,400
Answer:
Dividend = $17,935
Explanation:
We need to calculate the current share price
Current share price = ({Dividend year 1} ÷ {1 + required return}) + ({Dividend year 2} ÷ {1 + required return}^2)
Current share price= ({1.04} ÷ {1 + 0.158}) + ({37.5} ÷ {1 + 0.158}^2)
Current share price= 0.898 + 27.96
Current share price= $28.86
To calculate income for 2 years
Share price is $28.86
Return is 15.8%
Current share price = ({Dividend year 1} ÷ {1 + required return}) + ({Dividend year 2} ÷ {1 + required return}^2)
28.86 = ({Dividend year 1} ÷ {1 + 0.158}) + ({Dividend Year 2} ÷ {1 + 0.158}^2})
28.86 * 1.158 * 1.341 = (Dividend * 1.158) + (Dividend * 1.341)
44.82 = 2.499 * (dividend)
Dividend = $17.935
So for 1,000 shares
Dividend = 1,000 * 17.935 = $17,935
please type what belongs in the highlighted squares
ill give brainliest
To get the total revenue for the fourth quarter add the revenue for the month that apply
October revenue + $500 000
November revenue + $425 000
December revenue + \(\\)860 000
the sum total is = 1,011,000
therefore the fourth quarter revenue is $1,011,000
To calculate EBITDA subtract the expenses from the revenue
Revenue $6500 000
Expenses - $5375 000
EBITDA = 1, 125, 000
therefore the EBITDA is $1, 125, 000
To calculate Total Market Capitalization, multiply the number of share by the price per share we divide the
Number of shares \(\\)2500 000
price per share x \(\\) 23 77
= $5,942500, 000
therefore the Total Market Capitalization is $5,942500, 000
To calculate the earning per share divide the earning by the number of shares
Earning $5000 000 / Number of shares $2500 000 = 2
therefore the earning per share is 2
What is EBITDA?The abbreviation. EBITDA for stands for earnings before interest, taxes, depreciation, and amortization in business. EBITDA is very vital in understanding a business's ability to generate cash flow for its owners and use for judging a company's operating performance.
Learn more about . EBITDA on brainly.com/question/24082911
#SPJ1
javier works for a company that helps sell clothing to customers by providing a place for customers to purchase the clothing. javier's company is a(n)
Javier's company is a distributor as it helps in selling ot sells it.
A distributor acts as a link in the supply chain or distribution channel between a manufacturer, who produces a product, and an entity further down the line. The downstream company can either be a wholesaler or retailer, known as a value-added reseller (VAR).
The distributor serves as a liaison between the manufacturer and the downstream organisation and is a crucial part of the supply chain. The distributor provides crucial services that facilitate the distribution process while bridging the gap between upstream and downstream actors.
A distributor often collaborates with numerous downstream companies as well as numerous manufacturers. Each distributor enters into an arrangement with the manufacturer to sell the producer's goods to retailers, value-added resellers, or wholesalers.
To learn more about distributor refer here:
https://brainly.com/question/28104186
#SPJ4
Another term for a checking account is a time deposit.
True
Or False
Answer:
False because you only go and check your account you don't deposit anything only if you want
Commingling is mixing the money of the agent and the principal together.
A. True
B. False
True.
Commingling is the unlawful use of a client's funds by a licensee, often mixing their own funds with the client's.
johnson co. has 1,000,000 euros as payables due in 30 days, and is certain that the euro is going to appreciate substantially over time. assuming the firm is correct, the ideal strategy is to
Johnson Co.'s ideal strategy would be to convert the domestic currency to euros immediately, hedge the currency risk with a forward or futures contract, and monitor the foreign exchange market for any significant changes.
Johnson Co. has 1,000,000 euros as payables due in 30 days and is certain that the euro is going to appreciate substantially over time. Assuming the firm is correct, the ideal strategy is to:
1. Convert the required amount of domestic currency (e.g., USD) to euros immediately. By doing this, Johnson Co. can lock in the current exchange rate, ensuring that they have enough euros to meet their payables due in 30 days.
2. Use a forward contract or currency futures contract to hedge the currency risk. A forward contract allows Johnson Co. to agree on an exchange rate today for a transaction that will occur at a specific future date. A currency futures contract is a standardized version of a forward contract, traded on an exchange. This way, the company can secure the current exchange rate, minimizing the risk of the euro appreciating before their payables are due.
3. Monitor the foreign exchange market closely to stay informed about any substantial changes in the value of the euro. This can help Johnson Co. make informed decisions regarding their foreign exchange exposure and potentially adjust their strategy if needed.
Learn more about Forward contract:
https://brainly.com/question/15581105
#SPJ11
What Economic Issue arises in this graphic due to the Max Price being below Equilibrium?
As u asked in ur question which food we should have before exercise : ANSWER is - Option (B)
cross check if u have doubt it's correct..
Which are examples of marketing businesses? (Check all that may apply)
Pilot Truck Shop
Target
Kroger Grocery Store
Toyota Dealership
Answer:
toyota dealership
Explanation:
Tina, a sales manager, is interviewing a worker who applied for a sales job. She likes the applicant so much that she says, "This is a great place to work. If you are loyal to us, we will be loyal to you, and you can count on a job here." Phil, the HR manager, learns what Tina said. He asks her not to make this kind of statement again. What reason best explains why Tina's comment was unwise?
The reason why the comment by Tina was unwise was because A. Tina's statement could be taken as an implied contract to keep the worker in future, making it hard to dismiss the worker if problems arise.
Why should Tina not have said that?Tina essentially gave the applicant an implied contract because she gave the applicant terms that they needed to abide by in order to get the job and to keep it.
Those terms revolved around loyalty. This means that if the company needed to dismiss the worker in future, the worker could go to court and argue that they deserve to keep their job because they have given the loyalty that was a requisite according to Tina.
Find out more on implied contracts at https://brainly.com/question/984979
#SPJ1
Answer:
Tina's statement could be taken as an implied contract to keep the worker in the future making it hard to dismiss the worker if problems arise
Ground Chuck Processing just paid its annual dividend of $2 per share. The firm recently announced that all future dividends will be increased by 3 percent annually. What is one share of this stock worth to you if you require a rate of return of 14 percent?
The value of one share of the stock is $18.73 if you require a 14% rate of return.
To find the value of one share of Ground Chuck Processing stock, you can use the Gordon Growth Model (Dividend Discount Model). Here are the given parameters:
D1 = annual dividend * (1 + dividend growth rate) = $2 * (1 + 0.03) = $2.06
r = required rate of return = 14% = 0.14
g = dividend growth rate = 3% = 0.03
Using the Gordon Growth Model formula, the value of one share (P) is:
P = D1 / (r - g)
P = $2.06 / (0.14 - 0.03) = $18.73
So, one share of Ground Chuck Processing stock is worth $18.73 to you if you require a 14% rate of return.
To know more about rate of return click here:
https://brainly.com/question/17164328
#SPJ11
Baako Ltd purchase motor vehicle as follows date 01/01/13 800,000$,01/01/13 400,000$,01/04/15 600,000. The company adopts straight line method of depreciation at the rate 10% per annum from the date of purchase separate account is prepared for provision for depreciation. On 30th June, 2014 the motor vehicle which was purchase on 1st July was sold for 24,000$. You are required to prepare (a) motor vehicle account for the years 2013,2014 and 2015. (b) motor vehicle disposal account.
Baako Ltd purchase motor vehicle as follows date 01/01/13 800,000$,01/01/13 400,000$,01/04/15 600,000. The company adopts straight line method of depreciation at the rate 10% per annum from the date of purchase separate account is prepared for provision for depreciation. On 30th June, 2014 the motor vehicle which was purchase on 1st July was sold for 24,000$. You are required to prepare (a) motor vehicle account for the years 2013,2014 and 2015. (b) motor vehicle disposal account.
Section A: True/False/Uncertain statements. Answer TEN questions. State first whether each is TRUE/FALSE/UNCERTAIN and then briefly justify your answer. Marks will be awarded only for the justification you give. [5 marks per question] 11. In an IS/LM fixed-price closed economy, fiscal policy will be more effective the flatter is the LM curve. 12. An increase in the ratio of cash to deposits held by the commercial banks will reduce the money supply. 13. In a closed economy where wages and prices are fully flexible an increase in the money supply increases the price level by the same proportion. 14. In an open economy with fixed prices, a fixed exchange rate and full international capital mobility, fiscal policy is ineffective. 15. If the rate of inflation is increasing from one year to the next, then the unemployment rate must be higher than its long run equilibrium.
11- It is uncertain because the effectiveness of fiscal policy in an IS/LM fixed-price closed economy depends on various factors, including the shape of the LM curve.
12- It is true that an increase in the ratio of cash to deposits held by commercial banks will reduce the money supply.
Fiscal policy refers to the government's use of taxation and government spending to influence the overall economy. The main objectives of fiscal policy are to stabilize the economy, promote economic growth, control inflation, and reduce unemployment.
13- It is uncertain because the statement refers to a closed economy with flexible wages and prices.
14- It is uncertain because the effectiveness of fiscal policy in an open economy with fixed prices, a fixed exchange rate, and full international capital mobility can be influenced by various factors.
15- It is false because the statement suggests a positive relationship between the rate of inflation and the unemployment rate.
Learn more about fiscal policy here:
https://brainly.com/question/31748980
#SPJ4
If the i* of a single project is equal or higher than the MARR, accept this project as economically viable. True False
True. The i* of a project is the minimum rate of return that a project must generate to be considered economically viable. On the other hand, the MARR (Minimum Acceptable Rate of Return) is the minimum return that a company expects to earn on its investments.
If the i* of a single project is equal to or greater than the MARR, then the project is generating returns that are equal to or greater than the company's expectations, and it is considered economically viable. Therefore, the project should be accepted. However, if the i* is lower than the MARR, then the project is not generating returns that meet the company's expectations, and it should not be accepted. It is essential to note that i* and MARR are critical tools used in capital budgeting and investment decision-making to ensure that companies invest in projects that generate positive returns and contribute to their growth and profitability.
To know more about return visit:
https://brainly.com/question/29730147
#SPJ11
Random variations represent either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes and income shifts.
Answer:
FALSE
Explanation:
THIS IS THE COMPLETE QUESTION
Trends representing either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes, and income shifts are a component of a time series called "Random Variations"
Random Variation can be regarded as
tendency of an estimated size/ value of a parameter to undergo deviation randomly away from the real/ true magnitude/ value of the parameter.