The court held that Harrah's dress and grooming code did not constitute unlawful disparate treatment or sex stereotyping under Title VII.
What were the reasons for the court's ruling in favor of Harrah's?The court ruled in favor of Harrah's because Jespersen failed to provide sufficient evidence to support her claims.
The court stated that the grooming requirements did not place an unequal burden on women, as none of the policy's individual requirements placed a greater burden on one gender than the other.
Additionally, there was no evidence of intentional or unlawful sex stereotyping.
However, the court suggested that if Jespersen had presented evidence that the makeup standard imposed a greater burden on women in terms of cost and time, her claims might have had a chance to proceed to a jury.
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Corey obtained an installment loan of $1,000. The APR is 12%. He must repay the loan in 12 months. How do I find the monthly payment
Answer:
The monthly loan payment will be $ 93.33.
Explanation:
Given that Corey obtained an installment loan of $ 1,000, and the APR is 12%, and I must repay the loan in 12 months, to determine how do I find the monthly payment, the following calculation must be performed:
(1000 x 1.12) / 12 = X
1120/12 = X
93,333 = X
Therefore, the monthly loan payment will be $ 93.33.
Tina will be working at the municipal swimming pool as a lifeguard this summer. She will earn $1,000 per month (a total of $3,000 for the whole summer). Tina does not plan to work any other jobs this year.
What is Tina's gross monthly income for each of the summer months (GMI)?
Help!
Which federal agency oversees how clean and how appropriately a restaurants prepare and store foods?
Answer:
FDA's Center for Food Safety and Applied Nutrition (CFSAN) seeks to ensure that these foods are safe, sanitary, nutritious, wholesome, and honestly and adequately labeled.
Explanation:
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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Attitude is your belief in your own effectiveness.
Т
F
Answer:
f
Explanation:
this mf emmanuel made me get it wrong. its false bro trust
you have $10,000 and you would like to invest this money. which is less risky?
There are several investment options available with varying levels of risk with $10,000 such as savings accounts, certificates of deposit (CDs), and bonds.
The less risky options are those that offer lower potential returns but also come with a lower chance of losing money. Some examples of less risky investments include:
1. Savings Accounts: These are a safe option for your money, with minimal risk, as they are insured by the Federal Deposit Insurance Corporation (FDIC).
2. Certificates of Deposit (CDs): CDs are also a low-risk investment, as they are also insured by the FDIC and provide a fixed interest rate over a set period.
3. Treasury Securities: U.S. government-issued securities like Treasury bills, notes, and bonds are considered low-risk investments, as they are backed by the full faith and credit of the U.S. government.
4. Money Market Funds: These are a type of mutual fund that invests in low-risk, short-term securities, providing a safer option than more aggressive stock or bond funds.
These options typically have a fixed rate of return and are considered more stable than stocks or mutual funds, which are generally riskier but have the potential for higher returns. Ultimately, the best investment strategy depends on your individual financial goals, risk tolerance, and time horizon.
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1. Imagine that you are considering expanding and diversifying your tech business into international
markets. Before you decide to make this shift in your company, you want to weigh the advantages
and disadvantages of international trade. Identify and analyze several advantages and several
disadvantages that you would consider and explore how international trade may impact the
decisions that you make for your business. Explain. Then discuss the impact of cultural and social
environments on global trade.
Answer:
A good way to determine if expanding the business into international trade is to use a tool to analyze the international enviroment.
The tool that can be used is PESTEL, which is an accronym for Political, Economical, Social, Technological, Enviromental, and Legal factors.
To complete a Pestel, the strategist of the company simply has to add the relevant factors related to the external enviroment in each one of the six cateogories.
Like this, the strategist can analyze the international enviroment, in order to determine whether it is advisable to expand the technological business or not.
Poitioning" i a marketing management aid that refer to: _________ A. How cutomer think about propoed and/or preent brand in a market
Positioning is a marketing management tool that describes how consumers perceive existing and/or potential brands in a certain market. So, the suitable option will be option (a).
Give a brief account on marketing management.Marketing management applies economics and competitive strategy techniques to analyze the business environment in which the organization works. Marketers use SWOT analysis to focus on the relative competitive strengths and weaknesses of each competitor in the market as they create extensive profiles of each competitor. Marketing managers will look at each rival's cost structure, profit sources, assets, and capabilities as well as its competitive positioning, product differentiation, level of vertical integration, past responses to market changes, and other elements.
Market and marketing research are frequently conducted by marketing management in order to undertake marketing analysis. Although there are many techniques used by market researchers, the following are some of the most common ones :
Focus groups and different kinds of interviews are examples of qualitative marketing research.statistics surveys are examples of quantitative marketing research.experimental methods, including test marketsTechniques of observation like ethnographic (on-site) observationTo know more about, marketing management, visit :
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The complete question is mentioned below :
"Positioning" is a marketing management aid that refers to: ______
A) how customers think about proposed and/or present brands in a market.
B) a product's ability to provide both immediate satisfaction and social responsibility.
C) how a firm approaches customer relationship management.
D) a firm's ability to distribute products through intermediaries who are in the right position to reach target customers.
E) all of these alternatives are true.
The majority of products and services are likely to satisfy:_________
They will likely satisfy both personal and functional needs.
What is a good product?A good product accomplishes two things: first, a business cannot thrive or live without generating revenue, and second, generating value is a prerequisite for generating revenue.
Describe a product.Anything that may be sold to a market to fulfill a consumer's need or desire is a product. An object, method, or service that is made available for customer use in response to consumer demand is referred to as a product in marketing. Products, also known as goods in the retail industry, are bought as raw resources in the manufacturing industry and then sold as finished commodities.
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Write a persuasive argument as an essay or blog entry to address your topic. Use a minimum of 400 words. State your claim clearly with details from reliable sources. Be sure to include
Based on writing methods and techniques, to write a persuasive argument as an essay or blog entry to address your topic, you should start by "Choosing topic you’re passionate about."
What is Persuasive Writing?Persuasive writing is a form of writing that illustrates logical arguments into writing. It usually contains an emotional appeal to influence the readers towards a particular perspective or opinion.
Things to note when writing a Persuasive argument as an essay or blog entryUnderstand what your audience wants.Begin with a fact to hook your readers' attention.Research the both on both sides of what you agreed and disagreed on.Be empathetic in your word usage.Chip in rhetoric question to evoke interest.Emphasize your points with creativity.Hence, in this case, it is concluded that writing a persuasive argument as an essay is more straightforward if you follow the proper steps.
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(d) State how the double entry would be completed for the items recorded in the ledger accounts
column of the petty cash book.
The general ledger's expense account is debited for the sum of each expense column.
How does a general ledger work?An organization employs a general ledger, which is a group of numbered accounts, to record its financial activities and generate financial reports. A unique record detailing a particular kind of asset, risk, equity, revenue, or expense makes up each account.
Which five categories of accounts for general ledgers are there?Accounts receivable, a commodity account, represents money owed to your business. Accounts payable refers to money that your business owes to creditors for expenses. Cash: Easily convertible assets held by your company, such as accounts and owner' equity.
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Suppose that both of the events you have just analyzed are partly responsible for the increase in the price of hamburgers. Based on your analysis of the explanations offered by the two groups of students, how would you figure out which of the possible causes was the dominant cause of the increase in the price of hamburgers?.
It is likely that the increase in the price of hamburgers is related to the fact that demand is greater than supply.
What is the law of supply and demand?It is an economic approach to understanding the economic factors that influence the quantity of a product supplied in a market and its price.
Therefore, when there is more demand than supply for a good available in the economy, it means a situation of scarcity, which makes prices rise.
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De los componentes de la Matriz DOFA, cuál elemento se define como las acciones externas de otros actores, que afectan negativamente la empresa. Las oportunidades Las Fortalezas Las Debilidades Las amenazas
Answer:
D). Las amenazas
Explanation:
El análisis 'FODA' es el examen de las diversas 'fortalezas, debilidades, oportunidades y amenazas' subyacentes a una empresa. Estos factores se han dividido además en factores internos y externos. Los factores internos incluyen fortalezas junto con debilidades, mientras que los factores externos consisten en amenazas potenciales y oportunidades futuras que se pueden aprovechar.
Según la pregunta, los factores externos que pueden afectar negativamente al negocio serían las 'amenazas' porque si no se abordan adecuadamente a tiempo, pueden generar pérdidas, afectar negativamente las opiniones y demandas de los consumidores, y mucho más. Estos factores se denominan externos ya que afectan al negocio de fuentes externas como un déficit o problema en el buen funcionamiento de la cadena de suministro, cambios repentinos en las necesidades del mercado, escasez de insumos, clima, caída de la economía, etc. Así, la opción D es la respuesta correcta.
Definition for crime and violence
Answer:
Crime can therefore be defined as a violation of the law and an act of deviance from established rules, or a non-commission of an action that is required by law. Violence, on the other hand, is an act of physical aggression that in most cases results in harm.
The payroll accountant for Candor, Incorporated was found to have issued payroll checks in the name of several terminated employees. Upon investigation, the checks were all deposited to the same bank account, which was owned by the payroll accountant. Which ethical principle did the payroll accountant violate
Based on the actions of the accountant, we can say that they violated the principle of D) Integrity.
Integrity in Accounting Means that an accountant should act in an honest manner. Means that accountants should not try to unjustly profit from their clients and employers.The payroll accountant was earning money from the company in a fraudulent way which means that they broke the ethical principle of integrity as they are unjustly profiting from their employer.
In conclusion, option D is correct.
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10 POINTS PLEASE HELP ASAP
What kind of product should a country produce to obtain the maximum gains from trade?
A.
Products that have the lowest opportunity cost of production.
B.
Products that have the highest opportunity cost of production.
C.
Products that need to be produced using the most expensive resources.
D.
Products that can be produced with a minimum number of resources.
Answer:
I wanna say D
Explanation:
hope that helps
The products that can be produced with a minimum number of resources a country should produce to obtain the maximum gains from trade. Thus option (D) is correct.
What is Trade?Trade refers to the voluntary exchange of goods or services between economic actors. Since transactions are consensual, trade is generally considered to benefit both parties.
In finance, trading refers to purchasing and selling securities or other assets. In international trade, the comparative advantage theory states that trade benefits all parties.
Most classical economists advocate for free trade, but some development economists believe protectionism has advantages. In macroeconomics, trade usually refers to international trade, the system of exports and imports that connects the global economy.
A product sold to the global market is an export, and a product bought from the global market is an import. Exports can account for a significant source of wealth for well-connected economies.
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the production possibilities frontier has a bowed-out shape because the opportunity cost of butter rises asmore butter is produced. indicate which of the points are impossible for the economy to achieve and which are feasible but inefficient. check all that apply. characteristic a b c d impossible for the economy to achieve feasible but inefficient
The production possibilities frontier has a bowed-out shape because the quantity of guns the economy must give up in order to produce more butter INCREASES the more butter is produced. In other words, the opportunity cost of butter RISES with increased production.
Opportunity cost in the production of goods is what is forfeited when resources are diverted from one product to another. A curve on a graph shows the maximum amount that can be produced.
The PPF, which depicts scenarios that are impractical given the available resources, is above the curve.
The PPF illustrates that an increase in one commodity's production can only occur if the production of the other commodity falls.
The PPF is a tool that managers can use to make decisions about the best product mix for their company.
Production Possibility Frontier (PPF)
Recognizing the Production Possibility Frontier (PPF)
The PPF is the region of a graph that represents production levels that, given the available resources, cannot be attained; the curve denotes optimal levels.
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Which of the following is not a fixed cost? *
O monthly gym membership
car payment
O rent
O vacation/recreation/fun expenses
In a progressive tax system, who pays a greater proportion of their income in taxes?
A. people with low incomes
B. people with high incomes
C. people who have the most deductions
D. Everyone pays the same.
Answer:
B. people with high incomes
Explanation:
A progressive tax system imposes high tax rates to high-income earners. In a progressive tax system, the applicable tax rates are based on income level. The higher the income, the higher the tax rate.
Low-income earners will be taxed at a lower rate, hence only a small proposition will be used for taxes. High-income earners will be taxed using a higher tax rate, meaning a bigger proposition of their income will be spent on taxes.
Predict Consequences When the economy is
expanding, which of the following is a business
MOST likely to do?
A. close its international branches
B. lay off employees
C. invest in new equipment
D. cancel new product development
The correct option is C.
When the economy is expanding, the business invests in new equipment.
What happens during an expansion in the economy?Expansion, in economics, is an upward trend in the business cycle, characterized by an increase in production and employment, which in turn causes an increase in the incomes and spending of households and businesses.
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Identify the duty of obedience according to which board members should strive toward corporate objectives and are not permitted to act in a way that is inconsistent with the central goals of an organization a. duty of candor b. duty of loyalty C. duty of care d. duty of good faith
The duty of obedience according to which board members should strive toward corporate objectives and are not permitted to act in a way that is inconsistent with the central goals of an organization is c. Duty of Care.
The board of directors is in charge of determining the business's strategic objectives and overseeing management's activities in achieving those objectives, as well as ensuring that the company's activities comply with relevant regulations and standards.The three primary duties of directors, as established by state corporate law, are: duty of care, duty of loyalty, and duty of obedience.
The duty of care refers to the obligation of directors to work in the best interests of the corporation and with the same care, attentiveness, and discretion as an ordinary prudent person under similar circumstances. The directors' duty of care includes the following aspects: (a) acting in good faith, (b) conducting reasonable inquiry and investigations, (c) being informed, and (d) exercising independent judgment.
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The 1974-1975 recession was a result of a: ANSWER Unselected supply shock that caused a leftward shift of the short-run aggregate supply curve Unselected housing bubble collapse that caused a leftward shift of the aggregate demand curve Unselected supply shock that caused a leftward shift of the long-run aggregate supply curve Unselected I DON'T KNOW YET
Answer: supply shock that caused a leftward shift of the short-run aggregate supply curve
Explanation:
One of the main causes of the 1974 - 1975 recessions was the raising of oil prices and then the subsequent oil embargo on the United States by Arab members of the Organization of the Petroleum Exporting Countries(OPEC).
OPEC did not like the support that the United States was giving Israel and so placed an embargo on the U.S. such that the U.S. could no longer get much oil from the Middle East which she heavily relied upon.
This reduced the supply of oil drastically to the U.S. and resulted in a supply shock that shifted the short run aggregate supply curve to the left to reflect the fuel scarcity and the effect it had on the economy as production slowed down.
.To calculate the revenue government receives when a tax is imposed on a good, multiply the
A) pre-tax equilibrium price by the pre-tax quantity
B) after-tax equilibrium price by the after-tax quantity and then subtract the pre-tax equilibrium price multiplied by the pre-tax quantity
C) tax by the pre-tax quantity
D) tax by the after-tax quantity
E) after-tax equilibrium price by the after-tax quantity.
to calculate the revenue government receives when a tax is imposed on a good is to multiply the tax by the after-tax quantity. So
The correct option is D) tax by the after-tax quantity.
When a tax is imposed on a good, the government's revenue is generated from the tax amount collected on each unit sold. The after-tax quantity represents the number of units sold after the tax has been applied.
Therefore, by multiplying the tax amount per unit by the after-tax quantity, you can calculate the total revenue that the government receives from the tax on that particular good.
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In the "Case Nugget," Ziva Jewelry Inc., v. Car Wash Headquarters Inc., the plaintiff left his car and keys with a car wash employee and a thief drove off with the car, abandoning it unharmed after stealing jewelry valued at over $800,000 from the car's trunk. What was the final holding of the court in this case
Answer:
That the car wash was not liable to the plaintiff because the car wash employees had no notice they were taking responsibility for so much jewelry.
Explanation:
The case of Ziva Jewelry Inc., v. Car Wash Headquarters Inc involved a salesperson Stewart who locked jewellery in his car and took it to the car wash.
He did not disclose that there was expensive jewelry in the car.
The attendant finished washing the car and signalled to Stewart that his car was ready and walked away from the car.
Before Stewart could pay the bill someone had taken the car. Although the police recovered the car the jewellery was stolen.
Zeva Jewellry filed a motion against the car wash that they did not excercise due care in returning the vehicle.
In this instance the car wash was not liable because Stewart did not disclose there was expensive jewelry in the car.
Also the attendant had finished with his car and informed him of this. So it was out of their care when the car theft occured
Consolidated Net Income Definition
A consolidated net income is the total income of the parent entity and its subsidiaries excluding the unrealized income of the organization as a whole.
Consolidated net income is the total net income of a parent entity and its subsidiaries, excluding any unrealized income of the parent company.
This income figure includes the net income of each subsidiary, minus any losses that the parent company has incurred in the process. It also excludes any unrealized income, such as unrealized gains or losses on investments, currency exchange rates, or other investments. By subtracting these amounts, the consolidated net income provides a more accurate representation of the total net income of the parent company and its subsidiaries.
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During which part of the Product Life Cycle would a company use a profit-oriented pricing strategy?
The lifespan of a product depicts how long it remains on the market, from the moment it is first introduced to consumers until it is phased out and taken off the shelves.
What is the maturity stage of the product life cycle?Sales declined during the mature period, a sign that the market has started to become saturated. During this phase of the product life cycle, the price also starts to become competitive. The profit margins become slimmer as a result.
In most life-cycle situations, profits normally reach their greatest level during the early growth stages, but sales often reach their peak during the mature stages.
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This has been a bad year for Park Avenue Furniture. The firm increased
sales revenues to $1,400,000, but total expenses ballooned to $1,750,000.
Although management realized that some of the firm's expenses were out of
control, including cost of goods sold ($700,000), salaries ($450,000), and
advertising costs ($140,000), it could not contain expenses. As a result, the
furniture retailer lost $350,000. To make matters worse, the retailer applied
for a $350,000 loan at Fidelity International Bank and was turned down. The
bank officer, Mike Nettles, said the firm had a net loss for the last 12 months
and that the firm already had too much debt. At that time, liabilities totaled
$420,000 and owners' equity was $600,000.
1.Analyze the financial condition of Park Avenue Furniture.
2.Discuss why you think the bank officer turned down Park Avenue's loan
request.
3.Prepare a detailed plan of action to improve the financial health of
Park Avenue Furniture over the next 12 months.
I don’t need 1 or 2, just 3.
Answer:
Here is a detailed plan of action to improve the financial health of Park Avenue Furniture over the next 12 months:
1. Reduce expenses
The first step is to reduce expenses. This can be done by:
* Negotiating better prices with suppliers. Park Avenue Furniture should shop around for the best prices on goods and services. They should also consider negotiating longer payment terms with suppliers.
* Reducing waste. Park Avenue Furniture should take steps to reduce waste in all areas of the business. This could include recycling materials, reducing energy consumption, and eliminating unnecessary expenses.
* Improving efficiency. Park Avenue Furniture should look for ways to improve efficiency in all areas of the business. This could include streamlining processes, investing in new technology, and training employees on new methods.
2. Increase sales
In addition to reducing expenses, Park Avenue Furniture also needs to increase sales. This can be done by:
* Expanding into new markets. Park Avenue Furniture could expand into new markets, such as online sales or international markets.
* Developing new products and services. Park Avenue Furniture could develop new products and services that appeal to a wider range of customers.
* Improving customer service. Park Avenue Furniture could improve customer service by providing faster shipping, offering more flexible return policies, and resolving customer complaints quickly and efficiently.
3. Get financing
If Park Avenue Furniture is unable to reduce expenses and increase sales enough to turn a profit, they may need to get financing. This could be in the form of a loan from a bank or a line of credit. However, it is important to note that getting financing will add to the company's debt, so it is important to only get financing as a last resort.
4. Restructure the business
If Park Avenue Furniture is unable to improve its financial health through the above measures, it may need to restructure the business. This could involve selling off assets, closing stores, or laying off employees. However, it is important to note that restructuring the business is a drastic step that should only be taken as a last resort.
By following these steps, Park Avenue Furniture can improve its financial health over the next 12 months.
Many consumers are concerned about the impact of their purchasing activities on their ecological surroundings, so companies conduct research on the __________ effects of their decisions.
Many consumers are concerned about the impact of their purchasing activities on their ecological surroundings, so companies conduct research on the ecological effects of their decisions.
The ecological effects of a company's decisions are important for many reasons.
First and foremost, companies need to be aware of the impact of their actions on the environment.
This includes both the direct and indirect effects that their activities may have on the ecosystem.
Direct effects may include things like pollution, habitat destruction, and other forms of environmental degradation.
Indirect effects may include things like changes in the food chain,
which can have far-reaching consequences for the health of the ecosystem as a whole.
In addition to being aware of the ecological effects of their decisions,
companies also need to take steps to mitigate any negative effects that they may have on the environment.
This may include investing in sustainable technologies,
reducing waste and pollution,
and working with local communities to protect natural resources.
While the impact of a company's decisions on the environment may not always be immediately apparent,
the long-term effects of these decisions can be significant.
By conducting research on the ecological effects of their decisions, companies can make more informed choices that take into account the needs of the environment,
as well as the needs of their customers and stakeholders.
In this way, companies can help to create a more sustainable future for all of us.
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Capital allocation is the first step in asset allocation. What primary investments are considered in a capital allocation decision?
Group of answer choices
A risk-free asset and a risky asset
Individual stocks and bonds
Commodities
One risky asset
In a capital allocation decision, the primary investments considered typically include a risk-free asset and a risky asset.
In a capital allocation decision, the primary investments considered usually include a combination of a risk-free asset and a risky asset.
1. Risk-Free Asset: A risk-free asset is typically characterized by minimal or negligible risk of default and provides a fixed or predictable return. Government bonds, treasury bills, or high-quality corporate bonds are common examples of risk-free assets. These investments are considered to have relatively lower returns but provide stability and serve as a benchmark for assessing the performance of riskier assets.
2. Risky Asset: A risky asset refers to investments that carry a higher degree of uncertainty and potential volatility. This category includes individual stocks, bonds with lower credit ratings, mutual funds, exchange-traded funds (ETFs), real estate, and alternative investments such as private equity or venture capital. These assets offer the potential for higher returns but also involve varying levels of risk and market fluctuations.
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3. The owner of a specialty delicatessen buys baskets, decorates and fills them with food items, and
sells them as one of the products in the shop. The entrepreneur sells an average of 130 baskets a
month The basket supplier charges $0.50 per basket. The entrepreneur would like to reduce his
variable costs and has found a basket supplier who will charge only $0.40 per basket. How much
will the delicatessen owner save in a year by changing suppliers?
Answer:
$156
Explanation:
he old price per basket is $0.50 per basket
the new supplier has a price of $0.40 per basket
Savings per basket is $0.10 ($.50- $0.40)
The average sales per month are 130 baskets.
The average savings per months will be
=$0.10 x 130
=$13
yearly savings will be
=$13 x 12 months
=$156