The Venezuelan government created multiple poverty relief agencies.In 1998, Hugo Chavez became the President of Venezuela.
Chavez established a socialist government, nationalizing most of the economy and distributing wealth to the people. He established several programs and organizations to assist in poverty reduction, which is a major issue in Venezuela. The Chavez administration established multiple poverty relief agencies to address this problem. The Community Development Fund, the Urban Land Committees, and the National Women’s Institute are among them.
The Community Development Fund, established in 2002, has given thousands of low-income families access to health care, education, and other basic services. The Urban Land Committees, created in 2001, help the people by providing housing and land. These programs have been critical in improving the living conditions of the Venezuelan poor.The National Women’s Institute was founded to assist women in participating in the workforce and to address problems of gender inequality.
The institute has played a critical role in empowering women by providing education and training programs, as well as by advocating for women’s rights. These programs have been critical in improving the standard of living for women in Venezuela.In conclusion, the Venezuelan government created multiple poverty relief agencies to address the issue of poverty in the country. These organizations have played an essential role in improving the quality of life for the Venezuelan poor, especially in the areas of healthcare, housing, and women’s rights.
To learn more about government:
https://brainly.com/question/29614594
#SPJ11
Question 6 of 20
What is outsourcing?
A. Keeping trade secrets from competing organizations
B. Hiring workers outside the company to work on a temporary basis
C. Maintaining a balance between work life and personal life
O D. Sending instructions to a computer in another location
HELP ASAP FOR BRAINLIEST
Which of the following would be considered a positive result of expansionary monetary policies?
A. the average price level freezing
B. the real output stopping
C. the average price level increasing
D. the real output decreasing
Construct a price-weighted index for these three stocks, and compute the percentage change in the index for the period from t to t 1. Do not round intermediate calculations. Round your answer to two decimal places
The percentage change in the index from time t-1 to t is -4.23%. To construct a price-weighted index, we first need to add up the prices of the three stocks at time t and time t-1.
Assuming the prices of the three stocks at time t are:
Stock A: $50
Stock B: $75
Stock C: $100
And the prices of the three stocks at time t-1 are:
Stock A: $45
Stock B: $80
Stock C: $110
Price-weighted index at time t = (50 + 75 + 100) / 3 = 75
To construct the price-weighted index at time t-1, we add up the prices of the three stocks at time t-1 and divide by the same DAF of 3.
Price-weighted index at time t-1 = (45 + 80 + 110) / 3 = 78.33
The percentage change in the index from time t-1 to t is:
(Price-weighted index at time t - Price-weighted index at time t-1) / Price-weighted index at time t-1 x 100%
= (75 - 78.33) / 78.33 x 100%
= -4.23%
Therefore, the percentage change in the index from time t-1 to t is -4.23%.
Learn more about stock here:
https://brainly.com/question/29992015
#SPJ4
What is the wavelength of a 700 hz sound wave (assume speed of sound in air is 1125 ft/s; round to the nearest second decimal place e.g. 1.255 = 1.26)?
The wavelength of the 700 Hz sound wave is approximately 1.61 ft.
To find the wavelength of a sound wave, we can use the formula: wavelength = speed of sound / frequency. In this case, the frequency is given as 700 Hz and the speed of sound in air is 1125 ft/s. Plugging these values into the formula, we get: wavelength = 1125 ft/s / 700 Hz.
Evaluating the division gives us approximately 1.607 ft. Rounding to the nearest second decimal place, the wavelength of the 700 Hz sound wave is approximately 1.61 ft. The wavelength represents the distance between two consecutive points in the sound wave that are in the same phase.
You can learn more about sound wave at
https://brainly.com/question/16093793
#SPJ11
true or false? healthcare organizations should conduct a marketing audit prior to hiring a marketing director.
"Healthcare organizations should conduct a marketing audit prior to hiring a marketing director. " This statement is True.
advertising and marketing is the activity, set of institutions, and approaches for growing, speaking, handing over, and exchanging services that have fee for customers, customers, companions, and society at massive. it's miles, in brief, an motion taken to carry attention to a commercial enterprise' offerings; they may be bodily items for sale or services presented. common examples of advertising and marketing at work include television advertisements, billboards on the side of the road, and mag advertisements.
The significance of marketing in your enterprise is that it makes the customers aware about your products or services, engages them, and helps them make the shopping for decision. furthermore, a marketing plan, part of your business plan allows in creating and keeping call for, relevance, reputation, competition, and so on.
Learn more about marketing here: https://brainly.com/question/25754149
#SPJ4
Can innovation and new production technologies delay or stop
the occurrence of diminishing returns?
Diminishing returns is an economic principle that occurs when the marginal return of an investment decreases as the investment increases.
Diminishing returns can be influenced by factors such as technology, innovation, and production techniques. However, innovation and new production technologies cannot stop or delay the occurrence of diminishing returns, but they can reduce their impact. To elaborate, innovation and new production technologies can lead to an increase in productivity, and thus, an increase in output without increasing inputs. However, the principle of diminishing returns is a fundamental principle that cannot be overcome completely.
Therefore, while innovation and new production technologies can slow down the impact of diminishing returns, they cannot stop its occurrence completely. To summarize, innovation and new production technologies cannot stop or delay the occurrence of diminishing returns. However, these technological advancements can reduce the impact of diminishing returns, leading to an increase in productivity and output with minimal inputs.
To know more about Diminishing returns click here:
https://brainly.com/question/30766008
#SPJ11
A perfectly competitive firm's short-run supply curve is
1 its marginal cost curve.
2 its marginal revenue curve.
3 the part of its marginal cost curve above the average variable cost curve.
4 its average fixed cost curve.
The short-run supply curve of a perfectly competitive firm is its marginal cost curve. The correct option is 1
the short-run supply curve of a perfectly competitive firm is its marginal cost curve. In perfect competition, a firm is a price taker, meaning it has no control over the price of the product it sells. The firm maximizes its profit by producing at a quantity where marginal cost equals marginal revenue. Since the marginal cost curve represents the additional cost of producing each additional unit of output, it serves as the firm's supply curve in the short run.
The marginal cost curve shows the relationship between the quantity of output produced and the corresponding marginal cost. As long as the price offered in the market is higher than or equal to the firm's marginal cost, it will continue to supply output. If the price falls below the marginal cost, the firm will not be able to cover its costs and will cease production in the short run. Therefore, the short-run supply curve of a perfectly competitive firm is its marginal cost curve.
Learn more about competitive firm here:
https://brainly.com/question/29347017
#SPJ11
what is the differences and similarities between rental goods services and non goods services
Answer and Explanation:
Rented-Goods Services are represented by retailom where consumers can own a good, or use a service for a specified time. As an example of this, we can mention hotel rooms, ski clothes, cars, houses, among others.
Nongoods Services are also represented by retail, but it presents personal services, where consumers can try them, judge them and then decide if they want to own them.
Describe the goal of a good financial manager according to you?
Answer:
Financial managers are responsible for the financial health of an organization. They produce financial reports, direct investment activities, and develop strategies and plans for the long-term financial goals of their organization. Financial managers typically: ... Help management make financial decisions.
What is product positioning?
Answer:
Product positioning is the process of deciding and communicating how you want your market to think and feel about your product.
Explanation:
When a product is positioned, it means that its target market's perception of it has been ascertained and communicated. It entails identifying the special qualities and advantages of the product and differentiating it from rivals.
A strategic exercise called "product positioning" seeks to explain how a product fits into the market and why it is superior to complete products. It aids companies in developing a strong and distinctive market position for their goods, which ultimately promotes client preference and loyalty.
Understanding the customer's issue and demonstrating how your product can address it more effectively than rivals are part of this.
As a result, the significance of the product positioning are the aforementioned.
Learn more about on product positioning, here:
https://brainly.com/question/31997723
#SPJ7
On a personal level, as you begin looking for a job after you graduate, it will be critical for you to know how to
A) market value
B) communicate value.
C) deliver value
D) forecast value
E) explain value
Answer:
B) communicate value.
Explanation:
Employees are a cost to employers. An employer will consider hiring a new employee if they are convinced that the benefits from the employee outweigh the costs.
A fresh graduate will have to convince a potential employer that they are worth being hired. The graduates need to communicate the value they shall add to the business. The ability to communicate one's value is critical for a successful job hunting mission.
Identify the correct pricing strategy. Incorporating _______ pricing strategy drives customers to pay a higher price for a valuable product. Businesses use market research, surveys, and analysis to convince customers to buy products that provide _______ for money.
Answer:
Price skimming
value for money
Explanation:
Price skimming is the pricing strategy in which businesses charge higher prices for the product initially and then start to reduce the price. The customers pay the high price charged for the product because of unique features of the product. Customers find the product value for money and so they are satisfied with the high prices.
jordan is planning ahead for retirement and must decide how much to spend and how much to save while she's working in order to have money to spend when she retires. when the income effect dominates the substitution effect, an increase in the interest rate on savings will cause her to a. decrease her savings rate. b. increase her savings rate. c. continue saving at the current rate. d. change her savings rate but in an unknown way.
Jordan's decision on how much to spend and save while she's working is crucial in planning for her retirement.
When the income effect dominates the substitution effect, an increase in the interest rate on savings will cause her to increase her savings rate. This means that Jordan will choose to save more money as the interest rate on her savings increases.
The income effect in this scenario refers to the fact that an increase in the interest rate will lead to a higher return on her savings, thereby increasing her overall income. This increased income will then lead her to save more money for her retirement.
On the other hand, the substitution effect refers to the fact that as the interest rate on savings increases, it becomes more attractive to save and less attractive to spend. This would lead to a decrease in her spending rate and an increase in her savings rate.
Therefore, when the income effect dominates the substitution effect, an increase in the interest rate on savings will cause Jordan to increase her savings rate.
Learn more about retirement:
brainly.com/question/31284848
#SPJ11
Malinda's auto dealership of imported cars made $895,000 in revenue. The manager has determined that the total expenses equal to $598,000. Will this business net a profit or loss? _____ How much of a profit or loss? _____
Answer:
Profits : $297,000
Explanation:
Revenue is the money a business gets by selling its products and services to customers. Expenses are the cost incurred in the normal business process, like production and selling.
A business is profitable when revenues are more than expenses.
For Malinda Auto dealership, the revenue ($895,000) is more than expenses($598,000). Therefore, the business will make a profit.
Profit = revenue - expenses
=$895,000 -$598,000
=$297,000
TRUE / FALSE. "q20
Question 20 Crowdsourcing is one of many means of idea screening. O True False"
Answer:
True.
Explanation:
Crowdsourcing is one of many means of idea screening. It can generate up to thousands of ideas per contest and can assist managers in efficiently processing crowdsourced ideas by identifying the aspects of ideas that are most predictive of future implementation.
nutrients for poultry products
Answer:
Poultry is generally considered to be a healthy meat, and has several nutrients. These nutrients and their amounts vary depending on the meat cut of the poultry, for example, chicken breasts have a lot more protein and less fat than chicken wings.
Overall, poultry is characterized by significant amounts of protein, of minerals like zinc, iron and copper, and of vitamins like vitamin B6 and thiamin.
On August 1, 2013, Ace Corporation accepted a note receivable in place of an outstanding accounts receivable in the amount of $133,865. The note is due in 90 days and has an interest rate of 7%. What would be the appropriate journal entry to record the receipt of cash at the maturity date
The journal entry to record the receipt of cash at the maturity date would be to debit the cash account for $133,865 and credit the note receivable account for the same amount.
debit: cash $133,865credit: note receivable $133,865
when the note receivable reaches its maturity date, and the borrower pays the principal and interest, the appropriate journal entry to record the receipt of cash would be to debit the cash account and credit the note receivable account.
in this case, the note receivable amount is $133,865. this entry reflects the conversion of the note receivable back into cash upon maturity, effectively closing out the note receivable account.
On August 1, 2013, Ace Corporation accepted a note receivable in place of an outstanding accounts receivable in the amount of $133,865. The note is due in 90 days and has an interest rate of 7%.
Learn more about interest here:
https://brainly.com/question/30393144
#SPJ11
Which is a characteristic of judging approach
Answer:
Clarity and Closure
Explanation
Judgers take a planned, ordered, and precisely calibrated approach to life, developing both short- and long-term plans to assist them in achieving their objectives. For them, schedules and "to-do" lists are consoling. They dislike uncertainty and change, preferring to know what they are getting into instead.
Those that have this preference feel more in control of their surroundings. They are disciplined and resolute, seeking resolution as soon as possible to reduce stress. Judgers struggle with open-ended plans because they have a "work first-play later" mentality. Instead of addressing issues as they arise, they would prefer to devise three distinct backup plans.
Judgers take their obligations and deadlines very seriously, both in business and in life. They are quite particular.
Question 2. Small Town Sweets—audit planning analytics (4%)
Small Town Sweets is based in Molong, NSW, and produces a range of high-quality confectionery for the East Coast market. Small Town Sweets operates in a low-margin environment, which typically means that large volumes are required to cover overhead costs and generate profits. It also means that overheads need to be kept under control to ensure that a net profit is generated from its operations. Debt is also kept to a minimum to ensure that interest costs are low and that there is sufficient margin to protect solvency during downturns.
The company did not reach industry profitability benchmarks in the previous year and budgeted to do better in the current year. It thought that it could do so by keeping its costs down in relation to sales while allowing its gross margin to drop, evidently planning to generate a larger volume of sales. The company also planned to better manage its working capital by reducing inventory and accounts receivable levels, indicating that it expected to produce a healthy cash flow to enable it to do so. As part of the planning process MCA has produced the following analytical information:
Ratio Actual Budgeted Prior Year Industry
Return on equity % 12.9 16.6 14.8 15.5
Return on total assets % 10.7 14.2 13.1 14.5
Gross margin % 8.5 9.0 9.5 9.0
Marketing expense/sales % 2.6 1.8 2.0 2.2
Admin expenses/sales % 1.6 1.6 1.8 2.0
Interest coverage ratio 5.4 8.1 6.4 6.0
Days in inventory 33.1 30.4 31.1 30.0
Days in accounts receivable 50.0 48.0 49.7 45.0
Current ratio 1.3 1.2 1.2 1.5
Quick asset ratio 0.81 0.77 0.77 1.0
Debt to equity ratio 0.51 0.33 0.41 0.40
Required
With reference to ASA 315 and the information above, identify and justify:
the three ratios that would be of most interest in the planning of the audit.
the account balance that is most at risk for each ratio identified in 1.
the assertion most at risk for each account balance identified in 2.
Answer this question using the following headings:
1. Ratio
2. Account balance
3. Assertion
Ratio:
a) Return on equity %
b) Days in inventory
c) Days in accounts receivable
Account balance:
a) Net income
b) Inventory
c) Accounts receivable
Assertion:
a) Existence
b) Valuation
c) Completeness
Justification:
Ratio:
a) Return on equity %: Return on equity is a key profitability ratio that measures the company's ability to generate profits for shareholders. It is of interest to auditors as it provides insight into the effectiveness of the company's management team in generating profits. A lower than expected return on equity could indicate mismanagement or fraudulent activity.
b) Days in inventory: Days in inventory is a ratio that measures the average number of days it takes for inventory to be sold. It is of interest to auditors as it provides insight into the efficiency of the company's inventory management system. A high number of days in inventory could indicate that inventory is not being managed efficiently, leading to potential overstatement of inventory and understatement of cost of sales.
c) Days in accounts receivable: Days in accounts receivable is a ratio that measures the average number of days it takes for customers to pay their bills. It is of interest to auditors as it provides insight into the efficiency of the company's accounts receivable management system. A high number of days in accounts receivable could indicate that the company is not collecting receivables in a timely manner, leading to potential overstatement of accounts receivable and understatement of bad debts.
Account balance:
a) Net income: Net income is the primary measure of a company's profitability. It is at risk if the return on equity ratio is lower than expected, as it may indicate mismanagement or fraudulent activity.
b) Inventory: Inventory is a major component of cost of sales and is at risk if the days in inventory ratio is higher than expected, as it may indicate potential overstatement of inventory and understatement of cost of sales.
c) Accounts receivable: Accounts receivable represent amounts owed to the company by customers. They are at risk if the days in accounts receivable ratio is higher than expected, as it may indicate potential overstatement of accounts receivable and understatement of bad debts.
Assertion:
a) Existence: The existence assertion is at risk for net income if the return on equity ratio is lower than expected, as it may indicate mismanagement or fraudulent activity.
b) Valuation: The valuation assertion is at risk for inventory if the days in inventory ratio is higher than expected, as it may indicate potential overstatement of inventory and understatement of cost of sales.
c) Completeness: The completeness assertion is at risk for accounts receivable if the days in accounts receivable ratio is higher than expected, as it may indicate potential overstatement of accounts receivable and understatement of bad debts.
For more questions like audit visit the link below:
https://brainly.com/question/23459191
#SPJ11
What does "Certeris Paribus" assume when
calculating how people spend money?
A. The person has held the same job with the same amount of
pay
B. The person has been promoted and makes more money than
before.
C. The person has lost their job and is unemployed at the
moment.
D. The person has taken a second job for additional income.
If you were a business man,how would you handle your home trade
Answer:
I wouldnt
Explanation:
i like my home, i wouldnt want to trade it
what currency was the base, or center, currency in the erm used in europe during the 1980s and 1990s
The Deutsche Mark (German mark) was the base currency in the European Exchange Rate Mechanism (ERM) during the 1980s and 1990s.
The European Exchange Rate Mechanism (ERM) was an arrangement introduced in 1979 to foster stability among the participating European currencies. It aimed to maintain exchange rate stability and limit fluctuations between member countries.
In the ERM, each currency had a central or base currency to which its exchange rate was pegged. During the 1980s and 1990s, the Deutsche Mark (German mark) served as the base or center currency in the ERM.
As the largest and strongest economy in Europe at the time, Germany and its currency, the Deutsche Mark, played a crucial role in the ERM. Other participating currencies, such as the French franc, Italian lira, and British pound, were linked to the Deutsche Mark within certain exchange rate bands.
The choice of the Deutsche Mark as the base currency reflected the economic influence and stability of Germany during that period. It also reflected the importance of the German economy in shaping the monetary policies and exchange rate dynamics within the ERM framework.
However, it is important to note that the ERM underwent significant changes and ultimately led to the establishment of the Eurozone and the adoption of the euro as a common currency for many European countries.
Learn more about Exchange Rate here:
https://brainly.com/question/31573287
#SPJ11
When will the Social Security fund dry up at Its current level?
• A.
2022
© B.
2027
• C
2037
© D. 2097
© E. 2117
Answer:
c. 2037
Explanation:
As a result of changes to Social Security enacted in 1983, benefits are now expected to be payable in full on a timely basis until 2037, when the trust fund reserves are projected to become exhausted.
What are three ways in which you can show respect to your immediate supervisor? (you can use your own answers)
Answer:
Speak with a good tone, dont be cocky or rude be polite
Do as they tell you, will they be wromg sometimes of course but to keep your superior in this case happy and keep your job do as your told.
Say yes sir and yes ma'am or no sir and no ma'am, always show respect, it helps you get respect in return and maybe even a raise one day
how come ethics impact on psychology
Answer:
Ethical implications are the impact in which psychological research could have on the rights of individuals. This could be how the research affects public policy or the way in which certain groups are viewed or treated.
Explanation:
Discuss intellectual property frankly.
Be conscious of multiple roles.
Follow informed-consent rules.
Respect confidentiality and privacy.
Tap into ethics resources
Company A bought Company B in 2015 and appropriately recorded $750,000 of goodwill related to the purchase. On December 31, 2019, the fair value of Company B is $5,200,000 and it is carried on Company A’s books at a total book value of $5,800,000, including the goodwill. An analysis of Company B’s assets indicates that the fair value of the net assets of the division total $5,100,000 on December 31, 2019. What goodwill impairment should be recognized by Company A in 2019?
Answer:
Company A and B
Impairment of Goodwill = $700,000
Explanation:
Goodwill on acquisition in 2015 = $750,000
Fair value of Company B in 2019 = $5,200,000
Book value of Company B in Company A = $5,800,000
Assessed fair value of Company B = $5,100,000
Goodwill impairment = $5,100,000 - $5,800,000 = $700,000
Company A's Goodwill impairment arises when the carrying amount of Goodwill in Company A exceeds the fair value of Company B. It is important to check for impairment of goodwill annually. The purpose of assessing goodwill for impairment is to ensure that the carrying amount of goodwill does not exceed the fair value.
The Federal Reserve is worried about rising prices, so it has decided to decrease the money supply. The government wants to encourage economic growth, so it has decided to cut taxes. This situation shows that the Federal Reserve and the government can have _____ goals.
The Federal Reserve has chosen to reduce the amount of money in circulation because it is concerned about growing prices. The administration has chosen to reduce taxes in order to promote economic growth. This instance demonstrates how the objectives of the Federal Reserve and the state can diverge.
What is Economic growth?The rise or improvement in the market value of the commodities and services generated by an economy within a fiscal year is referred to as economic growth. Statisticians typically gauge this growth as a percentage rate of growth in the real GDP, or gross domestic product.
To remove the distorting influence of inflation on the prices of produced items, growth is typically calculated in real terms, i.e., terms adjusted for inflation. National income accounting is used to calculate economic growth. The benefits and downsides of that approach are present since economic growth is calculated as the annual percent change of GDP. Utilizing the GDP to population ratio, it is common practice to compare the economic growth rates of various nations.
To learn mor about economic growth, visit:
brainly.com/question/1690575
#SPJ1
How much of the total did Raul contribute himself
1. The total balance in the account after 40 years would be $192,520.
What is balance?Balance is a fundamental concept in a wide range of disciplines, including physics, biology, finance, and psychology. It refers to the ability to maintain equilibrium or stability, and the ability to adapt and adjust when faced with external challenges. Balance is achieved by creating internal stability and harmony, and by avoiding extremes and unnecessary risks. In physical terms, balance is achieved when the forces acting on a system are equal and opposite.
2. Raul contributed $120,000 himself.
3. Raul made $92,520 through compound interest in the savings account.
4. Raul could have increased the total amount of money he made over the 40 years by investing his money instead of keeping it in a savings account. Investing has the potential to earn higher returns than a savings account and has the potential to increase the total amount of money made over the 40 years.
To learn more about balance
https://brainly.com/question/29310271
#SPJ1
Complete Question:
Raul Raul is a saver. He sets aside $100 per month during his career of 40 years to prepare for retirement. He does not like the idea of investing because he prefers to minimize his risk as much as possible, so he puts his money in a savings account which earns 1.596 interest per year 1. What is the total balance in 2. How much of the total did 3. How much money did Raul the account after 40 years? Raul contribute himself? make through compound interest in this savings account? N 4. Identify one way Raul could have increased the total amount of money he made over the 40 years. Explain your reasoning.
What is the opportunity cost of the first 20 computers? dvd(s) c. between which two consecutive points along the ppc is the opportunity cost of dvds the highest?
10 WRONG
B and A
Two consecutive points along the PPC is the opportunity cost of DVDs increasing.
What is the opportunity cost of moving from point C to D?The opportunity cost of moving from point C to D is 40 tons of oranges. The per-unit opportunity cost of moving from point C to point D is 1/2 ton of oranges (40 tons of oranges/80 tons of pears). Economic growth is shown by a shift to the right of the production possibilities curve.What is the opportunity cost of computers?Opportunity cost is a different metric for cost. The amount of wheat that could be produced using the labor required to make one computer, in our example, is the opportunity cost of a computer. Comparative advantage is the capacity to produce a good at a lower opportunity cost than another producer.To learn more about Opportunity Cost, refer
to https://brainly.com/question/25922327
#SPJ4
List qualities a good manager should have. What are the advantages and drawbacks of being in a position of authority?The qualities of a good manager are:The advantages of being a manager are:The drawbacks of being a manager are: