In order to shorten a project, managers need to look for critical activities that can be shortened with the ____ increase in cost per unit of time

Answers

Answer 1

In order to shorten a project, managers need to look for critical activities that can be shortened with the minimal increase in cost per unit of time.

Identifying critical activities: Critical activities are those activities in a project that have no slack or float, meaning they have no buffer time and any delay in these activities would directly impact the overall project timeline.

These activities are typically identified using project scheduling techniques, such as the Critical Path Method (CPM) or Program Evaluation Review Technique (PERT).

By identifying critical activities, project managers can focus their efforts on activities that are most critical to the project timeline and have the potential for time reduction.

Assessing the cost-time trade-off: Once critical activities are identified, project managers need to assess the cost-time trade-off for each activity. This involves evaluating the impact of shortening the duration of an activity on the project timeline and the corresponding increase in cost per unit of time.

For example, if a certain activity can be shortened by one day, what would be the additional cost associated with that reduction? It's important to carefully consider the trade-off between time reduction and cost increase to ensure that the overall project cost remains within acceptable limits.

Prioritizing activities for shortening: Based on the assessment of cost-time trade-off, project managers can prioritize activities that are most amenable to time reduction.

Typically, activities that have low cost increase per unit of time and high impact on the project timeline are good candidates for shortening.

For instance, if shortening the duration of an activity by a day has a significant impact on the project timeline and the associated cost increase is minimal, it may be a high-priority activity for shortening.

Considering resource availability and constraints: Another important consideration in shortening critical activities is the availability of resources. Shortening an activity may require additional resources or increased effort, which may not always be feasible due to resource constraints.

Project managers need to carefully assess the availability of resources and their capacity to handle increased workload or extended work hours, and consider the impact on other project activities or team members.

It's important to balance the need for time reduction with the availability and capacity of resources to avoid overloading the project team.

Monitoring and controlling the shortened activities: Once critical activities are shortened, project managers need to closely monitor and control the progress of these activities to ensure that they are completed as planned.

Regular progress tracking, communication with team members, and proactive problem-solving can help to identify and address any issues or delays that may arise during the shortened activities.

Monitoring and controlling the shortened activities are essential to ensure that the time reduction efforts are effective and do not result in unintended consequences.

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Related Questions

Consumers tend to purchase a good at a lower than at a higher price. Why (state any assumptions made)? Do consumers always behave this way? Explain your response.

Answers

According to the law of demand, the price of a good is negatively related to the quantity demanded all other things remaining equal.

Consumers do not always buy good at a lower price than at a higher price.

What is the law of demand?

According to the law of demand, the higher the price, the lower the quantity demanded and the lower the price, the higher the quantity demanded. there is an inverse relationship between price and quantity demanded.

Consumers do not always buy goods at a lower price than a higher price. For example, for luxury goods, consumers would prefer to buy it at a higher price than at a lower price. This is because luxury goods are used to show wealth. If the price of a good that is considered to be used solely be wealthy people declines, some rich people would not want to purchase the goods again because it is now affordable by the masses.

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Which of the following statement on relative valuation is false? Select one: O A. EBITDA should be adjusted for extraordinary write-offs when using the EBITDA multiples valuation model. O B.To reflect differences in risk characteristics and growth opportunies, EBITDA multiples should be adjusted for differences in profit margins. O C. The critical assumption underlying the relative valuation approach is that the comparable assets are truely comparable to the investment be evaluated. O D. The P/E multiples does not make economic sense when EPS is negative O E. None of the above.

Answers

The false statement on relative valuation is: B. To reflect differences in risk characteristics and growth opportunities, EBITDA multiples should be adjusted for differences in profit margins.

Instead of adjusting for differences in profit margins, EBITDA multiples should be adjusted for differences in risk and growth characteristics directly, rather than through profit margins.

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acme global has a product that sells for $1,000. the company wants to make a 10% profit on its sales price. it takes 10 hr of labor to make the product. materials cost $300 and overhead costs $300. what would be the hourly pay for the worker who puts the product together? a. $30 b. $100 c. $300 d. $60

Answers

The hourly pay for the worker who puts the product together would be $30.

To calculate the cost of the product, we need to consider the desired profit margin and the costs involved. Acme Global wants to make a 10% profit on the sales price of $1,000, which means they want to earn $100 on each sale.

The total cost of the product is the sum of materials, overhead, and labor costs. Given that the materials cost $300 and overhead costs $300, the remaining amount for labor and profit is $1,000 - $300 - $300 - $100 = $300.

Since it takes 10 hours of labor to make the product, we divide the total labor and profit cost ($300) by the number of hours (10) to find the hourly pay. Therefore, $300 ÷ 10 = $30 per hour.

The worker who puts the product together should be paid $30 per hour. This calculation ensures that Acme Global makes a 10% profit on the sales price while covering the costs of materials, overhead, and labor

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find the future value of an annuity of $1700 paid at the end of each year for 15 years, if interest is earned at a rate of 4%, compounded annually. (round your answer to the nearest cent.)

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The future value of an annuity with a principal of $1700 paid at the end of each year for 15 years and interest at a rate of 4% compounded annually is $3,062.

The worth of a series of recurrent payments at a specific future date, assuming a specific rate of return, or discount rate, is the future value of an annuity. The future value of the annuity increases with the discount rate. The present value of an annuity, on the other hand, calculates how much cash will be needed to provide a series of future payments.

Computation of Future Value of Annuity:

\(A = P (1 + t)^{n}\)

P = $1700

t = 4 / 100 = 0.04

n = 15 years

A = 1700 ( 1 + 0.04)¹⁵

A = 1700 * 1.801

Therefore Amount = $3,061.6 ≅ $3,062

Therefore, the future value of the Annuity = $3,062

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Who decides what goods and services should be produced and how those goods are to be produced in a command economy?.

Answers

Answer:

america

Explanation:

D. government officials.

Will Mark Brainliest...

Think of a time when you had to make a decision.
Write down how you handled the situation. What steps did you take? Did your decision turn out like you had hoped it would? Do you feel the decision you made was a positive one? Why or why not?

Answers

Answer:

I was deciding on whether I should buy a fishing rod with my birthday money or not. So first, I consulted two of my friends who love to go fishing. They told me which rods are good for their price, and which brands I should choose. Then my friends taught me how to fish and the tactics of fishing. I ordered my rod, and then tried fishing with it. I will definitely say it was worth it! It was a positive decision. :)

Answer:

Sure, I'd be happy to share a time when I had to make a decision.

A few years ago, I was offered a new job that would have been a significant promotion for me. The job was in a different city, and it would have meant moving away from my family and friends. I was really excited about the opportunity, but I was also hesitant to leave my support system behind.

I took some time to think about the decision. I talked to my family and friends about it, and I did some research on the city where the job was located. I also thought about my long-term goals and what I wanted out of my career.

In the end, I decided to take the job. It was a difficult decision, but I felt like it was the right one for me. I knew that it would be a challenge, but I was confident that I could succeed.

The decision turned out to be a positive one. I've been in the new job for a few years now, and I've really enjoyed it. I've met new people, learned new things, and made a lot of professional progress. I'm also closer to my family and friends than I was before, because I make more of an effort to stay in touch.

I'm glad that I made the decision to take the job. It was a challenging decision, but it was the right one for me. I'm grateful for the opportunity, and I'm excited to see what the future holds.

Here are the steps I took in making the decision:

1. I identified the decision that I needed to make.

2. I gathered relevant information about the job, the city, and my long-term goals.

3. I identified the alternatives, which were to take the job or to stay in my current job.

4. I weighed the evidence for and against each alternative.

5. I made a decision to take the job.

6. I took action by accepting the job offer.

7. I have reviewed my decision, and I feel that it was a positive one.

I'm glad that I took the time to make a thoughtful decision. I think it's important to weigh all of your options and to consider the potential consequences of your choices before making a decision.

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why would a customer consider the coldline storage class?

Answers

Coldline storage is a better option than nearline or standard storage in situations where the 90-day minimum retention period, slightly lower availability, and higher costs associated with data access are acceptable tradeoffs for lower storage prices is.

Data can be stored onsite, on external drives, remote devices, removable media, or online (in the cloud). For large amounts of data, organizations often use storage area networks (SANs), network-attached storage (NAS) appliances, software-defined storage (SDS), or cloud-based storage.

Nearline storage is also suitable for data backup, long-tail multimedia content, and data archiving. Note, however, that coldline or archival storage is more cost-effective for data that is accessed less frequently than quarterly, as storage costs are lower.

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Which of the following food systems career opportunities has the highest job growth rate?
butchers
chefs
food scientists
bakers

Answers

Answer: chefs has highest job growth rate
Chefs has the highest growth rate

PLZ HELP ON TIMER CARRERS!!!!! 15 POINTS

The advantages of being an entrepreneur are _____.
a.
excitement, independence, and financial risk
b.
flexibility, independence, and salary potential
c.
short working hours, independence, and financial risk
d.
administration, short working hours, and excitement


Please select the best answer from the choices provided

Answers

Answer:

B.

Explanation:

It seems most reasonable.

Drag each label to the correct location on the image. Not all tiles will be used.
How does a sick employee usually affect an employer or owner?

Drag each label to the correct location on the image. Not all tiles will be used.How does a sick employee

Answers

The ways that a sick employee usually affects an employer or owner are:

Reduces productivity Disrupts the work schedule Increases medical compensation costs

How can a sick employee affect their employer ?

When an employee is sick, the employer suffers because there will be reduced productivity in the office. This is because the employee might either not come in due to their being sick, or work really slowly if they do come in, for the same reason. As a result, productivity is lower.

Because productivity is lower, then the work schedule will be disrupted. For instance, if a certain deadline was to be met, it would become much more difficult to meet that deadline with the sick employee not being able to work as fast. The sick employee would then most probably have to go to a hospital or engage in some activity that would be paid for by medical insurance. Should this happen, then the employer will see their medical compensation costs rise as their insurance premiums rise.

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if management fails to justify a material change in accounting principle, the auditor should group of answer choices add a basis for modified opinion paragraph to the report and express a qualified or an adverse opinion. disclaim an opinion because of uncertainty. disclose the matter in a separate emphasis-of-matter paragraph but not modify the opinion paragraph. neither modify the opinion nor disclose the matter because both principles are generally accepted.

Answers

If management fails to justify a material change in accounting principle, the auditor adds a basis for modified opinion paragraph to the report and express a qualified or an adverse opinion. (a) is correct option.

The rules and regulations that businesses and other organizations must abide by when presenting financial information are known as accounting principles. The language and procedures that accountants must employ are standardized by these guidelines, making it simpler to analyze financial data.

To ensuring that a business's financial statements are comprehensive, consistent, and comparable is the ultimate purpose of any set of accounting standards. As a result, it is easier for investors to examine and glean valuable information from the firm's financial statements, such as historical pattern data. Additionally, it simplifies the process of comparing financial data between various businesses. Accounting principles can reduce fraudulent activity by increasing openness and making it simpler to recognize warning signs.

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Which method of corporate finance is predominately used by "GROWTH companies"?
A-retained earnings
B-new stock issues
C-borrowing
D-none of these are used by “growth companies"

Answers

Answer:

The method of corporate finance that is predominately used by "GROWTH companies" is B: "new stock issues."

Explanation:

Growth companies are companies that are expanding rapidly and reinvesting their profits back into the business to fuel further growth. As such, they typically need to raise additional capital to support their expansion plans. One way they can do this is by issuing new stock, which allows them to sell ownership stakes in the company to investors in exchange for funding. This can be an attractive option for growth companies because it does not require them to take on debt, which can be costly and risky, and it also does not reduce their retained earnings, which they can continue to reinvest in the business. Retained earnings and borrowing are also commonly used methods of corporate finance, but they may not be as suitable for growth companies depending on their specific circumstances.

Considering the balance sheet for all commercial banks in the U.S., the largest category of assets is:
a. cash items.
b. U.S. Government Securities.
c. required reserves.
d. loans.

Answers

The largest category of assets on the balance sheet of all commercial banks in the U.S. is loans. Option D.

Loans refer to the money that is borrowed by individuals, businesses, and other entities from commercial banks for various purposes such as buying a house, starting a business, or expanding operations. Loans are considered an asset because they generate income for the bank through the interest charged on them.
The amount of loans that a bank can make is limited by the amount of deposits it has, and the reserves it is required to hold by law. Required reserves refer to the minimum amount of money that banks must keep on hand to meet customer withdrawals and other obligations. These reserves are held with the Federal Reserve, and banks are required to keep a certain percentage of their deposits as reserves.
In conclusion, loans are the largest category of assets on the balance sheet of all commercial banks in the U.S. This is because loans generate income for the bank, and are a key part of the banking business model. While cash items and U.S. Government Securities are also important asset categories for banks, loans are the primary source of income for most banks. Option D is correct.

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Advertising, sales promotion, public relations, and buzz building activities are all ________. A) channels that should be integrated under the concept of integrated marketing communications B) channels focused more on interactive marketing than traditional marketing C) promotional tools used for push strategies but not pull strategies D) promotional tools used for pull strategies but not push strategies

Answers

Answer:

B

Explanation:

Hope it helped you1

This action allows the stock to be purchased on the open market and gives investors a chance to get a return of cash. liquidation company registration

Answers

By taking this move, the stock can be bought on the open market and investors have an opportunity to get a cash payout. registration of a liquidation firm before an IPO. Thus, option (D) is correct.

What is the market?

The entire number of buyers and sellers in the area or region under consideration is referred to as the market. Earth, as well as several nations, regions, states, and cities, may be the subject. The worth, expense, and cost of the goods traded depend on the forces of supply and demand in the market.

A public offering in which shares of a firm are sold to institutional investors and typically also to retail investors is known as an initial public offering (IPO) or stock launch. One or more investment banks typically underwrite an IPO and coordinate the shares' listing on one or more stock markets.

Therefore, Thus, option (D) is correct.

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if decision makers adjust fully to demand stimulus policies, persistent expansionary macro-policy will lead to

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If decision makers fully adjust to demand stimulus policies, a persistent expansionary macro-policy can lead to inflationary pressures in the economy.

When the government implements expansionary fiscal or monetary policies to stimulate demand, such as increasing government spending or lowering interest rates, it can lead to increased aggregate demand in the economy. If decision makers fully respond to these policies by increasing their spending and investment, it can result in sustained economic growth. However, if the growth in demand outpaces the economy's capacity to produce goods and services, it can create inflationary pressures. This is known as demand-pull inflation, where excessive demand leads to rising prices.

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Who's better?
Chris Brown or Lil Tjay?

Answers

Answer:

Lil Tjay and the song F.N or Mood Swings

Explanation:

Answer:

Lil Tjay

Explanation:

yk ion listen to Lil Tjay but calling my phone and some songs are good tbh chris brown already had his time in 2014

Jhuly’s Cat topia Co. has $14 million in annual credit sales with a cost of goods of $10.5 million. The balance sheet shows $5 million in accounts receivable, $4 million in inventory (professor comment, "That’s a pile of kitty litter!") and accounts payable of $2 million at the end of the period. They finance working capital with bank loan that charges 10.1% interest. In days what is Cat topia’s cash conversion cycle? (Round to the nearest day on your intermediate calculations)
Group of answer choices 199 339 130 139

Answers

If Jhuly's Cat Topia Co. has $14 million in annual credit sales with a cost of goods of $10.5 million then Cat Topia's cash conversion cycle is 139 days.

The balance sheet shows $5 million in accounts receivable, $4 million in inventory, and accounts payable of $2 million at the end of the period. They finance working capital with a bank loan that charges 10.1% interest.

In days, the cash conversion cycle of Cat Topia is 139.

The cash conversion cycle is a metric that tracks the number of days it takes to convert a company's investment in inventory and other resources into cash flows from sales.

The formula is Cash Conversion Cycle = Days of Inventory Outstanding + Days of Sales Outstanding - Days of Payables Outstanding. So, let's calculate these values: DIO = Average Inventory / (COGS / 365) = $4,000,000 / ($10,500,000 / 365) = 140 days

DSO = Accounts Receivable / (Annual Sales / 365) = $5,000,000 / ($14,000,000 / 365) = 131 daysDPO = Accounts Payable / (COGS / 365) = $2,000,000 / ($10,500,000 / 365) = 70 days

Therefore, CCC = DIO + DSO - DPO = 140 + 131 - 70 = 201 days

However, this is the number of days in which the company turns its investment in inventory and accounts receivable into cash. So we have to subtract from this the number of days it takes the company to repay its accounts payable: CCC = 201 - 62 = 139

Therefore, Cat Topia's cash conversion cycle is 139 days.

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An analyst has modeled the stock of a company using the Fama-French three-factor model. The risk-free rate is 5%, market return is 8%the return on the SMB portfolio is 3%, and the return on HML portfolio is 4%If a(I) = 0.2; b{i} is 1.1, c (I) = - 0.5 , and d (I) = 1.2 what is the stock's predicted return?

Answers

The Fama-French three-factor model is used to predict the stock's return based on the risk-free rate, market return, and the returns on the size and value portfolios (SMB and HML).  

The Fama-French three-factor model is based on the idea that the excess return of a stock can be explained by three factors: the excess market return, the size premium (SMB), and the value premium (HML).

To calculate the stock's predicted return, we use the formula:

Predicted Return = Risk-Free Rate + (Beta * Market Premium) + (SMB * Size Premium) + (HML * Value Premium)

Given the information provided:

Risk-Free Rate = 5%

Market Return = 8%

SMB Return = 3%

HML Return = 4%

Beta (β) = 1.1

Size Premium (a) = 0.2

Value Premium (c) = -0.5

Now we can calculate the stock's predicted return:

Predicted Return = 5% + (1.1 * (8% - 5%)) + (0.2 * 3%) + (-0.5 * 4%)

Predicted Return = 5% + (1.1 * 3%) + (0.2 * 3%) + (-0.5 * 4%)

Predicted Return = 5% + 3.3% + 0.6% - 2%

Predicted Return = 7.9%

Therefore, the stock's predicted return based on the Fama-French three-factor model is 7.9%.

This model takes into account the risk-free rate, market return, and the size and value factors to provide an estimate of the stock's expected performance.

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Does the state of the US economy have an effect on local businesses started by entrepreneurs? Please explain your answer.​

Answers

The state of the United States' economy has an effect on local businesses that are started by entrepreneurs as it determines the amount of sales that the local business would make.

How does the U.S. economy affect local businesses?

The state of the U.S. economy determines the income level of the average person in America. If the economy is doing well, then people generally have more income than if the economy is performing poorly.

When the economy is doing well and people have more income, they will be able to buy more goods and services from businesses including the local businesses established by entrepreneurs. If the reverse is the case, then local businesses would generally suffer when the economy is bad and people have less income.

There are also local businesses that see their income increase when the economy is doing poorly for instance, financial planners and health care.

In conclusion, local businesses started by entrepreneurs get affected by the state of the U.S. economy.

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Okay, how many weeks would you have to work to pay for Gary’s $1200 mistake?

Answers

Answer:

i thinks its 1 year huhuhuh

breakeven analysis is a way to compare the total costs of multiple options. True or False

Answers

The statement 'breakeven analysis is a way to compare the total costs of multiple options' is  False because breakeven analysis is a tool used by businesses to determine the point at which their total costs and total revenues are equal.

It is used to determine the minimum sales volume needed to cover all associated costs and generate a profit for the business.

Breakeven analysis does not compare the total costs of multiple options, but rather looks at the costs and revenues associated with a single option to determine the point at which it will become profitable.

It is important to note that breakeven analysis only considers fixed costs, variable costs, and sales revenues. Other factors, such as marketing and advertising, are not taken into consideration.

Breakeven analysis is a way to determine the point at which a business’s total costs equal its total revenues. It is used to calculate the number of units or sales required to cover all costs, including fixed and variable costs, and reach profitability. Hence, the statement is false.

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Each year, you must file ____________________.
1. your federal, state, county and town taxes
2. only your state taxes since federal taxes are filed every four years
3. only your federal taxes since state taxes get filed every other year
4. your federal taxes and state taxes if your state requires it

Answers

According to the Internal Revenue Services and the tax code, each year, you must file "your federal taxes and state taxes if your state requires it"

Individuals are required to pay taxes to the federal government and the state government.

There are various types of taxes available, some of which include the following:

Income TaxPayroll TaxExcise TaxCorporate Tax, etc.

All these taxes are paid to the federal government and state if they require it.

Hence, in this case, it is concluded that the correct answer is option D. "your federal taxes and state taxes if your state requires it."

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Answer: the answer is D

Explanation:

Which margin is at the very bottom of the page when printing worksheets?

top margin
bottom margin
header margin
footer margin

Answers

Answer:

Footer Margin

Explanation:

Just took this :)

Answer:

Footer Margin

Explanation:

Clay LLC placed in service machinery and equipment (seven-year property) with a basis of $3,450,000 on June 6, 2019. Assume that Clay has sufficient income to avoid any limitations. Calculate the maximum depreciation expense including §179 expensing (ignoring any possible bonus depreciation). (Use MACRS Table 1.) (Round final answer to the nearest whole number.)
Group of answer choices
$1,020,000
$493,005
$455,857
$595,857
None of the choices are correct.

Answers

final answer, option d is $595,857 to the nearest whole number The maximum depreciation expense, including 179 expensing.

Are Section 179 and depreciation allowed?

Both Section 179 and Bonus Depreciation Allowances may be claimed by a firm, however Section 179 must be used first, and Bonus Depreciation Allowances may be claimed for any amount that exceeds the Section 179 cap of $1,160,000 after that. Any property put into use will no longer qualify for 100% bonus depreciation as of January 1, 2019.

Is Section 179 expense the same as depreciation expense?

Major variations. The IRS imposes a cap on Section 179 depreciation ($1,040,000 in 2020), and any acquisitions that exceed the cap ($2,580,000 in 2020) are deducted from the total amount of Section 179 depreciation. There is no annual cap on the deduction for bonus depreciation. More flexibility is provided by Section 179.

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You are moving all the resources of your company's cloud deployment from one cloud service provider to another. What will you need to investigate to ensure you can correctly perform migration?
a. downtime impact
b.virtualization format
c.Global time zones
d. working hours

Answers

To ensure a smooth migration of your company's cloud deployment from one service provider to another, there are a number of aspects you need to look at. Here are four crucial aspects to pay attention to:

1. Impact of Downtime: Consider how the migration procedure can affect your business operations. Establish the anticipated downtime and make plans to reduce it, such as establishing a failover environment or planning the migration for off-peak times.2. Virtualization Format: Recognise which virtualization formats the source and target cloud service providers support. This will assist the migration of your current virtual machines, containers, or images and help assure compatibility.3. Consider the international scope of your organisation and how time zones may impact migration.

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Exceeding WHO framework Convention on Tobacco Control (FCTC) obligations: Nepal overcoming tobacco industry interference to enact a comprehensive tobacco control policy

Answers

Exceeding WHO Framework Convention on Tobacco Control (FCTC) obligations: Nepal overcoming tobacco industry interference to enact a comprehensive tobacco control policy.

What is a tobacco control program?

CDC's Office on Smoking and Health (OSH) created the National and State Tobacco Control Program (NTCP) in 1999 to encourage coordinated, national efforts to reduce tobacco-related diseases and deaths. The program provides funding and technical support to state and territorial health departments.

What are 3 strategies for preventing the use of tobacco?

Strategies that comprise successful comprehensive tobacco control programs include mass media campaigns, higher tobacco prices, smoke-free laws and policies, evidence-based school programs, and sustained community-wide efforts.

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.Others at work see me as assertive. need answers for application

Answers

Answer:

yes

Explanation:

It is an ability to defend your rights without hurting those of others. An assertive person, therefore, is the one who can express his emotions, needs, and opinions to others without being forceful in any way

List the 3 main credit bureaus and explain what information they collect.

Answers

The three main credit bureaus are Equifax, Experian, and TransUnion, which collect and research individual credit information sold to creditors.

What is a credit bureau?

A credit bureau provides the information that creditors and lenders use to make important lending decisions.

Principally, credit bureaus:

Collect credit information of individuals.Make the information available to third parties (lenders and creditors).Provide credit ratings and reports to individuals when requested.

Thus, a  credit bureau provides the information that creditors and lenders use to make important lending decisions.

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due to perfect weather conditions there is a larger than expected crop of oranges this year

Answers

ok but whats the question

Other Questions
1. Mi hermano y yo2. Mi mam3. El chico4. Cmo5. Juana y Silvia 1.compile a list of cultural factors that might impact on service delivery to aboriginal and/or torres strait islander clients (e.g., language barriers, health/ community issues, etc.) 2. An ambulance traveling at 20 m/s emits a sound at 500 Hz. What frequency does a person standing on the corner of a street detect? A television is on sale for $379. That is 18% off the original price. Find the original price of the television. 9. A refrigerator is priced at $1,580. Daniel has a coupon for 10% off. What is the sales price Daniel will pay for the refrigerator? How much will he pay for the refrigerator including 8.875% sales tax. 10. A computer desk sells for $450. Sophia has a coupon for 22% off. What is the sales price Sophia will pay? How much will Sophia pay including 8.875% sales tax? 11. Electronic Depot is selling a car stereo for $140 and 30% off. The Beatbox is selling the same stereo for $135 and 25%. Which store has the better sales price? 12. You buy dinner for your family. The bill comes to $86.00 including tax. You decide you will leave the waitress an 18% tip. How much is the tip? Dexter Mills issued 20-year bonds a year ago at a coupon rate of 10.2 percent. The bonds make semiannual payments. The yield-to-maturity on these bonds is 9.2 percent. What is the current bond price?$985.55$991.90$1,042.16$1,089.02$1,098.00 T hc vi sch gio khoa l g Which is the best definition of poor, as it is used in the passage? inexpensive meager pitiful unfortunate 10) Since plants perform photosynthesis, what is the important thing that plants pass on to consumers Canniff Air uses two measures of activity, flights and passengers, in the cost formulas in its budgets and performance reports. The cost formula for plane operating costs is $56,860 per month plus $2,630 per flight plus $4 per passenger. The company expected its activity in February to be 65 flights and 266 passengers, but the actual activity was 64 flights and 267 passengers. The actual cost for plane operating costs in February was $225,000. The plane operating costs in the planning budget for February would be closest to: Challenge Andy and Emily each go to a hardware store to buy wire. Thetable shows the cost y in dollars for x inches of the wire they need. Andyneeds 23 feet of the wire. Emily needs 15 yards of the wire. How much willeach of them spend for wire? how many yards are in 2.5 Miles How many bonds and lone pairs surrounding the central atom of OF2 5 kilograms 45 grams help needed 10. In the conclusion, how have the colonists appeal with oppressions? What did they wishfor Great Britain to do in returning for mistreatment? It indicates the relation of the action expressed by the verb to the subject. What are the important issues of 18-21 year olds? Please help me i would appreciate it a lot Greta has risk aversion of A=5 when applied to return on wealth over a one-year horizon. She is pondering two portfolios, the S\&P 500 and a hedge fund, as well as a number of 5-year strategies. (All rates are annual and continuously compounded.) The S\&P 500 risk premium is estimated at 10% per year, with a standard deviation of 16%. The hedge fund risk premium is estimated at 12% with a standard deviation of 31%. The returns on both of these portfolios in any particular year are uncorrelated with its own returns in other years. They are also uncorrelated with the returns of the other portfolio in other years. The hedge fund claims the correlation coefficient between the annual return on the S\&P 500 and the hedge fund return in the same year is zero, but Greta is not fully convinced by this claim. Compute the estimated 1-year risk premiums, standard deviations, and Sharpe ratios for the two portfolios. (Do not round your intermediate calculations. Round "Sharpe ratios" to 4 decimal places and other answers to 2 decimal places.) ILL MARK BRAINLIST!!What are some reflections and comparisons with life in the USA and Guatemala? Write an opinion paragraphDescribe what parks look like in your city Do you think people benefit from having parks in theircity?Give your opinion with supporting details to match the given topic and concluding sentences.Use at least 5 words from the word bank. Use coordinating conjunctions for 2 sentencesuse (adjectives)(and, but, so, or).Word Banknature relax benefit experiencefeel plant surround attitudecity enjoy pollution green