To solve for the PMT of an ordinary annuity, you will need to know the values of PV, N, and I/YR.
What are the essential components required to determine the PMT of an ordinary annuity?To calculate the PMT (periodic payment) of an ordinary annuity, three key components are necessary: the present value (PV), the number of periods (N), and the interest rate per period (I/YR).
PV represents the current value or principal amount of the annuity. It is the initial investment or the amount that will be received at the beginning of the annuity.
N refers to the number of periods over which the annuity will be paid or received. It could be the number of months, years, or any other time unit depending on the annuity terms.
I/YR represents the interest rate per year applied to the annuity. It determines the rate at which the annuity will grow or discount over time.
By knowing the values of PV, N, and I/YR, you can calculate the PMT using various financial formulas or functions. This information allows for accurate determination of the periodic payment required in an ordinary annuity.
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Select the correct navigation path to freeze the top row of your worksheet.
To freeze the top row of a worksheet in most spreadsheet software, including Microsoft Excel, you have to click on the "Freeze Panes" or "Freeze Top Row" option.
You can follow the following navigation path:
1. Open your worksheet in the spreadsheet software.
2. Locate the row below the row you want to freeze (usually row 2) by scrolling through the worksheet.
3. Click on the row number to select the entire row. In this case, click on the row number "2".
4. Look for the "View" tab in the menu bar at the top of the software window. Click on it to access the "View" options.
5. Within the "View" tab, look for the "Freeze Panes" or "Freeze Top Row" option. The exact wording may vary depending on the software version.
6. Click on the "Freeze Panes" or "Freeze Top Row" option. This action will freeze the top row of the worksheet, allowing it to remain visible as you scroll through the rest of the data.
By following these steps, you should be able to freeze the top row of your worksheet. This feature is particularly useful when working with large datasets or lengthy spreadsheets as it ensures that important column headers or labels stay visible while you navigate through the data.
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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.
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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what level are inputs for estimating fair values are based on inputs that are readily available via prices for identical assets or liabilities in actively traded markets such as securities exchanges?
The level you are referring to is Level 1 inputs. In the context of estimating fair values, the Financial Accounting Standards Board (FASB) developed a fair value hierarchy known as the three-level hierarchy.
This hierarchy categorizes inputs used in valuation techniques into three levels based on their reliability and availability.
Level 1 inputs are considered the most reliable and are based on quoted prices for identical assets or liabilities in active markets. These inputs are readily observable and can be directly obtained from reliable sources, such as securities exchanges. Level 1 inputs provide the highest degree of transparency and objectivity in fair value measurements.
Examples of Level 1 inputs include publicly traded stocks, bonds, and other financial instruments that have readily available market prices. The prices of these assets or liabilities can be easily obtained from exchanges or other reliable pricing sources.
It's important to note that Level 1 inputs are considered the most reliable because they are based on actual market transactions and reflect current market prices.
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Which one of these is not an advantage of Kaplan and Norton's Balanced Scorecard?
1. Allows staff to see how roles fit with mission/objectives
2. Monitoring means any poor performance can be addressed
3. Gives shareholder value ultimate priority
4. Provides a broader view
The option that is not an advantage of Kaplan and Norton's Balanced Scorecard is Gives shareholder value ultimate priority. (3)
Gives shareholder value ultimate priority. The Balanced Scorecard focuses on four different perspectives, including financial, customer, internal processes, and learning and growth, rather than solely prioritizing shareholder value.
It provides a broader view of an organization's performance and allows for the monitoring and addressing of any poor performance. It also helps staff understand how their roles fit with the organization's mission and objectives.
Therefore, option 3 is not an advantage of the Balanced Scorecard.
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If 900 dollars is invested at an annual interest rate compounded monthly; the amount in the account at the end of 5 years is given by A = 900 ( 2)" Find the rate of change of the amount A with respect to the rate for the following values of r: r = 4.5 percent: r = 6.5 percent:
The rate of change of A with respect to the rate r when r = 6.5% is 6.22 with higher rate of interest.
The rate of change of A with respect to the rate r increases as the interest rate increases. This is because the higher the interest rate, the faster the balance grows and the larger the impact of a change in the interest rate on the balance.
The given formula for the amount in the account at the end of 5 years is A = 900(2)^n, where n is the number of compounding periods in 5 years, which is 60 since interest is compounded monthly.
We can use the chain rule of differentiation to find the rate of change of A with respect to the rate r.
Let u = 2^(nr/1200), then A = 900u.
Taking the derivative of A with respect to r, we get:
dA/dr = dA/du * du/dr
dA/du = 900
du/dr = (n/1200) * 2^(nr/1200) * ln(2)
Substituting the values of n, r, and ln(2), we get:
For r = 4.5%: du/dr = 0.004688
dA/dr = 900 * 0.004688 = 4.22
Therefore, the rate of change of A with respect to the rate r when r = 4.5% is 4.22.
For r = 6.5%: du/dr = 0.006914
dA/dr = 900 * 0.006914 = 6.22
Therefore, the rate of change of A with respect to the rate r when r = 6.5% is 6.22.
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Write 3-4 paragraphs telling me your thoughts about supply chain issues or inflation
Richard has recently finished college and is about to prepare for his exam to become a certified public accountant. He wants to talk to other accountants to learn how best to prepare for this exam. Which professional organization would be most helpful for him to join?
Answer:
The accountant federation
A polar bond is a covalent bond in which there is an electronegativity difference between the two bonded atoms and electrons are shared unequally. The atom with the higher electronegativity will have a partial _____ charge and is marked with the symbol _____ while the atom with the lower electronegativity will have a partial _____ charge and is marked with the symbol _____.
The atom with the higher electronegativity will have a partial negative charge and is marked with the symbol δ− while the atom with the lower electronegativity will have a partial positive charge and is marked with the symbol δ+ .
The electrons in pure covalent bonds are distributed equally. One atom pulls on the electrons with a stronger force than the other in polar covalent bonds, resulting in an unequal distribution of electrons.
A bond is deemed to be non-polar covalent if the difference in electronegativity between the two bound atoms is less than 0.5. The electrons of each atom are drawn to it in roughly equal numbers, which causes them to spend the same amount of time around each atom.
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Qi, julian, and omar are all in the 24% tax bracket. qi has received $3,000 in corporate bond interest, omar $2,500 in savings account interest, and julian $2,500 in dividends from a us corporation. rank the taxpayers by their tax liability from the amounts received, from least to greatest.
Based on the information provided, Qi, Julian, and Omar are all in the same tax bracket of 24%. However, their tax liability will vary depending on the type of income they received.
First, let's look at Qi who received $3,000 in corporate bond interest. This type of income is typically taxed as ordinary income. So, Qi will owe 24% of $3,000, which is $720. Therefore, Qi's tax liability is $720.
Next, let's consider Julian who received $2,500 in dividends from a US corporation. Qualified dividends are taxed at a lower rate than ordinary income, so Julian's tax liability will be less than Qi's. Assuming that Julian's dividends are qualified, he will owe 15% of $2,500, which is $375. Therefore, Julian's tax liability is $375.
Lastly, let's look at Omar who received $2,500 in savings account interest. Like corporate bond interest, this type of income is also typically taxed as ordinary income. So, Omar will owe 24% of $2,500, which is $600. Therefore, Omar's tax liability is $600.
To rank the taxpayers by their tax liability from the least to the greatest, the order would be Julian ($375), Qi ($720), and Omar ($600). Julian has the least tax liability because he received qualified dividends which are taxed at a lower rate than ordinary income. Qi has the highest tax liability because corporate bond interest is taxed as ordinary income. Omar's tax liability falls in between Julian and Qi's tax liability because he received savings account interest which is also taxed as ordinary income.
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Describe the benefits of having a positive attitude.
The primary advantage of a positive attitude is it helps in achieving the objective of life by keeping clear mindsets.
What is a positive attitude?The concept of having a positive mindset is one that desires and predicts success. To bring enthusiasm into one's life and play an active role in society, one must be ready to attempt new things.
It is a mindset that enables you to notice the positive aspects of others and your own successes rather than only the shortcomings, and it contributes to a healthy way of living.
It is said that if an individual sees positivity in surroundings it helps in bringing positivity in other life as well by reshaping their mentality with positive thoughts and creativity.
Those who have an optimistic outlook tend to be wealthier and more socially skilled because they consistently see the good in every circumstance, which facilitates effective communication.
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who will win the fight tomorrow jake paul or ben askren
winner gets brainlest
Answer:
prolly ben askren
Explanation:
cause he was an ameture wrestler before
Answer: Ben askren bro
Explanation:
James Company began the month of October with inventory of $15,000. The following inventory transactions occurred during the month. a) The company purchased merchandise on account for $22,000 on October 12, 2016. Terms of the purchase were 2/10, n30. James uses the net method to record purchases. The merchandise was shipped f.o.b. shipping point and freight charges of $500 were paid in cash. b) On October 31, James paid for the merchandise pruchased on October 12 c) During October merchandise costing $18,000 was sold on account for $28,000 d) It was determined that inventory on hand at the end of October cost $19,060.
Required. 1. Assuming that James Company uses a period inventory system, prepare journal entries for the above transactions including the adjusting entry at the end of october to record cost of goods sold. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field).
2. Assuming that James Company uses a perpetual inventory system, prepare journal entries for the above transactions (If no entry is required for a transaction/event, select "No journal entry required" in the first account field).
1. Journal entries for the above transactions assuming that James Company uses a periodic inventory system:
Date Accounts Debit Credit
Oct 12 Merchandise Inventory 22,000, Accounts Payable 22,000
Oct 12 Freight-in 500, Cash 500
Oct 31 Accounts Payable 22,000, Cash21,560 Merchandise Inventory 440
Oct 31 Cost of Goods Sold 43,000, Merchandise Inventory 43,000
Oct 31 Sales 28,000, Accounts Receivable 28,000
Oct 31 Accounts Receivable 28,000, Sales 28,000
Oct 31 Cost of Goods Sold 19,060, Merchandise Inventory 19,060
Journal entries for the above transactions assuming that James Company uses a perpetual inventory system:
Date Accounts Debit Credit
Oct 12 Merchandise Inventory 22,000, Accounts Payable 22,000
Oct 12 Freight-in 500, Cash 500
Oct 31 Accounts Payable 22,000, Cash21,560 Merchandise Inventory 440
Oct 31 Cost of Goods Sold 43,000, Merchandise Inventory 43,000
Oct 31 Sales 28,000, Accounts Receivable 28,000
Oct 31 nventory 440, Merchandise Inventory 440
Oct 31 Accounts Receivable 28,000, Sales 28,000
Oct 31 Merchandise Inventory 19,060, Cost of Goods Sold 19,060
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You work in finance and your company is considering buying another company for $10.6 million. Your company does not have $10.6 million in cash and has asked you to evaluate different types of short-term and long-term financing opportunities.
For this assignment, you will have to conduct research to see what options are available for short-term and long-term financing opportunities. Explain why you chose the option you selected and what the short-term and long-term effects of that option will be. Please be specific.
Based on my research and analysis, I would recommend that the company opt for debt financing since it is the best option for short-term financing. It is also easier to obtain the funds quickly, and the interest paid on the loan is tax-deductible.
The long-term effects of debt financing will be that the company will have to make regular payments to repay the loan, which can reduce its cash flow. If the company defaults on the loan, it can also damage the company's credit rating. However, it will help the company to raise the capital it needs to acquire the other company and grow its business.
As a finance professional, my company has tasked me to evaluate different types of short-term and long-term financing opportunities since we are considering buying another company for $10.6 million. There are several financing opportunities to consider, such as equity financing, debt financing, and hybrid financing.
Equity financing is a type of financing option where companies raise capital by selling their shares to the public. This means that the company will have more shareholders, and the ownership will be distributed. This option is good for long-term investments because the company can take its time to repay the amount. Equity financing is not the best option for short-term financing since it can take several months or even years to finalize the deal.
Additionally, it can be difficult for a company to issue shares when the stock market is down. It can also dilute the ownership of the current shareholders.Dibet financing is a type of financing option where companies borrow money from banks, financial institutions, or the public by issuing bonds.
This option is good for short-term financing since it is easier to obtain the funds quickly. However, it has its own set of challenges. For instance, the company has to make regular payments to repay the loan, which can reduce its cash flow. If the company defaults on the loan, it can also damage the company's credit rating.
The interest paid on the loan is also tax-deductible, which can help to reduce the company's tax bill.Hybrid financing is a combination of both equity and debt financing. It is a good option for companies that do not want to dilute their ownership by issuing more shares.
This option can provide flexibility to the company since it can structure the financing in a way that suits its needs. It can also provide tax benefits since the interest paid on the loan is tax-deductible while the dividends paid to the shareholders are not.
However, it can be challenging to structure hybrid financing since it requires the expertise of both equity and debt financing experts.
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The presence of a price control in a market for a good or service usually is an indication that.
In the absence of price regulations, officials considered that the price that was in place in that market was unjust to either buyers or sellers.
What is the difference between the buyer and seller?Buyer is the one who buys or purchase the goods and services from the seller, he has to give some amount of money to purchase the commodity
Seller is the one who sells or give the goods and services to the buyer in return for the money.
Thus, In the absence of price regulations, officials
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the target costing method assumes that a.markup is added to variable cost b.markup is added to product cost c.the selling price is set by the marketplace d.markup is added to total cost
Option C is correct. The target costing method assumes that the selling price is set by the marketplace.
Target Costing Method is the demand for a product or service is the ultimate price of the retailer, for example the expense the purchaser pays. The exchange might be in a specific number, weight or metric for an item or administration.
This is one of the primary elements to be chosen by a client. It is vital on the grounds that the nature of its endurance not entirely settled. The price of a commodity impacts its sales directly
We might set a base, breaking point or blend of these two rates. Contingent upon the season once more, season, region, request and industry, costs not entirely settled. It's likewise smart to see what our opponents do. Selling prices might be impacted by regulation and public or neighborhood rules.
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Imagine an important customer shows up at a hotel that is fully booked, and the reservation is missing. The manager must decide how to respond to the customer. At which level would this decision be made?
An significant client arriving at a fully filled hotel without a reservation would put the decision in the manager's hands.
A business manager is a manager who oversees the activities of a team of workers inside a company or department. They work to maintain the company's productivity, efficiency, and organization at all times by putting operational strategies into place, performing performance evaluations, and supervising all daily operations.
Teams can be led by managers who can give them a trustworthy purpose and direction. It supports staff in achieving their objectives and running daily operations for the business. The following measures for managing projects and possible recruits are also planned.
Thus, as per the situation given it comes under the level of manager's level to make a decision.
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On December 16, Carboy, Incorporated, borrows $120,000 cash from Third National Bank at 9 percent annual interest. The note is due in 45 days. At December 31, Carboy records any unpaid interest with an adjusting entry. On January 30 of the next year, Carboy pays the principal and interest owed on the bank note.
Since there is an interest due of 450, interest payable becomes debit as the payment is done. The same as for notes payable. Carboy records an adjusting entry at December 31, 2019.
Journal EntryInterest Expense (Debit) 450 (Note - 1)
Interest Payable (Credit) 450
Note - 1: Borrowing - $120,000; Interest Rate = 9%; Maturity date = 45 days.
(Assuming 360 days = 1 year).
Therefore, interest expense = ($120,000*0.09)*(15/360) = $450.
Since the maturity date is 45 days, from December 16 to December 31, it should be 15 days. And the maturity date should be January 30, 2020.
The journal entry to record the interest plus principal paid -
Date Particulars Debit Credit
Jan-30, 2020 Interest Expense 900
Interest payable 450
Notes Payable 120,000
Cash 121,350
The interest expense for this month to be payable = $(120,000*0.09)/12 = $900.
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How much would $20,000 due in 50 years be worth today if the discount rate were 7.5%?a. $438.03b. $461.08c. $485.35d. $510.89e. $537.78
Answer:
The present value is $537.78
Explanation:
Given
\(Future\ Value\ (FV) = \$20,000\\Time (T) = 50\ Years\\Discount\ Rate\ (R)= 7.5\%\)
Required
The Present Value(I)
To calculate the present value, we simply apply the formula for future value;
\(FV = I *(1 + R)^T\)
Substitute 20,000 for FV; 50 for T and 7.5% for R;
This gives
\(20,000 = I *(1 + 7.5\%)^{50}\)
Convert percent to decimal
\(20,000 = I *(1 + 0.075)^{50}\)
\(20,000 = I *(1.075)^{50}\)
\(20,000 = I *37.19\)
Divide both sides by 37.19
\(\frac{20,000}{37.19} = \frac{I *37.19}{37.19}\)
\(\frac{20,000}{37.19} = I\)
\(537.778 = I\)
\(I = 547.78\ (Approximated)\)
Hence, the present value is $537.78
Can provider gap 4, the communication gap, be closed prior to closing any of the other three provider gaps? How
Answer:
Gap 4, which deals with lowering customer expectations, can be closed at any time. While the first three gaps are concerned with raising company performance to meet expectations, gap 4 aims to lower customer expectations to meet perceptions.
Explanation:
Gap 4 can reduce customer expectations and can be filled at any time. The first three gaps focus on improving business performance in order to meet objectives.
What is communication?Communication is referred to the exchange of information between two individuals in the form of conversation, opinion, suggestion, or advice with the help of medium or direct interaction.
To match perceptions, gap 4 seeks to lower customer requirements. Since the two strategies for overcoming the consumer gap function according to different principles, they can each take place on their own.
The fourth gap seeks to lower the expectations of customers in order to align with perceptions, as opposed to the other three gaps, which focus on improving firm performance to fulfill expectations.
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The complete question is probably
Can provider gap 4, the communication gap, be closed prior to closing any of the other three provider gaps? why or why not?
According to researchers who have studied grit as a trait, which of the following attributes does that trait incorporate?
a. All of these Attributes b. Perseverance c. Striving for Excellence d. Courage
According to researchers who have studied grit as a trait, Courage is the attributes does that trait incorporate.
What is the purest manifestation of courage?Aristotle asserts that the soldier who chooses to battle despite having no personal motivation to do so other than honor and dignity is more courageous. In fact, according to Aristotle, this is the epitome of bravery since it confronts the greatest fear—death—for the greatest good (the nation).
Why is courage essential?You can overcome your fear of failing when you have the courage to start. You may engage with stakeholders and get over your fear of being rejected with courage. You can attempt things you have never tried before thanks to courage, despite your fear of coming off as foolish.
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What does ceteris paribus mean?
Answer:
rat
Explanatio
one of the most common reasons that entrepreneurial ventures fail is
One of the most common reasons that entrepreneurial ventures fail is lack of market demand. Other reasons include insufficient capital, poor management, fierce competition, and inadequate planning.
entrepreneurial ventures can fail for various reasons. One of the most common reasons is lack of market demand. This occurs when there is little or no demand for the product or service being offered by the venture. It is essential for entrepreneurs to thoroughly research and understand the market before launching their ventures. By identifying a gap or need in the market, entrepreneurs can ensure that there is sufficient demand for their product or service.
Another reason for the failure of entrepreneurial ventures is insufficient capital. Starting and growing a business requires financial resources. Without adequate capital, entrepreneurs may struggle to cover operational expenses, invest in marketing and advertising, or respond to unexpected challenges. It is crucial for entrepreneurs to secure enough funding to support their venture's operations and growth.
poor management is another common reason for the failure of entrepreneurial ventures. Effective management is essential for making informed decisions, allocating resources effectively, and providing strategic direction. Without proper management, ventures may face challenges in areas such as financial management, human resources, and operations.
fierce competition can also contribute to the failure of entrepreneurial ventures. If there are already established competitors in the market, it can be challenging for a new venture to gain market share. Entrepreneurs need to carefully analyze the competitive landscape and develop strategies to differentiate their products or services.
inadequate planning is another factor that can lead to the failure of entrepreneurial ventures. A comprehensive business plan is crucial for guiding the venture's operations and ensuring its long-term success. This includes conducting market research, developing financial projections, and outlining operational strategies.
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Carlos Ramirez and Camila Garza organized New World Book Store as a corporation; the following contributed $ 80,000 cash to start the business and received 4,000 shares of common stock. The store completed its first year of operations on December 31 , current year. On that date, the following financial items for the year were determined: December 31, current year, cash on hand and in the bank, $ 75,600 ; December 31, current year, amounts due from customers from sales of books, $ 39,000 ; unused portion of store and office equipment, $ 73,000 ; December 31, current year, amounts owed to publishers for books purchased, $ 12,000 ; one-year note payable to a local bank for $ 3,000 . No dividends were declared or paid to the stockholders during the year. Required:
(b) What was the amount of net income for the year? (Hint: Use the retained earnings equation [Beginning Retained Earnings + Net Income - Dividends = Ending Retained Earnings] to solve for net income.)
For the given information, the amount of net income for the year is $172,600.
Beginning Retained Earnings + Net Income - Dividends = Ending Retained Earnings
as no dividends are paid,
Beginning Retained Earnings + Net Income = Ending Retained Earnings
Ending Retained Earnings is determined as the total of cash on hand and in the bank ($75,600), amounts owed by clients ($39,000), and the unused portion of the store's and office's equipment ($73,000), less the sums owed to book publishers for the books that were bought ($12,000) and the one-year note due to the neighborhood bank ($3,000).
Ending Retained Earnings = $75,600 + $39,000 + $73,000 - $12,000 - $3,000
Ending Retained Earnings = $172,600
0 + Net Income = $172,600
Net Income = $172,600
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the department. Before beginning the hearing, management moved to prohibit the arbitra- tor from making any ruling based on state statutes because they were outside authority to interpret a dispute arising from a collective bargaining agreement. the arbitrator's jurisdiction. Mark Katzmann argued that an arbitrator only had Arbitrator Reeves ruled that although rules of an administrative agency such as the State Personnel Board are not arbitral in isolation by an impartial arbi- trator, a particular rule that clarifies the meaning of a specific provision of the CBA may be considered for interpretive purposes by the arbitrator. Thus, the State Personnel Board's Rule 6.9.1 is a general prohibition against changing the "normal workweek" to avoid paying overtime. This rule was deemed per- tinent by the arbitrator in understanding the context of Article 8.1, which al- lowed the department to change a normal workweek according to unspecified "needs of a unit."
the arbitrator ruled that a specific rule of the State Personnel Board, Rule 6.9.1, could be considered for interpretive purposes in a dispute arising from a collective bargaining agreement.
This rule prohibits changing the "normal workweek" to avoid paying overtime. The arbitrator found this rule relevant in understanding the context of Article 8.1, which allowed the department to change the normal workweek according to unspecified "needs of a unit. "In a broader sense, this ruling established that while rules of an administrative agency may not be directly arbitral, a specific rule that clarifies the meaning of a provision in the collective bargaining agreement can be considered by an arbitrator for interpretation. The ruling recognized the relevance of external rules in understanding the intent and context of the agreement, allowing for a more comprehensive resolution of the dispute.
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what is the opportunity cost for accepting a part time job
Opportunity cost is the value of other goods or services you must forgo in order to purchase your desired item. The term "cost" as used by economists typically refers to opportunity cost. Using the word "cost" in everyday speech or the news is common.
What is a part-timer job?However, part-time employment is typically defined as working fewer than 35, or 30 hours, per week for comparative statistical purposes. One of the more common types of non-standard employment is part-time work.
In economics, the term "opportunity cost" refers to the benefits that are forgone when selecting one course of action over another. It is, in essence, the value of the path not traveled. Opportunity costs are simple to ignore, but comprehending missed opportunities is essential to making better business decisions.
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Telecommuting can be BEST described as
A. using telephones to market products
B. travelling between home and the traditional office
C. establishing a communication link between companies
D. working from a remote location outside of a traditional office
Answer:
using telephones to market products.
Why is it important to use the right strategies to beat competition?:
Answer:
Therefore, competitive strategy is essential for the survival of the product in the market. Having a new competitive strategy to beat rival companies or their products by renaming or redesigning their products will help the company to be more profitable and create an image new on the market.
Select the correct answer.
Which of the following is a one of the steps of the Sale Management by Objective (SMBO) approach?
A. setting coordinated goals for salespeople
B. following up with customers
C. differentiating products from competitors
D. ceasing communication with customers that do not pay
E. ignoring unwanted customers
Answer:
A) Setting coorinated goals for salesperson
Explanation:
correct me if Im wrong.
Answer:
A
Explanation:
Stewart owns an imprinting business and would like to get in on the current craze for movies based on Marvel’s comic book heroes. What does he need to do to legally imprint these hero images?
A. Register for a patent from Marvel
B. Request a special exception from Marvel
C. Acquire a copyright from Marvel
D. Obtain a license from Marvel
If Stewart wants to legally imprint these hero's images, he needs to acquire copyright from Marvel. Therefore, option 'C' is the correct answer.
What is a copyright?A copyright is a sort of intellectual property that, often for a certain period of time, grants its owner the only authority to reproduce, transmit, modify, exhibit, and perform creative work. The creative activity might take the shape of something musical, artistic, educational, or literary.
The types of works protected by copyright include computer programs, databases, ads, maps, and technical drawings in addition to books, music, paintings, sculptures, and films. Copyright laws provide the preferential exploitation and subsequent financial reward of the results of creative human endeavours, such as literary and artistic output.
It is believed that different cultural attitudes, social structures, economic theories, and legal systems are to blame for copyright development in Europe rather than, say, Asia.
Therefore, option 'C' (Acquire copyright from Marvel) is the correct option.
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What is less liquid, Cash or Stocks and why?