Answer: I would experience a lot of cluster chains speaking on if someone was in trouble. An employee would be called to the back office if they were either in trouble or getting a promotion.
Explanation:
From an initial equilibrium, suppose there's a decrease in supply. Once the market reaches its new equilibrium, there will be:
a) More transactions, and they will take place at a lower price.
b) Fewer transactions, and they will take place at a higher price.
c) Fewer transactions, and they will take place at a lower price.
b) Fewer transactions, and they will take place at a higher price.
When there is a decrease in supply, the supply curve shifts to the left, resulting in a decrease in the quantity supplied at every price level. As a result, the market equilibrium will change.
The new equilibrium will have a higher price and a lower quantity compared to the initial equilibrium. With fewer goods available in the market due to the decrease in supply, there will be fewer transactions taking place. Moreover, the higher price reflects the scarcity of the goods, as buyers compete for the limited supply.
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Suggest measures that should be adopted by the project manager
to accurately identify the potential risks in a bridge project .
(10 marks)
Identifying the potential risks in a bridge project is crucial to ensure the success of the project.
Below are the measures that should be adopted by the project manager to accurately identify the potential risks in a bridge project:
1. Conduct a Risk Assessment: Risk assessment is a systematic approach to evaluate the likelihood and consequences of potential risks to a project. A risk assessment will provide an analysis of all potential risks, including their likelihood and potential impact, to help the project manager to prioritize risks.
2. Perform SWOT Analysis: Performing a SWOT analysis will help the project manager to identify the strengths, weaknesses, opportunities, and threats associated with the bridge project. This analysis will help the project manager to identify the potential risks to the project.
3. Analyze Past Projects: Analyze past projects to identify potential risks. The project manager can use this analysis to identify any common risks that have occurred in the past and develop strategies to prevent or mitigate these risks.
4. Consult with Stakeholders: Consult with all stakeholders to identify potential risks. The stakeholders include the project team, contractors, suppliers, and the public. Their input can be valuable in identifying potential risks that may not be apparent to the project manager.
5. Develop a Risk Management Plan: Develop a risk management plan to address the potential risks identified. The risk management plan will define the strategies to mitigate or prevent the risks identified. It should include a risk management team, strategies, tools, and responsibilities of each member of the team.
6. Continuously Monitor Risks: Monitor the risks continuously to ensure that the risks are managed effectively. Risk management is an ongoing process, and it should be done throughout the project's lifecycle. Regular monitoring will ensure that new risks are identified and managed effectively.
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Why should the interest rate be of concern to you if you are going to purchase a car or
house in the future? (explain in 4 sentences)
Borrowing money is more expensive when interest rates rise and cheaper when interest rates are so low. Make sure you fully comprehend how the rate of interest will impact the total sum you owe before accepting a loan.
The financial decisions you make are impacted by interest rates. Some of these are simple to understand; for instance, consider the amount of money you would deposit into your bank account if it offered 15% interest as opposed to 0.5%.
What is interest rate?
The yearly cost of a debt to a borrower is referred to as the interest rate and is indicated as a percentage. APR represents the total yearly cost of a debt to the borrower, including all fees. The APR is stated as a percentage, just like an interest rate.
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The company uses a periodic inventory system. A physical count of merchandise inventory on July 31 reveals that there are 100 units on hand. Using the FIFO inventory method, the amount allocated to ending inventory for July is
A) $1940.
B) $2200.
C) $2060.
D) $2000.
Using the FIFO inventory method, the amount allocated to ending inventory for July is $2000. Option D) is correct.
As the company uses a periodic inventory system, it means that the inventory levels of the company are only checked at periodic intervals. The FIFO method assumes that the oldest products are sold first, meaning that the goods are sold in the order they were received from the supplier. Therefore, to determine the amount allocated to ending inventory for July using the FIFO inventory method, we need to calculate the cost of the units sold during the month of July and the cost of the units remaining on hand after the physical count.
Let's assume that the cost of each unit was $20. Therefore, the cost of 100 units would be:
100 units x $20/unit = $2000
We need to allocate the cost of these units between the cost of the units sold and the cost of the units remaining.
Let's assume that the following information is available:
Date Units Purchased Cost/unit July 21 50 $16July 25 150 $18
Total 200To determine the cost of the units sold, we need to take the units sold and the units remaining and multiply them by their respective unit cost, then add them together.
Cost of goods sold = 50 x $16 + 50 x $18 = $800 + $900 = $1700
Ending inventory = 100 - 50 = 50 units
Remaining inventory = 50 x $18 = $900
Therefore, the amount allocated to ending inventory for July using the FIFO inventory method is D) $2000 - $1700 = $300. Hence, the correct option is D) $2000.
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How does decreasing your credit card balance affect your income statement? (1 point)
It increases your monthly expenses, increasing the amount you spend each month.
It increases your monthly expenses, giving you more money to spend on other things.
It decreases your monthly expenses, increasing the amount you spend each month.
It decreases your monthly expenses, giving you more money to spend on other things.
The way in which decreasing your credit card balance would affect your income statement is that: D. It decreases your monthly expenses, giving you more money to spend on other things.
What is a credit card?A credit card simply refers to a small, rectangular flat card that is issued by a financial institution to its eligible customers, in order to avail them an opportunity to purchase goods and services on credit, especially based on the agreement that this amount of money would be paid back at a specific time and interest rate.
Generally speaking, a credit card balance can be defined as the total amount of money that an individual owe his or her credit card company. This ultimately implies that, a decrease in credit card balance would cause a decrease in monthly expenses, which avails the credit card holder more money to spend on other things.
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Answer: 1. a loan from one entity electronically matched to another entity without a financial institution in the middle
2. a payday loan
3. an unsecured installment loan
4. It decreases your monthly expenses, giving you more money to spend on other things.
5. Determine or estimate the current value of everything you own.
6. Their ability to repay a loan
7. your prior record of paying your bills and paying off your debts
8. your age and gender
9. You can request one online or over the phone.
10. He should contact the credit bureau that issued the credit report, the companies that issued the seven fraudulent cards, his local police, and the federal government at identitytheft.gov.
11. -the lender that provided the incorrect information
-the credit bureau that prepared the report
12. right away
13. She won a $20 billion settlement for California homeowners whose homes were inappropriately foreclosed on.
14. The longer the term, the more you will pay in interest.
15. It will cost you less money overall.
16. A store credit card generally comes with a higher interest rate.
17. You will save money if you pay the balance off quickly.
18. -Clarifying the confusing language found on credit card applications.
-Forcing lending companies to disclose interest rates and hidden fees.
19. It banned credit card companies from raising interest rates after missed payments.
20. -a fixed annual charge for the use of a credit card
-a charge if the minimum payment is not paid by the due date
21. paying off the balance before interest can accrue
22. $30
23. Determine which card has the higher interest rate and pay the extra money to that card first.
Explanation: All these answers are correct!
The coursework taken at a _____ is focused on specific career skills and trades and does not generally require further academic studies.
vocational school
private school
university
college
Answer:
Vocational school
Explanation:
Edge 2021
when the investment banker sells the new securities on commission without guaranteeing the sale of the whole issue, the process is called:
Without ensuring the sale of the entire issue, the investment banker sells the new securities on commission under the following circumstances: Best effort.
Investment banking refers to particular business operations of a financial services firm or corporate division that involve advisory-based financial transactions on behalf of private persons, public companies, and public authorities. Such a bank, which is more commonly linked with corporate finance, might help raise money by underwriting or serving as the client's agent in the issue of debt or equity instruments. An investment bank may also offer support services to businesses engaged in mergers and acquisitions (M&A), such as market-making, equities and derivatives trading, FICC services (fixed income instruments, currencies, and commodities), or research (macroeconomic, credit or equity research). Along with their businesses for investment research, the majority of investment banks continue to run prime brokerage and asset management divisions. The Bulge Bracket (highest tier), Middle Market (mid-level businesses), and Boutique Market categories make up the industry (specialized businesses). Investment banks don't accept deposits, in contrast to commercial and retail banks. The Glass-Steagall Act, which was passed in 1933, kept investment banking and commercial banking separate in the US until it was repealed by the Gramm-Leach-Bliley Act in 1999. G7 nations and other industrialized nations generally do not retain such a division. The Volcker Rule claims some institutional separation of investment banking services from commercial banking as part of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 (Dodd-Frank Act of 2010).
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Name 4 things you can buy insurance for?
Answer:
Weather, Car, house, and appliances.
Explanation:
Its simple
People are living paycheck to paycheck why is that a problem
A company using public relations sends information to media outlets such as newspapers and ratio stations. Who decides what Information about the company the outlets will publish?
Answer:
The media outlets should be correct
Explanation:
A P E X
What is most likely the cause of an increase in demand? An increase in salary
Higher taxes
Lower price
Alternative product
Answer:
Alternative products
Explanation:
Most of the times, people look at the quality of a product which increases the demand, even though the price is high
Analyse why the social benefit of education exceed the private benefit
Answer:
dddddddddddd
Explanation:
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How is Biden an affect on America.
why do call options with strike prices above the current market price of the underlying asset have positive prices?
The call options with strike prices above the current market price of the underlying asset have positive prices because it has an intrinsic value.
What are options?Options are derivative securities that give the buyer the right but not the obligation to purchase (call option) or sell (put option) a security at a specified price (strike price) on or before a specific date (expiration date). Options come in two varieties: call options and put options.
Calls: Calls are a type of option that gives the buyer the right to buy an underlying asset at a specified price (strike price) on or before a specified date (expiration date). If the underlying asset's market price is higher than the strike price, the buyer has the right to buy the underlying asset at the strike price, resulting in a profit.
Put: Puts are a type of option that gives the buyer the right to sell an underlying asset at a specified price (strike price) on or before a specified date (expiration date). If the market price of the underlying asset is lower than the strike price, the buyer has the right to sell the underlying asset at the strike price, resulting in a profit.
How call options work?A call option's intrinsic value is the difference between the underlying stock's current market price and the call option's strike price, which is why a call option with a strike price above the current market price has a positive value.
Call options with strike prices above the current market price have a positive value because the buyer has the right, but not the obligation, to buy the underlying asset at a lower price than the current market price.
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which type of interest group dominates american politics
Based on the available information, the interest group that dominates American politics is the Economic Interest Group.
What is the Economic Interest Group?An Economic Interest Group is a form of Interest group whose main objective is to promote policies and ideas that benefit businesses, professionals, and trade associates.
Examples of Economic Interest GroupU.S. Chamber of Commerce and National Association of Manufacturers (NAM)American Federation of Labor and Congress of Industrial Organization (AFL-CIO)International Brotherhood of Teamsters.Hence, in this case, it is concluded that the correct answer is the Economic Interest Group.
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NEWS ARTICLE REVIEWS not more than 14
Days OLD, SALES ARTICLES, BUSINESS
MANAGEMENT ARTICLES, MARKETING
ARTICLES, ETC. the NEWS ARTICLE must
come from a Business Publication, Wall Street
Journal. New York Times, Fortune Magazine,
etc. Submit as a Pdf. Submit Summary of News
Article with Attachment for Orginal News
Article or Link.
Composing a news article review entails giving an article a critical analysis and expressing your perspective on it.
Here are some guidelines for writing a review of a news piece.Thoroughly read the newsIdentify the key pointsEvaluate the articleExpress your opinionConcludeHence, it can be seen that it takes thorough reading, critical thought, and the capacity to articulate your opinions succinctly to write a news article review. These methods will help you write a thorough review that offers insightful commentary on the news piece.
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The field of accounting that focuses on providing information for external decision makers is:.
The field of accounting that focuses on providing information for external decision makers is Managerial accounting. This is further explained below.
What is Managerial Accounting?Generally, Information for external decision-makers is the primary emphasis of managerial accounting. For investment decisions, stockholders rely heavily on management accounting data.
In conclusion, Managerial accounting is a branch of accounting that specializes in the dissemination of economic data to external decision-makers.
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Which of the following is true of competitive parity?
a. It assumes the same percentage used in the past, or by competitors, is still appropriate for the firm.
b. It does not take into account new plans (e.g., to introduce a new line of products in the current year).
c. It does not allow firms to exploit the unique opportunities or problems they confront in a market.
d. It assumes communication expenses do not stimulate sales and profit.
e. If all competitors use this method to set communication budgets, their market shares will stay increase over time.
The true statement regarding competitive parity is c.It does not allow firms to exploit the unique opportunities or problems they confront in a market.
Competitive parity is a strategy where a firm strives to match the performance of its competitors in terms of products, prices, and other key factors. While this approach can help a firm to maintain its market position and avoid falling behind its competitors, it may also prevent the firm from fully exploiting unique opportunities or addressing specific problems that it encounters in the market.
For example, if a firm is adhering to competitive parity and its competitors are offering similar items at similar prices, it may be difficult for the firm to differentiate itself from the competition or to address the specific needs of its customers. This can limit the firm's ability to achieve a competitive advantage in the market.
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What is one advantage corporations have over other types of businesses?
O A. Corporations are the easiest businesses to set up.
B. Corporations have a nearly unlimited life span.
C. Corporations have fewer legal regulations to follow.
O D. Corporations are controlled by only one person.
SUBMIT
Answer:
B
Explanation:
ONE advantage corporations enjoy over other business forms is B. Corporations have a nearly unlimited life span.
Corporations do not cease to operate if one or some of the owners die. Each stockholder's shares are transferable by inheritance or sale. Corporations enjoy perpetual existence.
Other advantages of corporations over other business forms are:
Shareholders enjoy the protection of personal liability (limited liability of ownership)Shareholders have a business that is professionally managedThe business type has easy access to funds.
Unfortunately, corporations are not the easiest to form because of the rigid formalities accompanying their formation and management. Shareholders suffer double taxation because the corporation pays taxes as an entity, and shareholders pay another tax when they receive dividends. The legal regulations are many and time-consuming.
Thus, the unlimited life span of corporations makes them the best form of business since control and ownership of a corporation are not limited to one individual.
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Why is Feeney called a hero/saint?
Answer:
In 1982, he decided he would commit to giving away his billions during his lifetime. He is broke now. Gave away and donated over $8million. His motto was "giving while living "
Explanation:
4) The ________ function is responsible for identifying customers.
A) finance and accounting
B) human resources
C) manufacturing and production
D) sales and marketing
E) distribution and logistics
The correct answer is D) sales and marketing.
The sales and marketing function is responsible for identifying customers. This function focuses on understanding the target market, conducting market research, and developing strategies to attract and engage potential customers. It involves activities such as market segmentation, customer profiling, lead generation, and customer relationship management.
The sales and marketing team analyzes customer needs, preferences, and behaviors to create effective marketing campaigns, promotional activities, and sales tactics. By identifying customers, the sales and marketing function plays a vital role in driving revenue generation and business growth. They are responsible for building relationships with customers, communicating the value of products or services, and ultimately converting leads into sales.
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Lat year, Soren' return wa completed in BlockWork Online. How do you tart Soren' current-year return in BlockWork Online? (Select all that apply. )
An annual rate of return is the profit or loss on a one-year investment. There are numerous methods for calculating the annual rate of return. If the rate of return is calculated monthly.
Multiply it by 12 to get the annual rate of return. Block Management, a collaborative programme between private landowners and the FWP, assists landowners in managing calculating activities and provides free hunting access to private land, as well as adjacent or isolated public lands. The participation of landowners in block management is entirely voluntary. The annualised return differs from the average and reflects the true gain or loss on an investment, as well as the difficulty in recouping losses.
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5. The measurement of how happy the customer is with their shopping experience with a retailer is called:
O A. Product solutions
O B. Brand knowledge
O C. Customer satisfaction
O D. Product knowledge
A travel agent arranges a vacation at Disney World for the Smith family that includes airfare, lodging, and dinner reservations. These industries are collectively known as the
Tourism and Restaurant career cluster.
Tourism and Lodging career cluster.
Hospitality and Tourism career cluster.
Hospitality and Recreation career cluster.
Answer:
Its B
Explanation:
Answer:
C.
Explanation:
Edge
India and china have the largest number of internet users overall, so there is a big opportunity.
a. True
b. False
It is true that China and India have the most internet users overall, thus there is a significant possibility.
Which country has the biggest population of Internet users?China has the most users of the internet. India is the country with the second-highest percentage of Internet users, even though only 20% of the population is online. The US and the UK are among the more than 90% of nations with a high penetration rate.
Why do more people in China use the Internet?China has seen a sharp increase in the consumption of short-form video, which suggests a shift in internet usage patterns. Instead of text and still photos, internet users are increasingly drawn to videos and mobile-friendly content.
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the slope of a fairly flat upward-sloping line will be a
Answer:
Positive slope
Explanation:
Because it would be going up on a graph
a new edition of a very popular textbook will be published a year from now. the publisher currently has 1,000 copies on hand and is deciding whether to do another printing before the new edition comes out. the publisher estimates that demand for the book during the next year is governed by the probability distribution given in the attached file. a production run incurs a fixed cost of $15,000 plus a variable cost of $20 per book printed. books are sold for $190 per book. any demand that cannot be met incurs a penalty cost of $30 per book, due to loss of goodwill. up to 1,000 of any leftover books can be sold to barnes and noble for $45 per book. the publisher is interested in maximizing expected profit. the following print-run sizes are under consideration: 0 (no production run) to 16,000 in increments of 2000.
One needs to compare the expected profits for the different production run sizes and pick the one with the highest expected profit.
Step 1: Calculate the expected profit for each of the production run sizes. To do this, multiply the expected demand by the selling price and subtract the fixed and variable costs.
Step 2: Compare the expected profits for each production run size and pick the one with the highest expected profit.
Step 3: Calculate the penalty cost of not meeting demand. To do this, subtract the expected demand from the production run size and multiply the difference by $30.
Step 4: Subtract the penalty cost from the expected profit of the chosen production run size.
Step 5: Calculate the expected profit from leftover books. To do this, subtract the expected demand from the production run size and multiply the difference by $45.
Step 6: Add the expected profit from leftover books to the expected profit of the chosen production run size.
Step 7: Compare the expected profits for the different production run sizes and pick the one with the highest expected profit.
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What is the first step in financial planning?
OA. Analyzing the current situation
B. Identifying goals
C. Coming up with strategies for meeting goals
D.
Assess the advantages and disadvantages of different strategies
Answer:
A. analyze the current situation!
According to the lecture, it's best to plan to live in your house for at least ______ years due to the upfront costs associated with home buying.
i. 2
ii.5
iii.4
iv. 3
According to the lecture, it's best to plan to live in your house for at least 3 years due to the upfront costs associated with home buying.
The upfront costs of buying a house include expenses such as a down payment, closing costs, and other fees. These costs can be substantial, and it takes time to recoup these expenses through appreciation or savings on rent. Staying in the house for at least 3 years allows homeowners to spread out these upfront costs over a longer period and potentially benefit from any market appreciation. Moving out too soon may not provide enough time to recover these expenses, making it less financially advantageous.
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you hear about an economy with no change in the number of workers or capital. yet, production increases. what idea does this illustrate?
Answer:
It might be because of an increase in efficiency in the workforce or advances in technology. Hope it helps :)
Explanation: