The statement " According to Fiedler's Contingency Theory, task-motivated leaders, rather than relationship-motivated leaders, perform better in situations of low control" is false.
Fiedler's Contingency Theory suggests that the effectiveness of a leader depends on the interaction between their leadership style and the situational factors they encounter. Fiedler proposed two leadership styles: task-motivated and relationship-motivated.
Task-motivated leaders are primarily focused on achieving goals, tasks, and performance outcomes. They tend to be more directive, focused on setting clear expectations and providing guidance to their team members. Relationship-motivated leaders, on the other hand, prioritize building positive relationships, promoting teamwork, and creating a supportive work environment.
Fiedler argued that the effectiveness of these leadership styles is contingent upon the favorability of the situational factors, specifically the level of control the leader has over the situation. In situations of high control, where the leader has significant control and influence over the task and the team, both leadership styles can be effective.
However, in situations of low control, where external factors and constraints limit the leader's control over the task and the team, Fiedler's theory suggests that task-motivated leaders perform better. The reason is that task-motivated leaders are more focused on accomplishing objectives and can provide clear direction and structure to their team members, which is crucial in situations where external control is limited.
Therefore, the statement that relationship-motivated leaders perform the best in situations of low control, according to Fiedler's theory, is false. Instead, it is the task-motivated leaders who are believed to be more effective in such circumstances.
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Nowadays, banks are facing fatal competition from Select one: A. fintech firms B. crypto-currency makers C. large retailers D. computer manufacturers Which of the following is a component of bank's capital? Select one: A. Deposits B. Equity C. Inter-bank borrowing D. Statutory reserve kept with Bank Negara Malaysia The first people who minted coins were the . Select one: A. Turk B. Palestinian C. Aryan of India D. Egyptian "Code of Hamurabi" contains ancient banking laws found in Select one: A. Rome B. Egypt C. Iraq D. Indonesia The first foreign bank opened in Penang was. Select one: A. Hongkong Shanghai Banking B. The Merchantile Bank of Malay, Indian and Chinese C. Union Bank of Ceylon D. The Chartered Merchant Bank of India, London and China The first domestic bank in Tanah Melayu Was Select one: A. Oriental Bank of Malaya B. Malay National Banking Corporation Ltd. C. Kwong Yik (Selangor) Banking Corporation D. Native Bank of Malaya KLCl Futures are part of the Select one: A. capital market B. investment banking market C. money and foreign exchange market D. derivative market
Nowadays, banks are facing fatal competition from: A. fintech firmsA component of a bank's capital is:
B. Equity
The first people who minted coins were:
D. Egyptian
The "Code of Hammurabi" contains ancient banking laws found in:
C. IraqThe first foreign bank opened in Penang was:
A. Hongkong Shanghai Banking
The first domestic bank in Tanah Melayu was:
B. Malay National Banking Corporation Ltd.
KLCl Futures are part of the:
D. derivative market
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Nowadays, banks are facing fatal competition from: A. fintech firmsA component of a bank's capital is:
B. Equity
The first people who minted coins were:
D. Egyptian
The "Code of Hammurabi" contains ancient banking laws found in:
C. IraqThe first foreign bank opened in Penang was:
A. Hongkong Shanghai Banking
The first domestic bank in Tanah Melayu was:
B. Malay National Banking Corporation Ltd.
KLCl Futures are part of the:
D. derivative market
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No federal advertising guidelines regulate the marketing of unhealthy food to children. Some companies, like burger king, voluntarily commit to:.
Some companies such as Burger king voluntarily commit to using organic food for all their products.
What is organic food?This is a term that is used to refer to food that was grown through natural and healthy agricultural practices.
The foods that are made are usually without the use of any form of artificial or synthetic substances.
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Andy has two nephews and three nieces. He wants to give each of them the maximum gift he can disburse without having to file a gift tax return. What is the total aggregate amount that Andy can give his two nephews and three nieces in 2021?
The total aggregate amount that Andy can give his two nephews and three nieces in 2021 is $75,000.
What is a gift in tax?Inn tax, a a gift means a transfer of property for an amount lesser than its full value.
Usually, individual are allowed to allow a transfer of $15,000 per gift recipient.
Aggregrate amount = $15,000 * 5 (2 nephew+ 3 niece)
Aggregrate amount = $75,000
In conclusion, the total aggregate amount that Andy can give his two nephews and three nieces in 2021 is $75,000.
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What is the proper balance between dealing with negative externalities through government regulation or through torts?
Answer:
Government regulation is the best way to deal with negative externalities
Explanation:
An externality is the effect of the activities ( mostly economic ) of an individual on third parties whom are not direct participants in such activities ( mostly economic ) and this externalities can be either positive or negative .
A proper balance by which Government can deal with negative externalities is by increasing taxes on the production of goods and services that leave a trail of negative externalities on third parties. that way the cost of production of such goods and service will discourage its production
Please share why you would be a unique addition to the brand or this specific role.
Mention the job description's mentioned qualifications. Give instances from your own experience. Mention previous successes or outcomes from previous employment.
Why you would be a unique addition to the brand or this specific role ?Peter Drucker introduced the idea of a person's "unique contribution" to his or her firm while he was studying management. This characterises the person's worth. It could be a particular ability, knowledge, enthusiasm, talent, connections, interpersonal skills, political savvy, etc.
Highlighting your interest in the company because of its reputation, history, or industry-leading innovation is a common strategy for answering this question. This demonstrates your interest in the company's expansion, understanding of its current situation, and desire to participate in that journey.
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Patty Leave owned an apartment house for ten years. Depreciation was taken on a straight-line basis. When Patty's adjusted basis for this property was $200,000, she traded it for an office building having a fair market value of $600,000. The apartment house has 100 dwelling units, while the office building has 40 units rented to business enterprises. The properties are not located in the same city. What is Patty's reportable gain on this exchange
Answer:
$0
Explanation:
IRS's Section 1031 allows real estate investors to exchange real properties and defer any capital gains tax. In this case, Patty doesn't need to report any gain because she is exchanging her apartment house (with 100 rented apartments) for an office building (with 40 rented offices).
In order for a property to classify as a 1031 exchange, it must involve properties that have similar uses. In this operation, both properties have rental units.
On January 1, Busy Beaver bought a new industrial lathe for $210,000. It expects to use the lathe for 10,000 hours over the next 5 years and then sell it for $10,000. Busy Beaver used the lathe for 2,000 hours in its 1st year and 2,500 hours in its 2nd year. Accumulated Depreciation at December 31 of the 2nd year, using units-of-production, equals ______.
The accumulated depreciation at December 31 of the 2nd year, using units-of-production, is $20 per hour x 4,500 hours = $90,000.To calculate the accumulated depreciation using units-of-production, we need to determine the depreciation per hour.
The total depreciation of the lathe over its useful life can be calculated as the difference between its initial cost and the expected salvage value. In this case, the difference is $210,000 - $10,000 = $200,000.
Next, we divide the total depreciation by the total expected hours of use over the useful life of the lathe. In this case, it's $200,000 / 10,000 hours = $20 per hour.
Now, we can calculate the accumulated depreciation at the end of the second year. The lathe was used for a total of 2,000 + 2,500 = 4,500 hours in the first two years.
Therefore, the accumulated depreciation at December 31 of the 2nd year, using units-of-production, is $20 per hour x 4,500 hours = $90,000.
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which statement is true about registering a marketing officer of an investment adviser as an investment adviser representative (iar) with the state? a the marketing officer of an investment adviser is not registered as an iar b the marketing officer of an investment adviser will be automatically registered when the investment adviser registration is filed in the state c the marketing officer of an investment adviser is only required to register if the firm is a federal covered adviser d the marketing officer of an iar must file a registration application that is independent of the investment adviser registration application
The statement "The marketing officer of an Investment Adviser will be automatically registered when the Investment Adviser registration is filed in the State." is true.
Give a brief account on Investment Adviser.A financial adviser or advisor is a specialist who offers clients financial services based on their financial circumstances. In many nations, in order to give advice, financial advisors must undergo particular training and register with a regulatory organization. A financial adviser in the US must pass the Series 7 and Series 66 or Series 65 qualifying exams. the United States Qualification classifications, compliance concerns, and Financial Industry Regulatory Authority (FINRA) must be disclosed to the public. Information about official compliance issues is available on the Investment Adviser Public Disclosure (IAPD) website, and information about informal compliance issues is available on Onesta. Brokers, investment advisers, private bankers, accountants, attorneys, insurance agents, and financial planners are among the groups allowed to use the phrase "financial advisor," according to FINRA. The complete picture of the client's financial status must be taken into consideration by financial counselors.
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Exercise 28-12 (Algorithmic) (LO. 1) The entity reports the following transactions for the 2020 tax year. The trustee accumulates all accounting income for the year. Operating income from a business $525,000 31,500 Dividend income, all from U.S. corporations (20% tax rate) Interest income, City of San Antonio bonds 4,200,000 Fiduciary fees, deductible portion (15,750) Net rental losses, passive activity (105,000) Click here to access tax table for this problem. Carryout the tax computations to two decimal places and round the final tax liability to the nearest dollar. Compute the Federal income tax liability for the Valerio Trust by providing the following amounts: The amount of the fiduciary's gross income taxed at 20% for the Valerio Trust is $ 31,500 The fiduciary taxable income taxed at ordinary rates for the Valerio Trust is $ 509,150 The Federal income tax liability for the Valerio Trust is $ 192,801 X.
To compute the Federal income tax liability for the Valerio Trust, we need to calculate the taxable income and apply the appropriate tax rates.
Here's the breakdown:
Operating income from a business: $525,000
Dividend income (20% tax rate): $31,500
Interest income: $4,200,000
Fiduciary fees (deductible portion): ($15,750)
Net rental losses (passive activity): ($105,000)
Gross Income:
Gross Income = Operating income + Dividend income + Interest income + Fiduciary fees + Net rental losses
Gross Income = $525,000 + $31,500 + $4,200,000 - $15,750 - $105,000
Gross Income = $4,636,750
Taxable Income:
Taxable Income = Gross Income - Deductions
Since no deductions are mentioned in the provided information, we assume there are no additional deductions.
Taxable Income = Gross Income = $4,636,750
The amount of the fiduciary's gross income taxed at 20% for the Valerio Trust is $31,500.
Next, we need to determine the tax liability for the remaining taxable income. Let's refer to the tax table for the 2020 tax year.
Tax Rates for Ordinary Income:
Taxable Income | Tax Rate
Up to $9,875 | 10%
$9,876 - $40,125 | 12%
$40,126 - $85,525 | 22%
$85,526 - $163,300 | 24%
$163,301 - $207,350 | 32%
$207,351 - $518,400 | 35%
Over $518,400 | 37%
To calculate the tax liability, we apply the corresponding tax rates to the applicable income brackets:
Tax on the first $9,875 (10%): $9,875 x 0.10 = $987.50
Tax on the income between $9,876 and $40,125 (12%): ($40,125 - $9,876) x 0.12 = $3,035.88
Tax on the income between $40,126 and $85,525 (22%): ($85,525 - $40,126) x 0.22 = $9,657.98
Tax on the income between $85,526 and $163,300 (24%): ($163,300 - $85,526) x 0.24 = $18,612.48
Tax on the income between $163,301 and $207,350 (32%): ($207,350 - $163,301) x 0.32 = $14,048.16
Tax on the income between $207,351 and $509,150 (35%): ($509,150 - $207,351) x 0.35 = $108,021.72
The fiduciary taxable income taxed at ordinary rates for the Valerio Trust is $509,150.
Total Tax Liability:
Total Tax Liability = Tax on the first bracket + Tax on the second bracket + Tax on the third bracket + Tax on the fourth bracket + Tax on the fifth bracket + Tax on the sixth bracket
Total Tax Liability = $987.50 + $3,035.88 + $9,657.98 + $18,612.48 + $14,048.16 + $108,021.72
Total Tax Liability = $154,363.72
The Federal income tax liability for the Valerio Trust is $154,363.72.
Please note that the provided information does not specify
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The Full Employment and balanced Growth Act of 1978 formally established a specific unemployment target for the economy of
The Full Employment and Balanced Growth Act of 1978 formally established a specific unemployment target for the economy of what percentage?
Answer:
4 percent
Explanation:
The Full Employment and Balanced Growth Act of 1978 formally established a specific unemployment target for the economy of 4 percent
The Act also declared that on or before the year 1983 the federal government should achieve an adult unemployment rate of at most 3 percent, a civilian unemployment rate of at most 4 percent, and an inflation rate of at most 3 percent.
Hence, in this case, the correct answer is 4 percent.
When a securities firm acts as a(n) ____, it makes a market in specific securities by maintaining an inventory of those securities.
Answer:
The correct approach is "dealer".
Explanation:
Dealers would provide money supply to financial products whilst also trying to establishing a working capital of those that have been exchanged at a small concentration. By mobilizing savings, dealers generate more money out of the expansion respectively bids and start questioning for quotes. To make profits, individuals consider purchasing lesser at either the contract offer, as well as take revenue at either the request and then, have a high turnover.we all know that every cost must be included in the price of a product. rent, wages, advertising, insurance, raw materials, have to be paid for the company to survive and make a profit. that's true of income taxes too. an income tax is a cost like any other that must be recovered. so corporate income taxes are not really paid for by corporations. corporations simply embed them into the price of products, which are paid by consumers. so a corporate income tax simply passed on to consumers is really an invisible tax. would it be fair to eliminate the corporate income tax and only tax individuals? why did corporations raise employee pay rates when the trump tax cuts reduced the corporate tax rate from 35% to 21%?
It is true that every cost must be included in the price of a product, including rent, wages, advertising, insurance, raw materials, and even income taxes. Eliminating the corporate income tax and only taxing individuals might seem fair on the surface, as corporations often pass on the cost of taxes to consumers in the form of higher prices
Corporate income taxes are indeed embedded into the price of products and paid by consumers, making them an invisible tax. However, it may not necessarily be fair to eliminate the corporate income tax and only tax individuals. This is because corporations are legal entities that are separate from their owners and have certain privileges and protections that individuals do not have. Moreover, eliminating corporate income taxes would result in a significant loss of revenue for the government, which would have to be made up through other means, such as higher taxes on individuals.
As for why corporations raised employee pay rates when the Trump tax cuts reduced the corporate tax rate from 35% to 21%, there could be several reasons. One possible explanation is that corporations wanted to attract and retain talented employees in a tight labor market. Higher pay rates may have been seen as a way to incentivize employees to stay with the company and to attract new hires. Additionally, higher wages can lead to increased productivity and lower turnover, which can ultimately benefit the company's bottom line. Finally, some corporations may have wanted to show goodwill towards their employees in the wake of the tax cuts, and raising pay rates may have been seen as a way to do so.
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period costs flow from finished goods to cost of goods sold is called?
The flow of period costs from finished goods to manufacturing costs is known as first in, first out (FIFO) cost. Periodic costs are not directly related to the production process. Selling, general and administrative (SG&A) costs are considered period costs.
What is the FIFO cost flow method?FIFO stands for "first in, first out". This is a method of assuming the flow of costs when calculating cost of goods sold. The FIFO method assumes that the oldest product in the company's inventory is sold first. The calculation includes the cost paid for these oldest products.
What are the 4 types of cost flow methods?There are four generally accepted methods of allocating costs to closing inventory and cost of goods sold: Specific Cost; Average Cost; First In First Out (FIFO); and Last In First Out (LIFO).
When the finished product is sold, will the cost be transferred to?When finished goods are sold, their costs are transferred from finished goods inventory to cost of goods sold. An income statement expense account that represents the cost of all goods sold during the period. account.
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comparing the patterns of commercial space and residential space, which of the following examples is the weakest fit for the burgess concentric zone model?
The Burgess Concentric Zone Model is a theoretical model that describes the urban land use patterns in a city. It identifies concentric rings or zones of development radiating from the city center. The model suggests that certain types of land uses tend to be located in specific zones.
Among the options provided, the weakest fit for the Burgess Concentric Zone Model would be:
D. An industrial park located in the innermost zone.
The Burgess model primarily focuses on the residential and commercial patterns of urban development. It suggests that as cities grow, they expand outward in concentric rings, with the inner zones being more densely populated and characterized by residential areas. The model does not specifically account for industrial parks, which are typically associated with manufacturing or industrial activities. Industrial parks often have their own distinct zoning and tend to be located in specific designated areas rather than following the concentric pattern described by the Burgess model.
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place rock unit events in order.
3. (Note: The surface is not a layer. It is ground-level, complete with happy little trees.) \( \mathrm{A} 3 \) Homework \( - \) Unanswered Place the rock units events in order from oldest on bottom t
To place the rock unit events in order from oldest to youngest, we need to consider the principle of superposition, which states that in an undisturbed sequence of rock layers.
1. Homework: This event is the most recent one as it is mentioned last in the given list.2. A3: This event is mentioned before Homework, suggesting that it occurred earlier than Homework.3. Unanswered: This event is mentioned before A3, indicating that it happened before A3.Therefore, the correct order from oldest to youngest is: Unanswered → A3 → Homework.we need to consider the principle of superposition, which states that in an undisturbed sequence of rock layers, the youngest rocks are on top, while the oldest rocks are at the bottom.
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If anyone can please help asap
Answer:
1. Negative externality: Jeff declined to buy his favorite chocolate bar because the price has increased.
2. Dollar vote: increased neighborhood crime is caused by a pawn shop.
3. Public goods: a freeway is available for all to use.
4. Positive externality: public education in the United States results in benefits for others around the world.
Explanation:
1. Negative externality: Jeff declined to buy his favorite chocolate bar because the price has increased. A negative externality arises when the production or consumption of a finished product or service has negative impact (cost) on a third party.
2. Dollar vote: increased neighborhood crime is caused by a pawn shop. A dollar vote describes how the consumer's purchasing power influences the type (quantity) of goods to be produced and supplied to the market.
3. Public goods: a freeway is available for all to use. It refers to any goods that is accessible and available to the general public at all times without an additional fee, charges or cost.
4. Positive externality: public education in the United States results in benefits for others around the world. A positive externality arises when the production or consumption of a finished product or service has a significant impact or benefits to a third party that isn't directly involved in the transaction.
Which of the following is least likely to be an economy of scale?
A. An extra worker employed being more productive than a previous worker
B. Being able to secure a loan at a lower rate of interest
C. Moving goods by sea in large tankers
D. Managers specialising in a particular function
Option D is correct. Managers specializing in a particular function is least likely to be an economy of scale.
Concept of economy of scale.Economy of scale refers to the cost advantages that a company can achieve when it produces goods or services in large quantities.
Option D relates to the concept of specialization, which may lead to increased efficiency and productivity, but does not necessarily result in cost savings that are typically associated with economies of scale.
The other options (A, B, and C) are all examples of economies of scale, as they involve increasing productivity, reducing costs, or improving efficiency through larger scale operations.
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Which of the following is NOT a question economists use?
a.For whom?
b. How productive?
c. How to produce
d. What to produce
Answer:
A. For whom?
Explanation:
Production is all they care about
When used together correctly, verbal and nonverbal communication can convey a rich and multilayered communication experience.
A. True
B. False
It is completely appropriate to mention that verbal and nonverbal communication can convey a rich and multilayered communication experience, when used correctly. Therefore, the option A holds true.
What is the significance of verbal and non-verbal communication?Verbal communication can be referred to or considered as the form of communication that involves the usage of words to speak and communicate, whereas, non-verbal communication refers to as the use of actions or gestures to communicate.
Therefore, the option A holds true and states regarding the significance of verbal and non-verbal communication.
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You are paid $11.75/hr. You work 40 hr/wk. Your deductions are FICA (7.65%), Federal tax withholding (10.75%), and state tax withholding (7.5%). What am I making?
Answer:i have no answer but you are making more income
Explanation:
cause
Answer:
These are the answers
Explanation:
A study of the potential demand for a new hospitality and travel business is called______
Answer:
market analysis
Explanation:
A market analysis is the studies the dynamics of the study market such that of a potential rise in demands for a new hospitality and travel business. The market analysis is also a part of the global environmental analysis. It identifies the possible strengths and weaknesses along with the opportunities and threats. It areas include market trends, growth probability, and key success factors.Two companies have the same level of assets and net income, but company A's Internal Growth Rate is higher than Company B's. How can this be? Two companies, X and Y, have the same level of assets, net income and total equity, but the sustainable growth rate for Company X is less than the sustainable growth rate for Company Y. How can this be? Two companies, P and Q, have the same level of assets and net income, and their retention ratios are the same. P's Sustainable Growth Rate, though, is higher than Q's. What would explain this?
Higher Internal Growth Rate for Company A: The Internal Growth Rate measures a company's ability to grow its operations using retained earnings without relying on external financing. Even if Company A and Company B have the same level of assets and net income, Company A may have a higher Internal Growth Rate due to its more efficient utilization of assets, higher profitability ratios, or better cost management.
Higher Sustainable Growth Rate for Company Y: The Sustainable Growth Rate indicates the maximum rate at which a company can grow its sales and assets without relying on external equity financing while maintaining a constant financial structure. If Company X and Company Y have the same level of assets, net income, and total equity, but Company Y has a higher sustainable growth rate, it suggests that Company Y may have a lower dividend payout ratio.
Higher Sustainable Growth Rate for Company P: The Sustainable Growth Rate takes into account the retention ratio, which represents the proportion of earnings retained by the company for reinvestment. If Companies P and Q have the same level of assets and net income but different Sustainable Growth Rates, it indicates that Company P has a higher return on equity (ROE) compared to Company Q. ROE is influenced by various factors such as profit margins, asset turnover, and financial leverage.
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Grayson really wants to get an a on his upcoming math test but he hates studying. He decides to set a goal for himself to study for 20 minutes every night this week and preparation for the quiz Friday.What kind of goal Grayson set for himself?
Answer: short term goal
Explanation:
A short-term goal is a goal that an economic agent such as an individual or a fitm wants to achieve or accomplish soon. Short term goals are goal that one wants to achieve maybe today, in a week, in a month or even probably a year.
Since Grayson really wants to get an a on his upcoming math which is coming soon, the goal that he sets to study for twenty minutes every night is referred to as a short term goal.
Shenika is selling magazine subscriptions for the animal shelter. A yearly subscription to a story magazine is $12. 50. A yearly subscription to a puzzle magazine is $14. She raised a total of $1,225 for the animal shelter. The number of subscriptions to the story magazine, s, is 20 more than twice the number of subscriptions to the puzzle magazine, p. Which system of equations finds the number of each magazine sold? 14 s 12. 50 p = 1,225. S = 2 p 20. 12. 50 s 14 p = 1,225. S = 2 p 20. 14 s 12. 50 p = 1,225. P = 2 s 20. 12. 50 s 14 p = 1,225. P = 2 s 20.
The equations that will find the number of each magazine sold is:
\(\begin{aligned}\rm \$12.50s + \$14p &= \$1,225\\\\s &= 2p + 20\end\),
where "s" is the number of story magazines and "p" is the number of puzzle magazines.
Linear equation in two variables:Linear equation in two variables can be defined as a function in the form \(\rm ax + by + c = 0\) , where the value of a and b is not equal to zero.
The equations for the given questions can be obtained as:
Given:
\(\begin{aligned}\rm Cost\:of\:story\:magazine\:subscription &= \$12.50\\\\\rm Cost\:of\:puzzle\:magazine\:subscription &= \$14\\\\\rm Total\: amount\:raised &= \$1,225\end\)
Let the number of story magazines be "s" and the number of puzzle magazines be "p". The total revenue can be presented as a sum of revenue from each magazine.
Revenue from each magazine is a product of the cost of the magazine and the number of subscriptions.
Therefore,
\(\begin{aligned}\rm Revenue &= (12.50 \times s) + (14 \times p)\\\\1,225 &= 12.50s + 14p\end\)
Given, the number of subscriptions of story magazines is 20 more than twice of puzzle magazines. Therefore,
\(s &= 2p + 20\end\)
Hence the correct option is b.
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of the cost elements making up total inventory cost, which is the most difficult to estimate? stockout costs carrying costs item cost holding costs
The stockout cost of the cost elements makes up the total inventory cost which is the most difficult to estimate. Option A.
Capital cost is the largest component of inventory holding cost. They cover everything related to investing in stock purchases. These include money spent on procuring commodities interest lost when working capital is converted to equity and the opportunity cost of money invested.
Out-of-stock costs are capital losses from inventory that is no longer available to customers. If a customer cannot buy something because it is out of stock the company suffers a loss. Among all inventory valuation methods, the first-in-first-out method is the most reliable indicator of a restaurant's inventory value.
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Which step is the most important step in the decision making process?.
Answer:
The most important step of the decision-making process is: Assessing the possible uncertainties in the future course of action. It is a must for any of the firms to assess or evaluate the possible risks or the uncertainties associated with the firm operation and functioning.
Armando, CEO of a successful medical supply company, is constantly reading press releases, ads, and news articles about his competition. He regularly checks information about new competitive products and visits trade shows to study his competition. Armando is involved in
Multiple Choice
evaluating opportunities.
describing threats.
analyzing strengths.
identifying weaknesses.
managing by observation.
Armando, the CEO, keeps up with news about brand-new rival items and attends trade exhibitions to research them. A part of Armando's job is to assess opportunities.
The trade of products and services from one person or organization to another often takes place in exchange for money. A system or network that permits trading is referred to as a market by economists. Before the invention of money, trades were carried out by bartering, or the direct exchange of one commodity or service for another. Today, the bulk of trade agreements are signed using a medium of exchange like money. As a result, buying can be distinguished from earning or selling. Trade was aided by the creation of money. Bilateral trade is defined as trading between two parties, whereas multilateral commerce comprises more than two parties. According to one contemporary viewpoint, trade is made feasible by specialization and the division of labor.
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A manager has 20 people report to her. Every year the manager is required to complete an evaluation of each worker's performance for the past year. If it takes approximately 40 minutes to complete an evaluation, how many hours will it take the manager to complete all of the evaluations (round to the nearest hour)?
The number of hours that it will take the manager to complete all of the evaluations is 13 hours.
From the information given, a manager has 20 people report to her and it takes 40 minutes to complete an evaluation, therefore, the number of hours to attend to all the people will be:
= 40 minutes × 20
= 800 minutes.
Therefore, converting 800 minutes to hours will be:
= 800 / 60
= 13.33 hours.
= 13 hours to nearest hour.
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Which applicants would be best qualified for the jobs based on educational level?
O Applicants 1 and 2 are qualified to be Arbitrators, Applicant 3 is qualified to be a Legal Assistant, and Applicant
4 is qualified to be a Police Detective.
O Applicant 3 is qualified to be an Arbitrator, Applicants 2 and 4 are qualified to be Legal Assistants, and Applicant
1 is qualified to be a Police Detective.
O Applicants 2 and 4 are qualified to be Arbitrators, Applicants 1 and 4 are qualified to be Legal Assistants, and
Applicant 3 is qualified to be a Police Detective.
O Applicant 4 is qualified to be an Arbitrator, Applicants 2 and 3 are qualified to be Legal Assistants, and
Applicants 1 and 3 are qualified to be Police Detectives
Answer:
b
Explanation:
Answer:
it is b on edge
Explanation:
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Central Valley Transit Inc. (CVT) has just signed a contract to purchase light rail cars from a manufacturer in Germany for euro 3,000,000. The purchase was made in June with payment due six months later in December. Because this is a sizable contract for the firm and because the contract is in euros rather than dollars, CVT is considering several hedging alternatives to reduce the exchange rate risk arising from the sale. To help the firm make a hedging decision you have gathered the following information. . The spot exchange rate is $1. 250/euro ∙. The six month forward rate is $1. 22/euro ∙. CVT's forecast for 6-month spot rates is $1. 27/euro ∙. The budget rate, or the highest acceptable purchase price for this project, is $3,900,000 or $1. 30/euro If CVT locks in the forward hedge at $1. 22/euro, and the spot rate when the transaction was recorded on the books was $1. 25/euro, this will result in a "foreign exchange accounting transaction ________ of ________
gain; $90,000, the required answer for the given question is option (c).
What is foreign exchange accounting transaction?There was a need for regulations on how to approach revenue produced in foreign currencies since firms were increasingly utilizing global markets. The term "foreign exchange accounting" refers to the accounting of business transactions carried out in currencies other than the reporting entity's functional currency. These transactions are recorded in the exchange rate of the reporting entity using the rate of exchange in effect on the transaction date.
This also accounts for any profits or losses brought on by variations in the anticipated exchange rate between both the entity's functional currency and the currency where a transaction is expressed.
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The full question is ,
Refer to Instruction 10.1. If CVT locks in the forward hedge at $1.22/euro, and the spot rate when the transaction was recorded on the books
was $1.25/euro, this will result in a "foreign exchange accounting transaction ________ of ________.
A) loss; $90,000.
B) loss; €90,000.
C) gain; $90,000.
D) gain; €90,000.