The concept of money neutrality means that changes in the money supply have no real effects on the economy in the long run.
This means that using monetary policy to influence the price level can only be done in the short-term, but not for the purpose of encouraging economic growth. As such, monetary policy must be used responsibly and within a framework to limit its impact.
Additionally, mechanisms should be introduced to regulate the Federal Reserve's decision making to ensure the use of monetary policy is not abused. Ultimately, while the Federal Reserve has the flexibility to take unpopular decisions, it is important to ensure they are made in the best interest of the country to maintain economic stability over the long run.
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on which of the following is there a tax incentive in the united states? (i) health insurance purchased through employers (ii) employer contributions for life insurance (iii) rental value on owner-occupied housing (iv) your mortgage
Answer: (iv) or (iii)
Explanation:
mike started a calendar-year business on september 1st of this year by paying 12 months of rent on his shop at $700 per month. what is the maximum amount of rent that mike can deduct this year under each type of accounting method?
The maximum amount of rent that Mike can deduct this year depends on the accounting method he is using. That is $ 2800 under the cash method and $ 8400 under the accrual method.
If Mike is using the cash method of accounting, he can deduct the rent payments that he actually paid during the tax year. Since he started the business on September 1st, he would have paid rent for the months of September, October, November, and December, a total of 4 months. Therefore, the maximum amount of rent that he can deduct this year is $700 x 4 = $2800.
If Mike is using the accrual method of accounting, he can deduct rent payments for the period that he is entitled to the use of the property, regardless of when he paid the rent. Since he started the business on September 1st and paid 12 months of rent in advance, he is entitled to use the property for the entire year. Therefore, the maximum amount of rent that he can deduct this year is $700 x 12 = $8400.
It's important to note that if Mike elected to use the cash method of accounting, he must stick with it for at least the first year of business and for future years unless he receives the IRS approval to change it.
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Which of the following statements about investing is TRUE?
1. Investing is a guaranteed way to make money.
2. Investing is best for short-term financial goals.
3. Investing is riskier than putting money in a savings accounts.
4. On average, putting money in a savings account earns a higher return than investing money in the stock market.
Answer:
3. Investing is riskier than putting money in a savings accounts.
Explanation:
Investing involves putting money in profits generating ventures. It is risky because the money invested may be lost should the venture make losses instead of profits. Investments activities include buying of shares and other marketable securities or starting and operating a business. Should the business or investment do well, the returns or profits can be attractive.
Saving is putting money aside for future consumption. Saving may be done through savings accounts that as safe and secure. Money saved is risk-free. The possibility of losing it is very minimal. Because money saved is kept safe, it does not generate much income for the owner.
What is service enterprise
What is a sales promotion
Answer:
Sales promotion is a marketing strategy where the product is promoted using short-term attractive initiatives to stimulate its demand and increase its sales.
This strategy is usually brought to use in the following cases
to introduce new products,
sell out existing inventories,
attract more customers, and
to lift sales temporarily.
One of the problems associated with the utilitarianism is that it does not recognize that taxing those with higher incomes results in less work effort. each individual receives a different marginal benefit from a dollar's worth of income. equity is achieved when there is no poor and no rich. similar individuals should be treated the same.
Answer:
taxing those with higher incomes results in less work effort.
Explanation:
In normative ethics, utilitarian ethics (utilitarianism) can be defined as a theory of morality or ethical theory that typically involves engaging in actions that facilitate pleasure, joy or happiness while completely opposing any action capable of causing harm and unhappiness.
Basically, utilitarian ethics considers an action to be right or morally correct if it produces genuine happiness or joy in the mind of a large number of people in an organization, group or society.
The three (3) main principles (axioms) of utilitarian ethics (utilitarianism) include the following;
I. The only thing with an intrinsic value is pleasure or happiness.
II. If an action promotes happiness or pleasure, then it is right; it is wrong if it causes harm or unhappiness (sadness).
III. The happiness of everyone in a group or society should count equally.
One of the problems associated with the utilitarianism is that it does not recognize that taxing those with higher incomes results in less work effort.
when an investment bank acts as a(n) _______ for an ipo, it bears the risk of reselling, at a profit, the securities purchased from the issuing corporation.
When an investment bank acts as an Underwriter for an IPO, it bears the risk of reselling, at a profit, the securities purchased from the issuing corporation.
An Initial Public Offering (IPO) is an event in which a private company issues stock to the public for the first time. This is also referred to as "going public." The stock that is released is referred to as "new issue stock." The company typically hires an investment bank to handle the process of an IPO. Investment banks have several roles in an IPO, including the role of an underwriter.
An Underwriter is a financial institution that provides financial backing to an individual or corporation issuing securities. An underwriter is typically an investment bank that purchases all of the securities issued by a corporation in an initial public offering (IPO) and resells them to the public.
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Project: Using Simple Formulas
Suppose you work for a technology company and you are taking a business trip to Japan to purchase some parts. The Japanese use
yen for their currency. When you arrive in Japan, the manufacturers have listed the prices In yen. To figure out how much you are
spending, you will need to convert the prices in yen to U.S. dollars. You know that one U.S. dollar equals 105.06 yen at the time of your
trip, so you use your spreadsheet to make this conversion. You enter a price in one cell and in another cell, you enter a formula that
multiplies the price by 105.06. In this way, you can quickly see how much an item costs in U.S. dollars.
Answer:
the ansowre would be c
Explanation:
analysis is used to determine future results using past data.
analysis is used to detect patterns in existing.
Analysis is a valuable tool that is used to evaluate and interpret data to gain insights into future results. One of the key uses of analysis is to identify patterns and trends in existing data that can be used to predict future outcomes. By looking at historical data, analysts can identify patterns that are likely to continue and forecast future trends.
Analysis can be applied to a range of different areas, from finance and business to science and technology. In finance, for example, analysts may use data on past stock prices to predict future performance. In business, analysis can help companies identify trends in consumer behavior and adjust their marketing strategies accordingly. To conduct analysis, analysts typically use a range of tools and techniques, such as statistical analysis, data mining, and machine learning.
These techniques allow analysts to sift through large amounts of data to identify meaningful patterns and relationships. Overall, analysis is an essential tool for decision-making in a range of fields, as it provides valuable insights into future outcomes based on past data. By using analysis to detect patterns in existing data, individuals and organizations can make informed decisions that are more likely to lead to success.
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Will you borrow and act on the business idea of others?
Stop Killing Your Ideas. "Ideas," John Steinbeck once said, "are like rabbits. ... Most ideas don't stand a chance.
'Market management is the key element for a business' Justify this statement with an example.
Answer:
Explanation:
Marketing Management is the key element for a business because it enables the business to generate revenue, gain new customers, and establish the brand. It ensures that the business is profitable by analyzing and aligning the company's goals.
Depending on the industry and marketing objectives of an organization, marketing management can mean many things. As the name implies, marketing management performs managerial tasks in the field of marketing, including, but not limited to, planning and decision-making before, during, and after the execution of marketing plans.
An example of marketing management is creating an advertising plan and implementing it. Another example is the expansion of business via mergers and acquisitions.
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A company sells specialized machinery. They also provide installation services if customers require it and provide maintenance contracts to service the machine. Customers have the option to purchase one, two or all three product/service offerings.
The stand-alone selling prices are as follows:
Machine $750,000
Installation 80,000
Maintenance contract – 5 years 150,000
If a customer chooses to purchase all three, the selling price is $900,000. Customers sign a contract with the entity when the payment is made.
The machine and installation were completed by December 31, 2021 and the maintenance contract starts on January 1, 2022. How much revenue can be recorded by the entity on December 31, 2021?
Question 1 options:
a) $762,245
b) $830,000
c) $688,776
d) $750,000
A company sells specialized machinery. They also provide installation services if customers require it and provide maintenance contracts to service the machine.
Customers have the option to purchase one, two or all three product/service offerings. The stand-alone selling prices are as follows, Machine $750,000 Installation $80,000 Maintenance contract – 5 years $150,000 If a customer chooses to purchase all three, the selling price is $900,000. Customers sign a contract with the entity when the payment is made. The machine and installation were completed by December 31, 2021, and the maintenance contract starts on January 1, 2022.
The revenue can be recognized when the performance obligation is satisfied, either over time or at a point in time. Since the company does not have a history of providing maintenance services without installation, the company can recognize revenue using the completed contract method. The machine and installation are completed by December 31, 2021, and maintenance will start on January 1, 2022.
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The table shows the terms of a fixed-rate mortgage.
Which accurately describes the terms of this mortgage? Check all that apply.
The homeowner is borrowing $360,000.
The monthly interest rate is 4 percent.
Monthly payments must be made for 30 years.
The annual interest rate is 4.8 percent.
The homeowner is borrowing $200,000.
Monthly payments must be made for 360 years.
The fixed-rate mortgage concept is used in home loans. Monthly payments for 30 years, the interest rate is 4.8%, and borrowing $200,000.
What is a fixed-rate mortgage?It is usually used in home loans with a fixed interest rate during the term of the loan. It is beneficial because once the rate of interest is fixed it is not influenced by the increase in the rate in the future.
C - Monthly payments for 30 years.
D - The interest rate is 4.8 % annually
E - borrowing $200,000.
Therefore, options C, D, and E explain the fixed-rate mortgage.
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What are the equilibrium price and quantity of yo-yos?
Price Qd Qs
$1 100 10
$2 80 35
$3 60 60
$4 40 85
$5 20 110
which word best describes the writing process in business writing ?
Answer: Brainstorm Pre-write. Write rough draft. Peer-review. Revise ideas. Edit Publish Establish constructive purposes for student writing. Find real audiences, beyond the teacher, for students' writing
What are blueprints?
OA.
Plans for buildings, machines or other items.
OB.
Computer programs.
O C. Laboratory equipment.
OD.
Instructions for employees.
Rese
answer:oa.
Explanation:
its just oa its the definition
Answer:
A. plans for buildings, machines, or other items
Explanation:
Blueprint
A complete plan that explains how to do or develop something.
<3 Enjoy,
Dea
QUESTION 1: Using the Annual Worth Analysis & ROR=20% (a) If the projects are execusive projects, determine the preferred proposal. (b) If the projects are independent, which of them should be selected? (c) What is the unit cost of each unit. (d) What is the unit profit of each unit. (e) What is the unit selling price. A firm has available three investment proposals A, B, and C having cash flow profiles below. A B C $150 000 Initial investment $300 000 $200 000 160 000 Annual receipts (income) 190 000 200 000 Annual costs 110 000 150 000 100 000 50 000 Salvage value 100 000 50 000 Life, years 8 11 7 NO. Of units/year 10,000 10,000 10,000 QUESTION 2: A project has the following cash flow estimates in Millions. Year Out cash flow In cash flow 2023 35 10 2024 10 20 2025 10 20 2026 15 30 2027 15 30 2028 15 10 2029 15 21 2030 20 10 A. Find the number of IROR. B. Form a schedule & graph calculating PV for all rates between (-25% - 50%). C. What is your conclusion and decision?
QUESTION 1:
(a) To determine the preferred proposal among A, B, and C using Annual Worth Analysis with a required rate of return (ROR) of 20%, we need to calculate the annual worth (AW) for each proposal.
The AW can be calculated using the formula:
AW = Annual Receipts - Annual Costs + Salvage Value - Annual Worth Factor * Initial Investment.
(b) If the projects are independent, we need to compare the AW for each project individually. The project with the highest positive AW should be selected.
(c) The unit cost of each unit can be calculated by dividing the Annual Costs by the number of units per year.
(d) The unit profit of each unit can be calculated by subtracting the unit cost from the unit selling price.
(e) The unit selling price can be calculated by dividing the Annual Receipts by the number of units per year.
QUESTION 2:
A. To find the internal rate of return (IRR), we need to calculate the net cash flows for each year by subtracting the out-cash flow from the in-cash flow. Then, we can use an IRR calculation method, such as the Newton-Raphson method, to find the IRR at which the net cash flows sum to zero.
B. To form a schedule and graph calculating the present value (PV) for all rates between -25% and 50%, we calculate the PV for each year's cash flow using the formula: PV = CF / (1 + r)^n
C. Based on the schedule and graph of PV, we can analyze the values and patterns.
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what is the factored form of x^2-11x+24=0
Answer:
(x - 8)(x - 3) = 0
Explanation:
Use the AC method, multiplying the a by c, or the coefficient of x (which is 1) and the last term, 24.
1 x 24 = 24
Now list factors of 24:
1 x 24
-1 x -24
2 x 12
-2 x -12
3 x 8
-3 x -8
4 x 6
-4 x -6
Which of these factor's sums would equal -11 (the middle term)?
-3 + (-8) = -11
So replace -11x with -3 and -8:
x^2 - 3x - 8x + 24 = 0
Now factor by separating into two groups:
x^2 -3x and -8x + 24
GCF between x^2 and -3x is x. So factor x out.
x(x - 3)
GCF between -8x and 24 is 8. So factor 8 out.
-8(x - 3)
Now we have x(x - 3) - 8(x - 3)
(x - 8)(x - 3)
Which of the following is most likely to create a long-term trend?
A. Fashion
B. Entertainment
C. Television shows
D. Demographics
Demographics is most likely to create a long-term trend. Demographics is the study of the characteristics of human populations, such as age, sex, education, income, and race. The correct answer is option D.
These factors have a significant impact on consumer behavior, and thus, they can create long-term trends in the marketplace. As people age, their preferences change, and they tend to consume different products and services. For example, as the baby boomer generation has aged, there has been a trend towards products and services that cater to their needs, such as retirement communities, healthcare, and leisure activities.
Additionally, changes in education, income, and race can create new trends in consumer behavior. For example, if there is an increase in the number of people with higher education degrees, this could lead to a trend towards products and services that cater to their needs, such as high-tech gadgets, gourmet foods, and luxury vacations. Therefore, demographics is most likely to create a long-term trend. The correct answer is option D.
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sove 3logx + 5 is equal to 8
♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️
\(3 log(x) + 5 = 8\)
Subtract sides 5
\(3 log(x) + 5 - 5 = 8 - 5\)
\(3 log(x) = 3\)
Divide sides by 3
\( \frac{3 log(x) }{3} = \frac{3}{ 3} \\ \)
\( log(x) = 1\)
_________________________________
Reminder :
\( log_{a}(x) = b\)
\(x = {a}^{b} \)
_________________________________
Thus ;
\( log_{10}(x) = 1\)
\(x = {10}^{1} \)
\(x = 10\)
Done...
♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️♥️
Select the correct answer.
At which stage of problem solving should you discuss the problem with colleagues?
B. evaluating the information
C. gathering information
D. making a choice
E. taking action
Plato/Edmentum
Answer:
E or D
Explanation:
D because it doesn't hurt to get a second opinion and see what your colleagues think
E Because your actions or decisions when it comes to a business can affect your colleagues.
Fractional reserve banking is a term used to describe a banking system whereby a. banks hold reserves equal to only a fraction of their deposit liabilities. b. banks hold reserves equal to a multiple of their deposit liabilities; that is, fractional in this case really means multiple. c. individual banks share a fraction of the total funds deposited in the whole banking system. d. banks are required to quote interest rates in fractions. e. banks are required to maintain a certain fraction of their deposits in the form of checkable deposits, a certain fraction of their deposits in the form of savings deposits, etc.
Answer:
a. banks hold reserves equal to only a fraction of their deposit liabilities.
Explanation:
The Federal Reserve System ( popularly referred to as the 'Fed') was created by the Federal Reserve Act, passed by the U.S Congress on the 23rd of December, 1913. The Fed began operations in 1914 and just like all central banks, the Federal Reserve is a United States government agency.
Generally, it comprises of twelve (12) Federal Reserve Bank regionally across the United States of America.
Like all central banks, the Federal Reserve is a government agency that is saddled with the following responsibilities;
I. The Fed controls the issuance of currency in United States of America: it promotes public goals such as economic growth, low inflation, and the smooth operation of financial markets.
II. It provides banking services to all the commercial banks in the country because the Federal Reserve is the "lender of last resort."
III. It regulates banking activities in the United States of America: it has the power to supervise and regulate banks.
In the banking system, fractional reserve banking describes a situation in which a depository financial institution such as a bank, hold an amount of reserves that is typically equal to only a fraction of its deposit liabilities.
Background info: Gulfstream G150 is one of the fastest mid-size business jet aircrafts developed by Gulfstream Aerospace Corporation in partnership with Israel Aircraft Industries (IAI). Being powered by 2 rear-mounted Honeywell TFE731-40AR turbofan engines, the aircraft has an ultra-long range and can cruise at very high speeds. The aircraft has low sweptback wings and a horizontal stabilizer in a cruciform-tail configuration. It has a capacity of housing up to 9 occupants. Specifications: List of specifications: Max take-off weight: WTO=11,839 kg Cruise speed: VC=850 km/h Service ceiling: 14,000 m Range: 5462 km Fuselage length: 16.94 m Wing area: S=29.41 m2 Wing span: b=16.64 m Mean chord: c=1.8 m Use the following aerodynamic data: Maximum lift coefficient: CLmax=1.5 Minimum lift coefficient: CLmin=−1.2 Lift slope: CLα=5.5rad−1 Questions: Using the above information, construct the generalized aircraft's V-n Diagram and its associated Gust V−n Diagram at sea level and at an altitude of 12,000 m. Describe your solution steps and results clearly. Please include key sample calculations related to the derivations of the diagrams. (You may use graphical plotting software such as Microsoft Excel or MATLAB for the diagram plotting as well as to execute the required calculations. Otherwise, you can also manually plot the diagrams on graph papers. ) a) Describe the effects on the aircraft when it experiences a down gust of u=−15.25 m/s as it cruises at 0.7Vc in a steady level flight at sea level and at 12,000 m altitude? b) What is the largest vertical acceleration (upward) that the aircraft can achieve at 75 m/s for both altitudes? c) Calculate the aircraft's penetration speed for the gust speed of u=−15.25 m/s at both altitudes.
The generalized aircraft's V-n Diagram and Gust V-n Diagram can be constructed by determining the load factor (n) at various speeds (V) and comparing them to the maximum and minimum allowable values based on aerodynamic limits and gust considerations.
For the effects of a down gust at both sea level and 12,000 m altitude, the aircraft experiences a sudden change in velocity, resulting in an increase in the load factor. The specific effects depend on the aircraft's response characteristics and stability.
To calculate the largest vertical acceleration (upward) that the aircraft can achieve at 75 m/s, it is necessary to determine the load factor corresponding to this speed and then calculate the corresponding vertical acceleration using the equations of motion.
For the calculation of the aircraft's penetration speed for the given gust speed of u = -15.25 m/s, the aircraft's airspeed (Va) needs to be determined at which the gust-induced vertical acceleration is equal to the maximum allowable load factor.
These calculations involve utilizing the provided aerodynamic data, lift coefficients, and equations of motion to derive the required values and plot the diagrams accurately.
Note: Due to the complex nature of the calculations and graphical plotting involved, it is recommended to use appropriate software tools such as Microsoft Excel or MATLAB for accurate and efficient solutions.
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the intramural sports club reports sales revenue of $740,000. inventory at both the beginning and end of the year totals $200,000. the inventory turnover ratio for the year is 3.0. what amount of gross profit does the company report in its income statement?
The gross profit that the company will report in its income statement will be $440,000.
Gross profit = revenue - costs of goods sold
For the Intramural Sports Club, revenue = $740,000.
Finding the cost of goods sold COGS
Inventory turnover = COGS/ average inventory
inventory turnover= 3.0
Average inventory = beginning plus closing inventory /2
in this case, average inventory =$200,000/2
=$100,000
Therefor, 3.0 = COGS/ $100,000
COGS = $100,000 x 3.0
COGS =$300,000
Gross profits= $740,000- $300,000
Gross profit =$440,000
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How much money is there in the world?
Answer:
nobody don't have any ideas✓✓
All of this depends on currencies in different in countries because it's all worth different amount like 1 US dollar is 0.76 Pounds.
An average for you in USD is 1.4 quadrillion dollars.
Suppose a monopolist's costs and revenues are as follows: ATC = $50.00; MC = $35.00; MR = $45.00; P = $55.00. The firm should A. increase output and decrease price. B. not change output or price. C. shut down.
Based on the given information, the monopolist is currently producing at a point where marginal revenue (MR) is greater than marginal cost (MC). This suggests that the firm should continue to produce, as it can generate additional profit by increasing output. the correct answer is A
To determine the optimal level of output, the monopolist should compare the price (P) to the average total cost (ATC). If P is greater than ATC, then the firm should continue to produce. In this case, P is greater than ATC, indicating that the monopolist is currently earning a profit. Therefore, the firm should increase output and decrease price in order to capture a larger share of the market. By doing so, it may be able to attract more customers and increase its market share, leading to long-term profitability. In conclusion, the correct answer is A, increase output and decrease price.
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Deimos Corporation has 500,000 shares of $2 par-value common stock issued and outstanding when the market price per share is $22 per share. By what amount will total equity increase when the company declares a 2:1 stock split
Answer:
Total equity will remain the same
Explanation:
A stock split is simply increasing the number of shares and at the same time reducing the par value per share.
A stock split of 2:1 means that the number of shares would double while par value reduces by half.Specifically,the number of shares would increase from 500,000 to 1,000,000 while the par value reduces from $2 per share 1/2*$2 i.e $1 each.
All in all,the there is no increase in total equity overall.
The text and background of a power point slide should be similar in color.
True or False
Answer:
False
Explanation:
Imports, exports, and the trade balance The following table shows the approximate value of exports and imports for the United States from 1968 through 1972. Complete the table by calculating the surplus or deficit both in absolute (dollar) terms and as a percentage of GDP. If necessary, round your answers to the nearest hundredth.
In 1968, the United States had a trade surplus; nevertheless, the following years had a trade deficit. The deficit peaked in 1972 at $7.2 billion, or 0.57% of GDP, when it was at its highest level. This suggests that the U.S. was importing more commodities during this time than it was exporting, which might have hurt the economy of the nation.
To calculate the trade surplus or deficit for each year between 1968 and 1972, we can use the table provided and the formula:
Trade Surplus/Deficit = Exports - Imports
We can also calculate the trade surplus/deficit as a percentage of GDP using the formula:
Trade Surplus/Deficit as % of GDP = ((Exports - Imports) / GDP) x 100
For example, in 1968, the U.S. had a trade surplus of $0.5 billion ($43.1 billion in exports - $42.6 billion in imports). This represents a trade surplus of 0.05% of GDP, calculated as (($43.1 billion - $42.6 billion) / $946.6 billion) x 100.
Similarly, we can calculate the trade surplus or deficit for the remaining years, as shown in the table below:
Year Trade Surplus/Deficit (in billions of dollars) Trade Surplus/Deficit as % of GDP
1968 0.5 0.05%
1969 -1.0 -0.10%
1970 -5.2 -0.48%
1971 -5.7 -0.49%
1972 -7.2 -0.57%
As we can see, the U.S. had a trade surplus in 1968 and a trade deficit in the following years. The deficit reached its highest point in 1972, where it amounted to $7.2 billion or 0.57% of GDP. This indicates that during this period, the U.S. was importing more goods than it was exporting, which could have a negative impact on the country's economy.
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Note- Complete Question
The table below displays the approximate value of exports and imports for the United States between 1968 and 1972. Using this information, calculate the trade surplus or deficit for each year in both absolute (dollar) terms and as a percentage of GDP. Round your answers to the nearest hundredth.
Year Exports (billions of dollars) Imports (billions of dollars)
1968 43.1 42.6
1969 48.3 49.3
1970 51.7 56.9
1971 56.0 61.7
1972 60.8 68.0
Note: GDP (Gross Domestic Product) is the total value of goods and services produced by a country in a given year. For this question, assume that the U.S. GDP for each year is as follows:
Year U.S. GDP (billions of dollars)
1968 946.6
1969 1013.4
1970 1077.6
1971 1167.8
1972 1253.3
You strive to be rational when you negotiate, but you sometimes fall prey to bias. Now you have to choose a new employee, but you’ve needed the help for a long time. There’s just no time to search. You choose a prospect from the preapproved list provided by Human Resources. Which cognitive approach to negotiation has sidetracked you?- Escalation of commitment- Belief in only fixed-sum outcomes- Anchoring in irrelevant information- Overreliance on readily available information
Human resources (HR) is the department inside a business this is chargeable for all things worker-related. That consists of recruiting, vetting, choosing, hiring, onboarding, training, selling, paying, and firing employees and independent contractors.
A human aid branch is likewise in the rate of retaining personnel safe, healthy, and happy. With proper HR management, place of work regulations keep up with necessary shielding measures and implementation and offer solutions to issues between group members, heading off danger for the company and its employees.
Human assets are the individual or organization of humans at an employer who manages all matters related to its personnel. This consists of — however, isn't always restricted to — hiring, maintaining a budget, recruiting, dealing with benefits, ensuring worker pride, enforcing an agency lifestyle, and schooling new hires.
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