The correct answer is Virtual Desktop Infrastructure (VDI).
The desktop environment and related application software are separated from the physical client device used to access them thanks to a software technology called desktop virtualization.
The process of creating and maintaining virtual desktops using virtual machines is known as virtual desktop infrastructure (VDI). VDI provides desktop environments on a centralized server and makes them available to end users upon request.
What distinguishes virtual desktop infrastructure (VDI) from VDI?A VM is a virtualized computing environment that functions as a conventional physical computer and has its own CPU, memory, storage, and network interface. In contrast, VDI makes use of VMs to create and administer virtual desktops and applications.
To know more about VDI, visit: https://brainly.com/question/14763327
#SPJ4
The EISP component of _____ provides information on the importance of information security in the organization and the legal and ethical obligation to protect critical information about customers, employees, and markets.
The need for Information Technology Security is the EISP component that provides information on the importance of information security in the organization.
What is EISP?EISP means Enterprise Information Security Policy, which is the policy that guide the security of a firm.
Some element of an EISP includes:
Network SecurityApplication SecurityRisk ManagementCompliance ManagementDisaster RecoveryPhysical SecurityIn conclusion, the need for Information Technology Security is the EISP component that provides information on the importance of information security in the organization
Read more about EISP
brainly.com/question/6019784
Smith & Sons uses the allowance method of handling its credit losses. It estimates credit losses at two percent of credit sales, which were $1,900,000 during the year. On December 31, the Accounts Receivable balance was $300,000, and the Allowance for Doubtful Accounts had a credit balance of $21,400 before adjustment. Show how Accounts Receivable and the Allowance for Doubtful Accounts would appear in the December 31 balance sheet. (Do not use negative signs with your answers.)
Answer: See explanation
Explanation:
Firstly, we need to calculate the amount of bad debt. This will be:
= Credit sales × Bad debt expense
= $1900000 × 2%
= $38000
Also, the adjusted balance of allowance account will be the addition of the uadjusted balance of Allowance account and the bad debt expense which will be:
= $21,400 + $38000
= $59,400.00
Then, the balance sheet will be:
Accounts receivables = $300,000
Less: Allowance for Doubtful Accounts = $59,400
Net Realizable value of Accounts receivables = $240,600
Determine a value index for 2018
For example, if you were looking to create a value index for stocks, you would need to decide which stocks to include, what factors to consider (such as earnings per share, price-to-earnings ratio, etc.), and how to weight those factors.
Once you have established these guidelines, you can calculate the value index for 2018 using the chosen stocks and factors. For example, if you are referring to a stock market index that measures the value of a specific stock market or a particular segment of the market, such as the S&P 500 Index in the United States, you can find the value index for 2018 by looking up historical data or referring to financial market databases or websites that provide this information.
These sources typically provide the index levels and performance for specific time periods.
Read more about a particular segment here:https://brainly.com/question/14225381
#SPJ11
d. How trustworthy do you think the primary source is? Do you think this source Might
be biased? Why? (1-2 sentences. 0.5 points)
Answer:
um where is the paragraph can I see it I can give you the answer once I can see if the source is biased.
Explanation:
show me the paragraph so I can help answer your question.
Jackson is a recent college graduate who just got his first job. He commutes approximately 35 minutes each way
to his new workplace. Jackson does not have a lot of money saved and makes a modest salary. He plans on moving up in
the company to a higher paying position in the next few years and will likely upgrade to a better car as a testament to his
success. Should he buy or lease a new car?
Answer:
he should lease
Explanation:
If he were to but a new car it would most likely be more expensive than if he were to lease.
In the conditions as given above, it would be ideally, advisable and financially wise for Jackson to lease a new car as a testament of his success.
What is a lease?
A lease is a mixture of rent and purchase, where a person opts for a product or a service upon payment of the same as per the conditions and terms of the lease agreement.
Leasing is a financially-viable decision, as purchase requires either a payment in lump sum, or a loan where interest is to be paid over the amount of purchase. Thus, Jackson must opt for a lease.
Hence, the significance of a lease is aforementioned.
Learn more about a lease here:
https://brainly.com/question/23450043
#SPJ5
Shock Electronics sells portable heaters for $35 per unit, and the variable cost to produce them is $22. Mr. Amps estimates that the fixed costs are $97,500.
a. Compute the break-even point in units.
Break-even point in units is 7,500 unit
Given that;
Cost of each heater = $35
Variable cost of each heater = $22
Fixed cost = $97,500
Find:
Break-even point in units
Computation:
Contribution = Sales - VC
Contribution = $35 - $22
Contribution = $13
Break-even point in units = Fixed cost / Contribution
Break-even point in units = 97,500 / 7
Break-even point in units = 7,500 unit
Learn more:
https://brainly.com/question/22871926?referrer=searchResults
A fixed asset with a cost of $30,000 and accumulated depreciation of $28,500 is sold for $3,500. What is the amount of the gain or loss on disposal of the fixed asset?.
The amount of the gain or loss on disposal of the fixed asset is $2,000.
Gain or loss on disposalFirst step
Book Value = Original Cost of Equipment - Accumulated Depreciation
Book Value = $30,000 -$28,500
Book value= $1,500
Second step
Gain=Sale Price -Book Value
Gain=$3,500-$1,500
Gain=$2,000
Inconclusion the amount of the gain or loss on disposal of the fixed asset is $2,000.
Learn more about gain or loss on disposal of asset here:https://brainly.com/question/14542603
In your budgeting process, when should you look at recurring expenses?
after considering entertainment expenses
after your wants but before your needs
before looking at your needs
before reviewing your wants
Answer:
before reviewing your wants
Explanation:
Once the needs are accounted for, it is time to check those recurring expenses that are not considered essential, like home deliveries, internet purchases, and so on, and this check needs to be made before rewiewing your wants, which is the least essential expense category, and thus, the one that can be forgone in case your budget is not enough for it.
Trial courts determine if a will is valid or not. O True O False
Answer:
A valid will has to be in writing, and signed by the testator in the presence of two witnesses, who must also attest the will. If the process is not followed to the hilt, the will can be challenged in the court of law. So the answer is true.
Terradata University Network(TUN). Signup for the site if you have not previously registered. Log on and learn the content of the site. You will receive tasks related to this site in later tutorials Prepare a list of 5-7 items on the site that you think could be beneficial to you
The Teradata University Network (TUN) offers a range of resources including online courses, educational materials, webinars, certification programs, community forums, industry insights, and job resources focused on data analytics and database management.
1. **Online Courses**: TUN may offer a variety of online courses covering topics related to data analytics, database management, and other relevant subjects. These courses can provide valuable knowledge and skills in the field.
2. **Educational Resources**: The site may provide a collection of educational resources such as articles, whitepapers, case studies, and research papers. These resources can help users stay updated with industry trends and expand their knowledge base.
3. **Webinars and Events**: TUN might offer webinars and events featuring industry experts and thought leaders. Participating in these sessions can provide insights into emerging technologies, best practices, and real-world applications.
4. **Certification Programs**: The site could have certification programs that allow users to validate their skills and enhance their professional credentials in areas like data analytics or database management.
5. **Community Forums and Networking**: TUN might include community forums or networking opportunities where users can connect with peers, industry professionals, and potential mentors. Engaging in these discussions can foster learning, collaboration, and career development.
6. **Industry Insights and News**: TUN may provide access to industry insights, news updates, and articles that cover the latest advancements, trends, and challenges in the world of data analytics and database management.
7. **Job and Career Resources**: The site might offer job boards, career resources, or internship opportunities related to the field of data analytics, helping users explore career options and find relevant employment opportunities.
Please note that the actual content and offerings of the Teradata University Network may vary, and it's best to explore the site directly to see the specific resources and features it provides.
learn more about "industry ":- https://brainly.com/question/8847772
#SPJ11
Municipal bonds are issued by what?
Answer:
Hi, the correct answer to your question is they are securities issued by states, cities
etc/more.
Explanation:
They mostly do this for building like highways, roads and more. It is used to raise more money to build important things for our environment.
Hope this helps! :)
W Ell Inc. makes tires at a rate of 15,000 per week. It has three treaders, each with a capacity of 6,000 tires per week. It has enough rubber on hand to produce 30,000 tires. Ell employs 60 people on two shifts and does all its own shipping via 10 delivery trucks. Which is a lumpy asset for Ell? O a the rubber inventory O the delivery trucks O the employees O the treaders
The rubber inventory, Option a is Correct. A lumpy asset is an asset that is not easily converted into cash or does not generate cash evenly over time.
In the case of W Ell Inc., the rubber inventory is a lumpy asset because it is not easily convertible into cash and does not generate cash evenly over time. The rubber inventory is needed to produce tires, but it cannot be sold for cash. It is only useful when combined with the treaders, and even then, it can only be used to produce a limited number of tires before it needs to be replenished. This means that the rubber inventory is not a liquid asset and cannot be easily converted into cash to meet short-term financial needs.
In contrast, the delivery trucks, employees, and treaders are all more liquid assets because they can be easily converted into cash or generate cash evenly over time. The delivery trucks can be used to transport finished goods to customers, generating revenue in the process.
Learn more about inventory Visit: brainly.com/question/13439318
#SPJ4
The product Blank______ is the complete set of all products and services offered by a firm. Multiple choice question. width line category brand mix
The product mix is the complete set of all products and services offered by a firm.
What is a product mix?This is a term that is used to group all of the services or the products that is offered by a company or firm to their customers.
The product mix usually involves more than just one service or product. It is usually made up of two or more.
Read more on product mix here:https://brainly.com/question/14037774
Porter is visiting india and would like to purchase some local spices. He finds some spices that cost 320. 38 rupees. If the current exchange rate is 1 dollar:73. 6500 rupees, how much do the spices cost in u. S. Dollars?.
Porter is visiting India and would like to purchase some local spices. So, the spices cost in u. S. Dollars is $ 4.36.
What do you mean by the current exchange rate?An exchange rate determines the price at which one currency will be exchanged for another and has an impact on international trade and money transfers.
Both the value of the home currency and the value of the foreign currency have an impact on exchange rates.
The buying rate and selling rate are the rates at which currency traders will purchase and sell foreign currency, respectively.
Given,
Cost of Spices = 320.38
Exchange rate = 73.6500
Here,
Cost of spices in Dollars = 320.38 / 73.65
Cost of spices in Dollars = 4.36
Therefore, Porter is visiting India and would like to purchase some local spices. So, the spices cost in u. S. Dollars is $ 4.36.
To know more about the current exchange rate, visit:
https://brainly.com/question/15129224
#SPJ1
_________ profits in a competitive industry will attract new firms into the industry.
In a competitive industry, the level of profits earned by firms operating within it plays a crucial role in determining the entry and exit of firms.
When profits are high, it indicates that there is a significant demand for the industry's products and services, leading to increased competition. As a result, new firms are likely to enter the industry to take advantage of the high profits, which will increase the supply of goods and services and ultimately lead to a decline in profits.
The entry of new firms will lead to increased competition, which will drive down prices, and hence, profit margins. This process will continue until the industry's profits return to a level that reflects the costs of production, including the opportunity cost of capital. This process is known as the "entry and exit" mechanism, and it ensures that profits compete away in a competitive industry.
Thus, firms in a competitive industry must continually strive to innovate, improve efficiency, and differentiate their products to maintain a competitive edge and protect their profits from being eroded by new entrants. In conclusion, high profits in a competitive industry will attract new firms, leading to increased competition and ultimately resulting in lower profits.
To learn more about competitive industry
https://brainly.com/question/14090806
#SPJ4
should digital media, such as social media platforms continue to use highly sophisticated but opaque algorithms to adapt users’ experiences on their platforms?
Digital media, such as social media platforms should continue to use highly sophisticated but opaque algorithms to adapt users’ experiences on their platforms.
These algorithms are important for creating a personalized experience for users and can help social media platforms better understand their audience and provide them with content that is relevant and interesting to them.
However, it is important for social media platforms to be transparent about their use of these algorithms and to ensure that they are not being used in ways that are unethical or violate users’ privacy rights.
In conclusion, while digital media should continue to use sophisticated algorithms, transparency, and ethical use are important factors to consider.
Learn more about Digital media at https://brainly.com/question/30938219
#SPJ11
True or false, a bank has determined that the prevailing prime rate is 3.65 percent
False. The prevailing prime rate is determined by the federal funds rate, which is the interest rate at which banks lend money to each other overnight.
The federal funds rate is set by the Federal Reserve and can change frequently in response to changes in the economy. As of May 20, 2023, the federal funds rate is 0.75-1.00 percent.
While the prime rate is often based on the federal funds rate, it is not necessarily the same as the federal funds rate. The prime rate is the interest rate that banks charge their most creditworthy customers, and it is often based on the federal funds rate plus a markup. The prime rate can vary from bank to bank and can change over time in response to changes in the economy.
Learn more about prime rate visit: brainly.com/question/28791266
#SPJ4
in cases where a party ______ breaches the contract, the nonbreaching party is entitled to either ______ performance or be discharged from his obligations completely.
In cases where a party materially breaches the contract, the nonbreaching party is entitled to either specific performance or be discharged from his obligations completely.
When a party to a contract materially breaches the terms and conditions of the agreement, it means that the breach is significant and goes to the core of the contract. In such cases, the nonbreaching party has certain remedies available to address the breach.
One of the remedies is the option of seeking specific performance. Specific performance is a legal remedy where the court orders the breaching party to fulfill their obligations as specified in the contract.
This means that the nonbreaching party can demand that the breaching party performs the contract as agreed upon, rather than seeking monetary damages.
Alternatively, the nonbreaching party also has the right to be discharged from their obligations completely. This means that they are released from their duties under the contract and are no longer required to perform their part of the agreement.
In this case, the nonbreaching party may choose to terminate the contract and pursue other legal remedies, such as seeking damages for any losses suffered due to the breach.
The availability of specific performance or discharge from obligations will depend on various factors, including the nature of the contract, the seriousness of the breach, and the jurisdiction's laws governing contract disputes.
It is essential to consult legal professionals or refer to the specific contractual terms and applicable laws to determine the available remedies in a particular case of breach of contract.
To learn more about contract click here brainly.com/question/32327870
#SPJ11
A company faces the following demands during the next three weeks: week 1, 2000 units; week 2, 1000 units; week 3, 1500 units. The unit production costs during each week are as follows: week 1, $130; week 2, $140; week 3, $150. A holding cost of $20 per unit is assessed against each week's ending inventory. At the beginning of week 1, the company has 500 units on hand. In reality, not all goods produced during a month can be used to meet the current month's demand. To model this fact, assume that only half of the goods produced during a week can be used to meet the current week's demands. a. Determine how to minimize the cost of meeting the demand for the next three weeks.
minimize the cost of meeting the demand produced for the next three weeks, we need to determine the optimal production and inventory levels for
each week. Here's a step-by-step approach: Calculate the total demand for each week by summing up the individual demands: Week 1 demand: 2000 units Week 2 demand: 1000 units Week 3 demand: 1500 units Determine the production capacity for each week by considering that only half of the goods produced during a week can be used to meet the capacity - Week 3 demand + Week 2 ending inventory = 3000 - 1500 + 3500 = 5000 units Calculate the holding cost for each week by multiplying the ending inventory by the holding cost per unit: Week 1 holding cost: 2500 * $20 = $50,000 Week 2 holding cost: 3500 * $20 = $70,000 Week 3 holding cost: 5000 * $20 = $100,000 Calculate the production cost for each week by multiplying the production capacity by the unit production cost: Week 1 production cost: 4000 * $130 = produced $520,000 Week 2 production cost: 2000 * $140 = $280,000 Week 3 production cost: 3000 * $150 = $450,000 Calculate the total cost for each week by summing up the holding cost and production cost: Week 1 total cost: Holding cost + Production cost = $50,000 + $520,000 = $570,000 Week 2 total cost: Holding cost + Production cost = $70,000 + $280,000 = $350,000 Based on these calculations, the minimum cost of meeting the demand for the next three weeks would be in Week 2, with a total cost of $350,000.
learn more about production here:
https://brainly.com/question/33113581
#SPJ11
Find the amount the principal needed to have today $80 after 3 1/4 years.
The principal amount needed to have $80 after 3 1/4 years, assuming an annual interest rate of 4% and quarterly compounding, is approximately $66.20.
To find the principal amount needed to have $80 after 3 1/4 years, we need to use the formula for compound interest. The formula is:
A = P(1 + r/n)^(nt)
Where A is the amount at the end of the time period, P is the principal amount, r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the time period in years.
Since we want to find the principal amount, we can rearrange the formula to solve for P:
P = A / (1 + r/n)^(nt)
We are given that the amount at the end of the time period is $80, the time period is 3 1/4 years, and we are not given the annual interest rate or the compounding frequency. Without this information, we cannot calculate the exact principal amount needed to have $80 after 3 1/4 years.
However, we can make an estimate by assuming a reasonable interest rate and compounding frequency. Let's assume an annual interest rate of 4% and quarterly compounding. This means that the interest rate per quarter (n) is 1%, and the time period (t) is 13/4 years.
Using these values in the formula, we get:
P = 80 / (1 + 0.01)^(4 * (13/4))
P = 80 / (1.01)^13
P = $66.20 (rounded to the nearest cent)
However, it's important to note that this is just an estimate and the actual principal amount could be different depending on the actual interest rate and compounding frequency.
For more about principal amount:
https://brainly.com/question/31142218
#SPJ11
What does a money market account offer that a certificate of deposit (CD)
does not offer?
A. You make more money in interest.
B. You can withdraw money at any time.
C. You can open more than one money market account.
D. There is no difference between a money market account and a CD.
b you can withdraw money at any time.
How does the chain of command facilitate the operations of a large structured organization?
Answer:
The use if the direct chain of command affords delegation of authority in an easily understandable way, such that needed decisions on actions are more quickly taken to save costs due to delay and lack of cohesion.
Direct chain of command affords employees to work in areas they are proficient with which builds improved competence and skill within the workforce
The chain of command organizational structure is a logical delegation of authority which facilitates collaborative efforts with internal and external bodies
Explanation:
true or false: when considering the building blocks for global supply chains, all relationships between vendors, suppliers, and partners are equally valuable.
False. When considering the building blocks for global supply chains, not all relationships between vendors, suppliers, and partners are equally valuable.
The value and importance of relationships can vary based on various factors such as the nature of the business, the criticality of the goods or services provided, the level of collaboration and trust, and the overall strategic objectives of the supply chain.
In a global supply chain, different relationships may have different levels of significance. For example:
1. Strategic Partnerships: Some relationships may be considered strategic partnerships, where vendors, suppliers, or partners are closely aligned with the organization's long-term goals and objectives. These relationships are typically highly valuable and involve a deeper level of collaboration, shared risks and rewards, and long-term commitments.
2. Key Suppliers: Certain suppliers or vendors may play a critical role in the supply chain by providing essential components, materials, or services. These relationships may be deemed highly valuable due to their impact on the quality, reliability, or timeliness of the products or services delivered.
3. Transactional Relationships: In contrast, there may be relationships that are more transactional in nature, where the focus is primarily on short-term discount cost efficiency or meeting immediate operational needs. While these relationships may be important for day-to-day operations, they may not carry the same level of strategic value or long-term significance.
Therefore, it is crucial for organizations to assess and prioritize their relationships within the global supply chain based on their individual value, strategic alignment, and contribution to the overall success of the supply chain.
Learn more about discount here:
https://brainly.com/question/31870453
#SPJ11
Many workers do not have to drive to an office location. Their offices may be located in their homes. These workers are known as _____.
Answer:
telecommuter
Explanation:
A person who telecommutes is known as a "telecommuter", "teleworker", and sometimes as a "home-sourced", or "work-at-home" employee. A telecommuter is also called a "telecommuting specialist", as a designation and in a professional context.
Which job in the Finance career pathway is best for someone with knowledge of risk factors for insurance claims?
Accounts Clerk
Insurance Underwriter
Claims Clerk
Business Financial Manager
Answer:
claims clerk im pretty sure ;)
Explanation:
The job in the Finance career pathway that is best for someone with knowledge of risk factors for insurance claims is Claims Clerk.
Insurance claim
An insurance claim is a formal request by a policyholder to an insurance company for coverage or compensation for a covered loss or policy event. The insurance company validates the claim and, once approved, issues payment to the insured or an approved interested party on behalf of the insured. For property casualty insurance, such as for your car or home, filing a claim can cause rate hikes to your future premiums.
Claims ClerkA claims clerk is vital to ensure that insurance companies run smoothly and settle disputes over denied claims efficiently. This position is a mediator between the insurance company and a person filing for claims to come to terms.
Thus. the job in the Finance career pathway that is best for someone with knowledge of risk factors for insurance claims is Claims Clerk.
Learn more on finance here- brainly.com/question/10024737
#SPJ2
Lori is learning how to effectively sell clothes in her boutique. When she tries a pitch to a customer that results in a sale, she remembers what she said and uses the technique again. However, when a pitch does not result in a sale, she chooses not to use it again. Lori is learning to increase sales through the process of: Group of answer choices
From the question, we are being told how Lori is in learning process of cloth selling, he usually use some pitch on customer which do results to good sale, and whenever a particular pitch doesn't bring sale she abandon it, in this case she learning to increase her sale in a process called Operant conditioning.
Operant conditioning can be regarded as a type of associative learning process , whereby the strength of that particular behavior is been reinforced.This reinforcement serves as modifications which could be through punishment or other reinforcement.Therefore, the learning process that Lori is using here is Operant conditioning
Learn more at:
https://brainly.com/question/13044823?referrer=searchResults
Match each law with its correct description.
Answer:
Not too sure but I think it goes 1.Fair credit billing act 2.Credit CARD act 3.Uniform commercial code 4.Truth in lending act.
Match the law terms and definition:
Truth in Lending Act - requires lenders to establish standardized disclosures regarding terms and how they calculate fees.
Through the meaningful disclosure of loan conditions, which enables customers to evaluate standardized credit terms more easily and intelligently, the Truth in Lending Act (TILA) aims to safeguard consumer protection and promote competition among financial institutions.
Match the law terms and definition:
Truth in Lending Act - requires lenders to establish standardized disclosures regarding terms and how they calculate fees.Fair Credit Billing Act: allows consumers to exercise their rights regarding disputes and billing errors.Uniform Commercial Code: a set of laws that govern US commercial transactions.Credit CARD Act: prohibits unfair and abusive credit practices and ensures the transparency of fees.As a result, the significance of the law terms and definition are the aforementioned.
Learn more about on Truth in Lending Act, here:
https://brainly.com/question/30386250
#SPJ5
People are willing to pay a higher price if they believe that supplies are
A. fluctuating
B. endless
C. increasing
D. limited
Answer:
D.Limited
Explanation:
how does a home equity loan work for home improvements
Home equity loans typically have interest rates greater than home equity lines of credit, so you might end up paying more in interest over the course of the loan. Your Residence Will Serve As Collateral Your credit score will be lowered if you don't make your monthly installments on time.
Another excellent reason to consider home equity loans is that they typically have low interest rates and are fixed. Borrowing against the equity in your home may be a smart way to consolidate higher-interest debt, such as credit card debt, due to the low interest rates on most home equity loans.
To learn more about credit, click here.
https://brainly.com/question/1475993
#SPJ4
Explain two reasons why a government may run hospitals.
Explanation:
1) If a government decides to run a hospital, the
prices are likely to be less or free of cost.
2) the payments are made by the taxpayers.
3)A government will want to run a hospital because the economy might have many poor people and will want to reduce the death rate.
please rate as brainliest