The most important information of a document should appear prominently and early in the document to capture the reader's attention and convey the key message effectively.
By placing the most important information at the beginning of a document, it ensures that readers are immediately exposed to the critical content without having to search or dig through the document. This approach is known as the "inverted pyramid" or "front-loading" technique, where the main points or key takeaways are presented first, followed by supporting details and additional information.
Placing the most important information upfront helps to engage readers and communicate the document's purpose or main idea immediately. It acknowledges that readers may have limited time or attention span and aims to capture their interest from the start.
Additionally, strategically placing the essential information at the beginning enables readers to quickly grasp the document's main message, even if they only skim through it. This can be particularly important in situations where readers may be scanning multiple documents or facing time constraints.
In conclusion, the most important information should appear at the beginning of a document to ensure it receives the necessary attention and effectively conveys the main message to readers. This approach helps to engage readers, facilitate understanding, and make a strong impact.
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.Un capital de$ 8.000.000 a un interés de 4% en 6 meses
.Un Capital de $20.000.000 a un interés del 7% en un año
.Un capital de $3.000.000 a un interés del 5% en 8 meses
Usted obtiene un préstamo de $5.000.000 para pagar en 6 meses con
un interés del 4% mensual. Cuanto debe cancelar al finalizar el plazo?
(Capital más intereses)
Answer:
9754846u4t4
Explanation:
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In order for money to work properly, individuals and businesses in a country
must be willing to receive it as payment for goods and services. This is an
element of which characteristic of money?
O A. Uniformity
B. Limited supply
C. Divisibility
D. Acceptability
Answer:
D
Explanation:
acceptability -this is because it needs to be accepted by the people before it can be used
Dr. Crane is studying patients who are in the residual phase of schizophrenia. His colleague, dr. Mellus, takes detailed notes during a series of interviews and interactions that dr. Crane has with one such patient for later analysis. What research method are these doctors employing?.
The research method being used by Dr. Crane while diagnosing a patient who is going through the residual phase of schizophrenia is the case study method.
What is the case study method?A case study method is one of the research methods used to identify the patient's detailed study about his/her respective illness.
According to a given situation, the interviews and interactions being taken by Dr. Crane with the patient in order to know well about his/her condition as he is going with the disease of schizophrenia. His colleague makes notes of whatever going through during those interviews and interactions. These notes helped him to analyze the case and then prescribe an appropriate solution for overcoming his/her illness.
Therefore, the case study method is being followed by Dr. Crane in order to diagnose the patient's illness of schizophrenia.
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which pricing method sets the price of the product on what the customer is willing to pay?
The pricing method that sets the price of the product on what the customer is willing to pay is called "value-based pricing."
This method determines the price of a product or service based on the perceived value it provides to the customer, rather than solely on the cost of production or the price offered by competitors.
To implement value-based pricing, businesses must first understand their customers' needs, preferences, and willingness to pay for the product or service. They then set the price based on the perceived value the product offers to the customer, taking into account factors such as quality, uniqueness, and convenience.
Value-based pricing allows businesses to capture the maximum value from their products or services and can lead to higher profit margins. However, it requires a deep understanding of customer needs and a willingness to invest in market research to determine the optimal price.
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I WILL GIVE BRAINLIEST, NEED HELP ASAP
1. The government has imposed a new regulation for car companies to install baby seat anchors to support baby seats in all new cars produced. How does this change supply for cars?
A. Does not impact supply
B. Decrease Supply
PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST) PERSONAL & FAMILY FINANCE
Ivywood Country Club recently hired Spencer to find additional resources, make major decisions involving membership, and develop ideas for new swag to be sold in the pro shop. What unique skill did the club MOST likely need when they hired Spencer?
capital capacity
labor talent
entrepreneurial ability
Answer:
entrepreneurial ability
Explanation:
Entrepreneurial ability is the capacity to understand every aspect of a business. It entails combining a range of technical, management, and personal skills. Entrepreneurial ability incorporates creativity, ambition, determination, teamwork, risk management, and a sense of responsibility.
Spencer must have Entrepreneurial abilities; that's why the club hired him. The club believes that his creativity and determination will be useful in finding additional resources. Spencer can recognize, attract, and retain talent. Entrepreneurial abilities involve taking over a business that already exists and making it better.
highlight four reasons why a seller would prepare a proforma invoice???
Answer:
Pro forma invoices are sent to buyers ahead of a shipment or delivery of goods or services. Most pro forma invoices provide the buyer with a precise sale price. A pro forma invoice requires only enough information to allow customs to determine the duties needed from a general examination of the included goods.
Explanation:
hope i help
during a flight to quality, the default risk premium spread between medium-quality and low-quality baa bonds and high-quality t-bills will group of answer choices
During a flight to quality, investors tend to move their investments from high-risk assets to low-risk assets. This flight is usually driven by a perceived increase in risk or uncertainty in the financial market. In this scenario, the default risk premium spread between medium-quality and low-quality Baa bonds and high-quality T-bills will decrease.
Investors prefer to hold low-risk assets such as T-bills as they are considered to be a safe haven in uncertain times. This increased demand for T-bills will result in a decrease in their yields. On the other hand, the demand for medium-quality and low-quality Baa bonds will decrease, as investors will consider them to be riskier investments. As a result, the yields on these bonds will increase.
The combination of decreased yields on T-bills and increased yields on Baa bonds will lead to a decrease in the default risk premium spread between these two assets. The spread will also decrease between low-quality and medium-quality Baa bonds, as investors will perceive all Baa bonds to be riskier than T-bills.
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The last phase of the research process is reporting the research findings to management.
T/F
The last phase of the research process is reporting the research findings to management- True.
Reporting the study findings to management is the final step in the research process. A study proposal will include a brief summary of the researchers' backgrounds. The final research report is another name for the study proposal.
Scientific research is a methodical procedure that emphasises objectivity and the collection of a wide range of data for analysis so that the researcher may reach a conclusion. Regardless of the study technique, this procedure is employed in all research and evaluation initiatives (scientific method of inquiry, evaluation research, or action research). The method focuses on doing systematic hypothesis testing in a park and leisure context.
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Assume the economy is operating at P1Y2.
Which of the following would cause a shift to bring the economy to P3Yf?
Real wages fall.
Productivity increases.
Personal income taxes increase.
Transfer payments decrease.
A major hurricane hits the southeastern United States.
The decrease in aggregate demand would also reduce productivity and lead to a decrease in output and employment.
What is employment?Employment is an agreement between two parties, usually based on a contract, where work is exchanged for compensation, such as wages, salary, or commission. Employment is typically for a fixed period of time, and the employer usually has the right to dismiss an employee for a legitimate reason. Employment typically involves an exchange of services, knowledge, skills and experience for remuneration. Employment can be either full-time, part-time, or casual, depending on the type of job and the agreement between the employer and the employee.
A major hurricane hitting the southeastern United States would cause a shift to bring the economy to P3Yf as it would reduce aggregate demand in the affected areas, resulting in a decrease in consumption and investment spending. This would lead to a contraction in output and employment, resulting in a decrease in real wages, a decrease in transfer payments, and an increase in personal income taxes.
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True or False, suppose that $600 is deposited at the end of every year into an account paying interest of 7% per year. at the end of twelve years the account will be worth approximately $8,944
True, if $600 is deposited at the end of every year into an account paying interest of 7% per year, at the end of twelve years the account will be worth approximately $8,944.
What is Future Value?
Future value is the value of an item computed on a given value at a given specific interest rate after a specific number of years. It is constantly rising, and when it is falling, it is referred to as a depreciating value.
We can calculate the value of the account after twelve years by using the formula for the future value of an annuity:
FV = PMT × [(1 + r)n – 1]/r. Therefore, FV = $600 × [(1 + 7%)12 – 1]/7%. FV = $8,944 (rounded to the nearest dollar). Therefore, if $600 is deposited at the end of every year into an account paying interest of 7% per year, at the end of twelve years the account will be worth approximately $8,944.
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Planting a tree improves the environment: trees transform greenhouse gases into oxygen, improve water retention in the soil, and improve soil quality. Assume that the value of this environmental improvement to society is $10 for the expected lifetime of the tree. The following table contains a hypothetical demand schedule for trees to be planted. Assume that the marginal cost of producing a tree for planting is constant at $20. a) Draw a diagram that shows the market equilibrium quantity and price for trees to be planted. b) What type of externality is generated by planting a tree? Draw a diagram that shows the optimal number of trees planted. How does this differ from the market outcome? c) On your diagram from part b), indicate the optimal Pigovian tax/subsidy (as the case may be). Explain how this moves the market to the optimal outcome. Price of Tree $30 $25 $20 $15 $10 $5 $0 Quantity of trees demanded thousands) 0 6 12 18 24 30 36
a) In the given hypothetical demand schedule, the marginal cost of producing a tree is constant at $20. The market equilibrium occurs where the demand and supply curves intersect, i.e., where the price of the tree is equal to the marginal cost of producing a tree. In this case, the market equilibrium price is $20, and the corresponding quantity demanded is 12 thousand trees.
b) Planting a tree generates a positive externality, as it improves the environment and provides benefits to society that are not captured by the market price. The optimal number of trees planted should consider the additional $10 value for environmental improvement. In this case, the total value of a tree is $30 ($20 marginal cost + $10 externality value). At the price of $30, 6 thousand trees are demanded, which is the socially optimal quantity, differing from the market outcome of 12 thousand trees.
c) To achieve the optimal outcome, a Pigovian subsidy should be implemented. This subsidy would cover the $10 environmental improvement value not accounted for in the market price. With the $10 subsidy, the effective cost to consumers would be $20 per tree, leading to a demand of 6 thousand trees - the socially optimal quantity. This Pigovian subsidy aligns private and social incentives, moving the market to the optimal outcome.
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56. How do most states finance their capital budget?
a. sales or excise taxes
b. long-term borrowing or sale of bonds
c. income and property taxes
d. personal property or inheritance taxes
Which of the following best represents the options a company has when a product is declining? A) maintain or harvest the product
B) harvest or drop the product
C) maintain, harvest, or drop the product
D) maintain or pioneer the product
E) pioneer, harvest, or maintain the product
When a product is declining, the options that a company has include C) maintain, harvest, or drop the product.
What happens when a product is declining ?When a product disintegrates as a result of slowing down or experiencing negative growth, it enters the decline stage of its life cycle.
Because of the most recent technology developments, modifications in customer wants, and impending trends, competition becomes too intense and sales decline. The sales rate decreases until maintaining the project is no longer financially feasible for us.
Due to increased competition or declining consumer demand, brands will see a fall in sales during the decline stage. This period is challenging to get through; often, businesses will either sell their business, cease their product, or find new ways to improve their product in an effort to boost sales.
This means that the company would therefore have the options of either maintaining the product, harvesting it, or dropping it.
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How would you explain the way a cap and trade policy works to someone who has not studied economics? 2. How would you respond to their concerns that the policy is likely to be ineffective or unfair? Discuss this in the context that the cap and trade policy creates a market. 3. Now draw a cap and trade model where firm A has a technology where y=x and firm B has a technology where y=2x. The functions are the firms’ marginal cost of abatement curves. The initial split of permits is 80:20 in favour of firm A. The level of optimal abatement is 150 gigatonnes. Draw the cap and trade model for these two firms and show the outcome after trading. Label all relevant quantities.
1. Cap and trade is an environmental policy instrument used to control and regulate pollution by mandating the maximum amount of pollution a company can emit, creating market mechanisms, and incentivizing innovation.
2. The cap and trade policy can be effective in reducing pollution and encouraging innovation.
Explanation:
Cap and trade is an environmental policy instrument used to control and regulate pollution by mandating the maximum amount of pollution a company can emit, creating market mechanisms, and incentivizing innovation. It operates through a system of permits, wherein the government sets the maximum level of pollution, issues permits up to that limit, and then distributes or auctions them among polluting companies. Companies can then buy or sell these permits, allowing them to pollute to a certain level.
Answer 2
The cap and trade policy can be effective in reducing pollution and encouraging innovation. It sets a clear limit on pollution and provides incentives for companies to reduce their emissions. The market mechanism also allows for flexibility, enabling companies to trade permits and reduce costs. However, some may argue that the policy is unfair because companies with lower emissions can sell permits to those with higher emissions, enabling them to continue polluting. To address this concern, the policy can be designed to account for such externalities or impose taxes or penalties on high-emission companies.
Answer 3
The marginal cost of abatement curves (MCAs) for the two firms can be graphed as follows:
For firm A, y = x, and for firm B, y = 2x, as given. The number of permits initially assigned is 80% for firm A and 20% for firm B. The firms will be able to sell permits, with firm A offering them at a lower price of $10 per permit and firm B offering them at $20 per permit.
The market price of the permits will be $15 because, in equilibrium, the quantity of permits demanded equals the quantity of permits supplied. It can be seen that firm B will purchase 20% of the total permits while firm A will sell 80%. The level of abatement is 150 units, which is the amount the market will reduce pollution by. The market equilibrium is shown in the graph below:
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Pick a company and write about their marketing mix (product, place, promotions, and price). It should be four paragraphs (one paragraph for each part of the marketing mix).
I will discuss the marketing mix of Apple Inc., focusing on their product, place, promotions, and price strategies.
Product: Apple Inc. is known for its innovative and high-quality products. Their product range includes smartphones (iPhone), tablets (iPad), computers (MacBook), wearables (Apple Watch), and more. Apple's products are designed with sleek aesthetics, user-friendly interfaces, and advanced technology, offering a premium and seamless user experience. Their focus on product design and functionality has helped them create a strong brand image and a loyal customer base.
Place: Apple distributes its products through various channels, including their online store, retail stores, and authorized resellers. Apple's retail stores are strategically located in high-traffic areas, providing a direct and immersive experience for customers. The online store offers convenience and accessibility to customers worldwide. By having a strong presence in both physical and digital spaces, Apple ensures that their products are easily accessible to a wide range of consumers.
Promotions: Apple's promotional strategies focus on creating buzz and excitement around their products. They use a combination of advertising, public relations, and digital marketing campaigns to generate interest and create a sense of exclusivity. Apple is known for their captivating product launch events that generate media attention and consumer anticipation. Their advertising campaigns highlight the unique features and benefits of their products, emphasizing their premium quality and cutting-edge technology.
Price: Apple positions itself as a premium brand, and their pricing strategy reflects this positioning. Their products are priced higher compared to competitors in the market, emphasizing the value and quality they offer. Apple utilizes a skimming pricing strategy, initially setting higher prices to target early adopters and capture maximum profits. Over time, they may introduce lower-priced models or offer discounts on older versions to appeal to a broader customer base. Despite the premium pricing, Apple's strong brand reputation and perceived value justify the higher price points.
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Simply Imagine wants to grow their company but is hindered by increasing labor costs and import quotas.
Simply Imagine should consider becoming a(n)
(A) countertrader (B) wholly owned subsidiary (C) strategically(D) mulimatiomnal (E) franchiser
Answer:
multinational
Explanation:
A multinational business operates in at least one other country apart from its home country. The company will have factories/ offices in different countries and its headquarters in the domicile state. The operations of a multinational are coordinated at its headquarters.
By becoming a multinational, simple imagine can expand in countries with relatively cheap labor. It will overcome the import quota challenge by operating from a country without restrictions or from the source state.
As a project manager, you want to integrate change management into your project. you do this by ensuring stakeholders are aware of the upcoming changes. you introduce the deliverable to stakeholders by hosting a demonstration and a question and answer forum. these actions represent which change management best practice?
As a project manager, an action which ensuring stakeholders are aware of the upcoming changes, introducing the deliverable to stakeholders by hosting a demonstration and a question and answer forum would represent within the change management best practice is: a. Be proactive.
Who is a project manager?A project manager can be defined as an individual who is saddled with the responsibility of assembling a team that have common aims, goals, and objectives, in order to successfully execute and implement a project.
As a project manager, there are five best practices that used must adopt to change management on your projects and these include the following:
Be proactive.Communicate upcoming changes to stakeholders.Follow a consistent process.Show and practice empathyMake use of tools.In this context, we can reasonably infer and logically deduce that all project managers are expected to be proactive by ensuring their stakeholders are aware of any upcoming change.
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Complete Question:
As a project manager, you want to integrate change management into your project. You do this by ensuring stakeholders are aware of the upcoming changes. You introduce the deliverable to stakeholders by hosting a demonstration and a question and answer forum. These actions represent which change management best practice?
a. Be proactive
b. Practice empathy
c. Follow a consistent process
d. Use tools
what are the positive impacts of Title VII of the Civil Rights Act of 1964 on US companies. How did this historic change in US law benefit companies?
Answer:
The Civil Rights Act of 1964 hastened the end of legal Jim Crow. It secured African Americans equal access to restaurants, transportation, and other public facilities. It enabled blacks, women, and other minorities to break down barriers in the workplace.
Explanation:
• Information about the underlying asset: spot price 100, expected return 15%, volatility 20%.
• Information about the market: risk-free rate 5.00%.
a)n Consider a Cox-Ross-Rubinstein (CRR) binomial tree, in which one time step is 4 months. Calculate the up-factor u, and down-factor d, and show how to get the probability (of price moving up) p?
b)Consider an at-the-money American put option maturing in 1 year. Build a 3-step CRR binomial tree (i.e. show the price changes).
c)Calculate the option price using the tree in question (b) and show the early exercise points if there is any.
The option price using the CRR binomial tree is approximately $10.102, and the early exercise points occur at the second and third steps, where the option price is greater than the exercise value.
a) To calculate the up-factor (u) and down-factor (d) in the Cox-Ross-Rubinstein (CRR) binomial tree, we use the following formulas:
u = e^(σ√(Δt))
d = 1/u
where:
σ is the volatility (20% or 0.20)
Δt is the time step (4 months or 1/3 year)
Plugging in the values:
u = e^(0.20√(1/3)) ≈ 1.098
d = 1/u ≈ 0.911
To calculate the probability of a price move up (p), we use the risk-neutral probability:
p = (e^(rΔt) - d) / (u - d)
where:
r is the risk-free rate (5% or 0.05)
Δt is the time step (4 months or 1/3 year)
d and u are the down-factor and up-factor respectively.
Plugging in the values:
p = (e^(0.05*(1/3)) - 0.911) / (1.098 - 0.911) ≈ 0.534
Therefore, the up-factor (u) is approximately 1.098, the down-factor (d) is approximately 0.911, and the probability of a price move up (p) is approximately 0.534.
b) To build a 3-step CRR binomial tree, we start with the spot price of 100 and apply the up-factor and down-factor to calculate the price changes at each step. The tree structure would look like this:
130
/ \
108.9 150
/ \ /
90.6 121.5 195
At each step, the price can either go up by the up-factor or down by the down-factor.
c) To calculate the option price using the CRR binomial tree, we start from the final step and move backward, calculating the option value at each node. At each node, we compare the exercise value (max of the strike price minus the spot price or 0) with the expected option value discounted back from the next step.
Using the tree structure from part b), we would calculate the option prices and early exercise points as follows:
130
/ \
18.9 50
/ \ /
0 1.5 45
At the final step, the option price is the exercise value, which is the max of the strike price (let's assume it's 100) minus the spot price or 0. So, at the final nodes, the option prices are 0 and 0.
Moving backward, we discount the expected option values from the next step using the risk-free rate (5%).
At the second step, the option price at the upper node is (0.534 * 0 + (1 - 0.534) * 1.5) * e^(-0.05 * 1/3) ≈ 1.286
At the lower node, the option price is (0.534 * 1.5 + (1 - 0.534) * 45) * e^(-0.05 * 1/3) ≈ 22.169
Finally, at the initial step, the option price is (0.534 * 0 + (1 - 0.534) * 18.9) * e^(-0.05 * 1/3) ≈ 10.102
Therefore, the option price using the CRR binomial tree is approximately $10.102, and the early exercise points occur at the second and third steps, where the option price is greater than the exercise value.
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Tailoring a company's strategy to fit the sometimes unusual or challenging circumstances presented in developing-country markets is not exemplified by
A.Home Depot’s withdrawal from China.
B.Suzuki’s entry into India that triggered a quality revolution among Indian auto parts and automobile manufacturers, including Mahindra and Mahindra.
C.Unilever’s development of a Wheel, a low-cost detergent in a single-use package, for sale in India.
D.Kellogg’s introduction of single-serving premixed yogurt-and-cereal breakfast packs in Vietnam.
E.McDonald’s vegetable burgers in parts of Asia and price adjustments in countries with low levels of disposable income.
The correct answer is A. Home Depot’s withdrawal from China.
What is a market ?A market refers to the exchange of goods and services between buyers and sellers. It is a place where buyers and sellers come together to exchange goods and services for an agreed price. Markets can be physical locations like a supermarket or a street market, or they can be virtual markets like online marketplaces where transactions take place digitally.
Markets are driven by supply and demand. When there is high demand for a product or service, the price is likely to increase, and when there is low demand, the price is likely to decrease. Similarly, when there is high supply, the price is likely to decrease, and when there is low supply, the price is likely to increase. Markets can be affected by a variety of factors, such as changes in consumer preferences, economic conditions, government regulations, and competition.
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You purchase 190 shares for $50 a share ($9,500), and after a year the price rises to $60. Calculate the percentage return on your investment if you bought the stock on margin and the margin requirement was (ignore commissions, dividends, and interest expense): a. 25 percent. Round your answer to one decimal place. % b. 35 percent. Round your answer to one decimal place. % c. 75 percent. Round your answer to one decimal place. %
Given, You purchase 190 shares for $50 a share ($9,500), and after a year the price rises to $60.
The percentage return on investment is calculated as follows:a. Margin requirement is 25%.The total investment made is the sum of the price paid to buy the shares and the amount borrowed on margin.Total Investment = Amount invested + Amount borrowed Total Investment = $9,500 + $2,375 = $11,875 Total Gain = Current Value of investment - Total Investment = $60 × 190 - $11,875 = $1,125 Percentage Return on investment = Total Gain / Total Investment × 100= $1,125 / $11,875 × 100= 9.47%So, the percentage return on investment is 9.47%.
Therefore, option a is correct. b. Margin requirement is 35%.The total investment made is the sum of the price paid to buy the shares and the amount borrowed on margin.Total Investment = Amount invested + Amount borrowed Total Investment = $9,500 + $3,325 = $12,825 Total Gain = Current Value of investment - Total Investment = $60 × 190 - $12,825 = $1,275 Percentage Return on investment = Total Gain / Total Investment × 100= $1,275 / $12,825 × 100= 9.94%So, the percentage return on investment is 9.94%.Therefore, option b is incorrect.c. Margin requirement is 75%.The total investment made is the sum of the price paid to buy the shares and the amount borrowed on margin.
Total Investment = Amount invested + Amount borrowed Total Investment = $9,500 + $7,125 = $16,625 Total Gain = Current Value of investment - Total Investment = $60 × 190 - $16,625 = $2,375 Percentage Return on investment = Total Gain / Total Investment × 100= $2,375 / $16,625 × 100= 14.28%So, the percentage return on investment is 14.28%.Therefore, option c is correct.
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Which is an example of an interest group? (Professional communications)
Interest groups are all about connecting you to the opportunities, insights, and resources that promote professional success through the creation of a network of peers, faculty, alums, staff, and employers.
Special Interest Groups, which are typically centered on a shared interest or characteristic of a subset of members of the organization, may also exist in non-technical organizations. Trade unions serve as an essential illustration of this. Members of an interest group must always share similar objectives.
An example of an interest group is a partnership firm. However, a friendship group's members do not necessarily have to have similar interests in order to be friends. They might support the same sports team or belong to the same community, for instance.
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What is the difference between position management and job management.
The difference between position management and job management lies in the fact that;
In Position Management, a position is created for each new employee/opening while In Job Management, no positions are necessary in order to create a job requisition.Staffing ModelsConventionally, there are two types of staffing models:
Position Management and Job Management.In Position Management, it is necessary that a position is created for each new employee/opening. In such cases, reports show open positions and vacancy rates.
However, In Job Management, no positions are needed in order to create a job requisition.
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A company purchased equipment for $1,000,000 which was estimated to have a useful life of 15 years with a residual value $35,000 at the end of that time. Depreciation has been recorded for 10 years on a straight-line basis. At 01/01/2015, it is determined that the remaining useful life is 8 years with a residual value of $ 10,000 at the end of that time. Instructions: Calculate the depreciation expense for 2015. All calculations must be justified.
A company purchased equipment for $1,000,000 which was estimated to have a useful life of 15 years with a residual value $35,000 at the end of that time. Depreciation has been recorded for 10 years on a straight-line basis. At 01/01/2015, it is determined that the remaining useful life is 8 years with a residual value of $10,000 at the end of that time.
Calculation of depreciation expense for 2015:1. Depreciation rate:Depreciation rate = (Cost - Residual value) / Useful lifeDepreciation rate = ($1,000,000 - $35,000) / 15 yearsDepreciation rate = $965,000 / 15 yearsDepreciation rate = $64,333.33 per year2. Depreciation expense:Depreciation expense = Depreciation rate × (Number of months / 12)Depreciation expense = $64,333.33 × (12 / 12)Depreciation expense = $64,333.33Therefore, the depreciation expense for 2015 is $64,333.33.
Justification:The given problem can be solved by applying the straight-line method of depreciation. According to this method, the depreciation expense for each year is calculated by dividing the depreciable amount by the useful life of the asset. The depreciable amount is the cost of the asset minus its residual value. The residual value is the estimated value of the asset at the end of its useful life.
The useful life is the estimated time period over which the asset will be used to generate revenue.The given asset was purchased for $1,000,000 and had a residual value of $35,000 after 15 years of useful life. Hence, the depreciable amount of the asset was $965,000. The company has recorded depreciation for 10 years. Therefore, the remaining useful life of the asset is 5 years. However, on 01/01/2015, it is determined that the remaining useful life of the asset is 8 years with a residual value of $10,000.
Hence, the depreciable amount of the asset is $990,000. The depreciation rate for the asset can be calculated by dividing the depreciable amount by the useful life. The depreciation expense for 2015 can be calculated by multiplying the depreciation rate by the number of months for which the asset was used in 2015.
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someone help me. i have no clue oml
Answer:
Get a dice and roll it.
Explanation:
Gross Domestic Product or GDP can be
a)Value of output of goods and services during one year
b) National Income
c)National Output
d)Aggregate Demand
e)All the stuff made by one country in one year
f)All of the above or any of the above
Answer:
f)All of the above or any of the above
Explanation:
GDP or gross domestic product is the aggregate of the values of goods and services produced within a country's boundaries. In calculating the value of GDP, economists consider the value of finished goods only.
GDP is calculated using the expenditure approach and the income approach. With the expenditure approach, GDP is the sum of all consumers, government, incomes, and net imports. The result is GDP and also the aggregate demand.
In the income approach, the GDP is the sum of all national incomes . In other words, GDP is equal to Sales Taxes plus Depreciation and Net Foreign Factor Income.
Which of the following is not one of the risk categories
A:Practical
B:controllable
C:Pure
D:Speculative
Answer:
pretty sure controllable bc controllable isn't a risk. ( I've I had brainliest could u pls give me it ???)
How do Increases in human use of natural resources affect Earth's systems?
Numerous human activities such as overpopulation, pollution, the burning of fossil fuels, and deforestation have an adverse effect on the physical environment.
Humans' use of natural resources:Food, fuel, and raw materials for the manufacture of commodities are all made with the help of natural resources.
People eat food that was either produced by plants or animals. Heat, light, and power are all produced by using natural resources like coal, natural gas, and oil.
The physical environment is negatively impacted by a variety of human activities including deforestation, pollution, overcrowding, and the combustion of fossil fuels.
Changes like this have contributed to climate change, soil erosion, poor air quality, and undrinkable water.
Therefore, numerous human activities such as overpopulation, pollution, the burning of fossil fuels, and deforestation have an adverse effect on the physical environment.
Know more about humans' use of natural resources here:
https://brainly.com/question/24067944
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The purpose of orientation is to assess a worker's performance over the
O past year
O locate potential job candidates
O acquaint a new employee with co-workers and job duties
O determine whether a worker should be dismissed