Employees bear the investment risks of the plan is false regarding defined benefit plans. Option C is the correct answer.
A defined-benefit plan is an employer-sponsored retirement program where benefits are calculated for employees using a formula that takes into account a number of variables, including length of service and pay history. Option C is the correct answer.
The company is in responsibility of managing the plan's investments and risk, and frequently does this by working with a third-party investment manager. Employees frequently are not permitted to withdraw money at will, unlike with a 401(k) plan. Individuals are instead eligible to receive their benefit as a lifelong annuity or, in some circumstances, as a lump sum after they reach a particular age as stated by the plan's conditions.
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The complete question is, "Which of the following statements regarding defined benefit plans is false?
A. The benefits are based on a fixed formula.
B. The vesting period can be based on a graded or cliff schedule.
C. Employees bear the investment risks of the plan.
D. Employers are generally required to make annual contributions to meet expected future liabilities.
What steps will add slicers to a PivotTable? Use the drop-down menu to complete the steps.
Select the Pivot Table.
Click the Pivot Table Tools
tab.
Design, Format, Review, Options
In the group,
Filter, Slicer, Timeline, Data
Click
Insert Timeline, Insert Slicer, Active Field, Group
In the Insert Slicer dialog box, select the fields to create slicers for.
Click OK.
Answer:
1. options
2.Filter
3. Insert Slicer
Explanation:
I got it correct
The steps are as follows:
optionsFilterInsert SlicerPivot table
Pivot tables are a powerful Excel tool that helps us summarize large amounts of data and saves us a lot of time. Pivot tables are a reporting tool that has a fields section that contains four fields.
What does this table contains?It has four fields, that are:
Rows: Data that is taken as a specifier. Values: Count of the data. Filters: Filters to hide out certain data.Columns: Values under different conditions.Thus, the steps are as follows:
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Which of the following is false concerning the critical path in a network?
A. It is the longest path in the network
B. It is the shortest amount of time in which the project can be completed
C. It is the path that contains the greatest number of activities
D. It is the path where each activity has zero slack
The false statement concerning the critical path in a network is that it is the path that contains the greatest number of activities. Option C is correct.
It is not necessary that the critical path contains the greatest number of activities. The critical path is defined as the longest path in the network that determines the shortest possible time to complete the project. It consists of a sequence of activities that must be completed in a specific order without any delay to avoid delaying the entire project. Each activity in the critical path has zero slack or float time, which means that any delay in the completion of these activities will directly impact the project's completion time.
Therefore, identifying and managing the critical path is crucial in project management to ensure timely completion of the project. Overall, the critical path analysis technique helps project managers to plan, schedule, and control project activities effectively, allowing them to deliver the project on time and within budget.
Thus, option C is correct.
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a quality perspective that focuses on whether or not a product was made or a service was performed as intended is the:
A quality perspective that focuses on whether or not a product was made or a service was performed as intended is the Conformance perspective. It is one of the Eight dimensions of quality.
What is the Eight dimensions of quality?David A. Garvin, formerly the C. Roland Christensen Professor of Business Administration at Harvard Business School, identified eight aspects of quality that can be utilized strategically to examine the qualities of a product.
Performance, features, dependability, compliance, durability, serviceability, aesthetics, and perceived quality are the eight important characteristics or categories of quality that Garvin suggests might act as a framework for strategic analysis.
The degree to which a product complies with standards in terms of its design and functionality is shown by the conformance perspective or dimension.
Therefore, the conformance dimension or perspective focuses on whether or not a product was made or a service was performed as intended.
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If Georgia-Pacific seeks information about trends in housing starts around the country and uses U.S. Department of Commerce reports to get this information, it is using ___________ data.
a) causal
b) exploratory
c) primary
d) laboratory
e) secondary
If Georgia-Pacific seeks information about trends in housing starts around the country and uses U.S. Department of Commerce reports to get this information, it is using secondary data.
Secondary data refers to information that has already been collected by someone else and is readily available for use. In this case, the U.S. Department of Commerce has already collected data on housing starts and Georgia-Pacific is simply accessing this information to make informed business decisions.
Secondary data can be a valuable resource for companies as it can provide quick and cost-effective access to information that may be difficult or time-consuming to collect through primary research. However, it is important to ensure the data is reliable and relevant to the specific research question at hand. Additionally, secondary data may not always provide the level of detail or specificity needed for certain research questions, in which case primary research may be necessary.
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Compare and contrast the features and benefits of a currently held credit card against a new credit card for which you are considering applying. Determine which of the two cards is better, according to your financial needs and goals, and tell why.
Answer:
ok
Explanation:
Currently held credit card can only do what ever you have left to do on it. for example whatever are the restrictions on your credit card and how much you can use for it and the interest. A new credit card can be better than the last one but can be harder to obtain if you have bad credit or just trying to get a lot of credit cards. which would also give you bad credit. The benefits would be you have the restrictions on the new card but you know you haven't made a single purchase on it yet so how much you can use it is more likely more than the previous card.
the sovereign immunity doctrine states that a foreign sovereign cannot be sued unless an exception to the foreign sovereign immunities act of 1976 applies. a sovereign is:
A sovereign is a supreme power or governing authority, often referring to a nation's political entity. The sovereign immunity doctrine means that a foreign sovereign cannot be sued in a U.S. court unless an exception under the Foreign Sovereign.
What is a sovereign?A sovereign is a supreme ruler or a supreme governing authority, either of a nation-state or of an independent state. In legal terms, sovereign refers to a government or a state that has complete and independent power and authority over its territory and citizens, and is not subject to control by any other government or entity.
The sovereign immunity doctrine states that such a government or state is immune from being sued in the courts of another country, unless an exception specified in the Foreign Sovereign Immunities Act of 1976 applies. Hence, the answer is, a sovereign is a supreme power or governing authority, often referring to a nation's political entity.
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what would be the best leadership strategy for a giver
Answer:
depends on the situation give me a strategy and ill give you why it would be the best
a Quantity The Nigerian film industry which is so intensively operational in the city of Lagos has had a positive impact on the industry for bleaching agents which now has a huge market share. This film industry has really boosted
th demand for fair or light skinned actors to feature in almost all Nigerian movies. As a student of Internation Economics, write a note on this economic outlook. (3 marks)
The Nigerian film industry has had a significant impact on the demand for fair or light skinned actors in the country.
This has led to an increase in the market share for bleaching agents, which has resulted in a quantity effect on the economy. With the demand for these products increasing, the market for bleaching agents has expanded, resulting in an increase in the quantity of goods produced and sold. This has led to an increase or to say the most significant in revenue for the producers of these products, contributing to the growth of the economy. However, it is important to note that the use of bleaching agents can have negative health implications, and policies should be put in place to regulate their use.
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Does anyone have a perfect competition business example?
Answer:
Perfect competition is a type of market structure where products are homogenous and there are many buyers and sellers. ... Whilst perfect competition does not precisely exist, examples include the likes of agriculture, foreign exchange, and online shopping.
Explanation:
195 PROBLEM 12 - LONG TERM NOTES PAYABLE 2 journal entries PROBLEM 12 - LONG TERM NOTES PAYABLE On December 31, 2021, Rockwell Inc. issues a long term note payable for On December 31,2021 , Rockwell Inc. issues a long term The note is a 10 year note with an interest rate of 6%. The terms of the note call for semi-annual installment payments of INSTRUCTIONS: Prepare the journal entries to record the note on 12-31-21 and to pay the first installment payment on 6-30-2022. OPTIONAL EXTRA 2 POINTS - 1 journal entry Optional bonus - 1 journal entry Prepare the journal entry for 12-31-2022 (second payment)
On December 31, 2021, Rockwell Inc. issued a long-term note payable. Let's break down the steps to prepare the journal entries for this transaction.
Step 1: Recording the issuance of the note on 12-31-21:
- Debit: Long Term Notes Payable (the principal amount of the note)
- Credit: Cash (the amount received from issuing the note)
Step 2: Paying the first installment payment on 6-30-2022:
- Debit: Long Term Notes Payable (the principal portion of the payment)
- Debit: Interest Expense (the interest portion of the payment)
- Credit: Cash (the total amount paid)
For the optional bonus, the journal entry for 12-31-2022 (second payment) would be:
- Debit: Long Term Notes Payable (the principal portion of the payment)
- Debit: Interest Expense (the interest portion of the payment)
- Credit: Cash (the total amount paid)
Remember, the interest expense can be calculated by multiplying the outstanding balance of the note by the interest rate and dividing it by the number of payment periods in a year. In this case, since the note is for 10 years and the payments are semi-annual, there will be 20 payment periods.
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why planning is important before starting a business?
Answer:
So you can get ready to know 'how to make your business good'
If you don't plan, then you'll forget to setup something is may be important
Explanation:
Hope this helps :)
Why does this occur?
This has to be asked in context.
Carter and his partner have decided to expand their business and make the company public to generate more funds.
However, they are aware of the tax policies of corporations. Which type of corporation will they opt for to avoid double taxation?
Carter and his partner should opt for a(n)
to avoid double taxation.
Carter and his partner may consider forming an S Corporation to avoid double taxation.
S Corporations are a type of corporation that allow business income, deductions, and credits to flow through to the shareholders' personal tax returns. This means that the corporation itself is not taxed on its income, but instead, the shareholders are taxed on their share of the corporation's income.
By contrast, a C Corporation is subject to double taxation, meaning that the corporation pays taxes on its income, and then the shareholders pay taxes on any dividends they receive from the corporation.
Therefore, if Carter and his partner want to avoid double taxation, they should consider forming an S Corporation. However, it's important to note that there are certain eligibility requirements for S Corporations, such as having no more than 100 shareholders and only one class of stock. They should consult with a tax professional or an attorney to determine if an S Corporation is the right choice for their specific business needs.
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Lisa takes a loan of $10,500 if I did 9 simple interest rate for 7 years how much interest will she pay after 3 years how much interest will she pay in total of for the loan
Lisa will pay a total interest of $2845 at the end of 3 years to the loan; and $6615 in total throughout the period of loan through the simple interest method.
What is simple interest?The type of interest which is charged only over the initial amount or the principal amount and payable at the end of a predetermined period is known as a simple interest.
Using the given information, the simple interest at the end of 3 years and 7 years will be computed as below,
\(\rm Simple\ Interest= \dfrac{Principal\ x\ Rate\ of\ Interest\ x\ Period}{100}\\\\\rm Simple\ Interest= \dfrac{10500\ x\ 9\ x\ 3}{100}\\\\\rm Simple\ Interest= \$2845\)
Now for 7 years,
\(\rm Simple\ Interest= \dfrac{10500\ x\ 7\ x\ 9}{100}\\\\\rm Simple\ Interest=\$6615\)
Hence, the simple interest to be paid by Lisa at the end of the required periods is given as above.
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XXXXXX
Suppose you invest $1,000 in an account paying 8% p.a. interest with annual compounding.
b) Which do you prefer: a bank account that pays 5% p.a. (EAR) for three years or
i. 2.5 % every six months for 3 years
ii. 7.5 % every 18 months for 3 years iii. 0.5 % per month for 3 years
XXXXXXX
The future value of the investment can be calculated using the formula:
FV = PV x \((1 + r/n)^(n*t)\) .Where PV is the present value, r is the annual interest rate, n is the number of compounding periods per year, and t is the number of years.
In this case, the investment is $1,000, the annual interest rate is 8%, and the compounding period is annual. Therefore, we can calculate the future value after 3 years as:
FV = $1,000 x\((1 + 0.08/1)^(1*3)\) = $1,259.71
b) To compare the different bank accounts, we need to calculate the effective annual rate (EAR) for each option. The formula for EAR is:
EAR =\((1 + r/n)^n - 1\)
Where r is the nominal annual interest rate and n is the number of compounding periods per year.
i. For the bank account that pays 2.5% every six months for 3 years, the nominal annual interest rate is 5%, and the compounding period is semi-annual (twice a year). Therefore, the EAR is:
EAR =\((1 + 0.05/2)^2\)- 1 = 0.0506 or 5.06%
ii. For the bank account that pays 7.5% every 18 months for 3 years, the nominal annual interest rate is also 5%, but the compounding period is 18 months. Therefore, the EAR is:
EAR =\((1 + 0.05/2)^2\) - 1 = 0.0506 or 5.06%
iii. For the bank account that pays 0.5% per month for 3 years, the nominal annual interest rate is:
r = 12 x 0.005 = 0.06 or 6%
Therefore, the EAR is:
EAR =\((1 + 0.06/12)^12\) - 1 = 0.0617 or 6.17%
Comparing the different options, the bank account that pays 0.5% per month for 3 years has the highest effective annual rate (6.17%), followed by the bank accounts that pay 2.5% every six months (5.06%) and 7.5% every 18 months (5.06%). Therefore, if you are looking to maximize your returns, you should choose the bank account that pays 0.5% per month.
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4.2. Why do you think capital is important?
Answer:
Capital is important because it's that part of an asset that can be used to repay its depositors, customers, and other claimants in case the bank doesn't have enough liquidity due to losses it suffered in its operations. Capital also helps the bank in times of a liquidity crisis.
1) List three (3) teaching points to reinforce with a client who is going home with crutches.
2) A client is suspected to have vancomycin-resistant enterococci in their wound. What type of isolation precautions will be implemented upon admission to the medical-surgical unit?
1) List three (3) teaching points to reinforce with a client who is going home with crutches.The following are three teaching points that should be reinforced with a client who is going home with crutches: Ensure that the client understands the proper use of the crutches.
This involves demonstrating how to properly adjust the crutches to fit the client's height, how to properly place the crutches on the ground, and how to move the crutches forward with each step while walking with them. The client should also be instructed to keep the crutches close to their body to prevent injury.
Watch for indications of skin irritation. The client should be instructed to keep an eye on the skin around their underarms and hands, as this region is susceptible to chafing and irritation. Ensure that the client recognizes the symptoms of skin irritation, such as reddened skin, soreness, and blisters.
If these symptoms appear, the client should be advised to report them right away to the healthcare provider or the nurse in charge of their care.Know how to manage a crutch-related injury. The client should be provided with detailed instructions on what to do if they fall or injure themselves while using the crutches.
It's a good idea to keep the client's healthcare provider's contact information close by, so that they can quickly get in touch if something goes wrong.
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When performing a liquid-liquid extraction with a separatory funnel which physical property do you need to know about the two liquids?
When performing a liquid-liquid extraction with a separatory funnel, the physical properties of the two liquids that must be known are their densities, solubility, and intermiscibility.
Calculating the ratio of the two liquids in the separatory funnel requires knowledge of each liquid's density.
The solubility of the two liquids must also be taken into account because successful extraction depends on the solubility of one liquid in the other.
Finally, the ability to readily separate the two liquids makes the intermiscibility of the two liquids crucial.
When doing a liquid-liquid extraction with a separatory funnel, all of these physical characteristics must be taken into account.
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According to purchasing-power parity, when a country's central bank decreases the money supply, a unit of money a. gains value both in terms of the domestic goods and services it can buy and in terms of the foreign currency it can buy. b. loses value both in terms of the domestic goods and services it can buy and in terms of the foreign currency it can buy. c. gains value in terms of the domestic goods and services it can buy
d. loses value in terms of the foreign currency it can buy
Based on purchasing-power parity, when a country's central bank decreases the money supply, a unit of money (currency) gains value in terms of the domestic goods and services it can buy (option c).
Purchasing-power parity (PPP) is a theory that suggests that the exchange rates between currencies should adjust to equalize the purchasing power of different currencies. When a country's central bank decreases the money supply, it reduces the amount of money available in the economy, leading to a decrease in demand for goods and services.
As a result, prices of domestic goods and services may decrease, making each unit of money more valuable in terms of the goods and services it can buy domestically. However, the decrease in the money supply does not directly impact the foreign exchange rates, so the value of the currency in terms of foreign currency may not change.
Therefore, option C is the correct answer.
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The degree to which people identify with their jobs and consider their perceived performance levels important to self-worth is ________.
The degree to which people identify with their jobs and consider their perceived performance levels important to self-worth is Job involvement. This is further explained below.
What is Job involvement?Generally, Job involvement is simply defined as the extent to which a person's employment is a part of his or her identity.
In conclusion, Job engagement is the degree to which individuals connect with their employment and believe their perceived performance levels to be vital to their self-worth.
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Bethany works for FastFashion Inc. which has set the same sales target for all employees in their 550 stores across the globe. The company fails to take into account any environmental constraints which might hamper sales and to avoid being penalized, employees often falsify their sales reports. What is triggering the employees' unethical behavior?
a. national differences in factors of production
b. cultural differences of countries
c. unrealistic performance goals
d. varying ethical standards in different nations
e. strong personal ethics among employees
Answer: c. unrealistic performance goals
Explanation:
From the question, we are informed that Bethany works for FastFashion Inc. which has set the same sales target for all employees in their 550 stores across the globe and that the company fails to take into account any environmental constraints which might hamper sales and to avoid being penalized, employees often falsify their sales reports.
Based on the scenario above, the issue triggering the employees' unethical behavior is unrealistic performance goals. Since the employees don't meet their target, they falsify their sales report.
The annual coupon rate on a 1-year treasury bond is 5.5%. The coupon on a 2-year treasury bond is 5.8%. What is the implied YTM on a hypothetical 2-year zero coupon treasury bond?
The implied Yield to Maturity (YTM) on a hypothetical 2-year zero coupon treasury bond cannot be determined based solely on the given information.
The YTM is the rate of return anticipated on a bond if it is held until maturity, taking into account the bond's current market price, face value, and coupon payments. However, in this case, we only have information about the coupon rates of 1-year and 2-year treasury bonds.
To calculate the YTM for a zero coupon bond, we would need additional information such as the current market price or the present value of the bond. Without this information, it is not possible to determine the implied YTM on a hypothetical 2-year zero coupon treasury bond.
The implied Yield to Maturity (YTM) on a hypothetical 2-year zero coupon treasury bond cannot be determined based solely on the given information. Additional information, such as the bond's market price or present value, is required to calculate the YTM accurately.
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which of the following changes would not shift the demand curve for a good or service? group of answer choices a change in income. a change in the price of the good or service. a change in expectations about the future price of the good or service. a change in the price of a related good or service.
A change in the price of a good does not shift the demand curve or service.
What is demand curve?The relationship between the cost of an item or service and the volume required over a specific time period is represented by a demand curve.
The demand declines as the price rises, which causes the curve to slope downward from left to right. The curve that results has an ascending slope from left to right.
An illustration of the relationship between the price of an item or service and the volume delivered over a specific time period is called a supply curve. Usually, as a good's price rises, so too does the amount offered.
The demand curve typically slopes from left to right downward, showing that as a good's price increases, so does consumer demand for it. For Giffen products, there are, nevertheless, some exclusions to the norm.
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Which plan would most likely NOT help you reach the savings needed for college?
D. Start saving about two months before college begins
Is budget towards a new computer a fixed or variable expense?
wilson electric reports income tax expense of $151,000. income tax payable at the beginning and end of the year are $20,200 and $25,300, respectively. what is the cash paid for income taxes during the year?
according to the question $104,700 is the cash paid for income taxes during the year.
Why is there an income tax?An individual must pay the individual income tax, sometimes known as the personal income tax, on all of their annual income, including wages, wages, dividends, interests, and other types of income. The state where the income is derived often levies the tax.
How is income tax such a big deal?Taxes are used by the government to pay for a range of social welfare, including measures to create jobs. The government is responsible for covering the administrative expenses for the different departments' thousands of employees.
Briefing:cash paid = income tax expense - (income tax payable at the beginning + end of the year)
= $151,000 - ($20,200 + $25,300)
= $105,500
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how do i get an egg out of my fridge????? HELP NEED TO KNOW ASAP
Answer:
open fridge!!!
Explanation:
STEP 1: open fridge
STEP 2: find the egg then grab with hand!!!!!!!!
(Its really hard!!)
VOTE TOM NOOK FOR PRESIDENT FOR 2024
:0
yas I will vote him!
lol
wait..no! He will just take our money. My answer is a maybe.
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Congress would like to increase tax revenues by 5.5 percent. Assume that the average taxpayer in the United States earns $56,000 and pays an average tax rate of 20 percent. a. If the income effect is in effect for all taxpayers, what average tax rate will result in a 5.5 percent increase in tax revenues? (Round your answer to 2 decimal places.)
If the income effect is in effect for all taxpayers, the average tax rate that will result in a 5.5 percent increase in tax revenues is 21.1%.
The average taxpayer in the United States earns $56,000 and pays an average tax rate of 20 percent. Congress would like to increase tax revenues by 5.5 percent. We need to determine the average tax rate that will result in a 5.5 percent increase in tax revenues.
In this case, we can use the formula for calculating tax revenues:
Tax Revenues = Average Tax Rate x Tax Base
We know that Congress would like to increase tax revenues by 5.5 percent. Therefore, the new tax revenues will be:
T2 = 1.055T1
where T1 is the old tax revenue and T2 is the new tax revenue.
We know that the average taxpayer earns $56,000 and pays an average tax rate of 20 percent. Therefore, the old tax revenue (T1) will be:
T1 = 0.2 x $56,000 = $11,200
Substituting T1 into the formula for T2, we get:
T2 = 1.055T1 = 1.055 x $11,200 = $11,824
Finally, we can substitute T1, T2, and the old tax base ($56,000) into the formula for calculating the average tax rate and solve for the new tax rate:
Tax Revenues = Average Tax Rate x Tax Base
$11,824 = Average Tax Rate x $56,000
Average Tax Rate = $11,824 / $56,000
Average Tax Rate = 0.211 or 21.1%
Therefore, the average tax rate that will result in a 5.5 percent increase in tax revenues is 21.1%.
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