In the following question, among the given options, "option a". The EU is an example of a trading bloc, or a "common market," which has a common external tariff, no internal tariffs, and the coordination of laws to facilitate trade between member countries.
What is a common market? A common market refers to a type of trading bloc in which countries reduce internal barriers to trade while also having a shared external trade policy. Member countries maintain distinct economies while eliminating tariffs on goods that cross borders and, in some cases, coordinate fiscal and monetary policies.What is a trading bloc?A trading bloc refers to a group of countries that work together to increase trade between them by lowering trade barriers such as tariffs, import quotas, and export subsidies. Trading blocs, also known as regional trade agreements, are formed with the aim of reducing trade restrictions and promoting economic growth and cooperation. The European Union (EU), the North American Free Trade Agreement (NAFTA), and the Association of Southeast Asian Nations (ASEAN) are some of the most well-known trading blocs.
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An alpha testing group is made up of members who ____ worked on the project, while a beta testing group is made up of members who _____ worked on the project.
An alpha testing group is made up of members who have not worked on the project, while a beta testing group is made up of members who have not worked on the project.
Alpha Testing is a method of User Acceptance Testing (UAT), performed to validate the usability, functionality, and reliability of the software application in a laboratory environment. It is usually done by the software developer team. It is performed by the developers before the software is released to the customer. A closed group of potential users, developers, and testers perform this kind of testing.Beta Testing is a method of User Acceptance Testing (UAT) performed to validate the usability, functionality, and reliability of the software application in a real-time environment. It is usually done by a group of potential users. It is performed after Alpha Testing is completed. A group of real-time customers or end-users performs this kind of testing. Beta Testing may also be performed by another company (not the developer) in a live environment by using a pre-release version of the software.
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Suppose a lean work center is being operated with a container size of 25 units and a demand rate of 100 units per hour. Also assume it takes 180 minutes for a container to circulate.a. How many containers are required to operate this system?b. What is the maximum inventory that can accumulate?c. How many Kanban cards are needed?
In the following question, among the various parts to solve- suppose a lean workcentre is being operated with a container size of 25 units and a demand rate of 100 units per hour. It takes 180 minutes for a container to circulate. a. 4 containers. b. 3575 units. c. 286 Kanban cards.
Given parameters are: Container size = 25 units Demand rate = 100 units per hourTime taken for container circulation = 180 minutes
a) The number of containers required to operate the system can be calculated as follows: Number of containers required = (Demand rate x Time taken for container circulation) / Container size= (100 x 180) / 25= 720/5= 144
b) The maximum inventory that can accumulate can be calculated using the following formula: Maximum inventory = Container size x (Number of containers - 1)= 25 x (144 - 1)= 25 x 143= 3575 units
c) The number of Kanban cards needed can be calculated as follows: Number of Kanban cards = (Maximum inventory / Container size) x 2= (3575 / 25) x 2= 143 x 2= 286Therefore, the number of containers required to operate this system is 144, the maximum inventory that can accumulate is 3575 units, and the number of Kanban cards needed is 286.
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all of the following are factors that should influence fluid replacement requirements after an exercise session except:
Fluid replacement requirements after an exercise session may be influenced by several factors. The factors that may influence fluid replacement requirements after an exercise session are a humidity, temperature, length of exercise, intensity of exercise, and altitude.
However, among these, the factor that should not influence fluid replacement requirements after an exercise session is an altitude.
Fluid replacement refers to the replenishment of fluids in the body. It's used to replenish fluids and electrolytes lost during exertion, sweating, or dehydration. Fluid replacement is critical for athletes, especially those who exercise in extreme conditions, to avoid dehydration and maintain peak physical performance.
An exercise session is a routine of physical activity intended to improve physical fitness. Exercise sessions can be designed to improve one or more aspects of fitness, such as muscular strength, endurance, flexibility, and cardiovascular health. Exercise sessions can vary in duration, frequency, and intensity depending on the goals of the individual or group.
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Colton Enterprises experienced the following events for Year 1, the first year of operation: Acquired $47,000 cash from the issue of common stock. Paid $13,200 cash in advance for rent. The payment was for the period April 1, Year 1, to March 31, Year 2. Performed services for customers on account for $96,000. Incurred operating expenses on account of $41,000. Collected $73,500 cash from accounts receivable. Paid $33,000 cash for salary expense. Paid $32,800 cash as a partial payment on accounts payable. Adjusting Entries Made the adjusting entry for the expired rent. (See Event 2.) Recorded $4,800 of accrued salaries at the end of Year 1. Events for Year 2 Paid $4,800 cash for the salaries accrued at the end of the prior accounting period. Performed services for cash of $45,000. Purchased $4,000 of supplies on account. Paid $14,100 cash in advance for rent. The payment was for one year beginning April 1, Year 2. Performed services for customers on account for $112,000. Incurred operating expenses on account of $53,500. Collected $101,000 cash from accounts receivable. Paid $51,000 cash as a partial payment on accounts payable. Paid $32,700 cash for salary expense. Paid a $15,000 cash dividend to stockholders. Adjusting Entries Made the adjusting entry for the expired rent. (Hint: Part of the rent was paid in Year 1.) Recorded supplies expense. A physical count showed that $500 of supplies were still on hand.a. Record the events and adjusting entries for Year 1 in general journal form.b. Post the Year 1 events to T-accounts.c. Prepare a trial balance for Year 1. Record the entries to close the Year 1 temporary accounts to Retained Earnings in the general journal and post to the T-accounts.e. Record the entries to close the Year 1 temporary accounts to Retained Earnings in the general journal and post to the T-accounts.f. Prepare a post-closing trial balance for December 31, Year 1g. Repeat parts a through f for Year 2.
a. Record the events and adjusting entries for Year 1 in general journal form.
Debit Credit
Cash $47,000
Rent Expense $13,200
Accounts Receivable $96,000
Operating Expenses $41,000
Cash $73,500
Salaries Expense $33,000
Accounts Payable $32,800
Rent Expense $4,800
Accrued Salaries $4,800
b. Post the Year 1 events to T-accounts.
Cash:
Debit: $155,500
Credit: $47,000 + $73,500 + $33,000 + $32,800 = $186,300
Rent Expense:
Debit: $13,200 + $4,800 = $18,000
Credit: $18,000
Accounts Receivable:
Debit: $96,000
Credit: $96,000
Operating Expenses:
Debit: $41,000
Credit: $41,000
Salaries Expense:
Debit: $33,000
Credit: $33,000
Accounts Payable:
Debit: $32,800
Credit: $32,800
Accrued Salaries:
Debit: $4,800
Credit: $4,800
c. Prepare a trial balance for Year 1.
Debit Credit
Cash $155,500
Rent Expense $18,000
Accounts Receivable $96,000
Operating Expenses $41,000
Salaries Expense $33,000
Accounts Payable $32,800
Accrued Salaries $4,800
Totals $381,100 $381,100
d. Record the entries to close the Year 1 temporary account to Retained Earnings in the general journal and post to the T-accounts.
Debit Credit
Retained Earnings $155,500
Rent Expense $18,000
Accounts Receivable $96,000
Operating Expenses $41,000
Salaries Expense $33,000
Accounts Payable $32,800
Accrued Salaries $4,800
e. Prepare a post-closing trial balance for December 31, Year 1.
Debit Credit
Retained Earnings $381,100
Totals $381,100 $381,100
f. Record the entries to close the Year 2 temporary accounts to Retained Earnings in the general journal and post to the T-accounts.
Debit Credit
Cash $205,500
Rent Expense $18,100
Supplies Expense $3,500
Accounts Receivable $101,000
Operating Expenses $53,500
Salaries Expense $51,000
Accounts Payable $50,300
Cash Dividend to Stockholders $15,000
g. Prepare a post-closing trial balance for December 31, Year 2.
Debit Credit
Retained Earnings $381,100
Cash $205,500
Rent Expense $18,100
Supplies Expense $3,500
Accounts Receivable $101,000
Operating Expenses $53,500
Salaries Expense $51,000
Accounts Payable $50,300
Cash Dividend to Stockholders $15,000
Totals $774,500 $774,500
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what do employees engage in when they choose actions to solve a problem?
When employees choose actions to solve a problem, they engage in problem-solving behavior. Problem-solving behavior refers to the cognitive and behavioral actions that individuals take to identify, analyze, and solve a problem.
Problem-solving behavior involves several steps, including:
Defining the problem: Employees need to identify the problem they are facing and define it clearly.
Gathering information: Once the problem is defined, employees need to gather relevant information to better understand the problem and its causes.
Analyzing the information: Employees need to analyze the information they have gathered and identify the root causes of the problem.
Generating solutions: Based on the analysis, employees need to generate possible solutions to the problem.
Evaluating the solutions: Employees need to evaluate the potential solutions based on their feasibility, effectiveness, and potential impact.
Implementing the solution: Once a solution has been selected, employees need to implement it and monitor its effectiveness.
Learning from the experience: Finally, employees need to reflect on the problem-solving process and learn from their experience to improve their problem-solving skills in the future.
Effective problem-solving behavior is a valuable skill for employees to have, as it enables them to identify and overcome challenges and contribute to the success of the organization.
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short-term, highly liquid investments such as money market funds or treasury bills are classified as
Short-term, highly liquid investments such as money market funds or treasury bills are classified as cash equivalents.
What are cash equivalents?Cash equivalents are financial assets that can be quickly converted to cash without incurring any significant loss in value. Short-term investments with a maturity of less than three months are known as cash equivalents. Cash equivalents, such as bank accounts, money market funds, commercial paper, and treasury bills, provide investors with a safe place to invest their money while also allowing them to access it quickly.
The idea behind this is to be able to liquidate the cash equivalents easily, allowing the investor to access cash when required. The objective of these investments is to provide cash on demand rather than to generate a return on the investment. Therefore, investors should consider these investments when they expect to require cash quickly.
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Working capital needs of a company are projected by estimating what out-of-pocket expenses will
be incurred and when the revenues from sales are to be collected, which is done by _____.
A. cash budgets
B. dividend statements
C. capital account statements
D. expense accounts
The working capital needs of a company are projected by estimating what out-of-pocket expenses will be incurred and when the revenues from sales are to be collected, which is done by cash budgets.
What is Working capital?
Working capital is a financial metric that is used to determine how effectively a business is managing its liquidity by comparing its current assets to its current liabilities. In other words, it's a measure of how well a business is positioned to meet its short-term obligations. The goal of working capital management is to ensure that a company has enough cash or other short-term assets to cover its obligations as they come due. Working capital= Current assets- Current liabilities.
A cash budget is a budget that shows how much cash a business expects to receive and pay out during a particular period. Cash budgets are useful for businesses because they help them plan for future cash flows and make sure they have enough money on hand to cover their expenses. It typically includes projections of sales, collections, and payments, as well as estimates of other cash inflows and outflows that may occur.
Therefore, the correct answer is A.
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congestion effects often result when a key resource becomes increasingly scarce with the arrivals of more and more users.T/F
True. Congestion effects often result when a key resource becomes increasingly scarce with the arrivals of more and more users. This is because the available resources are no longer able to satisfy the demands of all the users. As a result, the users must compete for the limited resources, which leads to a decrease in the overall efficiency of the system.
In economics, this is known as the “tragedy of the commons” – the idea that, when resources are shared by a large number of users, there is a tendency for those resources to be overused and depleted. When resources become scarce, congestion effects start to occur. For example, if too many people are using a public park, the amount of available space becomes limited and the quality of the park experience decreases. Similarly, when too many people are using a shared network connection, congestion can occur and the speed and quality of the connection can suffer.
Congestion effects can also arise when resources become physically limited. For example, when more and more cars are added to a road, traffic congestion can occur as the number of available lanes cannot satisfy the demand. Congestion effects can also occur in the energy sector, when demand for electricity increases but the power grid cannot cope with the amount of energy being used.
Overall, congestion effects often result when a key resource becomes increasingly scarce with the arrivals of more and more users.
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knowledge check 01 the adjusted trial balance for willow company as of december 31 is presented below. debit credit cash $ 15,000 accounts receivable 22,000 land 165,000 accounts payable $ 32,000 common stock 60,000 retained earnings 89,000 service revenue 57,000 salaries expense 19,000 advertising expense 11,000 utilities expense 6,000 totals $ 238,000 $ 238,000 calculate net income. multiple choiceA.$68,000B. $238,000C. $21,000D. $57,000
The net income for the adjusted trial balance for willow company as of December 31 is calculated to be $21,000. Thus, option c is correct.
Step 1: Identify total revenues
Service Revenue = $57,000
Step 2: Identify total expenses
Salaries Expense = $19,000
Advertising Expense = $11,000
Utilities Expense = $6,000
Step 3: Calculate total expenses
Total Expenses = Salaries Expense + Advertising Expense + Utilities Expense
Total Expenses = $19,000 + $11,000 + $6,000
Total Expenses = $36,000
Step 4: Calculate net income
Net Income = Total Revenues - Total Expenses
Net Income = $57,000 - $36,000
Net Income = $21,000
So, the correct answer is C. $21,000.
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When all companies and their managers in a society behave in a socially responsible way, business increases, quality of life increases, and
a. a climate of caring will pervade.
b. lawlessness all but ceases to exist.
c. people look after their own interests.
d. small business starts increase.
When all companies and their managers in a society behave in a socially responsible way, business increases, quality of life increases, and "a climate of caring will pervade". Option A is the correct answer.
When companies and their managers behave in a socially responsible way, they contribute to creating a positive and supportive climate in the society. Socially responsible behavior can include actions such as promoting environmental sustainability, treating employees fairly, giving back to the community, and ensuring ethical business practices.
When companies prioritize these values, they can inspire others to do the same, creating a ripple effect that can lead to a more caring and compassionate society. In turn, this can lead to increased well-being and quality of life for all members of the community.
Therefore, option A is the correct asnwer.
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BBB company will pay a dividend of $1.50 per share. The net income is $20,000,000 and the numbers of share outstanding is 2,000,000 shares. Which of the following are the EPS and dividend payout ratio of BBB company? a. EPS = $2 and dividend payout ratio is 50% b. EPS = $20 and dividend payout ratio is 25% c. EPS = $10 and dividend payout ratio is 15% d. EPS = $10 and dividend payout ratio is 25%
BBB company will pay a dividend of $1.50 per share. The net income is $20,000,000 and the numbers of share outstanding is 2,000,000 shares. The EPS = $10 and dividend payout ratio is 15%, therefore, the correct option is c. EPS = $10 and dividend payout ratio is 15%
The EPS (Earnings per Share) and dividend payout ratio of BBB company are as follows:
Earnings per share are referred to as EPS. It is calculated by dividing the amount of net income that is distributed to common shareholders by the total number of outstanding shares.The EPS calculation formula is as follows:EPS is calculated as Net Income / Outstanding Shares. If net income is $20,000,000, thenThere are 2,000,000 outstanding shares.EPS = $20,000,000/2,000,000 = $10 as a result.
Ratio of dividend payments: The percentage of net profits distributed as dividends to shareholders is shown by the dividend payout ratio. The calculation is as follows:Dividends Paid/Net Income equals the dividend payout ratio. Dividends Paid = $1.50 per share, assumable2,000,000 shares are currently outstanding. Dividends Paid = $1.50 x 2,000,000 = $3,000,000 as a result.Net income is $20 million.Dividend Payout Ratio is calculated as $3,000,000/$20,000,000, or 15%.
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as the strategy director for a mutual fund, you must choose a portfolio of stocks that maximizes returns for your customers. recently, the economy has undergone significant economic growth, which is expected to continue. you have a choice of the four following industries in which to place your investors' money. in which two will you place the money to best fulfill your goal?
The four following industries in which you can place your investors' money are Manufacturing, Agriculture, Technology and Transportation.
Manufacturing Agriculture Technology and TransportationAs a strategy director for a mutual fund, in order to maximize returns for your customers, you need to invest in sectors that are likely to grow, especially if the economy continues to grow.
Manufacturing and technology are the two industries in which you should invest your investors' money, as they are highly correlated with economic growth and are more likely to provide higher returns in a growing economy.
Investing in agriculture and transportation industries is not recommended since they are not highly correlated with economic growth. Therefore, the best option is to invest in the manufacturing and technology sectors.
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a. What is gross domestic product (GDP)? Calculate each component’s share of GDP.b. Suppose government spending increases to 150, but the other components of GDP do not change. What is government spending’s share of GDP now? What is the new nongovernment share?c. Suppose that the level of potential GDP (Y*) is 1,000 and is unaffected by the increase in government spending described previously. Without doing any calculations, explain in general terms what happens to C/Y*, X/Y*, and I/Y* after the government spending increase in (b).d. Describe the mechanism by which each of these changes happens.
Question a: Gross Domestic Product (GDP) is the sum total of all economic activity within a country over a certain period of time. It is equal to the sum of Consumption (C), Investment (I), Government Spending (G), and Net Exports (X). C/Y* = C/Y, I/Y* = I/Y, X/Y* = X/Y
Question b: After the increase in government spending to 150, the government spending’s share of GDP is now 15% and the nongovernment share is 85%.
Question c: The increase in government spending causes C/Y*, I/Y*, and X/Y* to decrease since the government spending increases while C, I, and X do not change.
Question d: The mechanism by which C/Y*, I/Y*, and X/Y* decrease is through an increase in the denominator, GDP. Since only the numerator (C, I, and X) remains the same, the fraction of each component relative to GDP decreases.
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The error-correction form of the simple exponential smoothing model states that if the current forecast
Group of answer choices
All of the options are correct.
error was zero, the current forecast could be used to forecast next period's level.
overstated the actual level, the forecast of the level next period will be revised downward.
understated the actual level, the forecast of the level next period will be revised upward.
The error-correction form of the simple exponential smoothing model states that if the current forecast understated the actual level, the forecast of the level next period will be revised upward i.e. option D.
Simple exponential smoothing is an approach to forecasting that utilizes a weighted average of past data as a prediction of future results. The formula for simple exponential smoothing is straightforward: it takes the weighted average of prior periods, with more weight given to more recent results.The error-correction model of simple exponential smoothing allows for a more accurate forecast by taking into account the magnitude and direction of errors in past predictions.
According to the error-correction model, if the current forecast understated the actual level, the forecast of the level next period will be revised upward, and if the current forecast overstated the actual level, the forecast of the level next period will be revised downward.
Consequently, if the error is zero, the current forecast can be utilized to forecast the next period's level. The following statement is correct based on the information given in the question: The error-correction form of the simple exponential smoothing model states that if the current forecast understated the actual level, the forecast of the level next period will be revised upward.
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The time and money spent in carrying out financial transactions are called
A) economies of scale.
B) financial intermediation.
C) liquidity services.
D) transaction costs.
D) Transaction costs. The time and money required to complete financial transactions are referred to as transaction costs.
The charges encountered while purchasing or selling products or services on the open market are referred to as transaction costs. These include costs associated with the transfer of money, securities, or other financial transactions, as well as fees, charges, spreads, and other costs. These expenses may be substantial, which would decrease the financial system's overall effectiveness. Financial intermediaries like banks and brokerage companies provide services like payment processing and investment advice in order to lower transaction costs, allowing people and businesses to interact more effectively. For financial markets and the economy as a whole to function, transaction costs must be reduced.
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Which of the following statements would not be true about using an Internal Rate of Return calculation to evaluate an IT investment?It can be difficult for non-financial managers to understandIt will always be less than the nominal inflation rateIt makes expected benefits equal expected costs over the planning periodIt is always expressed in percentage terms
The following statement would not be true about using an Internal Rate of Return calculation to evaluate an IT investment: It will always be less than the nominal inflation rate.
What is Internal Rate of Return?Internal Rate of Return (IRR) is a metric used to assess the profitability of a potential investment. The internal rate of return is the interest rate that makes the net present value of cash inflows equivalent to the net present value of cash outflows.
The statement that is not correct about using an Internal Rate of Return calculation to evaluate an IT investment is that it will always be less than the nominal inflation rate. It is not always the case since the rate of return is influenced by various factors such as the market situation, capital cost, and risk level. It would be appropriate to mention that IRR is always expressed in percentage terms.
Expected benefits equal expected costs over the planning period is true because the IRR represents the interest rate at which the net present value of cash inflows is equal to the initial investment. It can be difficult for non-financial managers to understand because it involves financial concepts and calculations.
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You anticipate the receipt of money in 190 days, which you will use to purchase stocks in a particular company. The stock is currently selling for $61 and will pay a $0.5 dividend in 50 days and another $0.6 in 140 days. The risk-free rate is 2% (with continuous compounding) for all maturities. You plan to enter a long position in a forward contract on the stock.
Part 1 - At what price would you be willing to buy the stock in 190 days through a forward contract?
Part 2 - Suppose you agree to the contract at the price you found in the previous part. 110 days later, the stock has fallen to $53.15. What is the forward price at this point?
Part 3 - What is the value of the forward contract at this point (after 110 days)? Hint: Because the stock pays dividends, the value of the forward contract must reflect the value of the dividends that the stock pays out until delivery.
Part 1 - You anticipate the receipt of money in 190 days, which you will use to purchase stocks in a particular company. The stock is currently selling for $61 and will pay a $0.5 dividend in 50 days and another $0.6 in 140 days.
The risk-free rate is 2% (with continuous compounding) for all maturities. You plan to enter a long position in a forward contract on the stock. The price of a stock in a forward contract is obtained through the following formula:$$F_0 = S_0e^{rT}$$where $F_0$ is the price of the forward contract, $S_0$ is the current stock price, r is the risk-free interest rate, and T is the time remaining to the maturity of the forward contract. Therefore, in this case, we have:$$F_0 = S_0e^{rT}$$$$F_0 = 61e^{0.02(190/365)}$$$$F_0 \approx 63.07$$Part 2 - Suppose you agree to the contract at the price you found in the previous part. 110 days later, the stock has fallen to $53.15. What is the forward price at this point?The price of a forward contract at any time before it matures is given by the following formula:$$F = Se^{r(T-t)} - PV(D)$$where $F$ is the forward price at time $t$, $S$ is the stock price at time $t$, $r$ is the risk-free rate, $T$ is the maturity of the forward contract, and $D$ is the present value of all dividends paid during the life of the contract. In this case, we have:$T = 190/365$ $= 0.5205$ years$t = 110/365$ $= 0.3014$ years$D = 0.5e^{-0.02(50/365)} + 0.6e^{-0.02(140/365)}$ $= 1.07$Therefore, we have:$$F = Se^{r(T-t)} - PV(D)$$$$F = 53.15e^{0.02(0.5205-0.3014)} - 1.07e^{0.02(0.3014)}$$$$F \approx 58.02$$Part 3 - What is the value of the forward contract at this point (after 110 days)? Hint: Because the stock pays dividends, the value of the forward contract must reflect the value of the dividends that the stock pays out until delivery. The value of a forward contract at any time before it matures is given by:$$V_F = F - PV(D)$$where $F$ is the forward price at that time, and $D$ is the present value of all dividends paid during the life of the contract.
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Small-volume purchases or commodities that don't deserve a lot of time are considered what kind of buy? O Bottleneck O Critical O Routine O Leverage
Small-volume purchases or commodities that don't deserve a lot of time are considered routine buys.
Regular buys are modest purchases or commodities that don't take a lot of time or effort to obtain and are sometimes regarded as being of poor worth. Office supplies, tools for maintenance and repair, or consumables like paper towels or cleaning supplies are a few examples of regular purchases. These purchases can be done through established procurement procedures or vendor agreements and are generally conducted in small amounts.
Non-routine buys, on the other hand, are larger, more complicated purchases that demand a longer procurement process and could involve negotiating with suppliers or other parties. Major equipment purchases, construction projects, or professional services contracts are a few examples of non-typical acquisitions. Non-routine purchases are frequently more expensive and may have a higher level of risk or uncertainty, necessitating more thorough planning and analysis before a final decision is made.
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carolyn, a cashier at tops supermarkets, may cash checks for up to $20 over a purchase amount. a friend needs money for a dress, so carolyn cashes a check for $50 with no purchase. if the check bounces, carolyn is:
Carolyn is responsible for the $50 if the check bounces. According to Tops Supermarkets' policy, Carolyn is only allowed to cash checks for up to $20 over a purchase amount, so if the check for $50 bounces, Carolyn is not following the policy and is thus responsible for the $50.
If Carolyn, a cashier at Tops Supermarkets, may cash checks for up to $20 over a purchase amount, and a friend needs money for a dress, so Carolyn cashes a check for $50 with no purchase. If the check bounces, Carolyn is liable for the check amount plus a fee.
A bounced check is also known as a rubber check or a returned item. If the recipient (Carolyn) had deposited the check instead of cashing it, it would not have been returned, but the bank would have charged the account holder a fee for having insufficient funds.
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there are no classist economists in the world today, we teach these ideas only as a prelude true false
There are various classist economists in the world today. Therefore, the given statement is False.
What do you mean by Classism?Classism is a system in which people are divided into social classes based on their economic status, and it is still prevalent in many parts of the world.
The idea of classism has been taught for many years, and it is still being taught today. Economists who study classism are called classist economists, and they are concerned with understanding the ways in which class affects economic behavior and outcomes.
The statement "there are no classist economists in the world today, we teach these ideas only as a prelude" is false because there are classist economists who study classism and its effects on economic behavior and outcomes.
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Sasha loves designing her own clothes and wants to be a fashion designer when she becomes an adult. What personality trait describes Sasha?
investigative
A. investigative
B. enterprising
C. artistic
D. realistic
(THIS IS CAREER EXPLORATION!!)
The personality trait that best describes Sasha, based on her love for designing her own clothes is (C) artistic.
How does the artistic personality trait behave?Artistic individuals are typically drawn to creative activities such as painting, music, or fashion design and are often skilled at visualizing and bringing their ideas to life.
Sasha's passion for designing clothes suggests that she possesses the artistic skills and qualities needed to succeed in the fashion industry. This is because she loves designing clothes and wants to become a fashion designer, which requires creativity, imagination, and an eye for aesthetics.
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According to research describing innovation adoption curves, the greatest percentage of customers who might adopt a solution would be found where on the above distribution curve?
The greatest percentage of customers who might adopt a solution would be found in the early majority and late majority stages, which correspond to points 3 and 4 on the innovation adoption curve.
The innovation adoption curve describes the process by which new products or ideas are adopted by consumers. It is typically represented by a bell-shaped curve that includes five stages: innovators, early adopters, early majority, late majority, and laggards.
The greatest percentage of customers who might adopt a solution would be found in the early majority and late majority stages, which correspond to points 3 and 4 on the curve. These customers tend to be more risk-averse than early adopters but are still willing to try new products or ideas once they have been proven successful by others.
Therefore, targeting these segments of the market can be crucial for the success of a new product or innovation.
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uninsured motorists coverage group of answer choices can be purchased by uninsured drivers after an accident to retroactively cover their losses. will not provide coverage if the other driver's insurance company is insolvent. will cover injuries caused by a hit-and-run driver. all of the above are true.
Uninsured motorists coverage can be purchased by uninsured drivers after an accident to retroactively cover their losses.
It will cover injuries caused by a hit-and-run driver. All of the above are true. What is uninsured motorists coverage? Uninsured motorist coverage refers to a portion of an auto insurance policy that pays for the damage if the policyholder is hit by a driver who does not have car insurance or has insufficient auto insurance coverage. This type of coverage protects drivers from incurring substantial costs as a result of an accident with a driver who is not insured.The coverage also applies to accidents involving hit-and-run drivers, and it can assist in covering medical costs, lost income, and other expenses incurred as a result of the accident. Uninsured motorist coverage may also provide protection in the event that the other driver's insurance policy is invalid, canceled, or otherwise unusable. The motorist must purchase this coverage before the accident to retroactively cover their losses.
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Connor (m=76.0 kg) is competing in the state diving championship. He leaves the springboard from a height of 3.00 m above the water surface with a speed of 5.94 m/s in the upward direction.
a. Determine Connor's speed when he strikes the water.
b. Connor's body plunges to a depth of 2.15 m below the water surface before stopping. Determine the average force of water resistance experienced by his body.
The correct answers are:
a. 9.7 m/s
b. 2408N
How to solveFrom the conservation of energy,
Ei = Es
mgh + 1/2mu^2 = 1/2 mv^2
Put the values
3575.18J = 1/2 mv^2
=9.7m/s
b. loss in energy = workdone by friction
3575.18 +76 x 9.8 x 2.17
=2408N
The conservation of energy is a fundamental principle in physics that states that energy cannot be created or destroyed, only transformed from one form to another or transferred from one system to another.
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Place the steps in the adjusting process in the correct order in which they would be performed. + Place these in the proper order. Determine what the correct account balance should be Record an adjusting entry. Determine what the current account balance is Do you know the answer?
The proper order for steps in the adjusting process is:
Determine what the current account balance is
Determine what the correct account balance should be
Record an adjusting entry
Step 1: Determine what the current account balance is.
The first step in the adjusting process is to determine what the current account balance is. This can be done by reviewing the account and looking at the transactions that have been posted to it. This step is important because it provides a baseline for determining what adjustments need to be made.
Step 2: Determine what the correct account balance should be.
The next step in the adjusting process is to determine what the correct account balance should be. This can be done by reviewing the account and looking at the transactions that should have been posted to it. This step is important because it helps to ensure that the financial statements are accurate and reflect the true financial position of the company.
Step 3: Record an adjusting entry.
The final step in the adjusting process is to record an adjusting entry. This entry is used to adjust the account balance to reflect the correct balance. The adjusting entry can be a debit or credit to the account, depending on what needs to be adjusted.
The adjusting process is a process where accountants adjust the entries in order to make the financial statements more accurate. In order to do this, there are several steps that need to be taken. These steps include determining what the current account balance is, determining what the correct account balance should be, and recording an adjusting entry.
Overall, the adjusting process is an important part of the accounting cycle. By following these steps, accountants can ensure that the financial statements are accurate and reflect the true financial position of the company.
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firms that have many divisions with different lines of business do not use a companywide wacc to evaluate projects.T/F
The given statement "firms that have many divisions with different lines of business or B2B do not use a companywide WACC to evaluate projects" is false because business often use a companywide Weighted Average Cost of Capital (WACC) to evaluate projects.
The B2B or business to business organization is very profitable as the businesses can make high value purchases and products for the transactions and expend more time and resources researching their value which will add on their business.
The reason of statement's correct is the firms that have many divisions with different lines of business often use a companywide Weighted Average Cost of Capital (WACC) to evaluate projects. The companywide WACC reflects the average cost of capital for the entire firm, and it can be used as a benchmark for evaluating the profitability of projects across different divisions and lines of business.
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What are the three questions addressed by financial management?
The questions addressed by the Financial management are about the long-term investments of the company, the company finances these investments, and how the company manages its day-to-day financial activities.
Financial management deals with long-term investment decisions. Companies need to make significant investments in various assets such as land, buildings, and equipment.
The three questions addressed by financial management are:
1. What long-term investments should the company undertake?
This involves the capital budgeting decision, where the company decides which projects or investments to pursue based on their potential profitability and growth.
2. How should the company finance these investments?
This relates to the capital structure decision, where the company determines the appropriate mix of debt and equity financing to optimize its cost of capital.
3. How can the company manage its day-to-day financial activities?
This pertains to the working capital management decision, where the company manages its cash, receivables, and inventories to ensure smooth operations and maintain adequate liquidity.
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Heavenly Pizza, which is located in Toronto, fares very well with its competition
in offering fast delivery. Many students at the area universities and community
colleges work part-time delivering orders made via the web. The owner, Jerry, a
software engineering graduate, plans to purchase and install five portable, in-car
systems to increase delivery speed and accuracy. The systems provide a link
between the web order-placement software and the On-Star system for satellitegenerated directions to any address in the area. The expected result is faster,
friendlier service to customers and larger income. Each system costs $4600, has
a 5-year useful life, and may be salvaged for an estimated $300. Total operating
cost for all systems is $1000 for the first year, increasing by $100 per year
thereafter. The MARR is 10%. Perform an annual worth evaluation for the owner
that answers the following questions.
(a) How much new annual net income is necessary to recover the investment at
the MARR of 10% per year?
(b) Jerry estimates increased net income of $6000 per year for all five systems.
Is this project financially viable at the MARR?
(c) Based on the answer in part (b), determine how much new net income
Heavenly Pizza must have to economically justify the project. Operating costs
remain as estimated.
What is MARR?
The minimum acceptable rate of return a manager or organization is willing to accept before commencing a project, given its risk and the opportunity cost of forgoing other ventures, is frequently abbreviated as MARR or hurdle rate.
(a) The new annual net income necessary to recover the investment at the MARR of 10% per year is $4600 (the cost of the system).
(b) The estimated increased net income of $6000 per year for all five systems is financially viable at the MARR of 10%, as it exceeds the amount necessary to recover the investment.
(c) To economically justify the project, Heavenly Pizza must have an increased net income of $6600 per year (over and above the operating costs).
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When a supplier is offering a customer a cash discount for receipt of payment within a specific period, such as 2/10, n/30, it is referred by the supplier as a________ discount
When a supplier is offering a customer a cash discount for receipt of payment within a specific period, such as 2/10, n/30, it is referred by the supplier as a cash discount.
What is a cash discount?A cash discount is a reduction in the purchase price of goods and services that is offered by a seller or a supplier to a buyer or a customer when payment is made within a defined period of time. The terms 2/10, n/30 are referred to as a cash discount, meaning that the purchaser gets a 2% discount when paying within ten days or paying the full amount in thirty days.
It is common to see discounts such as 2/10, n/30, which means that if the invoice is paid within ten days, the purchaser will receive a 2% discount on the amount owed, but the full amount must be paid within thirty days.
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oil producing nations are fully aware that the price elasticity of demand for gasoline in the short run is approximately 0.4. if a war in the middle east causes the price of oil (from which gasoline is made) to increase, how will that affect the total revenue from gasoline production in the short run, all other things equal?
In the short run, when the price of oil from which gasoline is made increases due to a war in the Middle East, the total revenue from gasoline production will rise. This is because the price elasticity of demand for gasoline is inelastic in the short run.
What is law of demand?According to the law of demand, as the price of a product increases, the quantity demanded decreases; however, the percentage decrease in quantity demanded is lesser than the percentage increase in price. It is due to the fact that there are few substitutes for gasoline in the short run.
The price of gasoline rises in the short run as a result of the increase in the price of oil, and gasoline consumption falls. However, the decrease in gasoline demand is not significant in the short run, and so the increase in gasoline price compensates for the reduction in the quantity demanded of gasoline.
As a result, the total revenue of oil-producing countries from gasoline production increases in the short run.
Note: Total revenue can be calculated by multiplying price and quantity. If the price of gasoline increases, the revenue from selling the same quantity of gasoline would also increase.
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