The correct option is C) Act. Act is the sixth phase of the data analysis process.
What is the act in the data analysis process? What are the other steps involved in it?The sixth step of the data is to act. It will provide the recommendations or solutions to the team and stakeholders for solving the business problems and makes the good decision.
Data analysis process involves the defining of the question, collection, cleaning, analyzing of the data and sharing the results.
Basically, it helps the business in making the informed and sound decisions.
Learn more about the data analysis process here:-
https://brainly.com/question/17353324
#SPJ1
This describes the step of validating insights of the data analysis process.
What is the process of Data Analysis?Finding, gathering, cleaning, evaluating, and modeling data is the process of conducting data analysis. The goal is to provide meaningful information and insights and to comprehend the resulting data for the purpose of making data-driven decisions.
The process of Data Analysis is as follows Defining the question, collecting the data, Cleaning the data, Analyzing the data,Sharing your results.
Thus the correct option is validating insights.
Learn more about data analysis here:
https://brainly.com/question/20723333
#SPJ1
Find the total differential dy, given
(a) y = x1/(x1 + x2)
(b) y = (2x1x2)/(x1 + x2)
Please answer the problems above
Thank you
The total differential dy for the given function y = x1/(x1 + x2) is: dy = [(x2 * dx1 - x1 * dx2)/(x1 + x2)^2]. For the function y = (2x1x2)/(x1 + x2), the total differential dy can be calculated as follows: dy = [(2x2(dx1) + 2x1(dx2) - 2x1x2(dx1 + dx2))/(x1 + x2)^2].
The total differential dy for the given function y = x1/(x1 + x2) is:
dy = [(x2 * dx1 - x1 * dx2)/(x1 + x2)^2]
To obtain the total differential, we differentiate each variable (x1 and x2) with respect to itself and multiply it by the respective change in the variable (dx1 and dx2). Then we divide it by the square of the sum of the variables (x1 + x2)^2. This expression represents the total differential dy.
For the function y = (2x1x2)/(x1 + x2), the total differential dy can be calculated as follows:
dy = [(2x2(dx1) + 2x1(dx2) - 2x1x2(dx1 + dx2))/(x1 + x2)^2]
Similarly to the previous case, we differentiate each variable (x1 and x2) with respect to itself, multiply it by the respective change in the variable (dx1 and dx2), and account for the change in both variables (dx1 + dx2). The expression is then divided by the square of the sum of the variables (x1 + x2)^2. This represents the total differential dy for the given function.
To learn more about total differential click here
https://brainly.com/question/31402354
#SPJ11
The FHA was designed to pay off mortgage insurance for homes that were going into foreclosure.
True
False
Answer:
TRUE FHA meaning federal housing administration
Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?
Answer: I hate Trump and would make him eat tortilla chip vertically :/
Explanation:
Ben Thomas is earning an annual salary of $15,090 at Custom Stereos. He has been offered a job at the local Ford dealer for $16,660 annually. How much more would Ben earn per week if he accepts the position at the Ford dealer?
Answer:
$30.2
Explanation:
The current annual salary for Ben Thomas is $15,090. the weekly salary will be $15,090 divide by 52
=$15,090 / 52
=$290. 2
The new annual salary at the Ford dealer is $16,660
Weekly salary is the annual salary divided by 52
= $16,660 / 52
=$320.4
Ben Thomas will earn much more by:
=$320.4 - $290. 2
=$30.2
Learning is Fun company had current assets amounting to Php 100,000. Noncurrent assets for the year totaled Php 76,000. How much is the company's total assets?
The company's total assets are Php 176,000
How to calculate total assets?By adding current and non-current assets, we will get the company's total assets.
Given:
Current assets = 100,000
Non current assets = 76,000
By adding current and non-current assets:
Total assets = current + non current
Total assets = 100,000 + 76,000
Total assets = 176,000
Taking liabilities into account makes for the most accurate calculation of total assets. To determine total assets, you subtract the value of liabilities from the value of assets.
Learn more about total assets here: brainly.com/question/27235433
#SPJ2
Which of the following is a database system that has been designed and developed specifically for one operation?
representational
relational
proprietary
privatized
Broker Blake enters into a written agreement to represent seller Kelly and buyer Jenny that also authorizes Blake to act as an intermediary. The written agreement does not specifically address authority for making appointments. If Jenny now wishes to enter into negotiations for the purchase of Kelly's property, what must Blake do before making appointments for his two clients
Answer: Obtain written consent from Seller Kelly and Buyer Jenny to make appointments
Explanation:
In a situation whereby Blake wishes to enter into negotiations for the purchase of Kelly's property, then Blake needs to obtain written consent from Seller Kelly and Buyer Jenny to make appointments.
The reason for this is because Blake already has a written agreement to represent seller Kelly and buyer Jenny that also authorizes Blake to act as an intermediary.
Definition influences the number of substitutes.
a. True
b. False
This is true that Market Definition influences the number of substitutes.
A market is an arrangement of systems, organizations, processes, friendly connections, or infrastructures whereby bodies undertake exchange. While bodies can exchange goods and duties by haggling, most markets depend on sellers' contribution of their goods or duties to consumers in consideration of services.
Market definition supports an examining foundation for the last inquiry of whether the conduct or undertaking is inclined to produce anticompetitive effects. A substitute is a fruit or duty that may be surely replaced accompanying another by a customer. In commerce, commodities are often substitutes if the demand for individual devices increases when the price of the added goes up.
To know more about Market refer to: https://brainly.com/question/26638886
#SPJ4
on what grounds is the Trump administration investigating imposing tariffs on imported automobiles?
Answer:
The clock has run out on President Donald Trump's "Section 232" tariffs on imports of foreign-made cars and auto parts, after he failed to announce a decision by a self-imposed deadline, trade law experts say.
The U.S. administration may have to find other means if Trump wants to tax European or Japanese car imports, a key part of the U.S. president's pledge to make America's trade relationships more fair, the experts say.
firms can greatly increase the likelihood of success if they carefully define their objectives and develop a plan for meeting those objectives. this activity is referred to as
If strategic planning clearly defines its goals and creates a plan to achieve those goals, it can considerably boost the likelihood of success.
Leaders of a company develop their future vision and determine their organization's goals and objectives through the process of strategic planning. Establishing the order in which these objectives should be accomplished can help the organisation attain its stated vision.
Upper-level management of a corporation must put a lot of thinking and planning into the strategic planning process. Executives may look at a wide range of choices before deciding on a course of action and then figuring out how to strategically implement it.
Learn more about strategic planning here:
https://brainly.com/question/26960576
#SPJ4
When an organization finds it difficult to get the supplies needed to make products, it is operating under conditions of?
When an organization finds it difficult to get the supplies needed to make products, it is operating under conditions of supply scarcity or supply shortage. This means that the organization is facing challenges in obtaining the necessary raw materials, components, or resources required for production.
Supply scarcity occurs when the demand for supplies exceeds the available quantity in the market. It can be caused by various factors such as disruptions in the supply chain, limited production capacity, natural disasters, or high demand fluctuations. As a result, the organization may face difficulties in sourcing the required supplies, leading to delays in production, increased costs, and potential loss of sales.
When an organization faces challenges in obtaining the necessary supplies for production, it operates under conditions of supply scarcity or shortage. This can have significant implications for the organization's operations, profitability, and ability to meet customer demand. Effective supply chain management and proactive measures are essential to navigate and mitigate the risks associated with supply scarcity.
To know more about scarcity follow the link:
https://brainly.com/question/26856258
#SPJ11
Prince Albert Canning PLC had a net loss of 32,415 on sales of 515,380. What was the company's profit margin? In dollars, sales were $689,785. What was the net loss in dollars?
a. The company's profit margin was -6.28%.
b. The net loss in dollars was -$44,062.60.
a. The company's profit margin is determined by dividing net loss by revenue. Sales were £515,380 with a net loss of £32,415 on them.
To get the percentage, we divide 32,415 by 515,380 and multiply by 100. This calculation yields a result of -6.28%, indicating a net loss for the business.
b. The pound sterling must be changed into US dollars in order to determine the net loss in dollars. The value of a pound sterling is 1.35 dollars.
To convert 32,415 pounds to US dollars, multiply that amount by 1.35. This calculation yields a result of $44,062.60, indicating that the business had a net loss of $44,062.60.
Complete Question:
Prince Albert Canning PLC had a net loss of £32,415 on sales of £515,380.
a. What was the company's profit margin? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. In dollars, sales were $689,785. What was the net loss in dollars? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
To learn more about profit margin visit:
https://brainly.com/question/28180283
#SPJ4
Explain the importance of leisure activities.
Answer:
leisure activities improve the productivity of people
Explanation:
if you feel stressed and then go to a water park, you will get less stressed right?
Which aspect of the organization should Albert have been aware of before joining it?
Albert has recently joined a business organization. After a few weeks, he has realized that he is not happy with the organization’s values, management style, and policies. He is thus finding it difficult to perform daily tasks. He wishes he had found some information about the organization’s
before joining it
Albert should have been aware of the organization's mission, vision, values, culture, management style, leadership, and policies before joining it.
What is organization?Organization is the process of arranging and managing the resources, activities, and responsibilities of a company or organization in order to achieve a predetermined goal. It involves creating a structure for a business, setting out procedures and processes, and assigning roles and responsibilities to ensure that the goal is achieved effectively and efficiently. Organization also involves setting plans and objectives, allocating resources to achieve those goals, and developing strategies to ensure the best use of resources. It also involves communication, problem-solving, and decision-making to ensure that the organization’s goals are met. Organization is important in businesses and organizations of all sizes as it helps to ensure that tasks are completed on time and that the organization is running smoothly.
To learn more about organization
https://brainly.com/question/29641668
#SPJ1
which of the following is a relevant cost to be included in a make-or-buy decision? i. fixed salaries that will not be incurred if the part is outsourced ii. rent on a facility that will be closed down if the part is outsourced. iii. material-handling costs that cannot be eliminated even if the product is outsourced
The relevant cost that should be included in a make-or-buy decision is the fixed salaries that will not be incurred if the part is outsourced. The correct option is i.
This is because if the company decides to outsource the part, it will not have to pay the salaries of the employees who were previously involved in producing the part in-house. Rent on a facility that will be closed down if the part is outsourced is also a relevant cost, as it will no longer be necessary if the part is outsourced.
However, material-handling costs that cannot be eliminated even if the product is outsourced are not relevant in the make-or-buy decision, as these costs will be incurred regardless of whether the part is produced in-house or outsourced.
A make-or-buy decision is a business decision that companies make to determine whether to produce goods or services internally or to purchase them from external suppliers. This decision is based on the comparative analysis of the costs and benefits of producing or purchasing the goods or services. Companies typically consider several factors when making this decision, including the cost of production, the quality of the product, the availability of raw materials, and the level of control over the production process.
The correct option is i.
Learn more about Raw materials: https://brainly.com/question/825024
#SPJ11
In the long run the primary effect of increasing the quantity of money is higher prices. T/F
False. In the long run, the primary effect of increasing the quantity of money is not higher prices, but rather changes in the overall level of economic activity.
When the quantity of money in an economy increases, it becomes easier for people and businesses to obtain credit and make purchases. This can lead to increased investment, consumption, and economic growth. However, it can also lead to inflation, which is an increase in the general level of prices.
While it is true that increasing the quantity of money can lead to higher prices in the short run, this is not the primary effect in the long run. In the long run, the primary effect of increasing the quantity of money is a change in the overall level of economic activity, including changes in investment, consumption, and inflation.
Learn more about long run Visit: brainly.com/question/14286645
#SPJ4
Where available jobs are located as a veterinary technician?
Answer:
Veterinary assistant
Veterinary technician
Animal groomer
Veterinarian
Your reward for this question
You get
5
for answering. You'll get an extra
3
if the asker picks your answer as the Brainliest
.
More about points
Explanation:
A jet engine has 10 components in series. The average reliability of each component is 0.998. What is the reliability of the engine?
Answer:
98%
Explanation:
RE = RC1 * RC2 * ....... * RC10:.RE = Reliabilility of the Engine & RC = Reliability of the Components
RE = 0.998 * 0.998 *........ * 0.998
RE = (0.998)^10
RE = 0.9802
RE = 98.02%
Thus, the Reliability of Engine is 98% approximately.
A local business provides career training for young adults entering the workforce directly from high school. Which economic question has the business answered by
focusing on recent high school graduates?
The economic question that the business has answered by focusing on recent high school graduates is for whom to produce.
What is an economic question?It should be noted that an economic question simply means a question that van be used to answer a particular economic issue.
In this case, the economic question that the business has answered by focusing on recent high school graduates is for whom to produce.
Learn more about economy on:
brainly.com/question/25745683
#SPJ1
Answer:
A. For whom to produce?
Explanation:
8. Which of the following is NOT a job of the Federal Reserve?
1.Keeping banks safe
2.Making payment systems secure
3.Printing currency
4.Growing the economy
Answer:
I think 3
Explanation:
Near the end of 2010, the ledger of Stivers Company included the following accounts and balances: Allowance for Doubtful Accounts$ 1,000credit balance Bad Debt Expense 0balance Accounts Receivable 200,000 debit balance Cash collections on accounts receivable during 2010 amounted to $450,000. Sales revenue during 2010 amounted to $800,000, of which 75% was on credit, and it was estimated that 2% of the credit sales made in 2010 would ultimately become uncollectible. Before adjusting entries were made for 2010, a $10,000 account was determined to be uncollectible and written off by Stivers. In the adjustment process, Bad Debt Expense was recorded to 2010. This information is not reflected in the account balances above.After the above entries were posted to the ledger, calculate the balances of the Allowance for Doubtful Accounts, Bad Debt Expense and Accounts Receivable. Indicate whether the balance is a debit or a credit.
Answer and Explanation:
The computation of the balances of the Allowance for Doubtful Accounts, Bad Debt Expense and Accounts Receivable is shown below;
For Accounts receivable
a) Opening balance $200,000 Debit balance
b) Current year credit sales (75% of $800,000) $600,000 Debit balance
c) (-) Current collection from accounts receivables -$450,000 Credit balance
d) (-) Bad debt expenses -$11,000 Credit balance
e) Closing balance of accounts receivables $339,000 Debit balance
for Allowance for Doubtful Accounts
Allowance required as per Current year analysis (2% of (75% of $800,000) $12,000 Credit balance
(-) Opening balance $1,000 Credit balance
$11,000 Credit balance
The journal entry is
Bad debt expense a/c …Dr 11000
To Allowance for Doubtful Accounts 11000
The Closing balance of Allowance for Doubtful Accounts 12000 Credit balance
For Bad debt expenses
The journal entry is
Bad debt expense a/c …Dr 11000
To Allowance for Doubtful Accounts 11000
The Closing balance of Bad debt expense account 0
A company has equity of $9,000. Long-term debt is $1,900. Net working capital, other than cash, is $2,500. Fixed assets are $2,200. What amount of cash does the company have
Answer:
$6,200
Explanation:
A company has an equity of $9,000
The long term debt is $1,900
Net working capital is $2500
Fixed assets is $2,200
Therefore the amount of cash owned by the company can be calculated as follows
= $2500+$2200
= $4,700
= $9000-$4700
$4300
= $4300+$1900
= $6,200
Hence the amount of cash owned by the company is $6,200
Emergency funds are calculated based on: A.) Retirement Planning B.) Monthly Expenses C.) Monthly Income D.) Investing for College
Answer:
B
Explanation:
Answer:
B
Explanation:
Which action by the government would be used in expansionary monetary policy?
a. decreasing the reserve requirement
b. raising the federal funds rate target
c. selling more bonds to the general public
d. increasing the discount rate
The most important equipment that central banks use to expand monetary coverage encompass lowering the bargain rate, growing the buy of government securities, and reducing the reserve requirement.
What happens if the government of a u . s . a . uses expansionary financial policy?a. reducing the reserve requirement b. elevating the federal funds rate target c. selling more bonds to the conventional public d. increasing the cut price rate
Expansionary economic policy is when a central bank makes use of its equipment to stimulate the economy. That will increase the cash supply, lowers activity rates, and will increase demand. It boosts financial growth. It lowers the price of the currency, thereby decreasing the alternate rate.
What is the policy action in an expansionary economic policy to promote financial growth?Expansionary economic coverage goals to spur monetary growth via expanded liquidity. Increased money provide promotes monetary growth. It takes place because companies and people seem to be to capitalize upon the without difficulty accessible dollars by means of task increased investments, expanding operations, and growing consumption.
Learn more about expansionary here;
https://brainly.com/question/30097286
#SPJ1
a manager has been tasked with turning around the performance of the maintenance department. which of the following approaches is likely to be least effective?
The following approach is likely to be least effective in threatening to fire employees who do not complete enough work each day.
The Expectation Theory of Motivation developed by Victor Bloom of the Yale School of Business explains the relationship between effort performance and outcome. McClelland's human theory of motivation states that all humans have one of three primary motivations achievement belonging and power.
These motives are not innate. We develop them through culture and life experience. Process theory explains how workers choose actions to meet their needs and guide their decisions. Expectation theory is based on the relationship between a person's effort achievement and the desirability of outcomes associated with high achievement.
Learn more about The performance here:- https://brainly.com/question/1532968
#SPJ4
In our brief case study, we assume the Thomas and Jefferson families have identical mortgages
(30-year term, fixed-rate 6% APR, and a loan amount of $175,000). The Thomas family will not
pay extra but the Jeffersons will. Follow the steps below prior to your analysis.
1. Using the Payment mini calculator of the Financial Toolboxes spreadsheet, calculate the
mortgage payment (the same for both families).
2. Assume that the Thomas’s will make only the required mortgage payment. The
Jeffersons, however, would like to pay off their loan early. They decide to make the
equivalent of an extra payment each year by adding an extra 1/12 of the payment to the
required amount.
Calculate the following to find what they plan to pay each month:
a. 1/12 of the required monthly payment
b. Jeffersons monthly payment found by adding this 1/12 to the required payments
3. The Thomas’s will take the full 30 years to pay off their loan, since they are making only
the required payments. The Jefferson’s extra payment amount, on the other hand, will
allow them to pay off their loan more rapidly. Use the Years mini financial calculator of
the Financial Toolbox spreadsheet to calculate the approximate number of years (nearest
10th) it would take the Jeffersons to pay off their loan.
Thomas and Jefferson have Identical mortgages, means those that share the same features, including the interest rate, loan size, length of the payback period, and other costs and fees. While identical mortgages may be provided by various lenders, they all share the same features and advantages.
1. To calculate the mortgage payment for both families, use the given information (30-year term, 6% APR, and a loan amount of $175,000). The monthly mortgage payment can be calculated using the Payment mini calculator, resulting in a monthly payment of $1,049.21 for both families.
2a. To find 1/12 of the required monthly payment, divide the mortgage payment by 12:
$1,049.21 / 12 = $87.43
2b. The Jeffersons will add this 1/12 ($87.43) to the required payment ($1,049.21) to make their monthly payment:
$1,049.21 + $87.43 = $1,136.64
3. Since the Jeffersons are making extra payments, they will pay off their loan more quickly than the Thomas family. Using the Years mini financial calculator, the approximate number of years it would take the Jeffersons to pay off their loan is approximately 24.3 years (rounded to the nearest 10th).
To know more about Identical Mortgages visit:
https://brainly.com/question/20344616
#SPJ11
Compensation from your employer over and above your income describes:
A. payroll benefits.
B. employee benefits.
C. gross income.
D. net income
Answer:
the answer is c. Gross income
Answer:
Employee benefits
Explanation:
trust
Part C
Aragonite is a form of calcium carbonate that many aquatic animals use to build skeletons and shells. Watch this simulation of surface ocean aragonite saturation to determine how aragonite levels are changing. How might aquatic animals and underwater ecosystems be affected by this change?
Answer:
Explanation:
Corals and other calcifiers are more likely to survive and reproduce when the saturation state is greater than three. When aragonite saturation state falls below 3, these organisms become stressed, and when saturation state is less than 1, shells and other aragonite structures begin to dissolve.
ill paste the plato EXACT ANSWER below:
There is a considerable drop in the saturation of aragonite over time. Based on the projections, this trend will continue into the future. With less aragonite available, aquatic animals such as snails may not be able to build their protective shells. This lack of protection could leave them vulnerable to harm from the environment or predators and ultimately decrease their population. The decrease in population could then affect the organisms that prey on these animals for food, potentially decreasing their populations too.
:}
Answer:
There is a considerable drop in the saturation of aragonite over time. Based on the projections, this trend will continue into the future. With less aragonite available, aquatic animals such as snails may not be able to build their protective shells. This lack of protection could leave them vulnerable to harm from the environment or predators and ultimately decrease their population. The decrease in population could then affect the organisms that prey on these animals for food, potentially decreasing their populations too.
Explanation
Edmentum
An example of a cost is _____.
revenues
principal and interest on loans
tornadoes
profits
Continue with the question. Please calculate the margin of safety (at current sales volume of 100 units) for this business Margin of Salety = \% %. Based on the margin of safety computed, will you start making a loss if sales drop by 30% ? (Enter "Y" or Yes or "N" or No.) Youf answer is The operating leverage (at current sales volume of 100 units) is Wo (Round to one decimal, for example, 21.4) If fixed costs increase, will it increase or decrease the operating risk? (Enter "l" or increase or "D" dNecrease) Your answer is
The break-even point is 433 units, the margin of safety is -333%, Operating Leverage is 1.4 and If fixed costs increase, it will increase the operating risk.
The current sales volume is 100 units, we can substitute this value into the revenue equation:
Revenue = $15 * Quantity + $7,000
Revenue = $15 * 100 + $7,000
Revenue = $1,500 + $7,000
Revenue = $8,500
To calculate the break-even point, we set the profit to zero in the CVP relation:
0 = (Revenue - $15 * Quantity) - $2,000
Solving for the quantity:
Revenue - $15 * Quantity = $2,000
$8,500 - $15 * Quantity = $2,000
$15 * Quantity = $8,500 - $2,000
$15 * Quantity = $6,500
Quantity = $6,500 / $15
Quantity = 433.33 (rounded to the nearest whole number)
Therefore, the break-even point is approximately 433 units.
Now we can calculate the margin of safety:
Margin of Safety = (Current Sales - Break-even Sales) / Current Sales * 100
Margin of Safety = (100 - 433) / 100 * 100
Margin of Safety = -333 / 100 * 100
Margin of Safety = -333%
The margin of safety is -333%, indicating that the current sales volume is below the break-even point. This means the business is currently operating at a loss.
If sales drop by 30%, the new sales volume would be 70 units (70% of 100 units). In this case, the business would still be operating below the break-even point, resulting in a loss.
The operating leverage at the current sales volume of 100 units is calculated as follows:
Operating Leverage = Contribution Margin / Operating Income
Contribution Margin = Revenue - Total Variable Costs
Contribution Margin = $8,500 - ($15 * 100)
Contribution Margin = $8,500 - $1,500
Contribution Margin = $7,000
Operating Income = Revenue - Total Variable Costs - Total Fixed Costs
Operating Income = $8,500 - ($15 * 100) - $2,000
Operating Income = $8,500 - $1,500 - $2,000
Operating Income = $5,000
Operating Leverage = $7,000 / $5,000
Operating Leverage ≈ 1.4
If fixed costs increase, it will increase the operating risk.
Learn more about Operating Leverage from the given link
https://brainly.com/question/28500715
#SPJ11