Answer:
$6.65
Explanation:
Annual Interest = 21%
Monthly Interest = 21%/12 = 1.75%
So the monthly interest that will be added to Ryan's account would be
Monthly Interest = $380 x 1.75%
Monthly Interest = $6.65
Think about the place where you go for cosmetology services. What keeps you going back to that hair salon, nail salon, or other place of business? Discuss the factors that impact your decision when you are the customer.
Quality of service and customer experience keep me going back to a cosmetology service provider.
As a customer of a cosmetology service provider, several factors impact my decision to return to a particular business. The most important factor is the quality of service provided. I expect the service provider to deliver excellent results that meet my expectations. Additionally, customer experience is crucial in my decision-making process. A friendly and welcoming atmosphere, attentive staff, and a comfortable environment all contribute to an enjoyable customer experience.
Cleanliness, safety, and adherence to hygiene protocols are also essential considerations. Finally, the price and value for money are critical factors in my decision, and I expect the prices to be competitive and reasonable for the quality of service provided. Overall, a combination of excellent service, enjoyable customer experience, and reasonable prices keep me going back to my preferred cosmetology service provider.
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What is one argument in favor of the Fed using aggressive expansionary monetary policy during an economic crisis?
Explanation:
The central bank of a country is responsible for monitoring the monetary policy. An effective American monetary policy is based strictly on the situation presented. Request A Topic. Sign Up For Notifications.
Webb Corporation's trial balance for July 31, the end of its fiscal year, included the following accounts:
Accounts Receivable
$32,000
Inventories
47,000
Franchise
39,000
Investments
47,000
Prepaid Insurance
5000
Note Receivable
96,000
Cash in Bank
11000
The investment account consists of marketable securities of which management plans to sell half of by December 31. Prepaid insurance is a two-year policy that was purchased on July 31. The note receivable is an installment note that will be paid in three equal installments on December 31 of each year.
The amount that should be classified as current assets in the July 31 balance sheet is:
Answer:
ok
Explanation:
A promissory note can best be described as __________., a. an interest-bearing IOU, b. a guarantee of a line of credit, c. a commitment to lend money to someone, d. a government-backed bond
A promissory note can best be described as: a. an interest-bearing IOU.
What is promissory note?Promissory note can be defined as a written note that help to shows that a person who lend a money from another person promise to payback. The note contains a promise by the borrower to pay back the lender within a stipulated period of time.
A promissory note can tend to be described as IOU which full meaning is I OWE YOU which implies that a borrower is telling the lender that he/she owe the lender some certain amount of money which the borrower will have to payback.
A promissory note also contains the terms and conditions of the agreement and this terms and agreement includes the following :
The principal amountThe loan maturity dateThe interest etcTherefore we can conclude that the correct option is A.
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In your own words, define Linear Regression. Describe an example of how
linear regression could be utilized in business.
Answer:
linear regression
Explanation:
Linear regression quantifies the relationship between one or more predictor variable(s) and one outcome variable. Linear regression is commonly used for predictive analysis and modeling. For example, it can be used to quantify the relative impacts of age, gender, and diet (the predictor variables) on height (the outcome variable). Linear regression is also known as multiple regression, multivariate regression, ordinary least squares (OLS), and regression. This post will show you examples of linear regression, including an example of simple linear regression and an example of multiple linear regression.
HOPE IT'S HEIP YOU
Ethical Behavior
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Click to review the online content. Then answer the question(s) below, using complete sentences. Scroll down to view additional
questions.
Online Content: Site 1
According to the article, what should you do if you suspect your boss of unethical business practices?
According to the article, we should report it to the right person when we suspect our boss of unethical business practices.
What are unethical practices?Unethical behaviour is defined as behaviour that deviates from what is morally right or proper for a person, profession, or industry. Individuals, businesses, professionals, and politicians can all act unethically.
According to Catherine Conlan's article, the best thing to do is report it to the appropriate person.
This is clear when the article states, "If you reasonably believe your employer is doing something illegal or unethical, you should first bring it to the attention of your supervisor... If you suspect your supervisor, go through the company's chain of command.
The matter will be investigated by the company. If no one in the chain of command responds, there is usually a government agency involved.
Therefore, reporting to the correct authority is the correct step.
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Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?
The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.
To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.
To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:
NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost
\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)
\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)
NPV = $3,913.04 + $3,537.41 - $7,800
NPV = -$350.55
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The Montgomerys borrowed $107,000 at 7.50% for 30 years to purchase a house. Find the total interest the Montomerys will pay if they pay the loan on schedule. Click the icon to view the monthly payment of principal and interest table. OA. $162,254.80 OB. $149, 158.00 OC. $177,662.80 OD. $168,803.20
The total interest the Montgomerys will pay if they pay the loan on schedule is approximately $163,072.
To find the total interest the Montgomerys will pay over the course of the loan, we can calculate the monthly payment and then subtract the principal borrowed.
First, we need to calculate the monthly payment using the loan amount, interest rate, and loan term. We can use the formula for calculating the monthly payment on an amortizing loan:
Monthly payment =\(P * r * (1 + r)^n / ((1 + r)^n - 1)\)
Where:
P = Principal amount borrowed = $107,000
r = Monthly interest rate = Annual interest rate / 12 = 7.50% / 12 = 0.625%
n = Total number of payments = 30 years * 12 months/year = 360 months
Plugging in the values, we have:
Monthly payment = $107,000 * 0.00625 * (1 + 0.00625)^360 / ((1 + 0.00625)^360 - 1)
≈ $750.20
The monthly payment of principal and interest is approximately $750.20.
To find the total interest paid, we can multiply the monthly payment by the total number of payments and subtract the principal borrowed:
Total interest paid = (Monthly payment * Total number of payments) - Principal borrowed
= ($750.20 * 360) - $107,000
≈ $270,072 - $107,000
≈ $163,072
Therefore, the total interest the Montgomerys will pay if they pay the loan on schedule is approximately $163,072.
None of the provided answer options match the calculated value. However, based on the calculation, the closest option is OA. $162,254.80.
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Think of as many problems, challenges or issues that affect you, your school, or your community. Create a list of as many of these issues that come to mind. At this phase, aim for quantity over quality and let your imagination run wild! List at least 5.
Eating healthy
Need for working out
Getting more sleep
Wanting to go different places and not stay in one place for ever.
Learning new stuff
1. For members of the Silent Generation (1965),
how much more did those with a bachelor's
degree earn compared to a high school
graduate?
Based on the amounts that both groups earned, the amount earned more than high school graduates was $7,449.
Difference in earnings.Silent generation members who graduated college earned $38,833. Those who only graduated high school earned $31,384.
The difference is therefore:
= 38,833 - 31,384
= $7,449
In conclusion, they earned about $7,449 more.
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if i put 5000 in the education savings account what percentage will make it double after 12 years?
An annual interest rate of approximately 6.1% might double a $5,000 investment in an education savings account after 12 years.
To decide the percentage that could double a $5,000 investment in an education savings account after 12 years, we will use the compound interest formulation:
\(A = P(1 + r/n)^{(nt)\)
Where:
A = final amount P = primary quantityr = Annual interest fee n = number of times interest is compounded consistent with 12 monthst = number of yearsIn this situation, we have P = $5,000, A = $10,000 (double the preliminary funding), t = 12 years, and we need to find the yearly interest rate (r) that would gain this doubling.
let's anticipate the interest is compounded annually (n = 1):
\(10,000 = 5,000(1 + r/1)^{(1*12)\)
Dividing both sides of the equation via 5,000:
\(2 = (1 + r)^{12\)
Taking the 12th root of each sides:
\(1 + r = 2^{(1/12)\)
Subtracting 1 from both sides:
\(r = 2^{(1/12) - 1\)
Calculating this value gives us about 0.061 or 6.1%.
Consequently, an annual interest rate of approximately 6.1% might double a $5,000 investment in an education savings account after 12 years.
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when it comes to overcoming resistance in groups it is a good idea to
avoid all conflict in the first place
hold off on dealing with minor problems until the conflict becomes major
deal directly with resistance
encourage participants to suppress their emotions about the situation
Answer:
C! deal directly with the resistance
Explanation:
makes the most sense to me
Gomez runs a small pottery firm. He hires one helper at $10,500 per year, pays annual rent of $4,500 for his shop, and spends $19,000 per year on materials. He has $40,000 of his own funds invested in equipment (pottery wheels, kilns, and so forth) that could earn him $5,000 per year if alternatively invested. He has been offered $21,000 per year to work as a potter for a competitor. He estimates he could use his talents to earn an additional $3,000 per year in consulting fees if he were working full time as a potter. Total annual revenue from pottery sales is $71,000.Calculate the accounting profit and the economic profit for Gomez’s pottery firm.1. Accounting Profit = $______2. Economic Profit = $______
Answer:
Economic profit= $8,000
Accounting profit= $37,000
Explanation:
Giving the following information:
Costs:
Helper= $10,500 per year
Rent= $4,500
Materials= $19,000
Total= 34,000
Pottery Revenue= $71,000
Alternative= 5,000 + 21,000 + 3,000= $29,000
The difference between the economic profit and accounting profit is that the first one includes the opportunity cost of an alternative income.
Economic profit= 71,000 - 34,000 - 29,000= $8,000
Accounting profit= 71,000 - 34,000= $37,000
Stephen is a day trader who constantly buys and sells only medical-related stocks. Stephen has _____ asset allocation strategy and a(n) _____ security selection strategy.
Answer: a passive; active
Explanation:
When a person or institution is said to have a passive asset allocation strategy it means that they either trade the same assets over and over or apply the same weighting to the asset class every time. Stephen only trades medical-related stocks so is using passive allocation.
An active security selection strategy means that the person or institution constantly changes and trades the stocks in their portfolio much like Stephen does when he constantly trades stock. Stephen is therefore using an active security selection strategy.
A company proposes to invest in two divisible projects which are expected to generate the following cash flows. Cash flows Year Project A Project B
1 10,000 10,000
2 60,000 30,000
Additional information
1. The cost of capital applicable to both projects is 12%
2. Project A requires sh. 20,000 and Project B 10,000 initial investment. 3. The funds available are restricted as follows;
Years Cash available
0 1,000,000
1 800,000
4. Funds not utilized one year will not be available in the subsequent years. Required;
i. Formulate a linear programming model to solve the above problem. ii. Solve the problem graphically and comment on the proportion of investing on the two projects.
The graphical solution of this linear programming problem will involve plotting the feasible region defined by the constraints and identifying the corner points of the region. The corner point that maximizes the objective function will represent the optimal investment proportions between the two projects.
To formulate a linear programming model for the investment decision between Project A and Project B, we can define the following variables:
Let x be the amount invested in Project A (in thousands of shillings).
Let y be the amount invested in Project B (in thousands of shillings).
The objective is to maximize the total cash flows generated from the investments, which can be represented as: Maximize Z = 10x + 60y + 10x + 30y
Subject to the following constraints:
The total investment should not exceed the available funds:
x + y ≤ 1,000 (in thousands of shillings)
Project A requires an initial investment of 20,000 (in thousands of shillings):
x ≥ 20
Project B requires an initial investment of 10,000 (in thousands of shillings):
y ≥ 10
The funds available in each year should be utilized:
x + y ≤ 800 (for year 1)
The graphical solution of this linear programming problem will involve plotting the feasible region defined by the constraints and identifying the corner points of the region. The corner point that maximizes the objective function will represent the optimal investment proportions between the two projects.
Based on the graphical solution, the proportion of investing in the two projects will depend on the intersection of the feasible region and the objective function. The specific proportion will vary depending on the values and slopes of the constraints and objective function.
It is important to note that the actual graphical solution and interpretation of the proportion will require the specific values and plot of the feasible region and objective function.
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Knowledge Check 01 A company is in its first month of operations. The company pays total salaries to its employees of $600 per day. For the first four weeks of January (28 days), the company paid its employees $16,800 cash. For the final three days in January, employees earn $1,800 in additional salaries that will not be paid until February 4. What adjusting entry would be made at the end of January? Post the adjusting entry for the scenario provided. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.)
Answer:
Company did not pay employees $1,800 they were supposed to at the end of January which means they owe the employees.
As per the Accrual principle of Accounting, expenses are to be recorded when incurred not when paid so the salaries will be recorded as a liability (salaries payable) that will be settled when the amount is paid.
Jan, 31
DR Salaries Expense.........................................................$1,800
CR Salaries Payable .......................................................................$1,800
Assume the following information: April 1 Inventory 3 units at cost of $20 April 10 purchase 5 units at cost of $20 April 12 sale 6 units Using the perpetual inventory system, what is the amount of cost of goods sold
The amount of the cost of goods sold, using the perpetual inventory system, is $120.
What is the perpetual inventory system?The perpetual inventory system is an inventory management system that records all inventory transactions as they occur and not at the end of the accounting period when inventory counts are carried out.
It is the opposite of the periodic inventory system. Using the perpetual inventory system, entries are made directly to the inventory account and the cost of goods sold with each inventory transaction.
Data and Calculations:Beginning inventory 3 units at $20 = $60
April 10 Purchase 5 units at $20 = $100
Total cost of goods available for sale = $160
April 12 Sales 6 units
Ending inventory = 2 (8 - 6) = $40
Cost of goods sold = $120 ($20 x 6) or ($160 - $40)
Thus, the amount of the cost of goods sold, using the perpetual inventory system, is $120.
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1. A requested task is subject to be reported when:
Requesting for a screenshot
When it is asking for 3 proofs
When it requests for email address to be submitted
The task requested promote violent and/or illegal activities
A requested task is subject to be reported when it promotes violent and/or illegal activities. This ensures that any content or actions that pose a threat or violate the law are appropriately addressed and handled. Reporting such tasks helps maintain a safe and secure environment for users and prevents the dissemination of harmful or unlawful content.
Promoting violent and/or illegal activities goes against community guidelines and ethical standards. By reporting such tasks, users can play an active role in upholding the rules and regulations of the platform or community they are a part of. Reporting serves as a mechanism for users to flag content or requests that could potentially harm individuals or society as a whole.
Requesting for a screenshot, asking for three proofs, or requesting an email address submission, on their own, may not necessarily warrant a report. These actions typically serve functional or practical purposes in various contexts. However, it is essential to assess the overall intent and impact of a requested task to determine whether it aligns with ethical standards and legal requirements. If a task requests actions that are potentially harmful or against the rules, it should be reported to the appropriate authorities or platform administrators for further investigation and appropriate action.
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Process operations is defined as a manufacturing process that includes: (Check all that apply.) Multiple select question. large volumes of similar products. customized products. series of sequential processes. individualized production steps.
The process operations are treated as the manufacturing process that involved the high standardization level, and the series of the sequential process.
The information related to the process operations is as follows:
It refers to the method or action or the operation that involved the storage or handling of the material prior, during, or after the manufacturing. It involved the greater standardization level, and the sequential process series.Therefore we can conclude that the process operations are treated as the manufacturing process that involved the high standardization level, and the series of the sequential process.
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Who is pressuring Mr. Patil to
increase quotas of his dealers fast
or get them replaced?
Marketing Manager
A
Answer:
This Question Isnt specifying if there is someone else involved with the Pressuring
Explanation:
Consider the organization you are currently working in and explain this organization from systems characteristics perspectives particularly consider objective, components (at least three) and interrelationships among these components with specific examples
Explanation:
I don't have direct knowledge of the organization you are currently working in. However, I can provide a general example to help illustrate the systems characteristics of an organization. Let's consider a fictional manufacturing company called "ABC Manufacturing."
Objective:
The objective of ABC Manufacturing is to efficiently produce and deliver high-quality products to its customers while maximizing profitability. The organization aims to maintain a competitive edge in the market by consistently meeting customer demands and optimizing its operations.
Components:
1. Human Resources: The employees of ABC Manufacturing form a crucial component. They include production workers, managers, engineers, and support staff. Each employee contributes their skills and expertise to ensure smooth operations. For example, production workers assemble products, engineers design new prototypes, and managers oversee the overall functioning of the organization.
2. Production Facilities: The physical infrastructure, including factories, warehouses, and equipment, is another vital component. These facilities house the production lines, machinery, and storage areas necessary for manufacturing products. The efficient functioning of the production facilities is essential to meet production targets and ensure the timely delivery of goods.
3. Supply Chain and Logistics: The supply chain component involves managing the flow of materials, resources, and finished products. This includes sourcing raw materials, coordinating with suppliers, inventory management, and distribution logistics. Effective supply chain management ensures that the right materials are available at the right time, minimizing delays and reducing costs.
Interrelationships among Components:
The components of ABC Manufacturing are interrelated and interconnected, forming a system that works together to achieve the organization's objectives. Here are a few examples of interrelationships among these components:
1. Human Resources and Production Facilities: The production facilities rely on the skills and efforts of the employees. Human resources ensure that the right talent is hired, trained, and deployed in the production process. They also provide support and maintenance services to ensure the smooth functioning of the production facilities.
2. Production Facilities and Supply Chain: The production facilities rely on the timely availability of raw materials from the supply chain. Efficient coordination between production and supply chain teams is necessary to maintain optimal inventory levels and avoid production delays.
3. Supply Chain and Human Resources: The supply chain team collaborates with human resources to forecast demand, plan workforce requirements, and align production schedules accordingly. Effective communication and coordination between these components ensure that the production process meets customer demand and avoids excessive inventory or stockouts.
By viewing ABC Manufacturing through a systems perspective, we recognize that the organization is a complex interplay of various components working together to achieve a common objective. Understanding the interrelationships and dependencies among these components helps in identifying areas for improvement and optimizing the overall performance of the organization.
Answer:Dashen Bank s.c is a company where I am working in it. The company’s objective is to maximize its profit and become from the lists in best class banks in Africa. To achieve this objective it has its own system which contains the following components
• A banking software called FLEXCUBE which is the core software which accomplishes the majority of the banking day to day activities e.g. cash withdrawal, cash deposit, account opening general leger account postings etc.
• CATPS(card application tracking and processing system) is a component of a system which is used to capture ATM card applications and authorize the processed/ captured applications in order to produce the cards
• Amole admin/internet banking application is used to create an access to the customers such that user name and passwords and and link bank accounts so customers can transfer money, make payments at home.
The above listed components have interrelation each other. E.g. in order to produce cards using CATPS, the customer must have a bank account with precise customer data such that signature, photo etc. so these stated things i.e. account opening, signature and photo uploading activities are processed by FLEXCUBE software. In the same manner, in order to get an access to the bank account using amole/ internet banking, the customer must have properly opened bank account with customer signature and photo which is also processed by using FLEXCUBE software.
(30 POINTS)What is one difference between a vocational school and on-the-job training?
A vocational school degree takes one year to earn. On-the-job training takes two or more years.
A vocational school degree takes weeks or months to earn. On-the-job training takes two years or fewer.
A vocational school is usually paid for by the worker. On-the-job training is usually paid for by the employer.
A vocational school is usually paid for by the employer. On-the-job training is usually paid for by the worker.
Answer:
A vocational school is usually paid for by the worker. On-the-job training is usually paid for by the employer.
Explanation: Vocational training is when you as a worker learn more about your job so you have to pay your trainer to acquire knowledge. However for on-the-job training you have understandin got how to do your work so you get paid
The main difference between a vocational school and on-job training is that "the vocational school is paid for by workers while the on-job training is paid for by the employer".
The vocational school or the vocational form of training is the training provided to the worked by creating the replica of a similar workstation. This helps the workers to know about the entire working process before entering into the actual workplace.
The on-job training is provided to the employers before starting the work or during the existing work about the changes or modifications in the current work process. This is beneficial when the duplicate situation cannot be created and the new work needs to be operated along with the existing work.
Therefore, option c is correct.
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Information for Rafael Corp. is given in BE8.8. Suppose the accountant for Rafael Corp. uses normal-absorption costing and uses the budgeted volume of 50,000 units to allocate the fixed overhead rather than the actual production volume of 40,000 units. The company expenses production volume variance to cost of goods sold in the accounting period in which it occurs. (a) Calculate the manufacturing cost per unit and prepare a normal-absorption-costing income statement for the first year of operation. (b) Reconcile the difference in net income between the variable-costing and normal-absorption-costing methods.
This difference can be reconciled by the production volume variance of $60,000, as the total difference is equal to the production volume variance multiplied by two ($60,000 x 2 = $120,000).
What is volume ?Volume is the measure of the amount of three-dimensional space occupied by an object. It is typically measured in cubic units, such as cubic meters or cubic centimeters. Volume can also be expressed as the amount of space an object takes up, such as gallons, quarts, or liters.
(a) Manufacturing Cost per Unit:
Direct materials: $3.00
Direct labor: $4.00
Variable overhead: $2.40
Fixed overhead: $6.00
Total Manufacturing Cost per Unit: $15.40
Normal-Absorption-Costing Income Statement:
Sales (50,000 units) $750,000
Less: Cost of Goods Sold
Direct materials $150,000
Direct labor $200,000
Variable overhead $120,000
Fixed overhead $300,000
Total Cost of Goods Sold $770,000
Gross Loss $(20,000)
Less: Operating Expenses
Selling expenses $50,000
Administrative expenses $60,000
Total Operating Expenses $110,000
Net Loss $(130,000)
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6. Prepare a summary of the implications of capital structure theory that can be presented to Tom Moore. What insights can capital structure theory provide managers regarding the factors which influence their firm’s optimal capital structures?
Answer:
Capital Structure is a combination of all the long term which includes both debt and equity financing. The capital structure theories helps the treasury department of the company to find an optimum capital structure (Mixture of debt and capital) that gives the lowest weighted average cost of capital and this lowest WACC, gives highest value of the company.
Mathematically,
Value of the Company = Future net cash flows / Lowest WACC
The factors that affect WACC can be understood if we have a glance on its formula:
WACC = (Ke * E /(E + D)) + (Kd * D /(E + D)* (1 - Tax))
The reduction in WACC is largely due to increase in the debt because it gives tax benefits and this lowers the WACC.
To arrive at the lowest WACC, Tom Moore will consider all of the following factors:
Future Net Cash Flows: If the company is earning more than before then this will increase the value of the company because debt terms and conditions would be bargained at a better position and all this is possible if stable cash flow position has been achieved by the company. This means that the debt would be raised at a cheaper rate that will also lower WACC and increase Future Net cash flows.Debt to Equity ratio: This factor helps in determining how much the company must borrow in order to gain the maximum benefit of the debt. On the other hand, the finance raising cost of debt will also increase which means raising finance will become difficult.Matching Concept: The finance required must be matched with the time duration it is necessary. This means that the long term investments must be financed with long term finance and short term needs must be financed by short term finance. This will help the company to lower its cost paying commitments to lenders and investors.Other Factors: These are the factors that affects the management of Capital structure which includes market conditions, tax rate, credit rating, industry related risk, economy future projection, etc, all these factors have minute impact on the fund raising and are an obstacle to achieve optimal capital structure.19. If line 18 is more than line 15, subtract line 15 from line 18. This is the amount you overpaid?
The federal government has enacted laws which allow you to ______.
a.
Apply for credit cards without revealing personal information
b.
Establish a personal identity lockbox to protect your information
c.
Restrict the way your personal information is shared.
d.
None of the above
The federal government has enacted laws which allow to restrict the way your personal information is shared. Therefore option (C) is correct.
What is Federal Government?Federal Government refers to the division of the power among the legislative, executive and judicial. The U.S. Constitution gives the Congress, President, and Federal courts specific powers.
The ability to limit the sharing of personal information is permitted under legislation that the federal government has passed. Therefore, choice (C) is the right one.
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Explain the importance of strategic management in managing today's organizations Pls it's urgent
Answer:
The answer is explained below.
Explanation:
Nowadays due to globalization and also due to the increase of the mass media, the social media and so on, the amount of information has increase widely as well as the competition between the companies that work in the same industry focusing in the same target audience. That is why that in the current days it is quite essential to have an strategic management plan in which the manager focus on the analysis and use of all the information that is out there in order for them to gather it. Therefore that the strategic management has the main purpose of using the information available and try to transform all that, plus ideas, into plans that could help the organization to work better and therefore to have better results and increase the sales and the profits.
external factors that can affect reatail industry
An external factors that can affect retail industry are Competition. Politics. Economic Status. Trends. Technology. Adapting to Changes. Political Climate.
What do you mean by the retail industry?All businesses that offer products and services to consumers are considered to be in the retail sector. Various retail sales and store types can be found all throughout the world, including grocery, convenience, discount, independent, department, DIY, electrical, and specialty shops.
Location, marketing, shop design and appearance, service and selection, and bundle selling are the five pillars of retail success.
The danger of supply chain disruption and the environmental impact of using raw materials are the two key factors that have an impact on retail.
Therefore, an external factors that can affect retail industry are Competition. Politics. Economic Status. Trends. Technology. Adapting to Changes. Political Climate.
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According to the above material, there exist large differences between economic growth rate using traditional expenditure approach and the satellite night-light data. How do you evaluate the night-light data method? and can you identify several reasons why there exists such differences?
The use of satellite night-light data as a method to evaluate economic growth has both strengths and limitations. Reasons for Differences between Traditional Expenditure Approach and Night-light Data: Informal Economy, Data Limitations, Urbanization Bias and Structural Changes.
Here is an evaluation of the night-light data method and several reasons for the differences observed between the traditional expenditure approach and the night-light data:
Evaluation of the Night-light Data Method:
Objective and Timely: Satellite night-light data provides an objective and timely measure of economic activity. Wide Coverage: Night-light data can cover large geographical areas, including remote and inaccessible regions. Granularity: The data can be analyzed at a fine-grained level, allowing for detailed spatial analysis of economic patterns. This can help identify pockets of growth and disparities within regions.Reasons for Differences between Traditional Expenditure Approach and Night-light Data:
Informal Economy: The traditional expenditure approach relies on official economic data, which may not fully capture the informal sector. Data Limitations: Night-light data has its limitations. It primarily measures economic activity related to lighting, which may not capture other dimensions of economic growth such as services or knowledge-based industries. Urbanization Bias: Night-light data tends to be more representative of urban areas with higher population density and greater access to electricity. Structural Changes: The traditional expenditure approach focuses on consumption and investment, while night-light data primarily captures the energy consumption associated with lighting.For such more question on economic:
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Deep Falls Timber has net sales of $642,100, net income of $50,800, dividends paid of $12,700, total assets of $658,000, and total equity of $444,400. What is the internal growth rate
Deep Falls Timber's internal growth rate is 8.57%.
How is the internal growth rate calculated?We can compute the internal growth rate of Deep Falls Timber by dividing the company's retained earnings by the average combined equity of all stockholders for the given accounting period.
The firm's internal growth rate shows the highest level of growth that the firm can achieve without obtaining outside financing,
Data and Calculations:Net sales = $642,100
Net income = $50,800
Dividends paid = $12,700
Retained earnings = $38,100 ($50,800 - $12,700)
Total assets = $658,000
Total equity = $444,400
Total liabilities = $213,600 ($658,000 - $444,400)
Total liabilities and equity - $658,000
The internal growth rate = Retained Earnings/Total equity
= 8.57% ($38,100/$444,400 x 100)
Thus, Deep Falls Timber's internal growth rate is 8.57%.
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