Darius needs to make three income projections for the Tampa and Orlando offices for the upcoming year. Firstly, he wants to achieve a total income of $7,500 in Q4 and thus, determines the required income for Q2 and Q3 to be $3,750 each.
For the first projection in range B21:E21, he will use a linear trend to project income in all four quarters.
For the second projection in range B22:E22, he assumes a 2 percent growth rate in income per quarter, starting with an income of $6,300 in Q1, and calculates the projected income for Q2-Q4 using a formula.
For the third projection in range B23:E23, he uses a 3 percent growth rate extrapolated from the income in Q4 of the current year to calculate the projected income for all four quarters using a formula.
By making these three projections, Darius can better estimate the potential income for the next year and make informed decisions for the business.
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Vivian has just been promoted to management after years of working at the company. She is very excited, but nervous to now be the boss of several of her colleagues. What would be good advice for her
Answer:
Trust her gut and stay calm under any circumstances
Regrading the management, the good advice for her would be take a learning orientation approach which engages in self-development.
What do you mean by the management?In order to achieve desired goals and objectives, a person or group of people must be challenged and managed, according to the concept of management.
In management, efficiency is the ability to complete tasks effectively and economically. In order to provide measurable results, tasks must be completed within predetermined deadlines.
All parties involved in the business, such as the government, consumers, and employees, should have their interests taken into account by management. For the organization, managers are in charge of setting and achieving goals.
Therefore, the regrading the management, the good advice for her would be take a learning orientation approach which engages in self-development.
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Which marketing philosophy could most help a company outperform its competitors in today's marketplace?
The marketing philosophy that could most help a company outperform its competitors in today's marketplace is Market Orientation.
What is Market Orientation?Market orientation can be described as the approach to business which help in the prioritizing as well as identifying the needs as well as the desires of consumers and brought about the products and services that satisfy them.
Therefore, The marketing philosophy that could most help a company outperform its competitors in today's marketplace is Market Orientation.
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What term describes all business processes associated with providing a product or service? the supply chain the product chain the value chain the manufacturing chain
The value chain describes all business processes associated with providing a product or service.
What Is a Value Chain?A value chain is a business model that describes the full range of activities needed to create a product or service. For companies that produce goods, a value chain comprises the steps that involve bringing a product from conception to distribution, and everything in between—such as procuring raw materials, manufacturing functions, and marketing activities.
A company conducts a value-chain analysis by evaluating the detailed procedures involved in each step of its business. The purpose of a value-chain analysis is to increase production efficiency so that a company can deliver maximum value for the least possible cost.
Therefore, we can conclude that the correct option is C.
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Attempts A 2. Problem 3.01 (Balance Sheet) eBook Problem Walk-Through The assets of Dallas & Associates consist entirely of current assets and net plant and equipment, and the firm has no excess cash. The firm has total assets of $2.9 million and net plant and equipment equals $2.6 million. It has notes payable of $145,000, long-term debt of $755,000, and total common equity of $1.5 million. The firm does have accounts payable and accruals on its balance sheet. The firm only finances with debt and common equity, so it has no preferred stock on its balance sheet. Write out your answers completely. For example, 25 million should be entered as 25,000,000. Negative values, if any, should be indicated by a minus sign. Round your answers to the nearest dollar, if necessary. a. What is the company's total debt? S 900,000 am b. What is the amount of total liabilities and equity that appears on the firm's balance sheet? $ 1,500,000 T c. What is the balance of current assets on the firm's balance sheet? S 5,500,000 d. What is the balance of current liabilities on the firm's balance sheet? arch O Average/9 Fi Rain... 4x 4:33 PM 6/2/2022 CENGAGE MINOTAP 02C031 x A 1 D ** Ti4 R O F V T Pep: March Y B Am H n N THE M C G K L p B 1616 L 0
a. The company's total debt is $900,000.
b. The amount of total liabilities and equity that appears on the firm's balance sheet is $1,500,000.
Total liabilities and equity represent the total financing provided by both debt and equity sources. In this case, the company's long-term debt is $755,000, and the total common equity is $1,500,000. Adding these amounts together gives us the total liabilities and equity of $2,255,000. Since the company only finances with debt and common equity and has no preferred stock, this total represents the liabilities and equity section of the balance sheet.
c. The balance of current assets on the firm's balance sheet is $5,500,000.
Current assets are the assets that are expected to be converted into cash or used up within one year. In this case, the company's assets consist entirely of current assets and net plant and equipment. The total assets of the company are given as $2.9 million, and the net plant and equipment is $2.6 million. To find the balance of current assets, we subtract the net plant and equipment from the total assets: $2.9 million - $2.6 million = $300,000. Therefore, the balance of current assets on the firm's balance sheet is $300,000.
d. The balance of current liabilities on the firm's balance sheet is not provided in the given information.
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Am I beautiful please give a honest reply.
Answer:
ive never met you but your always pretty on th einside :3
Explanation:
yes you are queen dwell on the beauty of life. Watch the stars, and see yourself running with them.
why is foreign employment important ?
Answer:
Foreign employment can be important for a number of reasons, including:
Economic growth: Foreign employment can bring in significant amounts of foreign currency to a country, which can help to boost the economy.
Poverty reduction: Foreign employment can provide individuals and families with higher wages than they would be able to earn in their home country, which can help to reduce poverty.
Career development: Foreign employment can provide individuals with opportunities to gain new skills and experiences, which can help to improve their career prospects.
Cultural exchange: Foreign employment can also provide an opportunity for cultural exchange, which can help to promote understanding and tolerance between different countries and cultures.
Remittances: Foreign workers often send money back to their home country, known as remittances, which can be a major source of income for families and communities.
Human Development: Foreign employment can provide individuals with better access to education, healthcare, housing and other essential services, which can improve their overall quality of life and human development.
All in all, Foreign employment can have a positive impact on the economy and society by providing people with better living conditions, opportunities and increasing the GDP.
Answer:
Explanation:
Here are three primary reasons why foreign employment is beneficial for your business.
1.More innovation
A foreigner, being from a different country and culture will bring new ideas and ways to challenges. These insights can be used to enhance processes and systems.
Availability to global markets
2.Access to global markets
Numerous firms leverage the links their overseas employees have to their native nations. Consider a corporation with a German employee that desires to explore the German or European market. The employer is in an ideal position to request insight or even contacts from the German employee in order to create partnerships in Germany.
3.Better fulfilling working atmosphere
Most individuals like learning from their peers. Foreign workers have so much to give their coworkers in this aspect. Not only from a financial standpoint, but also from a personal and cultural standpoint. This makes the workplace more engaging and rewarding for every employee.
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1. Suppose that 1 U.S. dollar can be exchanged for 179 Japanese Yen or can be exchanged for 0.87 Euro. Compute the Euro/Yen exchange rate.
2. Assume a call option is written with a strike price of $1.65/€ at a premium of 5.20 cents per euro ($0.0520/€) and with an expiration date nine months from now. The option is for €600,000. Calculate your profit or loss should you exercise before maturity at a time when the euro is traded spot at the following:
a) $1.56/€
b) $1.94/€
c) $1.63/€
d) $1.72/€
e) $1.59/€
f) $1.85/€
g) $1.65/€
The profit or loss for the given call option when the euro is traded spot at $1.56/€ is $72,016
Calculation of Euro/Yen exchange rate
Here, 1 USD can be exchanged for:
179 Japanese Yen0.87 Euro
To calculate Euro/Yen exchange rate, we need to calculate the Yen/Euro exchange rate first.
Yen/Euro exchange rate = (1 Euro / 0.87 USD) / (1 Yen / 0.0055 USD)
= (1 / 0.87) / (0.0055)
= 208.42
Therefore, Euro/Yen exchange rate is the reciprocal of Yen/Euro exchange rate:
1 / 208.42 = 0.0048 Yen/Euro
Calculation of Profit or Loss with Given Euro Rates
The calculation of profit or loss of the call option can be done using the following formula:
Profit/Loss = (Option price + Option premium) x Exchange rate - Strike price x Exchange rate
Where:Option price = €600,000
Option premium = $0.0520/€ = €0.0520
Exchange rate is given
Strike price = $1.65/€a) $1.56/€
Exchange rate: 1.56 USD/Euro
Option Price = €600,000 x 1.56 = $936,000
Option premium = €0.0520 x 600,000
= $31,200
Strike price = $1.65/Euro
Profit/Loss = (936,000 + 31,200) x 1.56 - 1.65 x 1.56
= $72,016b) $1.94/€
Exchange rate: 1.94 USD/Euro
Option Price = €600,000 x 1.94 = $1,164,000
Option premium = €0.0520 x 600,000 = $31,200
Strike price = $1.65/Euro
Profit/Loss = (1,164,000 + 31,200) x 1.94 - 1.65 x 1.94
= $199,344
$1.63/€Exchange rate: 1.63 USD/Euro
Option Price = €600,000 x 1.63 = $978,000
Option premium = €0.0520 x 600,000 = $31,200
Strike price = $1.65/Euro
Profit/Loss = (978,000 + 31,200) x 1.63 - 1.65 x 1.63
= -$14,736
$1.72/€ Exchange rate: 1.72 USD/Euro
Option Price = €600,000 x 1.72 = $1,032,000
Option premium = €0.0520 x 600,000 = $31,200
Strike price = $1.65/Euro
Profit/Loss = (1,032,000 + 31,200) x 1.72 - 1.65 x 1.72 = $66,096e) $1.59/€
Exchange rate: 1.59 USD/Euro
Option Price = €600,000 x 1.59
= $954,000
Option premium = €0.0520 x 600,000
= $31,200
Strike price = $1.65/Euro
Profit/Loss = (954,000 + 31,200) x 1.59 - 1.65 x 1.59
= -$29,184
$1.85/€
Exchange rate: 1.85 USD/Euro
Option Price = €600,000 x 1.85
= $1,110,000
Option premium = €0.0520 x 600,000 = $31,200
Strike price = $1.65/Euro
Profit/Loss = (1,110,000 + 31,200) x 1.85 - 1.65 x 1.85
= $131,184
$1.65/€
Exchange rate: 1.65 USD/Euro
Option Price = €600,000 x 1.65 = $990,000
Option premium = €0.0520 x 600,000 = $31,200
Strike price = $1.65/Euro
Profit/Loss = (990,000 + 31,200) x 1.65 - 1.65 x 1.65
= $31,200
Therefore, the profit or loss for the given call option when the euro is traded spot at $1.56/€ is $72,016;
at $1.94/€ is $199,344;
at $1.63/€ is -$14,736;
at $1.72/€ is $66,096;
at $1.59/€ is -$29,184;
at $1.85/€ is $131,184 and
when the euro is traded spot at $1.65/€ is $31,200.
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Which is NOT a characteristic of a successful entrepreneur?
Answer: Procastination, not being innovative
Explanation:
There many characteristics that are not traits of a successful entrepreneur;
- Laziness and procastination; an entrepreneur is one who doesn't give in easily regarding laziness or procastination
- Inability to innovative; what makes an entrepreneur standout is innovation most times, doing things differently from the rest leads to success
Answer:
Ambiguous
Explanation:
You don't need to be ambiguous to be be successful.
Which of the following accounts would normally have a credit balance and appear in the balance sheet?
A. Dividends.
B. Salary expense.
C. Revenue.
D. Uneamed revenue.
E. Accounts receivable.
The account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
The following information is relevant:
The dividend contains the normal debit balance and the same is to be shown under the stockholder equity statement.The salary expense is to be shown under the income statement and contains a normal debit balance.The revenue is to be shown under the income statement & contains a normal credit balance.Unearned revenue is a liability account and contains a normal credit balance. Also, it is to be shown under the balance sheet.The account receivable is an asset account & it contains a normal debit balance. Also, it is to be shown under the balance sheet.Therefore we can conclude that the account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
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What is the shadow economy?
The term "shadow economy" refers to all employment and commercial activity that takes place "below the radar"—economic activity that is not reported and for which taxes ought to be paid.
The shadow economy, also referred to as the informal sector, the black economy, the underground economy, or the gray economy, is made up of both lawful jobs like gardening, working in construction, or selling goods to passing motorists at traffic lights and illegal ones like drug dealing and smuggling.
This sector of the economy also includes circumstances in which people are required to labor for free or as slaves or in which labour is done in return for goods or services other than money.
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In trading account freight belongs to which side debit or credit?
Answer:
Explanation:
In trading account, freight belongs to the debit side. It is a direct expenses on purchases and manufacturing operation
Freight is the cost incurred in transporting an item to its final destination when the terms are FOB shipping point. It is treated as part of the cost of merchandise and recorded in the inventory if the merchandise has not been sold.
Increase in the cost of freight are recorded on the debit side while decrease are recorded on the credit side.
ABC Company issued a bond with face value for $1000, paid annual 10% coupon and 3 years to maturity, what is the value of ABC bonds today if the required rate of return is 12%.
Answer:
The value of Bond = $951.963
Explanation:
The value of the bond is the present value(PV) of the future cash receipts expected from the bond. The value is equal to present values of interest payment plus the redemption value (RV) discounted at the yield rate
Value of Bond = PV of interest + PV of RV
Th e PV of interest payment
A ×(1- (1+r)^(-n))/r
Interest payment = 10%× 1000 = 100
PV = 100× (1- 1.12^(-3))/0.1 = 240.183126
PV of redemption value
PV = RV× (1+r)^(-n)
PV = 1000× 1.12^(-3) = 711.7802
The value of bond = 240.18 + 711.78= 951.963
The value of Bond = $951.963
Which method of preparing the operating activities section of the statement of cash flows consists of a summary of all operating transactions that result in either a debit or a credit to cash?.
Direct method is used for preparing the operating activities section of the statement of cash flows consists of a summary of all operating transactions as, direct method is one of the two accounting methods used to prepare the cash flow statement will be used.
Under the direct method, the most significant actual cash receipts and payments are recorded in the cash flow statement. The direct method is the method of presenting and creating a cash flow statement, listing cash receipts and payments for operations in the cash from operations section. In other words, the direct method calculates net cash operating activity by subtracting gross operating cash payments from gross cash receipts.
This method is called the direct method because it is much easier to calculate the net cash flow from operations than the indirect method. The direct method uses a simple income statement-style approach of adding income and subtracting expenses. This is a very clever way of presenting this section.
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What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three dimensional. How is he MOST LIKELY to add this foreground? A. B. C. D. He might change his position to include some foreground items such as rocks or grasses. He might tilt his camera up to better capture the tops of the hills. He might add some framing trees in the middleground of his image. He might circle around to the side of the hills to capture the cows standing on top. PLS HELP!!
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. He is most likely to add this foreground Option A. He might change his position to include some foreground items such as rocks or grasses.
The foreground of an image is usually the element that is closest to the viewer. The foreground is often used to add depth to an image. If a photographer wants to create a 3D appearance in his image, he must ensure that the image has a foreground, mid-ground, and background. It is possible to include a foreground in a photo by modifying the angle of the shot and including elements in the foreground.
Emilio might change his position to include some foreground items such as rocks or grasses. By doing so, he will be adding depth to his image. Another way to add foreground to an image is to use framing trees in the middle ground of the image, but this may not provide the depth required. Tilt his camera up to better capture the tops of the hills or circling around to the side of the hills to capture the cows standing on top are not recommended, as the question seeks to add a foreground.
Therefore, Emilio is most likely to add the foreground by changing his position to include some foreground items such as rocks or grasses. Therefore, the correct option is A.
The question was incomplete, Find the full content below:
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. How is he MOST LIKELY to add this foreground?
A. He might change his position to include some foreground items such as rocks or grasses.
B. He might tilt his camera up to better capture the tops of the hills.
C. He might add some framing trees in the middle ground of his image.
D. He might circle around to the side of the hills to capture the cows standing on top.
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2. Describe the relationship of profession and education.
In order to have a profession you need to get an education first. You will learn many things that will help you in your profession, no matter what it is. Even an internship is an education. If you start out working along side someone, that someone is giving you an education in how to do the job you want to do.
If you are planning a profession such as a doctor or lawyer, prepare yourself for a LOT of education. You need at least a basic education in order to prepare you for ANY profession. Add, subtract, multiply, divide, read, write and other things so you won’t get cheated out of pay at the least.
Without an education of some kind, you will not be able to do anything. Even if you are a king or queen that you inherited by birth, you still need to know how to decide things. Everything else can be done for you. But there are very few openings for kings and queens these days.
A chi-square test involves a set of counts called "expected frequencies." What are the expected frequencies?
a. The long-run frequencies that would be expected if the observed frequencies are representative.
b. The actual frequencies that did not occur in the observed data.
c. Hypothetical frequencies that would occur if the alternative hypothesis were true.
d. The actual frequencies that did occur in the observed data.
e. Hypothetical frequencies that would occur if the null hypothesis were true.
A chi-square test involves a set of counts called "expected frequencies." The expected frequencies are The actual frequencies that did occur in the observed data is true. Option D is the correct answer.
The Chi-Square test is a statistical tool for determining the difference between actual and expected data. The categorical variables in the data may also be compared using this test to see if they correspond. Knowing if a difference between two variables that are categorical is due to coincidence or a relationship between them is helpful.
Researchers that are examining survey answer data most typically use chi-square when it comes to categorical variables. Demographics, market and consumer research, political science, and economics are a few of the subjects included in this type of study. It is assessed to see if the frequency distribution of the categorical variable substantially differs from your predictions.
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4. How do dependent tasks differ from primary tasks?
Answer:
The answer is below
Explanation:
Dependent task is a term used to describe a type of task that is associated with the main or independent task under a particular scope of work. It is usually a sub-task of the whole task that needs to be executed.
On the other hand, a Primary task is a term used to describe a type of task that takes the center stage or the major task with priority. It takes the largest or most resources in its execution.
What is the term used for when one company enters markets before its competitors?
O Early entry
O late O Last Entry
O First mover
The term used for when one company enters markets before its competitors is "First Mover". This refers to a company that is the first to introduce a product or service in a particular market.
The first mover has the advantage of establishing a brand identity and customer loyalty before its competitors even enter the market. This can lead to a dominant market position and higher profits in the long run. However, being a first mover can also be risky as there is no guarantee of success and competitors may be able to learn from the first mover's mistakes and improve upon their offering. Ultimately, the decision to be a first mover or not depends on various factors such as the industry, product, competition, and resources available. Despite these risks, many companies aim to be first movers in order to capitalize on the benefits associated with early market entry.
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Explain the cost of noncompliance in fires, both economic and
social.
The cost of noncompliance in fires encompasses both economic and social impacts, including property damage, financial burdens, loss of lives, injuries, emotional distress, and strain on public resources. It emphasizes the importance of adhering to fire safety regulations and practices to prevent and mitigate the devastating consequences of fires.
The cost of noncompliance in fires, both economic and social, refers to the consequences and damages that arise when individuals or entities fail to comply with fire safety regulations and practices. These costs can be significant and have wide-ranging impacts on various aspects of society.
Economically, noncompliance with fire safety regulations can result in property damage, loss of assets, and increased financial burdens. Fires can destroy buildings, equipment, and inventory, leading to costly repairs or replacements. The cost of firefighting efforts, insurance claims, and legal liabilities can also be substantial. Businesses may suffer from interrupted operations, decreased productivity, and potential loss of customers or reputation, which can further impact their financial stability.
Socially, the cost of noncompliance in fires includes the loss of human lives, injuries, and the emotional toll on individuals and communities. Fires can cause physical harm, disability, or even fatalities, resulting in personal tragedies and grief. Displacement from homes or workplaces can disrupt livelihoods and create hardships for affected individuals and families. Communities may experience a loss of social cohesion, trust, and a sense of security, leading to long-term psychological and emotional consequences.
Additionally, noncompliance can strain public resources and emergency response systems. Firefighters, paramedics, and other first responders face increased risks and challenges when dealing with preventable fires. The allocation of resources to respond to and prevent noncompliant fire incidents diverts resources from other essential public services, affecting overall community well-being.
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PLZ HELP ON TIMER CARRERS!!!!! 15 POINTS
The advantages of being an entrepreneur are _____.
a.
excitement, independence, and financial risk
b.
flexibility, independence, and salary potential
c.
short working hours, independence, and financial risk
d.
administration, short working hours, and excitement
Please select the best answer from the choices provided
Answer:
B.
Explanation:
It seems most reasonable.
Two debts, the first for $1500 due 30 days ago, the second for $1300 due in 60 days, are to be paid by a single payment 40 days from today. How much is the single payment if money is worth 7% p.a. and the agreed focal date is 40 days from now? Include a timeline in answer. Write answer clearly.
The single payment due 40 days from now that will pay off two debts, the first for $1500 due 30 days ago and the second for $1300 due in 60 days, is $2,799.87.
To solve this problem, we need to calculate the present values of both debts as of the focal date and add them together. Then, we need to find the single payment due 40 days from now that has the same present value as the sum of the two debts.
First, let's calculate the present value of the first debt, which was due 30 days ago. The number of days from the due date to the focal date is 70 days (40 days from now minus 30 days past due). Using the formula for present value of a single amount, we get:
PV1 = FV1 / (1 + r)^t
PV1 = $1,500 / (1 + 0.07/365)^70
PV1 = $1,446.94
Next, let's calculate the present value of the second debt, which is due in 60 days. The number of days from the due date to the focal date is 20 days (40 days from now minus 60 days until due date). Using the formula for present value of a single amount, we get:
PV2 = FV2 / (1 + r)^t
PV2 = $1,300 / (1 + 0.07/365)^20
PV2 = $1,263.93
Now, we add the present values of the two debts together to get the total present value:
PV = PV1 + PV2
PV = $1,446.94 + $1,263.93
PV = $2,710.87
Finally, we need to find the single payment due 40 days from now that has the same present value as the total present value. Using the formula for present value of an annuity, we get:
PV = PMT x PVIFA(r, t)
$2,710.87 = PMT x PVIFA(0.07/365, 40)
PMT = $2,799.87
Therefore, the single payment due 40 days from now that will pay off both debts is $2,799.87.
Timeline:
-30 days: Debt 1 due for $1,500
-20 days: Debt 2 due for $1,300
+40 days:
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A local Barnes and Noble paid a $79.99 net price for each hardbound atlas. The publisher offered a 20% trade discount. What was the publisher’s list price?
Answer:
i believe it would be 63.99
Explanation:
Based on the information given the publisher’s list price is:$99.99.
Using this formula
List price=Net price/(100%-2=Trade discount)
Where:
Net price=$79.99
Trade discount=20%
Let plug in the formula
List price=$79.99/(100%-20%)
List price =$79.99/80%
List price= $99.99
Inconclusion the publisher’s list price is:$99.99.
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Which is a characteristic of judging approach
Answer:
Clarity and Closure
Explanation
Judgers take a planned, ordered, and precisely calibrated approach to life, developing both short- and long-term plans to assist them in achieving their objectives. For them, schedules and "to-do" lists are consoling. They dislike uncertainty and change, preferring to know what they are getting into instead.
Those that have this preference feel more in control of their surroundings. They are disciplined and resolute, seeking resolution as soon as possible to reduce stress. Judgers struggle with open-ended plans because they have a "work first-play later" mentality. Instead of addressing issues as they arise, they would prefer to devise three distinct backup plans.
Judgers take their obligations and deadlines very seriously, both in business and in life. They are quite particular.
along the aggregate supply curve group of answer choices the horizontal part represents a situation where the economy is operating above full employment levels. the horizontal section of the aggregate supply curve represents the limit of production. inflation would be a primary concern along the horizontal part of the aggregate supply curve. the middle, upward-sloping part of the aggregate supply curve would be associated with a growing economy that experienced increased prices from resources that are becoming relatively scarce.
The correct answer is: (D) The middle, upward-sloping part of the aggregate supply curve would be associated with a growing economy that experienced increased prices from resources that are becoming relatively scarce.
The aggregate supply curve shows the total amount of goods and services that firms are willing to supply at different price levels. The middle, upward-sloping part of the curve represents a situation where the economy is operating below its full employment level, but with an increasing level of output.
As output expands, resources become relatively scarce, which leads to increasing costs and prices. This section of the curve is also known as the "sticky" or "sluggish" region, where it takes time for firms to adjust their prices to changes in the demand for their goods and services.
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Full Question: along the aggregate supply curve group of answer choices
the horizontal part represents a situation where the economy is operating above full employment levels.the horizontal section of the aggregate supply curve represents the limit of production. inflation would be a primary concern along the horizontal part of the aggregate supply curve. the middle, upward-sloping part of the aggregate supply curve would be associated with a growing economy that experienced increased prices from resources that are becoming relatively scarce.Research some examples of organizations that experienced bad publicity and how they dealt with it. Write a paper detailing your findings.
Answer:
did you finish it cuase i got the same one
Explanation:
Admit the error, apologize, and present a solution if you or your company is receiving negative press as a result of anything you did incorrectly. Negative publicity won't disappear if you ignore it.
What do you mean by Negative publicity?When damaging material is revealed, negative PR or publicity can take many different forms in company and can impact everything from sales to your reputation.
Various forms of unfavorable PR for your company could include: negative coverage of your business in the media, online, in publications, or on television.
In particular, we contend that by raising product awareness, unfavorable publicity might boost sales and purchase likelihood.
Negative publicity should therefore affect products differently depending on whether they are recognized or unknown. This viewpoint is supported by three investigations.
Your brand's reputation can be severely damaged in a matter of minutes by false information, negative reviews, and nasty social media remarks. Even worse, rumors spread swiftly and negatively impact the reputation of your company.
Negative publicity can have a significant impact on how potential customers see your brand. When customers publicly disparage a company, product, or service, this is known as bad publicity.
Bad publicity includes posting or publishing negative evaluations on websites, review pages, and social media accounts.
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All of the following are generic strategies except _________.
a. differentiation
b. focused low cost
c. low-cost leadership
d. better quality
All of the following are generic strategies except for better quality.
What exactly are generic tactics?
Porter's generic strategies outline how a business seeks to get a competitive edge within the parameters of its preferred market scope. Three or four generic tactics are available: focused, differentiated, or lower cost.
A business can choose to pursue one of two types of competitive advantage: cutting costs relative to its rivals or distinguishing along customer-valued dimensions in order to charge a higher price. A corporation also decides between two scope options: focused (providing its products to certain market groups) or industry-wide (selling its product across a wide range of market sectors).
The generic strategy represents the selections made with reference to the type and scope of competitive advantage. Michael Porter first explained the idea in 1980.
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Accenture is helping a major retailer migrate to the Cloud. The client has aggressive timelines and is worried that security will be compromised. How can Accenture help the client?
Hello. You forgot to show the answer options. The options are:
• Accenture should advise the client to wait until the next phase to implement security controls.
• Accenture should develop a custom solution and suggest a timeline extension.
• Accenture has developed accelerators that can deploy specific security controls in hours, a task that used to take months.
• Accenture recommends that the additional security controls are not needed since the Cloud is secure by default.
Answer:
Accenture has developed accelerators that can deploy specific security controls in hours, a task that used to take months.
Explanation:
Accenture will promote a good management of the retailer's files that will go to the cloud promoting the security that it needs. However, this is a slow process, which requires very delicate and precise protocols, which can cause the implementation of security systems to take months to be ready. However, as the retailer has very tight deadlines, Accenture can develop accelerators that will streamline this process.
The break-even point in sales dollars may be computed as:
A. total contribution margin divided by the unit contribution margin per unit
B. fixed costs divided by the difference in unit price and unit variable costs
C. the difference between total contribution margin and operating profit divided by the contribution margin ratio
D. fixed costs divided by contribution margin per unit
The break-even point in sales dollars may be computed as: D. Fixed costs divided by contribution margin per unit.
What is Break-even point?The break-even point is where the companies are successful in recovering their Cost. After this point, the additional unit of sales of the product or service gives the company a profit.
Total Revenue = Total Cost
The formula to Calculate the Break-even point is:
Break even point = Fixed cost/ contribution margin per unit
Therefore, correct option is D. Fixed costs divided by contribution margin per unit.
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The charter of a corporation provides for the issuance of 107,000 shares of common stock. Assume that 50,000 shares were originally issued and 11,500 were subsequently reacquired. What is the number of shares outstanding?
Answer:
The number of shares outstanding is 38,500
Explanation:
Issued shares 50,000
Less:treasury stock -11,500
Shares outstanding 38,500