A monopolistically competitive firm may be inefficient in several ways, including charging a price lower than marginal cost, not producing at the minimum of its average cost curve, and producing where marginal revenue is not equal to marginal cost.
Firstly, it tends to charge a price that is lower than the marginal cost of production. This is because in a monopolistically competitive market, firms have some degree of market power, allowing them to set prices above the competitive level but below the monopolistic level. As a result, they may not fully cover their production costs, which could lead to lower profits or even losses.
Secondly, a monopolistically competitive firm may not produce at the minimum of its average cost curve. This is because the firm operates in an environment where it faces a downward-sloping demand curve, which means that it can charge a higher price for its product. However, the firm may not be able to achieve the minimum average cost level due to the presence of excess capacity or inefficiencies in production.
Finally, a monopolistically competitive firm may produce where marginal revenue is equal to marginal cost. This is because, in a monopolistically competitive market, firms are not price takers, and hence, they do not have to produce at the point where marginal cost equals price. Instead, they can set a price that maximizes their profits, which may not necessarily coincide with the point where marginal cost equals price.
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If sales = 100, rate = 0.10, and expenses = 50, which of the following expressions is true?
a. sales >= expenses AND rate < 1
b. sales < 200 OR expenses < 100
c. expenses = rate OR sales = rate
d. two of the above
If sales = 100, rate = 0.10, and expenses = 50, than option a. sales >= expenses AND rate < 1 expressions is true.
A sale is a process that involves exchanging products or services for a specific sum of amount. To rephrase it in another way, a sale would be any procedure that entails giving the consumer possession of a thing in return for payment.
Expenses are simply another word for cost. The operating costs that are incurred to generate business revenues are referred to as expenses in accounting. The total of all the processes that typically generate revenue might alternatively be stated as expenses.
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An Engineer plans to retire on the day he turns 60-year old. To address his retirement, he wants to set aside the same amount of funds each year for the next 10 years - starting next year- so that he will be able to withdraw $77127 per year for 20 years once he retires, with the 1st withdrawal on his 61st birthday. The Engineer is 30 years old today. How much must he set aside each year for his retirement if he can earn 17% on his funds?
The engineer must set aside $22,147.35 each year for his retirement.
In order to be able to withdraw $77127 per year for 20 years once he retires, with the first withdrawal on his 61st birthday, the engineer must set aside $77127 for 20 years.
Since he wants to save the same amount of funds each year for the next 10 years - starting next year- he will be able to withdraw $77127 per year for 20 years once he retires.
Thus, the amount that the Engineer needs to accumulate for his retirement can be calculated using the following formula:
Present Value = (Annual Withdrawal * ((1 - (1 + Rate)^-n)) / Rate)
Here, Annual Withdrawal = $77127,
Rate = 17% and n = 20
Therefore,
Present Value\(= ($77127 * ((1 - (1 + 0.17)^-20)) / 0.17)\)
= $580,803.96
This is the amount that the Engineer needs to accumulate for his retirement. Since he wants to set aside the same amount of funds each year for the next 10 years - starting next year- the payments will form an annuity.
Therefore, the amount he needs to set aside each year for his retirement can be calculated using the following formula:
Payment = Present Value / \(((1 - (1 + Rate)^-n) / Rate)\)
= \(580,803.96 / ((1 - (1 + 0.17)^-10) / 0.17)\)
= $22,147.35
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Without ____, it would be impossible to stay in business.
Group of answer choices
growth
profit
IPO
marketing
strategy
when calculating diluted eps, only securities that should be added to the calculation compared to securities used for the basic eps calculation.
When calculating diluted EPS, only securities that are potentially dilutive should be added to the calculation, as compared to the securities used for the basic EPS calculation.
To calculate diluted EPS, follow these steps: 1. Determine the securities that are potentially dilutive, such as stock options, convertible bonds, or convertible preferred stock. 2. Calculate the impact of each potentially dilutive security on EPS. For example, if there are stock options, calculate the potential number of additional shares that could be issued if all options were exercised. This is done using the treasury stock method. 3. Adjust the numerator of the EPS calculation to include the impact of the potentially dilutive securities. This means adding any additional shares that would be issued if the securities were exercised or converted. 4. Adjust the denominator of the EPS calculation to reflect the additional shares from the potentially dilutive securities. This means adding the potential shares that would be issued if the securities were exercised or converted. 5. Divide the adjusted numerator by the adjusted denominator to calculate the diluted EPS. By including only the potentially dilutive securities in the calculation, the diluted EPS provides a more conservative measure of earnings per share, taking into account the potential impact of these securities on the company's ownership structure.
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8) An advantage of a pure project where self-contained teams work full time on a project is when the following? A. Team members can work on several projects B. Functional area is a "home" after the project is completed C. There are duplicated resources D. Lines of communication are shortened E. Overall organizational policies and goals can be ignored
An advantage of a pure project where self-contained teams work full time on a project is when the following D- Lines of communication are shortened.
What's Pure projectIt is a type of project organization in which a self-contained team works full-time on the project; team members are regularly removed from their functional departments and work under the direction of a project manager.
Here are the advantages of pure project where self-contained teams work full time on a project:
Shortened Lines of Communication:
Team members are removed from their functional departments and work directly with the project manager in a pure project organization. The project manager, therefore, does not need to interact with many functional managers. The project manager can get information about the project and make decisions quickly because of the limited levels of interaction, which means that communication lines are shortened.Hence, option D, Lines of communication are shortened, is the correct choice.
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When you put a check you received in the bank, you have immediate access to the money.
True or False.
Answer:
this is true hope this helps
Explanation:
The following are the trial balance ind the other information related to Perez Consulting Engineers. Perez Consulting Engineers Trial Balance December 31, 2020 Debit Credit Cash $29,500 Accounts Receivable 49,600 Allowance for Doubtful Accounts $750 Supplies 1,960 Prepaid Insurance 1,100 Equipment 25,000 Accumulated Depreciation-Equipment 6,250 Notes Payable 7,200 Common Stock 10,000 Retained Earnings 25,010 Service Revenue Rent Expense 9,750 Salaries and Wages Expense 30,500 Utilities Expenses 1,080 Office Expense 720 $149,210 $149. 210 1. Fees received in advance from clients $6,000, which were recorded as revenue. 2. Services performed for clients that were not recorded by December 31, $4,900. 3. Bad debt expense for the year is $1,430. 4. Insurance expired during the year $480. 5. Equipment is being depreciated at 10% per year. 6. Perez gave the bank a 90-day, 10% note for $7,200 on December 1, 2020. 7. Rent of the building is $750 per month. The rent for 2020 has been paid, as has that for January 2021, and recorded as Rent Expense. 8. Office salaries and wages earned but unpaid December 31, 2020, $2,510. Instructions:A. From the trial balance and other information given, prepare annual adjusting entries as of December 31, 2020. (Omit explanations). B. Prepare an income statement for 2020, a retained earnings statement, and a classified balance sheet. Perez paid a $17,000 cash dividend during the year (recorded in Retained Earnings)
The adjusting entries for Perez Consulting Engineers as of December 31, 2020, are as follows: Total Liabilities and Equity $102,880
1. To recognize unearned revenue:
Debit: Unearned Revenue $6,000
Credit: Service Revenue $6,000
2. To recognize services performed but not recorded:
Debit: Accounts Receivable $4,900
Credit: Service Revenue $4,900
3. To record bad debt expense:
Debit: Bad Debt Expense $1,430
Credit: Allowance for Doubtful Accounts $1,430
4. To recognize expired insurance:
Debit: Insurance Expense $480
Credit: Prepaid Insurance $480
5. To record depreciation expense:
Debit: Depreciation Expense - Equipment $2,500
Credit: Accumulated Depreciation - Equipment $2,500
(Calculation: $25,000 * 10% = $2,500)
6. To record the note payable:
Debit: Notes Payable $7,200
Credit: Cash $7,200
7. To recognize accrued rent expense:
Debit: Rent Expense $750
Credit: Accrued Rent Payable $750
8. To recognize accrued salaries and wages:
Debit: Salaries and Wages Expense $2,510
Credit: Salaries and Wages Payable $2,510
B. Financial Statements:
Income Statement for 2020:
Revenue:
Service Revenue $10,900 ([$6,000 + $4,900] - $1,430)
Expenses:
Rent Expense $9,750
Salaries and Wages Expense $30,500
Utilities Expenses $1,080
Office Expense $720
Depreciation Expense - Equipment $2,500
Insurance Expense $480
Bad Debt Expense $1,430
Total Expenses $46,460
Net Income $10,900 - $46,460 = (-$35,560) (Loss)
Retained Earnings Statement:
Retained Earnings, January 1, 2020 $25,010
Net Loss ($35,560)
Dividends ($17,000)
Retained Earnings, December 31, 2020 ($27,550)
Classified Balance Sheet (December 31, 2020):
Assets:
Cash $29,500
Accounts Receivable $54,500 ($49,600 + $4,900)
Less: Allowance for Doubtful Accounts ($750)
Supplies $1,960
Prepaid Insurance $620 ($1,100 - $480)
Equipment $25,000
Less: Accumulated Depreciation - Equipment ($8,750 [$6,250 + $2,500])
Total Assets $102,880
Liabilities:
Notes Payable $7,200
Accrued Rent Payable $750
Salaries and Wages Payable $2,510
Total Liabilities $10,460
Equity:
Common Stock $10,000
Retained Earnings ($27,550)
Total Equity ($17,550)
Total Liabilities and Equity $102,880
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Match the treatment of unrealized gains and losses on debt investments existing at the time of transfer between investment categories with the correct transfer scenario.
a. AFS or HTM to Trading AFS or HTM to Trading drop zone empty.
b. Trading to AFS or HTM Trading to AFS or HTM drop zone empty.
c. HTM to AFS HTM to AFS drop zone empty.
d. AFS to HTM AFS to HTM drop zone empty.
d. None are recognized because they already have been recognized in income.
why do employers typically hire people they believe to have strong self-management skills?
Employers typically hire individuals they believe have strong self-management skills because these skills are crucial for maintaining productivity, efficiency, and overall success in the workplace.
Employees who can effectively manage their time, prioritize tasks, and stay organized are more likely to meet deadlines, handle multiple responsibilities, and adapt to changing circumstances. Strong self-management skills also demonstrate an individual's ability to work independently, take initiative, and make sound decisions, which can contribute to a positive work environment and reduce the need for constant supervision.Employers value self-management skills because they allow employees to take ownership of their work and deliver results. When individuals can effectively manage their time, they are better equipped to handle workloads, meet targets, and achieve goals. Additionally, strong self-management skills indicate a high level of accountability and responsibility, which can enhance teamwork and collaboration within the organization. Employers often seek candidates who can handle stress and work well under pressure, and effective self-management contributes to this ability. Overall, hiring individuals with strong self-management skills can lead to increased productivity, improved performance, and a more efficient and successful work environment.
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The company predicts that 5 percent of its credit sales will never be collected, 35 percent of its sales will be collected in the month of the sale, and the remaining 60 percent will be collected in the following month. Credit purchases will be paid in the month following the purchase. In March 2019, credit sales were $561,000.
Answer:
April May June
Beginning cash balance 182,000 264,650 434,150
Cash collections from credit sales 577,750 622,700 621,650
Total cash available 759,750 887,350 1,055,800
Purchases -289,000 -302,000 -282,000
Wages, taxes and expenses -137,000 -129,000 -179,000
Interest -15,600 -15,600 -15,600
Equipment purchases -53,500 -6,600 -248,000
Total cash disbursements -495,100 -453,200 -724,600
Ending cash balance $264,650 $434,150 $331,200
Explanation:
cash collections:
March = (60% x $561,000) + (35% x $689,000) = $577,750
April = (60% x $689,000) + (35% x $598,000) = $622,700
May = (60% x $598,000) + (35% x $751,000) = $621,650
You are an oat farmer who decides to sell a
call with a strike price of $4.90 for a premium of
$0.25.
If the futures price ends up at $4.85 (and your cash price is
$4.50), find your net price.
To calculate the net price as an oat farmer who sold a call option, we need to consider the premium received and the difference between the strike price and the futures price.
In this scenario, the strike price of the call option is $4.90, and the premium received is $0.25. The futures price ended up at $4.85, which is lower than the strike price. However, the cash price at $4.50 is even lower than the futures price.Since the futures price is below the strike price, the call option is out of the money and will not be exercised by the buyer. Therefore, as the seller, you get to keep the premium received.The net price, in this case, would be the cash price ($4.50) plus the premium received ($0.25):Therefore, the net price as an oat farmer in this situation would be $4.75.
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A loan of $105,487.80 is to be amortized over a 10-year term at 6% interest compounded monthly with monthly payments and a $20,000 balloon payment at the end of the term. Calculate the monthly payment.
The monthly payment is $
(Do not round until the final answer. Then round to two decimal places as needed.)
Answer:
$1049.09
Explanation:
The present value of the balloon payment is ...
$20,000/(1 +.06/12)^(12·10)) = $10,992.65
So, the effective amount of the loan is ...
$105,487.80 -10,992.65 = $94,495.15
The amortization formula gives the payment as ...
A = P(r/n)/(1 -(1 +r/n)^(-nt)) = $94,495.15(.06/12)/(1 -(1 +.06/12)^(-12·10))
= $94,495.15(.005)/0.450367 = $1049.09
The monthly payment is $1049.09.
the new fund had average daily assets of $2.2 billion last year. the fund sold $400 million worth of stock and purchased $500 million during the year. what was its turnover ratio
The new fund had an average daily asset of $2.2 billion last year. The fund sold $400 million worth of stock and purchased $500 million during the year. The turnover ratio of the fund is 40.9%.
What is the turnover ratio?A fund's turnover ratio is the amount of time it takes to buy and sell assets during the year, as a proportion of the fund's holdings. The fund's turnover ratio is calculated as follows:
\(Turnover Ratio = Total Value of Transactions / Average Daily Assets\)
The average daily assets of a fund are the average of the beginning and ending assets for the year. Given that the average daily asset is $2.2 billion and the fund sold $400 million worth of stock and bought $500 million worth of stock during the year, we can find the total value of transactions.
\(Total value of transactions = $400 million + $500 million = $900 million\)
Now, we can substitute the values in the turnover ratio formula.
\(Turnover Ratio = Total Value of Transactions / Average Daily Assets\\= $900 million / $2.2 billion\\= 0.409 \\or \\= 40.90%\)
Therefore, the turnover ratio of the fund is 40.9%.
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3. In the problem solving process, which step comes after Choose a Solution?
O A. Identify Solutions
O B. Pick a problem
OC. Take Action
O D. Define the Problem
duffjd provides a laundry service for towels and sheets to three hotel chains in a major city, hoyluk. it provides each hotel chain with trade credit.
Duffjd provides laundry services for towels and sheets to three hotel chains in the city of Hoyluk. It offers trade credit to each hotel chain. A trade credit is an agreement between a buyer and seller whereby the seller agrees to allow the buyer to pay for goods or services at a later date.
This is often used as a way of financing businesses, allowing them to obtain the goods or services they need without having to pay for them upfront.Duffjd may offer trade credit as an incentive for hotels to continue to use its services. By providing credit terms, it allows hotels to pay for their laundry services after they have been used, freeing up their cash flow for other expenses.
Trade credit also helps to build trust and loyalty between Duffjd and its customers, as the hotels are more likely to continue using its services if they have a good working relationship. Overall, offering trade credit is a common practice in many industries and can be beneficial for both buyers and sellers.
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can i doit without pay
Answer:
what?
Explanation:
Your customer, divorced with 2 children and age 52, has a portfolio consisting of 80% equities, with the remaining 20% diversified among several other products. Her annual income is $115,000. Which of the following events would most likely be cause to reallocate her investments?A) Equities are rebounding slowly after a 2-year slump.B) She has been notified by her employer that due to corporate downsizing her position is being eliminated.C) The father of her children has established trust funds for each of them in the amount of $50,000 each.D) She will be remarrying a person of considerable wealth next month.
Answer:
B) She has been notified by her employer that due to corporate downsizing her position is being eliminated.
Equities carry a high risk and if her high paying job is at risk, she will probably need to reduce her portfolio's risk.
Explanation:
the other options are wrong because:
A) Equities are rebounding slowly after a 2-year slump. ⇒ if this is true, then she should be happy with her current portfolio since 80% of it are equities.
C) The father of her children has established trust funds for each of them in the amount of $50,000 each. ⇒ if this is true, then she should be happy with her current portfolio since equities carry a higher risk but can also yield much higher returns. She should be OK with the high risk because her children will be covered by the trust fund.
D) She will be remarrying a person of considerable wealth next month. ⇒ if this is true, then she should be happy with her current portfolio since equities carry a higher risk but can also yield much higher returns. She should be OK with the high risk because she will marry a wealthy man, so the risk shouldn't be a a problem.
12.
Multiculturalism can hinder the effectiveness of sharing knowledge, skills, and experience.
A.true
B.false
Multiculturalism can hinder the effectiveness of sharing knowledge, skills, and experience is false.
In plain English, what is multiculturalism?Multiculturalism, the idea that people of other races, ethnicities, and cultures should be given special consideration for their distinctions from those of a dominant political culture.
What are a few illustrations of multiculturalism?Multicultural people—like Chinese Canadians, Turks in Germany, or Arabs in the United States—often think, perceive, act, and react to global workplace difficulties in more complex ways than monocultural people. Some multiracial people use these distinctions to their advantage in the workplace.
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which risks do you think boxes-and-stuff might face?
Answer:
I think the risks boxes and stuffs might face is cracking or being destroyed through delivery time through transportation.
Explanation:
HOPE IT HELPS
Is the value that you calculate in the last question more or less than the total gain for buyers as a group when there is no price ceiling.
In this case, for buyers as a group, the gain with the ceiling is greater than the gain without a ceiling.
A Price Ceiling: What Is It?The imposed maximum price a seller is permitted to charge for a good or service is known as a price ceiling. Price ceilings are often imposed on necessities like food and energy supplies when they become unaffordable for average customers. Price ceilings are typically established by law.
In essence, a price cap is a form of pricing control. Price caps can be useful for making necessities affordable, if only briefly. However, economists debate the long-term value of such ceilings.
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Correct question:
This table repeats the buyer values and seller costs. In a market with no restrictions on prices, the total gain captured by buyers and sellers will be $66, with $33 in gain for sellers and $33 in gain for buyers. (You can calculate these values by figuring out who trades at the equilibrium price and calculating how much gain each of them captures.)
With a price ceiling of $8.50, fewer trades will take place. The total gain for buyers and sellers will be lower, although as you will see, it is uncertain exactly how much lower. These problems show you why the gain is uncertain. They also encourage you to think about the following question: Who wins and who loses when there is a price ceiling? If you were representing the interests of all buyers, would you be in favor of a price ceiling?
Buyers V Seller Seller Cost
1 $16 1 $4
2 $15.50 2 $4.50
3 $15 3 $5
4 $14 4 $6
5 $13.50 5 $6.50
6 $13 6 $7
7 $12.50 7 $7.50
8 $12 8 $8
9 $11 9 $9
10 $10.50 10 $9.50
11 $10 11 $10
12 $9.50 12 $10.50
Is the value that you calculated in the last question more or less than the total gain for buyers as a group when there is no price ceiling?
A. In this case, for buyers as a group, the gain with the ceiling is greater than the gain without a ceiling.
What is the first step in the standard purchasing process practiced by most
companies?
A. Solicit bids
B. Requisition
C. Invoicing
D. Purchase order
Answer:
B. requisition
Explanation:
i have done this before, hope i helped
United Supply has a $20 million liability at December 31, 2021, of which $4 million is payable in each of the next five years. United Supply reports the liability in the balance sheet as a:
mendez company has identified an investment project with the following cash flows. year cash flow 1 $ 780 2 1,050 3 1,310 4 1,425 a. if the discount rate is 8 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. if the discount rate is 17 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c. if the discount rate is 25 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
a. The present value of the cash flows at a discount rate of 8 percent is $3,055.45.
This value is calculated by discounting each cash flow using the formula PV = CF / (1 + r)^n, where PV is the present value, CF is the cash flow, r is the discount rate, and n is the time period. At a discount rate of 17 percent, the present value of the cash flows is $2,408.29. This value is obtained by applying the same discounting formula to each cash flow. With a discount rate of 25 percent, the present value of the cash flows amounts to $2,010.11. Again, the discounting formula is used to calculate the present value of each cash flow. In summary, the present value of cash flows is influenced by the discount rate. A higher discount rate leads to a lower present value, reflecting the higher cost of capital and the increased importance of earlier cash flows in the calculation.
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miller corp. can make three individual deliveries to three different customers at a transportation cost of $600 each or can consolidate them into one shipment with a transportation cost of $1,200 and a stop-off charge of $100 per stop. should miller corp. consolidate the shipments?
Miller Corp. should consolidate the shipments because it can save a total of $300.
What is consolidated shipping?Consolidated shipping is described as the form of a shipment process in which the cargo to be shipped is combined and that cargo is then delivered to each of the buyers or customers. It is an effective process that reduces the cost of the shipment and reduces damage to the cargo.
Given that,
Transportation cost of each cargo = $600
Consolidated cargo costs = $1200
Stop-off charge per stop = $100
Non-consolidated cost = 3 x 600 = $1800
Total charges for cargo consolidation = 3x100 + 1200 = 300 + 1200 = $1500
Hence, the difference between non-consolidated and consolidated cargo = $1800 - $1500 = $300
It can be concluded that Miller Corp. should consolidate the shipments because it can save a total of $300.
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If i make $7,800 a week from my job , how much would my yearly salary would be ?
(A) $205,500
(B) $405,600
(C) $605,700
(D) $805,800
Answer:
You would make $405,600.
Explanation:
There are 52 weeks in a year, and you make 7,800 in a week.
7,800 * 52 = 405,600
Answer:
ummm hold let me do the math it would be b i think
Which situation best illustrates the role of households in the circular flow of
goods?
A. A runner buys a new pair of athletic shoes.
B. A website sells cheap books and magazines.
C. A factory produces screws used to build furniture.
O D. A company designs websites for big businesses.
A runner buys a new pair of athletic shoes best illustrates the role of households in the circular flow of goods. Thus, option A is correct.
What is circular flow of goods?The circular flow is the continuous movement of revenue, expenditure, and the production of products and services in an economy.
It demonstrates the circular redistribution of revenue between the producing unit and households. They include entrepreneurship, labor, capital, and land. Rent is the fee received in exchange for the fixed natural resource( also known as land)contribution. Wage is the comprehension received for the contributions made by human worker. Interest is the compensation received for the capital contribution. Profit is the reward for the contribution produce by the enterprise.
Therefore, we can conclude that option A is correct.
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Agent Armstrong is employed by XYZ Agency, which is under contract with ABC Health Plan, a Medicare Advantage (MA) plan that offers plans in multiple states. XYZ Agency maintains a website marketing the MA plans with which it has contracts. Agent Armstrong follows up with individuals who request more information about ABC MA plans via the website and tries to persuade them to enroll in ABC plans. What statement best describes the marketing and compliance rules that apply to Agent Armstrong?
Answer:
Agent Armstrong needs to be licensed and appointed in every state in which beneficiaries to whom he markets ABC MA plans are located.
Explanation:
In the given scenario XYZ Agency maintains a website marketing the MA plans with which it has contracts. So they are not in one location.
Clients from multiple states can subscribe to their services via website.
Agent Armstrong follows up with individuals who request more information about ABC MA plans via the website and tries to persuade them to enroll in ABC plans.
Since clients enroll in different locations there is a need for Armstrong to be licensed and appointed in every state in which beneficiaries to whom he markets ABC MA plans are located.
This will satisfy the varying compliance rules that each state of operation may have. Thereby providing seamless service delivery to customers of XYZ agency.
what are vital events?
Answer:
efers to the live birth, death, foetal death, marriage, divorce, adoption, legitimation, recognition of parenthood, annulment of marriage, or legal separation.
Explanation:
bay plumbing's balance sheet shows current operating assets of $6,300. its current liabilities consist of $810 of accounts payable, $800 of 8% short-term interest-bearing notes, and $3,200 of accrued wages. attempt 1/20 for 1.5 pts. part 1 what is its net operating working capital?
The net operating working capital of Bay Plumbing can be calculated by subtracting the current liabilities from the current operating assets.
The accounts payable is $810, the short-term interest-bearing notes are $800, and the accrued wages are $3,200. Thus, the total current liabilities of Bay Plumbing are $4,810 ($810 + $800 + $3,200).To determine the net operating working capital, we subtract the total current liabilities from the current operating assets, which is $6,300. Therefore, the net operating working capital of Bay Plumbing is $1,490 ($6,300 - $4,810).
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Why is it important to maintain network relationships, even after you have found a job?
a. You never know when you are going to have to find a new job.
b. You can return the favor by helping network members with career advice and job leads.
You will remain informed and connected to people in your field.
d. All of the above
C.
Please select the best answer from the choices provided
ΟΑ
B
С
OD
Answer:
D (all of the above)
Explanation:
When a person has gotten a job, it is critical to keep network contacts since a person never know when he will need to locate a new career, and he will stay informed and connected to bin his sector.
What is network relationships?Relationship networking is another name for network relationships. It's all about making connections and finding ways for both sides to gain. Like the relationship, networking and partnerships intersect in numerous ways, resulting in economic potential.
Even when a person has gotten a job, it is critical to keep network contacts since you never know when you will need to locate a new career, and he will stay informed and connected to people in the sector.
With the utilization of network ties, an individual might refund the kindness by supplying career counseling and job metals to network members.
Therefore, option D is correct.
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