Time management issues are brought on by project managers who refuse to delegate and have little faith in the team's abilities.
How do you manage your time?People can maximize the impact of their efforts through task coordination by optimizing their time. Helping people perform more effective work in less time is the basic objective of time management.
For whom team create time management problems?project managers that refuse to delegate and have limited faith in the ability of the team create time management problems for themselves.
I am aware that you are searching for : project managers who are unable to delegate and who have little faith in the team's capability to solve time management issues for:
A. Themselves
B. The Team
C. The client,
D. the sponsor
To know more about time management visit link :
https://brainly.com/question/19287112
#SPJ4
What is a description of the prime rate?
Answer: Prime rate is the interest rate that banks charge their preferred customers, or those with the highest credit ratings.
a. Determine the weights of each asset in a portfolio composed of 300 stocks of Company A that sell for $30.25 per share, and 220 stocks of Company B that sell for $28.30 per share.
b. Find the expected return on a portfolio that has $3,250 invested in Stock Z and $8,530 invested in Stock Y, considering that the expected returns of these two assets are 6.25% and 11.45% respectively.
(a) The weights of Company A and Company B in the portfolio are approximately 59.34% and 40.66% respectively. (b) The expected return on the portfolio is approximately 12.20%.
To determine the weights of each asset in the portfolio, we need to calculate the total value of the investments in each company and then divide it by the total value of the portfolio.
Let's calculate the total value of the investments in each company:
Total value of investment in Company A = Number of stocks × Stock price
Total value of investment in Company A = 300 × $30.25 = $9,075
Total value of investment in Company B = Number of stocks × Stock price
Total value of investment in Company B = 220 × $28.30 = $6,226
Now, let's calculate the total value of the portfolio;
Total value of the portfolio = Total value of investment in Company A + Total value of investment in Company B
Total value of the portfolio = $9,075 + $6,226 = $15,301
Finally, let's calculate the weights of each asset:
Weight of Company A = Total value of investment in Company A / Total value of the portfolio
Weight of Company A = $9,075 / $15,301 ≈ 0.5934 (or 59.34%)
Weight of Company B = Total value of investment in Company B / Total value of the portfolio
Weight of Company B = $6,226 / $15,301 ≈ 0.4066 (or 40.66%)
Therefore, the weights of Company A and Company B in the portfolio are approximately 59.34% and 40.66% respectively.
To calculate the expected return on the portfolio, we need to multiply the weight of each asset by its respective expected return and sum the results.
Let's calculate the expected return on the portfolio;
Expected return on the portfolio = (Weight of Stock Z × Expected return of Stock Z) + (Weight of Stock Y × Expected return of Stock Y)
Expected return on the portfolio = ($3,250 / ($3,250 + $8,530) × 6.25%) + ($8,530 / ($3,250 + $8,530) × 11.45%)
Expected return on the portfolio = (0.2765 × 6.25%) + (0.7235 × 11.45%)
Expected return on the portfolio ≈ 3.91% + 8.29%
Expected return on the portfolio ≈ 12.20%
Therefore, the expected return on the portfolio will be 12.20%.
To know more about expected return here
https://brainly.com/question/32133392
#SPJ4
Calculate the range of potential annual returns if you invested 10% in bonds and 90% in stocks. How does this compare with the range of potential annual returns if you invested 10% in stocks and 90% bonds?
Answer:
From the graph, if you invest 10% in bonds and 90% in stocks, the range of potential return is given as +49.8% to -39.0% with a average of 9.9% whereas if investment is made by 10% in stocks and 90% in bonds, then the range of annual returns would become +31.2% to -8.2% with a average of 6%. Therefore, as the investment in stocks increases the average annual returns also increase.
Explanation:
Hope this helps!
According to the Business Intelligence textbook, which of the following is true in regards to the significance of social media for business intelligence initiatives?
Group of answer choices
Technology for gathering data from social media platforms is very complex.
Social media strategies are expensive to incorporate into a data gathering system.
A lot of data can be gathered from social media.
All of the above.
The correct answer is: A lot of data can be gathered from social media. Social media data is any type of data that can be gathered through social media
How can the data from social media can be used?According to the Business Intelligence textbook, social media has become an important source of data for business intelligence initiatives. Social media platforms generate vast amounts of data, including customer feedback, sentiment analysis, and behavioral patterns. This data can be analyzed to gain insights into customer preferences, opinions, and behaviors.
What is the term for gathering data from social media?The practise of acquiring and evaluating data from social networks like is known as social media analytics. Social media monitoring, often known as social listening, is a component of social media analytics.
To know more about Social media visit:-
https://brainly.com/question/6180589
#SPJ1
Difference between Hosted and Indexed Jobs?
Hosted and indexed jobs are both types of job postings used by companies to advertise their open positions to potential candidates. The main difference between the two is where the job posting is located.
A hosted job is a posting that is hosted on the company's own website. This means that when a candidate visits the company's website, they can see the job posting directly on the site. Hosted jobs are typically used by larger companies that have the resources to manage their own career site and want to keep their hiring process within their own branded environment.
Indexed jobs, on the other hand, are postings that are indexed by job search engines and aggregators. This means that the job posting is visible on multiple job search websites and not just the company's own career site. Indexed jobs are usually used by smaller companies that do not have the resources to maintain their own career site and want to reach a larger audience.
In summary, the main difference between hosted and indexed jobs is where the job posting is located. Hosted jobs are located on the company's own website, while indexed jobs are located on multiple job search websites.
For more such questions on companies
https://brainly.com/question/6528766
#SPJ11
under which market conditions is there deadweight loss associated with the profit-maximizing output? check all that apply.
When supply and demand are out of equilibrium, a deadweight loss arises, which impairs the efficiency of the market. When items on the market are either overpriced or undervalued, market inefficiency results.
Deadweight loss is the market inefficiency brought on by over- or underproduction of products and services, which lowers the overall economic surplus. Deadweight losses may be brought on by taxation, monopolies, price floors, and price limits, among other things. By producing the amount where marginal income and marginal cost overlap, a monopolist maximises profit. As a result, society loses weight and there is a transfer of value from the consumer to the monopolist. Consumer surplus is much lower than it would be in a market with perfect competition because monopolistic companies set prices higher than marginal costs. Deadweight is lost as a result, and the economic surplus is reduced overall.
To learn more about Deadweight click the link below:
brainly.com/question/13719669
#SPJ4
The model and concepts used to develop the economics of __ are similar to those used to illustrate the effects of:
Answer:international trade: trade between individuals
Explanation:
I got it right
describe the process of career planning
Answer:
The career planning process involves taking the time to decide what your career goals are and how you'll get there. You might engage in this process on your own or with a guidance or career counselor. You can also start the career planning process at any point in your career.
Explanation:
Answer:
aalu jasto answer dinxa
-. One of the characteristics of the United States economy is competition. Which of the following is an
example of the benefits of competition for U.S. consumers?
a. Competition allows people to utilize the
things they own as they want
b. Competition leads to lower prices, more
variety and higher quality
c. Competition forces people to do whatever
is best for them at a given time
d. Competition means that everyone has to
obey the law equally
Answer:
B
Explanation:
when more companies are around, they are competing with each other to keep customers. to do this they lower prices and have higher quality products so the consumer doesn't switch to a different companies products
True or False?
Social workers work at both the state and national level.
What is the straight time pay for each of the following for a 40 hour week
To buy a product, customers in a market must first
To buy a product, customers must first have the need for the product.
Customers cannot just simply buy anything or everything when it comes to products. People love shopping but money is a very useful and powerful resource and customers understand it well, so they don't want to spend it on useless things.
Firstly, there should be a need or a desire to buy a particular product. After that the customer decides his or her budget or the money he would like to spend on that product. If it crosses his or her budget, then the customer may not able to buy the product.
Lastly, there should be willingness to buy the product. Nowadays, we get impressed by big brands, malls and stores giving us immense discounts for even our daily needs. That is how knowingly or unknowingly, we tend to shop more.
To know more about Customers here
https://brainly.com/question/14530604
#SPJ1
a bond issue with a face amount of $1,100,000 bears interest at the rate of 8%. the current market rate of interest is 9%. these bonds will sell at a price that is:
The overall price of the bonds will be lower if the current market rate of interest is higher.
a bond issue with a face amount of $1,100,000 bears interest at the rate of 8%. the current market rate of interest is 9%. these bonds will sell at a price that is less than $1,100,000.
this is because the current market rate of interest is higher than the interest rate that the bond is paying. as a result, investors would be willing to pay less for the bond than its face value, because they could get a higher interest rate by investing in other bonds.
the amount that the bonds will sell for will be determined by the present value of the interest payments and the principal amount. the present value of the interest payments will be lower if the current market rate of interest is higher. the present value of the principal amount will be the same, regardless of the current market rate of interest. in this case, the current market rate of interest is 9%, which is higher than the interest rate that the bond is paying, so the bonds will sell for less than $1,100,000.
Learn more about bond here:
https://brainly.com/question/31994049
#SPJ11
What should i do when starting a business? (At least one paragraph)
Answer:
Uhm uhm uhm
Explanation:
uhm uhm uhm….
On March 1, 2021, Stratford Lighting issued 10% bonds, dated March 1, with a face amount of $690,000. The bonds sold for $678,000 and mature on February 28, 2041 (20 years). Interest is paid semiannually on August 31 and February 28. Stratford uses the straight-line method and its fiscal year ends December 31.
1. Prepare the journal entry to record the issuance of the bonds by Stratford Lighting on March 1, 2021
2. Prepare the journal entry to record interest on August 31, 2021
3. Prepare the journal entry to accrue interest on December 31, 2021.
4. Prepare the journal entry to record interest on February 28, 2022
Answer:
1. March 1, 2021
Dr Cash $678,000
Dr Discount on bonds payable $12,000
Cr Bonds payable $690,000
2. August 31, 2021
Dr Bond interest expense $34,800
Cr Discount on bonds payable $ 300
Cr Cash $34,500
3. December 31, 2021
Dr Bond interest expense $23,200
Cr Discount on bonds payable $200
Cr Bond interest payable $23,000
4. February 28, 2022
Dr Bond interest payable $23,000
Dr Bond interest expense $11,600
Cr Discount on bonds payable $100
Cr Cash $34,500
Explanation:
1. Preparation of the journal entry to record the issuance of the bonds by Stratford Lighting on March 1, 2021
Dr Cash $678,000
Dr Discount on bonds payable $12,000
($690,000-$678,000)
Cr Bonds payable $690,000
(Being to record issuance of the bonds is recorded)
2. Preparation of the journal entry to record interest on August 31, 2021
Dr Bond interest expense $34,800
Cr Discount on bonds payable $ 300 ($12,000/20*6/12 )
Cr Cash $34,500
($690,000 × 10% × 6/12)
(Being to record interest )
3. Preparation of the journal entry to accrue interest on December 31, 2021.
Dr Bond interest expense $23,200
($23,000+$200)
Cr Discount on bonds payable $200
($12,000/20 × 4 /12)
Cr Bond interest payable $23,000
($690,000* 10%× 4/12)
(Being to record accrue interest is recorded)
4. Preparation of the journal entry to record interest on February 28, 2022
Dr Bond interest payable $23,000
($690,000* 10%× 4/12)
Dr Bond interest expense $11,600
[($34,500+$100)-$23,000]
Cr Discount on bonds payable $100
($12,000/20*2/12)
Cr Cash $34,500
($690,000 × 10% × 6/12)
(Being to record interest is recorded)
Bill plans to deposit $200 into a bank account at the end of every month. The bank account has a nominal interest rate of 8 percent and interest is compounded monthly. How much will Bill have in the account at the end of 2½ years (30 months)?
The amount that should have in the account at the closing of 30 months is $6,617.77.
Given that,
The rate of interest = 8% ÷ 12 = 0.6666%The nper is = 2.5 × 12 = 30The monthly payment or pmt is $200The present value be $0Now the following formula should be used:
=-FV(RATE,NPER,PMT,PV,TYPE)
After applying the above formula, the future value is $6,617.77.
Therefore we can conclude that The amount that should have in the account at the closing of 30 months is $6,617.77.
Learn more about the future value here: brainly.com/question/8286272
If your answer is zero, enter "O". a. Under a 2017 divorce agreement, Joan is required to pay her ex-husband, Bill, $2,340 a month until their daughter is 18 years of age. At that time, the required payments are reduced to $1,638 per month 1. How much of each $2,340 payment may be deducted as alimony by Joan? 2. How much of each $2,340 payment must be included in Bill's taxable income? 3. How much would be deductible/included if the divorce agreement were dated 2019? b. Under the terms of a property settlement executed during 2018, Jane transferred property worth $577,350 to her ex-husband, Tom. The property has a tax basis to Jane of $461,880 1. How much taxable gain must be recognized by Jane at the time of the transfer? 2. What is the amount of Tom's tax basis in the property he received from Jane?
Answer:
$2,400 in 2019 are deductible as alimony.
Step-by-step explanation:
Hillary get divorced in the year = 2016
She has to pay her ex-spouse $200 per month until her son reaches 18 years of age in 7 years.
His son will reach of the age of 18 = 2016 + 7 = 2023
She has to pay $200 till 2023 and $120 thereafter.
Her payments are deductible as alimony in 2019 would be = $200 × 12
= $2,400
$2,400 in 2019 are deductible as alimony.
$2,400 in 2019 are deductible as alimony.
Hillary get divorced in the year = 2016
She has to pay her ex-spouse $200 per month until her son reaches 18 years of age in 7 years.
His son will reach of the age of 18 = 2016 + 7 = 2023
She has to pay $200 till 2023 and $120 thereafter.
Her payments are deductible as alimony in 2019 would be = $200 × 12 = $2,400
What is an alimony?Alimony is a legal obligation on a person to provide financial support to their spouse before or after marital separation or divorce. The obligation arises from the divorce law or family law of each country. The purpose of alimony is to limit any unfair economic effects of a divorce by providing a continuing income to a non-wage-earning or lower-wage-earning spouse.
To learn more about Alimony,refer here :
https://brainly.com/question/4409875
#SPJ2
Explain the following quote "The rich rule over the poor, and the borrower is slave to the lender."
Answer:
When Dave was confronted with this Scripture, he had to really consider who was right his broke finance professor, who taught that debt is a tool, or God, who never has anything good to say about debt.
Explanation:
Answer:
When people get into debt, they start living their life just to pay off the debt. This means that all they are doing is working for their lender. The rich often rule over the poor becuase they have more influence and are therefore able to make decisions for the rest of the world population
Suppose that price level has risen in the past year, but production of goods and services has remained constant. Nominal GDP has ______, and real GDP has ______.
A) increased; not changed
B )increased; increased
C )decreased; increased
D) decreased; decreased
Answer:
increased; not changed
Explanation:
The Nominal GDP changes with inflation while the Real GDP does not.
The essence of time management is to
Answer:
The Essence of Good Time Management is Organizing Yourself
Time management boils down to a mindset of focusing on your priorities, goals, and objectives for a specific time period it can be a week, a day, or even an hour. Time management is a set of skills that are learned over time.
Analytics is not always the best approach to make a decision or solve a problem. Please review the examples that describe when analytics are not practical. Do your best to come up with a real world example for each of those five categories.
While analytics is a useful tool for making decisions and solving problems, it is not always the best approach in every situation. There are various situations when analytics are not practical. Here are a few examples:
1. Ethics and Privacy: There are times when data may be available, but using analytics would not be ethical or respectful of people's privacy. This could include instances where data collection would be invasive or would harm individuals or groups. For example, using personal data from social media platforms to predict behavior or preferences could be viewed as a breach of privacy.
2. The quality of data: Sometimes, data is not of high quality. Data that is incomplete or inaccurate can lead to erroneous conclusions and unsuitable decisions. This could include data that is outdated, inconsistent, or biased. For instance, using data that is not specific to a target market when analyzing consumer behavior could lead to incorrect conclusions.
3. Time Constraints: In some cases, decision-makers have to make a quick decision with a limited amount of time. In this instance, analytics might not be practical as it may not be feasible to gather enough data or develop suitable models in the given timeframe. For example, making a quick decision about evacuating an area during a hurricane would not allow time for extensive analytics.
4. Cost: The cost of acquiring and analyzing data might be prohibitively expensive in some situations. In this case, the cost of the analytics may outweigh the benefits gained from the decision-making process. For instance, if a small business wants to decide whether or not to introduce a new product line but cannot afford the market research to support the decision, analytics may not be practical.
5. Subjectivity: In some instances, decisions may need to be made based on intuition, experience, and human judgment. In these instances, analytics might not be practical because of the subjective nature of the problem.
For example, when selecting a new employee for a specific job, even though data analytics can provide insights on their qualifications, past performance, and other metrics, an employer may want to make the final decision based on their intuition and past experiences.
to know more about decision-making process, visit
https://brainly.com/question/13727684
#SPJ11
Calculate the simple interest on a loan of $9000 at an interest rate of 8% for 6 years?
Answer:
$4,320
Explanation:
Covert 8% to a decimal, in this case is 0.08. Then multiply all three values together.
9000 * 0.08 * 6 = 4320
Required solution :
Here we have been provided with the principal, rate of interest and the time period for which the loan was taken.
Principal = $9000Rate = 8% Time = 6 yearsNow, we know that simple Interest is calculated by the formula :
\(\boxed{\sf{S.I. \: = \: \frac{P \times R \times T }{100} }} \: \red\bigstar\)Here in this formula,
S.I. is simple Interest R is rate of interest T is Time P is PrincipalPutting all the values in the formula,
\(: \: \implies \: \sf{S.I. \: = \: \dfrac{9000 \times 8 \times 6 }{100} }\)
\(: \: \implies \: \sf{S.I. \: = \: \dfrac{900 \times 8 \times 6 }{10} }\)
\(: \: \implies \: \sf{S.I. \: = \: \dfrac{90 \times 8 \times 6 }{1} }\)
\(: \: \implies \: \sf{S.I. \: = \: 90 \: \times \: 8 \: \times 6 } \)
\(: \: \implies \: \sf{S.I. \: = \: 90 \: \times \: 48 } \)
\(: \: \implies \: \underline{\underline \red{\sf{S.I. \: = \: 4320}}}\)
\(\underline{ \bf{Henceforth, \: simple \: interest \: on \: that \: loan \: is \: 4320 \: dollars}}\)
The pipe located underneath Jiro’s kitchen sink was leaking and he did not know how to fix it. He called a plumber who agreed to come fix the leaking pipe in exchange for $125 plus the cost of any parts. The plumber went to Jiro’s home, removed the old pipe that was leaking, and replaced it with a new pipe that the plumber brought with her. When the plumber was finished, she told Jiro that the total cost was $140 and Jiro promptly paid her. Was this a voluntary exchange? Why or why not?
A
Yes, because both parties willingly entered the exchange and benefited from it.
B
Yes, because one party exchanged money with another party for a good or service.
C
No, because Jiro was not aware of the final cost before he agreed to the exchange.
D
No, because the plumber’s service was not equal in value to the money paid by Jiro.
Answer:
A
Explanation:
It’s not b
The given statement clearly states that it was a voluntary exchange because both parties willingly entered the exchange and benefited from it. Hence, Option A is correct.
What is a voluntary exchange?
Buyers and sellers engaging in market exchanges voluntarily and freely is known as voluntary exchange. A basic tenet of both classical and neoclassical economics, which serve as the foundation for modern mainstream economics, is voluntary exchange.
A transaction when two persons freely exchange products or services is referred to as a voluntary exchange. This happens in a market economy, a form of economy where both parties to an interaction benefit from it and come out ahead than they did before.
Given that both parties entered the voluntary exchange and benefited from it, it is apparent that the transaction was voluntary.
Therefore, Option A is correct.
Learn more about voluntary exchange from here:
https://brainly.com/question/18108423
#SPJ6
If costs $3. 45 to buy 3/ 4 lb of chopped walnuts. How much would it cost to purchase 7. 5 lbs of walnuts?.
7.5 lb of walnuts will cost $34.50
The first step is to calculate the price of 1 lbs of walnut
$3.45= 3/4 lb
x= 1 lb
cross multiply
3.45 × 1= 3/4x
3.45= 0.75x
x= 3.45/0.75
x= 4.6
Therefore it will take $4.6 to make 1 lb
The next step is to calculate the cost of 7.5 lbs of walnuts
4.6= 1
x= 7.5
Cross multiply
x= 4.6 × 7.5
= $34.5
Hence 7.5 lb of walnuts will cost $34.50
Please see the link below for more information
https://brainly.com/question/11925068?referrer=searchResults
One of your very best clients introduces you to his son and then, one week later, is injured in an accident and is totally paralyzed and unable to speak. The son calls you and enters an order for his father's account that is entirely consistent with your client's trading habits. As an agent, you would A) visit your client in the hospital and ask him to squeeze your hand if he wishes to go ahead with the trade B) follow the son's instructions C) refuse the trade without a signed power of attorney D) act in accordance with the client's last will and testament
Find solutions for your homework
Find solutions for your homework
businessaccountingaccounting questions and answersuse the following informatlon to prepare the september cash budget for pto company. ignore the "loan activity" section of the budget a. beginning cash balance, september 1,$50,000. b. budgeted cash recelpts from september sales, $263,000. c. direct materials are purchased on credit. purchase amounts are august (actual), $73,000; and september (budgeted),
Question: Use The Following Informatlon To Prepare The September Cash Budget For PTO Company. Ignore The "Loan Activity" Section Of The Budget A. Beginning Cash Balance, September 1,$50,000. B. Budgeted Cash Recelpts From September Sales, $263,000. C. Direct Materials Are Purchased On Credit. Purchase Amounts Are August (Actual), $73,000; And September (Budgeted),
student submitted image, transcription available below
Show transcribed image text
Expert Answer
100%
1st step
All steps
Final answer
Step 1/1
PTO company
View the full answer
answer image blur
Final answer
Transcribed image text:
Use the following informatlon to prepare the September cash budget for PTO Company. Ignore the "Loan activity" section of the budget a. Beginning cash balance, September 1,$50,000. b. Budgeted cash recelpts from September sales, $263,000. c. Direct materials are purchased on credit. Purchase amounts are August (actual), $73,000; and September (budgeted), $109,000. Payments for direct materials follow: 65% in the month of purchase and 35% In the first month after purchase. d. Budgeted cash payments for direct labor in September, $38,000 e. Budgeted depreclation expense for September, $3,300. f. Budgeted cash payment for dividends in September, $57,000. 9. Budgeted cash payment for income takes in September, \$10,700. h. Budgeted cash payment for loan interest in September, $1,800.
he budgeted cash payment for loan interest in September is $1,800.
Using this information, we can calculate the September cash budget for PTO Company by considering the cash inflows (cash receipts) and cash outflows (cash payments).
Subtracting the total cash outflows from the total cash inflows will give us the ending cash balance for September.
a. Beginning cash balance on September 1 is $50,000.
b. Budgeted cash receipts from September sales are $263,000.
c. Direct materials are purchased on credit. The purchase amount for August (actual) is $73,000, and for September (budgeted) is $109,000. Payments for direct materials are made as follows: 65% in the month of purchase and 35% in the first month after purchase.
d. The budgeted cash payments for direct labor in September are $38,000.
e. The budgeted depreciation expense for September is $3,300.
f. The budgeted cash payment for dividends in September is $57,000.
g. The budgeted cash payment for income taxes in September is $10,700.
h. The budgeted cash payment for loan interest in September is $1,800.
To know more about payment, visit:
https://brainly.com/question/29475683
#SPJ11
To prepare the September cash budget for PTO Company consider the cash inflows and outflows for each category to determine the ending cash balance for September.
Let's break it down step by step:
1. Beginning Cash Balance: On September 1, the company has a cash balance of $50,000.
2. Budgeted Cash Receipts from September Sales: The company expects to receive $263,000 from sales during September.
3. Direct Materials: The company purchases direct materials on credit. In August (actual), they spent $73,000, and in September (budgeted), they plan to spend $109,000. Payments for direct materials follow the following schedule: 65% in the month of purchase and 35% in the first month after purchase.
4. Budgeted Cash Payments for Direct Labor: In September, the company plans to pay $38,000 for direct labor.
5. Budgeted Depreciation Expense: The company expects depreciation expense to be $3,300 in September.
6. Budgeted Cash Payment for Dividends: The company plans to pay $57,000 for dividends in September.
7. Budgeted Cash Payment for Income Taxes: The company expects to pay $10,700 for income taxes in September.
8. Budgeted Cash Payment for Loan Interest: The company plans to pay $1,800 for loan interest in September.
By taking into account all these factors, you can prepare
Learn more about cash budget from the given link:
https://brainly.com/question/31541270
#SPJ11
many observers consider the ______ to be the beginning of the feminist movement.
Many observers consider the Seneca Falls Convention to be the beginning of the feminist movement.
The Seneca Falls Convention was a historic event held in Seneca Falls, New York, in 1848. It was the first women's rights convention in the United States and is often seen as a crucial milestone in the development of the feminist movement. The convention was organized by prominent women's rights activists, including Elizabeth Cady Stanton and Lucretia Mott.
At the Seneca Falls Convention, attendees discussed and adopted the Declaration of Sentiments, which was modeled after the Declaration of Independence and called for women's rights and suffrage. The convention focused on issues such as women's right to vote, access to education, property rights, and gender equality in various aspects of life.
The Seneca Falls Convention and the Declaration of Sentiments marked a significant shift in public discourse and activism around women's rights. It laid the foundation for future advocacy efforts and became a catalyst for the women's suffrage movement that followed. Therefore, it is widely recognized as a pivotal moment in the history of the feminist movement in the United States.
Learn more about feminist movement at: https://brainly.com/question/2555785
#SPJ11
influences of Business environment,
Factors that Influence the business environment are :
Economic environmentSocial environmentTechnological environmentPolitical environmentLegal environment
The business environment means the total of all the individuals, and institutions that could affect the working of the business firm.
Importance of business environment:
Business environments help the firm to prepare itself for every possible obstruction or hindrance that can affect the functioning of the firm.It also helps the firm to adjust to frequent changes.The economic environment is all the things that create an economic impact on the firm.
The social environment is all the traditions and customs of the society that creates an impact on the firm.
The technological environment is all the impact on the firm caused due to new technology and upgradations.
The political environment is the conditions and behavior that the elected representatives hold toward the business
The legal environment is entirely based on the rules and legislation of the authorities.
For more about Business Environment refer to the link : https://brainly.com/question/26589766
explain briefly how a higher carrying cost can result in a decrease in inventory
A higher carrying cost can lead to a decrease in inventory. When the carrying cost of holding inventory increases, it becomes less profitable for businesses to maintain high levels of inventory.
Carrying cost refers to the expenses associated with holding and storing inventory over a specific period. It includes costs such as warehousing, insurance, obsolescence, the opportunity cost of capital, and potential spoilage or damage. When the carrying cost rises, businesses face increased expenses for keeping inventory in stock.
To optimize profitability, businesses may respond to higher carrying costs by reducing their inventory levels. By decreasing the quantity of inventory they hold, they can minimize holding expenses. This approach helps prevent potential losses due to inventory obsolescence, deterioration, or storage-related costs.
Reducing inventory levels can also improve cash flow by freeing up capital that would otherwise be tied up in inventory. However, it's important for businesses to strike a balance and ensure they maintain adequate inventory levels to meet customer demand and avoid stockouts that could harm sales and customer satisfaction.
Learn more about inventory here:
https://brainly.com/question/31146932
#SPJ11
Julie Martin bought stock for $3,000, using $2,000 of her own money and $1,000 borrowed from the broker. One month later, the stock is sold for $3,850. Interest owed to the broker is $15; brokerage commissions to buy and sell the stock totaled $150.
What is the rates of return?
Answer:
His return is 22.83%
Hope it helps
Answer:
21.64%
Explanation:
First you would want to take the total cost of buying the stock and add it up.
1000+2000+15+150=3165
After this you would take the price at which it was sold ($3850) and subtract 3165 from it.
3850-3165=685
$685 is the total profit.
Finally you would take the total profit and divide it by the total cost.
685/3165=0.2164297
This gives you the final Rates of Return of 21.64%