the sale of licensed merchandise, items that display an event's name or logo, is beneficial for the event promoter for what type of event?

Answers

Answer 1

The sale of licensed merchandise, items that display an event's name or logo, is beneficial for the event promoter for whatever type of event Large, televised, multi-day events.

An event promoter is someone who organizes and promotes live events. They may be involved in all stages of the event, from pre-planning to post-event follow-up. Event promoters are often responsible for finding venues to host events, negotiating contracts, funding, and managing publicity, marketing, and promotions. They may also be involved in selecting performers, booking talent, and creating event-specific marketing materials.

In addition to planning and promoting events, event promoters must be knowledgeable in the areas of hospitality, customer service, public relations, and budgeting. Event promoters must also possess excellent communication and organizational skills in order to effectively communicate with all stakeholders, manage resources, and coordinate event logistics.

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Related Questions

ABC Co. purchased merchandise on August 5 at a $1,000 invoice price with terms of 2/10, n/30 and paid for the merchandise on August 14. Determine its entry to record this purchase and the subsequent payment under both the gross method and the net method by matching the action on the left with the method on the right.

Answers

Answer:

Credit Cash for $980 on August 14: Both methods

Debit Merchandise lnventoty for $980 on August 5: Net method

Credit Merchandise Inventory for $20 on August 14: Gross method

Debit Discounts Lost for $20 on August 14: Neither method

Explanation:

Based on the information given the entry to record this purchase and the subsequent payment under BOTH THE GROSS METHOD and THE NET METHOD by matching the action on the left with the method on the right will be :

Credit Cash for $980 on August 14: BOTH METHODS

(100%-2%*$1,000)

Debit Merchandise lnventoty for $980 on August 5: NET METHOD

(100%-2%*$1,000)

Credit Merchandise Inventory for $20 on August 14: GROSS METHOD

(2%*$1,000)

Debit Discounts Lost for $20 on August 14: NEITHER METHOD

(2%*$1,000)

The "E" in ALERT stands for Employees and reminds you to (Choose all answers that apply)

A. Know who (which employees) are in your facility.
B. Limit employees access to prep & storage areas.
C. Conduct background checks and verify credentials.
D. Test employees knowledge of allergens.

Answers

the answer is A i believe

Risk is inherent to every project. Some risks are more likely to occur than others, and some will have a greater impact to the project if realized. Although you cannot account for every risk, a thorough risk analysis and assessment can help minimize the liabilities of the project and ensure that your projects are successful.

Refer to Case 7.1, 7.2, 7.3, and 7.4 of your text. Each of these cases presents you with a project scope statement for a fictional project. You are to pick 1 of these cases on which to perform a risk analysis. After picking a case of your choice, you should address the following:

Summarize the project.
Discuss how the risk management process will be applied.
Identify potential risks associated with this project (you must come up with at least 5 different risks).
Use a risk assessment form to analyze identified risks.
Develop a risk response matrix to outline how you would deal with each of the risks.

Answers

Risk management is a crucial process in project management that helps identify, analyze, and respond to potential risks that may impact the success of a project.

The goal is to minimize liabilities and ensure project success. To apply the risk management process, you would typically follow these steps: 1. Project Summary: Start by summarizing the project. This includes understanding the project scope, objectives, stakeholders, and timeline. 2. Risk Identification: Identify potential risks associated with the project.  When performing a risk analysis, it's important to consider different categories of risks such as technical, financial, organizational, or environmental risks.

Here are some examples of potential risks: 1. Technical Risk: Potential issues with technology or tools used in the project that could impact its progress or quality. 2. Financial Risk: Unexpected cost overruns or budget constraints that may affect the project's financial viability. 3. Organizational Risk: Changes in project stakeholders, team dynamics, or communication issues that could impact project execution.

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The point at which supply equals demand is called

Answers

Equilibrium






………..,.,,.,……..,.,.,,

Answer:

equilibrium

Explanation:

Fill in the gaps using second conditional. /2
If she (know) __________ the answer, she would win the prize.
If I (be) ___________ a rich man, I would buy a Mercedes Benz.
They would stay longer, if they (has) _________ more time.
If I (understand) __________ what the teacher said, I could tell you.​
plz tell hurry

Answers

Answer:

knew

were

had

understood

You are considering a 5/1 ARM. What does the 1 represent?
A. The number of years between adjustments in the interest rate
B. The interest rate of the initial fixed-rate loan period
C. The total number of years in the loan D. The number of years that a fixed interest rate will be applied to th loan​

Answers

Answer: i would say b

Explanation:

A power point can only strengthen your presentation.
True or False

Answers

Answer:

True

Explanation:

because it gives mor information

True because making a PowerPoint presentation makes you look more professional when talking about a topic

HELP PLEASE ILL GIVE CROWN!!!!
the percentage you will need to pay in interest on a loan will NOT depend on what factor?
A. your history of paying back loans in the past.
B. your volunteer activities and proof that you are a good person.
C. your overall credit score.
D. the financial choices you have previously made.

Answers

Answer:

B

Explanation:

This has nothing to do with your financial history, while every other option does.

What is the effective annual rate of interest if ​$1300.00 grows
to ​$1600.00 in three years compounded quarterly​?

Answers

The effective annual rate of interest is approximately 1.6677%.

to calculate the effective annual rate of interest, we can use the formula:

effective annual rate (ear) = (1 + (nominal interest rate / number of compounding periods))^number of compounding periods - 1

in this case, the nominal interest rate is not given directly, but we can solve for it using the formula for compound interest:

future value = present value * (1 + nominal interest rate / number of compounding periods)

$1600 = $1300 * (1 + nominal interest rate / 4)⁽⁴ * ³⁾

dividing both sides by $1300 and taking the fourth root:

(1600 / 1300)⁽¹  ¹²⁾ = 1 + nominal interest rate / 4

1.017⁰.²⁵ = 1 + nominal interest rate / 4

1.004119 = 1 + nominal interest rate / 4

nominal interest rate / 4 = 1.004119 - 1

nominal interest rate / 4 = 0.004119

nominal interest rate = 4 * 0.004119

nominal interest rate = 0.016476

now we can calculate the effective annual rate:

ear = (1 + 0.016476 / 4)⁴ - 1

ear = (1.004119)⁴ - 1

ear = 1.016677 - 1

ear = 0.016677 or 1.6677%

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Discuss the usage of the Chain of Responsibility design pattern
for the above purpose, comparing it with other ways this could have
been achieved, and mentioning the strengths and weaknesses of using

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The Chain of Responsibility design pattern is a behavioral pattern that allows an object to pass a request along a chain of potential handlers until one of them handles the request.

Each handler in the chain has the ability to either handle the request or pass it to the next handler in line. This pattern promotes loose coupling between the sender of a request and its receivers, providing flexibility in adding or modifying handlers without affecting the client code.

The primary purpose of the Chain of Responsibility pattern is to decouple the sender and receiver of a request and provide a way to handle the request dynamically at runtime.

It is commonly used in scenarios where there are multiple objects that can handle a request, but the specific object is not known beforehand or may change dynamically. It allows for the request to traverse the chain until a suitable handler is found or until the end of the chain is reached.

1) Flexibility and extensibility:

The pattern allows for easy addition or removal of handlers without modifying the client code. New handlers can be added to the chain or existing handlers can be reordered, providing flexibility to change the behavior dynamically.

2) Loose coupling:

The sender of the request is decoupled from the specific handlers, as it only needs to know about the first handler in the chain. This promotes code maintainability and reusability by reducing dependencies.

3) Single responsibility principle:

Each handler in the chain has a single responsibility to handle a specific type of request. This promotes a clean and modular design, as each handler focuses on a specific task.

However, there are some potential weaknesses and considerations when using the Chain of Responsibility pattern:

1) Inefficiency:

If the chain is long and the request needs to traverse through the entire chain before being handled, it can introduce some performance overhead. Care should be taken to optimize the chain and avoid unnecessary traversal.

2) Request ambiguity:

If multiple handlers in the chain are capable of handling the same type of request, it may lead to ambiguity or conflicts. Proper design and ordering of the handlers are required to ensure that each request is handled by the intended handler.

3) Dependency on client to initiate the chain:

The client code needs to be aware of the first handler in the chain and initiate the request. This can introduce tight coupling between the client and the chain, limiting the flexibility to change the chain structure.

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Delectable, Inc.'s unadjusted trial balance includes Accounts Receivable of $10,000; Allowance for Doubtful Accounts of $50 credit balance; and Sales Revenue of $100,000 (all on credit). Management estimates that 2% of credit sales will be uncollectible. Delectable's financial statements will show ______. (Check all that apply.)

Answers

Delectable's financial statements will show Allowance for Doubtful Accounts of $1,000 on balance sheet and Bad debts expense of $950 on Income statement

Here, we are to determine the records of bad debts expenses on Income statement and Allowance for doubtful accounts on Balance sheet.

Bad debts expense = Estimated bad debts - credit balance in allowance account

Bad debts expense = $1,000 - $50

Bad debts expense = $950

                            Journal Entry

General journal                                  Debit   Credit

Bad debts expense                            $950

Allowance for Doubtful accounts                   $950

(Bad debts expense recorded)

The allowance for doubtful account will be $1,000. ($950+$10) because the Allowance for Doubtful Accounts had $50 credit balance.

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Why would domino’s and little caesar segment the market for pizza?.

Answers

You made me want to eat pizza lol but I think they would work together and form the best pizza

Answer:

Because customers' requirements aren't always the same, To be able to focus on a certain portion.

Explanation:

Hope this helps you!!!!! :D

what is meant by the term quality control as it relates to a cpa firm?

Answers

The term quality control refers to the processes and procedures implemented by a CPA firm to ensure that its services meet the required standards and expectations.

Quality control measures are designed to ensure that the firm's work is accurate, reliable, and complies with the relevant accounting and auditing standards. CPA firms typically have strict quality control systems in place to minimize the risk of errors or omissions in their work, and to maintain the integrity of their services. These systems may include policies and procedures for reviewing and approving work, training and development programs for staff, and ongoing monitoring and evaluation of performance. Ultimately, quality control is a key component of maintaining the reputation and credibility of a CPA firm.

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dallas buys strawberries, and he would be willing to pay more than he now pays. suppose that dallas has a change in his tastes such that he values strawberries more than before. if the market price is the same as before, then:

Answers

Answer:

the correct answer is b. Dallas's consumer surplus would increase

Explanation:

Dallas buys strawberries, and he would be willing to pay more than he now pays. He has a change in his tastes such that he values strawberries more than before. If the market price is the same as before, then Dallas's consumer surplus would increase.

1. The Industrial Revolution began primarily because of.

A) Larger numbers of people unable to find work
B) The growth of corporations in the U.S.
C) The invitation of machines allowing the faster processing of raw materials.
D) Managers using practices to improve productivity of employees.

2. The first effort to apply scientific study to the management of businesses was?

A) Behavioral management
B) Classical management
C) Quality management
D) administrative management​

Answers

The Industrial Revolution began primarily because of the invitation of machines allowing the faster processing of raw materials. The Option C is correct.

What led to Industrial Revolution in Europe?

The Industrial Revolution transformed the economy from an agrarian to a manufacturing economy in which products were no longer made solely by hand but also by machines. This resulted in increased output and efficiency, lower prices, more goods, higher wages, and a shift from rural to urban areas.

The first Industrial Revolution began in Great Britain in the mid-to-late 1700s, when innovation led to large-scale production of goods through machine manufacturing. This spread around the world, and the Second Industrial Revolution began in the late 1800s in the United States, with further technological advancements leading to greater efficiency.

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The strategic target of a best-cost provider is:____________
a) extremely price-conscious buyers in a lower market range.
b) value-conscious buyers in a high-end market range.
c) value-conscious buyers in a middle-market range.
d) value-conscious buyers in a lower market range.
e) a narrow market niche where buyers' needs and preferences are distinctively different.

Answers

It should be noted that the strategic target of a best-cost provider is c) value-conscious buyers in a middle-market range.

What is best-cost strategy all about?

A best-cost strategy  can be regarded as one where there is an offering of customers a better value for money and this done by pay attention on low cost and upscale difference.

The purpose of  best-cost strategy is to keep costs and prices lower.

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What Is NOT one of the three primary resources that farnilies have to reach financlal goals?

A.Education
B.Energy
C.Time
D.Money

Answers

Answer:

I think it would be education

Explanation:

Answer: A. Education

Explanation:

Ned Douglas owns Ned’s Blankets. Ned asks you to explain how he should treat the following reconciling items when reconciling the company’s bank account.Outstanding checks.select an explanationDeduct from balance per bank2.A deposit in transit.select an explanationAdd to balance per bank3.The bank charged to our account a check written by another company.select an explanationAdd to balance per bank4.A debit memorandum for a bank service charge.

Answers

In accounting, the purpose of reconciliation is to compare two sets of records for correction and make sure they are in agreement.

Here, Ned have some items which needed to be reconciled with the company’s bank account.

For "the Outstanding checks", he should deduct the amount from balance per bank For "a deposit in transit", he should add to balance per bankFor "the bank charged to our account a check written by another company", he should add to balance per bank and notify the bank of its error. For "a debit memorandum for bank service charge", he should deduct from balance per books.

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What is the firm's dividend payment in the current year? What is the firm's cash flow from operations?Prior Year Current Year Category Accounts payable 3,126.00 5,923.00 Accounts receivable 6,839.00 8,939.00 Accruals 5,639.00 6,056.00 Additional paid in capital 20,400.00 13,994.00 Cash ??? ??? Common Stock 2,850 2,850 22,504.00 18,176.00 COGS Current portion long-term debt Depreciation expense 500 500 1,002.00 985.00 Interest expense 1,256.00 1,128.00 Inventories 3,040.00 6,703.00 Long-term debt 16,580.00 22,318.00 Net fixed assets 75,221.00 73,943.00 Notes payable 4,004.00 6,564.00 Operating expenses (excl. depr.) 19,950 20,000 Retained earnings 35,592.00 34,757.00 Sales 46,360 45,713.00 Taxes 350 920

Answers

Table of Cash Flow from Operations is attached below.

What is Cash Flow from Operations?

The cash inflows and outflows that are directly related to a company's core business operations are referred to as its cash flow from operations. It symbolizes the cash a business uses to fund its day-to-day operations, like sales and production.

After accounting for non-cash expenses like depreciation, amortization, and deferred taxes, the calculation of cash flow from operations begins with net income. Because they have an impact on the cash flow from operations, changes in current assets and liabilities like inventory, accounts receivable, and accounts payable are also taken into account.

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What is the firm's dividend payment in the current year? What is the firm's cash flow from operations?Prior

one problem with the use of the polygraph to detect lying is that the test

Answers

Answer:

the person may be nervous, causing the test to be invalid

Excited to buy her dream car, Molly rushes into her local Volkswagen dealership. Molly picks out a
car, sits down at the financing desk, and hears the following:
"Well, we ran your credit history. You've got a really thin file -- just a year's worth of student
loan payments. The deal you saw was for 'well qualified buyers. The best deal we can offer
you is 6.6% for 60 months. A little more bad news -- the cash allowance is also based on
credit history, so you don't qualify for $500. That said, you're excited about a Volkswagen,
and I want to see you driving one, so I can do $400 for you!"
9. Molly still has a $2500 down payment. How much loan does Molly need?
10. How much will Molly's monthly payment be using the Bankrate calculator?
11. How much total interest will molly pay using this plan?
12. How many is the total cost of her car after all together?

Answers

9. The amount of loan that Molly needs with a $2,500 down payment is $22,100.

10. Molly's monthly payment is $433.

11. The total interest Molly will pay under this plan is $3,907.

12. The total cost of Molly's car is $28,507.

Loan Amount:

Required cash allowance = $500

Qualified cash allowance = $400

Down payment = $2,500 (typically 10% of value)

Total price of car = $25,000 ($2,500/10%)

Loan required = $22,100 ($25,000 - $2,500 - $400)

Interest and Periodic Payment:

N (# of periods) = 60 months

I/Y (Interest per year) = 6.6%

PV (Present Value) = $22,100

FV (Future Value) = $0

Results:

PMT = $433.45

Sum of all periodic payments = $26,007

Total Interest = $3,907

Total Cost of the car to Molly:

Down payment = $2,500

Total periodic payments = $26,007

Total cost = $28,507 ($26,007 + $2,500)

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if the managers of jc stores were evaluating whether to keep or drop each of its segments (catalog, store, and website), which totals would be most relevant to the decision-making process?

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When evaluating whether to keep or drop each of its segments (catalog, store, and website), the segment's profitability would be the most relevant total to consider in the decision-making process.

Profitability is a key indicator of the financial performance and viability of a business segment. By assessing the profitability of each segment, the managers can determine if the segment is generating sufficient revenue to cover its costs and contribute to overall profitability. This information helps them make informed decisions about whether to continue investing resources in a segment or consider discontinuing it. Other relevant totals that may be considered include revenue, expenses, and market share for each segment. These metrics provide additional insights into the performance and competitive position of each segment. However, profitability remains a critical factor as it directly indicates the financial impact of each segment on the company's bottom line.Therefore, when evaluating whether to keep or drop each segment, the managers of JC Stores should focus on the profitability of the catalog, store, and website segments to guide their decision-making process.

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T/F (Qualitative) Within the framework of the CAPM: the market portfolio need not be identical to the tangent portfolio. ANSWER Type your answer here... B > **

Answers

True.According to the Capital Asset Pricing Model (CAPM), the market portfolio is a theoretical construct that includes all risky assets in the market, weighted according to their market values. It is often used as a benchmark to represent the overall market. On the other hand, the tangent portfolio refers to the optimal portfolio that lies on the efficient frontier, providing the highest expected return for a given level of risk.

The CAPM assumes that investors hold the market portfolio as their risky asset and combine it with a risk-free asset to construct their optimal portfolio based on their risk preferences. In this framework, the market portfolio is used as a proxy for the risky asset component of an investor's portfolio.

However, the market portfolio and the tangent portfolio are not necessarily the same. The tangent portfolio represents the optimal combination of risky assets based on risk-return trade-offs, taking into account an investor's risk preferences and the available set of assets. It is a portfolio that maximizes expected return for a given level of risk.

While the CAPM assumes that investors hold the market portfolio, it does not imply that the market portfolio is always identical to the tangent portfolio. The tangent portfolio depends on individual investor preferences and the specific set of assets available in the market. Factors such as risk tolerance, return expectations, and asset availability can lead to different compositions for the market portfolio and the tangent portfolio.

In summary, the market portfolio and the tangent portfolio can differ within the framework of the CAPM, as they represent different concepts and considerations in constructing optimal portfolios.

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.Gasoline Demand and the Arab Oil Embargo of 1973. The famous energy crisis of 1973 began in October of that year, when the members of the Organization of Arab Petroleum Exporting Countries or the OAPEC (consisting of the Arab members of OPEC, plus Egypt, Syria and Tunisia) proclaimed an oil embargo on western countries. This was in response to a decision by the Nixon administration to resupply the Israeli military during the Yom Kippur war, a military conflict between Israel and a coalition consisting mainly of Egypt and Syria. The embargo lasted until March 1974. In this problem, you will investigate whether the 1973 energy crisis triggered a lasting effect on US gasoline demand. The file GasData.xlsx on Canvas contains data on gasoline consumption, denote this by G, a gasoline price index (representing an average measure of gas prices, in 1967 dollars), denote it by P, and disposable income (also in 1967 dollars), denote it by Y .
(a) Estimate the parameters of the demand function log(Gt) = β0 + β1 log(Pt) + β2 log(Yt) + Ut , for the provided data, where t = 1960, . . . , 1986 indexes the year.
(b) What is the interpretation of β1? What is the interpretation of β2?
(c) Test the hypothesis that gasoline demand is perfectly price inelastic (i.e., using a 1- tailed test). Write a mathematical expression for the null and alternative hypotheses, compute your test statistic, state its distribution (including degrees of freedom), and state whether the null hypothesis is rejected at the 5% level.
(d) Test the hypothesis that gasoline demand is unitary income elastic. Write a mathematical expression for the null and alternative hypotheses, compute your test statistic, state its distribution (including degrees of freedom), and state whether the null hypothesis is rejected at the 5% level.
(e) Define a new variable, call it P E (for pre-embargo), where P Et is 1 if t < 1973, and 0 otherwise. Now estimate a new gasoline demand function log(Gt) =β0 + β1 log(Pt) + β2 log(Yt) + β3P Et + β4P Et × log(Pt) + β5P Et × log(Yt) + Ut . 12 DANIEL TANNENBAUM
(f) Test the hypothesis that demand for gasoline was unaffected by the Arab Oil Embargo of 1973 using an F-test. Write a mathematical expression for the null and alternative hypotheses, compute your test statistic, state its distribution (including degrees of freedom), and state whether you would reject the null at the 5% significance level.
(g) What is the estimated price elasticity of demand prior to, and after the embargo? What is the estimated income elasticity of demand prior to, and after the embargo?
(h) Did demand become more or less sensitive to changes in price and income after the embargo? Is the change statistically significant? Is it economically significant? Can you come up with a possible explanation for why gasoline demand may have changed?

Answers

The analysis investigates the lasting effects of the 1973 Arab Oil Embargo on US gasoline demand. The demand function for gasoline consumption is estimated using data on gasoline consumption, price index, and disposable income from 1960 to 1986. The parameters of the demand function are estimated to determine the interpretations of price elasticity and income elasticity. Hypothesis tests are conducted to examine whether gasoline demand is perfectly price inelastic and unitary income elastic. Additionally, a new variable, "P E," is introduced to account for the pre-embargo period, and the demand function is re-estimated. An F-test is then performed to evaluate the impact of the Arab Oil Embargo on gasoline demand. The estimated elasticities are analyzed to determine changes in sensitivity to price and income. Possible explanations for the changes in gasoline demand are discussed.

The analysis aims to understand the impact of the 1973 Arab Oil Embargo on US gasoline demand. By estimating the parameters of the demand function, the relationship between gasoline consumption and price and income can be determined. The interpretation of β1 indicates the price elasticity of demand, i.e., the percentage change in gasoline demand resulting from a 1% change in price. The interpretation of β2 represents the income elasticity of demand, i.e., the percentage change in gasoline demand resulting from a 1% change in income.

To test the hypothesis of perfect price inelasticity, a one-tailed test is conducted. The null hypothesis states that gasoline demand is perfectly price inelastic, while the alternative hypothesis suggests that it is not. A test statistic is computed, and its distribution is determined along with the degrees of freedom. If the null hypothesis is rejected at the 5% significance level, it implies that gasoline demand is not perfectly price inelastic.

Similarly, a hypothesis test is performed to examine the unitary income elasticity of demand. The null hypothesis assumes that gasoline demand has a unitary income elasticity, while the alternative hypothesis suggests otherwise. A test statistic is calculated, and its distribution is determined. If the null hypothesis is rejected at the 5% significance level, it indicates that gasoline demand does not have a unitary income elasticity.

To account for the impact of the Arab Oil Embargo, a new variable, P E, is introduced. The demand function is re-estimated to include this variable along with others. An F-test is then conducted to assess whether the embargo had a significant effect on gasoline demand. The null hypothesis assumes that the demand for gasoline was unaffected by the embargo, while the alternative hypothesis suggests otherwise. A test statistic is computed, and its distribution is determined. If the null hypothesis is rejected at the 5% significance level, it implies that the embargo had a significant impact on gasoline demand.

The estimated price and income elasticities are analyzed to determine changes in sensitivity to price and income before and after the embargo. Statistical and economic significance are evaluated to assess the practical importance of these changes. Possible explanations for the changes in gasoline demand may include shifts in consumer behavior, alternative energy sources, government policies, or economic factors.

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Mark is creating a disaster recovery plan based on directives from his company's executive management team. His company's business is an e-commerce website that sells children's apparel with 85 percent of its revenue received during the holiday season. If there was a severe disruption in operations, the loss of business could put the company's ability to continue as a financially viable operation in peril. Mark is creating a plan that will restore operations in the shortest amount of time possible if there was an outage. What DR model is he implementing

Answers

Answer: Hot site

Explanation:

The DR model that Mark is implementing is the hit site. A Hot Site enables a company to continue with its normal business operations, after the occurence of a disaster within a short period of time.

The hot site model is regarded as a fully functional backup site which can be used in the assumption of operations immediately in case when there's failure of the primary location fails.

If the depreciation of a country's currency increases its aggregate expenditures by 20, the AD curve will: Multiple Choice o not shift at all. O shift right by more than 20. shift right by exactly 20. O shift right by less than 20.

Answers

In the event that the depreciation of a country's cash builds its total uses by 20, the Promotion (Total Interest) bend will move right by precisely 20. In this manner, choice (C) is precise.

The depreciation of a country's cash can severally affect its economy-

A depreciation makes a nation's commodities somewhat less expensive in unfamiliar business sectors, which can prompt an expansion in trade volumes.On the other hand, a deterioration makes imported products somewhat more costly in the homegrown market.

Deterioration can prompt higher import costs, which can add to inflationary tensions inside the homegrown economy.

On the off chance that a nation has huge unfamiliar obligation designated in unfamiliar money, a deterioration can expand the obligation trouble in homegrown cash terms.

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Which economic effect does a central bank hope to achieve by buying back large amounts of treasury security

Answers

A. It hopes to reduce the amount of money available for lending.

Explanation:

Usually, the central bank(Federal reserve) control the supply of money in circulation in the economy so that the nation's economy would be healthy. One of the ways through which the federal reserve controls the quantity of money in circulation is by selling or purchasing of government securities through a process known as open market operation.

If the federal reserve sells government securities such as treasury bills, in large quantities, its aim is to reduce the amount or quantity of money available to commercial banks for lending, hence mop up the quantity of money in circulation.

Also, if the federal reserve buys government securities, its aim is to make more money available in large quantities to commercial banks and other institutions, hence have more cash to lend people.

The economic effect that central bank are trying to effect by the process of buying back large amounts of treasury security is bring reduction to amount of money available for lending.

Treasury notes as well as bonds are securities that brings about payment of fixed rate of interest which is usually done every six months till the  security reach a stage of maturity.

The central bank do buy large amounts of treasury security so that the money that can be available for lending can be reduced.

Therefore, this process are put in place to balance the economy.

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true or false: quid pro quo sexual harassment can only occur when the harasser has authority or apparent authority over an employee.

Answers

The statement that quid pro quo sexual harassment can only occur when the harasser has authority or apparent authority over an employee is true.

Quid pro quo sexual harassment is a form of sexual harassment that happens employment related aspects such as pay, benefits, title, position, or other opportunities are conditioned on the submission to direct or indirect unwelcome sexual advances. It is an illegal act whether the harassment is explicit or implicit. Sexual harassment is unwanted sexual behavior that makes the harassed feel scared, upset, offended, intimidate, or humiliated, or is meant to make them feel that way. A sexual harassment in workplace is consider quid pro quo only when an individual with supervisory authority over an employee as the harasser have to power to grant or withhold job benefits.

For example, if a manger requests sexual favors as a condition for hiring or promotion, or if a supervisor threatens to terminate, transfer, or demote an employee if sexual favors are not given or continued it is a quid pro quo sexual harassment.

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All of the following actions lead to the payment of a credit card fee EXCEPT... Using your credit card to get cash from an ATM. Using your credit card to purchase items in a foreign country. Paying your credit card bill ten days after the Due Date. Paying your credit card bill in full and on time every month.

Answers

Answer:

Paying your credit card bill in full and on time every month.

Explanation:

The other choices will most likely prompt a fee to be charged.

How are accrued salaries recorded?

Answers

Accrued salaries are recorded as liabilities. Accrued salaries refer to the salaries earned by employees but not yet paid by the employer.

Companies must record these salaries as a liability on their balance sheet. This is because the company is legally obligated to pay the salaries to the employees, even if they have not yet been paid.

Accrued salaries are recorded when the work has been performed and the salaries are due, but the payment has not yet been made.

Accrued salaries are typically reported as a current liability on the balance sheet, and the amount is reported as an expense in the income statement.

Accrued salaries must be paid on time and in full to prevent any potential legal issues.

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