true or false? tonya is working with a team of subject matter experts to diagnose a problem with her system

Answers

Answer 1

Tonya is working with a team of subject matter experts to diagnose a problem with her system.

The correct answer is encryption.

WhoWhat is encryption?

Encryption is the process of garbling information. This process converts the original representation of information, known as plaintext, into an indispensable form known as ciphertext. immaculately, only authorized parties can decipher the ciphertext back to plaintext and gain access to the original information. Encryption alone won't help jamming, but it'll deny a implicit interceptor comprehensible content.A simple illustration of public key cryptography, one of the most extensively used forms of encryptionFor specialized reasons, the encryption scheme generally uses apseudo-random encryption key generated by the algorithm. It's possible to decipher a communication without retaining the key, but a well- designed encryption scheme requires considerable computational coffers and skill.

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Related Questions

A manager finds that the flow rate can increase by 10% if the total wages of employees increase by 5%. what's the percentage change in the cost of direct labor in such a case?

Answers

In such a case an increase in wage by 5% has a direct impact on direct labor by 5%.

They must be paid for their efforts, regardless of the language employed to describe them. Wages are the amounts that are thus compensated, whether in cash or in kind and facility. Because it pertains to the labour (exertion) that employees put into the production of a good or the supply of services, the cost of paying employees' salaries is sometimes referred to as labour cost. In a nutshell, employee cost refers to a broader word that covers wages, salaries, bonuses, incentives, etc. that are given to employees and recorded as labour costs on a cost item.

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Why are carpenters considered generalists?
O They are able to work independently.
O They supervise other workers on the operations team.
O They need an associate's degree for licensure.
O They are versatile and perform a variety of tasks.

Answers

Answer:

I feel like it's the last one but I could be wrong plz let me know

Explanation:

Answer:

They are versatile and perform a variety of tasks.

Explanation:

national competitive advantage derives from four conditions, one of which is factor conditions. what do factor conditions include?

Answers

Factor conditions, as part of Porter's Diamond Model of national competitive advantage, refer to the availability and quality of key production factors within a country. These factors include:

1. Natural resources: The presence and abundance of natural resources such as minerals, energy sources, land, water, and climate that can support specific industries.

2. Human resources: The quality, skills, education, and training of the workforce in terms of both technical and managerial capabilities.

3. Physical infrastructure: The quality and extent of infrastructure, including transportation systems, communication networks, energy supply, and logistics facilities.

4. Knowledge resources: The availability of scientific research institutions, universities, and other knowledge-based organizations that generate new technologies, innovations, and intellectual capital.

5. Capital resources: The availability and accessibility of financial resources, including investment capital, venture capital, and access to credit, which facilitate business growth and investment in new technologies.

These factor conditions are considered important determinants of a country's competitive advantage because they influence the productivity, cost-efficiency, and innovation capacity of industries within that country.

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True or False, impatient stockholders wanting the stock price to rise each and every quarter are representative of most markets

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False, impatient stockholders wanting the stock price to rise each and every quarter are not representative of most markets. Explanation: Most markets are not influenced by impatient stockholders,

who want the stock price to rise each and every quarter. Markets are primarily driven by fundamental factors, such as supply and demand, and macroeconomic indicators.The stock market, as a market, is subject to the same laws of supply and demand as any other market. If there are more buyers than sellers, the stock price will rise, and if there are more sellers than buyers, the stock price will fall.Investors in the stock market are primarily concerned with the long-term value of their investments rather than the short-term fluctuations of the stock price.

Impatient stockholders who focus solely on the short-term price movements of their stocks are not representative of most investors or markets.Furthermore, a company's financial performance is evaluated over the long run, not just every quarter. As a result, impatient stockholders may be disappointed in the short term, but long-term investors who are more concerned with the company's fundamentals will be rewarded.

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In a hypercompetitive industry, firms: Group of answer choices have to get used to longer product life cycles. have to be more careful and not take any risks to jeopardize their products. must be willing to cannibalize their own products. benefit from lower levels of competitivity intensity.

Answers

In a hypercompetitive industry, firms : must be willing to cannibalize their own products.

What is Hypercompetitive Industry ?

Many companies that are in this hyper competitive industry would use the strategies that are adopted by the successful market leaders. However, the things that have worked for others may not work for you.

Therefore, it becomes difficult to maintain the competitive advantage. You can stay competitive in this hyper competitive industry by keeping yourself up-to-date with the changing environmental trends and should be able to take risks.

Companies should cannibalize their products to sustain competitive advantage. In addition to this, it is important for the companies to stay on par with the latest trends and embrace them with the ever changing conditions.

Therefore, we can conclude that the correct option In a hypercompetitive industry, firms : must be willing to cannibalize their own products.

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Underlying the dividend irrelevance theory proposed by Miller and Modigliani is their argument that the value of the firm is determined only by its basic earning power and its business risk. (True or False)

Answers

True, The foundation of Miller and Modigliani's suggested dividend irrelevance hypothesis is their claim that the firm's worth is solely decided by its fundamental earning capability and its business risk.

What is Business Risk?

Business risk is the possibility that a company or organization will experience declining profits or collapse. Anything that undermines a corporation is a risk. the ability of the organization to achieve its financial goals. Business risk can result from the interaction of several factors. senior executives of a company or Leadership may on occasion create conditions that subject a corporation to greater levels of risk.

However, there are times when a firm is not the only source of danger. As a result, a business cannot completely protect itself against danger.

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when the federal reserve conducts open market transactions, it

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When the Federal Reserve conducts open market transactions, it carries out open market transactions to buy or sell government assets, which has an impact on the federal funds rate.

If the Federal Reserve wants to expand the money supply, it can do so by purchasing government bonds. By doing this, it provides the securities brokers who sell the bonds with cash and expands the money supply as a whole.

Instead, the Federal Reserve can raise funds by selling bonds from its account, which lowers the total amount of money in circulation. The amount of money banks are required to retain as collateral for bank account deposits is known as the reserve requirement, and it is another way that the Federal Reserve can impact the money supply.

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open market transactions refer to the buying and selling of government securities by the Federal Reserve in the open market. These transactions are one of the primary tools used by the Federal Reserve to implement monetary policy and influence the money supply in the economy.

open market transactions refer to the buying and selling of government securities, such as Treasury bonds and bills, by the Federal Reserve in the open market. These transactions are one of the primary tools used by the Federal Reserve to implement monetary policy and influence the money supply in the economy.

When the Federal Reserve conducts open market transactions, it affects the level of reserves in the banking system, which in turn impacts interest rates and the overall economy.

By buying government securities, the Federal Reserve injects money into the banking system, increasing the reserves available to banks. This increases the supply of money in the economy and can lower interest rates.

Conversely, when the Federal Reserve sells government securities, it reduces the reserves available to banks, decreasing the money supply and potentially raising interest rates.

Open market transactions are a key mechanism through which the Federal Reserve manages the money supply to achieve its monetary policy objectives.

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if two restaurant managers disagreed about which restaurant should get additional funds to pay for extra staff on the restaurant floor, what would be the source of their conflict?

Answers

The source of their conflict is most likely due to limited resources that need to be allocated to only one restaurant.

When two restaurant managers have a disagreement about which restaurant should get extra funds to pay for additional staff on the restaurant floor, the source of their conflict would most likely be because of limited resources that need to be allocated to only one restaurant. For example, if there is only a certain amount of money available to hire additional staff, then both managers may argue and give reasons why their restaurant needs the funds more than the other. They could argue that their restaurant is the busiest and therefore needs the additional staff more, or that their staff is overworked and needs more help. In most cases, both managers would argue in favor of their own restaurant, as both restaurants have a vested interest in getting the additional funds.

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g [bond valuation with semiannual interest payments] a company has an outstanding $1,000 par value bond, 7% coupon bond that pays interest semiannually. there are 8 years left on the bond and at this time, investors are requiring a 6% return. what is the current value of the bond?

Answers

The current value of the bond is $1,150.68.

The first step in solving for the current value of the bond is to determine the semiannual interest payments. Since the bond has a 7% coupon rate and pays interest semiannually, the semiannual coupon rate is 3.5% (7% divided by 2). The semiannual interest payment is then $1,000 x 3.5% = $35.

Next, we need to determine the number of semiannual periods remaining. Since there are 8 years left on the bond and interest is paid semiannually, there are 16 semiannual periods remaining.

Using the current market required rate of return of 6%, we can now calculate the present value of each semiannual interest payment and the present value of the bond's face value using the formula for the present value of an annuity and the present value of a single sum, respectively.

The present value of each semiannual interest payment is calculated as follows:

PV = $35 / (1 + 0.03)^1 = $33.98

The present value of the bond's face value is calculated as follows:

PV = $1,000 / (1 + 0.03)^16 = $596.76

The current value of the bond is the sum of the present value of each semiannual interest payment and the present value of the bond's face value:

Current value = ($33.98 x 16) + $596.76 = $1,150.68

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can someone answer this asap

can someone answer this asap

Answers

Answer: A

Explanation:A sole proprietorship is where the single owner operates the business. A partnership is similar, however, it is owned by two or more individuals. A corporation is a legal entity separate from the owners of the business.

Which is a characteristic of judging approach

Answers

Answer:

Clarity and Closure

Explanation

Judgers take a planned, ordered, and precisely calibrated approach to life, developing both short- and long-term plans to assist them in achieving their objectives. For them, schedules and "to-do" lists are consoling. They dislike uncertainty and change, preferring to know what they are getting into instead.

Those that have this preference feel more in control of their surroundings. They are disciplined and resolute, seeking resolution as soon as possible to reduce stress. Judgers struggle with open-ended plans because they have a "work first-play later" mentality. Instead of addressing issues as they arise, they would prefer to devise three distinct backup plans.

Judgers take their obligations and deadlines very seriously, both in business and in life. They are quite particular.

then impact of risky behaviour on one's well-being by referring to social,emotional,physical and spiritual ​

Answers

Spiritually, risky behavior can truly take a toll. If you are religious, your actions won’t be in line with your beliefs (most likely). There is a trickle down effect from there. Lots of times, risky behavior makes a person feel paranoid because a person is doing things s/he feels is wrong. All of that takes a toll on a person physically. When you compromise yourself, you will tend to be on an emotional roller coaster. Not a great way to live

g what is the roc (receiver operating characteristic) - auc (area under the curve) for your model?

Answers

The ROC-AUC (Receiver Operating Characteristic - Area Under the Curve) for a model is a performance metric used to evaluate the accuracy and predictive power of a binary classification model.

The ROC-AUC is a graphical representation of the model's ability to distinguish between the positive and negative classes. It plots the True Positive Rate (Sensitivity) against the False Positive Rate (1 - Specificity) for different classification thresholds. The AUC represents the area under the ROC curve, which ranges from 0 to 1.

A higher ROC-AUC score indicates a better-performing model. An AUC of 1 represents a perfect classifier, while an AUC of 0.5 suggests that the model's predictions are no better than random chance.

The ROC curve and AUC provide insights into the trade-off between sensitivity and specificity. By analyzing the curve's shape and steepness, one can determine the model's performance at different classification thresholds. The closer the curve is to the top-left corner, the higher the AUC, indicating better overall performance.

Evaluating the ROC-AUC helps in comparing different models, selecting the best threshold for classification, and understanding the model's ability to correctly classify positive and negative instances.

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Next O Cover Letters and Résumés: Mastery Test
1
Select the correct answer.
Josita is preparing a résumé for a job teaching graphic design at a high school. She wants to list the software programs she has learned. In what
section of her résumé should Josita include these programs?
OA honors
OB. activities
OC. skills
OD. experience
Reset
Submit Test
Next

Answers

If Josita is preparing a résumé for a job teaching graphic design at a high school. She wants to list the software programs she has learned. The section of her résumé that  Josita should include these programs is: C. skills.

What is skills?

Skills can be defined as the  ability a person or an individual possess when it comes to performing or carrying out tasks. A person can tend to possess inbuilt Skills  or acquired skills they known will be of important to them.

Based on the scenario the software programs was the skills that Josita acquired because she learned it, the software program should be included as part of the skills she possess in her resume as this will enables are employer to know the skills she possess.

Therefore If Josita is preparing a résumé for a job teaching graphic design at a high school. She wants to list the software programs she has learned. The section of her résumé that  Josita should include these programs is: C. skills.

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What is the board primarily looking at when investigating any prospective purchaser?

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When evaluating any potential buyer, the board focuses primarily on cash flow.

Cash flow is the net amount of cash and cash equivalents coming into and going out of a business. Inflows are represented by money received, and outflows are represented by money spent.

Ability to generate positive cash flows, or more specifically, potential to maximize long-term free cash flow, is ultimately what determines a company's ability to create value for shareholders . After deducting any funds used for capital expenditures, a company's free cash flow is the cash it generates from its regular business activities .

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What is the opportunity cost of the first 20 computers? dvd(s) c. between which two consecutive points along the ppc is the opportunity cost of dvds the highest?

Answers

10 WRONG

B and A

Two consecutive points along the PPC is the opportunity cost of DVDs increasing.

What is the opportunity cost of moving from point C to D?The opportunity cost of moving from point C to D is 40 tons of oranges. The per-unit opportunity cost of moving from point C to point D is 1/2 ton of oranges (40 tons of oranges/80 tons of pears). Economic growth is shown by a shift to the right of the production possibilities curve.What is the opportunity cost of computers?Opportunity cost is a different metric for cost. The amount of wheat that could be produced using the labor required to make one computer, in our example, is the opportunity cost of a computer. Comparative advantage is the capacity to produce a good at a lower opportunity cost than another producer.

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For the situation in exercise 8, fashion an equitable remedy that might encourage cracked mirror to decide to keep its commitment to play at your prom.

Answers

Incomplete question. Here's the full text;

Cracked Mirror, a locally well-known rock group, contracts to play for your high school prom. A week before the dance, the group cancels its appearance. A teacher finds out that the band took the opportunity to perform in a concert that will pay them $800 more. The class president’s mother is an attorney and offers her services to the school.....In the question above, could you fashion an equitable remedy that might prompt Cracked Mirror to decide to keep its commitment to play at your prom? (Certain remedies that may come to mind could violate portions of the U.S. Constitution and therefore could not be pursued.)  

Explanation:

A good remedy that comes to mind is the equitable remedy of Specific performance. The remedy of Specific performance is usually issued by a court order requiring a party to perform a specific action, as obliged in a contract.

Thus, by suing Cracked Mirror rock group to pay monetary damages for its failure to perform could prompt them to keep its commitment to play at your prom, especially when the damages involves a significant amount.

If you are projecting your future financially, what are your
doing?
Risking
Forecasting
Managing
Expanding

Answers

Answer:

Forecasting

Explanation:

Because a weather forecast looks ahead for weather. You are forecasting your financial future

monopolies are socially inefficient because the price they charge is

Answers

Because the price they charge is higher than the marginal cost, monopolies are socially inefficient.

For what reason are restraining infrastructures considered socially wasteful?

Due to the presence of too many or too few businesses in the market, monopolistic competition may also be socially inefficient. The presence of the externality—product variety and business theft—means that fewer new businesses are entering the market.

What causes monopoly inefficiency?

The monopolist restricts quantity, sells at a higher price, and makes extraordinary profits as a result of their increased market power. The dead weight loss triangle of non-competition is the name given to this allocation inefficiency.

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People in finance work mostly with:
A.Insurance
B.Products
C. Information
D.Money

Answers

Answer:

d

Explanation:

believe it or not I actually did this same exact question

Answer:

D. Money

Explanation:

I just took the test

Question 1 of 40
What of these statements best describes the purpose of a logo?
A. It consists of the words the audience will read first on an
advertisement.
B. It supports a marketing message by grabbing attention and
making an emotional appeal.
C. It lists information and other details needed to develop audience
interest and credibility.
D. It reminds the audience of the advertiser's identity.
SUBMIT

Answers

Answer:

D. It reminds the audience of the advertiser's identity.

Explanation:

Marketing can be defined as the process of developing promotional techniques and sales strategies by a firm, so as to enhance the availability of goods and services to meet the needs of the end users or consumers through advertising and market research.

Advertisement refers to the promotional multimedia messages designed and developed to make the products or services of a company known to its customers and potential customers. It is generally considered to be one-sided because it focuses on painting a brand as the best and devoid of any negative issue.

A logo is simply a graphical symbol, emblem or illustration that serves as a means of identity and trademark of a particular company saddled with the responsibility of manufacturing goods and services for its customers. Logos are usually placed or inscribed in all products, so as to differentiate the brand from it's competitors and to make the customers aware of the identity of the manufacturer (advertiser) during an advertisement.

Hence, the statement which best describes the purpose of a logo is that it reminds the audience of the advertiser's identity.

21. pls help will give brainliest

21. pls help will give brainliest

Answers

Revenues less costs, taxes, and interest equal net income (NI).NI is used to compute earnings per share. Because costs can be concealed via accounting techniques or revenues can be artificially overstated, investors should carefully examine the data used to calculate NI.

How do you calculate net income in accounting?The amount earned by an individual or business after costs, allowances, and taxes is referred to as net income. Net income in company is what remains after all costs, such as salaries and wages, the cost of goods or raw materials, and taxes, have been paid. You can figure out your net income if you know your total income and total outgoings: Complete revenue minus total expenses equals net income. Most business owners must produce an income statement, one of the three primary financial statements, in order to determine their net income. The change in assets less the change in liabilities must equal net income, according to logic, as assets must equal liabilities plus equity. Since it is the final indicator of a company's performance, net income is frequently used interchangeably with profit. You must take the recorded retained earnings from the prior financial period, known as beginning retained earnings, and add dividends back in to calculate net income using retained earnings.

The Net Income =

Total revenue – total expenses.

Total expenses

= $448000+$96000+$71000

                   =$615000

The

net  income

=  $721000-$615000

                          =$106000

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Which represents the greatest acceleration?


200 m/s

200 cm/s2

0.020 km/s2

0.002 km/s2

Answers

Answer:

(3) 0.020km/s²

Explanation:

The option with greatest acceleration is the one with greatest magnitude.

To do this, we have to analyse each if the given options.

1. 200m/s.

This doesn't represent acceleration because acceleration is not measured in m/s. Rather, this option is a measure of velocity..

2. 200 cm/s²

[Convert to m/s²]

= 200 / 100 m/s²

= 2 m/s²

3. 0.020 km/s²

[Convert to m/s²]

= 0.020 * 1000m/s²

= 20m/s²

4. 0.002 km/s²

[Convert to m/s²]

= 0.002 * 1000 m/s²

= 2m/s²

By comparison options 1 through 4, option (3) has the highest magnitude of acceleration.

Hence, 0.020km/s² is the highest acceleration

3 Is there any way to enjoy some small daily purchases and also make wise, long-term decisions when it

comes to spending and saving? If so, how?

Answers

Answer:

The answer is below

Explanation:

To be able to enjoy some small daily purchases and also make wise, long-term decisions when it comes to spending and saving, you will need to take the following steps:

1. Ensure you have a plan: this will describe your short term and long term goals about your finances

2. You can start with an 80%/20% rule. Here, you spend 80% of your income and save 20%. You can increase that later to 70/30%

3. After sometimes, invest 80% of your savings and keep 20%

4. Use credit when only necessary

5. Enjoy yourself sometimes by spending the money for yourself adequately.

6. Keep learning how to maximize your income.

At the end of the financial period, Rosella Limited was awaiting the final details of a court case for damages awarded in its favour. The amount and possible receipt of damages is unknown and will not be decided until the court sits again in approximately three months’ time. How should Rosella Limited recognise this situation when preparing the financial statements? Select one: A. Do not recognise or disclose in the financial statements as the possibility of receiving damages is remote
B. Disclose in the notes to the financial statements as it is possible that the entity will receive the damages and the court decision is out of its control
C. Recognise as a deferred asset in the statement of financial position and re-classify as a non-current asset when the court decision is known
D. Recognise as an asset in the financial statements as the receipt of damages is probable

Answers

When preparing the financial statements, Rosella Limited should follow the principle of conservatism and not recognize or disclose the potential damages in the financial statements. This is because the possibility of receiving the damages is considered remote.

The principle of conservatism requires that uncertain gains or future benefits should not be recognized until they are virtually certain. In this case, the court case is still pending and the outcome of the damages awarded is unknown. Since the court will not sit again for approximately three months, it is not possible to determine the amount and timing of the damages with certainty.

By not recognizing or disclosing the potential damages in the financial statements, Rosella Limited avoids overstating its assets or income based on uncertain future events. This ensures that the financial statements provide a more conservative and reliable representation of the company's financial position and performance.

It is important for Rosella Limited to exercise caution and prudence in its financial reporting, providing stakeholders with accurate and reliable information. Once the court case is concluded and the damages are determined, Rosella Limited can then appropriately recognize and disclose the information in its subsequent financial statements.

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What is the price of a perpetuity that has a coupon of ​$50 per year and a yield to maturity of 1%?
The price of the perpetuity is ​$_______. ​(Enter your response rounded to the nearest whole​ number.)
If the yield to maturity doubles​, what will happen to its​ price?
The new price is ​______. ​(Enter your response rounded to the nearest whole​ number.)
50/.01 = $5000
50/.02 = $2500

Answers

The price of the perpetuity with a $50 coupon and a 1% yield to maturity is $5,000. If the yield to maturity doubles to 2%, the new price of the perpetuity is $2,500.

The price of a perpetuity can be calculated by dividing the coupon payment by the yield to maturity. In this case, the coupon is $50 per year, and the yield to maturity is 1%.

Price of the perpetuity = Coupon / Yield to maturity

= $50 / 1%

= $50 / 0.01

= $5,000

Therefore, the price of the perpetuity is $5,000.

When the yield to maturity doubles, meaning it increases from 1% to 2%, the price of the perpetuity will decrease. This is because a higher yield implies a higher required rate of return for investors. As a result, the present value of the perpetuity's cash flows decreases, leading to a lower price.

Using the new yield to maturity of 2% and the same coupon payment of $50:

New price of the perpetuity = Coupon / New yield to maturity

= $50 / 2%

= $50 / 0.02

= $2,500

Therefore, the new price of the perpetuity, when the yield to maturity doubles to 2%, is $2,500. The price decreases by half compared to the original price of $5,000, reflecting the inverse relationship between yield to maturity and bond prices.

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what is the central role of financial intermediaries in a market economy? group of answer choices the creation and printing of money bringing together savers and borrowers providing safe deposit boxes for people and businesses keeping the price level stable

Answers

In most cases, financial intermediates function as middlemen in transactions involving banks or funds. These middlemen aid in the development of effective marketplaces and reduce transaction costs.

Financial intermediaries develop and sell assets with manageable risk, then utilize the proceeds from the sale of these assets to buy potentially riskier assets. Risky assets are converted into safer assets for investors through the use of risk sharing.

Storage of assets, loans, and investments are the three major functions of financial intermediaries. Lower investment returns, misaligned goals, credit risk, and market risk are the key drawbacks of financial intermediaries.

In order to implement monetary policy, central banks must modify the money supply, typically through open market operations. For instance, a central bank could lower the amount of money by obtaining funds from commercial banks by selling government bonds under a "sale and repurchase" deal.

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Schedule of Cash Collections of Accounts Receivable Pet Supplies Inc. , a pet wholesale supplier, was organized on January 1. Projected sales for each of the first three months of operations are as follows: January $210,000 February 290,000 March 400,000 All sales are on account. 52% of sales are expected to be collected in the month of the sale, 43% in the month following the sale, and the remainder in the second month following the sale. Prepare a schedule indicating cash collections from sales for January, February, and March. Pet Supplies Inc. Schedule of Cash Collections from Sales For the Three Months Ending March 31 January February March January sales on account: Collected in January $fill in the blank 1 Collected in February $fill in the blank 2 Collected in March $fill in the blank 3 February sales on account: Collected in February fill in the blank 4 Collected in March fill in the blank 5 March sales on account: Collected in March fill in the blank 6 Total cash collected $fill in the blank 7 $fill in the blank 8 $fill in the blank 9

Answers

The Schedule of Cash Collections from Sales shows that Pet Supplies Inc. is expected to collect $209,000 in January, $290,000 in February, and $400,000 in March based on the projected sales and collection percentages provided. This schedule can help the company manage its cash flow and plan for future expenses and investments.

Based on the information provided, we can prepare a Schedule of Cash Collections from Sales for the Three Months Ending March 31 for Pet Supplies Inc. This schedule will show the amount of cash that will be collected in each month based on the sales made in the previous months.

To start, we need to calculate the total sales on account for each month. For January, the total sales on account are $210,000. For February, the total sales on account are $290,000. For March, the total sales on account are $400,000.

Next, we need to apply the collection percentages provided. 52% of January sales are expected to be collected in January, 43% in February, and the remainder (5%) in March. For February sales, 52% are expected to be collected in February, 43% in March, and 5% in April. For March sales, 52% are expected to be collected in March, 43% in April, and 5% in May.

Using this information, we can fill in the blanks in the Schedule of Cash Collections from Sales:

Pet Supplies Inc. Schedule of Cash Collections from Sales
For the Three Months Ending March 31

January
Sales on account: $210,000
Collected in January: $109,200 (52% of $210,000)
Collected in February: $90,300 (43% of $210,000)
Collected in March: $10,500 (5% of $210,000)

Total cash collected: $209,000 ($109,200 + $90,300 + $10,500)

February
Sales on account: $290,000
Collected in February: $150,800 (52% of $290,000)
Collected in March: $124,700 (43% of $290,000)
Collected in April: $14,500 (5% of $290,000)

Total cash collected: $290,000 ($150,800 + $124,700 + $14,500)

March
Sales on account: $400,000
Collected in March: $208,000 (52% of $400,000)
Collected in April: $172,000 (43% of $400,000)
Collected in May: $20,000 (5% of $400,000)

Total cash collected: $400,000 ($208,000 + $172,000 + $20,000)

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All of these are ways to manage risk in capital budgeting except: a.Using a Decision Tree methodology b.Using a Value at Risk analysis c.Using an NVP Profile
d.Using different reinvestment rates to run project NPV's

Answers

The right response is b. Utilizing a Worth In danger examination.

Esteem In danger (VaR) examination is a gamble the board method usually utilized in monetary business sectors to gauge expected misfortunes in an arrangement of resources or ventures. It estimates the most extreme potential misfortune that could happen with a specific degree of certainty throughout a particular time skyline.

Although VaR analysis is a useful tool for managing financial risks, it does not directly apply to decisions regarding capital budgeting. Capital planning includes assessing venture projects and evaluating their possible returns, dangers, and incomes over a drawn out period. VaR analysis, on the other hand, uses statistical models and historical price movements to estimate potential losses in a portfolio of assets.

However, in capital budgeting, there are three viable risk management options:

a. Utilizing a Choice Tree procedure: A visual representation of making decisions in the face of uncertainty is the decision tree. They enable a systematic analysis of risks and uncertainties in capital budgeting decisions by assisting in the evaluation of various strategies and their associated probabilities and outcomes.

c. Making Use of an NVP Profile: The relationship between a project's NPV and discount rate is depicted graphically in the Net Present Value (NPV) profile. It provides insight into the investment's riskiness by assisting in the evaluation of the project's profitability's sensitivity to changes in the discount rate.

d. Utilizing different reinvestment rates to run project Npv's: The sensitivity of an investment's profitability to various assumptions regarding cash flow reinvestment can be assessed by varying the reinvestment rate used to calculate the project's net present value. The project's risk and value as a whole are better understood with the assistance of this analysis.

Consequently, b. While options a, c, and d are viable options, using a Value at Risk analysis to manage risk in capital budgeting is not an option.

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what benefits do you think its the best?

working knowledge of the functional areas of business.

ability to recognize an ethical dilemma and make the most appropriate response.

the ability to work effectively as a member of a team.

Answers

Explanation:

I think the (a) is the best.

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