False. Commercial tenants, like residential tenants, often undergo income and credit screening as part of the leasing process.
The statement is false. Commercial tenants, similar to residential tenants, commonly undergo income and credit screening as part of the leasing process. Landlords and property owners typically require information about the financial stability and creditworthiness of potential commercial tenants to assess their ability to fulfill lease obligations.
Income screening involves verifying the financial capacity of the commercial tenant to pay rent and other expenses associated with the leased space. This may include reviewing the tenant's business financial statements, tax returns, and bank statements to evaluate their income and cash flow.
Credit screening involves assessing the credit history and creditworthiness of the commercial tenant. Landlords often request permission to conduct credit checks to evaluate the tenant's payment history, outstanding debts, and any previous defaults or delinquencies.
These screenings help landlords mitigate the risk of renting to tenants who may struggle to meet their financial obligations or have a history of financial instability. It allows them to make informed decisions regarding lease agreements and potentially negotiate lease terms based on the tenant's financial profile.
It's important to note that the specific screening requirements may vary depending on the landlord, the type of commercial property, and the local market conditions. However, in general, income and credit screening are common practices when leasing commercial properties.
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Sydnee would like a chart to appear once in her report, but she is having trouble making this occur. She does not understand why the chart is showing multiple times in the report. What is most likely causing the problem?
The chart is placed in the header and footer of a database.
The chart is placed in the field of a database.
The chart is placed in a database with one group.
The chart is placed in a database with five groups.
Answer:
The chart is placed in a database with five groups.
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A major conflict of interest between top executives and owners is that top executives wish to diversify the firm in order to __________, whereas owners wish to diversify the firm in order to __________.
The major conflict between the top executive and owners is that the top executive wants to reduce their employment risks.
What is the cause of conflict between the top executive and owners in the business industry?In a business industry, the major cause of conflict between the top executive and the owners is due to the disparities in their objectives and goals.
While the top executive wishes to diversify the firm in order to reduce their employment risks, the owners wish to diversify the firm to increase the company's value. Both parties must come together with a cordial relationship to achieve a common goal.
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Question 2 of 25
Compared to CDs, basic savings accounts are
interest rates.
liquid and have
A. less; higher
B. less; lower
C. more, lower
D. more; higher
Answer:
C:
Explanation:
CD's are less liquid and tie up your $$ for a certain period of time, however, extend to you a higher interest rate.
Answer: A: Less and higher
Explanation:
the dividing line between a small stock dividend and a large stock dividend is
The dividing line between a small stock dividend and a large stock dividend is typically set at 20-25% of the existing shares of the company's stock.
A small stock dividend refers to a distribution of additional shares to existing shareholders as a dividend. It is typically issued when the company wants to reward shareholders without depleting its retained earnings significantly. Generally, a small stock dividend involves distributing less than 20-25% of the existing shares.
On the other hand, a large stock dividend refers to a distribution of additional shares that represents a significant portion of the company's existing shares. This type of dividend is usually issued when the company wants to distribute a substantial portion of its retained earnings to shareholders. A large stock dividend typically involves distributing 20-25% or more of the existing shares.It's important to note that the specific percentages can vary depending on the company and its policies, as well as any applicable regulatory guidelines or accounting standards. The dividing line between a small and large stock dividend may not be universally standardized, but the aforementioned range is commonly used as a guideline.
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O que é locução verbal?
Answer:
verbal expression - the communication (in speech or writing) of your beliefs or opinions; "expressions of good will"; "he helped me find verbal expression for my ideas"; "the idea was immediate but the verbalism took hours"
expressão verbal - a comunicação (oral ou escrita) de suas crenças ou opiniões; “expressões de boa vontade”; "ele me ajudou a encontrar expressão verbal para minhas idéias"; "a ideia foi imediata mas o verbalismo demorou horas"
Explanation:
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Jade sets up a ____
to ensure that a portion of her assets are used to
support her local art museum each year.
A: living will
B: Power of Attorney
C: 401(k)
D: trust
A trust is the arrangement that ensures that the portion of Jade's assets are used to support her local art museum each year.
What is a trust?This refers to the right in property that is held in a fiduciary relationship by one party for the benefit of another.
The trustee will hold the portion of Jade's assets to support her local art museum each year.
Therefore, the Option D is correct.
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A coworker asks you for help with something and you're busy finishing up a task, what should you say? A I'm busy right now but I'm happy to help when I'm finished B I'm kind of busy can you ask someone else C I don't have time to help you today
Answer:
A.
Explanation:
I think I could help him after I'm done with my work.
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Which of the following is an advantage of the internal rate of return method? a. It takes into account cash flows occurring only till the time the initial investment is completely paid back b. It does not use present value concepts in valuing cash flows occurring in different periods because this concept can give incorrect results. c. It ranks proposals based upon the cash flows over their complete useful life, even if the project lives are not the same d. It assumes the cash received from a proposal can be reinvested at the minimum desired rate of return
The correct answer is d.
The advantage of the internal rate of return method (IRR) is that it assumes the cash received from a proposal can be reinvested at the minimum desired rate of return.
How does the internal rate of return (IRR) method assume the reinvestment of cash flows?The correct answer is d. It assumes the cash received from a proposal can be reinvested at the minimum desired rate of return.
The internal rate of return (IRR) method is a capital budgeting technique used to evaluate the profitability of an investment project. It calculates the discount rate at which the present value of cash inflows equals the present value of cash outflows.
One of the advantages of the IRR method is that it assumes the cash received from a project can be reinvested at the minimum desired rate of return. This assumption is known as the reinvestment rate assumption. It implies that the cash generated by the project can be effectively reinvested to earn returns equal to or greater than the IRR.
By assuming the reinvestment of cash flows at the minimum desired rate of return, the IRR method provides a measure of the project's profitability that reflects the opportunity cost of capital. It considers the potential returns that can be achieved by reinvesting the cash flows and helps assess whether the project is meeting the minimum required rate of return.
The other options mentioned do not represent advantages of the internal rate of return method:
a. It takes into account cash flows occurring only till the time the initial investment is completely paid back: This statement is incorrect. The IRR method considers cash flows occurring throughout the project's life, not just until the initial investment is paid back.
b. It does not use present value concepts in valuing cash flows occurring in different periods because this concept can give incorrect results: This statement is also incorrect. The IRR method uses present value concepts to calculate the discount rate that equates the present value of cash inflows to the present value of cash outflows.
c. It ranks proposals based upon the cash flows over their complete useful life, even if the project lives are not the same: This statement is not an advantage of the IRR method. The IRR method may face difficulties when comparing projects with different useful lives, as it assumes all cash flows are reinvested at the IRR, which may not be practical in such cases.
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Bond P is a premium bond with a coupon rate of 9 percent. Bond D has a coupon rate of 5 percent and is currently selling at a discount. Both bonds make annual payments, have a YTM of 7 percent, and have 10 years to maturity.
a. What is the current yield for Bond P and Bond D? (Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.)
b. If interest rates remain unchanged, what is the expected capital gains yield over the next year for Bond P and Bond D?
Answer and Explanation:
The computation of the current yield for the bond P and bond D also the expected yield with related to the capital gain for the bond P and bond D should be shown in the attachment without changing the rate of interest. There are two attachments one is of final values and the other ones is of the formulas used
A credit sale of $4200 is made on April 25, terms 1/10, n/30, on which a return of $300 is granted on April 28. What amount is received as payment in full on May 4? $3900 $4200 $4158 $3861
Option D is correct. A credit sale of $4200 is made on April 25, terms 1/10, n/30, on which a return of $300 is granted on April 28. The amount received as payment in full on May 4 is $3861.
Given that,
A credit sale of $4200 is made on April 25, terms 1/10, n/30. A return of $300 is granted on April 28.
The terms 1/10, n/30 mean if the customer pays within 10 days, the seller gives a discount of 1%. Otherwise, the full amount is due in 30 days.
The amount of the credit sale of $4200 will be reduced by the amount of the return of $300.
Therefore, the net sale amount will be:
Net sale amount = $4200 - $300 = $3900
Now, if the buyer pays within 10 days, they get a 1% discount on the net sale amount. Therefore, the amount due within 10 days will be:
Amount due within 10 days = 0.99 × $3900 = $3861
Hence, the amount received as payment in full on May 4 is $3861.
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List the five most common functions of business reports for an
organisation that manufactures electric cars for 1, 2 or 4
passengers. Name the users and the stakeholders involved in each
function.
The five most common functions of business reports for an organization that manufactures electric cars for 1, 2, or 4 passengers, along with the users and stakeholders involved.
Are as follows: Sales and Marketing Analysis:
Users: Sales and marketing teams, executives.
Stakeholders: Customers, dealerships, investors, shareholders.
Production and Inventory Management:
Users: Operations managers, production teams.
Stakeholders: Suppliers, logistics partners, investors.
Financial Performance Evaluation:
Users: Finance department, executives.
Stakeholders: Investors, shareholders, lenders, regulatory authorities.
Quality Control and Product Development:
Users: Quality control teams, research and development teams.
Stakeholders: Customers, regulatory authorities, investors.
Sustainability and Environmental Impact Assessment:
Users: Environmental compliance teams, sustainability managers.
Stakeholders: Regulatory authorities, customers, environmental organizations, investors. These functions and their corresponding reports serve different purposes and cater to various users and stakeholders within and outside the organization. By analyzing these reports, decision-makers can make informed choices, assess performance, ensure quality, drive innovation, and address sustainability concerns in the manufacturing and marketing of electric cars.
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Invoices are comparable to bills.
True
False
What happens when equilibrium price is reached?
When the price is higher than equilibrium price, there is a surplus, which motivates sellers to reduce their prices in order to reduce the surplus.
What Is Equilibrium price?When supply and demand are balanced, the price is at equilibrium. It can be claimed that the forces of supply and demand are comparatively equal and the market is in an equilibrium when a major index goes through a period of consolidation or sideways momentum. Researchers have discovered that prices typically oscillate near the equilibrium levels. Market forces will encourage sellers to enter the market and produce more if the price increases too much. More purchasers will place higher bids if the price is too low. Over time, these actions maintain the equilibrium level's relative equilibrium.
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which 2 problems does the pay down credit card workflow solve for clients? it ensures that payments to credit card accounts are categorized correctly it provides a higher credit limit than most small business can get it helps clients stay on top of making payments on time it uses language that non-accountants can understand it provides a lower rate than most credit cards to qualified small businesses.
The 2 problems which the pay down credit card workflow solves for clients were:
A. It ensures that payments to credit card accounts are categorized correctlyC. it helps clients stay on top of making payments on timeHow did it help in categorizing?It helped with proper categorization helping clients track their expenses and understand where their money is being spent.
It can also help clients identify areas where they may be overspending and make adjustments to their spending habits.
Hence, it can be seen that missing credit card payments can result in late fees, higher interest rates, and damage to the client's credit score. The pay-down credit card workflow can help clients stay organized and make timely payments, which can help them avoid these negative consequences.
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What nominal interest rate, compounded monthly, is equivalent to a 10.78% effective rate? 11% 10.28% 0.8983% 10%
The nominal interest rate, compounded monthly, that is equivalent to a 10.78% effective rate is 10.28%.
To find the nominal interest rate that is equivalent to a given effective rate, we need to consider the compounding period. In this case, the compounding period is monthly. The effective rate is the actual interest rate earned over a specific period, taking into account the compounding frequency. The nominal interest rate, on the other hand, is the stated interest rate before considering the compounding.
To calculate the nominal interest rate, we can use the following formula:
Nominal Interest Rate = (1 + Effective Rate)\(^(1/n) - 1\)
Where "n" is the number of compounding periods per year.
In this case, the effective rate is 10.78%, and the compounding period is monthly (12 periods per year). Plugging these values into the formula, we get:
Nominal Interest Rate = \((1 + 0.1078)^(1/12) - 1\)
Calculating this expression, we find that the nominal interest rate is approximately 0.1028 or 10.28%.
To convert an effective interest rate to a nominal interest rate, we consider the compounding period. In this scenario, the effective rate is 10.78%, and the compounding is done monthly. The nominal interest rate is the stated rate before considering compounding.
By using the formula, Nominal Interest Rate = (1 + Effective Rate)^(1/n) - 1, where "n" represents the number of compounding periods per year, we can calculate the nominal interest rate. In this case, since compounding occurs monthly (12 times a year), we substitute the values into the formula:
Nominal Interest Rate =\((1 + 0.1078)^(1/12) - 1\)
Evaluating this expression, we find that the nominal interest rate is approximately 0.1028 or 10.28%.
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Which statement below defines accounting?
a) It identifies, records, and communicates business transactions.
b) It contains a record of all transactions that cannot be measured in monetary units.
c) It is helpful in comparing the performance of one company against a competitor.
d) It is essential to help make business decisions.
The defining claim of accounting is that it identifies, records and communicates business transactions to help an organization make better decisions.
Accounting objectivesIt helps a company to measure economic performance and make more effective decisions based on its financial records, developing more effective cost planning for the correct flow of business.
Therefore, accounting is an essential process for companies to assess their financial situation, demonstrate transparency, comply with legality and make decisions more in line with their objectives.
The correct alternative is letter a.
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Imagine you are a training and development specialist.
You are tasked with creating a training workshop about strong meeting facilitation. Create an outline for this workshop.
Include:
Medium: Is your training in-person, webinar, online, or some other method? Objectives: What are your intended outcomes?
Outline: What information topics will you deliver on? What activities will you ask the people in the training to do, individually and in groups? How will the content be organized?
Deliverables: What will you have attendees produce or accomplish by the end of the training to show that they have absorbed the information?
Evaluation: What can you do at the end to measure participants' feelings about the training?
The goal of training session is to provide attendees with knowledge, skills, and understanding that they can apply in their work or personal lives.
What is training?Training is the process of teaching or learning a particular skill, knowledge, or behavior through practice and instruction. In the context of machine learning, training refers to the process of teaching a computer algorithm to recognize patterns and make predictions based on input data. During training, the algorithm is fed a large amount of data, along with the correct outputs, and it adjusts its parameters to minimize the difference between the predicted output and the actual output. This process is repeated over many iterations until the algorithm can accurately make predictions on new, unseen data. Training is a crucial step in developing effective machine learning models and is essential for a wide range of applications, from image recognition and natural language processing to self-driving cars and fraud detection.
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Provide an example of a corporate decision in line with Covid-19 vaccination and working remotely, you were involved with where consensus was ultimately reached. What organizational constraints were preventing that same consensus at first?
There could be financial and logistical constraints involved in implementing a policy that requires all employees to get vaccinated, such as the cost of the vaccines, training for HR and management, and logistics for administering the vaccines.
I have not been involved in any corporate decision-making process. However, I can give you an example of a corporate decision in line with Covid-19 vaccination and working remotely and some of the organizational constraints that might prevent consensus at first. Example of a corporate decision in line with Covid-19 vaccination and working remotely: One example of a corporate decision in line with Covid-19 vaccination and working remotely is that a company can implement a policy that requires all employees to get vaccinated in order to come into the office.
This policy can be communicated clearly and early to all employees so that they have time to make arrangements to get vaccinated. Organizational constraints that might prevent consensus at first:There are several organizational constraints that might prevent consensus on implementing a policy that requires all employees to get vaccinated in order to come into the office. One of the constraints could be resistance from employees who are hesitant or refuse to get vaccinated. The company may also face constraints in terms of vaccine availability, accessibility, and affordability.
There could also be challenges in terms of the legal implications of implementing such a policy. The company would have to ensure that the policy complies with any relevant laws and regulations and that it does not discriminate against employees who cannot get vaccinated due to medical or religious reasons.Furthermore, some employees may prefer to work remotely due to concerns about Covid-19 and may resist any policy that requires them to come into the office. Finally, there could be financial and logistical constraints involved in implementing a policy that requires all employees to get vaccinated, such as the cost of the vaccines, training for HR and management, and logistics for administering the vaccines.
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Changes in inventories are included as part of investment spending because anything produced by a business that has.
Consider the model of household sorting into communities with different levels of public goods. Suppose community 1 (the one with a higher level of public good provision) decided to lower taxes, decreasing gross-of-taxes housing prices.
All else equal, what happens to the income cutoff as a result of the lower taxes? What sort of movement do you expect as people start voting with their feet? Explain in the context of the model.
Part (a) asked you to identify the "first order effect", holding all else equal. But what about the long run? Do you expect this change to be self-limiting or self-reinforcing? Explain thoroughly.
When community 1 lowers taxes, it reduces the gross-of-taxes housing prices. As a result, the income cutoff for sorting into community 1 will decrease.
This means that individuals with lower incomes will now be able to afford housing in community 1, leading to a downward shift in the income cutoff.
In the context of the model, as people start voting with their feet, the movement we expect is an inflow of individuals with lower incomes into community 1. This is because the lower taxes and decreased housing prices make community 1 more attractive and affordable for individuals with lower incomes. This movement is driven by the desire to access the higher level of public goods provided in community 1.
In the long run, the change is likely to be self-reinforcing. As more individuals with lower incomes move into community 1, the tax base of community 1 will expand. This increased tax revenue can be used to further enhance the provision of public goods in community 1. The improved public goods provision, in turn, makes community 1 even more attractive for individuals with lower incomes, leading to a continued influx of such individuals.
Overall, the initial decrease in taxes and housing prices in community 1 triggers a positive feedback loop. The movement of individuals with lower incomes into community 1 strengthens the tax base and allows for increased public good provision. This, in turn, attracts more individuals with lower incomes, further reinforcing the trend.
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Important to understand the role that time value plays in making financial decisions T/F
True.
The time value of money is a critical concept in finance and plays a crucial role in making financial decisions.
The time value of money refers to the idea that money today is worth more than the same amount of money in the future, due to the potential earning power of money over time through investment and interest.
Therefore, when making financial decisions, it's essential to consider the impact of inflation and the potential for money to grow over time. Understanding the time value of money can help individuals and businesses make better decisions about saving, investing, and borrowing.
Whether it's evaluating an investment opportunity, deciding on a mortgage, or planning for retirement, the time value of money is a crucial factor to consider in any financial decision.
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Bird Enterprises has no debt. Its current total value is $48 million. Assume debt proceeds are used to repurchase equity. a. Ignoring taxes, what will the company’s value be if it sells $18.9 million in debt? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, round your answer to the nearest whole number, e.g., 1,234,567.) b. Suppose now that the company’s tax rate is 25 percent. What will its overall value be if it sells $18.9 million in debt? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, rounded to the nearest whole number, e.g., 1,234,567.)
If Bird Enterprises sells $18.9 million in debt and ignores taxes, its value will increase to $66 million.
Currently, Bird Enterprises' total value is $48 million, and it has no debt. If it sells $18.9 million in debt, this will increase its value. To calculate the new value, we can use the formula:
New Value = Current Value + Debt Proceeds
New Value = $48 million + $18.9 million
New Value = $66.9 million
However, we need to round the answer to the nearest whole number, so the new value will be $66 million.
Now, if we consider taxes, the new value will be different. If the company's tax rate is 25%, it will have to pay taxes on the interest payments it makes on the debt. To calculate the new value, we can use the formula:
New Value = Current Value + (Debt Proceeds x (1 - Tax Rate))
New Value = $48 million + ($18.9 million x (1 - 0.25))
New Value = $48 million + $14.175 million
New Value = $62.175 million
Rounding the answer to the nearest whole number, the new value will be $62 million. So, with taxes taken into account, Bird Enterprises' value will increase to $62 million if it sells $18.9 million in debt.
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what is referred to a process that involves developed action plan that leads to achieving specific goals
Answer:
The appropriate approach is "Developing strategic plan ".
Explanation:
Knowing what it does and reevaluating it to ensure that it is the leading northern star for certain activities seems to be the secret to creating a successful strategic planning strategy. This strategy includes defining the intent, strategies, and procedures of an organization which would be used to achieve those objectives. As such, this strategy seems to be an important aspect of the operation of an organization, even though it is necessary to undertake the process of designing the schedule with serious thought and thoroughness.Goal setting is the process which involves developed action plan.
Let understand that "Goal setting "involves drawing an action plan in order to motivate and guide a person or group toward a goal.
Setting a deadline for a goal create a schedule to achieve the particular goal.
Some benefit of goal setting in an organisation includes:
Goals provides Motivation because energy are directed for accomplishment of the task.Its provides a dedicated direction for the company.Goal setting result to sense of personal satisfaction.Its bring forth clear focus on what is important.Its brings Clarity in Decision Making in a company.New goals become part of an organisation purpose of existence.Learn more about Goal setting here
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#1 You are driving down the highway when one of your tires suddenly blows out. You should
Pump your brakes rapidly, and steer your vehicle to control any skids.
Avoid using your brakes. Slow down gradually and concentrate on steering.
Press hard on your brake pedal and stop as quickly as you can.
Which is the goal for designing the Post Hospital Meal Benefit which offers nutritious meals post-discharge from an acute in-patient stay and available in all our markets?
The goal for designing the Post Hospital Meal Benefit which offers nutritious meals post-discharge from an acute in-patient stay and available in all our markets is to provide patients with proper nutrition to speed up their recovery and reduce the risk of rehospitalization
Post-discharge nutrition plays a crucial role in a patient's recovery, which is why the Post Hospital Meal Benefit is a well-thought-out initiative that aims to provide patients with nutritious meals after their acute in-patient stay. The goal of designing this program is to ensure that patients receive the necessary nutrients to speed up their recovery and decrease the likelihood of rehospitalization.
The Post Hospital Meal Benefit program is available in all markets, and it ensures that all patients receive a healthy meal upon discharge from the hospital. The program is an essential component of a patient's recovery because proper nutrition is critical to their overall well-being.
According to research, when patients are malnourished, their recovery time is longer, and their risk of complications is higher. Thus, the Post Hospital Meal Benefit program is designed to provide patients with the necessary nutrients to speed up their recovery.
The Post Hospital Meal Benefit program has several benefits. First, it provides patients with the necessary nutrients to heal and recover. Second, it helps to reduce the risk of rehospitalization, which is a significant concern for both patients and healthcare providers. Finally, it ensures that patients are receiving the best possible care by addressing their nutritional needs.
The goal of designing the Post Hospital Meal Benefit program is to ensure that patients receive proper nutrition post-discharge to speed up their recovery and reduce the risk of rehospitalization. This program is available in all our markets, and it is a crucial component of a patient's overall recovery. Proper nutrition is critical to a patient's well-being, and the Post Hospital Meal Benefit program helps to ensure that patients receive the necessary nutrients to heal and recover.
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Explain why most experts believe that official U.S. data underestimate the actual rate of unemployment. What factors could make the official rate overstate the actual unemployment rate
Answer:
people simply quit looking for jobs.
Explanation:
In order to be considered unemployed, you must be out of work for at least four weeks and be actively seeking a new job. But if after 6 months, or 1 or even 2 years, you cannot get a new job, then you might simply quit looking for one. Since you quit looking for a job, you are not considered unemployed.
What is TRUE about standards that are used to evaluate employee job performance?
Standards used to evaluate employee job performance should be clear, specific, measurable, and objective.
Standards to evaluate employee -They should be based on the job description and expectations for the role. The standards should also be communicated to employees in advance so they know what is expected of them. Additionally, standards should be applied consistently across all employees to ensure fairness and avoid bias. Finally, standards should be reviewed regularly to ensure they are still relevant and effective in evaluating job performance.
The Fair Labor Standards Act (FLSA) is a United States law designed to protect workers from certain unfair wage practices. As such, the FLSA establishes various labor regulations related to interstate employment in commerce, including minimum wages, overtime pay requirements, and restrictions on child labor.
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National Public Radio (NPR), paragraph 1 states, "Across the United States, communities of color face disproportionate exposure to pollution. Big polluters like refineries, factories, landfills and factory farms were routinely built in non- white communities, exposing their residents to elevated health risks as a result." This is an example of what (check all that apply)? O Environmental injustice Diminishing returns O Opportunity cost O Spillover O Voluntary exchange
This is an example of environmental injustice and spillover.
Environmental injustice refers to the unequal distribution of environmental burdens, such as pollution, among different communities, particularly those marginalized or communities of color. In this case, the paragraph highlights that communities of color face disproportionate exposure to pollution, indicating an environmental injustice.
Spillover refers to the unintended effects of economic or industrial activities that impact neighboring communities or regions. The paragraph mentions that big polluters were routinely built in non-white communities, leading to elevated health risks for the residents. This demonstrates the spillover of negative environmental impacts from these polluting activities onto nearby communities.
The terms "diminishing returns," "opportunity cost," and "voluntary exchange" are not directly applicable to the example provided in the paragraph.
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Which factors can affect a stock's price? Check all that apply.
market performance
the company's financial health
the quantity products produced
location of the company
the economy
Answer:
market performance
the company's financial health
the economy
Explanation:
Stocks or shares represent small units of ownership in a business. The stocks of a public limited company are traded in the stock exchange markets. Investors trading shares are guided by the potential to make profits in deciding what shares to buy.
Share that shows signs of good returns attract many buyers. Investors will focus on a company's financial health as presented in financial statements, the overall state of the economy, and the general market performance to evaluate profits potential. If the conditions are favorable, a stock price will always be rising and present opportunities for profits.
Answer:
1, 2, 5
Explanation:
a company has in its inventory lumber and iron ore to use in product manufacturing. the lumber and iron ore represent ____________ for the company.
The lumber and iron ore in the company's inventory represent raw materials for product manufacturing.
Raw materials are the basic components or substances used in the production of goods or products. In the given scenario, the lumber and iron ore held in the company's inventory are examples of raw materials.
Lumber refers to wood that has been processed into beams, planks, or boards, which can be used for construction, furniture making, or other manufacturing purposes. Iron ore, on the other hand, is a natural mineral containing iron, which is a crucial ingredient in steel production and various industrial applications.
For the company, the lumber and iron ore serve as inputs or raw materials that undergo further processing and transformation to create finished products. These raw materials are typically acquired, stored, and managed in inventory until they are needed in the manufacturing process.
Having an inventory of lumber and iron ore allows the company to ensure a consistent supply of these materials for production purposes. It helps maintain a buffer against supply disruptions or fluctuations in material availability, ensuring a smooth manufacturing process and timely delivery of finished products to Customer .
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