The term that correctly describes all of the following materials is "mixtures." A mixture is a combination of two or more substances that are physically intermingled but not chemically bonded.
In a mixture, the individual substances retain their own properties and can be separated by physical means.
In the case of the given materials: Salt water is a mixture of water and salt, where the salt dissolves in the water.
Vinegar is a mixture of acetic acid and water.
Bronze is an alloy, which is a mixture of copper and tin.
Air is a mixture of gases, primarily nitrogen, oxygen, carbon dioxide, and trace amounts of other gases.
Beach sand is a mixture of various minerals, organic matter, and water.
Since all of these materials consist of different substances that are physically combined without forming new chemical compounds, they can be classified as mixtures.
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What MUST you have in order to
complete a federal, state, or local tax
return form?
Answer:
federal
Explanation:
If average annual income for all workers is $37,000 and a person with a bachelor’s degree can expect to earn 32 percent more than average, what is the average annual income for persons holding bachelor’s degrees (round to the nearest thousand)?
Answer:
$48,840.00
Explanation:
If the average income is $37,000
A graduate expects to earn 32% above average.
The graduate will earn $37,000 +( 32% of $37,000)
=$37,000 +(32/100 + 37,000)
=$37,000 + $11,840.00
= $48,840.00
Answer:
49000
Explanation:
(source) TRUST ME
im being serious tho it is 49000
Choose all items that represent characteristics of a resume:
is a summary career portfolio data
is the same thing as a career portfolio
is not used for a job application
is typically organized by jobs or skills
is ideally one or two pages in length
Answer:
is a summary career portfolio data
is typically organized by jobs or skills
is ideally one or two pages in length
is the same thing as a career portfolio
Explanation:
HOPE THIS HELPS! :)
costco buys a put option on yen with a strike price of 107 yen/dollar. which interbank spot rate maximizes their profit if they choose to exercise the option before maturity?
The interbank spot rate that maximizes Costco's profit when exercising the put option is below 107 yen/dollar. The lower the spot rate, the higher the profit.
When Costco buys a put option on yen with a strike price of 107 yen/dollar, they have the right, but not the obligation, to sell yen at this strike price. The profit they make is determined by the difference between the strike price and the interbank spot rate. The put option's value increases as the interbank spot rate decreases because it can sell the yen at a higher price than the current market rate.
To maximize its profit, Costco should exercise the option when the interbank spot rate is at its lowest point below 107 yen/dollar before the option's maturity. The lower the spot rate, the larger the difference between the strike price and the spot rate, resulting in a higher profit for Costco.
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Given the 2020 recession, what should be the goal of monetary policy? Should the Fed enact expansionary or contractionary policy? In other words, should the Fed increase the money supply/credit supply or decrease the money/credit supply. Explain what they might do to achieve their goal.
Answer:
Expansionary monetary policies
Explanation:
A recession is characterized by reduced economic activities, a high unemployment rate, and low business incomes. The economy experiences a reduced demand for products and services, leading to low production and a slow economic growth rate.
In a recession like in 2020, the Fed should employ measures that will stimulate economic growth. The appropriate measures are the expansionary monetary policies. These policies seek to increase liquidity in the market, thereby increasing the aggregate demand. Expansionary monetary policies increase the money supply in the economy; they include a reduction in the reserve requirement, reduction in the discount rate, and open market purchases.
Melissa plans to become a nurse. What would be a good extracurricular activity for Melissa during high school? O A. O B. O C. O D. joining the cheerleading squad taking charcoal drawing lessons participating in gymnastics volunteering at a health clinic after school
Answer:
Volunteering at a health clinic after school
Explanation:
If Melissa plans on becoming a nurse, she should look for extracurriculars which could help support her in her future years. Volunteering at a health clinic could provide her with hands on experience opposed to cheerleading or charcoal drawing which are good for hobbies and fun activities. But if Melissa really has a passion to become a nurse she should look for extracurriculars which not only interest her but may be of benefit to her.
Terri, age 16, is a dependent of her parents in 2020. During the year, Terri earned $5,000 in interest income and $3,000 from part-time jobs. a. What is Terri's taxable income? b. How much of Terri's income is taxed at her rate? c. How much is taxed at her parent's rate?
Answer:
A. $4,650
B. $1,750
C. $2,900
Explanation:
A. Calculation to determine Terri's taxable income
TAXABLE INCOME
Earned income $3,000
Add Unearned income $5,000
Gross income & AGI $8,000
($3,000+$5,000)
Less: Standard deduction ($3,350)
(Greater of either $3,000 or $1,050 income earned +$350)
Taxable income $4,650
($8,000-$3,350)
Therefore Terri's taxable income is $4,650
b. Calculation to determine How much of Terri's income is taxed at her rate
TAXED AT TERRI'S RATE
Taxable income $4,650
($8,000-$3,350)
Less: amount taxed at parents' rate ($2,900)
($5,000-$2,100)
Taxed at Terri's rate $1,750
Therefore The amount of Terri's income that is taxed at her rate is $1,750
c. Calculation to determine How much is taxed at her parent's rate
TAXED AT PARENTS' RATE:
Net unearned income=$5,000-$2,100
Net unearned income= $2,900
($5,000-$2,100)
Therefore The amount of Terri's income that is taxed at her parent's rate is $2,900
Iris Corporation owns 30% of Fresia Corporation's stock. On November 15, Fresia Corporation, with current E & P of $320,000, distributes land (fair market value of $100,000; basis of $160,000) to Iris. The land is subject to a liability of $80,000, which Iris assumes.
Dividends Received Deduction Table
Percentage of Ownership by Corporate Shareholder Deduction Percentage
Less than 20% 50%
20% or more (but less than 80%) 65%
80% or more 100%
a. How is Iris Corporation taxed on the distribution?
Iris Corporation has dividend income of $_______ and a dividends received deduction of $________. Iris Corporation has a basis of $ in the land.
b. What is Fresia Corporation’s E & P after the distribution?
$________.
Fresia Corporation's E & P after the distribution is $200,000. Since Iris Corporation owns 30% of Fresia Corporation's stock, it falls under the category of "20% or more (but less than 80%)" ownership.
According to the Dividends Received Deduction table, the deduction percentage for this category is 65%. Therefore, Iris Corporation's dividend income is calculated as 30% of the distribution amount, which is $30,000. The dividends received deduction is 65% of the dividend income, which is $19,500. The basis in the land is given as $160,000. To determine Fresia Corporation's E & P after the distribution, we need to subtract the distribution amount from its current E & P. The distribution includes the land with a fair market value of $100,000 and the assumed liability of $80,000. Therefore, the total distribution amount is $180,000. Subtracting this from the current E & P of $320,000 gives us $140,000 as Fresia Corporation's E & P after the distribution.
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In which of the following situations is a good NOT scarce?
A. Consumer give up nothing to obtain more of the good.
B. Consumer can purchase as much of the good as they want at its current market price.
C. Large quantities of the good are available in the marketplace.
D. There is a surplus of the good at some positive price.
E. There is a shortage of the good at some positive price.
In the long run, with a floating exchange rate, changes in _____ will have an impact on the real exchange rate.
In the long run, with a floating exchange rate, changes in the money supply of both countries will have an impact on the real exchange rate.
In the long run manner "in the end." in case you assume your task may be proper enjoy in the long run, you trust that when a long time passes, you may be satisfied you had it. whilst someone uses the word in the long run, she's imagining a completely long time period going by using.
In macroeconomics, the long run is the length when the overall rate level, contractual salary prices, and expectancies modify completely to the country of the economic system. This stands in evaluation to the short run, whilst those variables may not completely alter.
Long-run overall value refers to the minimum price of production. it is the least price of manufacturing a given stage of output. Accordingly, it can be less than or identical to the short-run common expenses at one-of-a-kind stages of output however in no way extra.
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Please Help me for real not joking.
It 100% my grade
Answer:
ur jokin
Explanation:
ddoc is what ut sounds like when i pronounce it
Nonebetter, inc. prepares its statement of cash flows using the indirect method. in nonebetter's statement of cash flows, what was the total reported in the investing activities section?
Capital purchases, loan of funds, and the sale of investment securities are all included in cash flow from investing operations. Additionally, because they constitute a long-term investment, expenditures on property, plant, and equipment are included in this category.
Recognizing Cash Flow from Investment Activities
It's crucial to understand where an organization's investment activity fits into its financial statements before studying the various positive and negative cash flows from investing operations. The cash flow statement, income statement, and balance sheet are the three primary financial statements.
The balance sheet gives a summary of the assets, liabilities, and owner equity of a corporation as of a particular date. An summary of the company's earnings and outlays for a time period is given by the income statement.
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skypie is a mom and pop bakery in detroit. it costs them $2.48 to make a single rhubarb pie. they sell the pies for $7.89 each. by what percentage did skypie's margin increase?
If it costs Skypie's mom to $2.48 to make a single rhubarb pie. they sell the pies for $7.89 each then the total percentage increase in their margin would be by 31.5%.
By dividing the pie's cost ($2.48) by its selling price ($7.89), one can determine what percentage of the pie's price the cost represents. Then multiply it by 100 to get the percentage figure. In this instance, the pie's cost equals 31.36% of the sale price. In order to maintain profitability and set fair prices, businesses must have a clear understanding of the costs associated with the goods they sell. Additionally, budgeting and cost management might benefit from an awareness of the cost-to-price ratio. In the example of Skypie Bakery, their rhubarb pies had a 68.64% profit margin. This indicates that they earn $5.41 in profit for each pie sold.
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suppose that the demand for vegetables is price elastic. if the price of vegetables increases by 5 percent, the quantity of vegetables demanded would
If the demand for vegetables is price elastic, then a 5% increase in the price of vegetables would result in a more than proportionate decrease in the quantity of vegetables demanded. In other words, the quantity of vegetables demanded would decrease by more than 5%.
This is because consumers would be more responsive to the change in price and would look for alternatives or reduce their consumption of vegetables altogether. If the demand for vegetables is price elastic, then a change in price will result in a proportionally larger change in the quantity of vegetables demanded. Specifically, if the price of vegetables increases by 5 percent, the quantity of vegetables demanded will decrease by more than 5 percent.
The exact percentage change in the quantity of vegetables demanded will depend on the price elasticity of demand (PED) for vegetables. PED is calculated as the percentage change in the quantity of vegetables demanded divided by the percentage change in price.
If PED is greater than 1, demand is considered elastic, and a 5 percent increase in price will lead to a proportionally larger decrease in quantity demanded. For example, if PED is 1.5, a 5 percent increase in price will lead to a 7.5 percent decrease in the quantity of vegetables demanded (1.5 x 5 = 7.5).
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If the demand for vegetables is price elastic, a 5 percent increase in the price of vegetables would result in a proportionally greater decrease in the quantity of vegetables demanded.
In other words, the demand for vegetables is very responsive to changes in price, and even a small increase in price could lead to a significant decrease in the quantity of vegetables demanded. This means that consumers are very sensitive to changes in the price of vegetables and are likely to switch to substitute products or reduce their overall consumption if the price of vegetables increases. For example, consumers may opt to buy cheaper, non-organic vegetables or switch to frozen vegetables instead of fresh ones.
To maintain demand for vegetables and avoid losing customers to substitute products, suppliers may need to adjust their pricing strategy. They may need to consider reducing their prices or offering promotions and discounts to incentivize consumers to continue purchasing their products. Alternatively, suppliers may need to focus on differentiating their products by emphasizing their quality, freshness, or other unique selling points that set them apart from their competitors. Overall, suppliers need to understand the price elasticity of demand for their products to make informed decisions about pricing and marketing strategies.
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What does the law of diminishing marginal utility explain?
The law of declining marginal utility asserts that if a person consumes increasingly more units of a certain product, the additional satisfaction they receive from each new unit will eventually decline, maybe even to the point where their marginal utility is negative.
What is marginal utility?A person's change in pleasure (or utility) when they consume one more unit of an item or service is known as marginal utility, according to the economics discipline. It is the actual advantage or satisfaction a person receives from consuming one more unit of an item or service, and it aids in determining the demand for that good or service. The marginal utility of a good is greatest at the point of consumption of the initial unit. The marginal utility falls down as individuals consume more units, finally reaching a point of declining marginal utility where each extra unit provides them with progressively less satisfaction. Understanding consumer behavior and the need for products and services depends on having a solid grasp of marginal utility.
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define ecommerce in business with example
Answer:
See below
Explanation:
eCommerce refers to business transactions conducted via internment. eCommerce is the short form of electronic commerce. It is the selling and buying of products and services through the internet platform. eCommerce includes other commercial transactions conducted online such as online/internet banking, online money transfers, online auctions, ticketing, and payments.
An example of eCommerce is the online retail stores where shoppers pick and select merchandise on the retail store's website and pay online. The retail store then organizes for the items to be delivered to the customer's premises.
What is a Need and Want and give some examples
he avenues a business uses to reach customers, like a website, store, or advertising, defines which section of the Lean Canvas Business Model? A. channels B. product C. key metrics D. revenue
Answer:
A. channels
Explanation:
A Lean Canvas Business Model can be defined as a simple but fluid diagram contained in a single page document used for describing an entire business plan or business model at a glance.
The Lean Canvas Business Model was adopted and created by Ash Maurya from the Business Model Canvas of Alexander Osterwalder.
Basically, it is a business framework that is based on strategic informations such as business problems and solutions, competitive advantage and key metrics (indicators), cost, pricing, channels etc.
Hence, the avenues a business uses to reach customers, like a website, store, or advertising, defines the channels section of the Lean Canvas Business Model. Channels comprises of inbound and outbound channels. The inbound channel is a medium used for bringing in customers to your business such as blogs, websites, social media applications, white papers etc. Also, the outbound channel such as Ads, trade fair, calls, convention etc., leads the business to the entrepreneur's customers and potential buyers.
Read the first four paragraphs (1-4) of the above comprehension passage and write a summary.
Your summary should be one-third (1/3) of the original text.
Our current educational system focuses on preparing today’s youth to get good jobs by developing scholastic skills. Their lives will revolve around their wages. Many will study further to become engineers, scientists, cooks, police officers, artists, writers, and so on. These professional skills allow them to enter the workforce and work for money. But there is a big difference between your profession and your business. Often, I ask people, "What is your business?" And they will say, "Oh, I’m a banker." Then I ask them if they own the bank. And they usually respond, "No, I work there." In that instance, they have confused their profession with their business. Their profession may be a banker, but they still need their own business.
2. A problem with school is that you often become what you study. So, if you study cooking, you become a chef. If you study the law, you become an attorney, and a study of auto mechanics makes you a mechanic. a. The mistake in becoming what you study is that too many people forget to mind their own business. They spend their lives minding someone else’s business and making that person rich. To become financially secure, a person needs to mind their own business. Your business revolves around your asset column, not your income column. The number-one rule is to know the difference between an asset and a liability, and to buy assets. The rich focus on their asset columns, while everyone else focuses on their income statements.
3. That is why we hear so often: "I need a raise." "If only I had a promotion." "I am going back to school to get more training so I can get a better job." "I am going to work overtime." "Maybe I can get a second job." The primary reason the majority of the poor and middle class are fiscally conservative—which means, "I can’t afford to take risks"— is that they have no financial foundation. b. They have to cling to their jobs and play it safe. When downsizing became the "in" thing to do, millions of workers found out their largest so-called asset, their home, was eating them alive. Their "asset" was costing them money every month. Their car, another "asset," was eating them alive. The golf clubs in the garage that cost $1,000 were not worth $1,000 anymore. Without job security, they had nothing to fall back on. What they thought were assets could not help them survive in a time of financial crisis.
4. I assume most of us have filled out a credit application to buy a house or a car. It’s always interesting to look at the "net-worth" section because of what accepted banking and accounting practices allow a person to count as assets. One day when I wanted a loan, my financial position did not look too good. So, I added my new golf clubs, my art collection, books, electronics, Armani suits, wristwatches, shoes, and other personal belongings to boost the number in the asset column. But I was turned down from getting the loan because I had too much investment in renting houses. The loan committee didn’t like that I made so much money from rent. They wanted to know why I did not have a normal job with a salary. They did not question the Armani suits, golf clubs, or art collection. Life is sometimes tough when you do not fit the standard profile.
The current educational system focuses on preparing youth for jobs, but it's important to differentiate between a profession and a business .
people become what they study and spend their lives working for someone else, neglecting their own business.
Financial security lies in building assets, not just relying on income. The poor and middle class struggle due to lack of financial foundation, often clinging to jobs for security. Possessions like homes and cars can become liabilities rather than assets. Traditional net-worth calculations may not account for unconventional sources of wealth, leading to difficulties in obtaining loans.
The first four paragraphs highlight the distinction between a profession and a business. While the educational system aims to equip individuals with scholastic skills for good jobs, it's crucial to understand that a profession alone might not guarantee financial independence. Many people mistakenly confuse their profession, such as being a banker, with owning a business. Financial security comes from minding one's own business and focusing on building assets rather than solely relying on income.
The second paragraph emphasizes that becoming what one studies can lead to a narrow focus on someone else's business, which often enriches others rather than oneself. To achieve financial stability, individuals need to pay attention to their own asset column. Differentiating between assets and liabilities becomes crucial. The wealthy prioritize growing their asset columns, while those who concentrate solely on their income statements struggle to achieve financial success.
The third paragraph delves into the reasons why the poor and middle class tend to be fiscally conservative and risk-averse. Lacking a strong financial foundation, they become dependent on their jobs for stability and are reluctant to take risks. Economic downturns expose the vulnerability of their so-called assets, such as homes and cars, which turn out to be burdens rather than sources of financial security.
The fourth paragraph illustrates a personal experience related to net-worth calculations and loan applications. It highlights the disparity between accepted accounting practices and unconventional wealth sources. While personal belongings like art collections, golf clubs, and expensive suits were not questioned, the committee focused on the applicant's rental property investments instead of a traditional job with a salary. This experience serves as an example of the challenges faced when deviating from the standard profile.
Overall, the passage emphasizes the importance of minding one's own business, building assets, and understanding the difference between assets and liabilities. It sheds light on the struggles faced by those without a solid financial foundation and challenges traditional notions of wealth evaluation.
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tions (Online
Virtual)
Click this link to view O*NET's Wages and Employment section for Construction Managers. According to O*NET,
what is the projected growth for this career between 2019-2029?
average
O much faster than average
o little or no change
o slower than average
Answer: much faster than average
Explanation: Construction managers are the people that are responsible for the coordination and supervision of projects that has to do with construction of building, bridges, road, hospitals etc.
The construction manager is responsible for monitoring finances and ensuring that every firm of hazard is removed from the workplace.
According to O*NET, the projected growth for this career between 2019-2029 would be much faster than average.
Therefore, the correct option is B.
B- Much Faster Than Average
Explanation:Attached is the O*Net conclusion and my Edge answer. Please read the question carefully to make sure that you are answering the right one, this is for Construction Managers
each intermediary in the marketing channel ______.
Answer:
There are four main types of intermediary: agents, wholesalers, distributors, and retailers. A firm may have as many intermediaries in its distribution channel as it chooses. It can even have no intermediaries at all, if it practices direct marketing
Basically, all the intermediaries in marketing channel adds value in terms of the functions they performs.
The distribution of goods is made possible through Channels of distribution, but the Intermediaries are independent entities within the channel that make the product available for consumption.
The intermediaries in the Marketing channel includes the agents, wholesalers, distributors and retailers.
Therefore, all the intermediaries in marketing channel adds value in terms of the functions they performs.
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when is subsidy necessary in comodity supply
Answer:
A subsidy is a benefit given to an individual, business, or institution, usually by the government. It is usually in the form of a cash payment or a tax reduction. The subsidy is typically given to remove some type of burden, and it is often considered to be in the overall interest of the public, given to promote a social good or an economic policy.
Explanation:
Determine a value index for 2018
For example, if you were looking to create a value index for stocks, you would need to decide which stocks to include, what factors to consider (such as earnings per share, price-to-earnings ratio, etc.), and how to weight those factors.
Once you have established these guidelines, you can calculate the value index for 2018 using the chosen stocks and factors. For example, if you are referring to a stock market index that measures the value of a specific stock market or a particular segment of the market, such as the S&P 500 Index in the United States, you can find the value index for 2018 by looking up historical data or referring to financial market databases or websites that provide this information.
These sources typically provide the index levels and performance for specific time periods.
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International HRM Case Study: Expanding the Business Brunt Hotels, PLC, owns more than 60 hotels throughout the United Kingdom. They recently acquired a small hotel chain headquartered in France. Brunt's Chief Executive decided that half of the new hotels in France would be retained and rebranded as part of the Brunt Hotels Group; the other half will be sold. This will support Brunt's strategic objective of growing the organization slowly to make sure that new ventures are well supported and opened on time and on budget. Brunt's hotels are considered budget accommodations; they are functional, clean and reasonably priced. Most guests stay for one to three nights and are a combination of business and leisure travelers. The hotels are typically situated in downtown locations that are easily accessible by mass transit. Tourists are attracted to these hotels in popular visitor destinations where the many local attractions mean that they will not be spending much time in their hotel rooms. The organization has decided to use an ethnocentric approach and send some of their existing UK-based managers to France to lead the changeover of the new hotels and then manage them after they re-open. If this new overseas venture is successful, Brunt may decide to acquire other small hotel groups in other European countries. The organization would like to own 150 hotels in the next five years. Their 10 -year plan is to own 300 hotels across Europe. This is an ambitious target, so it is important that the organization finds an effective formula to operate successfully in other countries. The organization has never owned hotels outside the UK before and has hired a team of independent management consultants to advise them on how to proceed. They provided the consultants with the following information during their initial meeting: - A majority of their existing managers said they would like a chance to work abroad; - None of their existing managers speak French fluently; - They will allow four weeks to rebrand the hotels. The new hotels must be ready to open after that time; - They expect to recruit a large number of staff for the new French hotels because more than 70 percent of the employees from the acquired organization left; and - They will require their managers to be flexible and move between countries if any problems arise. All answers must be supported with examples and application ideas. Question 1 Business expansion is always a challenge especially when it involves a merger and acquisition with another brand from another country. Based on the above article, analyze FOUR (4) priorities to be completed during the four weeks rebrand period and ensure the hotel can be up and running according to the timeline. (15 Marks) Imagine that you are the appointed independent management consultant, and the hotel management asked you if they should look only at internal candidates who are parent country nationals (PCNs) or recruit host country nationals (HCNs) as a Project Manager to lead the expansion. This decision is based on the FOUR (4) priorities that you have identified above. Discuss the following proposals: a. Only PCNs should be hired; b. Only HCNs should be hired; and c. A combination of PCNs and HCN should be hired (15 Marks) Question 3 Based on the above opinion, the hotel management decided that because this is their first venture into a country outside the UK, they want to use PCNs to set up the new hotels and that only internal or existing candidates from their current organisation should be considered. They think that this is important so they can incorporate the organisation's values. However, they believe that once the hotels are up and running, HCNs could be hired. Write an internal recruitment advertisement to be shared with all managers for them to apply for the Project Manager position. Your advertisement should include, at a minimum, the following information: a. Job Scope: Main responsibilities of the position; b. Experience: Skills and years of service; and c. Competencies: Expected behaviors to be demonstrated based on Ownership and Trust values. (15 Marks) Question 4 The hotel management team liked your recruitment advertisement, however, since the organisation has never hired managers to work outside the UK before, they do not know how to start determining the package on top of the basic salary. Design a compensation package for the Project Manager position. Explain the rationale for your design. You may also include non-financial benefits. (15 Marks)
The compensation package should include a competitive salary and other benefits such as health insurance, vacation days, and other incentives.
What is insurance?Insurance is a contract between two parties in which one party, the insurer, agrees to provide financial protection or reimbursement to another party, the insured, in the event of an unforeseen occurrence, such as death, accident, illness, or loss of property.
Priorities during the rebrand period:
1. Recruitment of staff: The hotel management should recruit a large number of staff for the new hotel as more than 70 percent of the employees from the acquired organisation left. The staff should be knowledgeable about the local culture and should be familiar with the organisation’s values.
2. Rebranding of the hotel: The hotel needs to be rebranded to match the brand of the Brunt Hotels Group. This includes changing the name, logo, and other elements such as the website and other marketing material.
3. Training of staff: The staff should be trained to ensure they are able to provide the same level of customer service as the Brunt Hotels Group. The staff should also be trained to ensure they are familiar with the organisation’s values and culture.
The salary should be based on the local market rate and should be sufficient to attract quality applicants. Non-financial benefits could include flexible working hours, training and development opportunities, and access to other benefits such as a gym membership or discounts on products and services. The package should also include incentives for performance such as bonuses or rewards for achieving specific goals.
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A useful way of standardizing financial statements is to choose a ____ and then express each item relative to the _____.
The most useful way of standardizing financial statements is to choose a _base year,_ and then express each item in the period under review relative to the _amounts____ in the base year.
What are comparative financial statements?
Comparative financial statements compare a particular financial statement with previous statements. Previous financial statements are presented in side-by-side columns with the latest figures. With this, investors are able to track a company's progress over some periods and compare the company's financial results and performance with its industry competitors.
Thus, financial statements can be compared using financial ratios, which express the relationships between the various items within a financial statement, or using a base year.
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When developing an advertising campaign, the company first identifies and analyzes the target audience then
Answer: defines the advertising objectives
Explanation:
the practice of businesses paying bloggers to write positive comments about the business is called ______.
The practice of businesses paying bloggers to write positive comments about the business is called Paid endorsement or sponsored content.
What does sponsored material entail?
A sponsored piece of content is an advertisement for a good, service, or company that appears to be a fair news story or video. You might click on an article regarding the state of women's prisons while reading the news online, for instance.
Are sponsored articles paid for?
A sort of promotional content known as sponsored content is funded by an advertiser but produced and disseminated by a different business, influencer, or publisher.
When you support a business or influencer that caters to your core audience and often talks about subjects that are compatible with your brand, the content you produce will be the most interesting.
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The first process in developing a project schedule is to identify all the resources available to work on the project.
The primary process in developing a project schedule is to perceive all the sources to be had for paintings at the project. False
A timetable control plan includes information that describes the format and frequency of the scheduled projects required for the assignment. To outline sports, the project crew must begin with reviewing the schedule control plan, scope baseline, employer environmental factors, and organizational procedures.
When developing a task agenda, overall flow refers to the quantity of time a scheduled pastime maybe not be on time from its early start date without delaying the task cease date.
In scheduled projects, “drift” or “slack” is the amount of time that a mission maybe not be on time without affecting the deadlines of different subsequent obligations, or the task's final delivery date. the previous is called “unfastened glide”, and the latter is referred to as “overall float”.
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Economies of scale mean that firms can be so large they can ___ and limit competition.
A) have better marketing campaigns
B) produce at a higher cost
C) produce at a lower cost
D) get major exemptions from the government
The correct option is D. Economies of scale mean that firms can be so large they can get major exemptions from the government and limit competition.
Due to production efficiency, businesses achieve economies of scale, which are cost advantages. For businesses to attain economies of scale, production must increase and costs must decrease. This occurs as a result of the cost being spread across a wider variety of goods. The existence of both variable and fixed costs is plausible.
Businesses profit financially from economies of scale as production is becoming more productive since expenses can be spread across a greater variety of products.
Size affects a company's ability to take advantage of economies of scale; larger companies will create more products while preserving more money. Economies of scale might be internal or external. Internal economies are influenced by circumstances within a certain firm, whereas external reasons have had an effect on every industry.
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On January 1, 2017, Alpha Company purchased a significant influence shares investment in the Bravo-Zulu Company for $250,000. This investment balance represents 25% of the equity of the Bravo-Zulu Company. During 2017, Bravo-Zulu Company reported Net Income of $25,000 on November 15, 2017 Bravo-Zulu Company paid cash dividends of $10,000 to its shareholders. Using this information, what are the FY 2017 balances in Alpha Company's account balances for: a. Investment in Bravo-Zulu b. Investment Income
Answer:
a) $253,750
b) $6,250
Explanation:
Alpha company purchased shares in Bravo-Zulu company for $250,000
This represents 25% of the equity of Bravo-Zulu company.
In 2017, Bravo-Zulu Company Net Income = $25,000 on November 15, 2017 Bravo-Zulu Company paid cash dividends of $10,000 to its shareholders.
The FY 2017 balances in Alpha Company's account balances are:
a) For investment in Bravo-Zulu
= $250,000 + net income - share in dividend.
= $250,000 + ($25,000 * 25%) - ($10,000 * 25%)
= $250,000 + $6,250 - $2,500
= $253,750
b) For investment income
= $25,000 * 25%
= $6,250