You are working for a large clothing manufacturer as a computer forensics investigator and are called in to investigate an unusual case of an employee possibly stealing clothing designs from the company and selling them under a different brand name for a different company. What you discover during the course of the investigation is that the clothing designs are actually original products of the employee and the company has no policy against an employee selling his own designs on his own time. The only thing that you can find that the employee is doing wrong is that his clothing design incorporates the same graphic symbol as that of the company with only the wording in the graphic being different. What area of the law is the employee violating

Answers

Answer 1

Answer:

Trademark law is being violated

Explanation:

The employee is violating the trademark law.

Even though the clothing designs are original, by incorporating the same graphic symbol as that of the company, what the employee is doing is regarded as trademark violation or infringement. Trademark infringement is the unauthorized use of a service mark or trademark of another company or organization.


Related Questions

Tammy has had a lot of success investing in preferred stocks, she wants to invest in other assets that are very similar to preferred stocks. What
options would BEST match her investment preferences?
OA common stocks and corporate bonds
OB real estate and common stocks
OG government bonds and corporate bonds
OD mutual funds and government bonds
Reset
Next
entum. All rights reserved
an out

Answers

The BEST options to match Tammy's investment preferences are A. common stocks and corporate bonds.

 

Preferred stock is similar to common stock, except that it does not exercise voting rights. It enjoys priority over common stock in the payment of dividends. With its fixed dividend rate, it is like a bond's interest with a fixed rate.

 

Though the preferred stock is not as secure as corporate bonds, it is a high-breed between common stocks and corporate bonds.

 

Thus, the best options that combine the features of a preferred stock investment are investments in common stocks and corporate bonds.

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Answer:

what the other dude said

Explanation:

HELP PLEASE
UR OWN WORDS PLZ

Using complete sentences, identify and describe the four major ethnic groups of the Middle East.

Answers

Answer: Arabs, Kurds, etc.

Explanation:

There are four main ethnic groups living in the Middle East. The Arabs are the largest, making up 75% of the region's population. Their ancestors were tribal members from the Arabian peninsula. The Persians reside mainly in Iran; their ancestors came to the region from Central Asia. The Kurds live in a rural, mountainous area between Iraq and Turkey. Many of them make a living as farmers or herders. Like the Persians, the Turks also have ancestors from Central Asia. This group lives in Turkey.

In the organizational structure of a hotel, a person who works as a head carpenter would report to the
chief engineer
general manager
resident manager
uniformed services manager

Answers

Uniformed services manager

In the organizational structure of a hotel, a person who works as a head carpenter would report to the Chief Engineer. Thus, the first option is correct.

The Chief Engineer is in charge of managing all facets of the hotel's engineering department, including upkeep, repairs, and building initiatives. Since carpentry work is closely tied to maintenance and construction, your position as head carpenter would fall under the engineering department.

By reporting to the Chief Engineer, one would have direct access to them and be able to ask them questions. They would be your direct supervisor and would give instructions, delegate jobs, and make sure the carpentry work was done successfully and efficiently.

Therefore, option A is the appropriate option.

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do you really think reseller partners will help out to uplift the factors of macro environment?

Answers

Answer:

yes

Explanation:

what is a marketing plan ?? answer please .

Answers

a marketing plan may be part of an overall business plan. Solid marketing strategy is the foundation of a well-written marketing plan so that goals may be achieved.

Answer:

marketing plan is defined as a comprehensive document or blueprint that outlines the advertising and marketing efforts for the coming year. It describes business activities involved in accomplishing specific marketing objectives within a set time frame. A marketing plan also includes a description of the current marketing position of a business, a discussion of the target market and a description of the marketing mix that a business will use to achieve their marketing goals.

Write a 1-page memo to the CEO. Include each chart (3) and a paragraph per chart. Each paragraph should explain the story of each visualization and explain why visualizations are important.

STEP 2
Income CATEGORIES PERCENTAGE NUMBER
$100,000 to $124,999 8% 2
$125,000 to $149,999 4% 1
$20,000 to $24,999 4% 1
$25,000 to $34,999 29% 7
$35,000 to $49,999 13% 3
$50,000 to $74,999 17% 4
$75,000 to $99,999 21% 5
Decline to answer 4% 1
24
STEP 3
GENDER PERCENTAGE NUMBER
Female 54% 13
Male 46% 11
24

STEP 4
QUESTION RESPONSES PERCENTAGE NUMBER
0 6% 1
2 11% 2
5 28% 5
6 11% 2
7 17% 3
8 11% 2
9 6% 1
10 11% 2
18

Answers

Answer:

[Your Name]

[Your Position]

[Date]

Subject: Insights from our Survey - A Window into the Lives of our Valued Customers

Dear [CEO's Name],

I hope this message finds you well. I wanted to take a moment to share some fascinating insights from the recent survey we conducted among our cherished customer base. To make the data more relatable and easier to grasp, I have transformed the findings into a series of engaging visualizations. These visuals not only bring the data to life but also allow us to truly connect with our customers on a human level. Let's dive into the story behind each visualization and explore why these visual representations are crucial in understanding our customers.

Chart 1: Income Categories - Reflecting the Lives of our Customers

This insightful chart provides a glimpse into the diverse income categories of our survey respondents. As you observe the bars rise and fall, you can visualize the financial landscapes our customers navigate. From the bustling middle-income group, representing 29% of respondents, to the resilient individuals in the $75,000 to $99,999 range, accounting for 21% of participants, we gain an intimate understanding of the financial tapestry that influences their decisions.

By presenting this information in such a humanized manner, we can empathize with the varying needs and aspirations of our customers. This visualization guides us in tailoring our products and services to better address the unique challenges and aspirations of each income segment.

Chart 2: Gender Distribution - Celebrating Diversity and Inclusion

This delightful pie chart celebrates the diversity among our survey participants by highlighting their gender identities. As you glance at the vibrant slices, you witness the vibrant mosaic of our customer base. With 54% of respondents identifying as female and 46% as male, we recognize the importance of inclusivity and strive to ensure our products and services cater to the needs and desires of all genders.

Visualizations like this one allow us to see the human faces behind the data. It reminds us to embrace diversity and equality in our business operations, ensuring that every customer feels heard and valued.

Chart 3: Question Responses - Unveiling Our Customers' Voices

Within this insightful bar chart, we uncover the authentic voices of our customers through their responses to a specific question. The bars rise and fall, revealing the choices they made and their preferences. The most popular response, "5," chosen by 28% of participants, demonstrates the collective sentiment that echoes among our customers. As we observe the varying heights of each bar, we gain a deeper understanding of their thoughts and desires.

Visualizations like this empower us to hear our customers' voices loud and clear. By listening attentively to their responses, we can make informed decisions that resonate with their needs, aspirations, and desires.

In summary, these captivating visualizations humanize our survey data, enabling us to truly connect with our customers and gain invaluable insights. By considering the stories behind each chart, we ensure that our strategies, products, and services align with their lived experiences. Together, we can build lasting relationships, foster inclusivity, and deliver the exceptional experiences our customers deserve.

Thank you for your time and attention. Should you have any questions or require further information, please don't hesitate to reach out.

Warm regards,

[Your Name]

[Your Position]

Explanation:

Santa Corporation issued a bond on January 1 of this year with a face value of $1,000. The bond's coupon rate is 6 percent and interest is paid once a year on December 31. The bond matures in three years. The annual market rate of interest was 10 percent at the time the bond was sold. The following amortization schedule pertains to the bond issued:

Cash Paid Interest Expense Amortization Balance
January 1, Year 1 $901
December 31, Year 1 $60 $90 $30 931
December 31, Year 2 60 93 33 964
December 31, Year 3 60 96 36 1,000

Required:
a. What was the bond's issue price?
b. Did the bond sell at a DISCOUNT or a PREMIUM? and How much was the premium or discount?
c. What amount(s) should be shown on the balance sheet for bonds payable at the end of Year 1 and Year 2?

Answers

Answer:

Santa Corporation

a. The bond's issue price = $901 (PV of all cash inflows).

b. The bond sold at a DISCOUNT.  The discount was $99 (equal to total amortization).

c. Bonds payable at the end of:

Year 1 = $931

Year 2 = $964

Explanation:

a) Data and Calculations:

Face value of bond = $1,000

Coupon rate = 6%

Interest payment = Annually on December 31

Bond's maturity period = 3 years

Annual market rate of interest = 10%

N (# of periods)  3

I/Y (Interest per year)  10

PMT (Periodic Payment)  60

FV (Future Value)  1000

Results

PV = $900.53 = $901

Sum of all periodic payments $180.00

Total Interest $279.47

Schedule

Date                           Cash Paid   Interest Expense  Amortization  Balance

January 1, Year 1                                                                                 $901

December 31, Year 1     $60                     $90                $30              931

December 31, Year 2      60                        93                  33             964

December 31, Year 3      60                        96                  36          1,000

Paradise Realty Co. pays weekly salaries of $25,500 on Friday for a five-day workweek ending on that day.a. Journalize the necessary adjusting entry at the end of the accounting period, assuming that the period ends on Monday. If an amount box does not require an entry, leave it blank.Salaries Expence
Salraies Payableb. Journalize the necessary adjusting entry at the end of the accounting period, assuming that the period ends on Thursday. If an amount box does not require an entry, leave it blank.Salaries expenseSalaries Payable

Answers

Answer and Explanation:

The adjusting entry is shown below:

a.

Salaries expense ($25,500 ÷ 5 days) $5,100

     To salaries payable $5,100

(being the salary expense is recorded)

Here the salaries expense is debited as it increased the expense and credited the salary payable as it also increased the liabilities

b.

Salaries expense ($25,500 ÷ 5 days × 4 days ) $20,400

     To salaries payable $20,400

(being the salary expense is recorded)

Here the salaries expense is debited as it increased the expense and credited the salary payable as it also increased the liabilities

QUESTION TWO
a) A bakery bakes cakes under the brand name “super cakes.” Irene Juma, the manageress does not know the cost of each cake. She therefore gathers data on the total cost of each day’s production for the last 10 days. The results are shown in the table below:
Day Number of cakes (‘00’ units) Total cost (Sh. ‘000’)
1 22.5 23.0
2 21.0 21.6
3 27.5 23.3
4 21.5 24.0
5 30.0 28.2
6 20.0 22.4
7 24.0 23.1
8 26.5 25.3
9 18.3 20.1
10 17.0 16.5
Required:
i) Estimate the total cost function using the ordinary least squares method. State the fixed cost and unit cost. (11 marks)
ii) If each cake is sold at Sh. 10, determine the break even number of cakes. (3 marks)

b) Two different models are available for the same machine. The production statistics (number of units produced per hour) of these two models are given below. The data was collected on different days.
Model A: 180, 176, 184, 181, 190, 137,
Model B: 195, 194, 190, 192, 187, 185, 187,
Will you conclude that Model A and Model B have the same productivity (6Marks)

Answers

a) i) Using ordinary least squares, the estimated total cost function for the bakery's "super cakes" is Total Cost (Sh. '000') = 4.07 + 0.81 * Number of cakes ('00' units).

ii) The break-even number of cakes is approximately 21.42 cakes.

b) Model A has an average productivity of 171.33 units per hour, while Model B has an average productivity of 190.71 units per hour. We cannot conclude that they have the same productivity.

a) i) To estimate the total cost function using the ordinary least squares method, we can use the given data on the number of cakes and total cost for the last 10 days. Let's denote the number of cakes as X and the total cost as Y.

Using a linear regression model, we can find the equation of the line that best fits the data. The general form of the linear equation is Y = a + bX, where a represents the fixed cost and b represents the unit cost.

We can calculate the values of a and b using the ordinary least squares method. This involves minimizing the sum of the squared differences between the observed total cost and the predicted total cost based on the equation.

After performing the calculations, we obtain the following results:

a = 4.07 (fixed cost)

b = 0.81 (unit cost)

Therefore, the estimated total cost function for the bakery's production of "super cakes" is:

Total Cost (Sh. '000') = 4.07 + 0.81 * Number of cakes ('00' units)

ii) To determine the break-even number of cakes, we need to find the number of cakes at which the total cost equals the total revenue. Since each cake is sold at Sh. 10, the revenue function can be expressed as Revenue = 10 * Number of cakes ('00' units).

Setting the total cost function equal to the revenue function, we have:

4.07 + 0.81 * Number of cakes = 10 * Number of cakes

Simplifying the equation, we find:

0.19 * Number of cakes = 4.07

Dividing both sides by 0.19, we get:

Number of cakes = 21.42

Therefore, the break-even number of cakes for the bakery is approximately 21.42 cakes.

b) To conclude whether Model A and Model B have the same productivity, we can analyze the production statistics provided for both models. Based on the data, we can calculate the mean (average) number of units produced per hour for each model.

Model A: (180 + 176 + 184 + 181 + 190 + 137) / 6 = 171.33

Model B: (195 + 194 + 190 + 192 + 187 + 185 + 187) / 7 = 190.71

From the calculated means, we can see that Model A has a lower average productivity (171.33 units per hour) compared to Model B (190.71 units per hour). Therefore, based on the given data, we cannot conclude that Model A and Model B have the same productivity.

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AK Inc. is paying 5% coupon rate for its bondholders over the next 8 years. Your required rate of return is 7 percent, how much this bond worth?

Answers

Answer: $880.57

Explanation:

Assuming Par value of bond is $1,000.

Value of bond = (Coupon * Present value interest factor of annuity, no. years, required return) + Par Value/ (1 + required return)^ no. of years

Coupon = 5% * 1,000 = $50

Value of bond = (50 * 5.9713) + 1,000 / (1 + 7%)⁸

= ‭298.565‬ + 582

= $880.57

AK Inc. is paying 5% coupon rate for its bondholders over the next 8 years. Your required rate of return

The Chartered Financial Analyst (CFA) designation is fast becoming a requirement for serious investment professionals. Although it requires a successful completion of three levels of grueling exams, the designation often results in a promising career with a lucrative salary. A student of finance is curious about the average salary of a CFA charterholder. He takes a random sample of 36 recent charterholders and computes a mean salary of $162,000 with a standard deviation of $36,000. Use this sample information to determine the 90% confidence interval for the average salary of a CFA charterholder.

Answers

The confidence interval for the average salary of a CFA charter holder : ( 1,49,820, 1,74,180)

We assume that the salary of CFA charterholders is typically distributed.

Let the salary of CFA charter holders be = x

ATQ

n = 36 and x = 1,62,000

Degree of freedom :

df = 35    [ df= n-1]

s=  $36,000

Significance level :

a = 1 - 0.95

= 0.05

Using the t-distribution table,

Ta/2, df = t(0.025), 35

= 2.030

95% confidence interval for the average salary of a CFA charterholders

1,62,000 + (2.030). 36000/√36

= 1,62,000 +- 12180

= ( 1,62,000 - 12180,  1,62,000 + 12180)

= ( 1,49,820, 1,74,180)

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Patricia and Joe Payne are divorced. The divorce settlement stipulated that Joe pay $550 a month for their daughter Suzanne until she turns 18 in 3 years. Interest is 6% a year. How much must Joe set aside today to meet the settlement? (Do not round intermediate calculations. Round your answer to the nearest cent.)

Answers

Answer:

Present Value= $18,079.05

Explanation:

Giving the following information:

Monthly payment= $550

Number of months= 3*12= 36 months

Interest rate= 0.06/12= 0.005

To calculate the lump sum to set aside to pay the settlement, first, we need to calculate the future value:

FV= {A*[(1+i)^n-1]}/i

A= monthly deposit

FV= {550*[(1.005^36) - 1]} / 0.005

FV= $21,634.85

Now, the present value:

PV= FV / (1+i)^n

PV= 21,634.85 / (1.005^36)

PV= $18,079.05

Which lender most likely offers the best options on a short-term loan?

a payday lender
b a mortgage lender
c a title lender
d a bank or credit union​

Answers

Answer:

D a bank or credit union

Explanation:

Just took it

The lender most likely offers the best options on a short-term loan is a bank or credit union​.

A short-term loan is a credit facility given to people or organisations to cover a cash shortage. Credit cards, bank overdrafts, trade credit, payday loans, etc. are some examples.

Depending on the form of debt, the loan tenure varies. While some loans have a term of 1-2 years, many have maturities of 6–12 months.

The interest rates, or annual percentage rates, are frequently set at high levels. Lenders try to make up for the lack of adequate earnings caused by short tenure by charging higher interest rates.

A short-term loan is a credit facility given to people or organisations to cover a cash shortage. Credit cards, bank overdrafts, trade credit, payday loans, etc. are some examples.

Depending on the form of debt, the loan tenure varies. While some loans have a term of 1-2 years, many have maturities of 6–12 months.

The interest rates, or annual percentage rates, are frequently set at high levels. Lenders try to make up for the lack of adequate earnings caused by short tenure by charging higher interest rates.

Since there is no tangible asset that may be sold to recoup the debt in the event of a default, most short-term loans are unsecured. As a result, applicants for loans with strong credit histories are prioritised.

Applicants with low credit scores frequently face considerable difficulty getting a short-term loan. They frequently receive loans with extremely high interest rates.

What is bank?

A bank is a type of financial entity that lends money while both taking deposits from the general public and generating demand deposits. The bank may engage in lending activities directly or indirectly through the capital markets.

What is credit union?

Since a credit union is truly organised as a cooperative, it is owned by its members. Members of credit unions are often those who have something in common, such as a profession, a place of residence, a religious affiliation, or membership in another group. Additionally, since they are nonprofits, credit unions are typically excluded from paying federal taxes. Some of them even get financial aid from the associations to which they are linked. As a result, credit unions are free from the pressure of turning a profit for shareholders.

The credit union's goal is to offer its members the most affordable terms for their financial goods. In comparison to bank customers, members typically receive lower lending rates, pay fewer (and lower) fees, and earn better APYs on savings products.

Supporting answer

Hence option D is correct answer

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2) A nonprofit organization is not a business.
A). True
B). False

Answers

The answer is false, because a nonprofit organization still runs like a business but their goal is to help and improve the society instead of maximizing profits.

(5 points)
Willie's Hot Dogs had sales last year of $250,300 and a guest count of 76,079.
Sales this year were $280,750 with a guest count of 83,556.
What was Willie's guest count percentage variance?

Answers

Willie's guest count percentage variance is 9.82%.

How to calculate guest count percentage

To calculate the guest count percentage variance

Use the following formula:

Guest count percentage variance = [(current year guest count - prior year guest count) / prior year guest count] x 100%

Guest count percentage variance = [(83,556 - 76,079) / 76,079] x 100%

Guest count percentage variance = (7,477 / 76,079) x 100%

Guest count percentage variance = 0.0982 x 100%

Guest count percentage variance = 9.82%

Therefore, Willie's guest count percentage variance is 9.82%.

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Cori's Corporation, has a book value of equity of $14,130. Long-term debt is $8,150. Net working capital, other than cash, is $2,140. Fixed assets are $19,470 and current liabilities are $1,760.

How much cash does the company have?
Note: Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.

What is the value of the current assets?
Note: Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.

Answers

Answer: To calculate the amount of cash that the company has, we need to use the accounting equation:

Assets = Liabilities + Equity

We can rearrange this equation to solve for assets:

Assets = Liabilities + Equity

Assets = Long-term debt + Net working capital, other than cash + Fixed assets + Current liabilities + Book value of equity

Assets = $8,150 + $2,140 + $19,470 + $1,760 + $14,130

Assets = $45,650

Now, to find the amount of cash the company has, we need to subtract all the other assets from the total assets:

Cash = Assets - (Long-term debt + Net working capital, other than cash + Fixed assets)

Cash = $45,650 - ($8,150 + $2,140 + $19,470)

Cash = $15,890

Therefore, the company has $15,890 in cash.

To find the value of the current assets, we can add the net working capital, other than cash, to the current liabilities:

Current assets = Net working capital, other than cash + Current liabilities

Current assets = $2,140 + $1,760

Current assets = $3,900

Therefore, the value of the current assets is $3,900.

Pd 4(A) Set 2 iz Question 7 (1 point) When investing in individual stocks, you should expect that... O a Stock prices for a company are relatively easy to predict d GRADES Next Page Back Unforeseen company events can have a dramatic impact on the stock price for a company You will have an informational edge by reading an article about a company you want to invest in Stock prices for an individual stock will be more stable over the long-term than prices for a diversified index fund S ✓ Sub Question 7 of 19 |​

Answers

An investor should carefully consider their risk tolerance and investment goals before deciding whether to invest in individual stocks or index funds.

When investing in individual stocks, you should expect that unforeseen company events can have a dramatic impact on the stock price for a company. This is because the company's stock price reflects not only the company's current financial situation but also investors' expectations for the company's future performance.Unforeseen company events such as changes in leadership, new competitors, or regulatory changes can cause investors to reassess their expectations for the company's future performance, which can lead to fluctuations in the stock price.An investor should not expect that stock prices for a company are relatively easy to predict. This is because stock prices are influenced by a variety of factors, including company financial performance, economic conditions, market trends, investor sentiment, and geopolitical events. While some investors may try to predict stock prices using technical analysis or fundamental analysis, it is important to recognize that these methods have limitations and cannot guarantee accurate predictions.An investor can gain an informational edge by reading an article about a company they want to invest in. Reading articles about a company can provide valuable insights into the company's financial situation, growth prospects, and risks. However, it is important to recognize that reading articles is only one part of the investment process and should be supplemented by other sources of information, such as financial statements, analyst reports, and market data.An investor should not expect that stock prices for an individual stock will be more stable over the long-term than prices for a diversified index fund. In fact, individual stocks are generally more volatile than index funds because they are more susceptible to company-specific risks. By contrast, index funds are diversified across multiple companies and sectors, which can help to reduce overall portfolio risk.

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In which (management) areas of an organization may ethically relevant questions occur? Give examples for each of them!

Answers

The management area of coordinating and directing from the top hierarchies is the where some ethically relevant questions may occur.

What is an Ethics?

This refers to some standards that imposes a reasonable obligations to refrain from fraud, slander, gossip etc in a firm.

Some example of an ethical behaviors in the firm are:

obeying company's ruleseffective communicationaccountability & professionalismtrust and mutual respect

Hence, the management area of coordinating and directing from the top hierarchies is the where some ethically relevant questions may occur.

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How soon following an event that reduces the taxpayer's withholding allowances must the taxpayer submit a new W-4 Form to his or her employer?

Answers

Answer:

he will not get any thing because he did not did anything benefit sir company

An employee must submit a fresh Form W-4 by February 15 of the next year claiming exempt status in order to remain exempt from withholding in the following year. If this date falls on a Saturday, Sunday, or legal holiday, it is moved to the following business day.

What is  Form W-4 ?

An employee in the United States must submit a Form W-4 to the Internal Revenue Service in order to inform their employer of their tax condition. The W-4 form indicates to the employer how much federal income tax should be deducted from an employee's paycheck.

An employee must complete Form W4, titled "Employee's Withholding Certificate," in order to tell the employer how much to deduct from your income.

Your employer needs the information on the W-4 form to decide how much tax withholding to make on your paychecks. This will guarantee that you pay your federal income tax obligations to the IRS on time.

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Id.k the labels for em :/

Id.k the labels for em :/

Answers

Answer:

Sole property ship- one owner

Partnership-multiple owners.

Explanation:

How can the implementation of Supply Chain Risk Management processes be organised within and across companies?

Answers

Supply Chain Risk Management (SCRM), it is "the application of strategies to manage both routine and extraordinary risks along the supply chain based on continual risk assessment with the purpose of minimising vulnerability and maintaining continuity."

The implementation of Supply Chain Risk Management activities within and between businesses can be organised like these:

Evaluate risks Every supply chain connection and each of its risks must be taken into account. Natural catastrophes, weather-related incidents, unrest in other countries' economies, and all of the aforementioned factors could cause delays, increased costs, and a decline in sales and consumer satisfaction. Even if certain dangers are impossible to foresee, they should be included on the list. Historical allusions are usually welcome since they bring important life lessons.Calculate RiskEach risk's likelihood and potential impact on the supply chain are evaluated at this phase. While some dangers can only result in small disruptions, others might be fatal. Scores can be assigned to each risk based on how likely it is to occur and how serious it would be. The assignment of a quantifiable number and/or colour to each risk aids in helping critical employees identify and order the dangers.Build back-up plansResponse is the main focus of step three. Companies can role-play to figure out who and how they would react to each incident if it happened by creating "what if" scenarios. These responses can be as thorough as the business is willing to go. From a rigid protocol-based role-by-role flowchart to a more straightforward set of actions that would take place before, during, or after an event.

Thus, through aforementioned ways the implementation of Supply Chain Risk Management processes be organised within and across companies.

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I'm not understanding the process for this question on my hw

I'm not understanding the process for this question on my hw

Answers

The values of the real GDP are accurate.

The country's real GDP per capita for 2017 is  $1100  and $1126 for 2018.

The growth rate of nominal GDP from 2017 to 2018 is 9.09%

The growth rate of GDP deflator from 2017 to 2018 is 6%

The growth rate of population from 2017 to 2018 is 5%

What is the real GDP per capita and the growth rates?

Gross domestic product is the sum of all the goods and services that a country produces in a given period. Real GDP is the GDP of a country that has been adjusted for inflation.

Real GDP = nominal GDP / GDP deflator

Real GDP in 2017 = $1,100,000 / 1 = $1,100,000

Real GDP in 2018 = $1,200,00 / 1.06 = $1,132,075

Real GDP per capita is the Real GDP divided by the population of a country.

Real GDP per capita = real GDP / population

Real GDP per capita for 2017 =  $1,100,000 / 1000 = $1100

Real GDP per capita for 2018 = $1,132,075 / 1005 = $1126

Growth rate of nominal GDP from 2017 to 2018 = (1,200,000 / 1,100,000) - 1 = 9.09%

Growth rate of GDP deflator from 2017 to 2018 = (106 / 100) - 1 = 6%

Growth rate of population from 2017 to 2018 = (1005 / 1000) - 1 = 5%

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DESCRIBE THE FUNCTIONS OF
PRELIMINARY DATA GATHERING?

Answers

Preliminary data gathering involves collecting and analyzing relevant information to establish a foundation for research or decision-making, including identifying objectives, assessing data availability, etc.

What are the Functions of Preliminary Data Gathering?

Preliminary data gathering encompasses the initial acquisition and evaluation of pertinent information, serving as a basis for research or decision-making. It aids in defining project scope, goals, and needs, while also assessing data availability and quality.

This stage assists researchers and decision-makers in gaining insights, assessing project feasibility, recognizing potential obstacles, and formulating a strategic plan for subsequent data collection and analysis.

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what are the marketing strategies of netflix please help!​

what are the marketing strategies of netflix please help!

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Answer:7 Modern Marketing Strategy Lessons from the Netflix Business Model

Use Multi-channel Marketing to Connect with People Online and Offline.

Make Emails Memorable and People Will Talk.

Offer Personalized Content to Keep People Hooked.

Let Data Show You the Secrets to Better Customer Service.

Explanation:

Using the aggregate expenditures-output model, if aggregate expenditures (aggregate demand) is $10 trillion and aggregate output is $10.3 trillion:
a. businesses will accumulate inventories, and output will decline.
b. real output will increase if the full-employment capacity of the economy is greater than $10.3 trillion.
c. inflation will be a problem if the full-employment capacity of the economy exceeds $10.3 trillion.
d. both b and c are correct.

Answers

Using the aggregate expenditures-output model, so if aggregate expenditures (aggregate demand) is $10 trillion and aggregate output is $10.3 trillion businesses will accumulate inventories, and output will decline.

When the aggregate expenditure is less than the aggregate output, the inventories will increase and prices will fall. Thus, the firms will then lower the production and also lay off workers in order to save on costs and lower prices to sell their inventory.

It is said that a change in the aggregate expenditures tends to circle through the economy - households buy from firms, then firms pay workers and suppliers, workers and suppliers buy goods from other firms, and so on.

Hence, option A is correct.

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why would you use computer-aided design (cad) software?

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Answer:

CAD enables the development, modification, and optimization of the design process. CAD enables the development, modification, and optimization of the design process. Thanks to CAD, engineers can make more accurate representations and modify them easily to improve design quality.

Explanation:

Answer: To re-create the layout of a space before actually moving anything.

Explanation: took the quiz

Question 20 (2 points)
Using the high-low method, what are the fixed and variable costs if the high sales
revenue is $160,000 with total costs of $90,000, and the low sales revenue is
$96,000 with total costs of $58,000. What is the fixed cost and the variable
percentage per dollar of sales revenue?
$9,750 fixed and 32.5% per dollar of sales revenue
$10,000 fixed and 50.0% per dollar of sales revenue
$6,750 fixed and 32.5% per dollar of sales revenue
$4,240 fixed and 56.0% per dollar of sales revenue

Answers

The fixed cost and the variable percentage per dollar of sales revenue Option B. $10,000 fixed and 50.0% per dollar of sales revenue.

To determine the fixed and variable costs using the high-low method, we start by identifying the difference between the high and low sales revenue and the corresponding total costs.

High sales revenue: $160,000

Total costs at high sales revenue: $90,000

Low sales revenue: $96,000

Total costs at low sales revenue: $58,000

Next, we calculate the difference in sales revenue and total costs:

Change in sales revenue = $160,000 - $96,000 = $64,000

Change in total costs = $90,000 - $58,000 = $32,000

The fixed cost can be obtained by subtracting the variable cost component from the total costs at either the high or low sales revenue. Let's use the high sales revenue figures:

Fixed cost = Total costs at high sales revenue - (Variable cost per dollar of sales revenue * High sales revenue)

Fixed cost = $90,000 - (Variable cost per dollar of sales revenue * $160,000)

Using the information provided, we can solve for the variable cost per dollar of sales revenue:

Change in total costs = Variable cost per dollar of sales revenue * Change in sales revenue

$32,000 = Variable cost per dollar of sales revenue * $64,000

Variable cost per dollar of sales revenue = $32,000 / $64,000 = 0.5 or 50.0%

Now, substituting this value back into the equation for fixed cost:

Fixed cost = $90,000 - (0.5 * $160,000)

Fixed cost = $90,000 - $80,000 = $10,000

Therefore, the correct answer is option B: $10,000 fixed cost and 50.0% per dollar of sales revenue.

The question was incomplete, Find the full content below:

Question 20 (2 points)

Using the high-low method, what are the fixed and variable costs if the high sales revenue is $160,000 with total costs of $90,000, and the low sales revenue is $96,000 with total costs of $58,000? What is the fixed cost and the variable percentage per dollar of sales revenue?

A. $9,750 fixed and 32.5% per dollar of sales revenue

B. $10,000 fixed and 50.0% per dollar of sales revenue

C. $6,750 fixed and 32.5% per dollar of sales revenue

D. $4,240 fixed and 56.0% per dollar of sales revenue

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A successful data-driven market segmentation program depends on each of the following except:

a.
the rejection of tradiitional marketing research techniques

b.
the use of transactional and event data

c.
a common definition of market segments across all areas of the business

d.
developing a centralized and accessible CRM (Customer Relationship Management) database

Answers

A successful data-driven market segmentation program depends on the "use of transactional and event data", "a common definition of market segments", "and the development of a centralized CRM database" but it does not depend on "the rejection of tradiitional marketing research techniques".

The correct option to the given question is option a.

Traditional marketing research techniques, such as surveys, focus groups, and interviews, have long been used to gather insights about consumer behavior and preferences. While these techniques may have limitations, they still play a valuable role in understanding customer motivations and attitudes. Data-driven market segmentation programs can benefit from a combination of both traditional and data-driven research approaches. The use of transactional and event data is crucial for a data-driven market segmentation program. This type of data provides valuable information about customer behaviors, purchase patterns, and interactions with the business.

Having a common definition of market segments across all areas of the business ensures consistency and alignment in marketing efforts. This allows for targeted and personalized messaging that resonates with each segment. It also facilitates coordination between different departments, such as marketing, sales, and customer service, leading to a more cohesive and effective customer experience.

Finally, developing a centralized and accessible CRM database is essential for managing and analyzing customer data. It enables the integration of data from various sources, such as transactions, interactions, and demographic information, into a single platform. This centralized database provides a comprehensive view of customers, enabling more accurate segmentation and personalized marketing initiatives.

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Prepare journal entries to record the following transactions for Sherman Systems. a. Purchased 5,900 shares of its own common stock at $34 per share on October 11. b. Sold 1,225 treasury shares on November 1 for $40 cash per share. c. Sold all remaining treasury shares on November 25 for $29 cash per share.

Answers

Answer: See explanation

Explanation:

The journal entry to record the transaction for Sherman systems will be:

Oct-11

Debit Treasury Stock (5,900 × $34) =

$200,600

Credit Cash = $200,600

(To record repurchase of 5900 own shares)

Nov-01

Debit Cash (1,225 × $40) = $49,000

Credit Treasury stock (1,225 × $34) = $41,650

Credit Paid in capital-Treasury Stock = $7,350

(To record sale 1225 shares from treasury stock)

Nov-25

Debit Cash (5,900-1,225) × $29) = $135,575

Debit Paid in capital-Treasury Stock = $7,350

Debit Retained earnings = $16,025

Credit Treasury stock (5,900-1,225) × $34) = $158,950

(To record sale balance from treasury stock)

Question 4 of 10
What business practice is most helped by free trade practices?
O A. Competition
B.
Standardization
C. Preserving economic resources
D. Increasing import revenues
SUBMIT

Answers

A is the answer I think
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