A recession tends to cause the federal budget deficit to increase because tax revenues fall and government spending on transfer payments rise.
Why would there be a recession?Everybody experiences the effects of a recession in some form since the entire economy is in decline. Since there is less money available, there are more people without jobs and less money to spend. Many analysts disagree on when the NBER will declare a recession, which has not yet been done. The National Bureau of Economic Research economists are the designated recession scorekeepers (NBER). The NBER will monitor GDP growth, real personal income (RPI), labor data, and consumption to monitor the state of the economy as a whole. However, there is no set threshold for a recession.
To know more about recession visit
https://brainly.com/question/17001440
#SPJ4
compute the future value of the following deposits made today: a. $10,000 at 6.75% compounding annually for 10 years b. $10,000 at 6.75% compounding quarterly for 10 years c. $10,000 at 6.75% compounding monthly for 10 years
The formula and computation for the future value of the deposit indicated is as follows: Future value = Amount deposited * Future value factor.
a. $10,000 at 6.75% compounding annually for 10 years is $19,216.7.
b. $10,000 at 6.75% compounding quarterly for 10 years is $19,530.
c. $10,000 at 6.75% compounding monthly for 10 years is $19,603.21.
The worth of a current asset at some point in the future based on an estimated rate of growth is known as future value (FV). For investors and financial planners, the future value is crucial because they use it to predict how much an investment made now will be worth in the future. The formula for future value (FV), in its simplest version, is FV= PV*(1+i)n, where "PV" stands for present value, I for interest rate, and "n" for the number of time periods. Future value (FV) is the worth of an asset (such as a bond) based on a predetermined growth or return rate at a future date. Investors can estimate an investment's future value with the aid of future value. The idea of the time value of money serves as the foundation for future worth (TVM).
a. To calculate the future value:
Substitute 10000 for P, 6.75% for i, and 10 years for n in equation (1) to find F.
F= 1000(1+(6.75%))hole square 10=$19,216.7.
b. To calculate future value.
[tex]F= 10000(1+\frac{0.0675}{4} )^{(10)} ^{(4)}\\=10000(1+\frac{0.0675}{4} )^{(40)}\\\\\\=19530[/tex]
c. To calculate future value.
[tex]F= 10000(1+\frac{0.0675}{12} )^{(10)} ^{(12)}\\\\=10000(1+\frac{0.0675}{4} )^{(120)}\\\\\\\\=19603.21[/tex]
Learn more about future value here
https://brainly.com/question/24703884
#SPJ4
your money in the bank can be viewed as inventory. which of the following is not the corresponding inventory holding cost? losing the chance to make a more profitable investment value deterioration due to the inflation rate account maintenance fee income tax due to the interest income
taxation on the interest income can be viewed as inventory.
What does inventory holding cost?
The expenses a company incurs for keeping goods on hand are referred to as carrying costs, holding costs, and inventory carrying costs.Inventory holding costs are the fees incurred for storing items or inventory at a warehouse. Inventory that is kept on hand is a liability that reduces profit margins and raises operating costs for firms. Inventory holding expenses include rent for the facility, security fees, depreciation costs, and insurance. The total cost of keeping products is referred to in marketing as the carrying cost of inventory, holding cost, or holding cost.
This includes financial commitments including opportunity costs and expenditures for perishable, shrinkable, and insured items in addition to storage expenses like rent, utilities, and salaries. To reduce stock-out costs, merchandise is kept on hand. To prevent shortages of raw materials, finished items, consumables, and work-in-progress inventory, all businesses must project consumer demand for their products customer is sent back empty handed.
To learn more about Taxation:
https://brainly.com/question/1133253
#SPJ4
when a consumer knows what they want to buy and is not willing to accept a substitute,what type of consumer product is being sought?
When a customer is looking for a specialty goods because they know exactly what they want to purchase and won't accept a substitute.
What exactly is a marketing specialty good?Consumer goods and services that have distinctive qualities or brand recognition and for which a sizeable segment of customers is willing to go above and beyond to make a purchase are referred to as specialty items.
Consumer goods are classified as speciality goods. Three subcategories of consumer goods are retail, specialty, and convenience. The classification scheme is determined by how individuals shop.
Because speciality items have particularly distinctive qualities and brand identifications, a substantial segment of consumers is willing to make special purchase attempts for them. Examples include high-end autos, specific brands of luxury items, equipment for professional photographers, and designer apparel.
Learn more about specialty goods: https://brainly.com/question/14227087
#SPJ4
what is the accounting rate of return for a project that is estimated to yield total income of $375,000 over three years and costs $861,000?
111000$ will be the accounting rate of return for a project that is estimated to yield a total income of $375,000 over three years and costs $861,000.
The net profit or loss of an investment over a period of time, is expressed as a percentage of the original cost of the investment.When calculating returns, we determine the percentage change from the beginning of the period to the end.Return on Investment (RoR) is used to measure the profit or loss of an investment over time.The metric can be used for a wide variety of assets, from stocks to bonds to real estate to art.The effect of inflation is not included in the simple rate of return calculation but is included in the real rate of return calculation. Internal rate of return (IRR) takes into account the time value of money.over time aims to account for the time value of money (TVM) that CAGR ignores. Discounted cash flows take the return on investment and discount each cash flow based on a discount rate. The discount rate represents the lowest rate of return acceptable to investors or the assumed rate of inflation. In addition to investors, companies use discounted cash flows to assess the profitability of their investments.learn more about accounting rate of return
https://brainly.com/question/3578105
#SPJ4
kegler bowling buys scorekeeping equipment with an invoice cost of $160,000. the electrical work required for the installation costs $16,800. additional costs are $3,360 for delivery and $11,530 for sales tax. during the installation, the equipment was damaged and the cost of repair was $1,550. required: indicate whether each cost should be included in the cost of the equipment or excluded and expensed as incurred.
The total recorded cost of the automatic scorekeeping equipment is $191,310.
A tax is an obligatory financial charge or a few different forms of levy imposed on a taxpayer (a person or felony entity) by using a governmental organization in order to fund government spending and various public costs (nearby, nearby, or national), and tax compliance refers to coverage movements and man or woman behavior geared toward making sure that taxpayers are paying the right amount of tax on the right time and securing the best tax allowances and tax reliefs. the first recognized taxation passed off in historical Egypt around 3000–2800 BC. A failure to pay in a timely way (non-compliance), alongside evasion of or resistance to taxation, is punishable via law. Taxes include direct or oblique taxes and may be paid in cash or as its labor equivalent.
In monetary phrases, taxation transfers wealth from households or businesses to the government. This has effects on the monetary boom and monetary welfare that can be each expanded (known as an economic multiplier) or reduced (referred to as the extra burden of taxation).
To learn more about Tax visit here:
brainly.com/question/16423331
#SPJ4
Complete Question:
Kegler Bowling installs automatic scorekeeping equipment with an invoice cost of $160,000. The electrical work required for the installation costs $16,500. Additional costs are $3,300 for delivery and $11,510 for sales tax. During the installation, a component of the equipment is carelessly left on a lane and hit by the automatic lane-cleaning machine. The cost of repairing the component is $1,550.What is the total recorded cost of the automatic scorekeeping equipment?
If The Consumption Of A Product Creates External Benefits It Should Be Subsidized In Order To Encourage Its Purchase. A. True B. False
The sentence 'if the consumption of a product creates external benefits it should be subsidized in order to encourage its purchase' is true.
Such products that prove to be beneficial to humans should be encouraged to be subsidized for sales.
Products whose consumptions provide external benefits should be subsidized so that more people purchase the product. In today's market, it is important to promote products that are valuable in order to keep up with the current market trend.
Hence, if there is a product that causes any kind of external benefit, it should be subsidized so that its market value can be enhanced.
To learn more about subsidized, click here:
https://brainly.com/question/26025523
#SPJ4
ou have the following time and cost information for use in a time-cost cpm scheduling model. activity normal time crash time normal cost crash cost a 3 2 $400 $ 600 b 5 3 $600 $ 1200 c 4 1 $300 $ 1500 what are the three costs per unit of time to expedite each activity?
A will therefore cost $200, B will cost $300, and C will cost $400 to speed up each activity.
What does CPM (Critical Path Method) mean?Important Path Method (CPM) The most common scheduling method in the transportation industry is scheduling. With the help of this scheduling method, a project can be planned, managed, and its minimum completion time as well as potential start and end times for its various activities, can be determined. A project scheduling technique called the Critical Path Method (CPM) analyzes and visualizes the tasks necessary to complete a given project.
What is CPM model?The term "cost per mille" (CPM), which is derived from the Latin word mille, which means "thousand," roughly translates to "cost per thousand impressions." This indicates that the cost of advertising is based on the quantity of served impressions. The cost-per-thousand-impressions (CPM) in online advertising and digital marketing refers to the price a marketer would pay to receive 1,000 campaign impressions. CPM actually stands for "cost per mille," which is Latin for "thousand" and is not to be confused with the cost per mile of a rental car.
Briefing:Cost per unit of time = (Crash cost - Normal cost)/(Normal time - Crash time)
A = (600-400)/(3-2) = 200
B = (1200-600)/(5-3) = 300
C = (1500-300)/ (4-1) = 400
Total time is 12 days, total cost is $ 1700
Alternative paths in the network are following:
A-B-D-E, duration = 3+4+3+2 = 12
A-C-D-E, duration = 3+1+3+2 = 9
The critical path is A-B-D-E because it is the longest path. and the project will last 12 days.
Total normal cost = 200+300+200+500+500 = $ 1700
Total time is 11 days, total cost is $ 1850
The critical path activity with the lowest crash cost per unit time must be crashed in order to shorten the project's duration. With a crash cost of (550-500)/(3-2) = 50, that activity is D.
Normal cost = 200+300+300+500+500 = 1800
Total cost = Normal cost + Crash cost = = 1800+50 = $ 1850
To know more about CPM visit:
https://brainly.com/question/14992192
#SPJ4
the fact that a movie download costs around $6 while a movie ticket costs $10 highlights what role of money?
The fact that a movie download costs around $6 while a movie ticket costs $10 highlights Money as a Unit of account.
A unit of account is a unit of measurement for a divvyable, fungible, and countable value. The goal of a unit of account is to provide debt, tax, and products and services an intuitive and measurable value, much to how a unit of length like a centimetre fulfils its function of measurement. The most prevalent sort of asset in an economy that is used to exchange goods and services is money, which serves as a unit of account. Money satisfies the three requirements of being divisible, fungible, and countable or measurable, which makes it a unit of account.
To know more about Unit of account:
https://brainly.com/question/28249316
#SPJ4
at a small company, one person prepares the paychecks for employees and another person reviews the check amounts and signs the checks. this is an example of what approach to combatting destructive leadership?
At a small company, one person prepares the paychecks for employees and another person reviews the check amounts and signs the checks. this is an example of creating checks and balances approach to combatting destructive leadership.
What is company?
The term "company" refers to legal entities that are lawfully registered under the Company Act. The company's major goal is to increase profits while maintaining goodwill. With the assistance of management, the organization was flawlessly run. Employees are compensated by the company.
According to the small company, one authorisation figure checks the other's work being done, and thus maintains balance. The destructive leadership is checked and balanced.
As a result, the is an example of creating checks and balances approach to combatting destructive leadership.
Learn more about on company, here;
https://brainly.com/question/29354835
#SPJ1
Your question is incomplete, but most probably the full question was.
a- emphasizing low power distance
b- empowering employees
c- creating checks and balances
d- establishing norms and values
13. beaksley, inc., is a very cyclical type of business, which is reflected in its dividend policy. the firm pays a $2:00 a share dividend every other year. the last dividend was paid last year. five years from now, the company is repurchasing all the outstanding shares at a price of $50 a share. at an 8% rate of return, what is this stock worth today?
All future earnings will be converted into today's dollar to estimate an investment's present value.However, the estimated present value will be affected if the selected discount rate changes.
D1-D5 equals $2; the purchase price equals $50; I equals 8%.
What is PV, or present value?
The current value of a future sum of money or stream of cash flows at a certain rate of return is known as present value (PV).The discount rate is how future cash flows are discounted, and the higher the discount rate, the lower their present value is.
Example of how to calculate present value
T is equal to four years.n = 1 due to the annual compounding of the amount.The interest rate is r = 7% = 0.07.PV = 6500 / (1 + 0.07/1)1(4) = 6500 / (1.07)4 = 5,000 (The number given has been rounded to the nearest thousand).
Learn more about present value here:
https://brainly.com/question/17322936
#SPJ4
a set of firms that, though legally independent, are bound together by informal and formal ties and are accustomed to taking coordinated action are known as .
A set of firms that, though legally independent, are bound together by informal and formal ties and are accustomed to taking coordinated action are known as business Groups.
A firm, such as a corporation, is a business organization that manufactures and sells products and services with the intention of generating income and turning a profit. A single proprietorship, partnership, limited liability company, or corporation are examples of firms.
An economic entity known as a group of companies is made up of a collection of firms, some of which may be controlled by the same company. A group of businesses is a type of economic entity made up of a number of businesses that are either owned by the controlling business or are owned by it.
For more questions like Firms click the link below:
https://brainly.com/question/28235640
#SPJ4
if a project has a net present value equal to zero, then: multiple choice the project's pi must also be equal to zero. a decrease in the project's initial cost will cause the project to have a negative npv. any delay in receiving the projected cash inflows will cause the project to have a positive npv. the total of the cash inflows must equal the initial cost of the project. the project earns a return exactly equal to the discount rate.
If a project has a net present value equal to zero, then the project earns a return exactly equal to the discount rate.
A financial term called net present value (NPV) aims to measure the overall worth of an investment opportunity. To calculate the net present value (NPV), one must predict all potential future cash flows from an investment, discount each one to the present, and then add them all together.
The net present value of a project or investment indicates how much money it will make or lose in terms of today's money. Due to the effects of variables like inflation and lost compound interest, the future cash flow of a project does not accurately reflect the current cash flow, hence NPV is adjusted accordingly.
To know more about Net Present Value here
https://brainly.com/question/17078479
#SPJ4
Sung Office Products just announced it is decreasing its annual dividend from $2.20 per share to $1.85 per share effective immediately. If the dividend yield remains at its pre-announcement level, then you know the stock price:
Multiple Choice
increased proportionately with the dividend decrease.
was unaffected by the announcement.
decreased by $.35 per share.
increased by $.35 per share.
decreased proportionately with the dividend decrease.
An investment earned annual returns of 7 percent, −32 percent, 11.5 percent, and 21.4 percent during the past four years. If you wish to know the compound annual rate of growth that the investment experienced, you should determine the ________, which equals ________ percent.
Multiple Choice
arithmetic; 17.97
arithmetic; 1.97
geometric; 4.21
geometric; −.38
geometric; 17.59
Based on the period 1926-2019, the actual real return on large-company stocks has been around:
Multiple Choice
6 percent.
8 percent.
7 percent.
10 percent.
9 percent.
A dividend is a portion of a company's retained earnings and profits that it distributes to its shareholders. Dividend yield is calculated by taking the annual dividend per share and dividing it by the share price.
It should be emphasised that distributions to shareholders might not have an impact on the enterprise's total worth. Whatever the case, making such a move tends to reduce the venture's overall equity value by the precise amount that is being given as a dividend. To expand further, a dividend payment is an irreversible action that permanently debits the accounting records.
1. In the given question, it is said that the dividend is being decreased by
the company so, the stock price will also decrease proportionately with
the decrease in dividend.
2. We know that,
Geometric return = [(1 + rate1) (1 + rate2) (1 + rate3)
(1 + rate4)] ^1/time period – 1
= [(1 + 0.07) (1 - 0.32) (1 + 0.115)
(1 + 0.214)] ^1/4 – 1
= [0.98489] ^1/4 - 1
= 0.9962 - 1
= -0.0038 or -0.38%
Therefore, the correct option is Geometric, -0.38%.
3. Large company stocks has been around 9 percent, in 1926-2019.
Therefore, Option (e) is the correct option.
Learn more about Dividend here: https://brainly.com/question/2960815
#SPJ4
consider a $5,000,000, 8.5%, 30-year mortgage with monthly payments. what is the yield to maturity (ytm) of this loan under the following circumstances: (a) no points, fully-amortizing (b) three points of disbursement discount (point), fully amortizing (c) three points of disbursement discount, 7-year maturity with b
A 30 year mortgage with a 3/1 adjustable rate is one in which the interest rate is fixed yield to maturity .The correct answer is three points of disbursement discount (point), fully amortizing.
The first three years and then is subject to change. I created an amortisation schedule that shows the first three payments will have a 7% interest rate, followed by payments with a 6% interest rate for the remaining payments. The initial 36 months' payment is $997.95 (principal debt after 36 payments: $145,090.59), after which it drops to $905.34.look at the amortisation schedule 1.The monthly payments would be $935.98 if the first three years' interest costs were the only ones paid by the payments, which would be calculated as follows: $150,000 x 7%/12 = $875. see Schedule of Amortization 2.
To know more about maturity visit:
https://brainly.com/question/14926838
#SPJ4
a manufacturer is contemplating a switch from buying to producing a certain item. setup cost would be the same as ordering cost. the production rate would be about double the usage rate. compared to the eoq, the maximum inventory would be approximately:
Compared to the EOQ, the maximum inventory would be approx 30% lower.
To calculate most stock levels, use the subsequent formula maximum stock tiers = reorder point + reorder amount minimum consumption × minimum lead time. minimum and maximum inventory ranges are inventory limits for the customer region product that the patron has the same opinion upon as the dealer.
The projected inventory ought to now not to fall beneath the minimal inventory stage. For extra facts, see Calculation of Projected stock. The inventory degree is one of the methods wherein companies manage the number of products in their warehouses. The venture of any organization is to satisfy the call for its merchandise.
Therefore, corporations should do the entirety viable to keep away from walking out of stock and at the equal time save you overstocking most quantities is a threshold fee that the stock ought to no longer exceed. The most quantity is required, for. instance, for replenishment control.
Learn more about maximum inventory here:-https://brainly.com/question/28340947
#SPJ4
a stock had a return of 9.7 percent last year. if the inflation rate was 2 percent, what was the approximate real return?
The approximate real return will be 7.7%.
A change in the average level of prices for goods and services across the economy is referred to as inflation. By comparing current prices of a group of products and services to previous prices, the government calculates inflation.
The interest rate before accounting for inflation is referred to as the nominal interest rate.
Real return plus inflation add up to total nominal return.
Approximate real return = Nominal return - Inflation rate
= 9.7 - 2
= 7.7
To know more about approximate real return refer here:
https://brainly.com/question/20253920#
#SPJ4
you are considering purchasing an annuity that would pay you $1,000 per year for 1 years. the interest rate is 5%. out of the choices below, what would be a reasonable price to pay for thatannuity?
$952
Computation of amount that should be invested today:
PV = Cash flow per period × [{1 - (1 + i)-n} ÷ i]
PV = $1,000 × [{1 - (1+0.05)-1} ÷ 0.05]
PV = $1000, × 0.952
PV = $952 (Approx)
To know more about Cash flow visit https://brainly.com/question/28238360?referrer=searchResults #SPJF
A process to develop tactical plans by integrating customer-focused marketing plans for new and existing products with the operational management of the supply chain. Intermediate-range planning - 3 to 18 months. Functional groups of sales, operations and finance. Balance supply and demand.
Mid- to long-term planning involves balancing supply and demand projections; it also involves understanding short-term sales issues and adjusting projections accordingly.
What are the sales and operations process' five phases?Key discoveries. To develop a demand-driven S&OP process, a company's internal supply chain must first be made end-to-end transparent.
Are customer-focused marketing tactics for both new and used items connected with supply chain management?To put it succinctly, it is described by APICS as "a process to develop tactical plans that provide management the ability to strategically direct its businesses to achieve competitive advantage on a continuous basis by integrating customer-focused marketing plans for new and existing products with the management of the supply chain."
To know more about supply visit:-
https://brainly.com/question/13296654
#SPJ4
a process that has natural causes of variation, and considered in good control, but produces some product that does not meet upper and lower specification limits is referred to as
A process that has natural causes of variation, and considered in good control, but produces some product that does not meet upper and lower specification limits is referred to as out of control.
Where do the limits of specifications come from?
Limits on specifications are set by your customer. They are restrictions on a product's attributes that specify the conditions under which it operates and does not operate. Specification limitations specify the permitted departure from a desired or ideal value.
Customer specification limitations, which are frequently based on input from the Voice of the Customer, are the goals that customers or market performance have set for a product or a process. In other words, it is the outcome that the metric that we measure is supposed to produce.
To know more about specification limits, click here- brainly.com/question/29316128
#SPJ4
If you stood outside an NBA championship game and sold your ticket for double the original price, you'd be engaged in _____ pricing.
a. prestige
b. cost-based
c. unsportsmanlike
d. demand-based
If you stood outside an NBA championship game and sold your ticket for double the original price, you'd be engaged in d. demand-based pricing.
The countrywide Basketball affiliation is a expert basketball league in North america. The league is composed of 30 groups and is one of the important expert sports activities leagues in the united states and Canada. it's far the most fulfilling guys's expert basketball league within the global.
The national Basketball association (NBA) is a worldwide sports activities and media enterprise with the venture to inspire and connect human beings everywhere via the energy of basketball.
Learn more about NBA here:https://brainly.com/question/4013322
#SPJ4
it takes 2/3 vote to raise taxes and fees. what vote threshold must be reached to reduce taxes and fees?
According to the state constitution, each house of the legislature must vote in favor of tax increases by two-thirds. For the levying of fees and other charges, the Legislature merely needs the consent of a majority of each house. On the other hand, a majority of the electorate in a state may pass an initiative to levy state taxes or fees.
A majority vote in each house is required for the Legislature to lower or alter taxes, as long as no taxpayers' taxes are raised as a result of the change. Even if a bill reduces state revenue overall, it still needs to receive two-thirds approval from both houses of the legislature to increase taxes on each individual.
To know more about state taxes click here,
https://brainly.com/question/16840084
#SPJ4
You take $200 you had kept under your mattress and deposit it in your bank account. Suppose this $200 stays in the banking system as reserves and banks hold reserves equal to 20 percent of deposits.
The total amount of deposits in the banking system increases by _____ , and the money supply increases by _____.
The total amount of deposits in the banking system increases by 1000 , and the money supply increases by 800.
Reason:
Increase in Deposits = Money Multiplier x Deposit.
=1/Reserve Ratio x Deposit
=1/.20 x $200
= $1000
Because deposits increase by $1,000 but currency declines by $200, this means the money supply increases by $1,000−$200=$800.
The money supply increases by $800 while the total quantity of deposits in the banking system rises by $1000.
Reserve to Multiplier Ratio
=1/0.2\s= 5
Rise in banking system deposits Equals deposit "multiplier"
We subtract the initial deposits because they are part of the money supply.
Expansion of the money supply additional deposits -new deposits
=1000-200
=$800
=200*5
=$1000
Increase in Deposits = Money Multiplier x Deposit, which equals 1/Reserve Ratio x Deposit, which equals 1/.20 x $200, which is $1000.
Deposits rise by $1,000 while currency drops by $200, which results in an increase in the money supply of $1,000 + $200 = $800.
To know more about Money supply visit:
https://brainly.com/question/13938695
#SPJ4
true or false: in early classical growth models if a society wanted to grow its economy it had to save.
True: in early classical growth models if a society wanted to grow its economy it had to save.
Several economists who wrote about the causes and processes of economic growth in their age, around the 18th and 19th centuries, are included in the modern category of economic theory known as "classical growth theory." Adam Smith and David Ricardo are two significant theorists who are connected to these concepts. In Great Britain, the classical growth theory emerged along with the Industrial Revolution. These classical economists placed a strong emphasis on the analysis of the economic growth process.
The goal of classical economists was to explain the main factors influencing economic growth as well as the mechanisms that underlie it. The main causes behind economic expansion were thought to be the division of labor, trade benefits, and capital accumulation.
Learn more about classical growth models here: https://brainly.com/question/28445323
#SPJ4
TRUE/FALSE. to state that public saving is equal to investment, for a closed economy, is to state an accounting identity.
To state that public saving is equal to investment, for a closed economy, is to state an accounting identity. This is a true statement.
The closed economy: what is it?An economy that is completely self-sufficient and that doesn't engage in foreign trade is referred to as a closed economy. Closed economies are practically nonexistent nowadays, however some nations are closer to having one than others.
Why is a closed economy advantageous?Utilizing just domestic resources, the domestic economy satisfies all demands. Limit your exposure to exchange rate and global economic shocks. Through international commerce and capital flows, a financial crisis or recession spread. A closed economy is therefore not at risk from either because neither exist.
To know more about closed economy visit:
https://brainly.com/question/22783642
#SPJ4
anet’s job as a corporate attorney is extremely stressful. part of her stress comes from having to meet aggressive deadlines for her work. the stressors that arise from these deadlines are known as .
anet’s job as a corporate attorney is extremely stressful. part of her stress comes from having to meet aggressive deadlines for her work. the stressors that arise from these deadlines are known as task demands type A.
By "corporate," what do you mean?Corporate refers to a large company in general or to a specific major company. In comparison to private clients, corporate clients pay higher interest rates. Corporate earnings are increasing as the economy expands. Corporate refers to a large company in general or to a specific major company.
To know more about corporate visit:
https://brainly.com/question/15036785
#SPJ4
torch industries can issue perpetual preferred stock at a price of $51.50 a share. the stock would pay a constant annual dividend of $6.50 a share. what is the company's cost of preferred stock, rp? round your answer to two decimal places.
Torch industries can issue perpetual preferred stock at a price of $51.50 a share and the stock would pay a constant annual dividend of $6.50 a share so the company's cost of preferred stock, rp is 10.53%.
Perpetual preferred stock is a type of most well-liked share has no date and pays a set dividend upon issue, sometimes declared and paid quarterly, as long because it remains outstanding. Shareholders of perpetuals don't have balloting rights and also the issuers of perpetual stock will generally redeem the shares.
Constant annual dividend is a constant dividend payout quantitative relation policy maintains constant proportion of earnings paid out as dividends to shareholders.
To learn more about perpetual preferred stock here
brainly.com/question/15585228
#SPJ4
the employee benefits at forward point, a tech firm, includes a breakfast bar, a gym, and an on-site massage therapist. in what way are these benefits most likely to support the company's business goals? group of answer choices by complying with legal requirements for benefits by protecting the company against charges of employment discrimination by meeting the standards of most u.s. businesses by making the workplace more family-friendly by helping employees cope with demanding, high-stress jobs
The way that these benefits would most likely have to support the company's business would be by helping employees cope with demanding, high-stress jobs. Last option.
What is meant by employee benefits?Employee benefits are any perks or other forms of payment that are given to workers in addition to their regular pay and salaries. Health insurance, life insurance, paid time off (PTO), profit sharing, retirement benefits, and other benefits may all be included in a comprehensive package of employee perks.
Any indirect pay given to employees in addition to their normal salaries or earnings is known as an employee benefit. For instance, this could refer to things like paid time off, retirement benefits, and health insurance.
Read more on employee benefits here: https://brainly.com/question/17900758
#SPJ1
The sales philosophy and process that emphasizes a commitment to maintaining customer relationships over the long term and investing in opportunities that are mutually beneficial to all parties is known as ________ selling.
The selling philosophy outlines how a company thinks about the income process, assessing purchaser needs, diagnosing problems, qualifying opportunities, and producing revenue.
What promoting focuses on building lengthy time period relationships with customers?Relationship promoting is a approach in which a sales rep prioritizes their connection with the patron over all different components of the sale. They enhance have confidence — commonly by means of including fee and spending a lot of time with potentialities — earlier than attempting to close.
What is the important philosophy of marketing?Marketing is referred to as the procedure of creating, communicating and handing over merchandise for the clients in order to satisfy their desires and wants. The reason of a advertising and marketing philosophy is to pick out these wants and fulfil them.
Learn more about selling philosophy here:
https://brainly.com/question/29508682#SPJ4The difference between a perfectly competitive firm and a monopolistically competitive firm is that a monopolistically competitive firm faces a:
a. horizontal demand curve and price equals marginal cost in equilibrium.
b. horizontal demand curve and price exceeds marginal cost in equilibrium.
c. downward-sloping demand curve and price equals marginal cost in equilibrium.
d. downward-sloping demand curve and price exceeds marginal cost in equilibrium.
According to the question, option d—a straight down demand curve and an equilibrium price greater than the marginal cost—is the correct response.
What does science mean when it refers to equilibrium?
In physics, a system is said to be in equilibrium when neither its actual energy state nor its state or motion tend to vary over time. In order to avoid falling over while moving or standing, both humans and animals have a physiological sense of balance.
What sort of equilibrium is that?
Several instances of equilibrium include: a book that is open and at rest. a vehicle that is going steadily. a chemical reaction that both the forward and backward rates of reaction are equivalent.
To know more about Equilibrium visit:
https://brainly.com/question/28527601
#SPJ4
the chief audit executive set up a computerized spreadsheet to facilitate the risk assessment process involving a number of different divisions in the organization. the spreadsheet included the following factors: pressure on divisional management to meet profit goals complexity of operations competence of divisional personnel the monetary amount of subjectively influenced accounts in the division, such as accounts in which management’s judgment can affect the expense, e.g., postretirement benefits the cae used a group meeting of internal audit managers to reach a consensus on the competence of divisional personnel. other factors were assessed as high, medium, or low by either the cae or an internal audit manager who had performed an engagement at the division. the cae assigned a weight ranging from 0.5 to 1.0 to each factor and then computed a composite risk score. which statement is true? the risk analysis is not appropriate because it mixes both quantitative and qualitative factors, thereby making expected value calculations impossible. the weighting is subjective and should have been determined through a process such as multiple-regression analysis. assessing factors at discrete levels such as high, medium, and low is inappropriate for the risk assessment process because the ratings are not quantifiable. using a subjective group consensus to assess personnel competence is appropriate.
Assessing factors at discrete levels such as high, medium, and low is inappropriate for the risk assessment process because the ratings are not quantifiable.
The definition of quantifiable is something that can be measured or counted. An example of quantifiability is the number of people in a room. your dictionary. Quantifiable.
Quantitative skills are skills that involve the use or manipulation of numbers. It is the ability to reason with numbers. For example, statistics, economics, and algebra are fields where quantitative skills are essential, but quantitative tools appear in all fields.
When you quantify something, make it a number. Answer 5 when asked to quantify the fingers on your hand. If you like mathematics, this word is for you: Quantification is counting or representing something with numbers.
Learn more about Quantitative skills https://brainly.in/question/15280228
#SPJ4