From 2012 to 2018, which pricing model (performance, cpm, hybrid) has brought in the most revenue? group of answer choices

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Answer 1

The performance pricing model has brought in the most revenue from 2012 to 2018.

The performance pricing model is based on the achievement of specific performance goals or metrics set between the advertiser and the publisher. Advertisers pay based on the performance of their ads, such as the number of clicks, conversions, or impressions generated.

To determine which pricing model brought in the most revenue, we would need access to specific revenue data from 2012 to 2018. Without this information, we cannot provide a definitive answer.

However, the performance pricing model is often favored by advertisers because it allows them to align their spending with measurable results. This model incentivizes publishers to optimize their ad placements and targeting strategies to maximize performance and generate higher revenue.

The CPM (cost per thousand impressions) pricing model charges advertisers based on the number of impressions their ads receive, while the hybrid pricing model combines elements of both performance and CPM models. The effectiveness of these models in generating revenue would depend on the specific advertising campaigns, industry, and market conditions.

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Middle managers occupy the management level that falls between the operating employees and first-line managers. True or false?.

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True. Middle managers are responsible for managing a group of first-line managers and are positioned between the operating employees and first-line managers in the management hierarchy.

When an organisational structure is laid out in a hierarchical manner, the chain of command or the level of position and ranking resembles a pyramid. This organisational structure consists of many organisations, and every employee—aside from the CEO or president—of the company reports to someone else.When an organisational structure is set up in a hierarchical fashion, the level of position and ranking, or the chain of command, resembles a pyramid. With the exception of the CEO or president, every employee of the firm reports to a different organisation in this organisational structure.

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a company suffered a fire loss on april 20, 2024. the company's last physical inventory was taken january 30, 2024, at which time the inventory totaled $224,000. sales from january 30 to april 20 were $604,000 and purchases during that time were $454,000. the company consistently reports a 20% gross profit. the estimated inventory loss is:

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The estimated inventory loss due to the fire can be calculated as follows:

The company's last physical inventory was taken on January 30, 2024, with a total value of $224,000. Sales from January 30 to April 20 amounted to $604,000, and purchases during that period were $454,000. The company consistently reports a gross profit of 20%. We need to determine the estimated inventory loss.

To calculate the estimated inventory loss, we need to consider the cost of goods sold (COGS) during the period between the last physical inventory and the date of the fire. COGS represents the direct costs associated with producing or acquiring the goods sold.

First, we calculate the COGS by subtracting the gross profit from the sales:

COGS = Sales - Gross Profit

COGS = $604,000 - (20% of $604,000)

COGS = $604,000 - $120,800

COGS = $483,200

Next, we determine the change in inventory during the period:

Change in Inventory = Purchases - COGS

Change in Inventory = $454,000 - $483,200

Change in Inventory = -$29,200

Since the change in inventory is negative, it indicates a decrease in inventory value. Therefore, the estimated inventory loss due to the fire is $29,200.

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1) For any good (or service), a change in any factor except for ________ would shift the demand curve
Group of answer choices
The weather
​The interest rate
​The good's (own) selling price
​All of the above
2) The upward slope that is typical of virtually all supply curves implies that
Group of answer choices
There is no clear relationship between price and quantity supplied
As its price falls, the quantity supplied of a good will increase
As its price rises, the quantity supplied of a good will increase
We can predict how much of a good will be supplied, but only at the equilibrium price level
3) If, for some reason, the current market price for a good is below its (true) equilibrium price, we would expect that
Group of answer choices
buyers for the good will start to outnumber sellers, which eventually forces the price back down towards equilibrium
buyers for the good will start to outnumber sellers, which eventually forces the price back up towards equilibrium
sellers for the good will start to outnumber buyers, which eventually forces the price back down towards equilibrium
sellers for the good will start to outnumber buyers, which eventually forces the price back up towards equilibrium
4) Which of the following scenarios correctly illustrates the "indifference principle"?
Group of answer choices
If one business opportunity is much riskier than another, then eventually the riskier one will always produce lower returns (or profits)
If two business opportunities are equally attractive in every possible way, then eventually they will produce basically identical returns (or profits)
If one occupation (for example, garbage collection) is more difficult (or unpleasant) than most others, then eventually no one will be willing to perform that kind of work because it necessarily will pay very low wages
In long-run equilibrium, people will decide what occupation to work in based only on the wages that the occupation pays, and not on account of any other factor

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For any good (or service), a change in any factor except for the good's (own) selling price would shift the demand curve. The upward slope that is typical of virtually all supply curves implies that As its price rises, the quantity supplied of a good will increase. If, for some reason, the current market price for a good is below its (true) equilibrium price,.

We would expect that buyers for the good will start to outnumber sellers, which eventually forces the price back up towards equilibrium. If two business opportunities are equally attractive in every possible way, then eventually they will produce basically identical returns (or profits) is the scenario that correctly illustrates the "indifference principle." Therefore, the correct answer is: The weather The good's (own) selling price As its price rises, the quantity supplied of a good will increase buyers for the good will start to outnumber sellers, which eventually forces the price back up towards equilibrium If two business opportunities are equally attractive in every possible way, then eventually they will produce basically identical returns (or profits).

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Annual demand for a product is 16,120 units; weekly demand is 310 units with a standard deviation of 55 units. The cost of placing an order is $145, and the time from ordering to receipt is four weeks. The annual inventory carrying cost is $0.55 per unit. a. What is the economic order quantity

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The economic order quantity (EOQ) for this product is approximately 29,148 units.

The economic order quantity (EOQ) is a concept in inventory management that determines the optimal quantity of inventory to order or produce in order to minimize total inventory costs. It is based on the trade-off between holding costs (costs associated with storing inventory) and ordering costs (costs associated with placing orders and receiving inventory).

To find the economic order quantity (EOQ), we can use the following formula:
EOQ = √((2 * annual demand * cost per order) / annual carrying cost)

-
Annual demand = 16,120 units
- Cost per order = $145
- Annual carrying cost = $0.55 per unit

Substituting the values into the formula:
EOQ = √((2 * 16,120 * 145) / 0.55)

Simplifying the expression:
EOQ = √(467,840,000 / 0.55)
EOQ = √850,618,181.82
EOQ ≈ 29,147.51

Therefore, this product's economic order quantity (EOQ) is roughly 29,148 units.

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In a competitive labor market, an increase in the minimum wage results in a(n) __________ in the quantity of labor supplied and a(n) __________ in the quantity of labor demanded.

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In a competitive labor market, an increase in the minimum wage results in a decrease in the quantity of labor supplied and an increase in the quantity of labor demanded.



When the minimum wage is increased, it means that employers are legally required to pay their employees a higher wage. As a result, some workers who were previously willing to work for lower wages may choose not to work at all because the higher minimum wage makes it less attractive for them. This leads to a decrease in the quantity of labor supplied.
On the other hand, the increase in the minimum wage also means that employers are willing to hire more workers at the higher wage rate. This is because the higher wage makes it more attractive for employers to hire additional workers as they can now expect a higher level of productivity from each worker. Therefore, there is an increase in the quantity of labor demanded.

To summarize, an increase in the minimum wage in a competitive labor market leads to a decrease in the quantity of labor supplied as some workers choose not to work, and an increase in the quantity of labor demanded as employers are willing to hire more workers at the higher wage rate. This is because the higher wage rate affects the decisions of both workers and employers in the labor market.

In conclusion, in a competitive labor market, an increase in the minimum wage results in a decrease in the quantity of labor supplied and an increase in the quantity of labor demanded.

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In the long run a monopoly will tend toward ___________ profits because economic profits would attract resources trying to overcome barrie

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In the long run, a monopoly will tend toward zero economic profits as barriers to entry are eventually overcome, leading to increased competition and lower profits.

In the long run, a monopoly will tend toward zero economic profits because economic profits would attract resources trying to overcome barriers to entry and enter the market.

A monopoly occurs when a single company dominates the market and has exclusive control over the production and sale of a particular product or service. This allows the monopolistic firm to set prices higher than its costs and earn positive economic profits in the short run.

However, in the long run, barriers to entry prevent new firms from entering the market and competing with the monopoly. These barriers could include high start-up costs, patents or copyrights, control over key resources, or economies of scale.

If the monopoly is earning economic profits, it will attract new firms that want to share in those profits. These new firms will invest resources to overcome the barriers to entry and enter the market, which will increase competition.

As more firms enter the market, the monopoly's market share and ability to set high prices will decrease. This increased competition will drive down prices and reduce the monopoly's economic profits. In the long run, the competition will erode the monopoly's ability to earn economic profits, and it will tend toward zero economic profits.

Conclusion in one line: In the long run, a monopoly will tend toward zero economic profits as barriers to entry are eventually overcome, leading to increased competition and lower profits.

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experience indicates that the probability of a favorable recommendation for a customer who will eventually not default is 0.80, and the chance of a favorable recommendation for a customer who will eventually default is 0.15. a) if the bank choices to not purchase the additional credit report, what should the bank do assuming they are an emv maximizer? b) will the bank change its decision in part a if the customer had a 2% chance of defaulting?

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a) If the bank chooses not to purchase the additional credit report, they should recommend that the customer does not default.

b) No, the bank will not change its decision in part a if the customer had a 2% chance of defaulting.

a) This is because the probability of a favorable recommendation for a customer who will not default is higher (0.80) compared to a customer who will eventually default (0.15).

b) This is because the probability of a favorable recommendation for a customer who will not default is still higher (0.80) compared to a customer who will eventually default (0.15). The bank should still recommend that the customer does not default.

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which of the following is a correct statement? adopting the cloud services does not help with projecting the future capacity needs. adopting iaas, a business may save 10% to 20% of the it budget. adopting the cloud services does not reduce the energy costs. adopting the cloud services does not help with projecting the future capacity needs.

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The correct statement is: "Adopting the cloud services does not help with projecting the future capacity needs."

Adopting cloud services actually helps with projecting future capacity needs. Cloud computing provides scalability and flexibility, allowing businesses to easily adjust their computing resources according to their changing needs. With cloud services, organizations can scale up or down their infrastructure and resources based on demand, ensuring they have the necessary capacity to meet their requirements.

Cloud providers offer various tools and features that enable businesses to monitor and analyze their resource usage, allowing them to make informed decisions and accurately project their future capacity needs.

In contrast, the other statements are incorrect. Adopting Infrastructure as a Service (IaaS) can indeed help save costs, typically ranging from 10% to 20% of the IT budget. By leveraging cloud infrastructure, businesses can avoid large upfront investments in hardware and reduce the need for ongoing maintenance and upgrades.

Cloud services can also lead to energy cost reduction as they provide efficient resource utilization and enable businesses to leverage shared infrastructure, reducing the overall energy consumption compared to traditional on-premises setups.

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liquidity is: question 14 options: a measure of the use of debt in a firm's capital structure. equal to the book value of a firm's total assets minus its total liabilities. equal to the market value of a firm's total assets minus its total liabilities. valuable to a firm even though liquid assets tend to be less profitable to own. generally most closely associated with intangible, rather than tangible, assets.

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Liquidity refers to a company's ability to meet short-term financial obligations. It is not tied to debt or book value, but rather to readily available cash or easily convertible assets. Tangible assets are more closely associated with liquidity than intangible assets.



Liquidity refers to the ability of a company to meet its short-term financial obligations. It is not directly related to the use of debt in a firm's capital structure or the book value of assets minus liabilities. Instead, liquidity is typically associated with the availability of cash or easily convertible assets that can be used to cover immediate expenses.

The market value of a firm's total assets minus liabilities does not necessarily represent its liquidity, as market values can fluctuate. While liquid assets may be less profitable to own compared to investments with higher returns, they are still valuable to a firm as they provide financial flexibility and ensure that the company can meet its day-to-day operational needs.

Liquidity is generally more closely associated with tangible assets, such as cash, marketable securities, and inventory, rather than intangible assets. Tangible assets are readily convertible into cash and can be used to fulfill short-term obligations, enhancing a company's liquidity position.

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Saige invests $400 into an account with a 2.3% interest rate that is compounded semiannually. How much money will she have in this account if she keeps it for 5 years

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Saige will have approximately $448.81 in her account after 5 years if she keeps her $400 investment with a 2.3% interest rate compounded semiannually.



To find out how much money Saige will have in her account after 5 years, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:
A = the final amount (the amount she will have in her account after 5 years)
P = the principal amount (the initial investment of $400)
r = the annual interest rate (2.3%)
n = the number of times interest is compounded per year (semiannually, so n = 2)
t = the number of years (5)

Using this formula, we can plug in the values and calculate the final amount:

A = 400(1 + 0.023/2)^(2 * 5)

Simplifying this equation step by step:

A = 400(1 + 0.0115)^(10)

A = 400(1.0115)^(10)

A = 400 * 1.12201819
A ≈ 448.81

So, Saige will have approximately $448.81 in her account after 5 years if she keeps her $400 investment with a 2.3% interest rate compounded semiannually.
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Which one of the following statements is NOT correct about different types of institutional investors?
a) Pension funds are likely to have an allocation to participate in emerging market asset classes, though often have limited capacity and expertise.
b) Insurance companies are likely to have an allocation to participate in emerging market asset classes and tend to have large investment teams with expertise in emerging market investment.
c) Sovereign wealth funds have the most varied allocation and capacity to participate in emerging market asset classes, with great variance in allocations and capacity from fund to fund.
d) Commercial banks and investment banks often have the largest allocation and the strongest capacity to participate in emerging market asset classes.

Answers

False statement: d) Commercial banks and investment banks frequently have the largest allocations and the greatest potential to invest in emerging market asset classes.

The true statement regarding various institutional investor types that is FALSE is: d) Commercial banks and investment banks frequently have the largest allocations and the greatest potential to invest in emerging market asset classes. Although it is true that commercial banks and investment banks have sizable allocations and the ability to participate in emerging market asset classes, it is not realistic to say that they invariably do. Depending on the particular organisation and its investing plan, institutional investors' ability and allocation can differ significantly. Other institutional investors with significant allocations and experience in developing market assets include sovereign wealth funds, pension funds, and insurance firms. Therefore, generalizing that commercial banks and investment firms are the same In this situation, banks always have the most allocation and capacity.

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In the absence of trade, what would be the relative price of apples (papple/pbanana) at home? why

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In the absence of trade, the relative price of apples (papple/pbanana) at home would be determined by the domestic supply and demand for apples and bananas. The relative price reflects the ratio of the prices at which apples and bananas are exchanged in the domestic market.

If the domestic supply of apples is high relative to the demand, the price of apples may decrease compared to bananas, resulting in a lower relative price (papple/pbanana). Conversely, if the demand for apples exceeds the domestic supply, the price of apples may increase relative to bananas, leading to a higher relative price.
Various factors such as production costs, availability of resources, technological advancements, consumer preferences, and government policies can influence the relative prices of goods in the absence of trade. Therefore, without considering international trade, the relative price of apples at home will depend on the dynamics of the domestic market for apples and bananas.

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Determine the equation of the parabola whose graph is given below. Enter your answer in general form. A parabola that opens downward graphed on a coordinate plane.

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The equation of a parabola in general form is given by:y = ax^2 + bx + c


For a parabola that opens downward, the coefficient of the x^2 term (a) will be negative. To determine the equation of the parabola given the graph, we need to find the values of a, b, and c. Locate the vertex of the parabola on the graph. . Determine the x-coordinate of the vertex. This will be the value of x where the parabola reaches its minimum.  Use the x-coordinate of the vertex to find the y-coordinate of the vertex.


Substitute the coordinates of the vertex (x, y) into the equation y = ax^2 + bx + c to obtain one equation.  Choose two other points on the parabola and substitute their coordinates (x, y) into the equation to obtain two additional equations. . Solve the system of equations to find the values of a, b, and c. Write the equation of the parabola in general form, using the determined values of a, b, and c.

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Or the make-or-buy decision ________. incremental revenues are $45 per unit differential costs are $45 per unit incremental costs are $35 per unit net relevant costs are $35 per unit

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The make-or-buy decision refers to the choice between producing a product internally or purchasing it from an external supplier.

In this case, the decision would depend on the net relevant costs. If the net relevant costs of producing the product internally are lower than the cost of buying it, it would be more favorable to make the product. However, if the net relevant costs of buying the product are lower, it would be more beneficial to buy it.

The net relevant costs take into account incremental revenues, differential costs, and incremental costs. In this scenario, if the net relevant costs of producing the product internally are $35 per unit, and the incremental revenues are $45 per unit, it would be more cost-effective to make the product internally rather than buying it.

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The reserve ratio for this bank is 12 percent. If the required reserve ratio is 10 percent, then this bank has excess reserves of _____.

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To calculate the excess reserves for the bank, we need to subtract the required reserves from the total reserves.

Given that the reserve ratio for this bank is 12 percent and the required reserve ratio is 10 percent, we can calculate the excess reserves as follows:

Excess reserves = Total reserves - Required reserves

Since the required reserve ratio is 10 percent, the bank is required to hold 10 percent of its deposits as reserves.

Therefore, the excess reserves would be equal to 12 percent minus 10 percent.

Excess reserves = 12% - 10% = 2%

So, this bank has excess reserves of 2 percent.


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The aggregate production function connects: products to the sales revenue they generate. the output from machinery to the use of labor. inputs of physical capital to outputs of human capital. GDP to labor, human capital, and physical capital.

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The aggregate production function connects GDP to labor, human capital, and physical capital. It helps us understand how these inputs contribute to the overall output of an economy. Option D



Option A is incorrect because the aggregate production function is not directly related to sales revenue. It focuses on the physical production process rather than the monetary aspect.

Option B is partially correct. The aggregate production function does consider the relationship between output from machinery and the use of labor. However, it is not limited to just these two factors.

Option C is incorrect. The aggregate production function does not specifically link inputs of physical capital to outputs of human capital. It focuses on the combination of physical capital and labor as inputs to the production process.

Option D is the most accurate choice. The aggregate production function connects GDP, which represents the total output of an economy, to the inputs of labor, human capital, and physical capital. It highlights the role of these factors in determining the level of economic output.
Optiomn D

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twenty years ago, mateo started an investment account with $2,000. he then invested $100 into the account every month at the end of each month. today, he has $46,528 in the same account. what is the term for the $100 monthly cash flows?

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The term for the $100 monthly cash flows that Mateo invested into the account is commonly referred to as "monthly contributions" or "monthly deposits."

In this scenario, Mateo started with an initial investment of $2,000 and made additional contributions of $100 at the end of each month for a period of twenty years. These regular monthly cash flows contributed to the growth of the investment account over time.

By consistently adding $100 every month, Mateo increased the principal amount in the account and allowed it to benefit from the power of compounding. The combined effect of the initial investment and the regular monthly contributions resulted in the account balance reaching $46,528 after twenty years.

So, to summarize, the $100 monthly cash flows are often referred to as "monthly contributions" or "monthly deposits" in the context of this investment account.

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gain generated from the sale of an equity security may be labeled a peripheral activity by one firm but is considered a core activity by another firm

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The labeling of gain generated from the sale of an equity security as a peripheral or core activity can vary among firms and depends on their specific business models, strategies, and priorities.

There is no universally defined categorization for such gains. However, the distinction between peripheral and core activities can be understood as follows:

1. Peripheral activities: These are typically secondary or incidental activities that are not central to a firm's primary operations or strategic focus. They may include activities such as one-time asset sales, non-recurring gains, or activities that are not directly related to the core business. For a firm that primarily engages in other operations, such as providing services or manufacturing products, gains from the sale of equity securities might be considered peripheral.

2. Core activities: These are the primary operations or functions that define a firm's main business. Core activities are essential to the company's strategic objectives and revenue generation. For a firm whose primary business revolves around investments or securities trading, gains from the sale of equity securities would likely be considered a core activity as it aligns with their core business model and primary source of income.

It's important to note that the categorization of gain from the sale of equity securities as peripheral or core can be subjective and vary based on individual company strategies, industry norms, and accounting practices. The characterization can also be influenced by regulatory requirements, reporting standards, and tax considerations. Ultimately, it is up to each firm to determine how they classify and prioritize various activities within their overall business operations.

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write a management brief (a 500-1,000 word paper) discussing the importance of corporate responsibility to the organization.

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Corporate responsibility is crucial to organizations as it enhances reputation, attracts stakeholders, and fosters long-term sustainability.

Corporate responsibility encompasses the ethical, social, and environmental responsibilities that organizations have towards their stakeholders and the communities they operate in. By engaging in responsible business practices, organizations can build a positive reputation, which not only attracts customers but also encourages employee loyalty and enhances investor confidence. Furthermore, demonstrating commitment to social and environmental issues helps organizations address global challenges, contribute to sustainable development, and mitigate risks. Ultimately, corporate responsibility is essential for long-term success and the creation of shared value for both the organization and society.

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In​ argentina, authorities attempt to stop shipments of pirated​ merchandise, but inadequate resources and slow court procedures hamper enforcement. This example shows that​ ________.

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In Argentina, authorities attempt to stop shipments of pirated merchandise, but inadequate resources and slow court procedures hamper enforcement. This example shows that the efforts to combat piracy are hindered by limited resources and inefficient legal processes.

To begin, inadequate resources refer to a lack of manpower, technology, and funding necessary to effectively combat piracy. Without sufficient resources, authorities may struggle to monitor and intercept illegal shipments, making it difficult to effectively enforce anti-piracy measures.

Additionally, the slow court procedures further impede enforcement. Delays in the legal system can prolong the process of prosecuting piracy cases, allowing criminals to continue their activities. This lack of efficiency undermines the authorities' attempts to stop the distribution of pirated merchandise.

Overall, this example highlights the importance of adequate resources and efficient legal procedures in combating piracy effectively. By addressing these shortcomings, authorities can enhance their enforcement efforts and protect intellectual property rights more effectively.

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the allocation of the cost of a wasting asset to future periods of benefit is termed as:

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The allocation of the cost of a wasting asset to future periods of benefit is termed as depreciation.

Depreciation is an accounting method used to allocate the cost of long-term tangible assets, such as machinery, equipment, or vehicles, over their useful lives. It reflects the gradual decrease in the value or usefulness of the asset over time due to factors such as wear and tear, obsolescence, or expiration of its economic usefulness. Depreciation expense is recognized as an operating expense on the income statement and helps to match the cost of the asset with the revenues it generates during its useful life.

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which of these teams achieve high levels of task performance, member satisfaction, and team viability?

Answers

The teams that achieve high levels of task performance, member satisfaction, and team viability are the self-managed teams. What are self-managed teams? Self-managed teams are also known as self-directed teams or autonomous workgroups.

They are a group of employees who work together and hold each other responsible for a particular set of tasks or projects. The team members have a degree of autonomy and are accountable to themselves and their colleagues for the work they do and how it is done. Self-managed teams tend to be more flexible, creative, and adaptive than traditional teams. They achieve high levels of task performance, member satisfaction, and team viability. They are highly successful because they possess three key qualities:They are motivated and invested in their work. Self-managed teams are self-driven and committed to their work. Because they are invested in their jobs, they take pride in their work and strive to do it well.They are flexible. Self-managed teams can adapt to change and learn from mistakes. They use their knowledge and experience to find creative solutions to problems and innovate when necessary.

They are collaborative. Self-managed teams work together, pooling their knowledge and skills to achieve common goals. They share ideas and insights, and they support each other to reach their objectives.In summary, the self-managed teams achieve high levels of task performance, member satisfaction, and team viability.

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How much does a price floor of $5 cost the government if it maintains the price floor by buying any surplus corn?

Answers

The cost to the government of maintaining a price floor of $5 and buying any surplus corn depends on the quantity of surplus corn and the market price.



1. Price floor: A price floor is a government-imposed minimum price set above the equilibrium price in a market. In this case, the price floor is $5 per unit of corn. 2. Surplus corn: When the price floor is set above the equilibrium price, it creates a surplus of corn because the quantity supplied exceeds the quantity demanded at the higher price. 3. Buying surplus corn: To maintain the price floor, the government can choose to buy the surplus corn from the market. By doing so, the government removes the excess supply and supports the price at $5. 4. Cost calculation: The cost to the government depends on the quantity of surplus corn it needs to buy and the market price. If the market price is below $5, the government will need to buy the entire surplus at the price floor of $5 per unit.


To calculate the cost, the government needs to multiply the quantity of surplus corn by the price floor of $5 per unit. For example, if there is a surplus of 1,000 units of corn, the cost to the government would be $5 per unit multiplied by 1,000 units, resulting in a total cost of $5,000. In summary, the cost to the government of maintaining a price floor of $5 and buying any surplus corn depends on the quantity of surplus corn and the market price.

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a corporation has assets of br . 995,000 liabilities of br . 590,000 and capital of br . 250,000. what is the amount if its retained earning?

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Retained earnings is the amount of profit that a corporation has not distributed to shareholders which is 155,000.

Calculate the total equity: Total equity = Assets - Liabilities

In this case, the total equity is 995,000 - 590,000 = 405,000

Subtract the capital: Retained earnings = Total equity - Capital

In this case, the retained earnings is 405,000 - 250,000 = 155,000

Therefore, the retained earnings of the corporation is 155,000.

Here is the formula for calculating retained earnings:

Retained earnings = Total equity - Capital

Retained earnings is the portion of the corporation's profits that is not distributed to shareholders as dividends. It is used to fund the corporation's operations and growth.

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U.S. Treasury bonds owned by U.S. households, institutions, and government entities are referred to as

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U.S. Treasury bonds owned by U.S. households, institutions, and government entities are commonly referred to as "domestic holdings" or "domestic debt holdings."

U.S. Treasury bonds owned by U.S. households, institutions, and government entities are commonly referred to as "U.S. Treasury debt" or "U.S. Treasury securities." These securities are debt instruments issued by the U.S. Department of the Treasury to finance the operations and obligations of the federal government.

U.S. Treasury securities come in various forms, including Treasury bills (T-bills), Treasury notes (T-notes), and Treasury bonds (T-bonds), each with different maturities. They are considered to be relatively low-risk investments as they are backed by the full faith and credit of the U.S. government.

Households, institutions such as banks, mutual funds, and pension funds, and government entities at various levels (federal, state, and local) can all own U.S. Treasury bonds as part of their investment portfolios. These bonds are often seen as a safe haven and are widely used for capital preservation, income generation, and diversification purposes.

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the financial statement that summarizes the revenue and expenses and resulting net income (or loss) over a specified time period is called the

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The financial statement that summarizes the revenue and expenses, as well as the resulting net income or loss over a specified time period, is called the income statement.

What is the financial statement that summarizes revenue, expenses, and net income (or loss) over a specified time period called?

The income statement provides a comprehensive overview of a company's financial performance during a specific period, typically a month, quarter, or year.

It showcases the revenue generated from the company's primary operations, the expenses incurred in generating that revenue, and the resulting net income or loss.

By presenting the financial results in a systematic manner, the income statement helps stakeholders assess the profitability and operational efficiency of the company.

It is an essential tool for decision-making, financial analysis, and evaluating the company's overall financial health and performance.

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Of the following​ accounts, which might appear in the adjusted trial​ balance, but not in the post−closing trial​ balance?
A.Income Summary
B.​Owner's Capital
C.Accounts Payable
D.Salary Expense

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The Income Summary account is used during the closing process to transfer the temporary revenue and expense accounts to the retained earnings or owner's capital account.

After the closing entries are made, the Income Summary account should have a zero balance and will not appear in the post-closing trial balance. The other options, B. Owner's Capital, C. Accounts Payable, and D. Salary Expense, are permanent accounts and will carry forward to the post-closing trial balance since they are not closed at the end of the accounting period.

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universal containers created a new job posting on the first of the month. it triggered a process scheduled action that will send a chatter post to the department vp in 30 days if the position is still open and the status is not equal to interviewing. on the 10th of the month, an applicant interviews and the job posting status is updated to interviewing. what will happen to the chatter post in this situation?

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In this situation, the scheduled action to send a chatter post to the department VP in 30 days will be canceled because the job posting status has been updated to "interviewing" before the 30-day period.

The scheduled action was triggered to send a chatter post to the department VP after 30 days if the position is still open and the status is not equal to "interviewing." However, on the 10th of the month, an applicant interviews for the position, and the job posting status is updated to "interviewing." Since the status now matches the condition for the scheduled action, the system will recognize this change and cancel the chatter post action. As a result, the chatter post will not be sent to the department VP since the job posting status has been updated to "interviewing" within the 30-day period.

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Final answer:

The chatter post will not be sent because the job posting status was updated to interviewing.

Explanation:

In this situation, the chatter post will not be sent to the department VP. Since the job posting status was updated to interviewing on the 10th of the month, it means that the status is no longer equal to 'not equal to interviewing', which is the condition for sending the chatter post. Therefore, the process scheduled action will not be triggered and the chatter post will not be sent.

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does accounting profit or economic profit determine how entrepreneurs allocate resources between different business ventures

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When entrepreneurs are making decisions about allocating resources between different business ventures, they typically consider both accounting profit and economic profit. Accounting profit refers to the difference between a company's total revenue and explicit costs, such as wages, rent, and materials. On the other hand, economic profit takes into account both explicit costs and implicit costs, which are the opportunity costs of using resources in a particular venture.

Entrepreneurs often use economic profit as a more comprehensive measure when deciding how to allocate resources. This is because economic profit considers not only the financial costs of a venture but also the foregone opportunities that could have been pursued with those resources. By considering both accounting profit and economic profit, entrepreneurs can make more informed decisions about the most efficient and profitable use of their resources.


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On a statement of cash flows for a manufacturer of digital thermometers, the cash flows from operating activities would include: Group of answer choices increases in the manufacturer's inventory the sale of land adjacent to the manufacturer's administrative office building the money borrowed from the bank to start the company repayment of long-term loan by a wholesaler of weather-related items purchase of new $25,000 copying machine

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On a statement of cash flows for a manufacturer of digital thermometers, the cash flows from operating activities would include increases in the manufacturer's inventory and the repayment of long-term loan by a wholesaler of weather-related items.

On a statement of cash flows for a manufacturer of digital thermometers, the cash flows from operating activities refer to the cash inflows and outflows directly related to the company's core operations. In this context, the following items would be included:

1. Increases in the manufacturer's inventory: This refers to the cash spent by the manufacturer to acquire additional inventory, such as raw materials or finished products, necessary for the production and sale of digital thermometers. It represents a cash outflow.

2. The sale of land adjacent to the manufacturer's administrative office building: If the manufacturer sells land that is not directly related to its core operations (i.e., the production and sale of digital thermometers), the cash received from the sale would be considered a cash inflow from an investing activity rather than an operating activity. Therefore, it would not be included in the cash flows from operating activities.

3. The money borrowed from the bank to start the company: Cash borrowed from a bank to finance the initial setup and operations of the manufacturer would not be considered a cash flow from operating activities. It would be classified as a cash inflow from a financing activity since it represents an external source of funding for the company.

4. Repayment of long-term loan by a wholesaler of weather-related items: The repayment of a long-term loan received by a wholesaler, which is unrelated to the manufacturer's operations, would not be included in the manufacturer's statement of cash flows. It is a cash outflow from the perspective of the wholesaler and represents a financing activity for them.

5. Purchase of a new $25,000 copying machine: The cash spent by the manufacturer to purchase a copying machine would be considered a cash outflow from operating activities if the copying machine is necessary for the day-to-day operations of the business, such as creating product documentation or administrative tasks.

To summarize, the cash flows from operating activities in the statement of cash flows for a manufacturer of digital thermometers would typically include increases in inventory and the purchase of essential operating assets. Other transactions such as land sales or loans obtained to start the company or repayments made by unrelated parties would not be included in this category.

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