Is the following statement true or false?
"Tailoring is focused on deleting unnecessary activities.
Additional activities cannot be added during the tailoring
process."

Answers

Answer 1

False,Tailoring is an important process of project management that focuses on selecting a subset of project management activities to use.It's essential to review the process regularly and adjust it accordingly to achieve project success.

It is aimed at developing a process that is suitable for the specific needs of the project.Tailoring is also focused on customizing activities to meet the needs of a specific project or environment. Therefore, it's possible to add or subtract activities based on the situation at hand. Additionally, tailoring is a continuous process that occurs throughout the project life cycle. Therefore, it's essential to review the process regularly and adjust it accordingly to achieve project success.

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Nipigon Manufacturing has a cost of debt of 9%, a cost of equity of 11%, and a cost of preferred stock of 10%. Nipigon currently has 120,000 shares of common stock outstanding at a market price of $25 per share. There are 49,000 shares of preferred stock outstanding at a market price of $38 a share. The bond issue has a face value of $950,000 and a market quote of 106 . The company's tax rate is 40%. Required: Calculate the weighted average cost of capital for Nipigon. You must show and clearly label all calculations to receive full marks. You can enter your calculations in the space provided below or you can upload them to the drop box provided in the Assignments area.

Answers

Answer:Therefore, the weighted average cost of capital for Nipigon Manufacturing is 10.3%.The calculation of weighted average cost of capital for Nipigon Manufacturing are as follows:

Calculations:

Weighted average cost of capital (WACC) is:WACC = (4,862,000 / (4,862,000 + 1,007,000)) × 5.4% + (3,000,000 / (4,862,000 + 1,007,000)) × 11% + (1,862,000 / (4,862,000 + 1,007,000)) × 10%WACC = 0.665 × 5.4% + 0.346 × 11% + 0.289 × 10%WACC = 3.6% + 3.81% + 2.89%WACC = 10.3%

Common StockMarket value = $25

Number of shares = 120,000

Value of equity = 25 × 120,000 = $3,000,000

Preferred StockMarket value = $38Number of shares = 49,000Value of equity = 38 × 49,000 = $1,862,000Total value of equity = 3,000,000 + 1,862,000 = $4,862,000DebtMarket value = 950,000 × 1.06 = $1,007,000Weighted cost of debt = 9% × (1 - 0.4) = 5.4%

Cost of equity = 11%Cost of preferred stock = 10%

Answer:Therefore, the weighted average cost of capital for Nipigon Manufacturing is 10.3%.

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especially during an economic downturn creates much debate in the country because people prefer to have the money used to stimulate the economy at home.

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During an economic downturn, there can indeed be debates about various strategies to stimulate the economy, including the pricing policies adopted by businesses.

Some individuals and policymakers may argue that lowering prices during such times could encourage consumer spending and boost economic activity. The idea is that by reducing prices, businesses can make products more affordable and accessible to consumers, thereby stimulating demand and supporting the overall economy. However, it's important to note that pricing decisions are complex and influenced by several factors. While lowering prices may increase short-term demand, it can also have potential drawbacks. For instance, if prices are set too low and businesses operate at a loss, it can lead to financial instability, reduced profitability, and even closures. This, in turn, can negatively impact employment and economic growth in the long run.

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Deed often used by a bank to transfer a property that it had taken after foreclosure from the previous owner?
1) General Warranty Deed
2) Special Purpose Deed
3) Quit Claim Deed
4) Bargain and Sale Deed

Answers

In the context of a bank transferring a property it had taken after foreclosure from the previous owner, the most commonly used deed is the Bargain and Sale Deed.The correct answer is option 4.

A Bargain and Sale Deed is a type of deed that conveys the property from the bank (the grantor) to the new owner (the grantee). This deed implies that the bank acquired the property through foreclosure or some other non-voluntary means and does not provide any warranties or guarantees about the property's title or condition.

Unlike a General Warranty Deed, which guarantees the property's title and provides the highest level of protection to the grantee, the Bargain and Sale Deed only transfers the property's ownership without making any warranties.

It is a common choice for banks when transferring foreclosed properties as they typically do not want to assume any liability or responsibility for potential title issues or defects in the property.

The Special Purpose Deed and Quit Claim Deed are not typically used by banks in this specific scenario. The Special Purpose Deed is usually reserved for specific purposes or circumstances outlined in the deed itself, while the Quit Claim Deed is often used to transfer property between parties without any warranties or guarantees.

However, neither of these deeds is as commonly used by banks when transferring foreclosed properties as the Bargain and Sale Deed.

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Consider a stock that has a 17% return with probability 46%, and a return of -24% otherwise. Assume that your initial wealth level is 10, and that you invest that entire wealth in the stock. The utility you derive from your terminal wealth is given by the function .
u ( x ) = x . Thus, the expected utility from your terminal wealth is (rounded to four digits)

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Given information:A stock that has a 17% return with probability 46%.A return of -24% otherwise.The initial wealth level is 10.Utility function is u(x) = x, where x is the terminal wealth.Equation of expected utility:

Expected utility is the weighted sum of all possible outcomes of an event where the weights are the probabilities of each outcome. Hence, the equation of expected utility is given by:E(u) = (p₁u(x₁)) + (p₂u(x₂))Where,p₁ and p₂ are the probabilities of outcomes x₁ and x₂ respectively. u(x₁) and u(x₂) are the utility functions of outcomes x₁ and x₂ respectively.Let's calculate the expected utility from the given data:Here, there are two possible outcomes:x₁ = 10 + (10*17%) = 11.7x₂ = 10 + (10*-24%) = 7.6p₁ = 0.46p₂ = 1-0.46 = 0.54

Expected utility E(u) = (p₁u(x₁)) + (p₂u(x₂))= (0.46*11.7) + (0.54*7.6)= 5.382 + 4.104= 9.486 This implies that the expected utility from the terminal wealth is 9.486. Therefore, the answer is 9.486.

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In Macroland, 500,000 of the 1 million people in the country are employed. Average labor productivity in Macroland is $20,000 per worker. Real GDP per person in Macroland totals: A) $1,000. B) $40,000. C) $10,000. D) $15,000.

Answers

The real GDP per person in Macroland is $10,000,So, option (A) is correct choice.

To calculate the real GDP per person in Macroland, we need to divide the total real GDP by the population. Real GDP per person represents the average economic output per individual in the country.

Given the information provided:

Total population = 1 million

Employed population = 500,000

Average labor productivity = $20,000 per worker

To find the total real GDP, we multiply the number of employed workers by the average labor productivity:

Total real GDP = Employed population * Average labor productivity

Total real GDP = 500,000 * $20,000

Total real GDP = $10,000,000,000

To find the real GDP per person, we divide the total real GDP by the population:

Real GDP per person = Total real GDP / Total population

Real GDP per person = $10,000,000,000 / 1,000,000

Real GDP per person = $10,000

Therefore, the real GDP per person in Macroland is $10,000.

So, the correct option is C) $10,000.

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Joan, a supervisor at a publishing firm, hires her brother for a post in her company although he lacks the required credentials for the job. Joan is guilty of _____.

(a) pragmatism
(b) cronyism
(c) nepotism
(d) dogmatism

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Joan, a supervisor at a publishing firm, hires her brother for a post in her company although he lacks the required credentials for the job. Joan is guilty of cronyism. The correct option is B

Cronyism refers to the act of granting employment or other advantages to one's acquaintances, often with the idea that these people are not qualified for the job or cannot legitimately earn the position.

Cronyism can be seen in various areas, including politics, where people are given jobs because they are relatives or close friends of politicians or bureaucrats, rather than because of their skills or qualifications.

Cronyism is frequently linked to corruption because it may lead to a situation where the best candidate is passed over in favor of someone with the correct connections, which may harm the company's efficiency or even the organization's reputation.

Cronyism is frequently frowned upon, and policies may be implemented to prevent it in various organizations. Cronyism is distinct from nepotism, which involves granting advantages to family members.

Although the words are similar, cronyism is typically used to describe the act of giving jobs or other advantages to close acquaintances or friends, rather than family members. Cronyism can be harmful to the organization because it promotes inefficiency and could damage the company's reputation.

Therefore, it is important to prevent cronyism by ensuring that job candidates are chosen based on their qualifications rather than their personal relationships.

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Answer:nepotism

Explanation:

a means for marketers to get a message to consumers is known as a

Answers

The process of delivering a message to the customer base is known as a marketing channel.

A marketing channel refers to a way that marketers use to get a message to consumers. Marketing channels can be classified into several categories, including direct channels and indirect channels.

Direct channels entail delivering a marketing message to a customer via physical mail, telephone, or personal contact. For instance, direct mailing, catalogs, telemarketing, and online direct marketing are all examples of direct channels.

Indirect channels, on the other hand, do not directly involve contact between the consumer and the business owner. These channels entail the use of middlemen, such as retailers, distributors, wholesalers, or agents, to deliver the message to the customer. Indirect channels include referral marketing, affiliate marketing, content marketing, and social media marketing.

In conclusion, marketing channels serve as a means for marketers to reach out to their consumers.

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Which of the five goals governs the current state and the history of the technical baseline for stakeholders across organizations? GOAL 3: Incorporate technological innovation to improve the engineering practice GOAL 5: Transform the culture and workforce to adopt and support digital engineering across the lifecycle GOAL 2: Provide an enduring, authoritative source of truth GOAL 4: Establish a supporting infrastructure and environments to perform activities, collaborate, and communicate across stakeholders GOAL 1: Formalize the Development, Integration, and Use of Models to Inform

Answers

The goal that governs the current state and the history of the technical baseline for stakeholders across organizations is GOAL 2: Provide an enduring, authoritative source of truth.

What is a Technical Baseline? A technical baseline is a documented, detailed description of a system or project’s technical characteristics and criteria at a specific point in time. It establishes and records the present state of system or project development, which can then be used as a basis for future changes.

The Defense Science Board Task Force on Integrating Sensor-Collected Intelligence identified five goals that govern the current state and the history of the technical baseline for stakeholders across organizations. The five goals are as follows:

GOAL 1: Formalize the Development, Integration, and Use of Models to Inform GOAL

2: Provide an enduring, authoritative source of truth GOAL

3: Incorporate technological innovation to improve the engineering practice GOAL

4: Establish a supporting infrastructure and environments to perform activities, collaborate, and communicate across stakeholders

GOAL 5: Transform the culture and workforce to adopt and support digital engineering across the lifecycle Out of the five goals, the one that governs the current state and the history of the technical baseline for stakeholders across organizations is

GOAL 2: Provide an enduring, authoritative source of truth.

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ACME Manufacturing Ltd, has entered into an agreement to lease manufacturing equipment. The following terms are included in the lease: The lease is entered into on January 1, 2022. The equipment can be purchased for $125,000. The company uses straight-line depreciation. Requirement 1: Prepare the journal entry on January 1, 2022 to recognize the lease. Enter Debits before Credits and enter imounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number leave it blank or enter Requirement 1: Prepare the joumal entry on January 1, 2022 to recognize the lease. Enter Debits before Credits amounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number teave it o. Requirement 2: Record the entry for the first lease payment on January 31,2022 . Enter Debits before Credits in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number leave it blan Requirement 3 What it is the value of the outstanding lease liability on January 31,2022 ? \$ Requirement 4: Record the entry for the depreciation expense on January 31,2022 . Enter Debits before amounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a numb 0. Requirement 3 What it is the vatue of the outstanding tease liabitity on January 31,2022? s Requirement 4: Record the entry for the depreciation expense on January 31, 2022. Enter Debits before Credits and enter amounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number leave it blank or enter o. Requirement 5 : What is the carrying value of the leased equipment on December 31,2022?$

Answers

Requirement 1 Journal Entry on January 1, 2022:Debit: Equipment $125,000 Credit: Lease Obligation $125,000 Requirement 2 Journal Entry for the first lease payment on January 31, 2022:Debit: Lease Obligation $4,996

Credit: Cash $4,996[Calculation: $125,000 / 24 = $5,208.33; $5,208.33 - $212.50 (Interest: ($125,000 - $0) * 5% / 12)]

Requirement 3 Outstanding Lease Liability on January 31, 2022:

$120,004[Calculation: $125,000 - $4,996 (Principal Paid)]

Requirement 4 Journal Entry for Depreciation Expense on January 31, 2022:

Debit: Depreciation Expense $4,167

Credit:

Accumulated Depreciation $4,167[Calculation: $125,000 / 36 = $3,472.22; $3,472.22 * 2 years (since the equipment has been in use for two years)

= $6,944.44; $6,944.44 / 24 (number of months) = $289.35 per month; $289.35 * 12 months = $3,472.20]

Requirement 5 Carrying Value of the leased equipment on December 31, 2022: $91,667[Calculation: $125,000 (Cost) - $4,167 (Accumulated Depreciation) * 24 (number of months in use) = $91,667]

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What does it mean a company that allows you to license software?

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A company that allows you to license software means that they give you permission to use their software for a fee or under certain conditions.




Licensing software is a way for companies to distribute their software to users while maintaining control over its usage and protecting their intellectual property rights.When you license software from a company, you are essentially obtaining the right to use their software according to the terms and conditions outlined in the license agreement.The terms of the license agreement may vary depending on the company and the specific software being licensed.

It may specify the number of users or devices allowed to use the software, the duration of the license, and any restrictions on the usage or distribution of the software.The fee associated with licensing software can also vary. Some companies may charge a one-time fee, while others may require periodic payments, such as an annual subscription fee.By licensing software, companies can generate revenue from their software products and also provide ongoing support and updates to their customers.

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A first-year student got R180 000 that covered three years' study fees. The study loan accumulates 9% interest p.a. Calculate expected investment returns in three years' time.

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A first-year student got R180 000 that covered three years' study fees. The study loan accumulates 9% interest p.a. Calculate expected investment returns in three years' time.

In order to calculate the expected investment returns in three years' time, we need to first calculate the total amount of money that will be owed after three years due to the interest. We can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the final amount, P is the principal amount (the initial loan), r is the annual interest rate (9%), n is the number of times interest is compounded per year (we will assume it is compounded annually), and t is the number of years.

Using this formula, we can calculate the amount owed after three years: A = 180000(1 + 0.09/1)^(1*3) = 180000(1.09)^3 = R243,356.49

This means that after three years, the student will owe R243,356.49 due to the accumulated interest on the study loan.

Now, in order to calculate the expected investment returns, we need to know what the student plans to do with the R180,000 that they received. If they invest it in an account that earns interest, they can earn returns on that investment. For example, if they invest the full R180,000 into an account that earns 5% interest per year, they can expect to earn a total of:

R180,000 * (1 + 0.05)^3 = R213,813.40

This means that after three years, the student can expect to have R213,813.40 if they invest the full R180,000 in an account that earns 5% interest per year. However, if they use the full R180,000 to pay for their living expenses and do not invest any of it, they will not earn any investment returns.

Therefore, it is important for the student to carefully consider their financial options and make informed decisions about how to use the money they have received.

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Baker Industries’ net income is $23000, its interest expense is $6000, and its tax rate is 40%. Its notes payable equals $26000, long-term debt equals $75000, and common equity equals $250000. The firm finances with only debt and common equity, so it has no preferred stock. The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the questions below. Open spreadsheet What are the firm’s ROE and ROIC? Round your answers to two decimal places. Do not round intermediate calculations. ROE fill in the blank 2 % ROIC fill in the blank 3 %

Answers

ROE (Return on Equity) is a measure of a company's profitability in relation to its shareholders' equity.

It indicates how efficiently the company is generating profits from the investment made by its shareholders. To calculate ROE, we divide the net income by the average common equity.

In this case, the net income is given as $23,000, and the common equity is $250,000. Therefore,

ROE = (Net Income / Average Common Equity) * 100

ROE = (23,000 / 250,000) * 100 = 9.2%

he Return on Equity (ROE) for Baker Industries is 9.2%.

ROIC (Return on Invested Capital) is a measure of a company's profitability in relation to all of its invested capital, including both debt and equity. It considers the return generated from all sources of financing. To calculate ROIC, we divide the operating income (net income + interest expense) by the average invested capital.

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Qvothe Inc. began construction of a new facility to hold its data archives. Construction began May 1,2022 and is anticipated year 2022 . May 1, $8,700,000 August 1, $4,000,000 December 31,$5,300,000 Scenario A The company borrowed $7,000,000 on May 1,2022 with an annual interest rate of 4%. The company also had $6,000,000 3%. The company uses the specific method for capitalizing interest expense. 1. Determine the amount of weighted-average expenditures that qualify for capitalization during 2022. 2. Determine the amount of interest that would be capitalized during 2022 (round to the nearest dollar). 3. Determine the amount of interest expense that would recognized on the 2022 income statement. Scenario B The company borrowed $7,000,000 on May 1,2022 with an annual interest rate of 4%. The company also had $1,000,000 3%. 4. Determine the amount of interest that would be capitalized during 2022 (round to the nearest dollar). 5. Determine the amount of interest expense that would recognized on the 2022 income statement. py 1, 2022 and is anticipated to take two years to complete. The company had the following cash expenditures during the pany also had $6,000,000 of debt that had been outstanding since the first of the year with an annual interest rate of

Answers

Scenario A Weighted-average expenditures that qualify for capitalization during 2022

=$8,700,000+($4,000,000x8/12)+($5,300,000x1/12)

=$14,800,000

Interest to be capitalized during 2022:=$6,000,000x3%+$7,000,000x4%

=$300,000+$280,000

=$580,000

Amount of interest expense that would be recognized on the 2022 income statement=($6,000,000x3%+$7,000,000x4%)-$580,000

=$320,000

Scenario B

Interest to be capitalized during 2022:

=$1,000,000x3%+$7,000,000x4%

=$30,000+$280,000

=$310,000

Amount of interest expense that would be recognized on the 2022 income statement=($1,000,000x3%+$7,000,000x4%)-$310,000

=$310,000+($28,000)

=$338,000

Therefore, the amount of weighted-average expenditures that qualify for capitalization during 2022 is $14,800,000, the amount of interest that would be capitalized during 2022 is $580,000 for scenario A, $310,000 for scenario B, and the amount of interest expense that would be recognized on the 2022 income statement is $320,000 for scenario A, $338,000 for scenario B.

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Discuss the precautions one should take to avoid identity theft?
More than 200 words.

Answers

Identity theft is becoming a common issue nowadays. It is a serious crime that occurs when someone steals another person's personal information such as social security number, credit card numbers, and driver's license number for fraudulent activities. To avoid identity theft, you should take several precautions as outlined below.

Firstly, one should be cautious of phishing emails. This type of email attempts to lure the recipient to reveal their personal details such as their bank account information, credit card details, and login credentials. As a precaution, you should never click on any links from suspicious emails.

Secondly, you should be careful with social media. Social media platforms are common targets for hackers as they can easily access personal information such as date of birth and email addresses. One should avoid sharing too much information on social media.

Thirdly, one should monitor their financial statements regularly. Always check your bank account transactions, credit card statements, and other financial statements regularly. In this way, you can detect any fraudulent activities early.

Fourthly, one should be careful with online shopping. When shopping online, always ensure that the website is legitimate and reputable. Check for SSL encryption to secure the website and never make any payments on unsecured sites.
Lastly, one should keep sensitive information in a safe place. Personal information such as social security cards, passports, and driver's licenses should be kept in a safe place. It is advisable to have a safe or a locked file cabinet to store such items.

In conclusion, identity theft is a serious crime that affects many people. By taking these precautions, one can avoid identity theft and keep their personal information secure. Always remember to be cautious and vigilant when handling personal information to avoid identity theft.

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al and sal are twins. al is given a fourteen-year annuity with end-of-year payments. the first payment al receives, precisely one year from the date he is given the annuity, is for $150, and then subsequent payments decrease by 5% annually. sal is given an n-year level annuity that has the same present value as al's when the present values are calculated using i

Answers

The common present value of the two annuities is $2500, and the number of years for Sal's annuity is approximately 9.34 years.

To calculate the common present value of the two annuities, we need to determine the present value of Al's annuity and the number of years for Sal's annuity.

Present Value of Al's Annuity:

The first payment Al receives is $100, and subsequent payments decrease by 4% annually. This can be represented as a geometric sequence with a common ratio of (1 - 4%) = 0.96. Let's calculate the present value of this annuity using a formula for the sum of a geometric series:

PV = A / (1 - r),

where PV is the present value, A is the first payment, and r is the common ratio.

PV = $100 / (1 - 0.96) = $100 / 0.04 = $2500.

So, the present value of Al's annuity is $2500.

Number of Years for Sal's Annuity:

We are given that the present value of Sal's annuity, when calculated using a 5% interest rate (i = 0.05), is equal to the present value of Al's annuity, which is $2500. We need to find the number of years, denoted as 'n', for Sal's annuity.

PV of Sal's annuity = $1626.29.

Interest rate (i) = 5% = 0.05.

Using the formula for the present value of an ordinary annuity, we have:

PV = A * [(1 - (1 + i)⁻ⁿ) / i],

where PV is the present value, A is the payment, and n is the number of years.

$2500 = A * [(1 - (1 + 0.05)⁻ⁿ) / 0.05].

Solving this equation for 'n' requires some trial and error or an iterative approach. Let's estimate 'n' using a trial and error method:

Assume n = 10 years:

$2500 = A * [(1 - (1 + 0.05)⁻¹⁰) / 0.05],

$2500 = A * [(1 - 0.6139) / 0.05],

$2500 = A * (0.7721 / 0.05),

$2500 = A * 15.442,

A ≈ $161.80.

Using the calculated payment (A) of approximately $161.80, we can determine the present value for Sal's annuity:

PV of Sal's annuity = A * [(1 - (1 + 0.05)⁻ⁿ) / 0.05],

$1626.29 = $161.80 * [(1 - (1 + 0.05)⁻ⁿ)) / 0.05].

Solving this equation for 'n' requires an iterative approach or a numerical method. Using an iterative approach, we find that 'n' is approximately 9.34 years.

Therefore, the common present value of the two annuities is $2500, and the number of years for Sal's annuity is approximately 9.34 years.

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The complete question is:

Al is given a fifteen-year annuity with end-of-year payments. The first paymennt Al receives, precisely one year from the date he is given the annuity, is for $100, and then subsequent payments decrease by 4% annually. Sal is given an n-year level annuity that has the same present value as Al's when the present values are calculated using i=5%, the accumulated value at the end of n years of Sal's annuity is $1626.29. Find the common present value of the two annuities and then find n.

Explain the difference between a positive and negative externality.In your analysis, make sure to provide an example of each type ofexternality.Why does the government need to get involved withexternalities to bring about market efficiency?What solutions needto be provided for your examples?

Answers

Externalities are an economic concept referring to a cost or benefit that is not reflected in the prices of goods and services.

Externalities can either be positive or negative.

Positive externality:

A positive externality refers to a benefit that is not reflected in the price of a good or service that is enjoyed by people who do not consume the good or service. Positive externalities are enjoyed by the society, and the producers are not compensated. They are known as spillover benefits.Example: One example of a positive externality is the market for education. The more people who are educated, the greater the overall benefit to society. Government intervention in education is therefore justified to ensure that education levels are high enough.

Negative externality

A negative externality refers to a cost that is not reflected in the price of a good or service that is borne by people who do not consume the good or service. Negative externalities are harmful to society, and the producers are not held accountable. They are known as spillover costs.Example: An example of a negative externality is pollution from factories. If a company produces pollution, it is the environment that bears the cost of the pollution.

Government intervention is required in order to ensure that the cost of the pollution is borne by the company producing the pollution and not by the environment.

One solution to negative externalities is to implement taxes on the companies that produce the pollution. This will increase the cost of production and make it less attractive to produce pollution. Another solution is to use the cap-and-trade system, which puts a cap on the amount of pollution that can be produced and allows companies to trade pollution permits. This will ensure that the amount of pollution produced is limited while also allowing companies to continue to produce.

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Jasper Auto Inc is going to Invest in a new machine to produce Part A. The cost of the machine is s400,000. Part A will have variable cost per unit of $75.00 and the sales price per unit will be $140.00. Fixed costs will be $80,000. The machine is expected to have a life of eight years. Jasper Auto requires a return of 10% on their investments. Required: Ignoring the effect of taxes, calculate the following. Round all your answers to two decimal points. a. Accounting Break-even quantity (2 marks) b. Cash Break-even quantity ( 2 marks) c. Financial Break-even quantity (4 marks) d. Degree of operating leverage.

Answers

a) Accounting Break-even quantity:Accounting break-even point (ABEP) is the number of units a business must sell to earn zero profit and zero loss. To calculate the Accounting Break-even quantity of Jasper Auto Inc, we use the formula below:

ABEP = Fixed Cost / Contribution Margin per unit Contribution Margin per unit = Sales Price per unit - Variable Cost per unit Contribution Margin per unit = $140 - $75 = $65 Fixed Costs = $80,000ABEP = $80,000 / $65 = 1230.77 ≈ 1231 units

b) Cash Break-even quantityCash Break-even Point (CBEP) is the minimum sales required to cover the company’s variable and fixed costs and earn zero profit and zero loss. To calculate the Cash Break-even quantity of Jasper Auto Inc, we use the formula below:

CBEP = Fixed Costs / (Price per Unit - Variable Cost per unit)CBEP = $80,000 / ($140 - $75) = 1076.92 ≈ 1077 unitsc) Financial Break-even quantity.

The Financial Break-even Point (FBEP) is the quantity of products a business must sell to break even when the cost of capital is included.

To calculate the Financial Break-even quantity of Jasper Auto Inc, we use the formula below:FBEP = (Fixed Costs + (Cost of Capital x Machine Cost)) / (Sales Price per unit - Variable Cost per unit)Cost of Capital = 10% of $400,000 = $40,000FBEP = ($80,000 + ($40,000 x $400,000)) / ($140 - $75) = 13,076.92 ≈ 13,077 unitsd) Degree of operating leverage:

Degree of Operating Leverage (DOL) measures the percentage change in operating income when sales quantity changes by 1%.

To calculate the Degree of Operating Leverage, we use the formula below:

DOL = Contribution Margin / Operating IncomeContribution Margin = $140 - $75 = $65Operating Income = (Sales Quantity x Sales Price per unit) - Fixed CostDOL = $65 / [(Sales Quantity x $140) - $80,000]When Jasper Auto Inc sells 1231 units of Part A,DOL = $65 / [(1231 x $140) - $80,000]DOL = 1.70

Therefore, the Degree of Operating Leverage is 1.70.

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a record needed to perform current operations is called a(n)

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A current record is the record that is presently selected in a database or data structure, serving as the focal point for performing operations on the data set. Its presence simplifies data management tasks and improves user experience within computer systems.

A current record is a term used to refer to a record that is currently selected in a database or any other data structure. This record plays a crucial role in performing operations on the data set. It represents the record that is currently being accessed and edited by the computer system.

The concept of a current record is vital in data management systems as it enables users to efficiently manipulate data. Without a current record, users would have to locate the specific record they wish to modify each time they want to perform an operation on the data set. By having a current record, users can easily and swiftly access the desired record.

To visually distinguish the current record, it is often highlighted using different visual cues such as a distinct background color or a border around the record. This visual indication helps users identify which record is currently being accessed and edited, facilitating seamless data manipulation.

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1.
Write a proper (Operational Plan) on a Solar Battery manufacturing
& distribution business.

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Operational Plan on a Solar Battery Manufacturing and Distribution BusinessOperational Plan is one of the essential components of a business plan. It explains how an organization operates and functions. It is a plan for planning, implementing, and maintaining operations. The following is an operational plan on a solar battery manufacturing and distribution business.

Products and ServicesThe company's main product is the manufacture and distribution of solar batteries. The organization will sell the batteries to consumers directly. The solar batteries are for both commercial and residential use. The batteries will come in various sizes and capacities. The company will sell the batteries to local solar energy installers. The company will provide maintenance services for the batteries. The organization will also offer installation services for their customers.LocationThe company will operate from a rented factory in an industrial park. The industrial park is located in a convenient and accessible area for transportation of raw materials and finished products.

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Risk management forms an integral part of project management, in particular project planning. Proper risk management will lead to revision of the project schedule to ensure that it reflects the most accurate and optimal project management plan. Vulnerability, hazards and risks are all elements that need to be considered when doing project risk management. Risk management ultimately remains the responsibility of the project manager. With reference to this: 1.1 Explain the difference between a risk and a hazard. (10) 1.2 Discuss the role of the project team in project risk management. (15) 1.3 Discuss how risk assessment actions feed into risk mitigation. (15)

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1.1: A risk refers to potential events with uncertain outcomes, while a hazard is a potential source of harm or danger. 1.2: The project team actively participates in project risk management, contributing their expertise and insights to identify, assess, and mitigate risks. 1.3: Risk assessment actions inform the development of risk mitigation strategies and help prioritize and allocate resources to address potential risks.

1.1: A risk refers to the potential for uncertain events or conditions that can have a positive or negative impact on a project's objectives. A hazard, on the other hand, specifically denotes a potential source of harm, danger, or adverse event that can cause loss or damage.

1.2: The project team plays a crucial role in project risk management. They are responsible for identifying and assessing risks, contributing their expertise and insights, proposing risk mitigation strategies, and implementing risk response actions. The team's collective knowledge and experience contribute to a comprehensive understanding of project risks and enable effective risk management throughout the project lifecycle.

1.3: Risk assessment actions involve evaluating the likelihood and potential impact of identified risks, determining their priority, and quantifying their level of risk. The findings from risk assessment inform the development of risk mitigation strategies and actions. Risk mitigation aims to reduce the probability or impact of risks, and the risk assessment results help prioritize and allocate resources to the most critical risks. By implementing appropriate risk mitigation actions, the project team can proactively address potential issues, minimize negative impacts, and increase the likelihood of project success.

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For the coming year, the moped cell has the following budgeted costs and cell time (both at theoretical capacity): lels During the year, the following actual results were obtained: 1. Compute the velocity (number of models per hour) that the cell can theoretically achieve. If required, round your answer to two decimal places. model per hour minutes per model 2. Compute the actual velocity and the actual cycle time. If required, round your actual velocity answer to three decimal places. Actual velocity model per hour Actual cycle time minutes per model 3. Compute MCE. If required, round your answer to two decimal places. 4. Compute the budgeted conversion cost per minute. If required, round your answer to the nearest cent. $ per minute Using this rate, compute the conversion cost per model if theoretical output is achieved. $ per model Using this measure, compute the conversion cost per model for actual output. $ per model

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Theoretical Velocity: The moped cell can theoretically achieve a velocity of X models per hour based on the given data. (Please provide the values for "model per hour" and "minutes per model" in order to calculate the theoretical velocity.)

Actual Velocity and Cycle Time: The actual velocity and cycle time achieved by the cell during the year can be calculated based on the actual results obtained. (Please provide the values for "Actual velocity model per hour" and "Actual cycle time minutes per model" in order to calculate the actual velocity and cycle time.)

MCE Calculation: The MCE (Manufacturing Cycle Efficiency) can be determined by dividing the actual velocity by the theoretical velocity and multiplying it by 100. This will provide a percentage value representing the efficiency of the moped cell's manufacturing process.

Budgeted Conversion Cost: The budgeted conversion cost per minute can be calculated by dividing the total budgeted costs by the total cell time at theoretical capacity. Once this cost per minute is determined, it can be used to calculate the conversion cost per model for both theoretical and actual output by multiplying it by the respective cycle times.

In summary, to provide a complete answer, I would need the values for "model per hour," "minutes per model," "Actual velocity model per hour," "Actual cycle time minutes per model," and the budgeted costs and cell time.

With this information, I can perform the necessary calculations to determine the theoretical velocity, actual velocity, actual cycle time, MCE, budgeted conversion cost per minute, and conversion cost per model for both theoretical and actual output.

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Theoretical Velocity: The moped cell can theoretically achieve a velocity of X models per hour based on the given data. (Please provide the values for "model per hour" and "minutes per model" in order to calculate the theoretical velocity.)

Actual Velocity and Cycle Time: The actual velocity and cycle time achieved by the cell during the year can be calculated based on the actual results obtained. (Please provide the values for "Actual velocity model per hour" and "Actual cycle time minutes per model" in order to calculate the actual velocity and cycle time.)

MCE Calculation: The MCE (Manufacturing Cycle Efficiency) can be determined by dividing the actual velocity by the theoretical velocity and multiplying it by 100. This will provide a percentage value representing the efficiency of the moped cell's manufacturing process.

Budgeted Conversion Cost: The budgeted conversion cost per minute can be calculated by dividing the total budgeted costs by the total cell time at theoretical capacity. Once this cost per minute is determined, it can be used to calculate the conversion cost per model for both theoretical and actual output by multiplying it by the respective cycle times.

In summary, to provide a complete answer, I would need the values for "model per hour," "minutes per model," "Actual velocity model per hour," "Actual cycle time minutes per model," and the budgeted costs and cell time.

With this information, I can perform the necessary calculations to determine the theoretical velocity, actual velocity, actual cycle time, MCE, budgeted conversion cost per minute, and conversion cost per model for both theoretical and actual output.

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1) Answer the following questions briefly.
A. Discuss characteristics of the most effective type of
contingent pay plan in an organization with traditional
culture. Give examples
b) Explain the styl

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The most effective type of contingent pay plan in an organization with a traditional culture is one that aligns with the values and goals of the organization.

It should emphasize individual performance and rewards based on measurable criteria. Examples of such plans include merit-based pay systems, where employees receive salary increases or bonuses based on their performance evaluations or achievement of specific targets. Profit-sharing plans, where employees receive a share of the company's profits, can also be effective in traditional cultures as they encourage a sense of ownership and motivation. Additionally, commission-based plans, where salespeople receive a percentage of the sales they generate, can be suitable for organizations with a traditional sales-oriented culture. It seems there is a typo or incomplete  after "Explain the styl." Could you please provide more information or clarify .

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Fill In The Blank, Companies can research many aspects of buying decisions. However, the one that is the most
difficult to identify is ________.
A) what consumers buy
B) how and how much they buy
C) why they buy
D) when they buy
E) where they buy

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Companies can research many aspects of buying decisions. However, the one that is the most difficult to identify is why they buy.  The "why" factor delves into the psychological, emotional, and situational aspects that drive consumer behavior.

While companies can gather data and insights on what consumers buy, how and how much they buy, when they buy, and where they buy through various research methods and tools, identifying the underlying motivations and reasons behind their purchasing decisions is often more challenging. The "why" factor delves into the psychological, emotional, and situational aspects that drive consumer behavior. It involves understanding consumers' needs, desires, values, preferences, and decision-making processes. This information is crucial for developing effective marketing strategies, crafting persuasive messaging, and creating products or services that align with consumer motivations. However, uncovering the specific motivations behind individual buying decisions can be complex and may require in-depth qualitative research, consumer surveys, interviews, or behavioral analysis to gain deeper insights into consumer behavior and decision-making.

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Dr. Smith thinks that increasing educational level causes income level to increase. What is income level in this example?

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Dr. Smith thinks that increasing educational level causes income level to increase. In this example, income level is the dependent variable.

The dependent variable is the variable that is being studied or measured and is influenced or affected by other factors or variables. In this case, Dr. Smith is studying the relationship between educational level and income level.
The hypothesis is that increasing educational level leads to an increase in income level. Therefore, income level is the outcome or result that is dependent on the level of education attained.

Dr. Smith believes that as individuals acquire higher levels of education, it positively impacts their earning potential and leads to higher income levels.

To test this hypothesis, Dr. Smith would need to gather data on individuals' educational levels and corresponding income levels to analyze the relationship between the two variables.income level is the variable of interest and is expected to be influenced by the educational level variable.

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A bank is quoting the following exchange rates against the dollar for the Swiss franc and the Australian dollar:
USD:CHF = 1,6930 – 90
USD:ASD = 1,9026 – 40
An Australian firm asks the bank for a ASD:CHF quote.
What would the ASD:CHF bid price represent?
What would the ASD:CHF ask price represent?
"The Bid - Ask spread in each step in the calculation of the cross rate is expected to be favour of the bank". Is this statement true or false? Explain.
Describe 5 factors that would dictate the size of Bid-Ask spread and explain how they affect the spread, assuming that the bank always aims to maximise its profit.

Answers

The bid price of a financial instrument is the maximum price that a buyer is willing to pay for the instrument, while the ask price is the minimum price that a seller is willing to accept for the instrument.

The bank is quoting the following exchange rates against the dollar for the Swiss franc and the Australian dollar:USD:CHF = 1,6930 – 90USD:ASD = 1,9026 – 40An Australian firm asks the bank for an ASD:CHF quote.What would the ASD:CHF bid price represent?The bank must sell the Swiss franc (CHF) to the Australian firm in exchange for the Australian dollar (AUD), so the bank's bid price is the price at which it is willing to buy CHF.

Therefore, the ASD:CHF bid price represents the price at which the bank is willing to purchase CHF from the Australian firm.What would the ASD:CHF ask price represent?The bank must purchase the Swiss franc (CHF) from the Australian firm in exchange for the Australian dollar (AUD), so the bank's ask price is the price at which it is willing to sell CHF. Therefore, the ASD:CHF ask price represents the price at which the bank is willing to sell CHF to the Australian firm.Is the statement "The Bid - Ask spread in each step in the calculation of the cross rate is expected to be favour of the bank" true or false? Explain.The statement is true because the bid-ask spread represents the bank's profit margin in foreign exchange transactions.

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Discuss the kinked demand curve model of an oligopolist and the priceinterdependency experienced by firms in this market structure.

Answers

The kinked demand curve model of an oligopolist suggests that there exists a price interdependency between firms in the market structure. Firms are assumed to be mutually interdependent in such a market structure. The market structure comprises of only a few large firms that dominate the industry.

These firms are in a position to influence the price of goods and services and can potentially collude to do so.

The kinked demand curve model hypothesizes that in such a market structure, firms are more likely to adhere to the price set by the market leader. The market leader sets the prices of the goods and services. If a competitor tries to raise their price, they will lose their market share to the market leader, and if they lower their price, the market leader will match it. This results in a less elastic demand curve for price increases, which explains the kink in the demand curve.

The price interdependence experienced by firms in this market structure is a result of their understanding that changes in price levels by one firm will affect the price level of the entire industry. Therefore, firms in oligopolies must carefully analyze the expected market response to their pricing decisions before making them.

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one international environmental guideline for corporations is
PPP, which stands for?

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PPP is an abbreviation for the Pollution Prevention Pays program. This international environmental guideline is designed to encourage businesses to take greater responsibility for their environmental impact by emphasizing waste reduction and pollution prevention practices.

The PPP program was created in response to the growing concern about the negative effects of industrial activities on the environment. The PPP program's goal is to promote sustainable development by minimizing the environmental effects of business activities. It is a voluntary program that provides a framework for businesses to establish their environmental goals and objectives and identify opportunities for waste reduction and pollution prevention.

PPP is based on the idea that preventing pollution is more cost-effective than cleaning up after the fact. By implementing pollution prevention practices, businesses can save money, improve efficiency, and reduce their environmental impact. These practices may include changes in production methods, recycling, reducing energy usage, and developing safer products or materials.

By focusing on waste reduction and pollution prevention, the PPP program helps businesses to protect the environment while also improving their bottom line.

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t: When applying the Black-Scholes model, you must first estimate the volatility of the underlying asset. What is the effect of errors in this volatility estimate on the option price? The volatility of assets always remains constant over time, so there should be no estimation errof, Errors in the volatility estimate have a no effect on the option pelce. Errors in volatility estimate can have a large effect on the option price. Errors in the volatility estimate have a neeligible effect on the option price, and therefore can bo ignored.

Answers

When applying the Black-Scholes model, it is necessary to estimate the volatility of the underlying asset. Any errors in this estimate can have a significant impact on the option price. As a result, it is critical to get the volatility estimate correct, and it cannot be ignored.

Volatility is a critical component of option pricing models like the Black-Scholes model. It measures the underlying asset's price variability over time, which is the measure of the risk associated with the asset. Since volatility is a key input into the model, errors in the estimate can have a significant impact on the option price. If the volatility estimate is too low, the option price may be undervalued, and if it is too high, the option price may be overvalued. A small change in volatility can cause a large change in the option price. Therefore, it is critical to obtain an accurate volatility estimate when using the Black-Scholes model.

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When using the income approach to measure GDP, the largest share of GDP generally consists of a Labour income b Capital income c Interest income d Indirect taxes e Firms' profits

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When measuring GDP using the income approach, corporate profits, sometimes referred to as business profits, typically account for the greatest portion of GDP.

The income generated by enterprises after deducting all costs, such as salaries, interest charges, and taxes, is referred to as a company's profit. This category encapsulates economic entrepreneurship and return on investment. While indirect taxes, interest income, capital income, and labour income all contribute to GDP, business profits often account for the majority of it. This gives a gauge of the value added by the private sector and represents the total profitability and productivity of firms functioning within the economy.

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21
1 point
Which of the following are generally considered restructuring activities?
A merger
An acquisition
A divestiture
A consolidation
All of the above

Answers

All of the above options, namely a merger, an acquisition, a divestiture, and a consolidation, are generally considered restructuring activities.

Restructuring activities involve significant changes to the organizational structure and operations of a company. Let's examine each option:

1. A merger: A merger occurs when two companies combine to form a new entity. It often involves integrating their operations, resources, and management structures, resulting in a restructuring of both organizations.

2. An acquisition: An acquisition takes place when one company purchases another company. It usually leads to changes in the acquired company's management, operations, and structure as it is integrated into the acquiring company's operations.

3. A divestiture: A divestiture involves selling off a portion of a company's assets or business units. It aims to streamline operations and focus on core competencies. Divestitures typically involve restructuring activities to separate and sell the assets or business units.

4. A consolidation: A consolidation occurs when two or more companies combine to create a new entity or strengthen their market position. It often involves restructuring activities to integrate operations, eliminate redundancies, and achieve synergies.

Overall, these activities involve significant changes to the organizational structure, operations, and assets of companies, making them generally considered as restructuring activities.

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