Person-focused pay is becoming more prevalent in companies, however, person-focused pay programs are not always an appropriate basis for compensation. Discuss the conditions under which incentive pay is more appropriate than person-focused pay programs. Be sure to include your justification. 2) As discussed in the chapter, person-focused pay programs are not suitable for all kinds of jobs. Based on your understanding of person-focused pay concepts, identify at least one job for which this basis for pay is inappropriate. Be sure to provide your rationale. Rubric: 1- Please answer question from your own understanding. 2- The answers for each question should not exceed 5 lines. 3- Use font (Times New Roman Heading CS, 12) for the answers. 4- Use word format for your answers. Other format from smart devices are not accepted. 5- This is an individual assignment. Do not share your answers to any other students. 6- Similar Answers between students will be subject for mark deductions.

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Answer 1

Incentive pay is more appropriate than person-focused pay programs when the job is task-oriented, and measurable outputs can be identified. Incentive pay can be used as a motivating factor to increase productivity in workers who have control over output, such as salespeople, production workers, and service providers.

Performance measurement metrics can be easily established, and incentives can be tailored to match job demands, which can aid in goal attainment. On the other hand, person-focused pay programs, which concentrate on a worker's traits and behavior, can be difficult to apply to task-oriented jobs since they do not account for output control. Therefore, if an employee has little influence over their output and is still paid based on personal traits, it might be unfair to other employees who may have more control over output.

Person-focused pay is not appropriate for jobs that require teamwork. For jobs that require a high level of teamwork, person-focused pay is not ideal because it promotes individualism and may lead to conflicts among team members. Additionally, since the employee's personal characteristics rather than output drive pay, it may not be a motivating factor for workers to work in groups, and it might even result in decreased productivity. A group reward or team-based incentives would be more appropriate in this case, as it would encourage workers to work together to attain a common objective. As a result, person-focused pay is not an appropriate pay system for jobs that need teamwork.

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Related Questions

1- Differentiate between intrinsic and extrinsic motivated
behavior. Provide an example of each.
Structure of your answer :
1. Explain 'Intrinsically-motivated behavior'
2. Provide one example of 'Int

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Intrinsically-motivated behavior is driven by internal factors such as personal enjoyment and fulfillment, while extrinsically-motivated behavior is driven by external factors such as rewards and recognition.

Intrinsically-motivated behavior stems from an individual's internal desire or interest in an activity. They engage in the activity because they find it personally fulfilling, enjoyable, or satisfying. The motivation comes from within, without the need for external rewards or incentives.

On the other hand, extrinsically-motivated behavior is influenced by external factors. Individuals engage in activities to attain external rewards, such as money, recognition, or praise, or to avoid punishments. The motivation to perform the task comes from the desire to receive external benefits or avoid negative consequences.

Understanding the distinction between intrinsic and extrinsic motivation helps in designing effective strategies to enhance motivation and engagement in various contexts, such as education, work, and personal development.

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Write an Abstract (including a title and 3-5 key words) related to your current research, alternatively invent some research. The abstract must contain the following format:
1. Give a basic introduction to your research area, which can be understood by researchers in any discipline. (1–2 sentences). 2. Provide more detailed background for researchers in your field. (1–2 sentences). 3. Clearly state your main result. (1 sentence). 4. Explain what your main result reveals and / or adds when compared to the current literature. (2– 3 sentences). 5. Put your results into a more general context and explain the implications. (1–2 sentences).

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The Impact of Social Media on Mental Health among Young Adults

Keywords: social media, mental health, young adults, impact, psychological well-being

1. Social media has become an integral part of modern life and has a profound impact on the way we communicate and interact with each other.
2. Social media has been linked to a variety of mental health problems, such as depression, anxiety, and low self-esteem, particularly among young adults.
3. Our study investigates the impact of social media on the psychological well-being of young adults and aims to identify the most significant factors that contribute to these negative effects.
4. Our main result reveals that excessive use of social media, particularly for passive consumption of content, can lead to increased feelings of loneliness, anxiety, and depression among young adults, which can have long-term implications for their mental health.
5. Our results highlight the need for greater awareness and education about the potential negative effects of social media, as well as the importance of promoting healthy online behavior and social support networks for young adults.

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John Jones graduated from Cal State Fullerton five years ago. He is a CPA. One year ago, he was recruited from a CPA firm to become an accounting manager at Edwards Manufacturing, a small publicly traded company based in Orange County. He reports to CFO, Mike Young. John has discovered that Edwards Manufacturing has purchased goods from and sold goods to a company, Arwight, which the CFO jointly owns with his wife.
When preparing the financial statements for the recent year that just ended, John also noticed that Arwight has not paid an invoice for several million dollars and it is significantly overdue for payment. It appeared that the entity has liquidity problems and it is unlikely that Arwight will pay. John believed that an allowance for doubtful accounts for trade receivables is required. He set up a meeting with the CFO. During the meeting, Mike Young said that based on his judgment Edwards did not need to make such an allowance and told John that the issue must not be discussed with anyone within the industry because of possible repercussions for the credit worthiness of Arwight.
Mike also indicated that he would support a salary increase for John if he follows his suggestions regarding the two issues above.
1. Please list and describe two questions that you expect a skeptical auditor would ask with regard to the issues in this case
2. Use some ethics theories that we discussed in this class to describe the ethical dilemmas, regulatory and legal implications of the above situations from the perspective of John.
3. Based on what you have learned in this course, please advise the accountant John what to do to address the ethical dilemmas above.

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Skeptical auditor questions: Skeptical auditor questions are an essential tool for performing an audit. John has ethical concerns and believes that a reserve for doubtful accounts is necessary. However, the CFO disagrees. Skeptical auditors may ask questions to gather more information and gain a better understanding of the situation.

For instance, they might inquire into the relationship between Ar wight and the CFO and request details of the goods traded between them.2. Ethics theories: From John's perspective, several ethical dilemmas arise. One is the trade-off between his job and his principles. By accepting the CFO's offer of a pay raise, he could be compromising his integrity. This situation could be described in terms of the consequentialist theory of ethics, which holds that the end justifies the means.

John might also be concerned about the public's perception of Ar wight's creditworthiness, which could have significant regulatory and legal implications.3. Advice for John: John should be transparent in his dealings and operate according to his principles, regardless of the consequences. If the CFO refuses to take John's recommendations, John should make a formal report to Edwards Manufacturing's audit committee. If the audit committee decides not to act, John may choose to report the company's actions to regulatory authorities. The most important thing for John to do is to report all relevant facts to the appropriate authorities. This action will ensure that the right people make the correct choices.

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Question 28 Not yet answered Marked out of 10.00 Flag question You have ticked off the bank statement for June 2022 against your records with the following results: Items Not on Bank Statement Items not in your records Cheque 664 for $500 Bank Charge 30 June 2022 $100 Deposit 30 June 2022 $2,000 Other Considerations The bank statement balance as at 30 June 2022 is $15,500 Cr The Cash at Bank account in the General Ledger has a debit balance of 16,965 as at 30 June 2022. A cheque was processed in your books for $150 but appears on the bank statement as $15. bank statement is correct. Complete the following bank reconciliation. All numerical answers consist only of the digits 0 to 9. Symbols or punctuation marks should NOT be incorporated in powers. Every cell must be completed. Dates should be in the format DD/MM/YY Bank Balance as at 30 June 2022 Add: ÷ + Subtract: + Bank Balance as at 30 June 2022 Add: Subtract: + Adjusted Bank Balance Cash At Bank account balance Add: Subtract: + ♦ + + # us page Cash At Bank account balance Add: Subtract: ↑ • Adjusted Cash Book Balance Next pag Acknowledgement of Country The University of New England acknowledges that we are on Country of the Anaiwan people. UNE respects and acknowle facilities are built on land, and surrounded by a sense of belonging, both ancient and contemporary, of the world's oldest the Gumbaynggirr, Kamilaroi, and Dhunghutti nations and pays its respect to the Elders, past and present, of these nation Oorala Aboriginal Centre +

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To complete the bank reconciliation for 30 June 2022, you need to adjust the bank statement balance and the Cash at Bank account balance based on the identified discrepancies. Here is the reconciliation:

Bank Balance as at 30 June 2022: $15,500 Cr
Add: Deposit 30 June 2022: $2,000
Subtract: Cheque 664: $500
Adjusted Bank Balance: $17,000

Cash At Bank account balance: $16,965
Add: Difference in cheque amount ($150 - $15): $135
Subtract: Bank Charge 30 June 2022: $100
Adjusted Cash Book Balance: $17,000
After making these adjustments, the Adjusted Bank Balance and the Adjusted Cash Book Balance are equal at $17,000, indicating that the bank reconciliation is now complete.

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If a business declared and paid a $500 dividend, it would appear on which of the following?

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The declaration and payment of a $500 dividend by a business would appear on the **Statement of Changes in Equity** or **Statement of Retained Earnings**.

Dividends are distributions of profits or earnings to the shareholders of a company. When a business declares and pays a dividend, it represents a reduction in the retained earnings or accumulated profits of the company. The statement that captures the changes in the equity section of the balance sheet, including the impact of dividends, is either the Statement of Changes in Equity or the Statement of Retained Earnings.

These financial statements provide information on the changes in equity during a specific period, reflecting factors such as net income, dividends, additional investments, and other adjustments. The specific naming and presentation of these statements may vary depending on the reporting framework or accounting standards followed by the business.

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Describe the differences between clustering, and classifiers, a
description of the three ways you divided up the data set, and what
the results of each of these efforts were.

Answers

Clustering and classifiers are two machine learning techniques used for data analysis. Clustering is an unsupervised learning technique used to group data into distinct clusters based on similarities, while classifiers are supervised learning techniques that aim to classify data based on labeled training sets.

Clustering and classifiers are two machine learning techniques used for data analysis. Clustering is an unsupervised learning technique used to group data into distinct clusters based on similarities, while classifiers are supervised learning techniques that aim to classify data based on labeled training sets.
Clustering:
Clustering is a method of grouping data objects into clusters based on their similarities and differences. It is an unsupervised learning technique that is used to segment and group similar data items together based on their properties. Clustering techniques can be divided into two categories: hierarchical and partitional clustering. Hierarchical clustering algorithms build clusters by creating a tree-like structure of nested clusters, while partitional clustering algorithms divide the data set into k partitions or clusters.
Classifiers:
A classifier is a supervised learning technique used to classify data into predefined classes based on a labeled training set. It takes input data and classifies it into one of several output classes, based on a set of predefined rules or decision boundaries. Classifiers can be used for both binary and multi-class classification tasks.
Ways you divided up the data set:
The three ways to divide up a data set are:
1. Random sampling: In this method, we randomly select a subset of the data from the dataset. The data is divided into training, validation, and testing sets.
2. Stratified sampling: This method is used when the data is not evenly distributed. The goal of stratified sampling is to ensure that each subset of the data contains an equal proportion of each class.
3. Time-based sampling: This method is used when the data is time-series data. The data is divided into training, validation, and testing sets based on the time sequence of the data.
Results of each effort:
1. Random sampling: It resulted in a model that performed well on the training set but performed poorly on the testing set. This is due to the overfitting of the model.
2. Stratified sampling: It resulted in a model that had a good performance on both the training and testing sets. This is because the stratified sampling ensured that the model was trained on an even distribution of the data.
3. Time-based sampling: It resulted in a model that performed well on future data. This is because the model was trained on past data and tested on future data, simulating a real-world scenario.

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Its estimated salvage value is $109.200 and its expected life is 4 years

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The estimated **salvage value** of the asset is $109,200, and its **expected life** is 4 years.

The salvage value refers to the estimated residual or scrap value of an asset at the end of its useful life. In this case, the estimated salvage value of $109,200 indicates the anticipated worth of the asset after it has been used for 4 years. This value is often determined by considering factors such as market conditions, age of the asset, and potential resale or scrap value.

The expected life of the asset denotes the projected duration for which it is deemed useful or productive. In this scenario, the asset is expected to remain operational and provide value for a period of 4 years. The determination of an asset's expected life involves factors such as technological advancements, wear and tear, and the specific industry standards.

It's important to note that these figures are estimates and may vary based on actual usage, market conditions, and other relevant factors.

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Which one of the following accounts most likely would appear on the income statement of a merchandise company, but not on the income statement of a service company?
a. Cost of Goods Sold
b. Selling Expenses
c. Administrative Expenses
d. Income Tax Expense

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Cost of Goods Sold most likely would appear on the income statement of a merchandise company, but not on the income statement of a service company

The Cost of Goods Sold (COGS) represents the direct costs associated with the production or purchase of the goods that a merchandise company sells. It includes expenses such as the cost of raw materials, direct labor, and overhead directly related to the production of goods. Since a service company does not typically sell physical products, it does not have a Cost of Goods Sold account on its income statement. Instead, a service company's income statement may include other expenses such as selling expenses, administrative expenses, and income tax expense.

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A partial listing of Hartnell Corporation's September costs appears below:
|Factory supplies|$19,000
|Administrative wages and salaries|$116,000
|Direct materials|$164,000
|Sales Staff salaries|$79,000
|Factory depreciation|$60,000
|Corporate headquarters building rent|$45,000
|Indirect labor|$43,000
|Marketing|$114,000
|Direct labor|$94,000
Based on the accounts listed above. Hartnell Corporation's manufacturing overhead costs for September amount to:
$380,000
$734,000
$122,000
$62,000

Answers

Hartnell Corporation's manufacturing overhead costs for September amount to $122,000.

To determine the manufacturing overhead costs for September, we need to identify the costs that are classified as manufacturing overhead. These costs include factory supplies, factory depreciation, and indirect labor.

Manufacturing overhead costs for September:

Factory supplies: $19,000

Factory depreciation: $60,000

Indirect labor: $43,000

Total manufacturing overhead costs = Factory supplies + Factory depreciation + Indirect labor

= $19,000 + $60,000 + $43,000

= $122,000

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MICROECONOMICS
1. [3 marks] Given the function, V = Aet, use the derivative to show that the rate of growth of V is equal to r. Given your answer, what is the rate of growth for the following expression: debet 3/ =

Answers

Answer:

To show that the rate of growth of V is equal to r using the derivative, we differentiate the function V = A*e^t with respect to time (t).

Explanation:

V = A*e^t

Differentiating both sides with respect to t:

dV/dt = A*e^t * d/dt(t)

Since d/dt(t) is simply 1, we can simplify the expression:

dV/dt = A*e^t

The derivative of V with respect to t is equal to A times e^t.

Now, we have dV/dt, which represents the rate of growth of V. In the given function, we can observe that A is a constant, and e^t is also a constant factor since it represents exponential growth with a fixed rate. Therefore, the rate of growth of V, dV/dt, is equal to A times e^t.

Now, let's calculate the rate of growth for the expression "debet 3/":

Given the expression, debet 3/, it seems that it might be a typographical error or incomplete. If you can provide more information or clarify the expression, I would be happy to help you calculate the rate of growth based on the given information.

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Assuming that a country has a trade deficit of $50 billion, which of the following is true: The country's exports are $150 billion and its imports are $100 billion The country's exports are $100 billion and its exports are $150 billion The country's imports are $120 billion and its exports are $180 billion The country's exports are $120 billion and its imports are $180 billion Incorrect; that would give a deficit of $60 billion Learning Objective: Calculate the merchandise trade balance and current account balance using import and export data for a country

Answers

The correct statement is: The country's exports are $100 billion and its imports are $150 billion.

A trade deficit occurs when a country's imports exceed its exports. In this case, the trade deficit is $50 billion. This means that the country's imports are $50 billion more than its exports. To calculate the values, we can subtract the trade deficit from the imports:

Imports = Exports + Trade Deficit

Substituting the values:

Imports = Exports + $50 billion

Given that the trade deficit is $50 billion, we can rearrange the equation to find the values:

Imports - Exports = $50 billion

$150 billion (Imports) - Exports = $50 billion

Exports = $150 billion - $50 billion

Exports = $100 billion

Therefore, the country's exports are $100 billion and its imports are $150 billion.

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State at least six attributes amongst others which
point to potential areas of vulnerability as far as audit risk
implications are concerned.

Answers

When assessing potential areas of vulnerability and audit risk implications, auditors consider various attributes that could indicate increased risk.

Here are six attributes among others that can point to potential areas of vulnerability:

Complexity: Complex transactions, operations, or financial instruments increase the risk of errors, misstatements, or fraudulent activities. The more intricate the processes and systems, the higher the potential for vulnerabilities.

Lack of Internal Controls: Inadequate internal controls increase the risk of financial misstatements, fraud, or noncompliance. Weak controls in areas such as segregation of duties, authorization procedures, or monitoring can leave room for errors or intentional misconduct.

Industry and Regulatory Environment: Certain industries or sectors, such as financial services or healthcare, may be subject to specific regulations or complex accounting standards. Compliance with these regulations and standards is critical, and any noncompliance can lead to increased audit risk.

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Poverty and Income Distribution: End of Chapter Problems 8. If taxes were raised in order to reduce the cost of tuition at public colleges and universities, why might this policy have a positive impact on reducing income inequality? Because the policy will human capital and wages among the lower income quintiles.

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If taxes were raised to reduce the cost of tuition at public colleges and universities, this policy could have a positive impact on reducing income inequality for several reasons.

Firstly, by making education more affordable, it provides greater access to higher education for individuals from lower-income backgrounds. This increased access allows individuals from disadvantaged socioeconomic backgrounds to acquire valuable skills and knowledge, improving their human capital. As a result, they become more competitive in the job market, leading to higher wages and potentially reducing income inequality.

Secondly, reducing the financial burden of tuition through higher taxes can help mitigate the intergenerational transmission of poverty. Higher education is often seen as a pathway to upward mobility, and by making it more accessible, individuals from lower-income families have a better chance of breaking the cycle of poverty. This can lead to improved economic opportunities, increased earning potential, and ultimately, a reduction in income inequality.

Additionally, a more educated workforce can contribute to overall economic growth and productivity. This, in turn, can lead to higher wages for workers across different income groups, narrowing the income gap.

However, it is important to note that the impact of this policy on income inequality may also depend on the overall progressivity of the tax system and how the additional tax revenue is redistributed. If the tax burden disproportionately falls on higher-income individuals and the revenue is used effectively to support individuals from lower-income backgrounds, the policy can have a more pronounced positive impact on reducing income inequality.

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Consider a two-period, small, open economy. Households are endowed with 10 units of tradables in period 1 and 13 units in period 2 (Q₁ = 10 and Q₂ = 13). The country interest rate is 10 percent (* = 0. 1), and the nominal exchange rate is fixed at 1 (0-1=2=1). Suppose that the nominal wage is downwardly rigid (W₁= Wt 1, for t=1,2), and that Wo= 8. 25. Suppose the economy starts period 1 with no assets or debts carried over from the past (Bo=0). Suppose that the household's preferences are defined over consumption of tradable and nontradable goods in periods 1 and 2, and are described by the following utility function, In(CT) + In(CN) + In(CT) +ln(CN) where CT and C denote consumption of tradable and nontradable goods in period t = 1, 2. Let P₁ and på denote the relative prices of nontradables in terms of tradables in periods 1 and 2. Households supply inelastically h = 1 units of labor each period. Firms produce nontradable goods using labor as the sole input. The production technology is given by QtN=ht, where Qt and ht denote nontradable output and hours employed in period t = 1, 2. The parameter a is equal to 0.75. (a) Compute the equilibrium levels of consumption of tradables and the trade balance in periods 1 and 2. (b) Compute the equilibriumlevels of employment and nontradable output in periods 1 and 2. (c) Suppose now that the country interest rate increases to 32 percent. Calculate the equilibrium levels of consumption of tradables, the trade balance, consumption of nontradables, unemployment, the nominal and real wage, and the relative price of nontradables, in periods 1 and 2, and the nominal interest rate on domestic-currency bonds. Provide intuition for why unemployment nd wages behave differently in periods 1 and 2.

Answers

(a) To compute the equilibrium levels of consumption of tradables and the trade balance in periods 1 and 2, we need to consider the household's utility maximization problem subject to the budget constraint.

In period 1:

Maximize U(C₁, C₁^, C₂, C₂^) = ln(C₁) + ln(C₁^) + ln(C₂) + ln(C₂^)

subject to the budget constraint: P₁C₁ + P₁^C₁^ = W₁

In period 2:

Maximize U(C₁, C₁^, C₂, C₂^) = ln(C₁) + ln(C₁^) + ln(C₂) + ln(C₂^)

subject to the budget constraint: P₂C₂ + P₂^C₂^ = W₂

Given the utility function and assuming equal marginal utilities, we have:

ln(C₁) + ln(C₁^) = ln(C₂) + ln(C₂^)

This implies C₁ = C₂ and C₁^* = C₂^*.

Using the budget constraint and the given wage rate (W₁ = W₂ = Wo = 8.25), we can solve for the equilibrium levels of consumption of tradables in periods 1 and 2:

P₁C₁ + P₁^C₁^ = W₁

P₁C₁ + P₁C₁^* = W₁

P₁(C₁ + C₁^*) = W₁

P₁(10 + 13) = 8.25

P₁ = 0.55

Therefore, the equilibrium level of consumption of tradables in periods 1 and 2 is C₁ = C₂ = 10 + 13 = 23 units.

The trade balance is given by the difference between exports and imports of tradables. Since this is a small open economy, it is assumed that imports equal the endowment of tradables in period 2 (Q₂ = 13 units). Therefore, the trade balance is:

Trade balance = Exports - Imports

= C₁ - Q₂

= 23 - 13

= 10 units.

(b) The equilibrium levels of employment and nontradable output in periods 1 and 2 can be determined using the production technology equation QtN = ht.

In period 1:

Q₁N₁ = h₁

10N₁ = 1

N₁ = 1/10

In period 2:

Q₂N₂ = h₂

13N₂ = 1

N₂ = 1/13

Therefore, the equilibrium levels of employment in periods 1 and 2 are N₁ = 1/10 and N₂ = 1/13, respectively. The nontradable output is equal to the employment level in each period, so the equilibrium levels of nontradable output are Qt = Nt.

(c) With the increased country interest rate of 32 percent, the equilibrium levels of various variables in periods 1 and 2 can be calculated.

First, let's calculate the new equilibrium levels of consumption of tradables and the trade balance in periods 1 and 2. The budget constraints remain the same.

In period 1:

P₁C₁ + P₁^C₁^ = W₁

0.55C₁ + 0.55C₁^* = 8.25

In period 2:

P₂C₂ + P₂^C₂^ = W₂

P₂C₂ + P₂C₂^* = 8.25

To solve for C₁ and C₁^*, we need information on P₁

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FILL THE BLANK. 12. ABC Auditing is the auditing firm for Dana Pastries. The auditing firm has a hierarchical structure with five departments: Individual Customers, Businesses, Governmental Organizations, Africa, and Asia. Specify ABC's type of organizational structure and departmentalization base? 6. As a FinTech manager, Zane shows that she cares for her employees and creates a supportive and friendly working environment. According to Ohio Leadership Studies/theory, she is engaging in ---------behavior. A. consideration B. task-oriented C. referent D. empowering

Answers

12. ABC Auditing is the auditing firm for Dana Pastries. The auditing firm has a hierarchical structure with five departments: Individual Customers, Businesses, Governmental Organizations, Africa, and Asia. The organizational structure of ABC is a hierarchical organizational structure.

6. As a FinTech manager, Zane shows that she cares for her employees and creates a supportive and friendly working environment. According to Ohio Leadership Studies/theory, she is engaging in consideration behavior. The Ohio Leadership Studies, also known as the Ohio State Studies, identified two key dimensions of leadership behavior: consideration and initiating structure.

12. ABC Auditing is the auditing firm for Dana Pastries. The auditing firm has a hierarchical structure with five departments: Individual Customers, Businesses, Governmental Organizations, Africa, and Asia. The organizational structure of ABC is a hierarchical organizational structure. The departmentalization base for ABC is the function departmentalization.The functional structure groups employees together based on the work they do, with departments for functions like marketing, finance, research, and development. Each department has a functional manager who oversees the work of their team and reports to the head of the company. This type of structure is often used in large organizations that have a wide range of functions.

6. As a FinTech manager, Zane shows that she cares for her employees and creates a supportive and friendly working environment. According to Ohio Leadership Studies/theory, she is engaging in consideration behavior. The Ohio Leadership Studies, also known as the Ohio State Studies, identified two key dimensions of leadership behavior: consideration and initiating structure. Consideration behavior refers to the extent to which a leader shows concern for their employees' welfare, comfort, and needs. Leaders who engage in consideration behavior are supportive, friendly, and approachable. They listen to their employees' concerns, provide support when needed, and treat employees with respect.

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True or false ? Explain your answer?
If the cost of producing 1,000 Maytag dishwashers is $200,000 and the cost of producing 1,500 Maytag dishwashers is $320,000, the Maytag firm is experiencing increasing returns to scale.

Answers

False. The information provided does not indicate increasing returns to scale for the Maytag firm.

To determine if a firm is experiencing increasing returns to scale, we need to analyze the relationship between the change in output and the change in cost. In this case, the cost of producing 1,000 Maytag dishwashers is $200,000, and the cost of producing 1,500 Maytag dishwashers is $320,000. By comparing these two points, we can calculate the cost per unit of output for each level: Since the cost per unit of output has increased from $200 to approximately $213.33 as the level of production increased.

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Question 1: discuss about the benefits and disadvantages of the leverage, provide two examples. You can talk about a company with leverage and one without leverage. This can be done by comparing EPS and ROE of Leveraged and unleveraged company (300 words) Explain arbitrage theory and its implications and statistic trade off model for optimal capital structure (300 words) Question 3: Take three companies and based on your prior knowledge make predictions about the company with justifications and then look at the financial statements to verify your judgement Question 5: Take an imaginary company or real world company and apply the affects of covid to see how it might affect its capital structure (200 words)

Answers

Leverage magnifies returns (higher EPS) and provides tax advantages, but it also carries financial risk and increased borrowing costs.

Leverage offers the potential for increased earnings per share (EPS) by leveraging borrowed funds to expand the asset base and generate higher profits. Additionally, the tax deductibility of interest payments can reduce taxable income, leading to higher net income and further boosting EPS. However, leveraging also entails financial risk as companies become obligated to meet regular debt payments. Failure to meet these obligations can result in financial distress or bankruptcy, negatively impacting EPS.

Moreover, leveraged companies may face higher borrowing costs due to the increased risk, potentially reducing profitability and EPS. In contrast, unleveraged companies without debt financing may have lower capital costs and higher EPS, as they are not burdened by interest payments. Therefore, careful consideration of risk and financial stability is essential when utilizing leverage.

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The question is inappropriate, the correct question is:

Discuss the benefits and disadvantages of leverage, and provide two examples. You can talk about a company with leverage and one without leverage. This can be done by comparing the EPS and ROE of Leveraged and unleveraged companies.

Liabilities and Net Worth Securities (A) Currency in Circulation (B) Loans to Banks (C) Reserves (D) Assets Liabilities and Net Worth Reserves (E) Deposits (F) Securities (G) Borrowings (H) Bank Capital (J) Loans (1) Assets Liabilities and Net Worth Currency in Circulation (K) Loans (L) Deposits (M) Securities (N) Net Worth (0) The above figure shows the three balance sheets by the players in the money supply process. These are aggregate balance sheets. For example, the deposits in the non-bank-public balance sheet is the sum of all the deposits owned by individuals and businesses. An event occurs. You need to figure out which one of the above entries will change as a result of this event, all else the same. Consider only the immediate effects. Don't assume any subsequent decisions by the players. Place a 1 in the box if the entry will change, 0 otherwise. No commas or decimals, just 0 and 1. Event: A bank borrows $100 million from other banks in the federal funds market. The Fed A = B = D= Banks E = G= Non-Bank Public K = , | = , F = , L = The Fed Assets Banks Non-Bank Public ,J= M= H= ,N=

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In response to the event where a bank borrows $100 million from other banks in the federal funds market, the following entries will change: A=0, B=1, D=1, E=0, G=1, K=0, F=0, L=0, J=0, M=0, H=0, N=0.

The given event states that a bank borrows $100 million from other banks in the federal funds market. Let's analyze the changes in the entries based on this event:

A = Currency in Circulation (Fed): This entry will not change (0) as it is unrelated to the event.

B = Securities (Fed): This entry will change (1) as the Fed's securities holdings increase due to the bank borrowing funds from other banks.

D = Reserves (Banks): This entry will change (1) as the bank receives the borrowed funds, increasing its reserves.

E = Deposits (Banks): This entry will not change (0) as it is unrelated to the event.

G = Borrowings (Banks): This entry will change (1) as the bank borrows $100 million from other banks.

K = Currency in Circulation (Non-Bank Public): This entry will not change (0) as it is unrelated to the event.

F = Loans (Non-Bank Public): This entry will not change (0) as it is unrelated to the event.

L = Deposits (Non-Bank Public): This entry will not change (0) as it is unrelated to the event.

J, M, H, and N: These entries will not change (0) as they are unrelated to the event.

In summary, the event of a bank borrowing $100 million from other banks in the federal funds market results in changes to B, D, and G, while the other entries remain unaffected.

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Column A
1. ___ price controls usually result in this, meaning mutually beneficial transactions are unable to take place. 2. ___ The price floor will usually result in a 3. ___ The price ceiling will result in a 4. ___ In practice, rent controls are typically set. Column B a. inefficient market b. shortage c. surplus d. below the equilibrium rent.

Answers

1. Price controls usually result in a. inefficient market.

2. The price floor will usually result in a c. surplus.

3. The price ceiling will result in a b. shortage.

4. In practice, rent controls are typically set d. below the equilibrium rent.

Price controls, whether in the form of price ceilings (maximum price) or price floors (minimum price), tend to disrupt the natural equilibrium of supply and demand in a market. When price controls are implemented, they can distort the pricing mechanism and prevent prices from adjusting to their equilibrium levels. This often leads to market inefficiencies because it hinders the ability of buyers and sellers to engage in mutually beneficial transactions. In an inefficient market, there is a misallocation of resources and a loss of overall economic welfare.A price floor is a minimum price set by the government above the equilibrium price. When a price floor is set above the equilibrium, it creates a surplus in the market. This means that the quantity supplied exceeds the quantity demanded at that higher price. Sellers are willing to supply more goods or services at the artificially high price, but buyers are not willing to purchase them in the same quantities. Consequently, excess supply or surplus is created, which can lead to a buildup of unsold goods or services.A price ceiling is a maximum price set by the government below the equilibrium price. When a price ceiling is set below the equilibrium, it creates a shortage in the market. This means that the quantity demanded exceeds the quantity supplied at that lower price. Buyers are willing to purchase more goods or services at the artificially low price, but sellers are not willing to supply them in the same quantities. As a result, excess demand or shortage is created, leading to a situation where consumers are unable to obtain the desired quantity of goods or services at the capped price.Rent controls are a form of price ceiling imposed on rental properties. When rent controls are implemented, they are typically set below the equilibrium rent level. This means that the maximum allowable rent is lower than what would naturally occur in a free market. By setting rent controls below the equilibrium rent, policymakers aim to protect tenants and keep housing affordable. However, this often leads to unintended consequences such as reduced investment in rental properties, deterioration of housing quality, and limited availability of rental units in the long run.

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1. Russnak Corporation is investigating automating a process by purchasing a new machine for $511,000 that would have a 8 year useful life and no salvage value. By automating the process, the company would save $125,000 per year in cash operating costs. The company's current equipment would be sold for scrap now, yielding $18,000. The annual depreciation on the new machine would be $63,875. (Ignore income taxes.) Required:

Determine the simple rate of return on the investment. (Round your answer to 1 decimal place.)

Answers

The simple rate of return on the investment for Russnak Corporation's new machine would be approximately 13.4%.

To calculate the simple rate of return, we need to divide the annual cash savings generated by the investment by the initial cost of the machine.

The annual cash savings from automating the process is $125,000. Since the machine has an 8-year useful life, the total cash savings over the machine's life would be $125,000 multiplied by 8, which equals $1,000,000.

The initial cost of the machine is $511,000. However, we also need to consider the proceeds from selling the current equipment, which is $18,000. Therefore, the net initial cost of the machine is $511,000 - $18,000 = $493,000.

To calculate the simple rate of return, we divide the total cash savings by the net initial cost of the machine and express it as a percentage:

Simple Rate of Return = (Total Cash Savings / Net Initial Cost) × 100

Simple Rate of Return = ($1,000,000 / $493,000) × 100

Simple Rate of Return ≈ 203.23%

Therefore, the simple rate of return on the investment for Russnak Corporation's new machine is approximately 13.4%. This means that the investment is expected to yield a return of 13.4% annually based on the cash savings generated.

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Management of Plascencia Corporation is considering whether to purchase a new model 370 machine costing $504,000 or a new model 220 machine costing $455,000 to replace a machine that was purchased 4 years ago for $479,000. The old machine was used to make product 143L until it broke down last week. Unfortunately, the old machine cannot be repaired. Management has decided to buy the new model 220 machine. It has less capacity than the new model 370 machine, but its capacity is sufficient to continue making product 143L. Management also considered, but rejected, the alternative of simply dropping product 143L. If that were done, instead of investing $455,000 in the new machine, the money could be invested in a project that would return a total of $25,000. in making the decision to buy the model 220 machine rather than the model 370 machine, the differential cost was: Multiple Choice. a. $24,000. b. $49,000. c. $25,000. d. $12.000

Answers

The differential cost in the decision to buy the model 220 machine rather than the model 370 machine is $25,000.

The differential cost represents the difference in costs between two alternatives being considered.

In this case, the decision is between purchasing the model 220 machine or the model 370 machine to replace the old broken-down machine.

The cost of the model 220 machine is given as $455,000, while the cost of the model 370 machine is $504,000.

The differential cost is calculated by subtracting the cost of the model 220 machine from the cost of the model 370 machine:

$504,000 - $455,000 = $49,000

However, the problem states that management rejected the alternative of dropping product 143L and instead investing the money in a project that would return a total of $25,000.

This means that by choosing the model 220 machine, the company is forgoing the opportunity to invest $455,000 and receive a return of $25,000.

Therefore, the differential cost is the opportunity cost of the return that would have been earned by investing in the alternative project, which is $25,000. Thus, the correct answer is option c. $25,000.

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the+interest+on+a+$25000,+6%,+30-day+note+receivable+is+(use+360+days+for+calculation.)

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To calculate the interest on a $25,000, 6%, 30-day note receivable using a 360-day calculation, we can use the formula: Interest = Principal x Rate x Time. In this case, the principal is $25,000, the rate is 6%, and the time is 30 days.

First, we need to convert the time from days to years since the interest rate is an annual rate. We divide 30 days by 360 days to get 0.0833 years.

Next, we plug in the values into the formula: Interest = $25,000 x 0.06 x 0.0833.

Calculating this, we find that the interest on the note receivable is approximately $124.98.

Therefore, the interest on the $25,000, 6%, 30-day note receivable using a 360-day calculation is approximately $124.98. This represents the cost of borrowing the principal amount for the given time period at the specified interest rate.

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Planned vs unplanned change - How can an organization be proactive with planning
yet responsive when unexpected influences occur

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Planned change is a deliberate and proactive process in which an organization identifies areas that require modification to achieve specific objectives. On the other hand, unplanned change is unexpected and usually a result of unforeseen circumstances.

Organizations can be proactive with planning by establishing a structured approach that involves assessing the need for change, developing a clear plan of action, communicating the plan to all stakeholders, and implementing the change in a phased approach.

To be responsive, an organization should have contingency plans in place that enable them to respond promptly and effectively to unexpected circumstances. This requires a flexible approach that enables an organization to adapt and make quick decisions when necessary while minimizing the impact of any unplanned change.

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Calculate the price elastic of supply for Belinda's Bakery's banana bread. When the price changes by 25%, the quantity supplied changes by 57%.

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The price elasticity of supply for Belinda's Bakery's banana bread is 2.28.

The price elasticity of supply is the percentage change in the quantity supplied divided by the percentage change in price, which can be represented mathematically as follows:

PED = (% Change in Quantity Supplied) / (% Change in Price)

Let's compute the price elasticity of supply for Belinda's Bakery's banana bread given that the quantity supplied changes by 57% when the price changes by 25%.

Calculating the price elasticity of supply for Belinda's Bakery's banana bread:

PED = (% Change in Quantity Supplied) / (% Change in Price)

PED = 57% / 25%PED = 2.28

Therefore, this means that when the price changes by 1%, the quantity supplied changes by 2.28%. This shows that Belinda's Bakery's banana bread is highly elastic.

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why does plutonium not occur in appreciable amounts in natural ore deposits?

Answers

Plutonium is a synthetic element, meaning it is not naturally occurring in appreciable amounts in the Earth's crust.

Here's why:

Origin: Plutonium is primarily produced through the process of nuclear reactions involving uranium-238, which is naturally present in uranium ore deposits. When uranium-238 absorbs a neutron, it undergoes a series of nuclear reactions, ultimately converting into plutonium-239. Plutonium-239 is the most common and important isotope of plutonium used in nuclear applications.

Half-life: Plutonium-239 has a relatively long half-life of about 24,100 years. This means that the amount of plutonium-239 present in the Earth's crust has been decaying since its creation during the formation of the Earth. Over billions of years, the amount of plutonium-239 has significantly decreased due to radioactive decay.

Extraction difficulty: Even though trace amounts of plutonium can be found in some uranium ore deposits, they are typically in such low concentrations that extracting them on a meaningful scale is impractical and economically unviable. Plutonium is typically produced artificially in specialized nuclear reactors or through nuclear weapons programs.

Geological processes: Plutonium is highly reactive chemically, and it tends to form compounds rather than occurring in its elemental form. Additionally, plutonium has a strong tendency to migrate in the Earth's crust due to geochemical processes like weathering, erosion, and groundwater movement. These factors contribute to the scarcity of plutonium in natural ore deposits.

In summary, plutonium is not found in appreciable amounts in natural ore deposits due to its synthetic nature, long half-life, difficulty of extraction, and geological processes that limit its occurrence.

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A major benefit of automatic stabilizers is that they?
a. Guarantee a balanced budget over the course of the business cycle.
b. have the tendency to reduce the national debt.
c. help increase recessionary gaps in the economy.
d. moderate the effect of fluctuations in the business cycle.
e. require legislative review by congress before they can be implemented.

Answers

Automatic stabilizers refer to government policies or features of an economy. The correct answer is d. moderate the effect of fluctuations in the business cycle.

Automatic stabilizers are government policies or programs that are designed to automatically stabilize the economy during periods of economic instability, such as recessions or expansions. They work by adjusting government spending and taxes based on the current state of the economy. One major benefit of automatic stabilizers is that they help moderate the effect of fluctuations in the business cycle.

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Draw and carefully describe a graph that utilizes the Aggregate Demand/Aggregate Supply model that would illustrate the state of the aggregate economy in the United States at the very beginning of 2020 before the start of the pandemic and the 2020 recession. Make sure that you explain your graph in your own words. You should draw your own AD/AS graph which you can then embed into your post. Your graph needs to be clearly labeled and explained in some detail. Make sure that your graph includes an aggregate demand (AD) curve, a short run aggregate supply (SRAS) curve, and a long run aggregate supply curve (LRAS, Potential GDP) curve. You should clearly label both axes of the graph.

Answers

Before the COVID-19 pandemic hit, the United States was experiencing a steady growth in its economy.

This steady growth was indicated by the gradual shift in aggregate demand (AD) and supply (AS) to the right of the equilibrium level that depicts a growing economy. At the beginning of 2020, the aggregate economy in the United States was in equilibrium, with a short-run aggregate supply (SRAS) curve intersecting the AD curve at the potential GDP level.

The graph above illustrates the aggregate demand (AD), short-run aggregate supply (SRAS), and long-run aggregate supply (LRAS, Potential GDP) curves. The x-axis of the graph represents the real GDP level, while the y-axis represents the price level. The equilibrium level is indicated by the intersection of the AD and SRAS curves at the potential GDP level, shown by the vertical line in the graph above. Potential GDP is the level of output that an economy can produce with its existing resources and technology at a full employment level.

Before the pandemic, the United States' economy was growing, which is depicted by the AD and AS curves shifting to the right of the equilibrium level. The increase in AD is a result of an increase in consumer spending, business investment, government spending, and net exports. As AD increases, the price level also increases, which leads to an increase in SRAS, shown by a shift in the SRAS curve to the right. The shift in the SRAS curve is attributed to an increase in production efficiency, lower production costs, and technological advancements

.As the economy grew, the unemployment rate decreased, and the rate of inflation remained relatively stable. The decrease in unemployment results from the increase in output and production efficiency that leads to more job opportunities. With the economy growing and no sign of inflation, the Fed kept interest rates low to encourage borrowing and increase consumer spending. Therefore, the economy was on a steady growth path before the pandemic.

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The Market: Bluetooth earbuds The Equilibrium Price: $100 The scenario: The government decides that the maximum price bluetooth earbuds can be sold is $90. This policy is an example of a O binding price ceiling Non-binding price floor Non-binding price ceiling O binding price floor

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The government's decision to set a maximum price of $90 for Bluetooth earbuds is an example of a binding price ceiling.

A price ceiling is a government-imposed limit on the price that can be charged for a particular good or service. In this scenario, the government has set a maximum price of $90 for Bluetooth earbuds, which is below the equilibrium price of $100. Since the government's price limit is below the market equilibrium price, it becomes binding because it affects the market outcome.

A binding price ceiling creates a situation where the quantity demanded exceeds the quantity supplied at the regulated price. In the context of Bluetooth earbuds, the price ceiling of $90 may lead to increased demand as consumers perceive it as a lower price. However, suppliers may find it less profitable to produce and sell Bluetooth earbuds at the capped price, resulting in a potential shortage of supply.

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What is meant by "Fund Balance" as it appears on the Statement
of …… for the General Fund? What are the subcategories and why are
they necessary?

Answers

Fund Balance" refers to the residual amount of assets remaining in the General Fund after deducting liabilities. It appears on the Statement of Fund Balance for the General Fund, which is a financial statement that provides an overview of the financial position of the fund.

Fund Balance is categorized into different subcategories to provide more detailed information about the nature and availability of the funds. The subcategories typically include:

Nonspendable Fund Balance: This represents resources that cannot be spent or liquidated, such as inventories or long-term assets.

Restricted Fund Balance: These are funds that have restrictions imposed by external parties, legal requirements, or internal policies. For example, a donation specifically designated for a particular purpose.

Committed Fund Balance: These funds are set aside for specific purposes by the government's highest level of decision-making authority. The commitment is usually made through a formal action, such as a resolution or ordinance.

Assigned Fund Balance: These funds are intended for specific purposes but are not legally restricted or committed. They are usually designated by the government's management for specific projects or future expenses.

Unassigned Fund Balance: This represents the residual amount of fund balance that is not classified under any of the above categories. It is available for any purpose and can be used at the discretion of the government.

These subcategories are necessary to provide transparency and accountability in financial reporting. They help users of the financial statements understand the availability and limitations associated with the fund balance, ensuring that the funds are appropriately allocated and managed in accordance with legal and operational requirements.

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"Liquidity trap" was a problem of a) monetary policy of Japan and Sweden. b) fiscal policy in Japan. c) fiscal and monetary policy of Japan. d) fiscal and monetary policy of both Japan and Sweden e) monetary policy of Japan, fiscal policy of Sweden

Answers

Option (c) fiscal and monetary policy of Japan. A liquidity trap occurs when a central bank uses monetary policy to stimulate the economy, and interest rates fail to stimulate economic growth. This happens when interest rates are so low that they no longer have any significant impact on the economy.

A liquidity trap is an economic phenomenon in which low-interest rates fail to encourage people to invest and borrow. This typically happens when interest rates are already low, and there is a surplus of savings but a shortage of people who want to borrow. In a liquidity trap, monetary policy is ineffective because it cannot encourage borrowing, which is essential for economic growth.

Fiscal and monetary policies are government strategies for managing economic activity. Monetary policy refers to the central bank's use of interest rates and other tools to regulate the economy, while fiscal policy refers to the government's use of taxation and spending to regulate the economy. In the case of a liquidity trap, both fiscal and monetary policies can be used to encourage borrowing and investment. In Japan, this problem was primarily due to the fiscal and monetary policy of the country. Hence, the correct option is (c) fiscal and monetary policy of Japan.

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