which of the following is not a reason that a company would typically collect personally identifiable information (pii)?

Answers

Answer 1

The correct option is c. to fulfill legal requirements. Collecting personally identifiable information (PII) is not typically done by companies to fulfill legal requirements. Instead, companies collect PII for various other reasons:

a. To provide personalized services: Companies may collect PII to offer personalized experiences, customize products or services, and tailor their offerings to individual customer preferences.

b. To improve customer service: PII can be collected to better understand customer needs, respond to inquiries or requests, and enhance the overall customer service experience.

d. To conduct targeted marketing: Companies may collect PII to develop targeted marketing campaigns, deliver relevant advertisements, and measure the effectiveness of their marketing efforts.

e. To secure transactions and prevent fraud: PII is often collected to verify user identities, secure transactions, and protect against fraudulent activities.

While companies must comply with legal requirements regarding the collection, storage, and use of PII (such as privacy regulations), fulfilling legal requirements is not a primary reason for collecting PII. Rather, legal compliance ensures that PII is collected and handled in a lawful and responsible manner.

Therefore, the reason that is not typically associated with companies collecting PII is c. to fulfill legal requirements.

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gigantic life insurance has several batch jobs that run on windows 10 computers overnight. the batch jobs are scheduled overnight because they require all the performance capability of the computers and must be completed by morning for staff to perform their regular work. the batch jobs always use approximately the same amount of data, but occasionally they are not finished in the morning, resulting in lost productivity. describe how you would determine the cause of the slow processing.

Answers

By systematically investigating these factors, it should be possible to identify the underlying cause of slow processing in the batch jobs and take appropriate measures to improve their performance and ensure timely completion.

To determine the cause of slow processing in the batch jobs, the following steps can be taken:

Review System Performance: Start by analyzing the overall system performance of the Windows 10 computers during the batch job execution period. Monitor resource utilization, such as CPU, memory, and disk usage, to identify any bottlenecks or excessive usage that may be causing slowdowns.

Check Network Connectivity: Ensure that network connectivity between the computers and any servers or databases involved in the batch job is stable. Slow or unreliable network connections can significantly impact processing speed.

Examine Log Files: Review the log files generated by the batch jobs to identify any error messages, warnings, or exceptions. These logs may provide insights into specific issues or failures that occurred during the processing.

Evaluate Job Dependencies: Identify any dependencies or interdependencies between the batch jobs and other systems, processes, or data sources. Ensure that all necessary resources are available and accessible during the execution of the batch jobs.

Monitor Database Performance: If the batch jobs involve database operations, monitor the performance of the database server. Check for any long-running queries, inadequate indexing, or database contention that could be affecting processing speed.

Analyze Job Configuration: Review the configuration settings of the batch jobs, such as memory allocation, thread utilization, and parallel processing options. Adjusting these settings based on the system capabilities and workload requirements can optimize performance.

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Which maintenance tasks performed by a POM department involve the daily cleaning of the lint traps in dryers used in a hotel's OPL?
A) Routine
B) Preventive
C) Emergency
D) Outsourced

Answers

The maintenance tasks performed by a POM (Property Operations and Maintenance) department that involve the daily cleaning of the lint traps in dryers used in a hotel's OPL (On-Premises Laundry) are: Preventive.

Preventive maintenance tasks are proactive measures taken to prevent equipment failure, minimize downtime, and ensure the efficient and safe operation of equipment or systems. Cleaning the lint traps in dryers on a daily basis is a preventive maintenance task.

Lint traps in dryers collect lint and debris that can accumulate over time. If not cleaned regularly, this buildup can lead to reduced airflow, increased drying times, and potential fire hazards. By performing daily cleaning of the lint traps, the POM department is taking preventive action to remove the lint and maintain the dryers' optimal performance and safety.

Regularly cleaning the lint traps helps prevent issues such as clogged vents, overheating, and excessive wear and tear on the dryers. It ensures that the dryers function efficiently, minimize the risk of equipment failure, and maintain a safe environment for hotel guests and staff.

The maintenance tasks involving the daily cleaning of lint traps in dryers used in a hotel's OPL are considered preventive maintenance tasks. By performing this task regularly, the POM department aims to prevent issues, ensure efficient operation, and maintain a safe environment.

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assume that the absolute value of the price elasticity of demand for a slice of pizza is 4. if price decreases by 3%, by how much does quantity demanded increase?

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The quantity demanded will increase by 12% when the price of a slice of pizza decreases by 3%. The new quantity demanded would be 112 slices of pizza, up from the original 100 slices.

Price elasticity of demand measures the responsiveness of quantity demanded to changes in the price of a good. A price elasticity of demand of 4 indicates that a 1% change in price will lead to a 4% change in the quantity demanded.

If the price of a slice of pizza decreases by 3%, we can use the price elasticity of demand formula to determine how much the quantity demanded will increase. Let's assume the original price of a slice of pizza was $2.

% change in price = -3%

Price elasticity of demand = 4

% change in quantity demanded = ?

% change in quantity demanded = price elasticity of demand x % change in price

% change in quantity demanded = 4 x (-3%)

% change in quantity demanded = -12%

Therefore, the quantity demanded will increase by 12% when the price of a slice of pizza decreases by 3%.

To determine the actual increase in quantity demanded, we need to apply this percentage increase to the original quantity demanded. If the original quantity demanded was 100 slices of pizza, the new quantity demanded would be:

New quantity demanded = original quantity demanded x (1 + % change in quantity demanded)

New quantity demanded = 100 x (1 + 12%)

The new quantity demanded = 112 slices of pizza

So, when the price of a slice of pizza decreases by 3%, the quantity demanded will increase by 12%, from 100 slices to 112 slices.

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tyson fields is applying for a $160,000 mortgage. he can select either a $1,120 monthly payment with no points or a $1,008 payment with 4 points. how many months will it take tyson to cover the cost of the discount points if he takes the lower monthly payment?

Answers

It will take Tyson 58 months to cover the cost of the discount points if he takes the lower monthly payment option.

To calculate how long it will take Tyson to cover the cost of the discount points, we first need to determine how much he would pay for the points.

4 points on a $160,000 mortgage is equal to:

4% x $160,000 = $6,400

This means that if Tyson chooses the lower monthly payment option of $1,008, he will pay $112 more per month ($1,120 - $1,008) than he would with the higher monthly payment option.

To determine how many months it will take to recoup the $6,400 cost of the points, we can divide the cost of the points by the monthly savings from the lower payment:

$6,400 / $112 = 57.14 months

Rounding up to the nearest whole number, it will take Tyson 58 months to cover the cost of the discount points if he takes the lower monthly payment option.

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What step in the strategic sourcing process must be completed once the Commodity Strategy is approved and ready for pilot?-develop & implement aquisition strategy-conduct opportunity assessment-conduct supply market analysis-profile commodity

Answers

Once the Commodity Strategy is approved and ready for pilot, the next step in the strategic sourcing process is to conduct a supply market analysis.

This involves gathering information about the suppliers, their capabilities, pricing, and other relevant data. The purpose of this step is to identify potential suppliers that can meet the company's requirements for the commodity in question. This analysis also helps to identify any risks associated with the suppliers and the commodity itself.

Once the supply market analysis is completed, the company can then develop and implement an acquisition strategy, which involves selecting the most suitable suppliers and negotiating favorable contracts with them.

It is important to note that this step is critical as it lays the foundation for successful sourcing of the commodity and helps the company to mitigate any potential risks associated with it. Overall, a well-executed supply market analysis is key to successful strategic sourcing.

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yao yang starts the month with a balance on his credit card of $1,040. on the 10th day of the month, he purchases $290 in clothes with his credit card. on the 15th day of the month he makes a payment on his credit card of $700. the bank charges 1.5 percent interest per month using the adjusted balance method (and excludes new purchases). what would yao's finance charges be for the month?

Answers

Yao's finance charges for the month would be $9.45 in the given case of yao yang.

To calculate the finance charges for the month, we need to first calculate the adjusted balance, which is the balance after subtracting any payments made during the billing cycle.

On the 10th day of the month, Yao made a purchase of $290, so his balance increased to:

$1,040 + $290 = $1,330

On the 15th day of the month, Yao made a payment of $700, so his adjusted balance for the remainder of the month is:

$1,330 - $700 = $630

The interest rate is 1.5% per month, so the monthly interest charge is:

$630 * 0.015 = $9.45

Therefore, Yao's finance charges for the month would be $9.45.

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larusso auto, a prominent car dealership, maintains two sales teams: one for large vehicles (trucks and vans), and one for smaller vehicles (sedans, compact cars). what type of sales force structure does larusso auto use?

Answers

Larusso Auto uses a specialized sales force structure, where they maintain two separate sales teams for different types of vehicles - one team for large vehicles (trucks and vans) and another team for smaller vehicles (sedans, compact cars). This structure allows for greater expertise and focus within each team, enabling them to better meet the specific needs and preferences of customers looking for different types of vehicles.
Larusso Auto uses a Product Sales Force Structure. This structure is implemented because they have two distinct sales teams, one for large vehicles (trucks and vans), and another for smaller vehicles (sedans and compact cars). Each team specializes in selling a specific type of vehicle, ensuring they have expert knowledge and can better address customer needs within their respective categories.

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company has 61,000 shares of $16 par common stock outstanding, company announces a stock split 4 for 1. what is the effect of the split

Answers

The effect of the split is that the total shares increase to 244,000 and the par drops to $4.00. The correct answer is B. par drops to $4.00; total shares increase to 244,000.

1. Before the split: 61,000 shares at $16.00 par value each
2. Stock split: 4-for-1 means that each existing share will be split into 4 new shares
3. Calculate new shares: 61,000 shares × 4 = 244,000 shares
4. Adjust par value: To maintain the same overall value, the par value must be divided by the split ratio (4): $16.00 ÷ 4 = $4.00

This means that the company's overall market capitalization will remain the same, but the price per share will be lower, making it more affordable for investors to purchase. The correct answer is B. par drops to $4.00; total shares increase to 244,000.

The complete question is:

Company has 61,000 shares of $16.00 par common stock outstanding. Ballpark announces a stock split of 4-for-1. What is the effect of the split?

A. par stays at $16.00, total shares increase to 15,250

B. par drops to $4.00; total shares increase to 244,000

C. par goes to $64.00; total shares increase to 244,000

D. par drops to $8.00, total shares stay at 61,000

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Question 11 of 20
Which statement best summarizes the relationship between investments and
productivity?
O A. Companies use investments to reduce the opportunity cost of low
productivity.
B. Companies with poor productivity use investments to become
more efficient.
C. Companies with high levels of productivity never need to worry
about investment.
D. Companies use investments to reduce their need for high levels of
productivity.

Answers

Answer:

a

Explanation:

For a perfectly competitive firm, profit maximization (or loss minimization) occurs at the level of output at whicha. MR = MC.b. MR = AVC.c. P = ATC.d. MR = ATC.

Answers

Profit maximisation (or loss minimization) for a completely competitive firm takes place at the output level when MR (Marginal Revenue) equals MC (Marginal Cost). The answer option (a) is this.

The additional money generated by selling one more unit of output is known as marginal revenue (MR). The extra expense spent to create an additional unit of production is known as the marginal cost (MC). When a company creates the amount of output where the additional income from selling one more unit (MR) equals the additional cost incurred to produce that unit (MC), profit maximisation has occurred.

The company isn't squandering potential revenue at this productivity level, nor are extra expenses being incurred. The best quantity to produce is that which maximises gains or minimises losses.

Therefore, for profit maximisation in a perfectly competitive firm, the optimal response is a. MR = MC.

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If the price of strawberries raises by 5% and the quantity demanded decreases by 5%, then which of the following describes the price elasticity of demand for strawberries Select the correct answer below. A. Strawberries are elastic B. Strawberries are inelastic C. Strawberries are unitary elastic D. Strawberries are infintely elastic

Answers

The price elasticity of demand for strawberries can be classified as inelastic.

The price elasticity of demand measures the responsiveness of quantity demanded to changes in price. In this case, the price of strawberries has increased by 5%, resulting in a decrease in the quantity demanded by 5%.

When the percentage change in quantity demanded is less than the percentage change in price, the demand is considered inelastic. In this scenario, the decrease in quantity demanded is proportionally smaller than the increase in price, indicating relatively lower responsiveness of consumers to price changes.

Elasticity values between 0 and 1 indicate inelastic demand, meaning that changes in price have a proportionally smaller impact on the quantity demanded. Inelastic goods are typically essential items or goods with limited substitutes, where consumers are less sensitive to price fluctuations.

Based on the given information, the decrease in quantity demanded is equal to the increase in price, indicating a price elasticity of demand of less than 1. Therefore, the correct answer is B. Strawberries are inelastic, reflecting the relatively lower responsiveness of consumers to changes in the price of strawberries.

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the primary way of learning the organization culture is through company handbooksand e-mail. true false

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The primary way of learning the organization culture is through company handbooks and e-mail - False.

While company handbooks and email communication can provide some insight into an organization's culture, they are not the primary ways of learning about it. Organization culture is a complex and multifaceted concept that encompasses shared values, beliefs, norms, and behaviors within an organization. It is primarily learned through observation, interactions with colleagues and leaders, participation in meetings and activities, and immersion in the work environment.

Observing how people interact, how decisions are made, how communication flows, and how employees are treated can provide valuable insights into the organization's culture. Engaging in conversations, collaborating with colleagues, and building relationships within the organization also contribute to understanding the culture.

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the measured unemployment rate is often criticized for understating the level of joblessness because

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The measured unemployment rate is often criticized for underestimating the unemployment rate for several reasons.

First, the unemployment rate refers only to individuals who are actively looking for work but cannot find a job. It does not include discouraged workers who have given up looking for work or individuals who work part-time but want full-time employment. These individuals, although unemployed or underemployed, are not reflected in the official unemployment rate, leading to an underestimation of the true level of unemployment.

Second, the unemployment rate does not capture individuals who are considered "marginally attached" to the labor force. This includes individuals who want to work but have not actively looked for work in the past four weeks or are unable to start work immediately. By excluding these individuals from the unemployment rate calculation, it does not provide a comprehensive picture of the labor market and the true extent of unemployment.

Moreover, the unemployment rate does not take into account the quality of job opportunities. It treats all unemployed individuals equally, regardless of the type of job they seek or the wage they desire. This means that individuals who are underemployed, work in low-wage or part-time jobs, or are employed in jobs that do not match their skill level are not adequately captured by the unemployment rate, leading to an incomplete assessment of unemployment.

The unemployment rate can also be affected by individuals dropping out of the labor force altogether. During periods of economic downturn or discouragement of employment prospects, some individuals may choose to leave the labor force altogether, leading to a reduction in the measured unemployment rate. While this may temporarily reduce the unemployment rate, it does not necessarily improve employment conditions or welfare in the labor market.

In conclusion, the measured unemployment rate is criticized for underestimating the unemployment rate due to the exclusion of discouraged workers, individuals working part-time but aspiring to full-time employment, and those marginally attached to the labor force. It also does not account for the quality of job opportunities and individuals who have left the labor force. Understanding these limitations is important for gaining a more comprehensive understanding of the true extent of unemployment in the economy.

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what information does the fund accountant need to compute the nav for a share class daily? where does the fund accountant obtain this information? how do the different types of information affect nav?

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The fund accountant needs the total assets, liabilities, and shares outstanding of the share class to compute the NAV daily. They obtain this information from various sources such as the custodian bank and portfolio management system.

To compute the net asset value (NAV) for a share class of a mutual fund daily, the fund accountant needs to obtain the following information:

The total value of the fund's assets, which includes the market value of all securities held by the fund, plus any cash or cash equivalents.The total value of the fund's liabilities, which includes any outstanding expenses, such as management fees, administrative fees, and other operational costs.The total number of shares outstanding for the share class in question.The fund accountant can obtain this information from various sources, such as the fund's custodian, transfer agent, pricing vendors, and other service providers.

Different types of information can affect NAV in different ways. For example, changes in the market value of the fund's assets can have a direct impact on NAV, while changes in the fund's liabilities can reduce NAV.

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in recent years, american express, or amex, has been out of step with its customers. the firm's products and services have not changed to align with evolving needs. which dimension of strategic entrepreneurship is the firm struggling with? a. strategic b. innovation c. customer service d. entrepreneurship

Answers

American Express's struggle to align its products and services with evolving customer needs suggests that the firm is struggling with the (b) innovation dimension of strategic entrepreneurship.

Innovation is a company's ability to introduce new or improved products, services, or processes that create value for its customers and contribute to the company's competitive advantage. Customer preferences and behaviors have changed significantly in recent years, especially with the advent of technology and digital platforms. Today's customers expect seamless, personalized experiences and value convenience, speed, and simplicity. But American Express' products and services haven't evolved at the same pace, creating a rift between the company and its customers. To meet this challenge, American Express must invest in research and development and focus on innovation to create new products and services that meet the evolving needs of its customers. We can also work with technology companies to build digital platforms that leverage new technologies and deliver seamless, personalized experiences. In addition, American Express must foster a culture of innovation within the organization by encouraging its employees to think creatively and take calculated risks to introduce new ideas and solutions. The company may also consider adopting agile methodologies to enable faster and more efficient product development and delivery. In summary, by focusing on the innovation aspect of strategic entrepreneurship, American Express will be able to successfully adapt its products and services to customers' changing needs, strengthen its competitive edge, and sustain long-term success. I can. 

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another term for storage cost is: group of answer choices delivery cost ordering cost carrying cost capital cost

Answers

The correct answer to your question is option C. carrying cost. Carrying cost refers to the expenses incurred in maintaining and storing inventory, including costs associated with warehousing, handling, and managing inventory levels.

Carrying costs can include rent, utilities, insurance, taxes, security, and depreciation of equipment and facilities. Carrying cost is an important consideration for businesses that carry inventory, as it can have a significant impact on their bottom line. The higher the carrying cost, the more expensive it is for a business to maintain inventory levels. This can lead to higher prices for customers, lower profit margins, and reduced competitiveness in the marketplace. Businesses can reduce carrying costs by implementing efficient inventory management practices, such as using just-in-time inventory systems, optimizing order quantities, and reducing lead times. By minimizing the amount of inventory that needs to be stored, businesses can lower their carrying costs and improve their overall profitability. In conclusion, carrying cost is another term for storage cost, and it is an important factor that businesses must consider when managing inventory. By minimizing carrying costs through efficient inventory management practices, businesses can improve their competitiveness and profitability in the marketplace.

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SOMEONE PLEASE HELP ASAP!!! ECONOMICS!!! all you have to do is find an article and answer the 4 questions pls someone
Part B Scan reputable news sites for recent articles relating to fiscal policy from within the last six months. For example, you might find
that Congress is currently debating a new spending bill or just agreed to a tax cut. This list of search terms will help your search. Once you
find and read the article, fill in the requested information and respond to the four questions that follow in complete sentences.
Article title/headline:
Source (URL):
Date of publication:
1. Describe the fiscal policy action that is discussed in the article, including its status (such as under debate, approved, or rejected).
2. Would the fiscal policy action discussed in the article promote price stability, full employment, and/or economic growth? Explain.
3. Would the fiscal policy action discussed in the article, if approved, contribute to creation of a budget surplus or a budget deficit?
Would this likely increase, decrease, or not affect the national debt? Explain.
4. Do you approve or disapprove of the fiscal policy action described in the article? Explain your response and identify at least one
tradeoff for your choice.

Answers


Fiscal policy refers to the use of government spending and taxation to influence the economy. Fiscal policy actions can either expand or contract the economy, depending on their purpose. For example, if the government spends more money or cuts taxes, this can stimulate economic growth, but it can also lead to inflation and higher national debt. On the other hand, if the government reduces spending or raises taxes, this can slow down economic growth, but it can also help reduce inflation and national debt.

Based on this understanding, here are some possible answers to the questions:

1. Without a specific article to reference, it is difficult to describe the fiscal policy action discussed or its status.

2. Whether or not a fiscal policy action promotes price stability, full employment, and/or economic growth depends on the specific details of the policy. For example, if the government increases spending on infrastructure projects, this could create jobs and stimulate economic growth. However, if the government simply hands out cash payments to individuals, this may not have as much of an impact on economic growth. Similarly, if the government cuts taxes on businesses, this could promote economic growth by encouraging investment, but it could also lead to higher national debt.

3. Whether a fiscal policy action contributes to a budget surplus or a budget deficit again depends on the specific details of the policy. If the government increases spending or cuts taxes without finding a way to pay for it, this will likely lead to a budget deficit. This would increase the national debt, as the government would need to borrow more money to cover the deficit.

4. Whether someone approves or disapproves of a fiscal policy action depends on their individual values and priorities. For example, someone who values economic growth may approve of a policy that cuts taxes on businesses, while someone who values reducing national debt may disapprove of the same policy. A tradeoff for either choice is that fiscal policy actions often have unintended consequences, and it may be difficult to predict exactly how the economy will respond to a particular policy.

all of the following are examples of indirect costs that can be classified as being variable costs except: multiple choice utilities. material handling costs. production supervisor salaries. transportation costs.

Answers

All of the following are examples of indirect costs that can be classified as being variable costs, except for production supervisor salaries.

Indirect costs are costs that are not directly attributable to a particular product or service and are typically allocated to products or services based on an allocation method. Variable costs are costs that vary in proportion to the level of output or activity, and indirect variable costs can include items such as:

Utilities, which can vary based on the level of activity in a facility
Material handling costs, such as the cost of moving materials or supplies within a facility, which can vary based on the level of production
Transportation costs, which can vary based on the level of shipments or deliveries


However, production supervisor salaries are typically considered a fixed cost rather than a variable cost, as they do not vary based on the level of production. Instead, production supervisor salaries are a fixed cost that is incurred regardless of the level of output.

It is important for businesses to accurately classify costs as fixed or variable, as this can impact decision-making related to pricing, production, and overall profitability.

By understanding the relationship between costs and output, businesses can make more informed decisions about resource allocation and optimize their operations for maximum efficiency and profitability.

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Suppose there are 20 firms in a competitive market, that all face the following cost curve: C(q) = 2q² + 2 = market demand is given by QD(P) = 400 – 15p (a) What is an individual firm's supply curve qi(p)? (Hint: how does a profit maximizing firm choose qi ?) (2 points) (b) What is the market supply curve Qs(p)? (2 points) (c) What is the short-run market equilibrium (Q*,p*)? (5 points) (d) What is an individual firm's profit? (2 points) (e) What will happen to this market in the long-run? Explain graphically.

Answers

(a) An individual firm's supply curve, qi(p), can be determined by setting the firm's marginal cost equal to the market price (p) in order to maximize profit. The marginal cost (MC) is the derivative of the cost function, C(q), with respect to quantity (q).

MC(q) = dC(q)/dq

= 4q

Setting MC equal to p, we have:

4q = p

Solving for q, we get:

q = p/4

Therefore, the individual firm's supply curve is given by qi(p) = p/4.

(b) The market supply curve, Qs(p), can be obtained by summing up the quantities supplied by all the firms in the market. Since there are 20 firms, the market supply is given by:

Qs(p) = 20 * qi(p)

= 20 * (p/4)

= 5p

Therefore, the market supply curve is Qs(p) = 5p.

(c) The short-run market equilibrium occurs where the market demand (QD) equals the market supply (Qs). Setting QD equal to Qs, we have:

400 - 15p = 5p

Combining like terms and solving for p, we get:

20p = 400

p = 20

Substituting the value of p back into either QD or Qs, we find:

Q* = QD(p)

= 400 - 15p

= 400 - 15(20)

= 100

Therefore, the short-run market equilibrium is Q* = 100 and p* = 20.

(d) An individual firm's profit can be calculated by subtracting the total cost from the total revenue. Total revenue (TR) is given by the product of price (p) and quantity supplied (qi):

TR = p * qi(p)

= p * (p/4)

= p²/4

Total cost (TC) is given by the cost function, C(q):

TC = C(q)

= 2q² + 2

Plugging in the value of q = p/4, we can express TC in terms of p:

TC = 2(p/4)² + 2

= p²/8 + 2

The firm's profit (Π) is the difference between total revenue and total cost:

Π = TR - TC

= (p²/4) - (p²/8 + 2)

= p²/8 - 2

(e) In the long run, firms in a competitive market have the freedom to enter or exit the market. If firms are earning positive economic profits, new firms will be attracted to enter the market, increasing the market supply. Conversely, if firms are experiencing losses, some firms may exit the market, decreasing the market supply.

In this case, since the individual firm's profit is given by Π = p²/8 - 2, we can see that the profit is negative for p less than approximately 14.14. Therefore, firms will experience losses in the short run.

In the long run, if firms are experiencing losses, some firms may exit the market, reducing the market supply. As a result, the market price will increase, leading to a reduction in individual firms' losses. This process will continue until the market reaches long-run equilibrium, where firms earn zero economic profits. Graphically, the supply curve will shift to the left until it intersects the market demand curve at a price where firms break even, indicating long-run equilibrium.

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The fully automated trade-execution system installed on the NYSE is called _____.
A. FAX
B. Direct +
C. NASDAQ
D. SUPERDOT

Answers

The fully automated trade-execution system installed on the NYSE is called **SUPERDOT**.

SUPERDOT, which stands for **Super Designated Order Turnaround**, is a system that allows for the efficient and rapid execution of orders on the New York Stock Exchange (NYSE). This electronic system was introduced in 1984 and was designed to improve the order routing and execution process by automatically matching buy and sell orders for stocks listed on the exchange. By eliminating the need for manual intervention, SUPERDOT increased the speed of trade execution and reduced the likelihood of errors. The system played a significant role in the development of electronic trading and has since been replaced by more advanced technology, such as the NYSE's current trading platform, NYSE Pillar.

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what is the internal rate of return for a project with an initial outlay of $20,000 that is expected to generate cash flows of $3,000 per year for 10 years?

Answers

The internal rate of return for the project is approximately 14.46%.

How to calculate the internal rate returns for the project

To calculate the internal rate of return (IRR) for the project, we need to find the discount rate that makes the net present value (NPV) of the project's cash flows equal to zero.

In this case, the initial outlay is -$20,000 (negative because it is an outgoing cash flow), and the expected cash flows are $3,000 per year for 10 years.

Using a financial calculator or a spreadsheet software, we can find that the IRR for this project is approximately 14.46%.

Therefore, the internal rate of return for the project is approximately 14.46%.

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Communication, coaching, and conflict management are said to be skills that have a direct and significant impact on a leader’s career success (Chapter 6). Given the weak market and financial position that Nike was in prior to Mark Parker’s appointment, how critical are these skills in his efforts to reposition the company and address its weaknesses?

Answers

Mark Parker's appointment as CEO of Nike was crucial for the company's repositioning and addressing its weaknesses.

Effective communication was critical for Mark Parker to share his vision and strategy with the company's stakeholders, including employees, shareholders, and customers. Clear communication helped him gain the support and commitment of his team members and build trust with shareholders and customers.

Coaching was also essential for Mark Parker to develop the skills and talents of his team members. He had to provide feedback, support, and guidance to his employees to enhance their performance and help them achieve their potential.

By coaching his team members, Mark Parker was able to create a culture of continuous learning and improvement, which was critical for Nike's success.

Conflict management was also a critical skill for Mark Parker as he had to address the internal conflicts and challenges within the company. As a leader, he had to handle disagreements, differences of opinion, and conflicting interests effectively to prevent these issues from escalating into bigger problems.

By managing conflicts constructively, Mark Parker was able to build a cohesive team that worked together to achieve the company's objectives.

In summary, communication, coaching, and conflict management were critical skills for Mark Parker to reposition Nike and address its weaknesses.

By effectively leveraging these skills, Mark Parker was able to build a cohesive team, share his vision and strategy with stakeholders, and develop the skills and talents of his employees. These efforts contributed significantly to Nike's success in the years following Mark Parker's appointment as CEO.

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Why is it difficult to measure future cash flows? Accurately measuring expected future cash flows is not easy in a world of uncertainty M (Select from the drop-down menu.) True False

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True, It is difficult to measure future cash flows because of the inherent uncertainty in the business environment.

There are various factors such as competition, changes in technology, changes in consumer preferences, and economic conditions that can impact the expected future cash flows of a business.

As a result, it becomes challenging to predict the future cash flows accurately, and there is always a degree of uncertainty involved. Additionally, there may be unexpected events such as natural disasters or pandemics that can impact the future cash flows of a business, making it even harder to measure them accurately.

Measuring future cash flows is difficult due to various factors such as economic conditions, market trends, and business performance. These factors contribute to the uncertainty and make it challenging to accurately predict future cash inflows and outflows.

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in a logistics system, transportation operations should be optimized at the expense of related logistics activities, such as warehousing and inventory management. question 7 options:truefalse

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False. In a logistics system, optimizing transportation operations does not necessarily mean sacrificing related logistics activities like warehousing and inventory management.

Effective logistics management requires a holistic approach that considers the interdependencies and interactions between various components. While transportation plays a crucial role in ensuring timely delivery and efficient movement of goods, warehousing and inventory management are equally important for inventory control, storage, and order fulfillment. Neglecting these aspects can lead to inefficiencies, increased costs, and customer dissatisfaction.

An optimal logistics system seeks to strike a balance between transportation, warehousing, and inventory management, recognizing that each element contributes to overall supply chain effectiveness. By harmonizing these activities, organizations can achieve cost savings, minimize stockouts, improve customer service, and enhance the overall efficiency of their logistics operations.

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in which stage of the plc will promotional expenditures be high in an attempt to respond to increasing competition? question 18 options: adoption maturity product development growth decline

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Answer:

Promotional expenditures will be high in the growth stage of the PLC.

Explanation:
Promotional expenditures include advertising, sales promotion, personal selling, and public relations.

During the growth stage, promotional expenditures will be high in an attempt to respond to increasing competition.

This is because the product is gaining acceptance in the market and competitors are entering the market as well.

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The "growth" stage of the plc will promotional expenditures be high in an attempt to respond to increasing competition. The correct option is D.

The growth stage follows the introduction stage, during which a product gains traction and starts to achieve widespread acceptance. As the product gains popularity and attracts more customers and competitors often enter the market which is leading to increased competition.

To maintain market share and continue growing, companies invest heavily in marketing and promotion during this stage. These expenditures are aimed at creating brand awareness, differentiating the product and persuading consumers to choose their offering over competitors.

Therefore, the correct option is D.

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what is the underlying portfolio for the purpose of deriving black-scholes-merton formula?

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The underlying portfolio for the purpose of deriving the Black-Scholes-Merton formula is a portfolio that consists of the underlying asset or security that the option derives its value from.

The Black-Scholes-Merton formula is a mathematical model used to calculate the theoretical price of options. It assumes that the price of the underlying asset follows a geometric Brownian motion and considers factors such as the strike price, time to expiration, risk-free interest rate, volatility, and dividends.

To derive the formula, the underlying portfolio is essential. The underlying portfolio represents the assets that the option is based on. For example, if the option is a call option on a stock, the underlying portfolio would consist of shares of that stock.

The Black-Scholes-Merton formula derives the price of the option by modeling the behavior of the underlying asset. It takes into account factors such as the current price of the underlying asset, the strike price of the option, the time to expiration, the risk-free interest rate, and the expected volatility of the underlying asset.

By understanding the characteristics and dynamics of the underlying portfolio, the Black-Scholes-Merton formula enables the calculation of a fair value for options, providing insights into the pricing and trading of these financial derivatives.

In conclusion, the underlying portfolio for the purpose of deriving the Black-Scholes-Merton formula represents the assets or securities that the option derives its value from. Understanding the behavior and characteristics of the underlying portfolio is crucial for accurately pricing options using the Black-Scholes-Merton model. The formula considers various factors related to the underlying asset, such as its price, volatility, and time to expiration, to determine the theoretical value of the option. By incorporating these factors, the Black-Scholes-Merton formula provides a framework for option pricing and risk management in financial markets.

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an existing uncertain situation that might result in a loss depending on the outcome of a future event is defined as a

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An existing uncertain situation that may result in a loss depending on the outcome of a future event is referred to as a risk.

an existing uncertain situation that might result in a loss depending on the outcome of a future event is defined as a risk.

risk refers to the potential for an undesirable or adverse outcome due to uncertainty or variability in a situation. it involves the possibility of a loss or negative impact resulting from uncertain events or circumstances.

in the context of business or financial decision-making, risks are often assessed and managed to minimize their potential negative consequences. risks can arise from various sources, such as market fluctuations, economic conditions, technological changes, regulatory developments, natural disasters, or unexpected events.

identifying and evaluating risks is an essential part of risk management. it involves analyzing the probability of different outcomes and their potential impacts on the organization or individual. risk management strategies aim to mitigate or minimize risks through measures like risk avoidance, risk reduction, risk transfer, or risk acceptance.

by recognizing and addressing risks, individuals and organizations can make informed decisions, implement appropriate safeguards, and develop contingency plans to protect against potential losses or negative outcomes.

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for the equipment that was sold, determine its original cost, its accumulated depreciation, and the cash received from the sale. (use the equipment and accumulated depreciation t-accounts to infer the book value of the equipment sold.) sanchez company uses the indirect method for the operating activities section of the cash flow statement. what amount related to the sale would be added or subtracted in the computation of net cash flows from operating activities? what amount related to the sale would be added or subtracted in the computation of net cash flows from investing activities?

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The Original cost is $10,200 and Accumulated Depreciation is $1,110. Cash received is not given. The amount related to Operating Activities is $4,840. The cash outflow of $1,110 would be added to Net Cash Flows from Investing Activities.

The original cost of the equipment sold can be calculated as follows

Beginning equipment balance = $20,700

Ending equipment balance = $10,500

Equipment sold = $20,700 - $10,500 = $10,200

The accumulated depreciation of the equipment sold can be calculated as follows

Beginning accumulated depreciation balance = $1,920

Ending accumulated depreciation balance = $1,750

Depreciation expense for the period = $940

Accumulated depreciation for the sold equipment = $1,920 - $1,750 + $940 = $1,110

The book value of the equipment sold is

$10,200 - $1,110 = $9,090

The cash received from the sale was not provided in the information given.

In the computation of net cash flows from operating activities, the loss on the sale of equipment would be added back as a non-cash expense:

Loss on sale of equipment = $3,900

Add: Depreciation expense = $940

Net effect on operating activities = $3,900 + $940 = $4,840 (added back)

In the computation of net cash flows from investing activities, the cash received from the sale of equipment would be included as a positive value

Cash received from sale of equipment = Original cost of equipment - Book value of equipment sold = $10,200 - $9,090 = $1,110 (added back)

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--The given question is incomplete, the complete question is given

" During the period, Sanchez Company sold some excess equipment at a loss. The following information was collected from the company’s accounting records

From the Income Statement  

Depreciation expense $ 940

Loss on sale of equipment  3,900

From the Balance Sheet  

Beginning equipment  20,700

Ending equipment  10,500

Beginning accumulated depreciation  1,920

Ending accumulated depreciation  1,750

No new equipment was bought during the period.

Required

1. For the equipment that was sold, determine its original cost, its accumulated depreciation, and the cash received from the sale. (Use the equipment and accumulated depreciation T-accounts to infer the book value of the equipment sold.)

2. Sanchez Company uses the indirect method for the Operating Activities section of the cash flow statement. What amount related to the sale would be added or subtracted in the computation of Net Cash Flows from Operating Activities? (Input the amount as positive value.)

The____of_____would be _____.

3. What amount related to the sale would be added or subtracted in the computation of Net Cash Flows from Investing Activities? (Input the amount as positive value.)

The cash_____of____would be______."--

New Belgium Brewery owners began its operations in their basement because Multiple Choice of legal restrictions. of its proximity to suppliers. it took less capital. of its proximity to customers. it was a hobby.

Answers

Because it needed lower capital, the possessors of New Belgium Brewery started their business in their basement. It's choice C.

New Belgium Preparing Organization is a astronomically conveyed distillery in the US. The brand produces Fat Tire Golden Brew, Voodoo Officer IPA, Wall oil Agua Fresca Cerveza, and La Folie Harsh Earthy colored Lager, among other standard and occasional lager assortments.

The possessors of New Belgium Brewery started their business in their basement because it needed little capital.

Question

The possessors of New Belgium Brewery started the brewery in their basement because

a) of legal constraints

b) because it's close to suppliers.

c) lower plutocrat was demanded.

d) because it's close to guests.

e), it was a pastime.

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When a license holder is also a principal to the transaction, he must disclose this dual role:(a) only if the other agent asks about it.(b) only if the license holder does not have E&O insurance.(c) even if the license holder only has an economic interest in the property.(d) only if a relative of the license holder ever lived in the property.

Answers

When a license holder is also a principal to the transaction, he must disclose this dual role even if the license holder only has an economic interest in the property.

When a license holder, who is also a principal in the transaction, has any form of interest in the property being bought or sold, they are required to disclose this dual role to all parties involved, regardless of the nature of their interest. This includes situations where the license holder has an economic interest in the property, meaning they stand to benefit financially from the transaction.

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