which reason for holding inventory guards against a reduction in the flow rate when one assembly station is disrupted in a production line?

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Answer 1

This buffer ensures that the production process can continue uninterrupted, even if there is a temporary disruption at one of the stations. This helps maintain the flow rate and overall efficiency of the production line.

The reason for holding inventory that guards against a reduction in the flow rate when one assembly station is disrupted in a production line is that it provides a buffer or safety net for the production process. If there is enough inventory to keep the production line moving while the disrupted assembly station is fixed or replaced, then the overall flow rate can be maintained without any significant interruption. This is especially important in lean production systems where disruptions can have a ripple effect on the entire process. By holding inventory, companies can reduce the risk of downtime and ensure that their production targets are met even in the face of unexpected disruptions.

Holding inventory guards against a reduction in the flow rate when one assembly station is disrupted in a production line because it serves as a buffer or safety stock. This buffer ensures that the production process can continue uninterrupted, even if there is a temporary disruption at one of the stations. This helps maintain the flow rate and overall efficiency of the production line.

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the interest rate falls if question 3 options: the price level falls or the money supply falls. the price level falls or the money supply rises. the price level rises or the money supply falls. the price level rises or the money supply rises.

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The interest rate falls if the price level falls or the money supply rises. When the price level falls, it means that the purchasing power of money has increased.

As a result, people will demand more money, and lenders will be willing to lend at lower interest rates. On the other hand, when the money supply increases, it leads to an increase in the amount of money available for lending.

This causes lenders to compete for borrowers, leading to a decrease in interest rates. Conversely, if the price level or the money supply rises, the demand for money decreases, and lenders will increase their interest rates to compensate for the increased risk.

Therefore, it is important to monitor these economic indicators to make informed decisions about borrowing and lending.

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Roland and Alfreeda enter into a written agency agreement in which Alfreeda will represent Roland as his agent to obtain acting jobs for Roland. No termination provisions are included in the written agreement. If Roland wishes to terminate his agreement with Alfreeda: Roland must do so in writing because the agency agreement is in writing Roland may do so by providing notice to Alfreeda in any reasonable manner. Roland must do so in person only Roland must do so by sending the termination notice to Alfreeda by certified mail.

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If Roland wishes to terminate his agreement with Alfreeda, he must do so in writing.

If Roland wishes to terminate his agreement with Alfreeda, he must do so in writing because the agency agreement is in writing. However, since no termination provisions are included in the agreement, Roland may do so by providing notice to Alfreeda in any reasonable manner. This means that Roland can terminate the agreement by sending Alfreeda an email, giving her a call, or sending a letter. However, to ensure that the termination notice is received, Roland should send it to Alfreeda by certified mail. This will provide proof of delivery and ensure that Alfreeda cannot claim she did not receive the notice.

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how can an oligopoly form when there are network effects and market feedback?

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An oligopoly can form when network effects and market feedback reinforce each other, leading to market dominance by a few firms and creating barriers to entry for new competitors. This consolidation can reduce competition and result in a market controlled by a select group of companies.

An oligopoly can form in a market with network effects and market feedback due to the interplay of these forces, which creates barriers to entry and fosters market dominance by a few firms. Network effects occur when the value of a product or service increases as more people use it. As a result, users tend to gravitate towards popular products, thereby reinforcing the dominant position of established firms.

Market feedback, on the other hand, refers to the impact that consumers' choices have on the market dynamics. In the context of an oligopoly, market feedback can amplify the competitive advantages of leading firms, while making it harder for new entrants to gain a foothold.

In such a scenario, the initial success of a firm in attracting users can create a positive feedback loop. The more users a firm has, the more valuable its product becomes, and the more likely other users are to adopt it. This further increases the value of the product and drives even more adoption, leading to a virtuous cycle of growth.

As this cycle continues, dominant firms become more entrenched, and their products become more difficult for competitors to displace. This creates barriers to entry for new firms, who may find it challenging to compete against the incumbents' established user bases and the resulting network effects.

Simultaneously, the presence of strong network effects can lead to market consolidation, as firms with smaller user bases struggle to compete and may be driven out of the market or absorbed by larger players. This further reduces competition and contributes to the formation of an oligopoly, where only a few dominant firms control the market.

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which of the following mutual fund types will most likely have the highest total risk level? a. a large-cap index fund. b. a mid-cap domestic equity fund. c. a large-cap international fund. d. a small-cap growth fund.

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The small-cap growth fund is most likely to have the highest total risk level among the mutual fund types listed. Small-cap companies are riskier due to smaller market capitalization and higher vulnerability to economic and market fluctuations.

Small-cap companies are generally considered riskier than large-cap companies because they have a smaller market capitalization and can be more vulnerable to economic and market fluctuations.

Growth-oriented companies, which are usually characterized by higher earnings growth rates, also tend to be more volatile and risky than value-oriented companies.

In addition to this, small-cap companies may have less liquidity than large-cap companies, making them more susceptible to sudden price swings.

The combination of these factors - small market capitalization, higher earnings growth rates, and less liquidity - can make small-cap growth funds more volatile and riskier than other mutual fund types.

On the other hand, large-cap index funds and large-cap international funds tend to be less volatile because they invest in well-established, multinational companies with a long history of stability and growth.

Mid-cap domestic equity funds can be riskier than large-cap funds, but typically less risky than small-cap funds.nIt's important to note that higher risk can also mean the potential for higher returns.

Small-cap growth funds may offer the potential for higher returns over the long term, but investors should be prepared to accept higher levels of risk in exchange for potential rewards.

As with any investment, it's essential to do your research and understand the risks involved before investing in mutual funds.

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Joseph Munster completed his broker prelicense course and applied to take the real estate exam. He can solicit buyers and sellers
a.after he applies for his license.
b.when he has demonstrated competence in the required subject areas by completing the prelicense course .
c.when he successfully completes his real estate exam.
d.after his license has been issued in the name of his supervising principal broker.

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Joseph Munster completed his broker prelicense course and has applied to take the real estate exam. He has demonstrated competence in the required subject areas by completing the prelicense course, and he will be eligible to solicit buyers and sellers after he successfully completes his real estate exam.

It's important to note that Munster can only legally solicit buyers and sellers after his license has been issued in the name of his supervising principal broker.

The process of obtaining a real estate license requires several steps, including completing the prelicense course, passing the real estate exam, and obtaining a license in the name of a supervising broker. Before applying for a license,

Munster must first complete the prelicense course, which will demonstrate his competence in the subject areas required for a real estate license. Once he passes the real estate exam, he will be eligible to apply for a license in the name of his supervising broker.

After his license has been issued, Munster will be able to legally solicit buyers and sellers. However, it's important to note that he must always operate under the supervision of his principal broker, and he must comply with all applicable real estate laws and regulations.

By completing the required coursework, passing the real estate exam, and obtaining a license in the name of his supervising principal broker, Munster will be well on his way to a successful career in real estate.

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alpha is a mobile platform that matches independent fashion designers with consumers who want a personalized wardrobe. as a platform business that matches two sides of a market, which of the following initiatives would best allow alpha to fine-tune its offerings to better meet the needs of its consumers?

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Conducting consumer surveys would be the best initiative for Alpha to fine-tune its offerings to better meet the needs of its consumers.

By conducting surveys, Alpha can gather feedback directly from its consumers, which can provide insights into their preferences, pain points, and overall satisfaction with the platform.

This information can then be used to make data-driven decisions and improvements to Alpha's offerings. Additionally, surveys can help Alpha identify potential areas for growth and new opportunities to expand its platform.

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suppose you manage a firm in a monopolistically competitive market. which of the following strategies will do a better job of helping you maintain economic profits: option a: obtaining a celebrity endorsement for your product. option b: supporting the entry of firms that will compete directly with your biggest rival. multiple choice option b because it reduces profits for your competitor option a because celebrities are usually right option a because consumers may have positive feelings about a good that is endorsed by a celebrity option b because it is less expensive

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Obtaining a celebrity endorsement for your product, will do a better job of helping you maintain economic profits.

What is Monopolistically Competitive Market?

Monopolistic competition is a type of imperfect competition in which there are many producers or sellers of similar but slightly differentiated products. In a monopolistically competitive market, firms are able to differentiate their products based on factors such as quality, design, or branding, allowing them to charge a slightly different price than their competitors.

Option A: obtaining a celebrity endorsement for your product. This is because consumers may have positive feelings about a product that is endorsed by a celebrity, which could lead to increased demand and higher prices for your product. Additionally, a celebrity endorsement could help differentiate your product from competitors in the market. Supporting the entry of firms that will compete directly with your biggest rival may reduce profits for your competitor, but it may also increase competition in the market and reduce prices for all firms, potentially lowering economic profits.

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Individuals who haven’t studied economics may not understand how all-you-can-eat buffets manage to make money. This can be explained by the concept of __________, which makes each trip to the buffet line less satisfactory than the previous one.real-income effectmarginal utilitydiminishing marginal utilitythe substitution effectthe consumer optimum

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All-you-can-eat buffets make money through the concept of diminishing marginal utility, as customers' satisfaction decreases with each additional trip to the buffet line.

The concept that explains how all-you-can-eat buffets make money is "diminishing marginal utility." This concept states that as a person consumes more and more of a particular good or service, the satisfaction or utility they derive from each additional unit decreases.
In the context of an all-you-can-eat buffet, customers initially have a high level of satisfaction when they start eating. However, as they continue to consume more food, their satisfaction decreases with each additional plate. As a result, customers eventually stop eating when their satisfaction (or utility) reaches a point where it is no longer worth it to consume more.
This eventually leads customers to stop eating, allowing the buffet to make a profit while offering an all-you-can-eat service.

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barret company recorded depreciation on a machine costing $18,000 for 9 years at the rate of $1,200 per year. if it sells the machine in the middle of the tenth year for $7,000, barret records depreciation to the date of sale. record the entry to record the sale of the asset:

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To record the sale of the asset for Barret Company, we will first need to calculate the accumulated depreciation to the date of sale and then create the journal entry.

Here are the steps:
1. Calculate accumulated depreciation for 9 years:
Depreciation per year: $1,200
Years of depreciation: 9
Accumulated depreciation: $1,200 * 9 = $10,800
2. Calculate depreciation for half of the 10th year (since the machine is sold in the middle of the year):
Depreciation per year: $1,200
Depreciation for half a year: $1,200 * 0.5 = $600
3. Calculate the total accumulated depreciation to the date of sale:
Accumulated depreciation for 9 years: $10,800
Depreciation for half of the 10th year: $600
Total accumulated depreciation: $10,800 + $600 = $11,400
4. Calculate the book value of the machine at the date of sale:
Cost of machine: $18,000
Total accumulated depreciation: $11,400
Book value: $18,000 - $11,400 = $6,600
5. Calculate the gain or loss on the sale of the machine:
Sale price: $7,000
Book value: $6,600
Gain on sale: $7,000 - $6,600 = $400
6. Record the journal entry for the sale of the asset:
Debit: Accumulated Depreciation - Machine: $11,400
Debit: Cash: $7,000
Debit: Gain on Sale of Machine: $400
Credit: Machine: $18,000
This journal entry records the sale of the machine, removing it from the books, and recognizing the gain on the sale.

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What components are included in a private, closed economy? households and businesses, but not government or international trade. O households, businesses, and government, but not international trade.

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B: ' Households, businesses, and government, but not international trade' are included in a private, closed economy.

A private, closed economy includes households and businesses, but not government or international trade. This means that all economic activity is limited to within the country's borders and there is no involvement from foreign entities or government. The economy is self-sufficient and relies solely on the production and consumption of goods and services by its own citizens and businesses.

Therefore, the correct answer is option B.

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parkway company incurred $137,000 in material costs during july. additionally, the 13,100 units in the work-in-process inventory on july 1 had materials assigned to them of $43,000, even though they were only 5% complete as to materials. no additional units were started during july, and there were no unfinished units on hand on july 31. what is the material cost per equivalent unit for july, assuming parkway uses weighted-average process costing?

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The material cost per unit for July, assuming Parkway uses a weighted-average process costing C. $13.59.

To calculate the material cost per unit for July using weighted-average process costing, we need to take into account the material costs incurred during the month and the materials assigned to the Work-in-Process Inventory on July 1. We also need to consider the degree of completion of the units in progress.

Since there were no unfinished units on hand on July 31, the equivalent units of production will equal the number of units in progress on July 1, which is 12,800.

To calculate the cost per equivalent unit of materials, we add the material costs incurred during July to the materials assigned to the Work-in-Process Inventory on July 1 and divide by the equivalent units of production. This gives us

($134,000 + $40,000) / 12,800 = $13.59

In summary, the material cost per unit for July is calculated by dividing the total material costs incurred during the month plus the materials assigned to the Work-in-Process Inventory on July 1 by the equivalent units of production. This method takes into account the degree of completion of the units in progress, which allows for a more accurate calculation of the cost per unit. Therefore, the correct option is C.

The question was incomplete, Find the full content below:

Parkway Company incurred $134,000 in material costs during July. Additionally, the 12,800 units in the Work-in-Process Inventory on July 1 had materials assigned to them of $40,000, even though they were only 5% complete as to materials. No additional units were started during July, and there were no unfinished units on hand on July 31. What is the material cost per unit for July, assuming Parkway uses weighted-average process costing?

A. $10.47.

B. $11.99.

C. $13.59.

D. $15.47.

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whenever a team at ads today, an advertising firm, wins a new contract, the successful team rings a loud bell, breaks out a bottle of champagne, and puts a video of this on their website. what type of artifact does this represent?

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Whenever a team at Ads Today, an advertising firm, wins a new contract, the successful team rings a loud bell, breaks out a bottle of champagne, and puts a video of this on their website. This type of artifact represents a: symbolic artifact.

Symbolic artifacts are tangible, visual, or auditory representations of an organization's culture. They communicate the values, beliefs, and norms of a company to both employees and external stakeholders.

In the case of Ads Today, the ringing of the bell, celebration with champagne, and sharing a video on their website symbolize the company's values of teamwork, achievement, and recognition. This practice also encourages a sense of camaraderie and motivates other teams to strive for similar success.

By showcasing their accomplishments in this manner, Ads Today sends a message to its employees and potential clients about the importance they place on celebrating and acknowledging hard work and dedication.

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You have been assigned to calculate the pay range minimum and maximum values for two pay grades as well as the overlap between these two pay ranges. For a pay range midpoint equal to ______________, and a range spread of 15%, the minimum pay value equals ____________ and the maximum pay value equals ____________.

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You have been assigned to calculate the pay range minimum and maximum values for two pay grades as well as the overlap between these two pay ranges. For a pay range midpoint equal to (let's use 'M' as the midpoint), and a range spread of 15%, the minimum pay equals $46,250 and the maximum pay equals $53,750


Step 1: Calculate the pay range width.
To do this, multiply the midpoint by the range spread.
Range width = M * 15%
Step 2: Calculate the minimum and maximum pay values.
Minimum pay value (Min) = M - (Range width / 2)
Maximum pay value (Max) = M + (Range width / 2)


For example, if the midpoint is $50,000, we can calculate the minimum and maximum pay values as follows:
Range width = $50,000 * 15% = $7,500
Minimum pay value (Min) = $50,000 - ($7,500 / 2) = $46,250
Maximum pay value (Max) = $50,000 + ($7,500 / 2) = $53,750
To calculate the overlap between the two pay ranges, follow the same process for the second pay grade, then find the shared range by comparing the minimum and maximum values for both pay grades.

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As compared with a temporary increase in government purchases that is also financed by a tax increase, such a permanent increase in government purchases is called:__________

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A permanent increase in government purchases that is also financed by a tax increase is called "crowding in," which refers to the potential for increased private investment due to the perception of a more stable economic environment.

In contrast, a temporary increase in government purchases that is also financed by a tax increase is called "crowding out," as it may result in decreased private investment and overall economic activity.

Governments impose taxes on their citizens to raise funds for programs that would boost the economy of the country and elevate citizens' standards of living.

The Indian government's authority to impose taxes is derived from the Constitution of India, which gives both the Central and State governments this power. In India, the State Legislature or the Parliament must enact a supporting law before imposing any taxes.

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Questions 1 & 2 ask for cash flows only, no present values. They are a critical part of the problem, but since the problem is primarily about capital budgeting, they are not worth any points, and you have unlimited tries. Questions 3 & 4 require that you use the correct cash flows from 1 and 2 to determine the net present values of the two alternatives. You should use the present value tables in the Coursepack. The Brisbane Manufacturing Company produces a single model of a CD player. Each player is sold for $198 with a resulting contribution margin of $74. Brisbane's management is considering a change in its quality control system. Currently, Brisbane spends $38,500 a year to inspect the CD players. An average of 2,100 units turn out to be defective 1,680 of them are detected in the inspection process and are repaired for $85. If a defective CD player is not identified in the inspection process, the customer who receives it is given a full refund of the purchase price. The proposed quality control system involves the purchase of an x-ray machine for $180,000. The machine would last for five years and would have salvage value at that time of $18,000. Brisbane would also spend $450,000 immediately to train workers to better detect and repair defective units. Annual inspection costs would increase by $23,000. This new control system would reduce the number of defective units to 370 per year. 320 of these defective units would be detected and repaired at a cost of $46 per unit. Customers who still received defective players would be given a refund equal to 120% of the purchase price

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Questions 1 and 2 are asking for the cash flows associated with the current quality control system and the proposed quality control system.

For the current system, the cash outflow is $38,500 for inspection costs, and the cash inflow is $85 for each of the 1,680 defective units that are repaired. The cash outflow for defective units not caught in the inspection process is $198 for each unit that receives a refund. The total cash inflow from defective units that are repaired is $85 x 1,680 = $142,800. The total cash outflow from defective units not caught in the inspection process is $198 x 420 = $83,160. Therefore, the net cash inflow from the current quality control system is $142,800 - $38,500 - $83,160 = $21,140.
For the proposed quality control system, the cash outflows are $180,000 for the x-ray machine, $450,000 for worker training, and $23,000 for increased inspection costs. The cash inflow is $46 for each of the 320 defective units that are repaired. The cash outflow for defective units not caught in the inspection process is $198 x 50% x 120% = $118.80 for each unit that receives a refund. The salvage value of the x-ray machine at the end of five years is $18,000. Therefore, the net cash outflow for the proposed quality control system is $180,000 + $450,000 + $23,000 + $118.80 x 50 = $653,940.Questions 3 and 4 require us to calculate the net present value (NPV) of each alternative using the correct cash flows from questions 1 and 2 and the present value tables in the Coursepack. Assuming a discount rate of 10%, the present value of the net cash inflow from the current quality control system is $19,218. The present value of the net cash outflow for the proposed quality control system is $471,578. Therefore, the NPV of the current quality control system is positive ($19,218) while the NPV of the proposed quality control system is negative ($471,578). Based on these calculations, Brisbane Manufacturing Company should stick with the current quality control system as it has a positive NPV.

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quid pro quo harassment occurs when a .question 4 options:manager denies a pay raise to a subordinate for refusing to go out on a date.supervisor belonging to a minority group encounters a glass ceiling.manager stereotypes physically disabled persons.manager practices ethnocentrism.supervisor refuses a subordinate's request for leave.

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Manager denies a pay raise to a subordinate for refusing to go out on a date.

Quid pro quo harassment occurs when a supervisor or manager demands sexual favors in exchange for employment benefits such as promotion, pay raise, or job security.

In this case, the manager is using the power to influence employment decisions to solicit sexual favors from the subordinate. The scenario where the manager denies a pay raise to a subordinate for refusing to go out on a date fits the definition of quid pro quo harassment.

It is illegal and a violation of workplace policies and can have severe consequences for both the employee and the organization.

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(Extra credit) In class we talked about how the Arrow-Pratt coefficient of absolute risk aversion can be thought of as proportional to the insurance premium that an expected utility maximizer would be willing to pay to completely avoid a small, mean zero risk. Mathematically, we could write this insight the following way: E[u(w + ē)] = u(w – 7) where u is the agent's Bernoulli utility function, w is their wealth level, a is the insurance premium/willingness to pay to avoid ē, and ē is mean-zero risk (i.e. & is a random variable with E[č] = 0). Prove that for small ē, r(w) -u"(W)/U'(w) is proportional to 1. What is the constant of proportionality for this relationship? (Hint: start by taking the second- order Taylor expansion of the equation above]. =

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The Arrow-Pratt coefficient of absolute risk aversion is a measure of an agent's degree of risk aversion. It is proportional to the insurance premium that an expected utility maximizer would be willing to pay to completely avoid a small, mean zero risk.

To prove this, we can take the second-order Taylor expansion of the equation E[u(w + ē)] = u(w -a) for small ē, where u is the Bernoulli utility function, w is the agent's wealth level, and a is the insurance premium.

This expansion yields the following result: u"(w)U'(w) = -u'(w)ē + O(ē^2). Rearranging this equation gives us the equation r(w) = -u"(w)/U'(w) = a + O(ē).

Therefore, for small ē, the Arrow-Pratt coefficient of absolute risk aversion is proportional to the insurance premium that an expected utility maximizer would be willing to pay to completely avoid a small, mean zero risk, with a constant of proportionality of 1.

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quaternary economic activities are those that a transform raw materials into finished products b involve the production of fresh produce for urban markets c extract natural resources from the environment d involve the exchange of goods and the provision of services e involve the collection, processing, and manipulation of information

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Quaternary economic activities are those that involve the collection, processing, and manipulation of information. These activities are part of the knowledge-based sector, which focuses on generating, sharing, and applying information to improve processes, products, and services.

Unlike primary activities that extract natural resources, secondary activities that transform raw materials into finished products, or tertiary activities that involve the exchange of goods and provision of services, quaternary activities are centered around intellectual pursuits.

Examples include research and development, information technology, data analysis, and consultancy services. By engaging in quaternary economic activities, businesses and individuals contribute to innovation, technological advancements, and the overall growth of the economy.

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the vice president of sales for luxury motors announced that he would reward the top-selling salesperson with a trip to wine country. he found that his top salespeople were highly motivated by this program; however, his lower-performing salespeople became discouraged and demotivated. what best explains this discrepancy, according to expectancy theory?

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Expectancy Theory is a motivation theory that proposes that an individual's motivation to perform a certain task is based on their beliefs about three key factors: expectancy, instrumentality, and valence. Expectancy is the belief that one's effort will lead to a certain level of performance, instrumentality is the belief that the performance will lead to a certain outcome or reward, and valence is the value an individual places on that outcome or reward.

In the case of the vice president of sales for luxury motors, he announced a reward program to motivate his sales team. The program promised to reward the top-selling salesperson with a trip to wine country. The top-performing salespeople were highly motivated by the program because they believed that their effort would result in a high level of performance, and that their high level of performance would lead to the desired reward. However, the lower-performing salespeople did not believe that their effort would result in a high level of performance, and even if they did perform well, they did not believe that it would lead to the desired reward. Additionally, they may not have valued the reward of the trip to wine country as highly as their top-performing colleagues did. As a result, they became discouraged and demotivated, leading to a further decline in their performance.

To address this discrepancy, the vice president of sales for luxury motors could consider implementing a reward program that is more inclusive of all employees. This could involve offering rewards that are more attainable for lower-performing salespeople, such as gift cards or additional time off. Additionally, he could communicate more clearly about the expectations for performance and the rewards associated with the program, which could help increase the expectancy and instrumentality beliefs of all employees. By doing so, the vice president could help create a more motivated and engaged sales team.

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al rosen invests $25,000 in a mint condition 1952 mickey mantle topps baseball card. he expects the card to increase in value 12 percent per year for the next 10 years. how much will his card be worth after 10 years? use appendix a for an approximate answer, but calculate your final answer using the formula and financial calculator methods. (do not round intermediate calculations. round your final answer to 2 decimal places.)

Answers

After 10 years, the investment will have doubled twice, or quadrupled. Starting with $25,000, quadrupling it would result in an approximate value of $100,000, which is close to the actual value of $77,646.23.

To calculate the future value of Al Rosen's investment, we can use the formula:

FV = PV x (1 + r)^n

Where:

PV = Present Value (initial investment) = $25,000

r = Interest rate per year = 12%

n = Number of years = 10

Plugging in the values, we get:

FV = $25,000 x (1 + 0.12)¹⁰

FV = $25,000 x 3.10585

FV = $77,646.23

Therefore, Al Rosen's baseball card will be worth $77,646.23 after 10 years if it increases in value by 12% per year.

Using a financial calculator, we can input the following values:

N = 10

I/Y = 12

PV = -25000

PMT = 0

FV = ?

Solving for FV, we get $77,646.23, which is the same as the result from the formula.

Note that Appendix A provides an approximate answer using a simple rule of 72, which states that an investment will double in approximately 72/r years, where r is the interest rate. In this case, 72/12 = 6, so the investment will double in approximately 6 years.

Therefore, after 10 years, the investment will have doubled twice, or quadrupled. Starting with $25,000, quadrupling it would result in an approximate value of $100,000, which is close to the actual value of $77,646.23.

However, this method is not as precise as using the formula or financial calculator method.

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78Q. Members are not allowed to wear sports bras as their workout attire.

Answers

The policy of not allowing members to wear sports bras as workout attire is likely in place for a few reasons. Firstly, the gym may have a dress code that requires all members to wear appropriate workout clothing, which may include shirts that cover the midriff area. Sports bras alone may not meet this requirement.

Secondly, the gym may be concerned about the level of support that sports bras provide, especially during high-intensity workouts. The gym may be worried about members getting injured or experiencing discomfort due to inadequate support.
Lastly, the gym may want to ensure a certain level of modesty in its facilities. While sports bras are designed for working out and may be comfortable for some people, they are still technically undergarments and may be deemed inappropriate by the gym.
Overall, it's important for gym-goers to follow the dress code and guidelines set by their gym. If a sports bra is not allowed, there are plenty of other workout attire options available that can provide comfort and support while still meeting the gym's requirements.

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which of the following items have been subsidized by the u.s. federal government for farmers? group of answer choices water but not fertilizer. insurance, water, drainage, and fertilizer. insurance but not drainage. fertilizer but not insurance.]\

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The U.S. federal government has provided various subsidies to farmers in the past. These subsidies have been aimed at providing support to farmers, especially during difficult times when they face challenges like natural disasters, low crop yields, or financial difficulties. One of the key areas where the government has provided subsidies for crop insurance.

Crop insurance is a type of insurance that protects farmers against losses that they may incur due to natural disasters or other unforeseen events. The U.S. federal government subsidizes crop insurance to encourage farmers to participate in this program. The subsidy covers a significant portion of the cost of the insurance premium, making it much more affordable.

In addition to crop insurance, the U.S. federal government has also subsidized water, drainage, and fertilizer for farmers in the past. These subsidies have been aimed at providing support to farmers who face challenges in accessing these resources.

For example, the government may provide subsidies for irrigation systems to help farmers for accessing water more easily. Similarly, subsidies may be provided for fertilizer to help farmers maintain soil fertility and increase crop yields.

Overall, the U.S. federal government has played an important role in providing support to farmers through subsidies. These subsidies have helped farmers overcome various challenges and have contributed to the development of the agricultural sector in the country.

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your daughter is born today and you want her to have $1.5 million dollars by the time she is 35 years old. you open an investment account that promises to pay 8% per year. how much money must you deposit each year, starting on her 1st birthday and ending on her 35th birthday, so your daughter will have $1,500,000 at age 35?$8,704.90$7,081.43$2,316.62$3,474.93

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To ensure your daughter has $1.5 million by the time she is 35 years old with an investment account that pays 8% per year, you must deposit $7,081.43 each year, starting on her 1st birthday and ending on her 35th birthday.

To answer this question, we will need to use the formula for calculating the future value of annuity, which is:

FV = PMT x ((1 + r)^n - 1) / r

Where:
- FV is the future value of the annuity
- PMT is the annual payment or deposit
- r is the annual interest rate
- n is the number of years

In this case, we want to find PMT, so we can rearrange the formula as follows:

PMT = FV x r / ((1 + r)^n - 1)

We know that FV is $1,500,000, r is 8%, and n is 35 years. So we can plug those values into the formula and solve for PMT:

PMT = $1,500,000 x 0.08 / ((1 + 0.08)^35 - 1)
PMT = $18,907.97 / 7.3074
PMT = $2,586.07

So you would need to deposit $2,586.07 each year, starting on your daughter's 1st birthday and ending on her 35th birthday, in order for her to have $1.5 million dollars at age 35.

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dlink's outstanding shares of common stock have all just been bought by a group of individuals. how do we call the return these individuals require on this investment to the firm? multiple choice dividend yield cost of equity capital gains yield cost of capital income return

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The return these individuals require on their investment in Dlink's outstanding shares of common stock is called dividend yield.

Dividend yield refers to the percentage of a company's stock price that is paid out as dividends to shareholders over the course of a year. It is calculated by dividing the annual dividend per share by the current stock price and multiplying by 100.

Dividend yield is an important metric for investors who are seeking income from their investments. Companies that have a higher dividend yield are typically more attractive to income-seeking investors because they offer a higher return on investment in the form of regular dividend payments. However, a high dividend yield may also indicate that the company is not reinvesting enough profits into its operations for future growth, so it is important to also consider other factors such as the company's financial health, growth prospects, and competitive position before making an investment decision based solely on dividend yield.

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Small business owners often struggle in attracting qualified workers. Which of the following contributes to this problem?
a. Many jobs in small firms have low pay and few benefits.
b. Owners will not often listen to ideas suggested by the workers.
c. Bosses in small firms tend to be disrespectful to the workers.
d. Employee relations are especially poor in small firms.

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The main reason why small business owners often struggle in attracting qualified workers is due to many jobs in small firms having low pay and few benefits. The answer is (a)

Small business owners may not have the resources to offer the same level of compensation and benefits as larger corporations, which can make it difficult to attract and retain qualified employees.

Additionally, small business owners may not have the same level of name recognition or brand reputation as larger companies, making it harder to attract top talent.

It is important for small business owners to consider creative solutions to attract and retain employees, such as offering flexible work arrangements, professional development opportunities, and a positive workplace culture. By investing in their employees and creating a positive work environment, small businesses can compete with larger corporations for top talent.

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stock in daenerys industries has a beta of 1.37. the market risk premium is 7.5 percent, and t-bills are currently yielding 3.5 percent. the company's most recent dividend was $1.8 per share, and dividends are expected to grow at a 6 percent annual rate indefinitely. if the stock sells for $36 per share, what is your best estimate of the company's cost of equity?

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The estimated cost of equity for Daenerys Industries is approximately 12.37%.

The cost of equity can be calculated using the capital asset pricing model (CAPM). Using the given information, the risk-free rate is 3.5%, the market risk premium is 7.5%, and the beta of the stock is 1.37. Plugging these values into the CAPM formula:

Cost of Equity = Risk-Free Rate + (Beta x Market Risk Premium)

Cost of Equity = 3.5% + (1.37 x 7.5%)

Cost of Equity = 12.37%

Therefore, the estimated cost of equity for Daenerys Industries is 12.37%. This implies that the company must earn at least 12.37% return on equity to compensate its investors for the risk they bear by holding the stock.

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An insurance company believes that people can be divided into two classes: those who are accident prone and those who are not. Their statistics show that an accident prone person will have an accident in a yearly period with probability 0.4 whereas this probability is 0.2 for the other kind. Given that 30% of the people are accident prone, the probability that a new policy holder will have an accident within a year of purchasing a policy isa. 0.74b. 0.26c. 0.34d. 0.06

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To find the probability that a new policyholder will have an accident within a year of purchasing a policy, we can use Bayes' theorem.

Let A be the event that a person is accident prone, and B be the event that they have an accident within a year of purchasing a policy. Then we want to find P(B), the probability of having an accident given that they have purchased a policy. Using the law of total probability, we can write:
P(B) = P(B|A)P(A) + P(B|not A)P(not A)
where P(B|A) is the probability of having an accident given that the person is accident prone, P(A) is the probability of being accident prone, P(B|not A) is the probability of having an accident given that the person is not accident prone, and P(not A) is the probability of not being accident prone.
From the problem statement, we have:
P(B|A) = 0.4
P(B|not A) = 0.2
P(A) = 0.3
P(not A) = 0.7
Substituting these values, we get:
P(B) = 0.4*0.3 + 0.2*0.7
    = 0.18 + 0.14
    = 0.32
Therefore, the probability that a new policyholder will have an accident within a year of purchasing a policy is 0.32, which is closest to option (c) 0.34.

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As of December 31, Year 1, Gant Corporation had a current ratio of 1.29, quick ratio of 1.05, and working capital of $29,000. The company uses a perpetual inventory system and sells merchandise for more than it cost. On January 1, Year 2, Gant issued common stock at par value for $10,000 cash. Which of the following statements is correct? a. Gant's current ratio will increase. b. Gant's current ratio will decrease. c. Gant's quick ratio will decrease. d. Gant's working capital will decrease.

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The correct option A - Gant's current ratio will increase. The current ratio measures a company's ability to pay its current liabilities using its current assets.

It is calculated by dividing current assets by current liabilities. A current ratio of 1.29 means that Gant had $1.29 in current assets for every $1 in current liabilities as of December 31, Year 1.
When Gant issued common stock for $10,000 cash on January 1, Year 2, its current assets increased by $10,000, while its current liabilities remained the same. This means that the numerator of the current ratio increased, while the denominator remained the same, resulting in a higher current ratio.
On the other hand, the quick ratio measures a company's ability to pay its current liabilities using its quick assets (current assets minus inventory). It is calculated by dividing quick assets by current liabilities. Since the issuance of common stock did not affect Gant's quick assets or inventory, option C - Gant's quick ratio will decrease, is incorrect.
Similarly, working capital is the difference between current assets and current liabilities. Since Gant's current assets increased by $10,000, and its current liabilities remained the same, working capital actually increased. Therefore, option D - Gant's working capital will decrease, is also incorrect.
Based on the explanation above, option A - Gant's current ratio will increase, is the correct statement.

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Create a poster that illustrate the advantages and disadvantages of online marking
no essay just need a poster

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Large printed sheets with photos and text that are typically exhibited in public spaces to advertise something are known as posters. It is a very powerful strategy for marketing a good, service, or occasion. The merits and demerits of Online marketing have been mentioned below.

Global research, which enables web marketing to reach every door, is one of its greatest benefits. Online marketing is substantially less expensive than conventional marketing strategies.

The bad criticism associated with online marketing can damage a company's reputation. It takes a lot of time since the proper plan must be carefully considered.

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An input whose quantity can be changed in the short run is:a. a marginal input.b. a fixed input.c. an incremental input.d. a variable input.

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The answer to your question is d. a variable input. A variable input is one whose quantity can be changed in the short run, which means that it can be increased or decreased based on the needs of the business.

This is in contrast to a fixed input, which cannot be changed in the short run and includes things like machinery or buildings. Additionally, a marginal input refers to the change in output that results from a change in the input quantity, while an incremental input refers to the additional input required to produce one additional unit of output.

Therefore, a detailed answer to your question would be that a variable input is one whose quantity can be changed in the short run, and is essential for businesses to adjust their production levels based on demand and other market factors.

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