At a world price with free trade, if Country A has a quantity demanded of 50 shoes and a quantity supplied of 100 shoes, it means that Country A has produced more shoes than it needs domestically. This surplus of shoes, which is 50 shoes, can be exported to other countries, including Country B. Country A can export the surplus of shoes to Country B at the prevailing world price, which would be determined by the market forces of supply and demand.
The surplus of shoes could benefit Country A's economy by generating additional revenue from exports, while Country B could benefit by obtaining shoes at a lower price than they would otherwise have to pay. The free trade policy would benefit both countries by allowing them to specialize in their respective areas of comparative advantage and trade with each other based on their relative strengths.
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At a world price with free trade, Country A has a surplus of 50 shoes that they could export to Country B. This is because the quantity supplied of 100 shoes is greater than the quantity demanded of 50 shoes, resulting in an excess supply or surplus of 50 shoes.
In this scenario, Country A could export the surplus shoes to Country B, assuming that there are no trade barriers or restrictions. The surplus of shoes could benefit Country A's economy by increasing exports, generating revenue, and potentially creating jobs. However, it could also negatively affect Country B's economy by potentially flooding their market with cheaper shoes, impacting domestic producers and workers. Overall, the surplus of shoes in Country A highlights the impact of global trade on domestic economies and the potential benefits and drawbacks of free trade policies.
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THIS IS BUSINESS ENGLISH!
HELP!
What are three characteristics of successful entrepreneurs? (Select three)
A- Creative
B- Young
C- Determined
D- College graduate
E- Enthusiastic
Answer:
Creative
Enthusiastic
Deteined
the demand for bread is likely to be more elastic than the demand for solid-gold bread plates.
The statement " The demand for bread is likely to be more elastic than the demand for solid-gold bread plates." is true because bread is a necessity and a basic food item, consumed by a wide range of people where as solid-gold bread plates are a luxury item, consumed by a smaller group of people.
Elasticity of demand refers to the responsiveness of consumers to a change in price. Bread is a necessity and a basic food item that is consumed by a wide range of people, including those with low income. Therefore, a small change in price is likely to have a significant impact on the quantity demanded.
In contrast, solid-gold bread plates are a luxury item that is consumed by a smaller group of people with high income. The demand for such items is less responsive to a change in price as they are not essential goods. Hence, the demand for bread is likely to be more elastic than the demand for solid-gold bread plates.
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Complete Question:
The demand for bread is likely to be more elastic than the demand for solid-gold bread plates.
a. True
b. False
though an organization's good reputation is a valuable resource that takes years of superior marketplace competence to achieve, it is not a good basis for building a competitive advantage because it can be destroyed almost instantly by bad publicity.
a) true
b) false
Telling customers that they only have until midnight to get sale prices is an appeal to
A. ethos.
B. logos.
C. pathos.
D. kairos.
Answer:
D. kairos.
Explanation:
Telling customers that they only have until midnight to get sale prices is an appeal to kairos.
Answer:
It's d
Explanation:
Tom purchased franchise rights to open a Maggie Moos ice-cream shop. Since this was his first business ownership venture, he decided to take advantage of the business proposition that a local merchant offered. The merchant owned a discount store in the center of town and asked Tom if he would like to open his business in the discount store. The arrangement proved beneficial to both Tom and the store owner.
Type of Ownership:
Limited legal responsibility partnership (LLP) is a kind of conventional partnership the place each accomplice has a restricted private liability for the debts of the partnership.
What is distinction between LLP and LLC?In fundamental terms, the proprietors of an LLP are regarded companions in an organization, whilst the proprietors of an LLC are members. As a result, there are key variations between how the restricted legal responsibility protection is recognized, how an LLC and LLP are managed and how every shape is taxed.
A A restrained liability partnership (LLP) is a enterprise structure that approves business owners to shield their personal property from lawsuits whilst nevertheless enjoying the protections of a corporate entity. LLCs are popular among small groups because they offer flexibility and convenience, in contrast to other kinds of corporations (LLP) is a enterprise shape that approves enterprise proprietors to defend their private property from court cases whilst nonetheless playing the protections of a company entity. LLCs are popular amongst small companies because they provide flexibility and convenience, unlike other kinds of groups
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Equilibrium price and quantity refer to the point at which the quantity demanded and the quantity supplied are equal. This point is also known as the market clearing price and quantity. To calculate the equilibrium price and quantity, we need to determine the intersection point of the demand and supply curves.
The demand curve represents the quantity of a product that consumers are willing to purchase at different prices. The law of demand states that as the price of a product increases, the quantity demanded decreases.
The supply curve represents the quantity of a product that producers are willing to supply at different prices. The law of supply states that as the price of a product increases, the quantity supplied also increases.
To calculate the equilibrium price and quantity, follow these steps:
Plot the demand and supply curves on the same graph.
Identify the point at which the demand and supply curves intersect.
The price at which the two curves intersect is the equilibrium price.
The quantity at which the two curves intersect is the equilibrium quantity.
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If a new shirt costs $34.99 and the sales tax is $2.10, the sales tax rate is?
Answer:
6%
Explanation:
sales tax 2.10 divided by shirt cost will give you the sales tax rate
2.10/34.99 = .0600 or 6%
Answer:
The answer is C) 6 percent
Explanation:
Werner plc has gradually been increasing the amount of debt in the capital structure. At the current time the total assets of the company are £160 million, the amount of debt the company carries at the moment is 25%, and the average interest rate on the debt is 7%. The share capital of the company is made up of £1 nominal value shares. The company faces a tax rate of 25%. Werner has been doing well recently after a weak couple of years, at which time the previous CEO was replaced. The company has just reported its earnings figures and Werner’s earnings before interest and tax (EBIT) were £18.4 million.
The directors feel that there is still considerable growth left in their sector. They want to focus on international growth and would like to expand both organically and by acquisition. The new management team at Werner is highly regarded by the financial markets as they have beaten profits expectations from the analysts.
The new chief executive, Sadio Jotta, has convened a meeting to discuss an expansion proposal that he has put together. Werner has the opportunity of buying some assets from a smaller regional company and adding some extra capacity to the operations. The meeting will discuss whether the deal should be pursued and if so, how it should be financed. The board will discuss the plan and the two funding choices.
The first proposal would aim to take advantage of Werner’s relatively high stock market share rating in its sector. The finance director thinks it would be good to issue equity to fund the expansion (she is not a shareholder). The chief executive and some others are more inclined to fund the project with debt, seeing the tax advantages of debt as being a major, but not the only factor in its favour. The rest of the management team have a significant proportion of their remuneration in the form of executive share options.
Required: Maximum Word Limit 1000 words
(a) If you were advising Werner what would be the arguments you would put for and
against the different funding options (all equity funding or debt funding)?
(5 marks)
(4 marks)
You have to present the cases for a debt funded issue to finance the growth of the company and an equity financed issue. You have calculated the company needs £50 million of funding to finance its new growth path in the sector. With the funding in place the company EBIT will increase by £9 million a year. If the debt route was followed, the company would borrow £50 million from the bank at an interest rate of 8%. If the equity route were taken, an extra 50 million £1 shares would be sold at 100p each.
(c) Analyse the earnings per share (EPS) performance of the two funding choices. If the management team were incentivised on the basis of EPS growth which route would
(b) Calculate the current level of earnings per share (EPS) at the company.
they take? What advice would you give to the board?
(9 marks)
The management is also considering the payout policy followed by the company. Traditionally the company has paid out a healthy regular dividend, but some on the board are arguing for the dividend payment to be cut back in favour of share buybacks, while actually increasing the amount of cash returned to shareholders on an annual basis.
Comment on the appropriateness of this policy and the possible motives behind it.
(6 marks)
(e) This company rewards its managers for achieving earnings per share growth and profitability targets. What are the advantages and disadvantages of EPS growth versus Economic Value Added (EVA) as a reward measure for top managers at this company and any company?
(6 marks)
(a) Tax advantages, ownership preservation. Arguments against debt funding: Increased financial risk, debt service burden. (c) Calculate EPS for each funding option. Choose option with higher EPS growth for incentivized management team. (d) Consider shareholder preferences, cash availability, tax implications, and long-term investment opportunities. (e) Advantages, Simplicity, alignment with shareholders. Disadvantages: Short-term focus, lack of consideration for capital costs. Advantages, Comprehensive measure, long-term focus. Disadvantages: Complexity, subjectivity, implementation challenges.
(a) Arguments for debt funding
Tax advantages: Interest payments on debt are tax-deductible, reducing the company's taxable income and resulting in lower taxes.
Preserves ownership: Taking on debt allows the company to maintain ownership control without diluting existing shareholders' stakes.
Fixed interest payments: Debt has a fixed repayment schedule, providing certainty in cash flow planning.
Leverage potential: Debt allows the company to amplify returns on equity investment if the return on investment (ROI) from the expansion project exceeds the cost of debt.
Arguments against debt funding:
Higher debt levels increase the company's financial leverage, making it more vulnerable to economic downturns or interest rate fluctuations.
Regular interest and principal payments can strain cash flow, limiting the company's financial flexibility.
High debt levels may impact the company's credit rating and require compliance with loan covenants, potentially limiting future financing options.
Increased debt may be viewed negatively by shareholders concerned about the company's financial stability and ability to generate sufficient returns.
(b) Calculation of EPS:
To calculate the current level of earnings per share (EPS), we need the company's net income and the number of outstanding shares.
EPS = Net Income / Number of Outstanding Shares
(c) Analysis of EPS performance:
For debt-funded option:
Interest expense = £50 million * 8% = £4 million
EBIT = £18.4 million + £9 million = £27.4 million
Net Income (Debt option) = £27.4 million - £4 million (interest) = £23.4 million
EPS (Debt option) = £23.4 million / Number of Outstanding Shares
For equity-funded option:
Number of Outstanding Shares (Equity option) = Existing shares + Additional shares issued
EPS (Equity option) = Net Income (Existing) / Number of Outstanding Shares (Equity option)
Based on the calculations, compare the EPS for each funding option to determine which one yields higher EPS growth. If the management team is incentivized based on EPS growth, they would choose the funding option that maximizes EPS.
(d) Comment on payout policy:
The appropriateness of the dividend payment cutback in favor of share buybacks depends on various factors:
Shareholders may prefer dividend income or capital appreciation through share buybacks.
If the company has surplus cash, share buybacks can be an efficient way to distribute cash and enhance shareholder value.
Dividends are generally subject to higher tax rates for shareholders compared to capital gains from share buybacks.
If the company has promising investment opportunities, retaining cash for reinvestment may be more beneficial than increasing payouts.
Possible motives behind the policy could include:
Share buybacks can reduce the number of shares outstanding, increasing earnings per share and potentially boosting stock prices.
Share buybacks provide management with more flexibility in capital allocation and signaling confidence in the company's future prospects.
Share buybacks can be viewed positively by investors, signaling management's commitment to enhancing shareholder returns.
(e) Advantages of EPS growth:
EPS is a straightforward and widely understood measure of profitability, making it easy to communicate and evaluate.
EPS growth directly benefits shareholders by increasing earnings and potentially stock prices.
Disadvantages
Managers might prioritize short-term earnings manipulation or cost-cutting measures to boost EPS, potentially neglecting long-term investments.
EPS does not account for the cost of capital, potentially leading to suboptimal resource allocation decisions.
Advantages
EVA considers both operating income and the cost of capital, providing a holistic view of value creation.
EVA encourages managers to make decisions that enhance long-term shareholder value by considering the true economic profit generated.
Disadvantages of EVA:
EVA calculations can be complex and require extensive data, potentially making it more challenging to understand and communicate.
Determining the appropriate cost of capital and allocating capital expenses can involve subjective judgment, leading to potential biases.
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which of the following statements regarding thunderstorms is correct? a. thunderstorms and their consequences are common, but rarely create problems. b. it is necessary for it to be raining to be struck by lightning. c. sustained winds of more than 20 mph and hail greater than or equal to 2 inches in diameter are characteristic of severe thunderstorms. d. annual property loss resulting from thunderstorms, including damage to farms and barns, is estimated in the hundreds of millions of dollars.
herefore, the correct statement regarding thunderstorms is option D, i.e., annual property loss resulting from thunderstorms, including damage to farms and barns, is estimated in the hundreds of millions of dollars.
Thunderstorms are weather-related phenomena that can create many issues. Thunderstorms often produce gusty winds, heavy rainfall, and lightning that might cause significant damage to property and life.
T In the United States, thunderstorms are common weather phenomena, particularly during the spring and summer months.
When a storm system moves through, it may cause lightning, hail, and damaging winds.
Because of their frequency, thunderstorms are responsible for significant annual property damage.
For instance, the National Weather Service reported that in 2020, there were 18 weather and climate disasters with losses exceeding $1 billion each.
These disasters resulted in a total of $95 billion in damages. Therefore, option D is the correct statement regarding thunderstorms.
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A local bank’s advertising reads: "Give us $50,000 today, and we’ll pay you $800 every year forever." If you plan to live forever, what annual interest rate will you earn on your deposit?1.92%1.60%2.56%2.24%
Answer:
The correct response is Option b (1.60%).
Explanation:
According to the question,
Initial investment,
= $50,000
Perpetual annual cash flows,
= $800
Now,
The interest rate will be:
= \(\frac{Perpetual \ annul \ cash \ flows}{Initial \ investment}\)
On substituting the given values, we get
= \(\frac{800}{50,000}\)
= \(0.016\)
i.e.,
= \(1.60 \ percent\)
Multiple Choice Question Recall how to calculate net income using the following information: + Common Total Assets= Liabilities - Dividends+Revenues Expenses Stock $50,000 = $10,000 $10,000 $2.000 HI + $35,000 - $3,000 O Revenues + Expenses = Net Income O Revenues - Expenses = Net Income O Common Stock - Expenses = Net Income O Assets - Liabilities - Net Income
It's relatively easy to figure out net income. Simply deduct expenses like taxes, insurance, and retirement contributions from your gross income, which is the total amount of money you have made. Deductions from gross income equal net income.
What is Net income?Sales are computed as sales less cost of goods sold, selling, general and administrative costs, operating costs, depreciation, interest, taxes, and other costs. Net income (NI), often known as net earnings, is the difference between these two figures. Investors might use this figure to gauge the extent to which an organization's revenue outpaces its costs. Net income is defined as an entity's income less cost of goods sold, costs, depreciation and amortisation, interest, and taxes for a certain accounting period in business and accounting. Net income is the sum of all costs, including taxes, interest paid on debt that is still owing, and any one-time expenses like the sale of an asset or division. Because it reflects a company's profit for the time period after accounting for all business-related factors, net income is significant.
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Which career field is likely to experience increased job openings and security over the
next few years? (10 points)
O Retail
O Nursing
O Government
O Manufacturing
Answer: government
Explanation:
Government is the career field is likely to experience increased job openings and security over the next few years. Hence, option C is correct.
What is Government is the career?Public Sector Employment is "a particular government responsibility or action. A "government job" is widely defined for recruitment purposes as any position in any department or entity that works for the government. Consequently, a position carrying out government business is a government employment ".
Among the job options in the U.S. government are political jobs working for the executive, judicial, and legislative branches of the federal government.
Government employees are employed by the military, the post office, federal law enforcement organizations, and other governmental agencies and departments.
Thus, option C is correct.
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the partnering for success feature in chapter 7 focuses on the topic of vesting company stock. according to the feature, a typical startup's vesting schedule lasts and includes a 12-month cliff. 12 months 12 months to 24 months 24 months to 36 months 36 months to 48 months 48 months to 60 months
The Savvy Entrepreneurial Firm section in Chapter 7 discusses vesting company stock. A typical startup's vesting schedule, according to the feature, lasts 36 to 48 months and includes a 12-month cliff.
What exactly is a savvy entrepreneurial firm?To be successful, starting a business necessitates a number of factors. The desire to be one's own boss, to pursue one's own idea, or to gain financial rewards must be met with shrewdness and persistence. Failure should not be considered an option, but rather a learning experience that guides future decisions. An entrepreneur gets things done and enjoys being competitive. A true entrepreneur is unpredictable; he or she has a certain level of creativity that allows them to see and produce "ahead of the curve." An entrepreneur, on the other hand, cannot be successful without strong people skills.To learn more about Entrepreneur, refer to:
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Determine whether you have enough monies to live comfortably each year for 20 years in your dream state of Oregon.
Assume you are at age 65 and have the following assets:
Pension Plan worth $375,000. You plan to take an ordinary annuity on your pension to withdraw all assets in 20 years. Assume 4. 5% interest per year. You will get monthly payments for 20 years.
Social Security - $27,600 per year for 20 years. Assume that this is the amount you will receive each year.
Savings worth $140,000. You plan to take an ordinary annuity to withdraw all assets in 20 years. Assume 4. 25% interest per year. You will get monthly payments for 20 years.
Answer the following questions:
What will be the monthly amount received individually from the pension plan, social security, and savings? What will be the monthly total? Round all 4 answers to the nearest penny.
What will be the yearly amount received individually from the pension plan, social security, and savings? What will be the yearly total? Round all 4 answers to the nearest dollar.
What will be the 20-year amounts received individually from the pension plan, social security, and savings? What will be the 20-year total amount? Round all 4 answers to the nearest dollar.
Is the total amount enough to retire comfortably in your dream state of Oregon? What are your plans to make the required savings now and/or in the future to live comfortably in your dream state? Explain
The given information is insufficient to provide specific calculations for the monthly, yearly, and 20-year amounts received individually from the pension plan, social security, and savings. However, with the provided information about the assets and their respective interest rates, it is possible to make some general observations. To determine the exact amounts, the formulas for calculating annuity payments would need to be applied.
In terms of retirement planning, it is important to consider various factors to assess whether the total amount received is enough to live comfortably in Oregon for 20 years. Factors such as living expenses, inflation, healthcare costs, and personal preferences need to be taken into account. It is recommended to create a detailed retirement budget that includes all expected expenses and compare it to the projected income from the pension plan, social security, and savings. This will help determine if the income is sufficient to cover living expenses and maintain a comfortable lifestyle.
If the total amount falls short of the desired retirement income, additional savings and investments may be necessary. Individuals can consider options such as contributing to retirement accounts (e.g., 401(k), IRA), investing in stocks or bonds, or exploring other income-generating opportunities. Working with a financial advisor can provide valuable guidance in developing a comprehensive retirement plan and making the necessary savings and investment decisions.
Ultimately, the ability to retire comfortably in Oregon depends on personal financial goals, lifestyle choices, and the level of financial security one desires. It is crucial to regularly review and adjust the retirement plan as circumstances change to ensure a comfortable and secure retirement.
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suppose you owe a creditor $10,000 due in a single payment in 5 years. how much should your creditor be willing to accept now if he can earn 8% on his money?
To calculate the worth that a creditor should be helpful to accept now, we ought to solve the equation:
X=10,000/1.085
Solving for X.This equation shows the parity of X and the present significance of $10,000 5 years from now using a rate of 8%.
Solving for X.
X=10,0001.4693
X= 6,805.83 X= 6,805.83
The creditor should be willing to accept $6,805.83 now in exchange for future payment of $10,000 5 years from now
we need to solve the equation:
200,000 = 100,000 × 1.07 x 200,000 = 100,000 × 1.07x
where x is the numeral of years it will bear to double the $100,000 asset (= $200,000 )
Decoding for X.
200,000
100,000 = 1.07x= 2200,000
100,000 = 1.07x= 2
x × log1.07 = log2x × log1.07 = log2
x = log2 log1.07 x= log2 log1.07
x=0.30100.029
4 x= 0.30100.0294
x =10.2448 x=10.2448
It will take 10.2448 years for a $100,000 investment to double with 7% annual interest.
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Due to an economic downturn, the economy of a town has declined to the point where residents are no longer able to afford basic necessities Which answer choice represents the MOST LIKELY way that this situation will be resolved? A) To prevent further economic catastrophe, the private sector will create new, higher-paying jobs for residents. B) To prevent further economic catastrophe, the government will create new, higher-paying jobs for residents. o To aid those hardest hit by the downturn, the government will offer unemployment compensation and welfare benefits. D To aid those hardest hit by the downturn, the private sector will offer unemployment compensation and welfare benefits.
Answer:
B
Explanation:
The economy of a town has decreased due to an economic downturn to the point where citizens are no longer able to buy necessities. To avoid further economic disaster, the government will establish new, higher-paying jobs for residents. Thus, option (b) is correct.
What is economic?
The process of production, distribution, and consumption is referred to as economic. Products and services are the most important components of economies. The industrial sector is the economy's mainstay. Both the family (consumption) and the corporation (product sales) are economic entities.
During the condition of the economic downturn, it means the declined conditions. The citizens are the no afford the basic necessity. The main reason was to prevention further economic disaster and the crises. So, the government are the prevention schemes and the higher-paying jobs for residents.
As a result, the prevent further economic catastrophe, the government will create new, higher-paying jobs for residents. Therefore, option (b) is correct.
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HELPP on question 10
Answer:
land?
Explanation:
Answer:
Land
Explanation:
Your parents are planning to retire in 14 years. They currently have $199,681 in their retirement account. Your parents feel that they need $2,484,872 before they can retire. What annual yield do they need to earn in order for them to reach their goal in 14 years (please respond without the "%" sign, but with two significant decimal points for instance instead of 12.77%, simply enter 12.77)?
Your parents need to earn an annual yield of approximately 11. to calculate the annual yield your parents need to earn in order.
to reach their retirement goal, we can use the formula for future value (fv) of an investment:
fv = pv * (1 + r)ⁿ
where:
fv = future value (desired retirement amount)
pv = present value (current retirement account balance)
r = annual yield (interest rate, expressed as a decimal)
n = number of years
plugging in the values, we have:
fv = $2,484,872
pv = $199,681
n = 14 years
we need to solve for r.
using the formula and rearranging it to solve for r:
r = (fv / pv)⁽¹ⁿ⁾ - 1
plugging in the values, we have:
r = ($2,484,872 / $199,681)⁽¹¹⁴⁾ - 1
r = 12.470073 - 1
r = 11.470073 47% (to two significant decimal points) in order to reach their retirement goal in 14 years.
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2. What do you think Alana's goals should be?
I think Alana's goal should be to create a budget that will make her save enough money to pay for all expenses.
What's plutocrat? Plutocrat is any item or empirical record that's generally accepted as payment for goods and services and prepayment of debts, similar as levies, in a particular country or socio- profitable environment.The primary functions which distinguish plutocrat are as a medium of exchange, a unit of account, a store of value and occasionally, a standard of remitted payment. What's significance of plutocrat? Plutocrat can not buy happiness, but it can buy security and safety for you and your loved bones. Mortal beings need plutocrat to pay for all the effects that make your life possible, similar as sanctum, food, healthcare bills, and a good educationLearn more about money here:
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Llego el momento de que escribas o grabes la propuesta de valor q propones para tu barrio , comunidad o region y señales de acuerdo con el ejemplo, comocumple con mejorar la calidad de vida de las personas, cual es el beneficio que otorga y cual es ese algo mas que entrega: -mejore la calidad de vida que es la relevancia
Proposal for improving the quality of life in my community by providing affordable and accessible mental health services, which will benefit individuals and families in need, and also promote overall well-being and social cohesion.
Access to mental health services is a fundamental aspect of a healthy and thriving community. Unfortunately, many individuals and families in my community do not have access to affordable and accessible mental health services, leading to unnecessary suffering and social isolation.
My proposal is to establish a community-based mental health center that provides high-quality mental health services at an affordable cost, with a particular emphasis on reaching out to vulnerable and marginalized populations. By providing such services, my proposal will benefit individuals and families in need, as well as promote overall well-being and social cohesion in my community.
In addition to the direct benefits of the proposed mental health services, the center will also serve as a hub for community engagement, providing a space for social activities and community-building events.
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write one paragraph on soft skill vs hard skil
Soft skills are personal attributes that enable a person to interact effectively with others, while hard skills are specific, teachable abilities that are required for a particular job or task.
Both skill sets are important, but they are distinct in nature and serve different purposes. Soft skills are valuable in any career field because they help build strong working relationships, improve communication, and foster a positive work environment. On the other hand, hard skills are essential for performing technical tasks and completing job-specific duties.
Soft skills are abilities that are often difficult to quantify, such as communication, teamwork, leadership, problem-solving, and creativity. These skills are critical for building strong relationships with co-workers, customers, and clients. Soft skills also help to establish a positive work environment, increase productivity, and reduce stress and conflict in the workplace.
Hard skills, on the other hand, are specific technical abilities that are required for a particular job or task. These skills can be taught and measured, such as computer programming, data analysis, accounting, and legal research. Hard skills are important because they allow individuals to complete job-specific tasks and responsibilities effectively. In many fields, employers place a strong emphasis on hard skills when hiring and promoting employees.
In conclusion, both soft skills and hard skills are valuable in their own right. While hard skills are essential for performing technical tasks and job-specific duties, soft skills are critical for building strong relationships, improving communication, and fostering a positive work environment. In order to succeed in any career field, individuals need to develop and maintain a balance of both skill sets.
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My last points to help you.
Answer:
Thank you, I can help you too dear :)
Explanation:
Answer:)
Explanation:
The impact of Furman v. Georgia (1972) was that states had to
promise to use the death penalty only with approval from the Supreme Court.
throw out the old Miranda warning and write a new one.
agree to throw out all state laws regarding crime and impose national standards.
create clear standards to be applied fairly before imposing the death penalty.
Answer: D.create clear standards to be applied fairly before imposing the death penalty.
Explanation: The answer it's right there
The impact of Furman v. Georgia (1972) was that states had to
create clear standards to be applied fairly before imposing the death penalty.The Furman v. Georgia caseThis was a case that had to do with the cruel and the unusual way that people faced in the death penalty.
The case ruled that the death penalty was unconstitutional if it was applied in a discriminatory way.
It ruled that the eight amendment was being violated if used in this way.
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Teachers, parents, school groups, quality peers and mentors are just a few resources we can lean on in life.
O True
O False
What are the accounting differences between cash and receivables from the perspective of a buyer? A seller? How are these differences changed by the accounting basis (cash vs. Accrual) an organization chooses?
Answer:
From a buyer's perspective, a sale made on credit represents a liability. While a sale made on cash represents a decrease of current assets.
From a seller's perspective, a sale made on credit or cash increases current assets, but the possibility of a bad debt always exist, therefore, accounts receivables must be periodically adjusted due to bad debts.
If the seller or buyer uses accrual accounting system, the previous description holds, but if they use cash basis accounting, things change a lot. When use cash basis, transactions are recorded only when cash is exchanged, so accounts receivables do not actually increase assets (seller's perspective), and accounts payables do not increase liabilities (buyer's perspective).
Management at the Relaxing Pines resort chain places great emphasis on customer satisfaction and loyalty. They emphasize quiet, luxurious rooms and personalized service. In fact, bonuses are based primarily on customer evaluations. What perspective does this reflect
Explain how a discount toy store would acquire products, set prices, and handle a decrease in interest with a particular toy that the store
presently has a huge supply of. Explain how they would know interest has declined. Is it really that big of a problem to have a huge supply of the product?
A discount toy store can acquire products through various channels such as wholesale suppliers, manufacturers, distributors, and even online marketplaces. In the case of a decrease in interest in a particular toy, the store can monitor sales data to determine if there has been a decline in demand.
They can negotiate for lower prices with the suppliers to keep the cost of goods low. The store can also rely on customer feedback and market trends to decide on which products to stock. Once they have acquired the products, they can set prices based on the cost of goods, competition, and demand.
In the case of a decrease in interest in a particular toy, the store can monitor sales data to determine if there has been a decline in demand. They can also conduct surveys or use social media to gather feedback from customers. If they find that interest has declined, they can reduce the price of the toy to clear inventory or offer promotions such as buy-one-get-one-free deals to increase sales.
Having a huge supply of a particular product can be a problem for the store as it ties up their capital and storage space. It also increases the risk of the product becoming obsolete or outdated, which can result in losses. Therefore, it is important for the store to manage their inventory effectively by monitoring sales and adjusting their pricing strategy accordingly.
The store can also consider donating excess inventory to charity or selling it to liquidators to recoup some of their costs. In summary, a discount toy store can acquire products at low prices, set competitive prices based on demand and competition, and handle inventory by monitoring sales and adjusting prices as necessary.
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You have decided to form a study group for your Study Skills class. How should you decide who will be in the group?
Answer:
figure out who has the skilles needed to join
Explanation:
when you are in a study group you have to have a set of skilles that benefit others and some other ways, the way to do this is print out aplications and have them fill out what they can contribute and when they get turned in read them.
Answer:
when you are in a study group you have to have a set of skilles that benefit others and some other ways, the way to do this is print out aplications and have them fill out what they can contribute and when they get turned in read them.
What are the 3 main types of credit?
The 3 main types of credit: are revolving, installment, and open.
Credit can imply either borrowing money or getting something of a fee, like a vehicle, with the dedication to repay later and often with hobby charges. it may additionally imply your ability to borrow or purchase things on a credit score contract. Your credit score document and credit score are methods you get the right of entry to credit score defined.
Whilst you operate a debit card, the price range for the quantity of your purchase is taken from your checking account in nearly actual time. whilst you operate a credit card, the quantity will be charged to your line of credit, which means you may pay the invoice at a later date, which additionally gives you extra time to pay.
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if the multiplier equals 8.5 and the ad shortfall is $28.5 million, the desired fiscal stimulus is
The desired fiscal stimulus is $3.35 million, which is the amount of government spending needed to close the ad shortfall and restore full employment.
Here's the calculation:
Desired fiscal stimulus = (Ad shortfall) / (Multiplier)
= $28.5 million / 8.5
= $3.35 million
The multiplier is a measure of how much economic activity is generated by a unit of government spending. In this case, the multiplier is 8.5, which means that for every $1 million of government spending, there will be an additional $8.5 million of economic activity generated.
The ad shortfall is the amount of aggregate demand that is missing from the economy. In this case, the ad shortfall is $28.5 million. This means that there is not enough demand in the economy to support full employment.
The desired fiscal stimulus is the amount of government spending that is needed to close the ad shortfall and restore full employment. In this case, the desired fiscal stimulus is $3.35 million. This is the amount of government spending that will generate an additional $8.5 million of economic activity, which will close the ad shortfall and restore full employment.
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