(A) The Regional Comprehensive Economic Partnership (RCEP) agreement is expected to bring several benefits to the trade members in the region. These benefits can be analyzed using the theories/models learned in class:
Increased market access: RCEP creates a free trade area among its member nations, eliminating or reducing tariffs, quotas, and other trade barriers. This agreement will expand market access for goods and services among member countries, allowing businesses to tap into larger consumer bases and increasing trade volumes. By reducing trade barriers, RCEP promotes trade liberalization and facilitates the flow of goods and services.Enhanced economic cooperation: RCEP fosters economic cooperation among member countries by promoting investment, technology transfer, and cross-border business collaborations. The agreement encourages the establishment of supply chains and production networks within the region, leading to increased productivity and efficiency. This cooperation can lead to the sharing of knowledge, best practices, and technology, benefiting all members involved.Streamlined regulations and standards: RCEP aims to harmonize trade rules, regulations, and standards among member countries. By aligning their policies, RCEP facilitates smoother trade procedures, reduces compliance costs, and enhances transparency in trade-related activities. This harmonization can reduce barriers to entry for businesses and encourage foreign direct investment.Market diversification: RCEP provides an opportunity for member countries to diversify their export markets and reduce their reliance on a single trading partner. By expanding trade within the region, businesses can decrease their vulnerability to external shocks and fluctuations in global markets. This diversification can strengthen the resilience of member economies and provide stability in times of economic uncertainty.(B) The non-member nations may be affected by the implementation of the RCEP in the following ways:
Trade diversion: Non-member nations might face trade diversion effects as member countries shift their trade preferences towards each other. With reduced trade barriers within the RCEP, member nations may find it more advantageous to trade among themselves, potentially leading to a decline in trade with non-member countries. This effect could disadvantage non-member nations in terms of market access and competitiveness.Competitive challenges: Non-member nations may face increased competition from the RCEP bloc. As trade within the RCEP becomes more seamless, member countries may be able to offer goods and services at more competitive prices due to reduced tariffs and streamlined regulations. Non-member nations may struggle to compete with RCEP members in terms of market share, especially if their products or services face higher trade barriers.Potential for future inclusion: The RCEP agreement allows for potential expansion, with the possibility of other countries joining in the future. Non-member nations may consider this as an incentive to pursue deeper trade engagement and economic integration with the RCEP countries. They may need to assess the benefits and costs of joining the agreement to ensure their trade interests are not compromised in the long term.Trade diversion to non-member countries: While RCEP may divert trade away from non-member nations, it could also create opportunities for non-member countries to attract investments and trade from the RCEP bloc. Non-member nations can position themselves as attractive destinations for foreign direct investment, offering competitive advantages such as lower costs of production, favorable business environments, or access to specific resources or markets.Overall, the impact of RCEP on non-member nations will depend on various factors, including their existing trade relationships, competitiveness, and ability to adapt to the changing trade dynamics in the region.
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Think about where you will be in your career and your life five years into the future. Create a list of the jobs that you think you will have, the additional skills you might develop, and the further education you will pursue. Using this list, prepare a résumé for yourself that reflects where you believe you will be in five years. Once you have prepared the résumé, share it with someone in your family or with a close friend. Ask them for their insight as to whether the résumé is an accurate portrayal of where they think you will be in five years. If their opinion is different from yours, can you determine why? How might this information factor into your present and future career decision-making?
Explanation:
It is essential that when choosing the business administration course there is a directing of the student to one of the multiple administrative areas in which a career can be built.
Assuming that there is an interest in building a career with a focus on entrepreneurship in the market, it is necessary that there are significant skills for entrepreneurs, that is, communication skills, flexibility, and conceptual skills, which allow the administrator a broad view of the business, coordinating and controlling its resources to position itself favorably in the competitive market.
If your focus is to open a new business, it is necessary that you evaluate your profile, considering that this is an activity that requires resilience, organization, a lot of study and determination. When preparing your resume and asking for the opinion of people close to you, analyze if the characteristics of an entrepreneur will match yours, and adjust to develop them if necessary, seek support material, such as great scholars, scientific articles, try to observe the business scenario, and dedicate yourself to making your business prosper.
If a firm's sales estimate used in its base-case analysis is 1,000 units per year and they anticipate the upper and lower bounds to be ± 15 percent, What is the "best case" for units sold per year?
The "best case" for units sold per year is 1,150 units.
The base-case sales estimate is the projected or expected level of sales volume, revenue or units for a business or company under normal operating conditions, assuming no significant changes in external factors such as competition, economic conditions or changes in consumer demand.
If the base-case sales estimate for a firm is 1,000 units per year and they anticipate the upper and lower bounds to be ± 15 percent, we can calculate the "best case" for units sold per year as follows;
Upper bound for sales estimate = Base-case sales estimate + 15% of base-case sales estimate
= 1,000 + 0.15 x 1,000
= 1,150
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Which of the following types of business environment is MOST typical of the Commonwealth Caribbean
what is the relationship among an erp system and the value chain of a company?
ERP systems aid the integration of the many functional processes within the organisation's value chain.
ERP (enterprise resource planning) enables a company's value chain to be improved, creating a substantial competitive advantage. ERP refers to the incorporation of a business software solution into the operations and business strategy of a firm. The integration is intended to improve the management of the crucial procedures supporting infrastructure and commercial operations.
The capacity to manage client connections is one of the key advantages of ERP for value development. When businesses and customers work together, value is created. Demand planning is automated by ERP, which generates demand when orders are received. The scheduling is carried out by the programme when an order is received.
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A Web site's Terms of Use grants the Web site the right to do what?
0
use your personal information in its advertisements
O sell its users' personal information to third parties for them to market to specific customers
O use its users' posts and photographs to gather information about its consumers
o both the first and third answers
it might be d because b isnt correct and the A and c are correct so im thinking therfor the answer is d
Answer:
both the first and third answers
Explanation:
I tried answering "use its users' posts and photographs to gather information about its consumers" and it was wrong, and then I retook the quiz and answered "sell its users' personal information to third parties for them to market to specific customers" and it was wrong. I know they can sell your information to make targeted ads, so it must be the answer that says "both the first and third answers".
what are the effects of a stock split accounted for as a 100% stock dividend? multiple select question. the number of shares outstanding increases. par value per share stays the same. par value per share decreases. par value per share increases. the number of shares outstanding decreases.
Answer:
The number of shares outstanding increases.
Par value per share stays the same.
Explanation:
Because most corporate bonds and all U.S. government debt securities are traded in the _____ market, this market regularly accounts for the largest total dollar value of all the secondary markets.
The "secondary market" is where bonds can be bought and sold after they are issued. Most bonds are exchanged over-the-counter between sizable broker-dealers operating on behalf of their clients or themselves.
While certain bonds are traded publicly through exchanges. Bonds are purchased and sold between investors through a broker on the secondary markets. In a way, bonds are traded like stocks on the secondary market, from investor to investor as opposed to from the borrower or corporation. Consider U.S.
Treasuries, the government of the United States' issued bonds, bills, and notes. The Department of the Treasury periodically announces fresh offerings of these debt instruments and sells them at auctions that take place often throughout the year. The primary market can be seen in action in this instance.
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Which of the following factors cause both the demand curve and the supply curve for dollars in the foreign exchange market to shift? O A. changes in the expectations of currency traders about the likely future value of the dollar and the likely future value of foreign currencies OB. changes in the demand for U.S. produced goods and services and che os in the demand for foreign produced goods and services O c. changes in the desire of investors to invest in the United States and changes in the desire of investors to invest in foreign countries OD. All of the above
changes in expectations, demand for goods and services, and investment flows can all cause shifts in the demand and supply curves for dollars in the foreign exchange market. Therefore, the correct answer is D. All of the above.
All of the above factors can cause both the demand curve and the supply curve for dollars in the foreign exchange market to shift. Let's take a closer look at each factor:
A. Changes in the expectations of currency traders about the likely future value of the dollar and the likely future value of foreign currencies: Expectations about the future value of a currency can affect the demand for that currency in the present.
B. Changes in the demand for U.S. produced goods and services and changes in the demand for foreign produced goods and services: The demand for a country's currency is often closely tied to the demand for the goods and services produced in that country.
C. Changes in the desire of investors to invest in the United States and changes in the desire of investors to invest in foreign countries: Investment flows can also affect the demand for currencies. For example, if foreign investors are interested in investing in the U.S., they will need to purchase dollars in order to do so. This would shift the demand curve for dollars to the right. Conversely, if U.S. investors are interested in investing in foreign countries, they will need to sell dollars in order to purchase those foreign currencies. This would shift the supply curve for dollars to the right.
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Which of the following is NOT one of the principles of effective coaching? A) Focusing on behavior change, not personality analysis B) Linking feedback to learning and performance goals C) Linking performance goals to key results areas for the organization D) Coaching for improvement, not just final results E) Publicizing performance improvement result
Answer:
E. Publicizing performance improvement results.
Explanation:
An open-end fund has a net asset value (NAV) of $20.00 per
share. The fund charges a 5% load. What is the offering price?
$21.00
$19.05
$21.05
$19.95
please show the formula
The offering price of the open-end fund is $21.00.
To calculate the offering price of an open-end fund with a given net asset value (NAV) and load, we need to understand how the load is applied.
In this case, the load is stated as 5%. A load is a sales charge or fee that is deducted from the investor's initial investment when purchasing shares of the fund. There are different types of loads, such as front-end loads (charged at the time of purchase) and back-end loads (charged at the time of redemption). However, in this scenario, the load is not specified as either front-end or back-end, so we'll assume it is a front-end load.
The offering price is the price at which investors can purchase shares in the fund, including the load. It is calculated by adding the load to the NAV. The NAV represents the value of the fund's assets minus any liabilities, divided by the number of outstanding shares.
Given that the NAV is $20.00 per share and the load is 5%, we can calculate the load amount:
Load = 5% of NAV
Load = 5% * $20.00
Load = $1.00 per share
To determine the offering price, we add the load to the NAV:
Offering Price = NAV + Load
Offering Price = $20.00 + $1.00
Offering Price = $21.00 per share
Therefore, the offering price of the open-end fund is $21.00 per share. This means that investors would need to pay $21.00 per share when purchasing shares, with $1.00 of that amount being the load fee charged by the fund.
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Why do you think assistant coaches play such a significant role in these scandals?
Answer:
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Explanation:
How did Apple become successful?
Answer:
Apple went public in 1980, but Jobs eventually left—only to triumphantly return several years later. Apple's success lies in a strategic vision that transcended simple desktop computing to include mobile devices and wearables. Both performance and design are key drivers of the Apple brand and its ongoing success.
Explanation:
HELP PLEASE!
1. The Inca civilization's city of Machu Pichu is an example of...
exceptional creative skills
exceptional political skills
exceptional engineering skills
exceptional life skills
2. Before you start practicing as an architect, you must first be certified through:
the NCAA (the National College Athletics Association)
the NWAC (the Northwest Accreditation Committee)
the NCARB (the National Council of Architectural Registration Boards)
the ITSE (the International Technology Symposium of Engineers)
3. Some warehouses and factories may utilize the services of:
an artist
a digital animator
an architect
a meteorologist
4. Ancient architects have used the principles of design to build which of the following?
Homes
Public spaces
Temples & religious spaces
All of the answer choices are correct
5. When researching which career that interests you the most, why is it important to also consider the projected growth of the profession?
It reveals who your competition might be.
It reveals the possible number of jobs that will be available in the field.
It directly relates to how many professional friends you will be making in the future.
Projected growth has no relevance in today's society.
6. An architect will create a design taking into account which factors?
Type of software used to create the architectural design
The quality of paper on which the design is printed
The specific color codes used to indicate the structures in the local area
None of the answer choices are correct
7. Architectural firms bid on what type of projects?
Land excavation projects
Land reclamation projects
Urban space beautification projects
Government and private projects
8. To be an effective City Planner, you must have the ability to work with:
others as well as independently
both structural and mechanical engineers
water quality specialists and pollution controllers
Interior design firms and Urban Planners
9. The structures that a structural engineer designs and builds must take into account which of the following?
Weather
Traffic
Changes in temperature in the structure
All of the answer choices are correct
10. A city planner is responsible for developing effective plans for the development and use of land in which of the following places?
Urban regions
Metroplexes
Small Towns
All of the answer choices are correct
Stephanie works for a company that manufactures purses and is considering employing a trading company to reduce the risk of getting involved in international marketing. What is one of the benefits of using a trading company?.
Stephanie works for a company that manufactures purses and is considering employing a trading company to reduce the risk of getting involved in international marketing. One of the benefits of using a trading company is that it facilitates all marketing aspects of a transaction.
While a manufacturing company focuses on the production of products and marketing it to the locals, the trading company focuses on purchasing products from a country and selling it to other countries.
A manufacturing company, like the one in which Stephanie is an employee, might be familiar with the marketing aspects and strategies of local businesses, but they might not have enough understanding of international marketing.
Trading companies help manufacturing companies to sell their products internationally by looking into all the marketing aspects that are required internationally. Both the manufacturing and trading companies hence benefit from each other.
Although a part of your question is missing, you might be referring to this question:
Stephanie works for a company that manufactures purses and is considering employing a trading company to reduce the risk of getting involved in international marketing. What is one of the benefits of using a trading company?
It negotiates with the government to get the best deals.
It handles all manufacturing services
It facilitates all marketing aspects of a transaction
It develops advertising campaigns for the advertising firm.
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c. if during the year total liabilities increased by $20,000 and total stockholders' equity increased by $30,000, what are the end-of-year total assets?
All of a person's or entity's possessions are included in their total assets. Assets are items with monetary value that a business owner employs over time to generate profits.
If the owner is a business, the balance sheet of the corporation will show these assets, which are frequently included in accounting records.
Right Answer: Option D with an increase of $50,000.
Explanation:
The accounting formula reads: Liabilities plus Equity. Assets
Liabilities grow by $30,000, but assets expand by $20,000 each.
In order for the estimate to be accurate, the asset increase must total $50,000 ($30,000 + $20,000).
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Which of the following reflects Revenue after Deductions?
Answer:
Net income reflects the total residual income that remains after accounting for all cash flows, both positive and negative. In other words, from revenue, which is called the top-line number, all income, expenses, and costs are deducted to arrive at net income
NET INCOME
Explanation:
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In three to five sentences, describe what a cold call is and how to prepare for one.
Answer: Cold calling (sometimes written with a hyphen) is the solicitation of a potential customer who had no prior interaction with a salesperson. A form of telemarketing, cold calling is one of the oldest and most common forms of marketing for salespeople.
Start off by saying “Hi, [NAME],” in a warm and welcoming tone, then proceed directly to Step 2. Notice I didn't say, “Hi, [NAME], how are you today?” because it gives your prospect a chance to jump in and disrupt your flow. Cold calls are all about taking control in the beginning. Identify yourself.
Explanation:
Answer:
Cold calling (sometimes written with a hyphen) is the solicitation of a potential customer who had no prior interaction with a salesperson. Start off by saying “Hi, jack,” in a warm and welcoming tone, then proceed directly to Step 2. Notice I didn't say, “Hi, jack, how are you today?” because it gives your prospect a chance to jump in and disrupt your flow. cold calling is one of the oldest and most common forms of marketing for salespeople.
Explanation:
the ambitous jackle
Baako Ltd purchase motor vehicle as follows date 01/01/13 800,000$,01/01/13 400,000$,01/04/15 600,000. The company adopts straight line method of depreciation at the rate 10% per annum from the date of purchase separate account is prepared for provision for depreciation. On 30th June, 2014 the motor vehicle which was purchase on 1st July was sold for 24,000$. You are required to prepare (a) motor vehicle account for the years 2013,2014 and 2015. (b) motor vehicle disposal account.
Baako Ltd purchase motor vehicle as follows date 01/01/13 800,000$,01/01/13 400,000$,01/04/15 600,000. The company adopts straight line method of depreciation at the rate 10% per annum from the date of purchase separate account is prepared for provision for depreciation. On 30th June, 2014 the motor vehicle which was purchase on 1st July was sold for 24,000$. You are required to prepare (a) motor vehicle account for the years 2013,2014 and 2015. (b) motor vehicle disposal account.
The loan amount (principal) is $50,000 and the annual interest paid is $5,500. What is the annual interest rate
Answer:
The interest rate is 11%
Explanation:
The loan amount = $50000
Interest amount = $5500
Since the annual interest amount and the principal amount is given so we have to find the interest rate by using the given information. Below is the formula to find the interest rate.
Let the interest rate = x
Principal × interest rate = Interest amount
$50000 × r = $5500
r = $5500 / $50000
r = 0.11 or 11%
The interest rate is 11%
list five of the important accounting assumptions that have had an impact on the development of generally accepted accounting principles.
Five important accounting assumptions that impact GAAP are: Going Concern, Accrual Basis, Monetary Unit, Time Period, and Historical Cost, guiding financial reporting for consistency and accuracy.
Five important accounting assumptions that have had an impact on the development of generally accepted accounting principles (GAAP) are:
1. Going Concern Assumption: This assumption assumes that the entity will continue its operations in the foreseeable future. It allows accountants to prepare financial statements under the assumption that the company will not liquidate or go bankrupt.
2. Accrual Basis Assumption: The accrual basis assumption requires that transactions and events are recorded in the financial statements when they occur, regardless of when the cash is received or paid. It helps provide a more accurate representation of a company's financial performance and position.
3. Monetary Unit Assumption: The monetary unit assumption assumes that the financial transactions and events recorded in the financial statements are expressed in a stable currency, such as the U.S. dollar. It allows for the measurement and comparison of financial information over time and between different entities.
4. Time Period Assumption: The time period assumption assumes that the economic activity of an entity can be divided into specific time periods for financial reporting purposes. It allows for the preparation of financial statements on a regular basis, such as monthly, quarterly, or annually.
5. Historical Cost Assumption: The historical cost assumption requires that assets and liabilities are recorded at their original acquisition or production cost. This assumption provides reliability and verifiability to the financial statements, but it may not always reflect the current market value of assets and liabilities.
These accounting assumptions form the foundation of GAAP and help guide the recognition, measurement, and disclosure of financial information to ensure consistency, comparability, and relevance in financial reporting.
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TAXOMET: A French Prospective Multicentric Randomized Phase II Study of Docetaxel Plus Metformin Versus Docetaxel Plus Placebo in Metastatic Castration-Resistant Prostate Cancer
TAXOMET is a French prospective multicentric randomized phase II study comparing the effectiveness of Docetaxel plus Metformin versus Docetaxel plus placebo in patients with metastatic castration-resistant prostate cancer.
1. The study, TAXOMET, is conducted in France and involves multiple centers across the country.
2. It is a randomized phase II study, meaning that participants are randomly assigned to receive either Docetaxel plus Metformin or Docetaxel plus placebo.
3. Docetaxel is a chemotherapy drug commonly used in the treatment of prostate cancer.
4. Metformin is a medication typically used to treat type 2 diabetes, but it is also being investigated for its potential anticancer effects.
5. The study aims to evaluate whether the addition of Metformin to Docetaxel can improve outcomes in patients with metastatic castration-resistant prostate cancer compared to Docetaxel alone.
6. Metastatic castration-resistant prostate cancer refers to prostate cancer that has spread to other parts of the body and continues to grow despite hormonal therapy.
7. The study will compare the efficacy and safety of the two treatment regimens and measure parameters such as overall survival, progression-free survival, and quality of life.
8. The study will provide valuable insights into the potential benefits of combining Metformin with Docetaxel in the treatment of metastatic castration-resistant prostate cancer.
9. The results of this phase II study will help inform further research and potentially guide treatment decisions for patients with this type of cancer.
In conclusion, the TAXOMET study investigated the use of Docetaxel plus Metformin compared to Docetaxel plus placebo in metastatic castration-resistant prostate cancer. This study will provide important information about the potential benefits of adding Metformin to the treatment regimen.
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On March 1, 2017, Elkhart enters into a new contract to build a specialized warehouse for $7 million. The promise to transfer the warehouse is determined to be a performance obligation. The contract states that if the warehouse is usable by November 30, 2017, Elkhart will receive a bonus of $600,000. For every week after November 30 that the warehouse is not usable, the bonus will decrease by $150,000. Elkhart provides the following completion schedule:
Probability of Completion:
November 30, 2017 60%
December 7, 2017 20%
December 14, 2017 10%
December 21, 2017 5%
December 28, 2017 5%
1. Assume that Elkhart used the expected value approach. What amount should Elkhart use for the transaction price?
2. Assume that Elkhart used the most likely approach. What amount should Elkhart use for the transaction price?
3. What is the objective of determinng the transaction price based on the amount of variable consideration?
1. Expected value approach: Sum of probabilities multiplied by corresponding bonus amounts determines the transaction price.
2. Most likely approach: Transaction price is based on the bonus amount corresponding to the most probable completion date.
3. Objective: Determine transaction price accurately based on variable consideration to reflect expected revenue and uncertainties.
In the normal worth methodology, Elkhart ought to consider the probabilities of finishing the stockroom at various dates and the relating extra sums. By increasing every likelihood by its separate reward, Elkhart works out the normal reward esteem.
The exchange cost not entirely settled by summarizing these normal extra qualities. This approach represents the probability of fulfilling the finish time constraint and gives a more practical gauge of the exchange cost.
In the most probable methodology, Elkhart just purposes the reward sum comparing to the most plausible finish date, which is November 30, 2017. This approach expects that this specific date is the most probable situation of performance bonus and dismisses the probabilities related with other culmination dates.
It gives a less complex gauge of the exchange cost in view of the suspicion of a particular result.
The target of deciding the exchange cost in light of how much factor thought is to precisely mirror the potential income Elkhart hopes to get. Variable thought, like the reward for this situation, presents vulnerability in the installment terms.
By taking into account the scope of potential results and their probabilities, Elkhart can appraise the exchange value that best mirrors the financial substance of the agreement.
This approach adjusts income acknowledgment to the exhibition of the commitments under the agreement and guarantees that income is perceived in a way that mirrors the vulnerabilities and possibilities related with the variable thought.
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Gidgits Galore has borrowed $10,000 to buy new shelves to display its millennial version of the gidgit. The bank negotiated the use 1,000 gidgits as
collateral and then filed a UCC-1 Financing Statement with the Register of Deeds where Gidgits Galore has its headquarters. The bank is an
unsecured creditor.
O True
O False
Answer:
False. The bank is NOT an unsecured creditor.
Explanation:
An unsecured creditor can be described as an individual or institution that lends money without requiring the borrower to put up any assets as collateral.
Financing Statement is a statement that a creditor files to notify interested parties that he has a security interest in a personal property of a debtor. The personal property is therefore held as collateral in a secured transaction, such as a loan or a lease.
Since the bank negotiated the use 1,000 gidgits as collateral and then filed a UCC-1 Financing Statement with the Register of Deeds where Gidgits Galore has its headquarters, it implies that the bank is a secured creditor.
Therefore, the bank is NOT an unsecured creditor.
How does the velocity of money affect a national economy?.
Answer:
when the velocity of money is high, it means each dollar is moving fast to purchase goods and services. It reflects high demand,which generates more production. When the velocity is low, each dollar is not being used very often to buy things.
Suppose a worker loses her job due to her firm shutting down during a recession. She stops looking for work because she is not optimistic about finding work for now. She is considered:
a. cyclically unemployed
b. frictionally unemployed
c. not in the labour force
d. structurally unemployed
e. in the labour force but not searching for work
The worker who loses her job due to her firm shutting down during a recession and stops looking for work because she is not optimistic about finding work is considered cyclically unemployed.
Cyclical unemployment refers to the type of unemployment that occurs as a result of downturns in the business cycle or economic recessions. During recessions, firms may experience a decline in demand, leading to layoffs and job losses. In this scenario, the worker lost her job due to her firm shutting down, which can be attributed to the economic downturn or recession. As a result, she becomes pessimistic about finding work and stops actively seeking employment.
Frictional unemployment refers to the temporary unemployment that occurs while individuals are searching for new jobs or transitioning between jobs. This type of unemployment is characterized by individuals voluntarily leaving their jobs or entering the labor force for the first time, and it is not applicable in this case as the worker has stopped looking for work.
Structural unemployment occurs when there is a mismatch between the skills and qualifications of workers and the available job opportunities. It is not applicable here as the worker's unemployment is a result of the firm shutting down, rather than a structural issue.
Therefore, the worker in question is considered cyclically unemployed due to the job loss resulting from the firm's closure during a recession and her decision to stop looking for work temporarily.
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What field should be moved out of a table if Customer ID is the primary key? address O package size O phone number O customer name
Answer:
package size
Explanation:
all the others are stuff abt the customer
Answer:
B
Explanation:
derek will deposit $3,214.00 per year for 20.00 years into an account that earns 10.00%, the first deposit is made next year. how much will be in the account 36.00 years from today?
The final value is $778491.11
how much will be in the account 36.00 years from today?Step1:
Giving the following information:
Derek will deposit $3,214.00 per year for 20.00years into an account that earns10.00%, The first deposit is made next year.
First, we need to calculate the final value of the first 20 years using the following formula:
FV= {A*[(1+i)^n-1]}/I
A= annual deposit
FV= {3,214*[(1.09^20)-1]}/0.09= 778491.11
Now, we can calculate the final value of the following 10 years at an interest rate of 10%.
FV= PV*(1+i)^n
FV=778491.11 *(0.1^10)= $778491.11
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How many days does the pay stub cover?
Answer:
Pay stubs are usually an extent of 30 days which is a month.
Sally wants to use money from her checking account to make a purchase. Which payment method should she use? Question 4 options: Credit Card Debit Card Direct Deposit Gift Card
Answer:
Sally should use the following payment method:
Debit Card.
Explanation:
Sally's debit card will deduct money directly from her checking account to pay for the purchase. With debit cards, Sally does not need to carry cash or physical checks in order to make payments for her purchases. Another payment method she could use with her checking account is a check. But this will involve the carrying of the physical checks. Credit Cards are used when purchases are being made on credit. In such a case, Sally will pay interest on the borrowed cash she uses to purchase items, and she will need to make deposits into the account to clear her loans.
With regard to suppliers, just-in time typically require: Group of answer choices buyer inspection of all goods and materials. delivery of large lots at regular intervals. the lowest price possible. multiple sources from which to purchase. long-term relationships and commitments.
Answer: long-term relationships and commitments.
Explanation:
Just in time typically implies long-term relationships and commitment. It requires a good understanding of the supplier and the manufacturer in terms of the quantity and the swiftness with material delivery. When there is a misunderstanding between the manufacturer and the supplier, delivery cones to a halt. This is why there's a need for a long lasting relationship and commitment.