TRUE. a deadweight loss results from the imposition of a tax on a good because the tax reduces the quantity of exchanges between buyers and sellers.
taxation, the government's imposition of mandatory fees on people or organizations. Nearly every nation in the world imposes taxes, which, although also serving other objectives, are largely intended to fund government spending.
According to who pays for them, who ultimately bears the burden of them, how much the burden can be shifted, and other factors, taxes have been categorized in different ways in the literature on public finance. Most taxes are categorized as either direct or indirect, with the income tax serving as an example of the former and the sales tax serving as an example of the latter.
learn more about taxation here:
https://brainly.com/question/1980107
#SPJ4
Karen just finished typing an important memo that she needs to send to many people, including the president of the company. Karen should _____.
Answer:
C. proofread her work carefully, ask a coworker to look it over, and correct all mistakes
Explanation:
Since in the question it is mentioned that Karen just finished the typing for an important memo and wants to send to many persons involved the president of the company
So here karen should proofread her work carefully and if it involved any kind of mistake that it should be corrected so that it would not create a bad presentation to the many people
Hence, the correct option is C.
Commingling is mixing the money of the agent and the principal together.
A. True
B. False
True.
Commingling is the unlawful use of a client's funds by a licensee, often mixing their own funds with the client's.
you were visiting your grandpa and you happened to find $5000 stashed in an old shoe box. he told you that he had been saving this money for over 20 years. a. explain to him other options he has.
b. explain and demonstrate the principles of compounding interest.
Answer:
(only a) the best option would be investing in stocks
Explanation:
Several factors differentiate between those companies that use a sales orientation and those that use a market orientation. One factor relates to how a company defines its business. Which of the following business definitions or mission statements best characterizes an organization pursuing a sales orientation
Best characterizes an organization pursuing a sales orientation is American Express: We work hard every day to make American Express the world's most utilized credit card.
Option B is correct.
A sales orientation focuses primarily on selling products or services and achieving high sales volumes. The mission statement of American Express reflects this orientation by emphasizing their goal of making their credit card the most utilized in the world, indicating a strong emphasis on sales and market share.
A marketing orientation aims to promote products in order to attract new customers, whereas a sales orientation focuses primarily on satisfying existing customers and generating sales. Outward-looking business is market-oriented. It centers around satisfying its objective business sectors' needs and needs to make progress.
Incomplete question:
Several factors differentiate between those companies that use a sales orientation and those that use a market orientation. One factor relates to how a company defines its business. Which of the following business definitions or mission statements best characterizes an organization pursuing a sales orientation?
a. JetBlue: To inspire humanity—both in the air and on the ground.
b. American Express: We work hard every day to make American Express the world's most utilized credit card.
c. Workday: To put people at the center of enterprise software.
d. Patagonia: Build the best product, cause no unnecessary harm, use business to inspire and implement solutions to the environmental crisis.
Learn more about Sales orientation:
brainly.com/question/13193612
#SPJ11
Skeletal muscle fibers are very unusual because they may be . have intercalated discs (gap junctions) devoid of striations and spindle-shaped with a single nucleus a foot or more in length, and each cell contains hundreds of nuclei subject to the activity of pacemaker cells, which establish contraction rate capable of division, unlike smooth muscle cells
Skeletal muscle fibers are very unusual because they may be: B. a foot or more in length, and each cell contains hundreds of nuclei.
What is a skeletal muscle?Skeletal muscle is also referred to as voluntary muscle and it can be defined as a type of muscle that's connected with the skeleton by tendons, so as to form a mechanical system that enables the movement of the limbs and other body parts with respect to another.
Generally, skeletal muscle fibers are considered to be very unusual because they may be a foot or more in terms of length, and each cell typically contains hundreds of nuclei.
Read more on skeletal muscle here: https://brainly.com/question/24279412
#SPJ1
what factors will likely determine how much money alma receives each month?
In other words, Alma will likely receive more when she retires the longer she stays with that particular company.
The employer is required to make regular contributions to a fund set aside to pay qualified employees after they retire as part of an employee benefit known as a pension plan. Typically, pension plans can be classified as either defined benefit or defined contribution programmes. A defined benefit plan guarantees a certain monthly payment for the duration of the plan (or a lump sum payment on retiring). A defined contribution plan creates an investment account, which grows over the length of the employee's employment. The remaining amount will be available to the employee after retirement.
To learn more about retirement refer here:
https://brainly.com/question/29994815
#SPJ4
if the housing market had been bad and each seller in the previous question had to lower their price by $10,000, what would happen to the mean sales price? it would not change because the mean is stable it would go down by $10,000 it would go down but it is impossible to say by how much it would depend on how much variability there was in the market at that time
If the housing market had been bad and each seller in the previous question had to lower their price by $10,000, the mean sales price would go down by $10,000. Correct option is B.
If each seller in the housing market had to lower their price by $10,000, it would cause a downward shift in the distribution of sales prices. As a result, the mean sales price would also decrease.
The mean sales price is a measure of central tendency that represents the average sales price in the market. It is influenced by the individual sales prices of all the homes in the market. If each seller has to lower their price by $10,000, it means that the sales prices of all homes have decreased by the same amount.
This would result in a shift of the distribution of sales prices to the left, causing the mean sales price to decrease by the same amount. Therefore, the correct answer is (b) it would go down by $10,000.
To learn more about price click on,
https://brainly.com/question/13963377
#SPJ4
Complete question is:
If the housing market had been bad and each seller in the previous question had to lower their price by $10,000, what would happen to the mean sales price?
a) it would not change because the mean is stable
b) it would go down by $10,000
c) it would go down but it is impossible to say by how much
d) it would depend on how much variability there was in the market at that time
Please assist with the statement of cash flows. Thanks!
The following information (presented in thousands) is available for the Cumberland County Utility Enterprise Fund during the current year:
The beginning balance for cash and cash equivalents was $86,210 and for restricted cash was $12,366.
The utility collected $2,500 in customer deposits throughout the year. Deposits of $1,100 were returned, and accounts of $200 were written off.
Cash paid to vendors totaled $19,981, while cash paid to employees was $35,250.
The utility repaid revenue bonds restricted for capital acquisitions in the amount of $17,500 and issued new debt of $15,000 to acquire new equipment. Equipment costing $8,000 was purchased for cash during the year.
Cash receipts came from customers, $112,793; interest on investments, $900; a transfer from the General Fund, $5,000; and interest on customer deposits, $625. (Assume that interest on customer deposits is not restricted.)
Required
Prepare a statement of cash flows for the Cumberland County Utility Enterprise Fund. (Ignore the reconciliation of operating income to net cash provided by operating activities because insufficient information is provided to complete the reconciliation.) (Cash outflows should be indicated by a minus sign.)
Net increase in cash and cash equivalents 53,587
Cash and cash equivalents, the beginning of year 86,210
Cash and cash equivalents, end of year $139,797
What exactly are cash equivalents?Cash equivalents refer to highly liquid and low-risk financial instruments that can be easily converted into cash. These are short-term investments that typically mature within three months or less from the date of purchase.
Cumberland County Utility Enterprise Fund
Statement of Cash Flows
For the Current Year Ended
Cash Flows from Operating Activities:
Cash receipts from customers of $112,793
Interest on investments 900
Transfer from the General Fund 5,000
Interest on customer deposits 625
Cash paid to vendors (19,981)
Cash paid to employees (35,250)
Net cash provided by operating activities $64,087
Cash Flows from Investing Activities:
Purchase of equipment (8,000)
Net cash used in investing activities (8,000)
Cash Flows from Financing Activities:
Repayment of revenue bonds (17,500)
Issuance of new debt of 15,000
Net cash used in financing activities (2,500)
Net increase in cash and cash equivalents 53,587
Cash and cash equivalents, the beginning of year 86,210
Cash and cash equivalents, end of year $139,797
To learn more about Cash Flows, click
https://brainly.com/question/29768594
#SPJ1
Which time-series model below assumes that demand in the next period will be equal to the most
recent period's demand?
A) naïve approach
B) moving average approach
C) weighted moving average approach
D) exponential smoothing approach
E) trend projection
A) The time-series model below takes a naive approach and assumes that demand will be constant from one period to the next.
A time-series model is what?One or more measured output channels without any measured inputs make up a time series. A dynamic system found to suit a particular signal or time series of data is a time series model, also known as a signal model.
Multivariate models can be created when the time series is multivariate. When modeling a time series, it is common to consider it to be the result of a system that receives a white noise signal with variance e(t) as its fictitious input. Such models' actual observed input size is zero, and their governing equation has the following form:
y(t) = He(t) (t)
Here, the signal being modeled is denoted by y(t), and the transfer function H denotes the connection between y(t) and e. (t).
Learn more about the time-series model with the help of the given link:
brainly.com/question/15114845
#SPJ1
Which two of the following risks are typically identified during buyer due diligence in the first round?
I. Financial projections trajectory
II. Depth and nature of management team
III. Target company end markets
IV. Details of growth strategies
Buyer due diligence is a critical part of any successful acquisition. This process usually occurs in the early stages of a potential purchase when a buyer is considering acquiring a target company.
During the first round of buyer due diligence, two risks that are typically identified include financial projections trajectory and depth and nature of management team.
I. Financial projections trajectory The first thing buyers typically look at during due diligence is a target company’s financial projections. Financial projections give buyers an idea of what they can expect in terms of future revenue and earnings. The financial projections trajectory can be seen as the first risk identified by buyers in the first round.
II. Depth and nature of management team Another factor that is typically considered during buyer due diligence is the depth and nature of the target company's management team. A strong management team is essential for a target company's success after acquisition.
The management team should have a clear understanding of the business, its challenges, and opportunities for growth. The management team's capabilities are typically evaluated by assessing the experience and skills of key individuals, including the CEO, CFO, and other senior managers.
III. Target company end markets This is not typically identified as a risk during buyer due diligence in the first round.
However, it is still important to consider during the due diligence process. Buyers should examine a target company's end markets to determine if they align with their own business strategy and to understand the risks associated with those markets.
IV. Details of growth strategies Another factor that buyers typically look at during due diligence is the target company's growth strategy.
To know more about target visit :
https://brainly.com/question/31607336
#SPJ11
how did economic issues factor into the events surrounding the leo frank case?
Economic concerns play a role with in Leo Frank case's events because poor Georgians despised northern businessmen who moved there in order to prosper.
What is economic explain?Economics is, in fact, a study the scarcity and how it impacts the utilisation of resources, the creation of goods and services, the growth of production and welfare through time, as well as a large array of other complex issues that are very significant to society.
What is an economic example?Example: Farmers lower the price of both the crop when corn production rises in order to sell more of their harvest. The amount of maize required to feed the nation's population, as well as other produce, must be reduced if the production is too great.
To know more about economic visit:
brainly.com/question/583252
#SPJ4
What is one of the best ways to avoid credit problems? A. Use your credit as often as possible. B. Apply for as many credit cards as you can. C. Pay your credit bills on-time each month. D. All of the above
Answer:
d. all of the above
Explanation:
they all make sense
State 5 differences betweeen a stencil suplicator and a spirit duplicator
Answer:
spirit duplication is a method of reproducing documents where a spirit duplicator is used. The master copy is prepared from which copies are produced.
I hope is helpful
please i want to be a branalist
Explanation:
a company that produces laundry detergent switches from plastic bottles to flexible pouches that require 84 percent less packaging. this is an example of
A company that produces laundry detergent switching from plastic bottles to flexible pouches that require 84 percent less packaging is an example of: sustainable packaging.
Sustainable packaging involves the development and use of packaging solutions that have a reduced environmental impact and contribute to a more sustainable future.
In this case, the company is implementing a sustainable packaging solution by replacing traditional plastic bottles with flexible pouches. This change results in an 84 percent reduction in packaging material, which has numerous benefits.
First, it conserves resources and reduces the amount of waste generated. Secondly, it lowers the energy required for production and transportation, reducing the company's carbon footprint. Thirdly, it helps the company meet customer demands for more environmentally-friendly products.
By making this switch, the company demonstrates its commitment to corporate social responsibility and environmental stewardship, which can ultimately lead to a positive impact on its brand image and customer loyalty.
Overall, this example illustrates the importance of adopting sustainable packaging solutions to minimize environmental harm and promote long-term ecological balance.
To know more about sustainable packaging, refer here:
https://brainly.com/question/31458697#
#SPJ11
Draft an email to be sent to all of your colleagues announcing the transition to a formal on-boarding process for all new employees. Acknowledge the anticipated complaints about "making more work" and stress the positive benefits of a standardized process.
PLATO essential communications
Subject: New Formal Onboarding Process for All New Employees
Dear colleagues,
I am excited to announce that we are transitioning to a formal onboarding process for all new employees. We have been working hard to develop a standardized process that will help us provide a consistent and thorough experience for all new hires.
I understand that this change may result in additional work for some of you, and that change can be difficult. However, I want to emphasize the positive benefits of a standardized onboarding process. By providing a clear and comprehensive orientation, we can ensure that new employees have the tools and knowledge they need to be successful in their roles. This will result in a smoother transition for new hires and a more efficient workflow for all of us in the long run.
Our new onboarding process will include a combination of online modules, in-person training, and ongoing support from HR and team leaders. We believe that this approach will help us provide a better experience for new hires and set them up for success in their roles.
I appreciate your cooperation and support during this transition. If you have any questions or concerns, please feel free to reach out to me or our HR department.
Best regards,
[Your Name]
Learn more about “ Onboarding Process “ visit here;
https://brainly.com/question/29356959
#SPJ4
(a) what entry would swifty make to record the sale of the machine for $31,720 cash? (b) what entry would swifty make to record the sale of the machine for $21,720 cash?
If the cash received is greater than the original cost, it is a gain. If the cash received is less than the original cost, it is a loss.
For (a), Swifty would make the following entry to record the sale of the machine for $31,720 cash: Cash $31,720
Machine $20,000
Gain on sale of machine $11,720
The cash account is debited for the amount received in cash from the sale. The machine account is credited for its original cost of $20,000. Lastly, the gain on sale of machine account is credited for the difference between the cash received and the machine's original cost.
For (b), Swifty would make the following entry to record the sale of the machine for $21,720 cash: Cash $21,720
Machine $20,000
Loss on sale of machine $1,720
The cash account is debited for the amount received in cash from the sale. The machine account is credited for its original cost of $20,000. Lastly, the loss on sale of machine account is credited for the difference between the cash received and the machine's original cost.
It is important to note that the gain or loss on the sale of an asset is calculated by subtracting the asset's original cost from the amount received in cash from the sale.
To know more about original cost refer here:
https://brainly.com/question/30143744#
#SPJ11
What country is #1 in GDP per capita?
The country with the highest Gross Domestic Product (GDP) per capita is Luxembourg.
Luxembourg's strong economy is largely due to its status as a major center for international banking and finance, as well as its thriving industries in steel production and transportation. Additionally, the country has a highly skilled and educated workforce, which contributes to its high productivity levels.
The small size of Luxembourg, both in terms of land area and population, also plays a role in its high GDP per capita. With a population of just over 600,000 people, the country has a relatively small labor force compared to larger economies. This means that the economic output is spread out over a smaller population, leading to a higher per capita GDP.
It is worth mentioning that while Luxembourg has the highest GDP per capita, this metric is not always a reliable indicator of the overall well-being of a population, as it does not take into account factors such as income inequality and the cost of living. Nonetheless, Luxembourg's high GDP per capita is a testament to its strong and diverse economy.
In conclusion, the key factors contributing to Luxembourg's high GDP per capita are its status as a major center for international banking and finance, thriving industries, highly skilled and educated workforce, and small population.
For more about GDP per capita refer here
https://brainly.com/question/18771532#
#SPJ11
an investment property generates a cash flow of $420,000 and appraises for $8,800,000. what is the owner’s return on investment?
The owner’s return on investment is $4,583,000
Investment definition is an asset received or invested in to build wealth and keep money from the tough earned earnings or appreciation. funding that means is generally to reap a further source of profits or benefit take advantage of the funding over a selected period of time.
Making an investment is a powerful way to put your money to work and probably build wealth. smart investing may additionally allow your money to outpace inflation and boom in value. The greater growth potential of investing is primarily because of the power of compounding and the chance-go-back tradeoff.
Within the maximum sincere feel, investing works when you buy an asset at a low rate and promote it at a higher price. This sort of go back to your investment is called a capital benefit. earning returns with the aid of selling assets for a profit—or figuring out your capital profits—is one way to make cash investing.
$550,000 ÷ 0.12 = $4,583,000
Learn more about investment here https://brainly.com/question/25300925
#SPJ4
Fill in the blank: to counter a recession, the fed will take ____ measures to increase the money supply and reduce interest rates.
To counter a recession, the Fed will take expansionary measures to increase the money supply and reduce interest rates.
The Federal Reserve (Fed) recognizes signs of a recession, such as high unemployment rates and low consumer spending.
The Fed then decides to implement expansionary monetary policies to counter the recession. These policies may include lowering the federal funds rate, which reduces the interest rates that banks charge each other for overnight loans.
Lower interest rates lead to increased borrowing by consumers and businesses, resulting in increased spending. The Fed may also increase the money supply through open market operations, such as buying government securities to inject money into the economy.
This increase in money supply helps to lower interest rates further and stimulates economic activity, ultimately countering the recession.
To know more about expansionary measures, refer here:
https://brainly.com/question/29803608#
#SPJ11
Identify each of the following accounts of Liken Services Co. As asset, liability, stockholders' equity, revenue, or expense, and state in each case whether the normal balance is a debit or a credit. A. Accounts Payable b. Accounts Receivable C. Cash d. Common Stock e. Dividends f. Fees Earned g. Land h. Rent Expense i. Supplies j. Utilities Expense
Accounts of Liken Services Co. As asset, liability, stockholders' equity, revenue, or expense, and state in each case whether the normal balance is a debit or a credit are as follows:
1. Accounts Payable- Debit and Credit
2. Accounts Receivable- Debit and Credit
3. Cash- Debit and Credit
4. Fees Earned- Credit Only
5. Insurance Expense- Debit only
6. Dividends - Debit only
7. Utilities Expense- Debit only
What is meant by normal balance?The accounting category for an account is normal balance. It is a component of the double-entry method of bookkeeping. A regular balance for an account is either credit or debit. An account with a typical balance of credit would be credited to improve its value.
The side of an account's balance that is positive or rising is known as the normal balance. The standard balance is on the credit side for income, equity, and liability accounts and on the debit side for asset and expense accounts.
The standard balance is on the credit side for income, equity, and liability accounts and on the debit side for asset and expense accounts. Because increases are often more than losses in any account, the designated normal balance of an account is on the side where increases go.
To learn more about normal balance refer to:
brainly.com/question/13669524
#SPJ1
The complete question is:
Normal Entries for Accounts
______________________________________________
During the month, Gates Labs Co. has a substantial number of transactions affecting each of the following accounts. State for each account whether it is likely to have debit entries only, credit entries only, or both debit and credit entries. (IDENTIFY IF THEYRE DEBIT ONLY, CREDIT ONLY OR BOTH DEBIT AND CREDIT)
1. Accounts Payable
2. Accounts Receivable
3. Cash
4. Fees Earned
5. Insurance Expense
6. Dividends
7. Utilities Expense
Diane needs to create a work plan for an upcoming systems project. She must first _____.
A.
estimate the hours and request deliverables
B.
identify the tasks and estimate the time needed to complete them
C.
initiate the project and create the project management assessment
D.
make tradeoffs and set conservative numbers
E.
timebox the completion date
Diane needs to create a work plan for an upcoming systems project. She must first make tradeoffs and set conservative numbers option D)
Diane needs to create a work plan for an upcoming systems project. She must first make tradeoffs and set conservative numbers. Making tradeoffs involves identifying and analyzing the project's requirements, resources, constraints, and risks to determine the optimal balance between them.
Diane must prioritize the project's objectives and decide which requirements are essential and which are desirable but non-critical. This process allows her to allocate resources effectively and minimize waste. Setting conservative numbers involves estimating the project's scope, schedule, and budget realistically.
Diane must consider the project's complexity, uncertainty, and variability and add buffers to account for them. This approach helps her to avoid overpromising and underdelivering, which can harm the project's credibility and reputation. Timeboxing the completion date involves setting a fixed deadline for the project's delivery and breaking down the work into manageable iterations.
Diane must define the scope, objectives, and acceptance criteria for each iteration and monitor their progress regularly. This method enables her to provide stakeholders with incremental value and feedback and adapt the project's plan and priorities as needed.
In summary, Diane needs to make tradeoffs and set conservative numbers to create a work plan that balances the project's requirements, resources, and risks and delivers incremental value on time and within budget. Therefore option D) is correct.
For more question on work plan
https://brainly.com/question/29349981
#SPJ11
why is it important to not let slides distract from you
Answer:
because they are fun and if you get distracted you don't want to finish what you are doing
Answer: Because what if you have to go to school and you stop bye a park and u just sliding on the slide u late to school so make sure when u see a slide walk away i mean runnnnnnnn away
Explanation:
This document outlines the rules and regulations with regards to developers using brokerage services to 'test the market' for a potential development project...?
Answer: CPS1 (cooperative policy statement #1)
Explanation:
Cooperative policy statement #1 is known as the policy for "testing the market" application, it has been revised to permit sponsors to submit application at any time before the offering plans acceptance for filling and clarifying that extension applications will be granted if the sponsor has submitted an offering plan to the department of law.
Select the correct location on the image.
Which box on a W-4 notes an employee's filling status?
Box number 3 on a W-4 notes an employee's filling status?
What is a W-4?
An IRS form known as a W-4, also known as a "Employee's Withholding Certificate," instructs employers how much tax should be deducted from each employee's paycheck. Employers utilize the W-4 to calculate some payroll taxes and remit the taxes on behalf of employees to the IRS and the state (if applicable).
If your employer already has a copy of your W-4 form on file, you do not need to fill one out again. Additionally, you are not required to complete a new W-4 annually. But you'll probably need to complete a new W-4 if you start a new employment or wish to change the withholdings at your current position. In either case, it's a good justification for reviewing your withholdings.
Learn more about form W-4 here https://brainly.com/question/6712612
#SPJ1
For a given level of output, higher fiscal deficit can never be accompanied by
a. By a lower current account, by higher aggregate private savings, and by higher investment
b. By a higher current account, by lower aggregate private savings and by higher investment
c. By a lower current account, by higher private investments, and by a higher investment
d. By a higher current account, by lower aggregate private savings and by a lower investment
e. c and d are true
The correct answer is d. By a higher fiscal deficit, the government is spending more than it is earning, which puts pressure on the economy and can lead to higher interest rates. This in turn can discourage private investment and lower aggregate private savings. A higher fiscal deficit can also lead to inflation, which can further decrease investment. A higher current account, on the other hand, would require the economy to be exporting more than it is importing, which is unlikely to happen in conjunction with a higher fiscal deficit. Option a is incorrect because a lower current account would require increased exports, which would not likely occur with a higher fiscal deficit.
Option b is incorrect for the same reason as option a. Option c is incorrect because while higher private investments are possible, it is unlikely to occur in conjunction with a lower current account and a higher fiscal deficit. Therefore, option e is also incorrect.
To know more about fiscal deficit click this link-
brainly.com/question/9341001
#SPJ11
Your ________ include cash, checking and savings account balances, and money market funds.
Answer:
Your monetary assets include cash, checking and savings account balances, and money market funds.
What does this mean
“MY LONG-TERM CAREER GOAL TODAY IS TO BECOME A”
Explanation:
what this means is it is asking what kind of job or career you want to be. an example is :
i want my career to be a doctor.
so basically this is just a fancy word for job.
Cara plans to deposit $1,000 at the end of years 4, 5, 6, 7, 8, 9 and 10 into an account that pays interest of 8.25 percent p.a. If these are the only deposits that Cara makes into the account, and if Cara does not withdraw any money from the account, how much money will Cara have in her account exactly 20 years from today? 1) $16,079,67 2) $43,180.79 3) $35,526.81 4) $19,865.75 5) $24.669.55
The answer is option 3. Cara will have $35,526.81 in her account exactly 20 years from today.
To solve this problem, we can use the formula for the future value of an annuity:
FV = PMT x [(1 + r)^n - 1] / r
Where, FV = future value,
PMT= regular deposit amount,
r = interest rate per period (in this case, per year), and
n = number of periods.
In this case,
PMT = $1,000, r = 8.25% = 0.0825, and
n = 7 (since there are 7 deposits).
We can use this formula to calculate the total amount of money that Cara will have after 10 years:
FV1 = $1,000 x [(1 + 0.0825)^7 - 1] / 0.0825
FV1 = $10,424.87
Now,
we can use the formula for the future value of a lump sum to calculate the value of this amount after another 10 years:
FV2 = $10,424.87 x (1 + 0.0825)^10
FV2 = $35,526.81
Therefore,
Cara will have $35,526.81 in her account exactly 20 years from today.
To know more about account, click here:
https://brainly.com/question/22917325
#SPJ11
You are a consultant helping to turn around a factory that hasn't adapted to modern manufacturing standards. They receive several truckloads of raw materials each day, which are recorded by hand in a logbook kept at the loading dock. Each of the salesmen keeps a running tally of orders and files them in the sales office. The deliveries are made once a truck is filled. What aspects of this factory can be significantly improved by introducing an EPR (enterprise resource planning) system?
environmental management
sales and revenue
human resource management
equipment maintenance
Answer:
use of modern technology
Explanation:
to make work and tallying
easy
Answer:Sales and revenue
Explanation:
This is standard business marketing
All of the following are false except the higher the risk, the lower the expected return The Rule of 72 uses interest rate and time to approximate the duration needed for funds to double increasing the frequency of compounding at a given a fixed interest rate decreases the future value of a sum the payment from an annuity due always occurs at to
The information you provided is correct. The present value of a perpetuity formula can be used to determine the price of a preferred stock that pays a constant dividend indefinitely. By dividing the annual dividend payment by the required rate of return, we can calculate the present value of the perpetuity.
In this case, with an annual dividend of $3.73 and a required rate of return of 9.4%, the calculation yields a price of $39.68 for the preferred stock.
If you need more information about preferred stocks or have any other questions, feel free to ask!
To know more about Perpetuity visit
https://brainly.com/question/33695126
#SPJ11