The throughput time in minutes for a two-task process with no waiting between tasks can be calculated by adding the processing time of both tasks. The processing time is the time required to complete each task.
For instance, if the first task takes 5 minutes to complete and the second task takes 10 minutes to complete, the total throughput time would be 15 minutes. It is important to note that this calculation assumes no waiting time between tasks. If there is any delay or waiting time between tasks, the throughput time will increase accordingly. Therefore, it is essential to minimize or eliminate waiting time between tasks to improve the efficiency of the process and reduce the overall throughput time.
Overall, the throughput time is an essential metric to evaluate the performance of a process and determine the time required to produce a product or complete a task. By optimizing the process and reducing the throughput time, organizations can increase productivity, improve customer satisfaction, and enhance their competitive advantage.
For more such questions on tasks
https://brainly.com/question/30157542
#SPJ11
Describe the Calvin Cycle.
Describe how the Na+-K+ pump and the K+-Na+ leak channels function to polarize a nerve cell membrane such that it attains its characteristic – 40 to – 90 mV resting potential.
The Calvin Cycle is a series of biochemical reactions that occur in the stroma of chloroplasts during photosynthesis. It is the second stage of photosynthesis and involves the conversion of carbon dioxide (CO₂) into glucose. The cycle utilizes the energy from ATP and NADPH, which are produced in light-dependent reactions, to synthesize glucose molecules.
The Na+-K+ pump and K+-Na+ leak channels play a crucial role in establishing and maintaining the resting potential of a nerve cell membrane. The Na+-K+ pump actively transports sodium ions (Na+) out of the cell while pumping potassium ions (K+) into the cell against their concentration gradients. This process requires ATP energy. By doing so, the pump helps maintain a higher concentration of K+ inside the cell and a higher concentration of Na+ outside the cell, resulting in an electrochemical gradient.
The K+-Na+ leak channels, on the other hand, provide a passive pathway for K+ ions to leak out of the cell and Na+ ions to leak into the cell. This leakage occurs due to the concentration gradients established by the Na+-K+ pump. The net effect is the polarization of the nerve cell membrane, with the inside becoming negatively charged relative to the outside. This polarization creates the characteristic resting potential of the nerve cell, typically ranging from -40 to -90 mV.
Learn more about Nerve cells: https://brainly.com/question/13393634
#SPJ11
The added value a brand name gives to a product beyond the functional benefits provided is referred to a
The added value a brand name gives to a product beyond the functional benefits provided is referred to a brand equity.
What is brand equity?Brand equity is when the brand name of a particular product increases its value beyond the functional benefits of the product. For example, if a product is associated as a luxury product associated with celebrtities, if people value it more as a result, this is an example of brand equity.
To learn more about brand equity, please check: https://brainly.com/question/15105000
FILL IN THE BLANK. KNN is one of the simplest, yet most frequently used data mining techniques for classification when the response variable is ___________ and for prediction when the response variable is __________.
Answer:
categorical and numerical
Explanation:
The segment of the annual report that presents an opinion regarding the fairness of the presentation of the financial position and results of operations is/are the.
The segment of the annual report that presents an opinion regarding the fairness of the presentation of the financial position and results of operations are the auditor's report.
What is an auditor's report?An auditor's report is a written document provided by the auditor, which includes their opinion regarding the financial statements' fairness and compliance with the accounting principles and standards.
The auditor's report's primary goal is to provide reasonable assurance to the public that the financial statements are free from material misstatements and are presented fairly, in all material respects, in accordance with the applicable financial reporting framework.
In summary, the auditor's report is a critical segment of the annual report, and it is the auditor's responsibility to issue this report.
To know more on Auditor visit:
https://brainly.com/question/32632603
#SPJ11
Sergei’s boss has very strong opinions and often frowns upon questions from the team. This creates an environment where everyone just agrees with the boss decisions without questioning them
Knowing and comprehending each team member's opinions personality type will enable you to assign tasks in a way that best suits their interests and passions.
By doing this, you will raise team morale and productivity to their highest levels. Therefore, I always let my manager know when I'm having an issue. I jot out a list of my annoyances. I request a meeting with my employer opinions and explain these issues in detail. I want to be sure I'm not coming out as rude or sounding like I'm making any accusations against my supervisor. Good staff knowledge results in higher output and results.
To learn more about team, click here.
https://brainly.com/question/17860885
#SPJ1
how much time does a bike with an acceleration of 2ms2 takes to increase its velocity from 10ms-2 to 30ms-2
Answer:
Time, t = 10 seconds.
Explanation:
Given the following data;
Initial velocity, u = 10 m/s
Final velocity, v = 30 m/s
Acceleration, a = 2 m/s²
To find the time, we would use the first equation of motion;
\( v = u + at\)
Where;
v is the final velocity. u is the initial velocity. a is the acceleration. t is the time measured in seconds.Making time, t the subject of formula, we have;
\( t = \frac{v - u}{a}\)
Substituting into the equation, we have;
\( t = \frac{30 - 10}{2}\)
\( t = \frac{20}{2}\)
Time, t = 10 seconds.
2. Davidson describes two fundamentally different economic philosophies that both impact the debt crisis that the US faces. What are these philosophies? Do you agree with one more than the other?
Answer:
Davidson describes two philosophies that are represented each by the Republican Party and by the Democratic Party.
Republicans believe, according to Davidson, that the economy works best when the state keeps its hands off it. Republicans view a free market economy without government intervention as essentially a perfect machine that can coordinate the interests of vastly different goups of people (this is the concept of the invisible hand, developed by Adam Smith).
The Democrats, on the other hand, while seeing Capitalism as the most efficient economic system, believe that the capitalist economy needs to be regulated by the state, because otherwise, a free market generates undesirable effects like externalities and economic inequality.
According to Davidson, the republicans and the democrats as philosophies are two fundamentally different economic philosophies that impact the debt crisis facing the US. I agree more with the republican side of things, life can't always come with an aim of everything being "equal" and "fair".
How will a service provider ensure security when they are migrating the services to a cloud?
One of the ways to improve data security during the cloud migration process is by limiting end-user access to data.
What are the step of secure migration?Understand the Shared Responsibility Model: Cloud providers operate under a shared responsibility model. In order to ensure that your migration is secure, you need to understand the aspects you are responsible for in this model.Consider a Phased Migration: Transferring your data in a phased migration can benefit security by allowing your team to develop familiarity with cloud systems. By starting with low priority data, you are able to unload some of your storage resources with controlled risk. You can test your configuration and identify any bugs or gaps in security before transferring higher priority or confidential data.Understand Compliance Requirements: When migrating to the cloud, you need to know what regulatory requirements, if any, apply to your data. This is especially important if you are part of a highly regulated industry, like healthcare or commerce. You should determine how to meet requirements for storage, encryption, and backup, as well as transfer.Encrypt Your Data:When migrating to the cloud, your data needs to be encrypted both at-rest and in-transit. Data is most vulnerable when exposed to the Internet, so make sure to use secure transport protocols (like HTTPS) during any data transfers.
To learn more about secure migration refers to:
https://brainly.com/question/30098519
#SPJ4
What does it mean to underwrite a share issue?
Explanation:
What does it mean to underwrite a share issue
Price matching guarantees can actually hurt customers in the long run since it helps reduce the chances of price wars between retailers. True False
Price matching guarantees can actually hurt customers in the long run since it helps reduce the chances of price wars between retailers. This is a statement made to elicit an argument about the topic of price matching guarantees and its effect on customers.
Price matching guarantees is a common strategy used by retailers to stay ahead of their competition. It is a type of promotional tool that guarantees the customer that they will receive the best price on a product. This marketing strategy is designed to help increase customer loyalty, improve customer experience, and attract new customers.
However, the use of price matching guarantees can actually hurt customers in the long run since it helps reduce the chances of price wars between retailers. Price wars occur when retailers continuously lower prices to attract customers, and this ultimately leads to lower profit margins for retailers.
While price matching guarantees may seem like a good deal for customers in the short term, it can actually reduce the incentive for retailers to lower prices. This is because retailers can match the lowest price offered by competitors without having to lower their prices.
In conclusion, price matching guarantees can actually hurt customers in the long run since it helps reduce the chances of price wars between retailers. While price matching guarantees may seem like a good deal for customers in the short term, it can actually reduce the incentive for retailers to lower prices. As a result, customers may miss out on the benefits of lower prices and better deals that could have been offered through price wars.
To know more about Price matching guarantees visit:
brainly.com/question/22715998
#SPJ11
Solve the simultaneous equation
y+x=4
2y-x=5
Answer:
Value of X = 1Value of y = 3Solution,
Using substitution method,
y + x = 4
Move 'x' to the left hand side and change its sign:
y = 4 - x --------> equation (i)
Now,
2y - X = 5
putting the value of y from equation (i)
2( 4 - x ) - X = 5
8 - 2x - x = 5
8 - 3x = 5
- 3x = 5 - 8
- 3x = - 3
The difference sign (-) will be cancelled in both sides
3x = 3
3x/3 = 3/3
X = 1
Value of X is 1
Now, replacing the value of X in equation (i)
y = 4 - x
= 4 - 1
= 3
Value of y is 3
Hope this helps...
Good luck on your assignment...
Which of the following is a personal benefit of eaming a college degree?
A. You have more friends.
B. You are more likely to exercise.
C. You have a longer life expectancy.
D. You are more likely to vote for the right candidate.
Answer:
Option B !!!!! :))
Explanation:
you purchased a stock at a price of $50.44. the stock paid a dividend of $1.71 per share and the stock price at the end of the year was $55.90. what was the total return for the year?
To calculate the total return for the year, you need to consider both the dividend received and the change in stock price.
The dividend yield can be calculated by dividing the dividend per share by the purchase price:Dividend Yield = Dividend / Purchase Price
Dividend Yield = $1.71 / $50.44
Next, calculate the capital gain or loss by subtracting the purchase price from the ending stock price:Capital Gain = Ending Stock Price - Purchase Price. Capital Gain = $55.90 - $50.44
To calculate the total return, add the dividend yield and the capital gain:
Total Return = Dividend Yield + Capital Gain
Total Return = (Dividend / Purchase Price) + (Ending Stock Price - Purchase Price). Plugging in the values: Total Return = ($1.71 / $50.44) + ($55.90 - $50.44)
Calculate each part of the equation:
Total Return = 0.0339 + 5.46
Total Return ≈ 5.4939 or 549.39%
Therefore, the total return for the year is approximately 549.39%.
To learn more about total return click here: brainly.com/question/28165464
#SPJ11
Which statement best describes the lesson we can learn from Lupe's experience?
It’s too much work to open a checking account.
It’s only important to track large amounts in personal records.
It’s important to keep accurate records.
It’s best to use only one document to track spending.
Answer: it’s important to keep accurate records
Explanation:
Just did it
Considering the story of Lupe, the best statement that describes the lesson we can learn from Lupe's experience is "It’s important to keep accurate records."
The story of Lupe revealed that when people from authority tend to assess and crosscheck the accounting records when performing the auditing process.
This process is to check the actual proof of the transaction and look for any inaccuracies.
Any inaccuracies found could be used as a basis to indict people for financial fraud, regardless it is an honest mistake or not.
Hence, in this case, it is concluded that the correct answer is option C. "It’s important to keep accurate records.
Learn more about auditing here: https://brainly.com/question/25388600
if a car salesman is paid a fixed commission when he sells a car, the owner is most likely to see: group of answer choices large margins on sales low margins on sales no sales none of the above
As a result of a car salesman being paid a fixed commission, the owner will most likely see low margins on sales.
How do fixed commission affect sales margins?Fixed commission means that a salesperson will only get a fixed amount regardless of how much products they sell. This means that they could sell objects of high value and still get paid a tiny commission.
Should this happen, then the salesperson will not work very hard to sell products seeing as they will receive the same thing regardless. This is why a car salesman on a fixed commission will likely give low margins on sales to the owner of the car.
Find out more on commission at https://brainly.com/question/17225983
#SPJ1
- If the Fed takes actions to increase M but the government is taking actions to reduce Q and the velocity of money is not changing then this will lead to inflationary pressures.True or False?- During recessions Q declines. If the Fed does not act to reduce M as the economy slows assuming that V is constant the result might be increased inflation during a recession. This is called stagflation.True or false?
The given statement "If the Fed takes actions to increase M but the government is taking actions to reduce Q and the velocity of money is not changing then this will lead to inflationary pressures" is True because V is not changing, the money supply increase will still have an effect on prices.
This is because increasing the money supply (M) while reducing the total output of goods and services (Q) puts pressure on prices to increase due to the decreased supply and increased demand. Since velocity of money (V) is not changing, the money supply increase will still have an effect on prices.
During recessions Q declines. If the Fed does not act to reduce M as the economy slows assuming that V is constant the result might be increased inflation during a recession. This is called stagflation. The given statement is True.
Stagflation occurs when an economy experiences high inflation and slow economic growth at the same time. In this case, when the Fed does not reduce the money supply (M) as the economy slows, the increased money supply can lead to higher prices even as economic growth slows. This can create an economic stagnation (hence the name stagflation) and high levels of inflation.
For more such questions on Stagflation
https://brainly.com/question/29552947#
#SPJ11
If the Commission for Sport and Events contributes $45 million dollars towards the construction of a new sport venue, what type of financing option is most likely being used
The financing that is most likely being used for this construction are taxation or government securities issuance.
Sources of government financing Government can raise funds from taxing the people they govern.They can also raise funds by issuing securities such as notes to the public.The agency behind the construction of the venue is a governmental agency which means that it is most likely raising funds from one of the two methods described.
Find out more on government finance at https://brainly.com/question/342292.
The Hall Company is a craft store that wants to measure the success of its coupons, displays, and pricing structure. These elements can help the Hall Company prepare its marketing budget for next year. Length of research time is important because the new budget has to be prepared within a month. What research tool would be helpful for Hall Company
The research tool that would be helpful for the Hall Company is a survey questionnaire.
A survey questionnaire is a research tool that can help the Hall Company measure the success of its coupons, displays, and pricing structure. It is a set of questions that are designed to collect relevant data from the customers.
The Hall Company can use a survey questionnaire to gather customer feedback on their recent purchases, their satisfaction with the coupons, displays, and pricing structure, and their opinions on what could be improved. The company can use this information to prepare its marketing budget for next year within a month.
The advantages of using a survey questionnaire are that it is easy to administer and analyze, it can collect both qualitative and quantitative data, and it can reach a large number of people in a short amount of time. The Hall Company can also tailor its questions to specific aspects of its business that it wants to measure, such as customer loyalty or brand awareness.
Furthermore, the company can also conduct online surveys, which can be less expensive and more convenient than traditional paper surveys. Online surveys can reach a wider audience and provide instant results, making it easier for the Hall Company to prepare its marketing budget in a timely manner.
to know more about Hall Company here:
brainly.com/question/31573132
#SPJ11
_______ are expenditures that keep an asset in good operating condition. They are necessary if an asset is to perform to expectations over its useful life.
Blank is expenditures that keep an asset in good operating condition. They are necessary if an asset is to perform to expectations over its useful life.
Improvement
Improvement (improvement) is the cost of making a facility more efficient or productive. They are capitalized (added to the cost of fixed assets). Abnormal repairs extend the useful life of an asset beyond its originally estimated useful life.
Regular repairs are the cost of keeping an asset in good working order. Regular repairs do not extend the useful life of an asset beyond its initial estimate or increase productivity beyond its initial expectations.
Expenditures to keep assets under normal operating conditions. These are necessary for an asset to function as expected during its useful life. They are treated as expenses. Spending makes facilities more efficient or productive
Learn more about expenditures at
https://brainly.com/question/935872
#SPJ1
Answer:ordinary repairs
Explanation:
In qualifying for a loan, a borrower seeking the largest loan possible based on income would MOST likely choose
a. an adjustable-rate mortgage.
b. a fixed-rate mortgage.
c. an assumable loan.
d. all of the above, as the loan amounts would be the same.
In qualifying for a loan, a borrower seeking the largest loan possible based on income would MOST likely choose an adjustable-rate mortgage. This is because an adjustable-rate mortgage (ARM) is a mortgage loan where the interest rate varies depending on market conditions.A fixed-rate mortgage is a type of mortgage loan where the interest rate remains the same throughout the life of the loan. Since the interest rate is fixed, the borrower can determine the exact amount of monthly payments.
The primary disadvantage of a fixed-rate mortgage is that the borrower may not qualify for as large of a loan as with an adjustable-rate mortgage.An assumable loan is a loan where the borrower has the option to transfer the outstanding mortgage balance and its terms to another borrower. This transfer occurs without changing the terms or interest rate of the loan. Hence, the correct answer is A. an adjustable-rate mortgage.
know more about borrower seeking,here:
https://brainly.com/question/30353238
#SPJ11
What factors do you think are most important to luxury buyers?.
Explanation:
•The Value of Space. When it comes to luxury homes, it's all about space. ...
•Entertaining Excellence. ...
•Security & Convenience. ...
•Keeping Things Exclusive.
Fultz Company has accumulated the following budget data for the year 2020.
1. Sales: 31,120 units, unit selling price $88.
2. Cost of one unit of finished goods: direct materials 1 pound at $6 per pound, direct labor 3 hours at $12 per hour, and manufacturing overhead $8 per direct labor hour.
3. Inventories (raw materials only): beginning, 10,290 pounds; ending, 15,240 pounds.
4. Selling and administrative expenses: $170,000; interest expense: $30,000.
5. Income taxes: 30% of income before income taxes.
Prepare a schedule showing the computation of cost of goods sold for 2017:
Cost of one unit of finished goods:
Direct Materials: $___
Direct Labor: $___
Manufacturing Overhead: $___
TOTAL: $___
COST OF GOODS SOLD: $___
Prepare a budgeted multi-step income statement for 2017:
_____: $___
_____: $___
_____: $___
_____: $___
_____: $___
_____: $___
_____: $___
_____: $___
_____: $___
Assuming the direct materials is 1 pound , the cost of goods sold is $2,053,920 and the income statement is: $339,248.
Cost of goods soldCost of goods sold for 2017
Cost of one unit of finished goods:
Direct materials $6
Direct labor $36
(3×$12)
Manufacturing overhead $24
(3×$8)
Total $66
Cost of goods sold $2,053,920
($66×31,120)
Budgeted multi-step income statement for 2017:
Sales revenue $2,738,560
($88×31,120)
Less cost of goods sold $2,053,920
Gross profit $684,640
Less selling and administrative expense $170,000
Income from operation before interest and tax $514,640
($684,640-$170,000)
Less interest expense $30,000
Profit before tax $484,640
($514,640-$30,000)
Less income tax expense $145,392
(30%×$484,640)
Profit after tax $339,248
($484,640-$145,392)
Inconclusion the cost of goods sold is $2,053,920 and the income statement is: $339,248.
Learn more about cost of goods sold here:https://brainly.com/question/24561653
PLEASE HELLPP!!!!’Hurrryyyy
Answer:
I thinkMARKETING MANAGEMENT
HOPE IT HELPEDa shortage in the bread market can cause the price of bread to rise. group of answer choices true false
A shortage in the bread market can cause the price of bread to rise is a false statement.
When the amount needed exceeds the amount supplied the current shortage happens. Three factors mainly contribute to shortages: increase in demand, falling supply, and government action. In contrast to how the word is used in economics, "scarcity" should not be confused with "shortage."
As there is a shortage of goods, the price is used to rise for that good. A shortage occurs when there are more requests for a good or service than there are available units at the current price. This raises costs. An increase in demand will cause the equilibrium price to rise and the supply to climb, all other things being equal.
To learn more about the shortage
https://brainly.com/question/28457260
#SPJ4
Type the correct answer in the box. Spell all words correctly. What do inventory firms use when moving delicate products? Inventory firms use________ belts when moving delicate products.
its not multiple choice- need help!
Answer:
conveyor belts
Explanation:
A conveyor belt is a moving band, e.g. a conveyor belt is used in airports when you are retrieving your luggage after you arrive to your destination. They can be used to transport bulk materials or delicate products. Their length also varies, since they can be very short, e.g. just a few feet, to very long, e.g. transport goods for many yards.
1. One advantage of sole proprietorship is:
A. -easing of starting.
B -availability of different talents.
C -unlimited life of the company.
D -double taxation
Which of the following is NOT a term used to describe employees who cross national borders on long-term assignments?
Expatriate
Inpatriate
Repatriate
Outpatriate
Answer:
Explanation:
The term "Outpatriate" is NOT used to describe employees who cross national borders on long-term assignments.
The correct terms used to describe such employees are:
- Expatriate: Refers to an employee who is living and working in a country other than their home country.
- Inpatriate: Refers to an employee who is brought from a foreign country to work in their company's home country or another foreign country.
- Repatriate: Refers to an employee who returns to their home country after completing a long-term assignment in a foreign country.
"Outpatriate" is not a commonly used term in this context and does not describe employees who cross national borders on long-term assignments.
Learn more about Outpatriate:
brainly.com/question/531621
#SPJ11
After graduating from AUD, Salman plans to start a book publishing company in Media City. He did some research and found that the printer would cost Dh 220,000. He estimated that the variable cost per book is Dh 170 , and the selling price is Dh 390. a. How many books must he sell to break even? Also, calculate the breakeven in dirham. b. In addition to the abovementioned costs, if he wants to pay himself a salary of Dh 15,400 per year, what is her breakeven point in units and dollars? c. In the first three months of his business, he sold 400 books. Suddenly the printer breaks down. He spent Dh 25000 to fix the printer. In addition to 400 books sold, how many more books should she sell to break even? Assume that this part of the question is independent and she does not draw any salary.
Salman needs to sell 879 books to break even, which is Dh 342,510 in revenue. With the salary, Salman needs to sell 942 books to break even, which is Dh 367,380 in revenue. After fixing the printer, Salman needs to sell an additional 580 books to break even.
a. To break even, the sales revenue must be equal to the total costs. The formula for calculating break-even point (BEP) is:
BEP (in units) = fixed costs / (selling price per unit - variable cost per unit).
Fixed costs = Dh 220,000Variable cost per unit = Dh 170
Selling price per unit = Dh 390
BEP (in units) = 220000 / (390 - 170) = 878.05 or 879 books. To calculate the break-even in Dirham, the formula is:
BEP (in dirham) = BEP (in units) x selling price per unit = 879 x 390 = Dh 342,510.b. The BEP with salary included is calculated as follows:
BEP (in units) = (fixed costs + salary) / (selling price per unit - variable cost per unit)Salary = Dh 15,400Fixed costs + salary = Dh 220,000 + Dh 15,400 = Dh 235,400
BEP (in units) = 235400 / (390 - 170) = 941.6 or 942 books. To calculate the break-even in Dirham, the formula is:
BEP (in dirham) = BEP (in units) x selling price per unit
= 942 x 390 = Dh 367,380.
c. Fixed cost increased by Dh 25,000 because of the printer's repair cost.
The new total fixed costs = Dh 220,000 + Dh 25,000 = Dh 245,000. The sales revenue still needs to be equal to the total costs for break-even. The formula for calculating the break-even point (BEP) is:
BEP (in units) = fixed costs / (selling price per unit - variable cost per unit) = 245000 / (390 - 170) = 980 books.
The number of books Salman needs to sell to break-even after the printer is repaired and an additional 400 books are sold = 980 - 400 = 580 books. Therefore, Salman must sell 580 more books to break even.
a:Salman needs to determine how many books he must sell to break even, and what that break-even point is in dirhams. The formula for calculating break-even point (BEP) is:
BEP (in units) = fixed costs / (selling price per unit - variable cost per unit).
Fixed costs = Dh 220,000
Variable cost per unit = Dh 170
Selling price per unit = Dh 390
BEP (in units) = 220000 / (390 - 170) = 878.05 or 879 books. To calculate the break-even in Dirham, the formula is:
BEP (in dirham) = BEP (in units) x selling price per unit = 879 x 390 = Dh 342,510.
b:
Salman also needs to determine how many books he needs to sell to break even when he wants to pay himself a salary.
BEP (in units) = (fixed costs + salary) / (selling price per unit - variable cost per unit).
Salary = Dh 15,400Fixed costs + salary = Dh 220,000 + Dh 15,400 = Dh 235,400BEP (in units) = 235400 / (390 - 170) = 941.6 or 942 books. To calculate the break-even in Dirham, the formula is:
BEP (in dirham) = BEP (in units) x selling price per unit = 942 x 390 = Dh 367,380.
c:
Fixed cost increased by Dh 25,000 because of the printer's repair cost. The new total fixed costs = Dh 220,000 + Dh 25,000 = Dh 245,000. The sales revenue still needs to be equal to the total costs for break-even. The formula for calculating the break-even point (BEP) is:
BEP (in units) = fixed costs / (selling price per unit - variable cost per unit) = 245000 / (390 - 170) = 980 books. The number of books Salman needs to sell to break-even after the printer is repaired and an additional 400 books are sold = 980 - 400 = 580 books. Therefore, Salman must sell 580 more books to break even.
Salman needs to sell 879 books to break even, which is Dh 342,510 in revenue. With the salary, Salman needs to sell 942 books to break even, which is Dh 367,380 in revenue. After fixing the printer, Salman needs to sell an additional 580 books to break even.
To know more about revenue, visit:
https://brainly.com/question/4051749
#SPJ11
Entrepreneurs have a natural desire to take risks at a higher level than non-entrepreneurs. A. True B. False.
A. True. Entrepreneurship entails seeing and seizing possibilities with hazy prospects that may require taking chances. As a result, compared to non-entrepreneurs, entrepreneurs typically have a higher tolerance.
For taking risks. Even if there is a potential of failure, they are prepared to put their time, money, and effort into a project in the hopes of making a profit. It's important to keep in mind, though, that great businesspeople don't take careless chances; rather, they take calculated ones after careful consideration and investigation. Entrepreneurship entails seeing and seizing possibilities with hazy prospects that may require taking chances. As a result, compared to non-entrepreneurs, entrepreneurs typically have a higher tolerance. Entrepreneurs have a natural desire to take risks at a higher level than non-entrepreneurs.
learn more about Entrepreneurship here:
https://brainly.com/question/29978330
#SPJ4
The extent to which an organization uses fixed costs in its cost structure is measured by: Select one: a. contribution leverage. b. fixed cost leverage. c. efficiency leverage. d. financial leverage. e. operating leverage.
The correct option is E. Operating leverage occurs when an organization has a fixed cost the percentage change in profits due to changes in sales volume is greater than the percentage change in sales.
What causes Operating Leverage?
When the organization has fixed costs the percentage change in profits due to changes in sales volume is greater than the percentage change in sales.
Thus, to extent of operating leverage, the organization uses fixed costs in its cost structure.
Learn more about Operating Leverage here:
https://brainly.com/question/12942836
#SPJ1