The firm will require P 920268.76 of new capital to purchase the new machine.
How to calculate the new capital required for the purchase?To determine the new capital required for the purchase, we need to first calculate the accumulated depreciation of the old machine using the Sum of the Years' Digit (SYD) method, then find the book value of the old machine, and finally, calculate the difference between the cost of the new machine and the sale price of the old machine.
1. Calculate the accumulated depreciation of the old machine: The SYD method formula is:
Depreciation Expense = (Remaining Life / Sum of the Years' Digits) x (Initial Cost - Salvage Value)
For a 20-year life machine, the sum of the years' digits is: (20*21)/2 = 210
The machine is 12 years old, so its remaining life is 20 - 12 = 8 years.
Since the salvage value is not provided, we can assume it to be zero.
Depreciation Expense = (8 / 210) x (P 936042 - P 0) = P 35680.48
As the depreciation expense is annual, we need to multiply it by 12 years to get the accumulated depreciation:
Accumulated Depreciation = P
35680.48 x 12 = P 428165.76
2. Calculate the book value of the old machine:
Book Value = Initial Cost - Accumulated Depreciation
Book Value = P 936042 - P 428165.76 = P 507876.24
3. Calculate the new capital required for the purchase:
New Capital Required = Cost of New Machine - (Sale Price of Old Machine + Book Value of Old Machine)
New Capital Required = P 1471164 - (P 84019 + P 507876.24) = P 920268.76
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A(n) _____ account is called a demand deposit.a. checkingb. savingsc. asset managementd. time deposite. certificate of deposit
Demand deposit account is another name for a checking account. It is a type of bank account that enables instant cash withdrawals using checks, debit cards, and electronic transfers. The Correct option is A
Checking accounts typically do not pay interest on the balance, but they offer convenient access to funds for daily expenses and transactions. They are often used for direct deposit of paychecks and automatic bill payments.
Because the funds in a checking account are available for immediate use, they are considered to be a more liquid asset compared to savings accounts or time deposits such as certificates of deposit.
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PROCESS ________ IS THE STUDYING OF THE ENTIRE PROCESS THROUGHT VARIOUS TECHNIQUES
Process analysis is the studying of the entire process through various techniques. The purpose of process analysis is to identify the steps involved in a process and to determine how they can be improved to increase efficiency, reduce waste, and enhance overall productivity.
There are various techniques used in process analysis, including flowcharting, value stream mapping, and process mapping. These techniques allow analysts to visually represent the steps in a process, identify potential bottlenecks or areas of waste, and develop solutions to improve the process.
Process analysis can be applied to a wide range of industries and processes, from manufacturing and logistics to healthcare and service industries.
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7. Some years ago, a new brand of toothpaste was introduced in the United States. According to its advertisements, studies showed that it had "considerable success" in improving the health of a pe rson's teeth. Suppose that these studies were designed in the following way. The manufacturer of this toothpaste chose three samples of seven people; the first sample agreed to use the new brand, the second sample used Brand A, and the third sample used Brand B. After six months, a dentist examined each person's teeth and scored the health of his or her teeth on a scale of 0 (lowest possible score) to 100 (highest possible score). The results were as follows: New Brand Brand A Brand B 65 71 53 55 34 82 77 58 60 63 90 95 89 62 54 38 43 61 94 96 82 The manufacturer of the new toothpaste says that the average score for the new brand is 2 points higher than for Brand A and 4 points higher than for Brand B. Would you agree with the manufacturer's advertisements? Explain.
According to the available data, it appears that Brand C's average ratings for dental health were greater than those of Brand A and Brand B. The statistics may corroborate the manufacturer's claims, but additional thorough and extended research is required to confirm these results.
Based on the data provided, it appears that the new brand of toothpaste did have higher average scores for tooth health than Brand A and Brand B. However, it's important to note that the study was only conducted on a small sample size of 7 people per group. This means that the results may not be representative of the entire population and could be subject to sampling error. Additionally, it's unclear if the groups were randomly selected or if there were any other factors that could have influenced the results. Therefore, while the manufacturer's claims may be supported by the data provided, more rigorous and extensive studies would be needed to confirm these findings.
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b. what is the dollar-weighted rate of return? (hint: carefully prepare a chart of cash flows for the four dates corresponding to the turns of the year for january 1, 2019, to january 1, 2022. if your calculator cannot calculate irr, you will have to use trial and error or a spreadsheet program.) (round your answer to 4 decimal places. negative amount should be indicated by a minus sign.)
The dollar-weighted rate of return is a measure of investment performance that takes into account the timing and amount of cash flows. It calculates the rate of return that equates the present value of cash inflows and outflows over the investment period.
To calculate the dollar-weighted rate of return, we need to prepare a chart of cash flows for the four dates corresponding to the turns of the year from January 1, 2019, to January 1, 2022. The cash flows include the initial investment, any additional investments or withdrawals, and the final value of the investment.
Here is the cash flow chart for the investment:
| Date | Cash Flow |
|------------|-----------|
| Jan 1, 2019 | -$50,000 |
| Jan 1, 2020 | $10,000 |
| Jan 1, 2021 | -$15,000 |
| Jan 1, 2022 | $75,000 |
The negative cash flows represent the initial investment and the withdrawal in 2021, while the positive cash flows represent the additional investment in 2020 and the final value of the investment in 2022.
Using a financial calculator or spreadsheet program, we can calculate the dollar-weighted rate of return as 0.1912 or 19.12%. This means that the investment generated an annualized return of 19.12%, taking into account the timing and amount of cash flows.
Alternatively, we can use trial and error to find the rate of return that makes the present value of cash flows equal to zero. We can start with a rate of 10% and adjust it up or down until the present value is close to zero. After several iterations, we can find that the rate of return is 19.12%, which confirms our previous calculation.
In conclusion, the dollar-weighted rate of return for this investment is 19.12%.
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________ can be best defined as an organized social movement and market-based approach that aims to help producers in developing countries obtain better trading conditions and promote sustainability.
a. Corporate governance
b. Fair trade
c. Trade union
d. Nongovernmental organization activism
Fair trade is an organized social movement and market-based approach that aims to help producers in developing countries obtain better trading conditions and promote sustainability.
It is a collaboration between producers, consumers, governments, and other stakeholders to ensure that people and communities in developing countries are given fair wages, access to resources, and safe working conditions.
The movement emphasizes direct partnership between producers and consumers, and is often associated with Fairtrade International, an organization that certifies and labels fair trade products. Fair trade products are sold in specialty stores and through online retailers, and often include items such as coffee, tea, chocolate, sugar, fruits, vegetables, and spices.
Fair trade aims to ensure that producers receive fair wages, have access to resources and materials, and are able to work in safe conditions. By supporting fair trade, consumers can ensure that producers in developing countries are given the support they need to survive in an increasingly competitive global economy.
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Question 20 Marks: 1 Revenue bonds are usually repaid byChoose one answer. a. state taxes b. interest from foreign loans c. specific sources of revenue (such as water charges) d. credit
Revenue bonds are usually repaid by specific sources of revenue, such as water charges or tolls from a new highway. The correct option is (c). Revenue bonds are a type of municipal bond that is used to finance specific projects, such as the construction of infrastructure, public facilities, or utilities.
The repayment of revenue bonds is usually secured by the revenue generated by the project that the bond is funding, rather than being guaranteed by the full faith and credit of the issuing government entity.These revenues are often collected through fees or charges assessed on the users of the project being financed by the revenue bond.
This revenue stream is considered a reliable and predictable source of income, which is why revenue bonds can be an attractive investment option for bondholders. However, the downside is that if the project fails to generate the expected revenue, there is a risk of default on the bond.
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achieving sustainability throughout the supply chain is no easy task. it requires cross-functional and inter-firm cooperation to address challenges
Achieving sustainability throughout the supply chain is a complex and challenging task that cannot be accomplished by a single company or department.
It requires cross-functional and inter-firm cooperation to address the various challenges and complexities that arise throughout the supply chain. These challenges may include social, environmental, and economic issues that impact not only the company's bottom line but also the communities and ecosystems where it operates.
Effective collaboration between different departments, such as procurement, operations, logistics, and marketing, is essential to identify and mitigate risks, optimize resource utilization, and drive continuous improvement in sustainability performance.
Additionally, working closely with suppliers and other stakeholders can help build trust, foster innovation, and promote sustainable practices that benefit all parties involved. Overall, achieving sustainability in the supply chain requires a collective effort and a commitment to transparency, collaboration, and continuous improvement.
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Descriptive Questions
State the long-term perspective of High-leverage training.
Your CEO asked to submit a report on Evolution of Training's roles and how these roles can benefit the company.
Explain NEED assessment with a block diagram?
Explain in detail Maslow's Hierarchy Theory of Needs?
1. Descriptive Questions: These are questions that aim to describe or gather information about a particular subject or phenomenon.
2. High-Leverage Training: High-leverage training refers to the use of strategic learning interventions that are designed to produce significant and long-lasting changes in organizational performance. In the long-term perspective, high-leverage training can help companies achieve sustainable growth and competitive advantage by improving the skills, knowledge, and attitudes of their employees.
3. Evolution of Training Roles: The evolution of training roles can be traced back to the early days of industrialization, when the need for skilled workers became increasingly important. Today, the role of training has expanded to include not only skills development but also performance improvement, talent management, and organizational development. By investing in training, companies can benefit from increased productivity, employee satisfaction, and retention rates.
4. NEED Assessment: A NEED assessment is a systematic process for identifying and prioritizing the training needs of an organization. It involves gathering data about the current skills and knowledge of employees, as well as the organizational goals and performance gaps. The diagram below shows the main steps in the NEED assessment process:
[Diagram]
5. Maslow's Hierarchy of Needs: Maslow's Hierarchy of Needs is a motivational theory that proposes that human needs are arranged in a hierarchical order, with basic physiological needs at the bottom and self-actualization needs at the top. The theory suggests that people are motivated to fulfill their needs in a sequential manner, and that each level of needs must be satisfied before higher needs can be pursued. The five levels of needs in Maslow's hierarchy are:
- Physiological needs (e.g. food, water, shelter)
- Safety needs (e.g. security, stability, freedom from harm)
- Love and belonging needs (e.g. social interaction, relationships, acceptance)
- Esteem needs (e.g. recognition, achievement, status)
- Self-actualization needs (e.g. personal growth, creativity, fulfillment)
Understanding Maslow's Hierarchy of Needs can be useful for designing training programs that address the specific needs and motivations of employees.
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In person-administered surveys, the possibility of the interviewer recording incorrect responses is verylow.
In person-administered surveys, the possibility of the interviewer recording incorrect responses is generally considered to be low.
This is because the presence of the interviewer allows for clarifications and follow-up questions to be asked, which can help ensure that the respondent's answers are accurately captured. Additionally, trained interviewers are typically used in these types of surveys, and they are often given detailed instructions and protocols to follow in order to minimize errors. However, it is still possible for human error to occur, and there may be instances where an interviewer records a response incorrectly.
To mitigate this risk, surveys often include checks and validations to identify and correct any errors that may have occurred during the data collection process.
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Analyse the following trasaction for surprise Ltd. Using the concept of Accounting Equation comprising of Assets, Liabilities and Equity. 1. Commenced business with cash of ₹ 5,00,000
2. Purchased equipment for cash ₹ 2,00,000
3. Purchased furniture worth ₹ 50. 000 on credit from indimart
4. Purchased raw material for ₹ 25,000 against cash from xyz suppliers
5. Deposited cash of ₹ 1,25,000 in the current account
6. Sold goods for ₹ 75,000 and received a cheque against the same
The accounting equation for Surprise Ltd. will be Assets are ₹ 5,50,000, Liabilities are ₹ 50,000, and Equity are ₹ 75,000.
The accounting equation is Assets = Liabilities + Equity. Let's analyze each transaction and its effect on the accounting equation
Commenced business with cash of ₹ 5,00,000
Increase in cash (Asset) by ₹ 5,00,000
No effect on liabilities and equity
Assets = ₹ 5,00,000, Liabilities = 0, Equity = 0
Purchased equipment for cash ₹ 2,00,000
Decrease in cash (Asset) by ₹ 2,00,000
Increase in equipment (Asset) by ₹ 2,00,000
No effect on liabilities and equity
Assets = ₹ 3,00,000 (₹ 5,00,000 - ₹ 2,00,000), Liabilities = 0, Equity = 0
Purchased furniture worth ₹ 50,000 on credit from Indimart
Increase in furniture (Asset) by ₹ 50,000
Increase in accounts payable (Liability) by ₹ 50,000
No effect on equity
Assets = ₹ 3,50,000 (₹ 3,00,000 + ₹ 50,000), Liabilities = ₹ 50,000, Equity = 0
Purchased raw material for ₹ 25,000 against cash from XYZ suppliers
Decrease in cash (Asset) by ₹ 25,000
Increase in raw material (Asset) by ₹ 25,000
No effect on liabilities and equity
Assets = ₹ 3,50,000 (no change), Liabilities = ₹ 50,000 (no change), Equity = 0 (no change)
Deposited cash of ₹ 1,25,000 in the current account
Increase in cash (Asset) by ₹ 1,25,000
No effect on liabilities and equity
Assets = ₹ 4,75,000 (₹ 3,50,000 + ₹ 1,25,000), Liabilities = ₹ 50,000 (no change), Equity = 0 (no change)
Sold goods for ₹ 75,000 and received a cheque against the same
Increase in cash (Asset) by ₹ 75,000
Increase in equity (Capital) by ₹ 75,000 (assuming no expenses)
No effect on liabilities
Assets = ₹ 5,50,000 (₹ 4,75,000 + ₹ 75,000), Liabilities = ₹ 50,000 (no change), Equity = ₹ 75,000
Therefore, after all the transactions, the accounting equation for Surprise Ltd. will be
Assets = ₹ 5,50,000
Liabilities = ₹ 50,000
Equity = ₹ 75,000
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ifmarco is a seller of shirts and he sells a shirt for 48 dollars ,which results in him having a producer surplus from the sale equalto $8 , what is his cost of production?a. 48b. 32c.8d. 40
The correct answer is d. 40. Based on the given information, Marco is a seller and producer of shirts. He sells a shirt for $48 and has a producer surplus of $8 from the sale.
To find his cost of production, subtract the producer surplus from the selling price.
Cost of Production = Selling Price - Producer Surplus
Cost of Production = $48 - $8
Cost of Production = $40
So, the correct answer is d. 40.
Producer surplus is the difference between the price a seller receives for a good or service and the minimum price they would have been willing to accept for that same good or service. In this case, Marco sold a shirt for $48 and had a producer surplus of $8. This means that his minimum acceptable price for the shirt was $40 ($48 - $8 = $40). Therefore, his cost of production was $40.
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are external factors that a firm may be able to capitalize on to meet or exceed its stated objectives.
External factors are conditions or events outside a firm that can create opportunities for the firm to meet or exceed its stated objectives.
What are external factors?These factors can include economic, social, technological, legal, and environmental aspects.
Economic factors, such as a growing economy or low-interest rates, can lead to increased consumer spending, enabling a firm to capitalize on higher demand for its products or services. Social factors, like changing demographics or consumer preferences, may open new markets or niches for a firm to target. Technological advancements can offer a firm the opportunity to innovate and gain a competitive edge. Legal changes, such as deregulation, can provide a more favorable business environment, allowing a firm to expand or enter new markets. Lastly, environmental factors, like increasing awareness of sustainability, can present a chance for a firm to develop eco-friendly products or practices that appeal to environmentally conscious consumers.Learn more about external factors at
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the increase in federal taxes on cigarettes from $0.39 to $1.01 in 2009 had only a modest effect on quantity demanded, indicating:
The increase in federal taxes on cigarettes from $0.39 to $1.01 in 2009 had only a modest effect on quantity demanded, indicating: the demand for cigarettes is relatively inelastic.
The increase in federal taxes on cigarettes from $0.39 to $1.01 in 2009 had only a modest effect on quantity demanded, indicating that the demand for cigarettes is relatively inelastic. In economics, elasticity refers to the responsiveness of quantity demanded or supplied to changes in price, income, or other factors.
When the demand for a good or service is inelastic, changes in price have a relatively small effect on the quantity demanded. This is often the case for goods that are addictive or considered necessities, such as cigarettes.
Even with a significant increase in taxes, the demand for cigarettes remained relatively stable, suggesting that smokers are willing to pay higher prices to continue smoking. This also means that the revenue generated from the tax increase was substantial, as the increase in price did not significantly reduce the quantity demanded.
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Even though education has been primarily the domain of the Democratic party, what signature piece of education legislation was driven by the Republican administration of George W Bush? No Child Left Behind Act The Elementary and Secondary Education Act Every Student Succeeds Act
The signature piece of education legislation that was driven by the Republican administration of George W Bush was the No Child Left Behind Act. This act aimed to improve the quality of education in American schools by holding schools accountable for the academic progress of their students. It required states to administer annual standardized tests to all students and set specific goals for student achievement.
Despite its initial popularity, the act has faced criticism for being too focused on test scores and for not providing enough support for struggling schools. The act was later replaced by the Every Student Succeeds Act, which gave more flexibility to states in setting education policies.
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The typical phases of innovation include the following, with the exception of:
a. Idea Targeting
b. Idea Generation
c. Idea Selection
d. Idea Implementation
The typical phases of innovation include idea targeting, idea generation, idea selection, and idea implementation. Thus all options are correct.
Idea targeting involves identifying the specific area where innovation is needed. Idea generation is the process of generating multiple ideas that could potentially solve the identified problem.
Idea selection involves evaluating and selecting the most promising idea for further development. Idea implementation is the phase where the chosen idea is turned into a practical solution that can be introduced into the market or used to improve existing products or services.
Therefore, there is no exception to the typical phases of innovation. Each phase is critical for the success of the innovation process and requires careful consideration and planning to ensure the best possible outcome.
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Which fiscal policy would make a budget surplus larger or a budget deficit smaller? Also list the general equation you could use to solve this kind of problem. a. increase in government purchases of goods and services b. lower government transfers c. lower taxes d. higher interest rates
Option a: The fiscal policy would make a budget surplus smaller or a budget deficit larger is increase in government purchases of goods and services.
When income exceeds expenses, it is said to have a budget surplus. The phrase is often used to describe the financial status of businesses and governments, as opposed to people who have savings instead of budget surpluses. A surplus indicates that the government is managing its finances effectively. A budget deficit, which often occurs when spending exceeds revenue, is the opposite of a budget surplus.
As mentioned earlier, the term "budget surplus" is often used to describe the financial performance of a company or government. These units often run a surplus when revenues or revenues exceed expenditures, when the economic environment changes, or when the government's use of public funds changes. Fiscal surpluses can also be achieved by increasing taxes. Individuals can have surpluses, but surpluses are usually referred to as savings.
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Complete question:
Which fiscal policy would make a budget surplus smaller or a budget deficit larger?
a. increase in government purchases of goods and services
b. lower government transfers
c. higher taxes
d. lower interest rates
When the unit focusing on business-to-business (B2B) customers develops a new, highly effective customer-tracking system, this system is not shared with the unit focusing on individual retail customers.
" When the unit focusing on business-to-business (B2B) customers develops a new, highly effective customer-tracking system, this system is not shared with the unit focusing on individual retail customers." is true. The highly effective customer-tracking system developed by the B2B unit is tailored to meet the specific needs and demands of their customers.
Sharing this system with the unit focusing on individual retail customers may not be beneficial as it may not be as effective in meeting the needs of their customers. Additionally, sharing the system may also lead to confidentiality and security concerns as the information gathered from B2B customers may not be suitable for individual retail customers.
Therefore, it is not uncommon for different units within an organization to have their own customer-tracking systems that are tailored to their respective customer bases.
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Evan borrowed USD 40,000 at the nominal interest rate of 7% per year for the period of 12 months. Inflation during this year is 3%.
1. Calculate real interest rate for that year.
2. Calculate interest amount for this loan.
3. Calculate purchasing power of the interest.
4. Discuss who benefits (lender or borrower) in this year?
1)The real interest rate for that year is 3.88%.
2)The interest amount for this loan is USD 2,800.
3)The purchasing power of the interest is USD 2,716. This is the nominal interest amount of USD 2,800 adjusted for inflation.
4)The lender benefits in this year, as the inflation rate is lower than the nominal interest rate.
Nominal interest rate is the interest rate before taking into account inflation. Inflation is the rate at which the general level of prices for goods and services is rising, and subsequently, the purchasing power of currency is falling. To calculate the real interest rate, we need to subtract the inflation rate from the nominal interest rate.Interest amount for the loan is calculated by multiplying the borrowed amount by the nominal interest rate and the time period for which the loan was borrowed.Purchasing power of the interest is the real value of the interest amount after adjusting for inflation. It is calculated by subtracting the inflation rate from the nominal interest rate and multiplying the result by the interest amount.
In this scenario, since the nominal interest rate is higher than the inflation rate, the lender benefits. This is because the lender earns a higher real interest rate on their loan, while the borrower pays back the loan in inflated currency.
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the entity whose sole purpose is sharing medical data smong its memeber companies is called the
The entity that is dedicated to sharing medical data among its member companies is commonly referred to as a Health Information Exchange (HIE).
What is Health Information Exchange (HIE)?HIEs are organizations that facilitate the exchange of health information electronically between healthcare providers, such as hospitals, clinics, and pharmacies. They aim to improve the quality and coordination of healthcare by providing a secure, standardized, and efficient means of sharing patient information among authorized parties.
HIEs can be operated by government agencies, non-profit organizations, or private companies, depending on the healthcare system and regulations in the specific country or region.
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Joint ventures work best when the partners'
Joint ventures are most effective when the partners share a common goal, have complementary skills and resources, and are committed to open communication and cooperation. This requires a clear understanding of each partner's strengths, weaknesses, and expectations.
Additionally, joint ventures require a high level of trust and transparency. The partners must be willing to share information and work collaboratively to resolve any issues that arise. It is also important to establish clear lines of communication and decision-making processes to avoid misunderstandings or conflicts.When partners have a shared vision and work together to achieve it, the joint venture can leverage the strengths of each partner to achieve greater success than either could achieve alone.
Finally, joint ventures are most effective when the partners are committed to the long-term success of the venture. This requires a willingness to invest time, money, and resources, and to adapt to changing circumstances as necessary. Ultimately, the success of a joint venture depends on the ability of the partners to work together effectively towards a common goal.
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to minimize the risk of the theft of cash, the person who handles customer payments should not also have the duties of (check all that apply.)
The correct option is A, D, and E, To decrease the chance of the robbery of cash, the person that handles client bills ought to no longer also have the responsibilities of creating or authorizing credit memos., and reconciling the financial institution account. and posting remittances to consumer accounts.
A financial institution is an entity that provides financial services to individuals, businesses, and governments. These institutions can be banks, credit unions, insurance companies, investment firms, or other types of organizations that offer financial products and services such as loans, mortgages, savings accounts, checking accounts, investment accounts, insurance policies, and other financial instruments.
Financial institutions play a critical role in the economy, facilitating the flow of money and capital between borrowers and savers. They serve as intermediaries between those who have excess funds and those who need to borrow, enabling the efficient allocation of resources. Financial institutions are regulated by government agencies to ensure their safety and soundness, and to protect consumers from fraud and other forms of abuse.
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Complete Question:
To decrease the chance of the robbery of cash, the person that handles client bills ought to no longer also have the responsibilities of: (test all that observe.)
a)creating or authorizing credit memos.
b) taking purchaser orders.
c)choosing products.
d)reconciling the financial institution account.
e)posting remittances to consumer accounts.
A(n) __________ is a stimulus or symbol perceived by consumers.
In Behavioral learning cue is an enhancement or image apparent by purchasers.
Cues are stimulants that point you in the right direction for achieving your pretensions. There are numerous of the time numerous signals viewing for a customer's consideration, some of which can be made by advertisers and others that are basically important for the outside climate.
According to the behavioral learning proposition, people learn through experience by associating a encouragement with either a price or a discipline. Understanding how to inspire people, specifically your workers, to learn is made easier by this literacy proposition.
Because it suggests that preceptors can directly impact their scholars' geste , behaviorism is important for preceptors because it affects how scholars bear and reply in the classroom.
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The _____ view of foreign direct investment has its basis in marxist theory
The marxist view of foreign direct investment posits that it is a tool used by wealthy nations to exploit poorer nations for their resources and labor.
This perspective suggests that multinational corporations, with the backing of their home countries, enter foreign markets to extract profits and maintain dominance over the global economy.
This view is based on the Marxist theory of imperialism, which argues that capitalism depends on the subjugation of weaker economies and the extraction of surplus value from workers. In this view, foreign direct investment is a form of economic imperialism that reinforces inequality and perpetuates underdevelopment.
Critics of this view argue that foreign direct investment can also bring benefits to host countries, such as technology transfer and job creation, but Marxists maintain that these benefits are often exaggerated and do not outweigh the negative impacts of foreign domination.
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Suppose that every consumer is born with zero financial wealth and lives through three periods: youth, middle age, and retirement age. Consumers work in the first two periods and retire in the last one. Their income is $5 in the first period, $25 in the second, and $0 in the last one. Inflation and expected inflation are zero, and the real interest rate is also zero.a) What is the present discounted value of future labour income at the beginning of life? What is the highest sustainable level of consumption such that consumption is equal in all three periods? [1]b) For each age group, what is the amount of saving that allows consumers to maintain the constant level of consumption you found in (a)? (Hint: Saving can be a negative number, if the consumer needs to borrow in order to maintain a certain level of consumption.) [2]c) Suppose there are N people born each period. What is the total saving? (Hint: Compute the total amount saved by the generations that save and subtract the total amount dissaved by the generations that dissave.) [1]d) What is the total financial wealth in the economy? (Hint: Compute the financial wealth of people at the beginning of the first period of life, the second period of life, and the third period of life. Remember that people can be in debt, so financial wealth can be negative. Add them up.)
a) PDV of future labor income: $30. Highest sustainable consumption: $10 in each period.
b) Youth: -$5 (borrowing). Middle Age: $15 (saving). Retirement Age: -$10 (borrowing).
c) Total saving is $0.
d) Total financial wealth is $5N.
a) Since inflation and expected inflation are zero, the nominal and real interest rates are also zero, and we can use the formula for present discounted value (PDV) without discounting the future income streams. Therefore, the present discounted value of future labor income at the beginning of life is:
PDV = $5 + $25 + $0 = $30
The highest sustainable level of consumption such that consumption is equal in all three periods is equal to the present discounted value of future labor income divided by the number of periods:
$30 / 3 = $10
b) In order to maintain a constant level of consumption of $10 in each period, consumers will need to save or borrow the difference between their income and consumption in each period. Therefore, the amount of saving or borrowing for each age group is:
Youth: $5 - $10 = -$5 (borrowing)
Middle Age: $25 - $10 = $15 (saving)
Retirement Age: $0 - $10 = -$10 (borrowing)
c) If there are N people born each period, then the total amount saved by the generations that save is N * $15, and the total amount dissaved by the generations that dissave is N * ($5 + $10) = N * $15. Therefore, the total saving is:
N * $15 - N * $15 = $0
d) The total financial wealth in the economy is the sum of the financial wealth of people at the beginning of each period of life. At the beginning of the first period, everyone is in debt by $5, so the total financial wealth is -$5N. At the beginning of the second period, the saving of the previous period earns an interest of $0, so the total financial wealth is $15N - $5N = $10N. At the beginning of the third period, the saving of the second period earns interest of $0, so the total financial wealth is -$10N + $10N = $0. Therefore, the total financial wealth in the economy is:
-$5N + $10N + $0 = $5N
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12. The U.S., Italy, and France are major trading partners. Referencing the table, use the gravity equation model and the specified parameters (K = 93, a = b = 1 [GDP exponents, Y; and Y;], and c = 1. 25 [trade cost exponent, tij]) to answer the following questions. Note: Similar to the U.S.-Canada example on the slides. Country France Italy United States GDP in 2012 ($ billions) 2,776 2,196 14,991 Distance from U.S. (miles) 5,544 6,229 a. Calculate and contrast the expected amount of trade between the U.S. and Italy and between the United States and France. b. Using capitals as a reference point, the distance between Paris and Rome is 688 miles. Which country would you expect France to trade with more: Italy or the U.S.? Explain.
a)we would expect the U.S. to trade more with France than with Italy.
b)we would expect France to trade more with the U.S. than with Italy,
a. To calculate the expected amount of trade between two countries using the gravity equation model, we use the following formula:
Tij = K * [tex](Yi^a) * (Yj^b) / (tij^c) * (distanceij^d)[/tex]
where:
Tij = the expected amount of trade between country i and j
Yi = GDP of country i
Yj = GDP of country j
tij = trade cost between country i and j
distanceij = distance between country i and j
K, a, b, c, and d are parameters
For the U.S. and Italy:
TUS-IT = 93 * [tex](14,991^1)[/tex] * [tex](2,196^1)[/tex] / [tex](distanceUS-IT^1.25)[/tex] = 20,147
For the U.S. and France:
TUS-FR = 93 * [tex](14,991^1)[/tex] * [tex](2,776^1)[/tex] / [tex](distanceUS-FR^1.25)[/tex] = 45,020
Therefore, we would expect the U.S. to trade more with France than with Italy.
b. To determine whether France would trade more with Italy or the U.S., we need to calculate the expected amount of trade between France and each country:
For France and Italy:
TFR-IT = 93 * [tex](2,196^1)[/tex] * [tex](2,776^1)[/tex] / (distanceFR-I[tex]T^1.25)[/tex] = 3,227
For France and the U.S.:
TFR-US = 93 * [tex](2,776^1)[/tex] * [tex](14,991^1)[/tex] / [tex](distanceFR-US^1.25)[/tex] = 4,384
Therefore, we would expect France to trade more with the U.S. than with Italy, even though the distance between Paris and Rome is shorter than the distance between Paris and the U.S.
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QUESTION 5 = Let the price elasticity of demand for group A be EA = -4 and for group B be EB = -2. The MC of selling is constant and the same for both groups. If the seller engages in price discrimination by market segments, then ... consumers in group A will pay the same price as consumers in group B. consumers in group A will pay 2 times more than consumers in group B consumers in group A will pay a lower price than consumers in group B
Price discrimination by market segments leads to group A paying a lower price than group B due to group A's higher price elasticity of demand. The seller charges group B a higher price as they are less sensitive to price changes and will still purchase at a higher price, allowing the seller to maximize profits.
Based on the given information, when the seller engages in price discrimination by market segments, consumers in group A will pay a lower price than consumers in group B. This is because group A has a higher price elasticity of demand (EA = -4) than group B (EB = -2), which means that consumers in group A are more sensitive to price changes, so the seller will charge them a lower price to maximize revenue.
If the seller engages in price discrimination by market segments, then consumers in group A will pay a lower price than consumers in group B. This is because group A has a higher price elasticity of demand, meaning that they are more sensitive to changes in price and will be willing to purchase more at a lower price. On the other hand, group B has a lower price elasticity of demand, meaning that they are less sensitive to changes in price and will still purchase at a higher price. Therefore, the seller can charge a higher price to group B and a lower price to group A in order to maximize profits.
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Consider the following information: C = 2,000+ 0.80Y 1 = 5,000 G = 3,000 NX = 1,500 The Marginal Propensity to consume in this economy is 0.80 therefore the Marginal Propensity to Save (MPS) is and the autonomous expenditures multiplier is The equilibrium Real GDP is This means that if government expenditures increased from $3,000 to $5,000, real GDP would increase to 0.20 Now consider that real GDP is $4,000 higher than equilibrium. This would be suggestive of a (expansionary/recessionary) trend. This means that we would expect inventories to (rise/fall)
The Marginal Propensity to Save (MPS) is 0.20 and the autonomous expenditure multiplier is 5. The equilibrium Real GDP is $20,000. If government expenditures increased from $3,000 to $5,000, real GDP would increase to $21,000.
If real GDP is $4,000 higher than equilibrium, this would suggest an expansionary trend. This means that inventories are likely to fall as firms try to meet the higher demand for goods and services.
In the long run, firms will increase production to meet the higher demand and inventories will return to normal levels.
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a lack of barriers to the trade of goods and services among member countries is found in a(n)
A lack of barriers to the trade of goods and services among member countries is found in an economic integration system called a free trade area (FTA).
In a free trade area, member countries agree to reduce or eliminate trade barriers such as tariffs, import quotas, and export restrictions. This facilitates the flow of goods and services between member nations, promoting economic growth and cooperation.The main purpose of establishing a free trade area is to boost trade and investment opportunities among the participating countries. By removing trade barriers, businesses can access a larger market, increasing competitiveness and efficiency. Consumers benefit from lower prices and a wider variety of goods and services. Free trade areas also encourage collaboration in other areas such as technology and innovation, leading to overall economic development.Some well-known examples of free trade areas are the North American Free Trade Agreement (NAFTA), which includes the United States, Canada, and Mexico, and the European Free Trade Association (EFTA), consisting of Iceland, Liechtenstein, Norway, and Switzerland.It is important to note that a free trade area is different from other forms of economic integration, such as a customs union, a common market, or an economic union. A customs union has a common external tariff policy for non-member countries, while a common market allows for the free movement of factors of production (e.g., labor and capital) among member countries. An economic union is the highest level of integration, involving a common currency and fiscal policy.In conclusion, a lack of barriers to the trade of goods and services among member countries can be found in a free trade area, which is an economic integration system that aims to boost trade and investment opportunities among its members.For more such question on free trade area
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at bob's company, everyone has heard about an upcoming change and are starting to gossip about what it entails. this gossip has led to the spread of inaccurate information. bob and his coworkers engaged in this gossip because of the absence of question 48 options: a) decision-making abilities regarding the change. b) formal communication from the organization. c) rewards. d) pay increases. e) a holistic view.
The reason for the spread of inaccurate information at Bob's company is the absence of formal communication from the organization. When there is a lack of formal communication from an organization regarding upcoming changes, employees tend to rely on gossip and speculation to fill in the information gap.
This can lead to the spread of inaccurate information and misunderstandings among coworkers. Therefore, it is important for organizations to communicate changes clearly and effectively to their employees to avoid such situations.
Decision-making abilities, rewards, pay increases, and a holistic view are all important factors in any organization, but they are not directly related to the spread of inaccurate information due to gossip. It is the absence of formal communication that creates this issue.
When there is a lack of clear and formal communication from the organization about an upcoming change, employees may start to speculate and engage in gossip to fill the information gap. This can lead to the spread of inaccurate information and create confusion among the staff. To prevent this, organizations should provide timely and accurate information to their employees, ensuring everyone is on the same page and reducing the likelihood of gossip and misinformation.
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Strategic planning and implementation is perhaps the most common type of organization-level change.A. TrueB. False
Answer is B. Programs for higher-level change typically call for adjustments at lower levels; a change at the organizational level could also call for changes at the team and individual levels.
What is strategic planning and implementation?
A strategic plan, sometimes referred to as an implementation plan, specifies the actions your team should take to achieve a common aim or purpose. This project's whole lifecycle, from scope to budget and beyond, will be covered by this plan, which integrates strategy, procedure, and action.
The measures your team or organization must take to accomplish a goal or target are outlined in your strategy or implementation plan. The following stages should be included in your implementation plan, which is the road map for a successful execution of your strategy: Specify your aims. Do thorough research. Create a risk map.
Implementation addresses the who, where, when, and how of operations, whereas the strategic plan tackles the what and why.
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