Based on the sticky-price model, the short-run aggregate supply curve will be steeper the greater the:

Answers

Answer 1

Answer:

The correct answer will be the "proportion of firms with flexible prices".

Explanation:

The sticky market or price mechanism induces on the upward steep slopes quantity supplied for the immediate term cumulative. That was because firms reacting to changes and differences in economic conditions are restrictive in fluctuating prices. We addressed the explanations or causes behind the strength and stiffness throughout this section.

So that the above is the correct solution.


Related Questions

Alan is recording payroll that was processed outside of QuickBooks. Which QuickBooks function would be most useful? o Payroll summary o Pay bills o Journal entries o New invoice

Answers

A new invoice is recording payroll that was processed outside of QuickBooks. Thus option (D) is correct.

What is payroll?

The process of paying employees' salaries is known as payroll. Making a list of the personnel who need to be paid comes first, and recording the expenses comes last. It's a complicated procedure that requires cooperation from numerous teams, including payroll, HR, and finance. Payroll deductions are sums of money taken out of an employee's overall pay to cover taxes, garnishments, and benefits like health insurance.

Invoicing. One of the most important tasks for many organizations, especially those that offer services or depend on independent contractors, is billing. Invoice creation in QuickBooks is simple, whether you're starting from scratch or using a previous estimate. Even an invoice for recurring payments can be created.

Therefore, Thus option (D) is correct.

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discuss THREE contributing factors that led to xenophobia​

Answers

Answer: Unemployment, poverty, lack of conflict resolution

Explanation:

Xenophobia is a dislike that citizens of a country show to immigrants who settled in the same country. The following are three causes of xenophobia

1) Unemployment; this happens when the citizens of the country don't have the best of jobs compared to the immigrants, this may be due to how well qualified the immigrants are over them. In some cases, this immigrants study further, get more papers to get better jobs, while the some citizens may not want that.

2) Poverty; poverty is a general problem through the world. This could lead to xenophobia, especially when the citizens realize the immigrants have a better life than them.

3) lack of conflict resolution; the government should be able to resolve the slightest form of conflicts among this two parties(citizens and immigrants) because when they are not resolved from the minor issue they are, they escalate to xenophobia.

A partner of a corporation buys all the shares of the company. What status will this partnership acquire?

Answers

Adding a buyout clause to an agreement that states that over time, the partner's shares will be purchased in order to finally eliminate their interest in the company is how a partnership buyout operates.

What is a partnership buyout?

A partnership buyout is when a company's director buys out their partner's shares and ends a partnership arrangement, or gradually buys out the co-director until the full share has been acquired.

Working with a partner involves dividing up management duties and collaborating to bring in new business, but as operating the business gets easier, you can have aspirations to become a solo director and assume control of the business. This can be facilitated by buying out a co-director and ending a partnership arrangement.

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prime factorization of 1624​

Answers

Answer:

1624 = 2, 4, 8, 7, 56, 29, 1624 divided by 2, 2, 2, 7, 29

Explanation:

start by dividing the number by the first prime number which is 2.and continue dividing. only can divide by prime numbers since it's prime factorization.

PLEASE ANS THESE TWO QUESTIONS
13. What values should be set in the TCCR0A and TCCR0B registers
to operate them in the inverting and non-inverting modes while up
or down counting? Which flags are set

Answers

The flags that are set will depend on the specific bits being modified in the registers, but typically, the COM0A0, COM0A1, COM0B0, and COM0B1 bits will be set.

The TCCR0A (Timer/Counter Control Register A) and TCCR0B (Timer/Counter Control Register B) registers are used to configure the operation of Timer/Counter 0 in the microcontroller.

To operate Timer/Counter 0 in the inverting or non-inverting modes while up or down counting, you need to set the appropriate bits in the TCCR0A and TCCR0B registers.

For the inverting mode:

Set the COM0A1 and COM0B1 bits in the TCCR0A register to "1" to enable the inverting mode for the corresponding Compare Output A (OC0A) and Compare Output B (OC0B) pins.Set the COM0A0 and COM0B0 bits in the TCCR0A register to "0" to ensure that the output is inverted.Configure the WGM0 bits in the TCCR0A and TCCR0B registers to select the desired waveform generation mode, depending on your specific requirements.

For the non-inverting mode:

Set the COM0A1 and COM0B1 bits in the TCCR0A register to "1" to enable the non-inverting mode for the corresponding OC0A and OC0B pins.Set the COM0A0 and COM0B0 bits in the TCCR0A register to "1" to ensure that the output is non-inverted.Configure the WGM0 bits in the TCCR0A and TCCR0B registers to select the desired waveform generation mode.

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Vision Medical Labs wants to expand its service offering by buying a new machine. The machine will cost $250,000 and will generate additional annual expenses of $39,000 for labor and materials forever. Apart from these expenses, it will create annual profits of $79,000 forever. The company has a cost of capital of 12% and the tax rate is zero. Part 1 What is the NPV of the machine project?

Answers

The NPV of the machine project for Vision Medical Labs is $483,333.33, indicating a positive net present value and potential profitability.

To calculate the Net Present Value (NPV) of the machine project, we need to discount the future cash flows generated by the project to their present value. The NPV formula is:

NPV = (Cash Flow / (1 + Discount Rate)^n) - Initial Investment

Given the information provided:

Initial Investment (Cost of the machine) = $250,000

Additional annual expenses (Labor and materials) = $39,000

Annual profits = $79,000

Cost of capital (Discount Rate) = 12%

Tax rate = 0%

Since the annual expenses and profits are expected to continue indefinitely, we can use the perpetuity formula to calculate their present value:

Present Value of perpetuity = Cash Flow / Discount Rate

Present Value of additional expenses = $39,000 / 0.12 = $325,000

Present Value of profits = $79,000 / 0.12 = $658,333.33

NPV = (Present Value of additional expenses + Present Value of profits) - Initial Investment

= ($325,000 + $658,333.33) - $250,000

= $733,333.33 - $250,000

= $483,333.33

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april has joined a team with members from the sales customers service and shipping and receiving departments which term best describes the team april joined

Answers

Answer:

A cross-functional team

Explanation:

A cross-functional team is composed of members with different skills, experiences, and backgrounds. In organizations, cross-functional teams will have members from various departments. The teams are formed to undertake projects that require input from different experts.

April has joined a cross-functional team. The team has members from many departments.  Cross-functional are temporally and get dissolved when the project is complete.

Suppose a total of​ 2,500 students are allowed in the engineering programs at all of the colleges in a particular city. From the previous three​ years' record, it shows that the number of students who enroll in the entrance exam for the engineering program increases if there is an increase in the number of IT recruiters the previous year.This year there is a total of​ 3,200 students who have enrolled to take the entrance exam of which only up to​ 2,500 of those who passed would get in. Based on either the​ students' perspective or the college​ perspective, what combination of economic key concepts does the situation​ follow? A. Optimization and empiricism B. Equilibrium and empiricism C. Optimization and equilibrium D. ​Optimization, equilibrium, and empiricism

Answers

Answer:

D. Optimization, Equilibrium and Empiricism.

Explanation:

Economics is based on three key concepts which are Optimization, Equilibrium and Empiricism. Optimize is the first principle which means people will select best available option. Second important principle is that economy is always in a state of equilibrium which means if one gains the other also gets best available value. Third concept is that economists use data to make policies. The situation given in the scenario follows all the key concepts of economy.

a new asset costs $47,000, has a 3-year life, and annual after-tax net expenses of $3,700. what is the eac at a discount rate of 11 percent? multiple choice question. -$18,406.67 -$22,933.01 -$19,894.14 -$22,308.81

Answers

The closest one is -$18,406.67.  the eac at a discount rate of 11 percent is -$18,406.67

To calculate the equivalent annual cost (EAC) of the asset, we can use the following formula:

EAC = (P - S) / A

where P is the initial cost of the asset, S is its salvage value (at the end of its life), and A is the present value annuity factor, calculated using the discount rate and the asset's life.

We are given that:

P = $47,000

S = 0 (assuming no salvage value)

n = 3 years (the asset's life)

annual after-tax net expenses = $3,700

To find A, we can use the present value annuity factor formula:

A = (1 - 1 / (1 + r)^n) / r

where r is the discount rate.

Substituting the values, we get:

A = (1 - 1 / (1 + 0.11)^3) / 0.11

A = 2.710

Now we can calculate the EAC:

EAC = ($47,000 - 0) / 2.710 + $3,700

EAC = $17,319.19

Rounding to the nearest cent, the answer is:

-$17,319.20

Among the given choices, the closest one is -$18,406.67. However, this is not the correct answer.

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Answer:

-$22,933.01

Explanation:

Reporting and Interpreting Cash Flows from Operating Activities from an Analyst's Perspective (Indirect Method) Rodriguez Company completed its income statement and comparative balance sheet for the current year and provided the following information: In addition, Rodriguez bought a small service machine for
$5,000
. Required: 1. Present the operating activities section of the statement of cash flows for Rodriguez Company using the indirect method. 2. What were the major reasons that Rodriguez was able to report a net loss but positive cash flow from operations? Explain why the reasons for the difference between cash flow from operations and net income are important to financial analysts.

Answers

Operating Activities Section of Statement of Cash Flows for Rodriguez Company (using indirect method):

Net loss for the year $(25,000)

Add back:

Depreciation expense $ 8,000

Decrease in accounts receivable 2,000

Increase in accounts payable 5,000

Net cash flows from operating activities $(10,000)

Rodriguez Company was able to report a net loss but positive cash flow from operations due to the non-cash expense of depreciation and changes in working capital accounts such as accounts receivable and accounts payable.

These differences between cash flow from operations and net income are important to financial analysts as they provide insights into a company's ability to generate cash from its core operations, its liquidity position, and the quality of its earnings.

Financial analysts use these metrics to assess a company's financial health and its ability to meet its financial obligations in the long run.

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the first of a series of neutrophil behaviors in inflammation is __________.

Answers

Answer:

Migration.

Explanation:

Neutrophils are the most abundant type of white blood cell in the body, and they play a key role in the inflammatory response. In the early stages of inflammation, neutrophils migrate to the site of injury or infection to help combat the pathogen and initiate tissue healing.

Your gross income is 10,000 a month before taxes, and income taxes are estimated at a rate of 20%. In addition, your debt is $2,000 per month. What is your monthly personal debt ratio.

A. 85%
B. 25%
C. 40%
D. 30%

I’m in between B and C because if you take away the 20% for taxes, you get 8,000 and 2000/8000 is 25%, BUT 2000 is 20% of 10000 and plus the 20% for taxes is 40%. What do I do?

Answers

Answer:

c because isnt 2000=20% of 10000 so 40%

Explanation:

What can a boosted post help an advertiser achieve?

Answers

A boosted post helps an adviser to connect with the audience and gain trust.

Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.

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Which occurrence is an emerging trend in International agricultural marketing? A the percentage of agricultural trade is decreasing В. the percentage of agricultural trade is increasing C.agricultural markets around the world are shrinking D. developing nations have moved from net importers to net exporters E. developed nations have stopped trading in agriculture​

Answers

Answer:

answer is b

Explanation:

Answer:

the answer is b

Explanation:

i got it right on edmentum

Finance consists of both the accounting and financial management functions. Which of the following statement(s) is incorrect related to the two disciplines mentioned? The two disciplines are independent. Financial management provides the theory, concepts, and tools nęcessary to help managers make better financial decisions. The purpose of accounting is to create and provide interested parties useful information about an organization's operations and financial status. Financial management consists of planning, controlling, organizing and directing, and decision-making.

Answers

Accounting and financial management are interdependent functions. Financial management aids decision-making, while accounting provides information about an organization's operations and financial status to support financial management.

The statement that is incorrect related to the two disciplines mentioned is: "The two disciplines are independent." In reality, accounting and financial management are interdependent functions within an organization. Financial management provides the theory, concepts, and tools for better financial decision-making, including planning, controlling, organizing, directing, and decision-making processes.



Accounting's purpose is to create and provide useful information about an organization's operations and financial status. The two disciplines work together to support the organization's financial well-being, with financial management relying on accounting information for decision-making, planning, and control.



Therefore, Accounting and financial management are interdependent functions. Financial management aids decision-making, while accounting provides information about an organization's operations and financial status to support financial management.

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What is one method that helps control online fraud? O A. Deleting odd emails before reading B. Reporting odd emails to police • C. Reporting odd emails as spam • D. Signing into email in many locations

Answers

Answer:  C. Reporting odd emails as spam

Explanation:

Ralph is a purchase manager in a manufacturing business. He is about to buy raw materials to manufacture a new product. To begin, he thinks he must first consider the target market. What can Ralph do to carry out this task?

A. Visit trade shows and network with other producers

B. Refer to trade magazines and begin meeting up with top notch suppliers

C. Produce a small quantity, sell it, and assess the reactions of customers

D. Explore the demographics, such as age and locations, of his potential customers.

Answers

Answer:

d

Explanation:

took it

Answer:

D

Explanation:

correct on plato

an organization's is what an organization actually does, including the products and services it plans to provide and the markets in which it will compete.

Answers

An organization's mission is what an organization actually does, including the products and services it plans to provide and the markets in which it will compete.

A company's business processes can be a source of competitive advantage if they enable it to innovate or execute better than competitors. On Business procedures can also be liabilities if they are based on antiquated methods of operation that limit company responsiveness and efficiency.The four primary tactics to gaining a competitive advantage are cost leadership, differentiation, defensive techniques, and strategic partnerships. Competitors' ability to supply products and services more effectively and efficiently.A competitive strategy is a plan of action devised by a firm to gain a competitive advantage over its competitors. This plan is developed after examining the competition's strengths, weaknesses, opportunities, and threats and comparing them to your own.

Thus this is the meaning of Organization's mission.

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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration

Answers

Each scenario should be matched to the factors that affect the labor market as follows:

Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.

What is immigration?

Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:

Good governanceSecurityBetter living conditions.WorkJobsSocial amenities

What is a foreign direct investment?

A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.

In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.

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Drag each option to the correct location.Match the scenarios to the factors that affect the labor market.foreign

Answer:

Post Test: Free Market and Businesses

Unit: 2

Economics

Question #12

__________________________________________________________

This is 100% right because I took the test

Go to explanation for picture with answers

l

l

Explanation:

Here's the picture and I hope this helped!

Have a nice day!

Drag each option to the correct location.Match the scenarios to the factors that affect the labor market.foreign

( b ) explain five circumstances under which a high population growth may be desirable ​

Answers

Answer:

There is a need to increase the demand in market for both goods and services.

There is a need to attract foreign investors

As societies modernize, mortality rates fall while birth rates remain high leading to high population growth rates.

Higher population growth may be beneficial in high-income countries where there is currently a tendency for population growth rates to decline

Development in agriculture, better techniques to grow more and better quality food.  Food available at all the times due to better storage conditions. So people do not die of starvation when food is not available.

Explanation:

High population growth may be desirable ​ in the market, investors, societies, high-income, and agriculture.


What is a population?

The population is the number of people residing in a certain area. Estimating the population enables us to determine how many beings there are and how best to respond.

The market needs to see an increase in demand for both goods and services.It is necessary to draw in international investors.Modern societies see declining rates of death while experiencing large families, which results in rapid population growth.In high-income nations which have now a propensity for population increase to drop, higher growing population may well be advantageous.advancements in agriculture, new ways to produce more food of higher quality. Food is always available because to improved storage circumstances. Consequently, when food is scarce, people do not perish from hunger.

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gertrude quit her $40,000- per- year job to start her own own consulting firm. she withdrew her savings of $50,000 which was earning her an interest of $2000 in the bank and invested in her own consulting firm. at the end of her first year of operation, her total revenues were $208,000. her total explicit costs were $108,000. how much are her accounting profits from her own consulting firm? group of answer choices $30,000 $100,000 $50,000 $48,000

Answers

Gertrude's accounting profits from her consulting firm are $100,000, calculated by subtracting explicit costs ($108,000) from total revenues ($208,000).

To calculate Gertrude's accounting profits, we need to subtract her explicit costs from her total revenues.

Total revenues = $208,000

Explicit costs = $108,000

Accounting profits = Total revenues - Explicit costs

= $208,000 - $108,000

= $100,000

Hence, Gertrude's accounting profits from her own consulting firm are $100,000.

Therefore, Gertrude's decision to start her own consulting firm has resulted in a positive accounting profit of $100,000. This indicates that her firm's revenues from consulting services exceed the explicit costs incurred in running the business.

It is important to note that accounting profits do not take into account implicit costs, such as the opportunity cost of Gertrude quitting her job and the foregone interest income from her savings. However, based on the given information, her accounting profits alone amount to $100,000. Hence, Gertrude's accounting profits from her own consulting firm are $100,000.

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Within her company, nadine utilizes a management style that varies according to the individual and environmental situation, with a strategy for minimizing errors by managing each stage of production. She has also set up a system with inputs, outputs, transformation processes, and feedback. Nadine’s management perspective is best described as.

Answers

Nadine’s management perspective is best described as contemporary.

What is the Hawthorne effect ?

The Hawthorne effect, also known as the observer effect, describes a phenomenon in which employees alter or improve a behavior in response to a change in their surroundings (being observed), rather than in response to the actual change.

Which disciplines does the field of behavioral science include?

Economics, sociology, anthropology, and psychology are all branches of behavioral science.

When building a new residential development or mall a national real estate?

A national real estate organization typically does not cut down many trees when creating a new mall or housing development because it believes that natural resources are finite.Future generations' capacity to meet their own needs must not be jeopardized.

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Using at least three appropriate resources (one must be IBIS WORLD), you will provide an analysis of the real estate industry (an industry is a group of companies that aims to fulfill a group of customers’ need(s)). At a minimum, your report should address these questions and points:
Overview & history of the industry – brief, about one paragraph
What is the current state of the industry?
What are future prospects?
Using Porter’s 5 Forces, describe the competitive landscape. Who competes in the industry? Who buys from the industry? Who supplies?
What are the major concerns of the industry? What factors (internal/external) affect the industry? Identify at least three
What are the major segments of the market(s)?
Who works in the industry? This is a critical feature and can help provide a jumpstart to the project.
Formatting :
Use memo formatting.
Charts and graphs: Not required but you may use these as necessary (these will count toward the page maximum). Be sure to title these and to reference them within the paper (for example: The retention of MBA students may be found in Table 1.). If you are using existing charts/graphs, attribute (cite) them. Make sure these look professional – use a snipping tool.
Tone: neutral and professional. Note, you have NOT been asked to make recommendations about entering the market – this is a report.
Please do not quote your source but you must cite your source. Citations identify your source for the idea.
References & Citations: Use APA style. Your reference page will not count toward your page count. Use at least three credible sources, as you will be evaluated on the quality of your references. Here are references I suggest:
You must use IBIS World
Government or quasi-government sites such as the Bureau of Labor Statistics (BLS), Census, others
Industry publications
Headings: Use them. Headings help your reader know what they are reading - they provide a roadmap. Keep them short and descriptive. Don’t simply copy & paste the bullet points above. This document is an example of how you might use headings.
Bullet points are acceptable. This document could act as an example – be sure to include at least a little narrative.
Length: Maximum content of three pages, single spaced (not including references)

Answers

The real estate industry is a highly competitive and complex market that requires careful analysis and understanding of the competitive landscape. It employs various professionals such as real estate brokers, agents, property managers, appraisers, developers, architects, engineers, and construction workers.

The real estate industry is a group of companies that aims to fulfill a group of customers’ needs. It has been around for many centuries, and it continues to grow and expand globally. As of 2021, the global real estate market size was valued at $4,694.9 billion, and it is expected to reach $6,872.4 billion by 2028, growing at a CAGR of 5.2% from 2021 to 2028. The current state of the industry is good because it is growing at a good pace. The real estate industry is a complex and competitive market, and it is vital to understand the competitive landscape using Porter’s Five Forces model. The five forces are suppliers, buyers, new entrants, substitutes, and the level of rivalry. In terms of suppliers, the real estate industry has several suppliers such as building materials suppliers, construction companies, and service providers such as real estate agents and brokers. On the other hand, the buyers of the real estate industry are the people or companies that purchase or lease property. In terms of new entrants, the industry has a high barrier to entry due to the high cost of capital needed to invest in real estate. This barrier keeps new entrants away, reducing the threat of competition. The substitutes in the real estate industry are other investment vehicles such as stocks and bonds. The rivalry level in the industry is also high due to the large number of players, both small and large, in the market. The major concerns of the industry are regulatory compliance, changes in government policies, and fluctuations in the economy. Internal factors affecting the industry include market demand, availability of financing, and the availability of land. External factors affecting the industry include changes in the economy, population demographics, and interest rates. The major segments of the market(s) are residential, commercial, and industrial real estate. Residential real estate includes single-family homes, townhouses, and condominiums. Commercial real estate includes office buildings, retail spaces, hotels, and warehouses. Industrial real estate includes factories, distribution centers, and manufacturing plants.

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modelling and analysis of intermodal food grain transportation under hub disruption towards sustainability

Answers

The modeling and analysis of intermodal food grain transportation under hub disruption towards sustainability involves developing mathematical models and conducting analytical studies to evaluate the efficiency, resilience, and sustainability of food grain transportation systems in the event of hub disruptions.

This approach aims to optimize the intermodal transportation of food grains while considering factors such as cost, time, environmental impact, and overall system performance.

To achieve sustainable food grain transportation, the modeling and analysis process typically includes:

Development of mathematical models: This involves formulating mathematical equations and algorithms that represent the intermodal transportation network, including hubs, routes, transportation modes, and relevant variables such as capacity, demand, and costs.

Simulation and scenario analysis: The models are used to simulate different scenarios, including hub disruptions such as closures or capacity limitations. By analyzing these scenarios, the impact on the transportation system's efficiency, cost, and environmental sustainability can be assessed.

Optimization and decision-making: Based on the simulation results, optimization techniques can be employed to identify the most efficient and sustainable strategies for food grain transportation under hub disruption. These strategies may involve route diversification, alternative transportation modes, capacity planning, and contingency plans to mitigate disruptions.

The modeling and analysis of intermodal food grain transportation under hub disruption towards sustainability provides valuable insights into designing efficient and resilient transportation systems. By utilizing mathematical models and analytical tools, stakeholders can make informed decisions to enhance the sustainability of food grain transportation, minimize disruptions, reduce costs, and mitigate environmental impact. This approach contributes to ensuring a reliable and sustainable supply chain for food grains, which is crucial for food security and overall sustainability in the agriculture and transportation sectors.

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accounts payable $11,160 accounts receivable 26,900 accumulated depreciation - equipment 33,590 cash ? common stock 180,000 equipment 97,090 land 129,000 prepaid insurance 6,250 prepaid rent 3,910 retained earnings 43,870 salaries payable 4,350 supplies 670 unearned fees 3,240

Answers

Cash balance can be calculated using the given information as follows;

\(Current assets = Accounts receivable + cash + prepaid insurance + supplies = $26,900 + cash + $6,250 + $670\)

\(Current liabilities = Salaries payable + accounts payable + unearned fees = $4,350 + $11,160 + $3,240\)

\(Total assets = Current assets + land + equipment + accumulated depreciation - equipment = $26,900 + $129,000 + $97,090 + $33,590 - $97,090 = $189,580.\)

\(Total liabilities and equity = Current liabilities + common stock + retained earnings = $4,350 + $180,000 + $43,870 = $228,220.\)

Now, we can calculate the value of cash as:\(Total assets = Total liabilities and equity$189,580 = $228,220 - CashCash = $228,220 - $189,580Cash = $38,640.

Therefore, the cash balance is $38,640.\)

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The President of the Mount Pleasant Student Council met with the
members and planned a fund-raising fair. In order for this occasion to
materialize successfully the President has given the Vice-President and
Committee Chairman special duties to perform. This procedure is referred
to as
O delegating
O directing
o controlling
Omotivating​

Answers

Answer:

Directing

Explanation:

Directing is the function of managers or the authority to issue instructions and guidance to subordinates and oversee their implementation.  The management guides and inspires the other members towards achieving the set organizational goals. Directing is providing leadership to junior members of the organization.

The President of the Mount Pleasant Student Council is directing the members to ensure a successful event.

What is the difference between a routine and a major decision

Answers

Answer: routine decision- the type made every day without much though

planned decision- use more time and energy to make the best choice

Explanation: i really hoped it helped.

please review the meaning of marketing. what is the purpose of marketing? what type of tools do marketers use to implement their strategies?

Answers

Marketing is the process through which a marketer tries to identify the needs of target customers and develop the products accordingly for sale.

The goal of marketing is to generate interest in the goods or services that your business offers. Knowing the interests of your prospective customer and carrying out market research enable this. All facets of a business, include product development, sales, distribution networks, and promotion, are covered by the umbrella of marketing.

The purpose of marketing is to develop effective strategies for the sale of goods and services and also to develop products according to their needs.

There are various other activities which are included in marketing such as pricing of products, their promotion and distribution. The various tools that are used by marketers are SWOT analysis, PESTEL analysis, etc.

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Identify the stage of the new product development based on the given scenario

Identify the stage of the new product development based on the given scenario

Answers

Answer:

Product Development Stage

Explanation:

Killian's board game is in the Product Development Stage.

This stage is the first part of the Product Life Cycle. In this stage, research on the target market and product positioning are carried out. It is at this stage that market research, distribution channels and competitor analysis are carried out and thoroughly outlined. Also, product validation is carried out. This involves getting feedback from test users concerning the use of the product.

So, this stage is Product Development Stage.

Mexico was famous - or infamous - for many years in having two...


Mexico was famous - or infamous - for many years in having two things every six years (cada seis años in Spanish): a presidential election and a currency devaluation. This was the case in 1976, 1982, 1988, and in 1994. In its last devaluation on December 20, 1994, the value of the Mexican peso (Ps) was officially changed from Ps3.30/$ to Ps5.50/$. What was the percentage devaluation?





Assumptions Rate Values

Spot rate, December 20, 1994 (Ps/$) S1 3.30

Spot rate, December 21, 1994 (Ps/$) S2 5.50



Calculation percentage of devaluation:

Percentage change in the peso versus the dollar -40.00%



Percent change = ( S1 - S2 ) ÷ ( S2 )



The peso since that time, and we have now weathered two additional six-year dates (2000 and 2006), has been remarkable stable against all major currencies, including the dollar.

Answers

The rate of decline of the Mexican peso in a given scenario is approximately 66.67%.

To calculate the rate of devaluation of the Mexican peso in a given scenario, you can use the following formula.

Depreciation rate = ((start value – end value) / start value) * 100

In this case, the Mexican peso had an initial value of Ps/$3.30 and a final value of Ps/$5.50. Substituting these values ​​into the formula gives:

Depreciation Rate = ((3.30 - 5.50) / 3.30) * 100

Calculation simplification:

Depreciation rate = (-2.20 / 3.30) * 100

Depreciation rate = -0.6667 * 100

Depreciation Rate = -66.67%

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The correct question is :

Mexico was famous - or infamous - for many years in having two things every six years a presidential election and a currency devaluation. This was the case in 1976, 1982, 1988, and in 1994. In its last devaluation on December 20, 1994, the value of the Mexican peso (Ps) was officially changed from Ps3.30/$ to Ps5.50/$. What was the percentage devaluation?

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