Review the out-sick teammate's tasks to determine which tasks have "float" and figure out where the order of tasks can be changed or resources can be juggled.
A task's original allocation approach is used when it is reallocated. This has the effect of reassigning the task to the item (user group or work queue) to which the system initially allocated it. It should be noted that this is a distinct operation from cancelling a task reservation. A task is allocated to the most recent group it was assigned to before it was reserved while it is unreserved. If no modifications to the task allocation strategy or groups have been made after the task was originally given, reallocating a task utilizes the initial task allocation approach, which typically assigns the task to the first group it was assigned to.
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mansfield pharmaceuticals markets zipro, an antibiotic. the firm has fixed costs of $1,000,000 and variable costs of $2 per bottle of 50 tablets priced at $10 per bottle. what is the break-even volume?mansfield pharmaceuticals markets zipro, an antibiotic. the firm has fixed costs of $1,000,000 and variable costs of $2 per bottle of 50 tablets priced at $10 per bottle. what is the break-even volume?
125,000
Fixed Costs/ (Price-Variable Cost)
1,000,000/ (10-2)
=125,000 units is the break-even volume.
In arithmetic, a variable is a symbol and placeholder for any mathematical item. Especially, a variable can also constitute a number, a vector, a matrix, a feature, the argument of a function, a set, or a detail of a hard and fast. Algebraic computations with variables as though they had been specific numbers resolve various troubles in a single computation. As an example, the quadratic formulation solves any quadratic equation with the aid of substituting the numeric values of the coefficients of that equation for the variables that constitute them in the quadratic system. In mathematical common sense, a variable is either an image representing an unspecified term of the theory (a meta-variable) or a primary item of the theory this is manipulated without referring to its possible intuitive interpretation.
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modern candy, a wholesaler, sold a crate of candy for $600 on account to a customer with credit terms of 3/20, n/60. if the customer pays within the discount period, how much cash will modern candy receive when it is paid? multiple
The credit terms 3/20, n/60 means that the buyer will be given a 3% discount if they settle their invoice in 20 days. If not, the invoice is due in full within 60 days. This gives customers 3% off of the invoice cost if they produce early which is very useful.
customer pays within the discount period , payble amount is $.582.
What do credit terms of 4/10 N 30 mean in regard to a purchase?n/30" states that if the shopper does not pay the (full) invoice amount within the 10 days to permit for the discount, then the net payment is due within 30 days after the sales invoice date.The credit terms 3/20, n/60 means that the buyer will be given a 3% discount if they settle their invoice in 20 days. If not, the invoice is due in full within 60 days. This gives customers 3% off of the invoice cost if they produce early which is very useful.When products inventory is purchased with credit terms of 2/10, n/60, the credit period is 60 days from date of the invoice. An checklist system in which the business has up-to-date data as to the amount of goods on hand is called a periodic inventory system.To learn more about : periodic inventory system.
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price discrimination will result in consumers with more elastic demand purchasing more of the good than when a single price is charged to all consumers in the market. group startstrue or false
This is because in the Elastic Demand the change in price causes a large change in quantity demanded.
What is Elastic Demand?
An Elastic Demand experiences a significant shift in quantity demanded as a result of a price adjustment. When the amount sought changes little as a result of a price adjustment, the demand is said to be inelastic. The formula for calculating demand's elasticity is (Q1 - Q2) / (Q1 + Q2).
What are the factors affecting elasticity of demand?
The four factors that affect elasticity of demand are:
(1) availability of substitutes
(2) if the good is a luxury or a necessity
(3) the proportion of income spent on the good
(4) how much time has elapsed since the time the price changed.
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as a project manager of an agile project, you are verifying and validating individual deliverables and work packages so that a project phase can be closed. which process group do these activities fit into? verification and validation process group closing process group monitoring and controlling process group fit test for conformance to project requirements
As a project manager of an agile project, you are verifying and validating individual deliverables and work packages so that a project phase can be closed. These activities fit into verification and validation process.
It is important to develop the product correctly, check that it satisfies all declared quality requirements, and make sure it is what was described.
Verification is a method that is impartial. A thorough documentation of each quality criteria is necessary for accurate measurement and analysis. Verification guarantees that the product is of the highest caliber and free from errors. Although this procedure is entirely objective, it does not guarantee that the final product will satisfy consumer needs. This is where validation comes into play. Verifying that you have created the right product and that it complies with customer criteria is known as validation.
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________ is a form of distribution aimed at having a product available in every outlet where target customers might want to buy it.
Intensive distribution is a method of product distribution that aims to make a product available in every store where potential buyers might look to buy it.
By utilizing all possible outlets, intensive distribution strives to provide saturation coverage of the market. Total sales are frequently linked to the number of outlets used (e.g., cigarettes, beer). A corporation may use an intensive distribution marketing plan to try to sell its goods from a small vendor to a large retailer. Selling more products is intensive distribution's main objective. By utilizing all accessible outlets, intensive distribution aims to provide saturation coverage of the market .The focus on consumer convenience is typically what motivates this strategy. For example, items like a bag of chips or a Coke must be easily available for people to purchase them.
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Mike owns swibel trucking, a successful trucking business, as a sole proprietor. After many successful years in business, one night he decides he wants to change his business to a partnership so that he can share the burden and devote more time to pursue his hobby of duck watching full time. What steps must he take to change the type of business entity to a partnership?.
None as a sole proprietor can convert to another business form at the proprietor's will.
A sole proprietor is a person who owns an unincorporated business by means of himself or herself. But, in case you are the only member of a home restricted liability business enterprise (LLC), you aren't a sole proprietor if you pick to deal with the LLC as an agency.
A self-employed person really means the character works for him or herself. It is just a business term. A sole proprietor refers to someone who owns an enterprise by themselves. A sole proprietor does now not work for a business enterprise like a conventional worker.
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james, age 8, understands that a dollar changed into 4 quarters is still a dollar. this means that james has achieved the cognitive milestone of .
That james has achieved the cognitive milestone of reversibility.
The ability of a sensor to recover, or return to its original background/baseline condition, after exposure to an analyte is referred to as reversibility.
What is reversibility ?A mental process that reverses a series of events or returns a changed state of affairs to its original state. The ability to recognise that a glass of milk poured into a bottle can be poured back into the glass and remain unchanged exemplifies it.
The third stage in Piaget's theory of cognitive development is known as the Concrete Operational stage. The child's use of logical thinking increases during this stage, which lasts from 7 to 12 years. One of the critical processes that emerges is reversibility, which refers to the ability to recognise that numbers or objects can be changed and returned to their original state.
Cognitive development refers to how children think, explore, and solve problems. It is the development of knowledge, skills, problem solving, and dispositions that enables children to think about and comprehend their surroundings. Cognitive development includes brain development.
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what was the outcome of the microsoft temporary-worker lawsuit? select one: a. fringe benefits for gig workers were eliminated. b. plaintiffs were paid the value of stock options they would have received if employed. c. temporary workers were employed. d. internal revenue service penalties were avoided.
Option (b) is the best choice because plaintiffs got compensation equal to the value of the stock options they would have been granted if hired.
What was the result of the Microsoft temporary worker lawsuit?Microsoft Corp. and a legal firm representing more than 8,000 temporary employees at the software provider today announced a settlement of a class-action lawsuit in which Microsoft will pay the workers and their attorneys a total of $97 million.
Is Microsoft the target of a class action lawsuit?Cash reimbursements or volume licensee vouchers are the two types of compensation available to qualifying Class Members under the terms of the Microsoft class action settlement. Consumer Cash Payments are offered to qualified Class Members who bought a license for one of the Microsoft products mentioned here.
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natural monopolies pose a particular problem for policymakers because the natural monopolist is able to achieve multiple choice question. higher costs of production than multiple competing producers would. lower profits than multiple competing producers would. lower costs of production than multiple competing producers would. greater output than multiple competing producers would.
When average costs are decreasing across the range of output necessary to meet market demand, a natural monopoly develops. This frequently occurs when fixed costs are significantly higher than variable costs.
What is a natural monopoly, and how can it be controlled by the government?
A business with a natural monopoly may be the exclusive supplier of a good or service in a given sector or region. Natural monopolies are permitted when one firm can provide a good or service for less money than any potential rival, but they are frequently very tightly controlled to safeguard consumers.
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gulliver travel agency thinks interest rates in europe are low. the firm borrows euros at 10 percent for one year. during this time period, the dollar falls 17 percent against the euro. what is the effective interest rate on the loan for one year? (consider the 17 percent fall in the value of the dollar as well as the interest payment.)
The effective interest rate on a loan is 28.7%
The percentage at which euros are borrowed = 10%
Fall in dollar price = 17%
Let us suppose the loan borrowed is 100 euros, and the current exchange rate for dollars to euros is 1:1. Thus the amount borrowed is $100. In one year, the total amount owed, measured in terms of euros, is:
100*(1+10%) = 110
Since the dollar depreciates against the euro by 17%, the exchange rate in one year will be 1 euro = (1 + 17%) = 1.17 USD. Thus the amount owed in one year, when expressed in USD, is:
110 * (1 + 17%) = 128.7
This is equivalent to borrowing $100 and paying $128.7 in one year. Therefore, the effective interest rate is:
(128.7 - 100) / 100 = 28.7%
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you are considering the risk return profile of two mutual funds for investment. the relatively risky fund (fund a) promises an expected return of 8% with a standard deviation of 14%. the relatively less risky fund (fund b) promises an expected return and standard deviation of 4% and 5%, respectively. assume that the returns are approximately normally distributed. which mutual fund has a higher probability of earning a return above 8%? it is expected that you can answer this question without calculations using a picture only.
The relatively risky fund should be chosen.
In a set with mean μ and standard deviation σ, the z-score of a measure X is given by:
Z = X - μ / σ
The Z-score measures how many standard deviations the measure is from the mean. After finding the z-score, we look at the z-score table and find the p-value associated with this z-score. This p -values is the probability that the values of the measure is smaller than X, that is, the percentile of X. Subtracting 1 by the p-value we get the probability that the value of the measure is greater than X.
Now, to find the probability of earning a return above 8%,
We should pick whichever fund has a higher probability of earning a return above 8%.
This Probability is 1 subtracted by the p-value of Z when X = 8
μ = 8 and σ = 14
Z = X - μ / σ
Z = 8 - 8 /14
Z = 0
The p-value of Z = 0 is 0.5
1 - 0.5 = 0.5
50% probability of earning a return above 8%
The riskier fund has the higher probability, so it should be chosen.
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An incoming mba student took placement exams in economics and mathematics. In economics, she scored and in math. The overall results on the economics exam had a mean of and a standard deviation of , while the mean math score was , with a standard deviation of. On which exam did she do better compared with the other students?.
In comparison to the other students, the prospective MBA student performed higher on the math exam.
She performed better on the Mathematics exam since her scores were 2.1 standard deviations higher in mathematics and 1.25 standard deviations higher than the mean in economics.
We have the following information to assess how many standard deviations she was from the mean in each subject:
= (Score - Mean)/Standard deviation
For economics;
= (85 - 75)/8 = 10/8 = 1.25 sd.
For Mathematics:
= (89 - 68)/10 = 21/10 = 2.1 sd.
In essence, her scores in Economics and Mathematics were 1.25 standard deviations and 2.1 standard deviations, respectively, above the mean.
She thus outperformed other kids in Mathematics.
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assume that a u.s. firm can invest funds for one year in the united states at 12 percent or invest funds in mexico at 14 percent. the spot rate of the peso is $.10 while the one-year forward rate of the peso is $.10. if u.s. firms attempt to use covered interest arbitrage, what forces should occur? group of answer choices
Invest funds - forces should occur spot rate of peso increases; forward rate of peso decreases.
What is investment funds?
An investment fund is a pool of funds from multiple investors that is used to buy securities collectively while each investor retains control and ownership of his or her individual shares. An investment fund offers a bigger range of investment choices, more management skills, and lower investment fees than individual investors could acquire. Mutual funds, marketplace funds, money markets, and hedge funds are all examples of investment funds. Individual investors do not make judgments about how a fund's assets must be allocated when they invest in investment funds. They just select a fund depending on its objectives, risk, fees, and other considerations.
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jenny has decided to raise the prices on the products that she sells. after doing some market research she has concluded that her business is the only producer of the product and that there are generally no substitutes. what market system is jenny in? group of answer choices
Jenny has a monopoly in the market of the product which she is selling.
A monopoly is a type of market where the good that is sold, has no close substitute, and the entire control over the price and quantity supplied lie in the hands of one sole producer. Here that producer is jenny. In marketing, a product is an object, system, or service created obtainable for consumer use as of the patron demand; it's something that will be offered to a market to satisfy the {need} or need of a customer.
In retailing, merchandise is typically noted as merchandise, and in manufacturing, products are bought as raw materials and then oversubscribed as finished goods. Service is also considered a kind of product. Commodities are sometimes raw materials that love metals and agricultural products, however, a trade good may be anything wide available within the open market. In project management, products are the formal definition of the project deliverables that structure or contribute to delivering the objectives of the project.
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Felice is injured when a can of ground-up explodes into flames. Herbicides inc. Manufactured the ground-up. Under product liability laws, felice’s options include?.
Felice is injured when a can of Ground-Up explodes into flames. Herbicides Inc. manufactured the Ground-Up. Under product liability laws, Felice's options include suing Herbicides Inc.
This poisonous herbicide comes with recognized health risks, however, it is still getting used on crops, in parks, and maybe even on your personal outdoors.
Herbicides can cause deleterious results on organisms and human fitness, both through their direct and indirect motion. Among the organic outcomes of these chemical compounds, it may be stated genetic damage, numerous physiological alterations, or even death of the organisms exposed.
Glyphosate is an extensive-spectrum herbicide that is absorbed by way of plant leaves and is systemic (translocated) within the plant. Nearly all herbaceous flowers and maximum woody vegetation are susceptible to glyphosate, which inhibits the synthesis of 3 amino acids vital for plant boom.
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nomar is considering the purchase of an $18,000 car. he plans finance 80% of the value of the car (he will put down 20% at the time of purchase) and is offered five-year financing at 7%. what will be his monthly payment if financed with a 7% simple interest installment loan?
The formula to calculate periodic loan payment amounts is
(P * r * (1+r)n)/((1+r)n-1)
Where P is the principal Amount
R is the periodic interest rate
n is the number of periods
Given that the interest rate is 7%
Now monthly interest rate is ( 1.07)1/12 -1
= 1.00565415 -1
= 0.00565415
Or we can say that the interest rate is 0.565415%
Given that the amount borrowed is 80% * 18000 = 14,400
Number of months = 5 *12 = 60 Months
Therefore 14,400 * 0.00565415 * ( 1.00565415)60/(( 1.00565415)60 -1)
= 14,400 * 0.00565415 * 3.48415277
= $283.6786
Therefore the monthly installment amount is $283.6786
A set-rate charge is an installment mortgage with an interest rate that can't be modified throughout the life of the loan. The fee quantity will also continue to be identical, although the proportions that cross closer to paying off the interest and paying off the primary will vary.
Divide your interest fee by using the wide variety of payments you may make that yr. If you have a 6 percent interest charge and you are making monthly bills, you would divide 0.06 with the aid of 12 to get zero. Half. Multiply that variety by using your closing loan balance to discover how a whole lot you may pay in a hobby that month.
A $500,000 annuity would pay you $1916 hobby in line per month. If you allow your annuity hobby to build up and make a withdrawal yearly a $500,000 annuity could pay $23,491 according to 12 months. You may evaluate ultra-modern maximum fixed annuity prices here.
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how does it benefit retailers when customers order products online but pick them up in the store? multiple choice question. it requires fewer allocation systems. it reduces the need to offer coupons. it allows for lower inventory levels. it leads to additional sales.
When the customers order products online but pick them up in the store, its benefits the retailers because it can leads to additional sales.
What is the meaning of Buy Online, Pick Up in Store?The phrase have the acronym "BOPIS" which stands for buy-online-pickup-in-store. The practice of offering this service has grown as shoppers are becoming too busy to browse items in-store and are more comfortable buying online.
Based on the trends, the Buy Online, Pick Up in Store allows the retailers to blend the online and in-store experience to engage with customers while offering a more convenient way to shop.
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At the end of the accounting period anderson company had $4,500 in accounts receivable and $500 in its allowance for doubtful accounts account. Based on this information the net realizable value of accounts receivable is?.
The net realizable value of accounts receivable will be $4000, considering the value of accounts receivable and allowance.
Given information:
Accounts receivable = $4,500
Allowance for doubtful accounts = $500
Net realizable value of accounts receivable = $4,500-$500 = $4000.
The balance of money owed to a company for products or services delivered or utilized that have not yet compensated for by clients is known as accounts receivable (AR). On the balance sheet, accounts receivable are listed as a current asset. Any amount of money that individuals owe for transactions they made using credit is known as AR. Usually accounts receivables are part of company's working capital.
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ppw co. leased a portion of its store to another company for eight months beginning on october 1, 20018, at a monthly rate of $800. this other company paid the entire $6,400 cash on october 1, which ppw co. recorded as unearned revenue. the journal entry made by ppw co. at year- end on december 31, 2018 would include:
The journal entry made by ppw co. at year- end on December 31, 2018 would include: 2400 DOLLARS
What is journal entry?
A diary entry is the expression of recording any transaction, whether one that is economic or not. An accounting publication that displays the debit and credit account balance of a company lists transactions. Multiple sound, that are each either one debit or a credit, may be included in the journal entry. The total of a debits and credits must be equal in order for the journal entry to be considered balanced. Depreciation or bond amortisation are examples of recurring items that can be recorded in journal entries. Accounts payable typically has a separate subledger that indirectly influence the overall ledger, and journal entries are typically entered using a different module in accounting software. As a result, general ledger account balances are changed directly by journal entries.
=$800.00 X3 =2400 DOLLARS
RENT EARNED = 2400 DOLLARS
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key success factors are group of answer choices important characteristics of a company or its product that lead to success in an industry. similar to generic strategies. examples of defensive strategies. the economic characteristics of countries that lead to success.
Key success factor can be defined as Important characteristics of a company or its product that lead to success in an industry. Key success factor have important impact to the company.
Competitive emphasis or key success factors or also known as strategic posture can be defined as the important elements required for a company to compete in its target markets. Competitive emphasis or key success factors articulates what the company must do, and do well, to achieve the goals outlined in its strategic plan. There are several key of success for a company, such as user Involvement, Clear Business Objectives, Agile Process, Project Management Expertise, and many more.
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an advantage of a partnership compared to a sole proprietorship is that a partnership multiple choice question. is simpler than other forms of organization. is cheaper than other forms of organization. is less complex than other forms of organization. is able to raise larger amounts of capital.
A partnership is a simpler form of organization than a sole proprietorship. A partnership is cheaper to form than a corporation, and it is less complex than a corporation. A partnership is able to raise larger amounts of capital than a sole proprietorship.
What is partnership?
A partnership is an agreement in which two or more people, known as business partners, agree to work together to further their shared interests. Individuals, businesses, interest-based organisations, schools, governments, or combinations can form partnerships. Organizations may collaborate to raise the chances of each completing their objective and to broaden their influence. A partnership may result in the issuance and holding of equity or it may be regulated solely by a contract.
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green inc. uses the following activity rates from its activity-based costing to assign overhead costs to products: activity rate setting up batches $59.06 per batch processing customer orders $72.66 per customer order assembling products $3.75 per assembly hour data concerning two products appear below: product a product b number of batches 84 50 number of customer orders 32 43 number of assembly hours 483 890 how much overhead cost would be assigned to product a using the activity-based costing system? group of answer choices $9,097.41 $4,961.04 $135.47 $81,146.53
A costing system is designed to monitor a business's expenses. The system consists of many forms, processes, checks, and reports that are designed to collect and present management with financial data.
Explain about the costing system?Any system for allocating expenses to a business component is known as costing. Costing is frequently used to establish expenses for customers, distribution channels, personnel, regions, goods, product lines, processes, subsidiaries, and whole businesses.
Process costing, job costing, direct costing, and throughput costing are the primary costing techniques accessible. Each of these approaches can be used in various production and decision-making situations.
Costing is necessary to make sure that all costs are met and that the group decides on a price that will result in a profit. Finding ALL of a company's costs, including manufacturing, sales, administration, overhead, etc., is the first and most crucial stage. Following that, costs are separated into fixed and variable costs.
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magine a north carolina farmer has two parcels of land that he can use for crop production. the first parcel is not currently in production but the second one is. in response to a new federal climate change law the farmer decides to enroll his second parcel in an offset program that allows him to sell carbon credits to polluting firms at a profit. at the same time, he decides to return his first parcel into production. this type of behavior represents the well-known concern with offset programs that is referred to as: select one: a. additionality. b. permanence. c. leakage. d. slippage.
An appropriate choice is option (d). This kind of conduct exemplifies the well-known issue with offset schemes known as slippage.
What does trading slippage mean?Slippage is the difference between an order's anticipated price and the price at which it is executed. Slippage can happen at any time, but it is most common when market orders are employed and there is greater volatility.
Affects price slippage?Price effect, as opposed to price slippage, is the price change directly brought about by your trade. Price slippage refers to the change in price brought about by external broad market movements (unrelated to your trade).
How does slippage happen?Liquidity refers to the speed at which an asset may be bought and sold without affecting its price, and it is what determines how much slippage occurs. Therefore, the slippage % will be larger when there is less market activity or liquidity for a particular asset.
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an investor sells 100 shares short at $43. the sale requires a margin deposit equal to 60 percent of the proceeds of the sale. if the investor closes the position at $49, what was the percentage earned or lost on the investment? if the position had been closed when the price of the stock was $27, what would have been the percent earned or lost on the position?
The percentage lost on the position will be equal to 23.2%.
Investment may be defined as any asset that is made by an individual or an organization in the hope that it will prove beneficial in future. An investment can be in form of cash, deposits, gold or real estate. The individual investing the assets is known as Investor. According to the question the shares are sold at
$43 X 100 = $4,300 and
the Margin requirement = 0.6 x $4,300 = $2,580
Now, further when the price of the stock rises to $49, the investor loses $4,900 - $4,300 = $600
Therefore, the percentage lost on the invested funds is given as
($600)/$2,580 = 23.2%
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what is a useful technique that enables managers to examine the relationships among cost, price, revenue, and profit over different levels of production and sales?
Break-even analysis is a practical method that enables managers to assess the links between cost, price, revenue, and profit over various levels of production and sales.
With examples, define break-even analysis.When determining when you will break even financially, a break-even analysis compares the costs of a new business, service, or product against the unit sale price. In other words, it indicates the time when you will have generated enough revenue to pay for all of your expenses.
Assume a business has a 37% gross margin and $1 million in fixed costs. ($1 million / 0.37) yields $2.7 million as the break-even threshold. In the scenario above, the business has to make $2.7 million in sales to cover its fixed and variable costs. If it increases sales, the business will turn a profit.
Why is breakeven analysis necessary and what does it entail?A computation known as a breakeven analysis advises small business owners how much product must be sold in order to be profitable. It aids business owners in developing a pricing strategy that would produce a gross profit in addition to covering costs.
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which of the following sources of emergency funds will have the least negative impact on your lifetime financial situation if the source is used to meet emergency expenses? question 4 options: taking money from your savings account. selling investment assets. borrowing money using a credit card. being unprepared for major car repairs, major medical expenses, and major home repairs.
The source is used to meet emergency expense - Taking money from your savings account
What is emergency expense?
An emergency expense is a savings account that is used in times of personal financial distress. Events such as job loss, illness, or a recession are instances of when many people would require the use of their emergency expense to survive. As a result, the primary goal of the fund is to cover unexpected emergency expenses. As a result, there is less need to borrow at high interest rates or use one's retirement funds. Many financial advisors believe that an emergency fund ought to be able to cover up to 3-6 months of total costs.
Therefore, the correct option is A
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A manager that views most employees as motivated to do work is operating under blank______, while a manager that views most employees as lazy, is operating under blank______.
Answer: Theory Y; Theory X
you have just won the lottery! you can either receive $6,500 a year for 20 years or $100,000 as a lump sum payment today. what is the interest rate on the annuity option?
2.64 percent is the interest rate on the annuity option.
Describe annuity rate.
What is a rate of annuity?
The amount of income that will be paid after investing a lump sum in an annuity is determined using an annuity rate. If your pension agreement contains a guaranteed annuity rate, your provider is required to provide you with that minimum annuity income when you retire. Because the monthly payment is based solely on the annuitant's life, the life option often offers the greatest payout. This choice offers a lifetime income stream, serving as a strong safeguard against outliving your retirement savings. The four annuity types are:
Lifetime guaranteed annuities: This choice.
The tax-deferred choice is deferred annuities.
Fixed annuities: The option with lesser risk.
Variable annuities: The highest upside option
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listed below are selected rules of conduct and ethical problems. match the rule with the problem to which it applies. (one rule of conduct may apply to more than one ethical problem.) rules a. independence b. integrity and objectivity c. general standards d. compliance with standards e. accounting principles f. contingent fees g. acts discreditable h. advertising and other forms of solicitation i. commissions and referral fees j. form or practice and name
Though your question is incomplete, I hope you have the second part of the question where the following ethical problems must be answered:
1. If an audit client owes the CPA past-due audit fees, the rule of conduct that must be applied is F. Contingent Fees
2. If there is a member that violates rules issued by the Accounting and Review Services Committee, then it's G. Acts Discreditable.
3. If the CPA accepts a percentage of the client's loan as an audit fee, then it must be I. Commissions and Referral Fees
4. If a CPA robs a service station, then it's D. Compliance with Standards
5. If auditors fail to qualify their opinion on financial statements that do not properly apply FASB standards, the it has to be E. Accounting Principles
Ethical problems related to accounting and auditing of a business can be solved by Rule of Conduct. There are codes, rules and regulations that must be followed to regulate companies and to avoid losses, frauds, as well as other criminal deeds like money-laundering and embezzlement.
Learn more about rule of professional conduct in the AICPA code that does not apply both to internal and external accountants who are CPAs and members of the Institute: https://brainly.com/question/14104166
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Listed below are selected Rules of Conduct and ethical problems. Match the rule with the problem to which it applies.
(One Rule of Conduct may apply to more than one ethical problem.)
Rules:
A. Independence
B. Integrity and objectivity
C. General standards
D. Compliance with standards
E. Accounting principles
F. Contingent fees
G. Acts discreditable
H. Advertising and other forms of solicitation
I. Commissions and referral fees
J. Form or practice and name
Rules:
1. An audit client owes the CPA past-due audit fees.
2. A member violates rules issued by the Accounting and Review Services Committee.
3. A CPA accepts a percentage of the client's loan as an audit fee.
4. A CPA robs a service station.
5. The auditors fail to qualify their opinion on financial statements that do not properly apply FASB standards.
Which two content strategies did beauty brand clinique leverage to launch an exclusive 7-piece travel-sized kit when their almost lipstick in black honey surged in 2021?.
The two content strategies that the brand Cliniqu used to be able to get their presence known when they launched in 2021 was:
They had a partnership with inst/a/gramThey also used ads as a way of creating strategies.What is a content strategy?This is the term that is used to refer to the ways that a business would be able to get the people that they would want to have as a consumer base to see the product that they have.
It is a way of getting people to but their goods through the use of advertising. Inst/a/gram was one of the media that they partnered with for this.
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