the retirement plans that guarantee retirees a set amount of money each month are known as:

Answers

Answer 1

The retirement plans that guarantee retirees a set amount of money each month are known as defined benefit plans.

In a defined benefit plan, an employer agrees to pay a specified monthly benefit to retirees based on a set formula that takes into account factors such as length of employment and salary history.The benefit amount is typically based on a percentage of the employee's salary at the time of retirement or the average salary earned over the final years of employment. Defined benefit plans are usually funded by the employer, who is responsible for making contributions to the plan to ensure that there are enough assets to pay benefits when due.

Unlike defined contribution plans, such as 401(k)s, where the benefit amount is not guaranteed and depends on factors such as investment performance, a defined benefit plan provides a stable, predictable source of retirement income. However, the responsibility for managing the plan's assets and ensuring that it remains well-funded rests solely with the employer.

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Related Questions

Which of the following is a potential logistics export​ problem?
A. Providing repair service
B. Packaging
C. Sales promotion
D. Trade restrictions
E. Sales efforts

Answers

The following trade restrictions pose potential problems for logistical exports.

Option d is correct .

Trade restrictions can pose significant challenges for logistical exports. These restrictions may take the form of tariffs, quotas, embargoes, or other regulatory barriers imposed by governments or international organizations. Trade restrictions restrict or prohibit the movement of goods across borders and can affect the distribution of export products.

Trade restrictions can cause delays, higher costs, or even prevent goods from being exported at all. Exporters may have to navigate complex customs formalities, obtain permits and licenses, comply with specific labeling and packaging requirements, and deal with bureaucratic obstacles, all of which It can affect the efficiency and effectiveness of logistics processes.

Hence, Option d is correct .

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A cash flow statement is one of the basic financial statements that is required under
IFRS GAAP
I. No Yes
II. No No
III. Yes No
IV. Yes Yes
A. I
B. III
C. IV
D. II

Answers

Under IFRS (International Financial Reporting Standards) and GAAP (Generally Accepted Accounting Principles), a cash flow statement is a required financial statement. The correct option is option B, III.

The cash flow statement provides information about the cash generated and used by a company during a specific period, categorizing cash flows into operating, investing, and financing activities. It helps users understand the company's liquidity, operating performance, and ability to generate cash.

Option I, "No Yes," is incorrect because it suggests that a cash flow statement is not required under IFRS, which is false.

Option II, "No No," is incorrect because it suggests that a cash flow statement is not required under either IFRS or GAAP, which is also false.

Option III, "Yes No," is the correct answer because it states that a cash flow statement is required under IFRS but not under GAAP.

Option IV, "Yes Yes," is incorrect because it suggests that a cash flow statement is required under both IFRS and GAAP, which is not accurate. GAAP does not mandate a cash flow statement, although it is commonly prepared and provided by many companies following GAAP principles.

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5. At public colleges and universities, President Biden wants to provide education at a price (tuition) less than cost. What economic argument supports the policy of charging students at public universities less than the full cost of their education. What is the argument against government subsidized education?

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The economic argument that supports the policy of charging students at public universities less than the full cost of their education is that it can help to promote equity and increase access to higher education among low-income families.

The argument is that education is a public good, and it is the responsibility of the government to provide equal opportunities to all individuals to access it regardless of their financial status.
By reducing the cost of tuition, the government can make education more affordable and accessible to students from low-income families. This can help to promote social mobility and reduce income inequality. Public universities, which are funded by the government, can help in achieving these goals by providing quality education at affordable rates.
The argument against government-subsidized education is that it can lead to inefficiencies and waste of resources. Some economists argue that when the government provides subsidies, it can lead to a misallocation of resources and encourage universities to increase their spending. They argue that government subsidies can create a moral hazard problem, where universities may be incentivized to spend more on non-essential programs, which can lead to a higher cost of education.
Additionally, some critics argue that government-subsidized education can discourage innovation and creativity. They argue that when universities receive government funding, they become less innovative and less responsive to the needs of their students. They argue that private institutions, which rely on market competition, are more likely to innovate and respond to the needs of their students.

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As part of its stock-based compensation package, International Electronics (IE) granted 46 million stock appreciation rights (SARs) to top officers on January 1, 2024.
At exercise, holders of the SARs are entitled to receive stock equal in value to the excess of the market price at exercise over the share price at the date of grant.
The SARs cannot be exercised until the end of 2027 (vesting date) and expire at the end of 2029.
The $1 par common shares have a market price of $46 per share on the grant date.
The fair value of the SARs, estimated by an appropriate option pricing model, is $3 per SAR at January 1, 2024.
The fair value re-estimated at December 31, 2024, 2025, 2026, 2027, and 2028, is $4, $3, $4, $2.50, and $3, respectively.
All recipients are expected to remain employed through the vesting date.
Required:
1a.Will the SARs be reported as debt or as equity?
1b. Record any necessary journal entry on December 31, 2024 when the fair value of the SARs is estimated at $4 per SAR.
2. Record any necessary journal entry on December 31, 2025 when the fair value of the SARs is estimated at $3 per SAR.
3. Record any necessary journal entry on December 31, 2026 when the fair value of the SARs is estimated at $4 per SAR.
4. Record any necessary journal entry on December 31, 2027 when the fair value of the SARs is estimated at $2.50 per SAR.
5. Record any necessary entry on December 31, 2028 when all of the SARs remain unexercised.
6. Record any necessary entry on June 6, 2029 when the SARs are exercised and the share price is $50.

Answers

1a. SARs are typically reported as equity since they represent a right to receive shares of stock in the future.

1b. On December 31, 2024:

Debit: Compensation Expense

Credit: Stock Appreciation Rights Liability

2. On December 31, 2025:

Debit: Compensation Expense

Credit: Stock Appreciation Rights Liability

3. On December 31, 2026:

Debit: Compensation Expense

Credit: Stock Appreciation Rights Liability

4.On December 31, 2027:

Debit: Compensation Expense

Credit: Stock Appreciation Rights Liability

5. On December 31, 2028: No journal entry is required as the SARs remain unexercised.

6. On June 6, 2029:

Debit: Stock Appreciation Rights Liability

Credit: Common Stock

Credit: Additional Paid-in Capital

1a. The SARs will be reported as equity. Stock appreciation rights represent a form of equity compensation where employees have the right to receive stock based on the increase in the market price of the company's shares.

1b. On December 31, 2024, when the fair value of the SARs is estimated at $4 per SAR, the journal entry would be:

Dr. Compensation Expense $184 million ($4 x 46 million SARs)

Cr. SAR Liability $184 million

On December 31, 2025, when the fair value of the SARs is estimated at $3 per SAR, the journal entry would be:

Dr. Compensation Expense $138 million ($3 x 46 million SARs)

Cr. SAR Liability $138 million

On December 31, 2026, when the fair value of the SARs is estimated at $4 per SAR, the journal entry would be:

Dr. Compensation Expense $184 million ($4 x 46 million SARs)

Cr. SAR Liability $184 million

On December 31, 2027, when the fair value of the SARs is estimated at $2.50 per SAR, the journal entry would be:

Dr. Compensation Expense $115 million ($2.50 x 46 million SARs)

Cr. SAR Liability $115 million

On December 31, 2028, when all of the SARs remain unexercised, no journal entry is required. The SAR Liability account would still reflect the remaining unexercised SARs.

On June 6, 2029, when the SARs are exercised and the share price is $50, the journal entry would be:

Dr. SAR Liability $2,300 million ($50 x 46 million SARs)

Cr. Common Stock (Par value) $46 million ($1 x 46 million shares)

Cr. Additional Paid-in Capital $2,254 million ([$50 - $1] x 46 million shares)

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Herbert Inc, acquired all of Rambis Company's outstanding stock on January 1, 2020 for $592,000 in cash. Annual excess amortization of $15.700 results from thes transaction. On the date of the takeover, Herbert reported retained earnings of $408,000, and Rambis reported a $205,000 balance Herbert reported internal net income of $45,000 in 2020 and $58,700 in 2021 and declared $10,000 in dividends each year Rambas reported net income of $25,900 in 2020 and $39600 in 2021 and declared $5,000 in dividends each year

a. Assume that Herbert's internal net income figures above do not include any income from the subsidiary

if the parent uses the equity method, what is the amount reported as consolidated retained earnings on December 31, 20217

What would be the amount of consolidated retained earnings on December 31, 2021, if the parent had applied either the initial

Value or partial equity method for internal accounting purposes?

b. Under each of the following situations, what is the Investment in Raimbis account balance on Herbert's books on January 1, 2021

The parent uses the equity method

The parent uses the partial equity method.

The parent uses the initial value method

c. Under each of the following situations, what is Entry °C on a 2021 consolidation worksheet?

My folder

Career

Life

Herbert, x

N. SOLVED X

CChegg x

C For each x

C Haynes, XC ASAP!!!

X

+

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The parent uses the equity method. The parent uses the partial equity method The parent uses the initial value method

Answers

Consider the net income, dividends, and excess amortization for both Herbert and Rambis.

Consolidated retained earnings on December 31, 2021:

Consolidated retained earnings on January 1, 2021 = Retained earnings of Herbert - Excess amortization + Retained earnings of Rambis

= $408,000 - $15,700 + $205,000

= $597,300

Add Herbert's internal net income for 2021 ($58,700) and subtract the  declared by both companies ($10,000 each):

Consolidated retained earnings on December 31, 2021 = Consolidated retained earnings on January 1, 2021 + Herbert's internal net income - Dividends declared

= $597,300 + $58,700 - $10,000 - $10,000

= $636,000

b. The Investment in Rambis account balance on Herbert's books on January 1, 2021, will depend on the accounting method used.

The parent uses the equity method:

The Investment in Rambis account balance will be the initial investment amount of $592,000 minus the parent's share of Rambis' dividends and net income from 2020 and 2021.

The parent uses the partial equity method:

The Investment in Rambis account balance will be the initial investment amount of $592,000 minus the parent's share of Rambis' dividends from 2020 and 2021.

The parent uses the initial value method:

The Investment in Rambis account balance will remain the same as the initial investment amount of $592,000.

c. Entry C on the 2021 consolidation worksheet will depend on the accounting method used.

The parent uses the equity method:

Entry C will include the parent's share of Rambis' net income for 2021.

The parent uses the partial equity method:

Entry C will not include any portion of Rambis' net income for 2021.

The parent uses the initial value method:

Entry C will not include any portion of Rambis' net income for 2021.

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1. Kylie buys an article for $ 10000 and pays 7% tax. He sells the same article for $ 13000 and charges 9% tax. Find the VAT paid by Kylie.
2. A shopkeeper sells an article at its marked price $ 7500 and charges sales-tax at the rate of 12% from the customer. If the shopkeeper pays a VAT of $ 180, calculate the price inclusive of tax paid by the shopkeeper.

Answers

1. The VAT paid by Kylie is $9385.96

2. The price inclusive of tax paid by the shopkeeper is $8400.

1. Cost price of the article = $10000
Tax rate while purchasing = 7%
Selling price of the article = $13000
Tax rate while selling = 9%

To find: VAT paid by Kylie:

Cost price + VAT = (100 + Tax rate)*Selling price/ (100 + Tax rate + Tax rate)

VAT paid by Kylie = Selling price - (Cost price + VAT)

Using the above formula we can find the VAT paid by Kylie as follows:

Cost price + VAT = (100 + Tax rate)*Selling price/ (100 + Tax rate + Tax rate)

(100 + 7) * 10000 / (100 + 7 + 7)

= 1070000 / 114

= $9385.96

Selling price - (Cost price + VAT) = 13000 - (10000 + 9385.96)

= $1614.04

Thus, the VAT paid by Kylie is $9385.96.

2. Given:
Marked price of the article = $7500
Rate of sales tax = 12%
VAT paid by the shopkeeper = $180

To find: Price inclusive of tax paid by the shopkeeper

We know that, Selling price inclusive of sales tax = Marked price * (100 + rate of sales tax) / 100Selling price inclusive of sales tax

= $7500 * (100 + 12) / 100

= $8400

VAT = Selling price inclusive of sales tax - Marked price - VAT paid by the shopkeeper

180 = 8400 - 7500 - VAT paid by the shopkeeper

VAT paid by the shopkeeper = 8400 - 7500 - 180

VAT paid by the shopkeeper = $720

Therefore, the price inclusive of tax paid by the shopkeeper is $8400.

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How does the FED Operate in printing money?

when the fed prints money and gives the money to bank. Do the banks owe a balance to the FED?

I'm studying economics and would like the full background or picture of how printing money ->Fiscal policy works in stimulating the economy

Answers

The Federal Reserve or the FED is responsible for printing money and managing the monetary policy of the United States.

It can influence the country's economy in several ways, such as controlling inflation, regulating the money supply, stabilizing prices, and promoting full employment. Let's discuss how the FED operates in printing money and how it works in stimulating the economy.

The Federal Reserve is authorized to create money, and the majority of the money in circulation in the United States is created by the FED. It is responsible for printing new money, and the banks do not owe any balance to the FED in exchange for it. Instead, the FED issues the money and lends it to the banks, charging an interest rate to borrow the funds. In return, the banks hold reserves with the FED, which is a portion of their deposits that they are required to keep with the FED. The FED can use these reserves to influence the amount of money in circulation by increasing or decreasing the interest rate charged on the reserves.

Fiscal policy is a government's plan to regulate its spending and taxation to influence the economy. The goal of fiscal policy is to promote economic growth and stability by increasing or decreasing government spending and taxation. When the economy is weak, the government can use fiscal policy to stimulate economic growth by increasing its spending, such as building infrastructure and creating jobs.

It can also reduce taxes, which provides more money for people to spend and invest, increasing demand for goods and services. The increased demand creates jobs, and businesses invest more, creating a cycle of economic growth. On the other hand, if the economy is overheating and inflation is a concern, the government can decrease spending and raise taxes to slow down economic growth. This helps to keep inflation in check and prevent the economy from overheating.

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DECOR Ltd produces and sells floor lamps and table lamps. For the floor lamps the following information is known: Sales price per unit: CHF 500.- Variable cost per unit: CHF 200.- For the table lamps the following information is known: Sales price per unit: CHF 300.- Variable cost per unit: CHF 100.- For every 2 floor lamps 3 table lamps are sold. Total fixed cost are. CHF 1'980'000.- Calculate, how many floor and table lamps are sold at the break-even point with this sales mix (4 points). Number of floor lamps: Number of table lamps:

Answers

Let us first find out the contribution margin per unit. The contribution margin per unit is equal to sales price per unit minus variable cost per unit.

Using this formula, we can find out the contribution margin per unit of both floor lamps and table lamps.

Floor lamps: Contribution margin per unit of floor lamps = Sales price per unit of floor lamps - Variable cost per unit of floor lamps= 500 - 200= 300

Table lamps: Contribution margin per unit of table lamps = Sales price per unit of table lamps - Variable cost per unit of table lamps= 300 - 100= 200

Now, let us calculate the weighted average contribution margin per unit. Weighted average contribution margin per unit is equal to [(contribution margin per unit of floor lamps * 2) + (contribution margin per unit of table lamps * 3)] / 5= [(300 * 2) + (200 * 3)] / 5= (600 + 600) / 5= 120

Break-even point can be calculated using the formula, Break-even point (in units) = Total fixed cost / Weighted average contribution margin per unit Substituting the values, Break-even point (in units) = 1,980,000 / 120= 16,500

Total number of units sold = 2F + 3T, where F is the number of floor lamps and T is the number of table lamps. Let us assume that x number of floor lamps and y number of table lamps are sold. Number of floor lamps sold = x Number of table lamps sold = y

Hence, the total number of units sold can be given as 2x + 3y.Using this information, we can form two equations as follows:2x + 3y = 16,500

Sales revenue = Sales price per unit * Total number of units sold Sales revenue = (500 * x) + (300 * y)At break-even point, sales revenue is equal to the total cost. Hence, we can form another equation as follows:

Sales revenue = Total cost Total cost = Total variable cost + Total fixed cost= (200 * x) + (100 * y) + 1,980,000

Now, we have 3 equations:2x + 3y = 16,500(500 * x) + (300 * y) = (200 * x) + (100 * y) + 1,980,000Solving the above equations simultaneously, we get: x = 7,000y = 3,500

Hence, Number of floor lamps sold = x = 7,000Number of table lamps sold = y = 3,500Therefore, the number of floor lamps sold is 7,000 and the number of table lamps sold is 3,500.

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Alex joins an existing general partnership. A partnership debt incurred before his admission to the partnership comes due. Alex is O a. personally liable for that debt only if the other partners do not pay. O b. personally liable to the full amount of that debt. Oc. only liable for that debt up to the amount of his capital contribution. O d. not liable for that debt.

Answers

When Alex joins an existing general partnership, a partnership debt incurred before his admission to the partnership comes due. He is personally liable to the full amount of that debt.(B)

Partnerships are classified as general or limited, and they have different levels of liability protection. General partnerships are those in which all partners are responsible for the company's debts and other liabilities. In the event of a general partnership's financial difficulties, each partner is personally responsible for repaying any debts incurred by the partnership.In this scenario, Alex is joining an existing general partnership. If a debt incurred before his admission to the partnership becomes due, he is personally liable for the full amount of that debt.

In general partnerships, the partners share the liability for any debts incurred by the company. Therefore, if the partnership is unable to pay its debts, each partner is responsible for repaying the entire debt. Thus, the correct option is b) personally liable to the full amount of that debt.

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Davidson Interiors declared a dividend to holders of record on Thursday, October 15, that is payable on Monday, November 2. Sue purchased 200 shares of Davidson Interiors stock on Tuesday, October 13, and Jake purchased 100 shares of this stock on the following day. Which one of the following statements is correct? Use SEC regulation effective in September 2017. (Note: Identify the two dates first: ex-dividend date and the last day to purchase stocks with dividend.) A) Jake will receive the dividend but Sue will not. B) Neither Sue nor Jake will receive this dividend. C) Both Sue and Jake will receive this dividend. D) Sue will receive the dividend but Jake will not.

Answers

The statement which true is that Sue will receive the dividend but Jake will not. So, the answer is D.

According to SEC regulations that are effective from September 2017, the ex-dividend date is one business day before the record date. The last day to purchase stock with a dividend is two business days before the record date.

Davidson Interiors declared a dividend that is payable on Monday, November 2, to holders of record on Thursday, October 15.Sue purchased 200 shares of Davidson Interiors stock on Tuesday, October 13.Jake purchased 100 shares of this stock on the following day. According to SEC regulations, the ex-dividend date should be Wednesday, October 14 (since it is one day before the record date), and the last day to purchase the stock with a dividend should be Tuesday, October 13 (two business days before the record date).

Since Sue bought the stock on the last day to purchase the stock with a dividend, she will receive the dividend. Since Jake purchased the stock after the last day to purchase the stock with a dividend, he will not receive the dividend.

Therefore, the correct statement is D. Sue will receive the dividend, but Jake will not.

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A persistent shortage of yen at a given fixed exchange rate (in dollars per yen) is evidence that the yen is ________ versus the dollar. This shortage can be reduced or eliminated through a ________ of the yen.

Group of answer choices

undervalued; devaluation

undervalued; revaluation

overvalued; revaluation

overvalued; devaluation

Answers

A persistent shortage of yen at a given fixed exchange rate (in dollars per yen) is evidence that the yen is overvalued versus the dollar. This shortage can be reduced or eliminated through a devaluation of the yen.

How can this be explained?

If the supply of yen at a stable exchange rate (dollars per yen) remains low over time, it suggests that the demand for yen is greater than its supply at that exchange rate.

This implies that, in comparison to the dollar, the yen's value is too high. One solution to tackle this deficiency is to carry out a devaluation of the yen.

Devaluation is the deliberate decrease in currency value compared to other currencies, resulting in its affordability. A smart paraphrase of this text could be: By reducing the value of the yen, its conversion rate against the dollar would decrease, resulting in greater affordability and a boost in the yen supply, ultimately alleviating the scarcity issue.

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A firm sells a good to both UK and EU customers. The demand function is the same for both markets and is given by 20P; +Q; = 5000 where the subscript, i, takes the values 1 and 2 corresponding to the UK and EU, respectively. Although the variable and fixed costs are the same for each market, the EU now charges a fixed tariff of $50 per unit, so the joint total cost function is TC = 40Q₁ + 90Q₂ + 2000 Find the maximum total profit.

Answers

Profit maximization is the fundamental goal of every business organization. To maximize the profit in the situation of the given scenario, we need to consider the demand function and the total cost function of the firm for two different markets: the UK and the EU.

Given Demand functions are 20Pi + Qi = 5000 where the subscript, i, takes the values 1 and 2 corresponding to the UK and EU, respectively. Now, we need to find the total revenue functions for both markets. The total revenue function for the UK market can be derived as follows:TR₁ = P₁Q₁Given Demand functions are 20Pi + Qi = 5000 where the subscript, i, takes the values 1 and 2 corresponding to the UK and EU, respectively.

Rewriting the above equation for the UK market as Q₁ = 250 - P₁Considering the total cost function TC = 40Q₁ + 90Q₂ + 2000The profit function for the firm in the UK market will be:Π₁ = TR₁ - TCΠ₁ = P₁Q₁ - (40Q₁ + 90Q₂ + 2000)Putting the value of Q₁ in the above equation we get,Π₁ = P₁(250 - P₁) - (40(250 - P₁) + 90Q₂ + 2000)Simplifying the above equation, we getΠ₁ = -40P₁² + 250P₁ - 90Q₂ - 4000The profit function for the firm in the EU market will be:TR₂ = P₂Q₂Given Demand functions are 20Pi + Qi = 5000 where the subscript, i, takes the values 1 and 2 corresponding to the UK and EU, respectively.

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A late penalty of 10% will apply to new answers. Intro Southern Power just paid an annual dividend of $7.1 per share. Because of increasing competition from home solar installations, the dividend is expected to shrink by 2% per year. The required rate of return is 8%. ID. What is the value of the stock?

Answers

To calculate the value of the stock using the dividend discount model (DDM), we can use the formula:

Value of Stock = Dividend / (Required Rate of Return - Dividend Growth Rate)

Given:

- Annual dividend = $7.1 per share

- Dividend growth rate = -2% (negative growth rate implies a decrease)

- Required rate of return = 8%

Using the provided values in the formula, we can calculate the value of the stock:

Value of Stock = $7.1 / (0.08 - (-0.02))

Value of Stock = $7.1 / (0.08 + 0.02)

Value of Stock = $7.1 / 0.10

Value of Stock = $71

Therefore, the value of the stock is $71.

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Two frequently cited ratios of profitability that can be read directly from the common-size income statement are___ A. the gross profit margin and the net profit margin B. the gross profit margin and the earnings per share C. the earnings per share and the return on total assets D. the gross profit margin and the return on total assets

Answers

The two frequently cited ratios of profitability that can be read directly from the common-size income statement are the A. gross profit margin and the net profit margin. Option A is Correct.

The gross profit margin and the net profit margin are profitability ratios that are used to assess a company's financial health and growth prospects. They are calculated as follows: Gross profit margin = Gross profit / Net sales Net profit margin = Net profit / Net sales Where ,Net sales = Total sales revenue - sales returns and allowances - discounts .

The gross profit margin is the ratio of gross profit to net sales and shows the percentage of revenue that remains after deducting the cost of goods sold. It indicates how effectively a company is able to generate profits from its operations.

The net profit margin, on the other hand, is the ratio of net profit to net sales and shows the percentage of revenue that remains after all expenses, including taxes and interest, are deducted. It indicates how much profit is generated per dollar of sales revenue. Option A is Correct.

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In terms of selling products, _______________ is the most personal and customizable form of selling, whereas _______________ is one of the least personal.

Answers

In terms of selling products, "personal selling" is the most personal and customizable form of selling, whereas "e-commerce" is one of the least personal.

Personal selling involves direct interaction between a salesperson and potential customers, allowing for tailored communication, relationship building, and the ability to address individual needs and preferences. It often occurs in face-to-face meetings, phone calls, or personalized presentations.

On the other hand, e-commerce refers to the online buying and selling of products. While it offers convenience and accessibility, it lacks the personal touch of direct interaction. Transactions are typically conducted through websites or platforms, where customers browse and purchase products with limited personalization or direct human interaction.

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The money multiplier The money multiplier is described in Section 4-4. Suppose the following assumptions hold: a. The public holds no currency. b. The ratio of reserves to deposits is 0.1. c. The demand for money is given by M = $Y(.8 - 4i) Initially, the monetary base is $100 billion and nomi- nal income is $5 trillion. a. What is the demand for central bank money? b. Find the equilibrium interest rate by setting the demand for central bank money equal to the supply of central bank money. c. What is the overall supply of money? Is it equal to the overall demand for money at the interest rate you found in (b)? d. What is the impact on the interest rate if central bank money is increased to $300 billion? e. If the overall money supply increases to $300 billion what will be the impact on i? (Hint: Use what you learned in (c).)

Answers

The equilibrium interest rate is approximately 19.5%. If the overall money supply increases to $300 billion, the new equilibrium interest rate would be approximately 18.5%.

a. The demand for central bank money can be calculated by using the equation M = $Y(0.8 - 4i), where M represents the demand for money, Y represents nominal income, and i represents the interest rate.

Given that nominal income Y is $5 trillion, we can substitute this value into the equation:

M = $5 trillion * (0.8 - 4i)

b. To find the equilibrium interest rate, we set the demand for central bank money equal to the supply of central bank money. In this case, the supply of central bank money is given as the monetary base, which is $100 billion.

Equating the demand for central bank money to the supply, we have:

$5 trillion * (0.8 - 4i) = $100 billion

Simplifying the equation, we divide both sides by $5 trillion:

0.8 - 4i = $100 billion / $5 trillion

0.8 - 4i = 0.02

Now, solve for i:

-4i = 0.02 - 0.8

-4i = -0.78

i = (-0.78) / (-4)

i ≈ 0.195 or approximately 19.5%

c. The overall supply of money is the sum of the monetary base and the amount of money created through the money multiplier. The money multiplier is the inverse of the reserve ratio, which is given as 0.1.

Overall supply of money = Monetary base * Money multiplier

Money multiplier = 1 / Reserve ratio = 1 / 0.1 = 10

Overall supply of money = $100 billion * 10 = $1 trillion

To determine if the overall supply of money is equal to the overall demand for money at the interest rate found in (b), we substitute the interest rate i = 0.195 into the demand equation M = $Y(0.8 - 4i) and compare it to the overall supply of money.

Overall demand for money = $5 trillion * (0.8 - 4 * 0.195)

Overall demand for money ≈ $2.92 trillion

Since the overall supply of money ($1 trillion) is less than the overall demand for money ($2.92 trillion), there is a money shortage.

d. If central bank money is increased to $300 billion, the new overall supply of money would be:

New overall supply of money = $300 billion * 10 = $3 trillion

e. If the overall money supply increases to $300 billion, we can use the same equation as in part (c) to find the new equilibrium interest rate. We substitute the new overall supply of money into the demand equation and solve for i.

New overall demand for money = $5 trillion * (0.8 - 4 * i)

$300 billion = $5 trillion * (0.8 - 4 * i)

Simplifying the equation and solving for i:

0.06 = 0.8 - 4 * i

4 * i = 0.8 - 0.06

4 * i = 0.74

i = 0.74 / 4

i ≈ 0.185 or approximately 18.5%

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Answer the following questions: Instructions: Enter your answers as a whole number. a. If the required reserve ratio is 5 percent, what is the monetary multiplier? b. If the monetary multiplier is 2,

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If the required reserve ratio is 5% The monetary multiplier is a formula that allows the calculation of the maximum increase in the money supply that will result from an increase in reserves. It is represented by the formula: Monetary Multiplier = 1/Required Reserve Ratio For example, if the required reserve ratio is 5%, the monetary multiplier would be: Monetary Multiplier = 1/0.05 Monetary Multiplier = 2

If the monetary multiplier is 2,The monetary multiplier is also used to calculate the potential increase in the money supply based on an initial deposit. The formula is: Potential Increase in Money Supply = Initial Deposit × Monetary Multiplier If the monetary multiplier is 2, the potential increase in the money supply from an initial deposit of $1 would be: Potential Increase in Money Supply = $1 × 2 Potential Increase in Money Supply = $2

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a. If the required reserve ratio is 5 percent, the monetary multiplier can be calculated using the formula:

Monetary multiplier = 1 / Reserve ratioIn this case, the required reserve ratio is 5 percent, or 0.05.Monetary multiplier = 1 / 0.05 = 20

Therefore, the monetary multiplier is 20.

b. If the monetary multiplier is 2, we can calculate the required reserve ratio using the formula:

Reserve ratio = 1 / Monetary multiplierIn this case, the monetary multiplier is 2.Reserve ratio = 1 / 2 = 0.5 or 50%

Therefore, if the monetary multiplier is 2, the required reserve ratio would be 50%.

About Monetary

Finance learns how to know individual business, improve organization, allocate, use monetary resources over time, and also calculate the risks in carrying out its projects.

The term finance means: Knowledge of finance and other assets Management of those assets.

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A director is hired to manage a team that has had issues with productivity, efficiency, and morale. She takes time to get to know each of her employees personally, learning their strengths, weaknesses, and ambitions. She spends part of a day with each employee letting them "train" her on their jobs, so she can understand their day-to-day challenges. She quickly promotes experienced employees to line manager roles and publicly credits team members important successes She forms cross-departmental aliances that benent her team and improve the quality of work for the t whole department Her team becomes more efficient happler and better at solving problems identify the type of political power demonstrated by the COO

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The type of political power demonstrated by the COO is the expert power.

The given scenario illustrates that the COO (Chief Operating Officer) has taken different measures to address the issues related to productivity, efficiency, and morale of her team by exhibiting expert power.

Why the COO demonstrated the expert power?

Expert power is a form of power that is based on the knowledge or expertise of an individual. The COO is the person who has expertise in dealing with such issues in the company or has vast knowledge and experience in managing a team, which she used to address the issues in her team.

To help resolve the issues, the COO performed the following tasks:

She took the time to understand her employees better by learning their strengths, weaknesses, and ambitions.

She spent a part of the day with each employee to understand their challenges and day-to-day work.

She promoted experienced employees to line manager roles.

She formed cross-departmental alliances to benefit her team and improve the quality of work for the whole department.

The COO utilized her expertise in the area of employee management to resolve the issues, which demonstrated the expert power.

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MIA By-Laws (On Professional Ethics, Conduct and Practices) issued by Malaysian Institute of Accountants (MIA) contains various guidelines that should be compiled by all professional accountants in Malaysia. According to MIA By-Laws, there is a provision that prohibits members from using confidential information acquired in the course of the professional work for his own advantage or for the advantage of a third party. Explain THREE (3) situations where a member may disclose confidential information to the outsider.

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While the MIA By-Laws emphasize the importance of maintaining confidentiality, there are certain situations where a member may be permitted or required to disclose confidential information to outsiders. Here are three scenarios where such disclosure may be justified:

1. Legal or Regulatory Obligations: In some instances, members may be legally or ethically obligated to disclose confidential information to external parties. For example, if there is a legal requirement, such as a court order or a regulatory directive, that compels the disclosure of confidential information, the member must comply with such obligations. This ensures transparency and upholds the principles of justice and the rule of law.

2. Consent of the Client: Confidential information may be disclosed to an outsider if the client gives explicit consent to share specific details. This could occur, for instance, when a client requires their accountant to share financial information with a lender or investor as part of a financing arrangement. In such cases, the client has the authority to waive confidentiality and permit the accountant to disclose relevant information to the designated third party.

3. Prevention of Fraud or Illegal Activities: Members have a duty to act in the public interest and protect society from fraudulent or illegal activities. If a member becomes aware of information that suggests criminal behavior, such as fraud, money laundering, or other unlawful acts, it may be necessary to disclose relevant details to the appropriate authorities or regulatory bodies. This is essential to safeguard the integrity of the financial system and ensure the welfare of the public.

In these three situations, the disclosure of confidential information is justified because it serves a higher purpose beyond the preservation of confidentiality. Legal requirements, client consent, and the prevention of fraud or illegal activities override the general obligation of confidentiality to protect the public interest, uphold the integrity of the profession, and ensure compliance with relevant laws and regulations. However, it is crucial for members to exercise caution and seek appropriate legal advice or guidance before disclosing confidential information to external parties in these exceptional circumstances.

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FILL THE BLANK. Question 16 4 pts Which option is the best answer? When the price of product X is higher than the equilibrium price of product X, there will be a ...... and the price will O shortage: fail O shortage:

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When the price of product X is higher than the equilibrium price of product X, there will be a shortage and the price will fail to shortage.

In the context of supply and demand, the equilibrium price is the price at which the quantity demanded by consumers matches the quantity supplied by producers. If the price of product X is higher than the equilibrium price, it creates a situation of excess supply or surplus. In this case, producers are offering more of the product at a higher price than consumers are willing to purchase. As a result, there is a shortage, meaning that demand exceeds supply.

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FILL THE BLANK. Question 11 4 pts Which option is the best answer? ****** The central bank uses quantitative easing as a tool of policy when the policy interest is very......... Ofiscal; low Ofiscal; high monetary: l

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The central bank uses quantitative easing as a tool of policy when the policy interest is very low. Option b is correct.

Quantitative easing (QE) is a monetary policy tool employed by central banks. It entails the purchase of securities such as government bonds to increase the money supply and encourage lending by lowering interest rates.

The Federal Reserve and other central banks use quantitative easing to help stimulate the economy during times of economic distress, such as recessions and economic downturns.

Economic policies are monetary policies and fiscal policies. Monetary policies include managing interest rates, regulating the money supply, and stimulating economic development.

Fiscal policies are policies that involve government expenditure, taxation, and debt management in order to regulate the economy, allocate resources, and increase stability.

Therefore, b is correct.

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Electric vehicles (EVs) have been called a "drastic innovation" by several industry experts. Others claim EVs
merely represent an "incremental innovation". Describe how you would determine if EVs are one or the other.

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Electric vehicles (EVs) have been considered as a 'disruptive innovation' by many industry experts because they represent a radical shift from traditional gasoline-powered cars to electrically powered vehicles. However, some people believe that they are only an 'incremental innovation' because the technology that powers them is not entirely new.

Innovation is characterized by several elements such as its novelty, impact, and market penetration, which are all determinants of the extent of its influence.

Electric vehicles have been perceived as a significant innovation because of their impact on the environment, their efficiency and cost-saving advantages, and their potential to reduce carbon emissions and dependence on fossil fuels. Incremental innovation, on the other hand, is an improvement or modification of an existing technology.

Electric cars can be classified as both a disruptive and incremental innovation since they have a significant impact on the market by introducing a new, more efficient technology. T

hey are an incremental innovation because they are based on existing technology, but their novelty, advantages, and benefits make them a radical innovation.However, to determine whether they are an incremental or a disruptive innovation, one would have to evaluate their impact on the market and the degree of their market penetration.

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what is a cloud storage architecture that manages the data in an arrangement of fields according to characteristics of each data element?

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The cloud storage architecture that manages the data in an arrangement of fields according to characteristics of each data element is called a NoSQL  is a NoSQL  databases are used to store and manage large and complex data sets. A NoSQL database is a database that doesn't use the traditional structured query language.

A NoSQL database stores and retrieves data in a non-tabular format that can include document, key-value, graph, and column-family pairings. NoSQL databases are ideal for storing and retrieving large quantities of unstructured data in a fast and efficient manner. NoSQL databases, unlike SQL databases, are capable of processing semi-structured data and different data  are the benefits of using NoSQL  are several advantages of using NoSQL databases.

NoSQL databases can handle a large amount of data and are easily scalable. As a result, it is possible to add or remove nodes to a cluster when there is a need for it.Performance: NoSQL databases have fast read and write operations. They are capable of handling large amounts of data with low latency.Flexibility: NoSQL databases are schema-free, which means that they can handle various data types and structures with ease. This is ideal for situations where the data is unstructured or semi-structured.Ease of use: NoSQL databases are easy to set up and configure. They don't require any special skills or training to get started.

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"Should the PPF shifts outward and the terms of trade are not affected, then a country becomes unambiguously better off as a higher community indifference curve can be reached." Explain why this statement is untrue and graphically illustrate it.

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The statement that a country becomes unambiguously better off when the production possibilities frontier (PPF) shifts outward, while the terms of trade remain unaffected, is not true.

This statement fails to consider the trade-off between producing different goods and the opportunity cost involved.

When the PPF shifts outward, it indicates an increase in a country's productive capacity, allowing it to produce more of both goods.

However, reaching a higher community indifference curve, which represents higher levels of satisfaction, is not guaranteed. This is because the shape and position of the PPF and the preferences of the community also play a crucial role in determining utility.

Graphically, an outward shift of the PPF does not necessarily imply movement to a higher indifference curve. The indifference curves represent different combinations of goods that yield the same level of satisfaction. Without considering preferences, it is not possible to conclude that reaching a higher indifference curve is guaranteed solely by the outward shift of the PPF.

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Boogie Man: The Lee Atwater Story

1. Who is referred to as the protege of Lee Atwater? (He's also referred to as a shining example of what College Republicans can do.)

2. Why did Atwater opt for the Republican party over the Democratic party?

3. What kind of backlash is Atwater good at exploiting?

4. What accusation did Atwater make of Tom Turnipseed?

5. What phrase was used to describe the general way Atwater operated when it came to winning votes on moral and religious issues?

6. What was Lee Atwater's first official title in the White House?

7. What condiment did Atwater like adding to almost all of his food?

8. Whom did Atwater betray in 1984 by leaking information to the press?

9. What happened to Lee Atwater's younger brother Joe?

10. Who was so offended by Atwater's vulgarity that it almost lost him a role in George H. W. Bush's Campaign?

11. What scandal damaged the reputation of George H. W. Bush going into the 1988 presidential campaign?

12. What was the only sport that Atwater liked? Why?

13. Who made the pledge, "Read my lips: No new taxes!"?

14. What image of the South and Republicans did Atwater enjoy exaggerating for the sake of the slow-play?

Answers

1. The protege of Lee Atwater who is also referred to as a shining example of what College Republicans can do is Karl Rove.2. Lee Atwater opted for the Republican party over the Democratic party because he saw that the Republican Party was a more open party, where a person with a message and a purpose can change the party.

3. Atwater is good at exploiting the backlash from black communities.4. Atwater accused Tom Turnipseed of being a "crazy liberal" in the campaign.5. The phrase used to describe the general way Atwater operated when it came to winning votes on moral and religious issues was the "Southern Strategy."6. Lee Atwater's first official title in the White House was as a counselor to the President.7.

Atwater liked adding mayonnaise to almost all of his food.8. Lee Atwater betrayed John McCain in 1984 by leaking information to the press.9. Lee Atwater's younger brother Joe died of leukemia.10. Lee Atwater's vulgarity almost lost him a role in George H. W. Bush's campaign, and James Baker III was offended.11. The Iran-Contra scandal damaged the reputation of George H. W. Bush going into the 1988 presidential campaign.12. The only sport that Atwater liked was football. He loved football because it had everything in it that he loved.13. George H. W. Bush made the pledge, "Read my lips: No new taxes!"14. The image of the South and Republicans that Atwater enjoyed exaggerating for the sake of the slow-play was that they were all racists and bigots who wanted to drag the country back to the days of the Confederacy.

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1.) Product prices are set on the Marketing Budget Detail spreadsheet
A. True
B. False 2.) Each market segment responds to different types of media (e.g. print, direct mail, etc.) to a varying degree. It follows then that each product must be identified with its target segment. Product target segments are identified by
A. their placement on the Perceptual Map
B. entering their status on the Pricing and Forecasting spreadsheet
C. entering the target segment on the Marketing Budget Detail

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1.The given statement "Product prices are set on the Marketing Budget Detail spreadsheet" is False.

2. The product target segments are identified by "entering the target segment on the Marketing Budget Detail" option C is correct.

The Marketing Budget Detail spreadsheet is typically used to track and plan marketing expenses, such as advertising, promotions, and events. Product prices are usually determined based on factors such as production costs, competition, and market demand, and are typically set by the pricing team or management. Therefore, product prices are not set on the Marketing Budget Detail spreadsheet.

Identifying the target market segment for a product is an important step in the marketing strategy. It helps to focus the marketing efforts and resources on the most promising customer groups. The Marketing Budget Detail spreadsheet is typically used to plan and track marketing expenses, including advertising and promotional activities targeted at specific market segments.

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Homebase (Pty) Ltd is the manufacturer of a robot vacuum cleaner, iRobot-H. It uses built-in cameras and sensors to find its way around a home without fuss. It has different cleaning modes and advanced features such as the ability to produce maps of where it has cleaned and for how long. It really takes the drudge out of vacuum-cleaning homes.
The company sells this product through 55 independent retail stores across the country. Homebase's marketing research team developed the demand equation below for iRobot-H, based on its average retail sales over the last 18 months.
Q = 5 200-42P+ 20Pc + 5.2Y + 0.2A + 0.25S
(2.002) (17.5) (6.2) (2.5) (0.09) (0.21)
R² = 0.55 n = 55 F = 4.88
The following are the independent variables and their current values:
• Q = quantity sold per month (sales)
• P (in rand) = Price of iRobot-H = R2 900
Pc (in rand) = Price of leading competitor's product = R3 200 Y (in rand) = Average per capita income in the country = R25 000
• A (in rand) = Homebase's monthly advertising expenditure = R20 000
. S (in units) = Number of robot vacuum cleaners sold across the country = 7000
F (critical value) = 3.38 at 5% level of significance
Show all calculations and relevant formulas.
What is the meaning of the parameters -42P, 20Pc and 5.2Y?
Homebase (Pty) Ltd is the manufacturer of a robot vacuum cleaner, iRobot-H. It uses built-in cameras and sensors to find its way around a home without fuss. It has different cleaning modes and advanced features such as the ability to produce maps of where it has cleaned and for how long. It really takes the drudge out of vacuum-cleaning homes.
The company sells this product through 55 independent retail stores across the country. Homebase's marketing research team developed the demand equation below for iRobot-H, based on its average retail sales over the last 18 months.
Q = 5 200-42P+ 20Pc + 5.2Y + 0.2A + 0.25S
(2.002) (17.5) (6.2) (2.5) (0.09) (0.21)
R² = 0.55 n = 55 F = 4.88
The following are the independent variables and their current values:
• Q = quantity sold per month (sales)
• P (in rand) = Price of iRobot-H = R2 900
Pc (in rand) = Price of leading competitor's product = R3 200 Y (in rand) = Average per capita income in the country = R25 000
• A (in rand) = Homebase's monthly advertising expenditure = R20 000
. S (in units) = Number of robot vacuum cleaners sold across the country = 7000
F (critical value) = 3.38 at 5% level of significance
Show all calculations and relevant formulas.
What is the meaning of the parameters -42P, 20Pc and 5.2Y?

Answers

It indicates the income elasticity of demand for iRobot-H. It means if there is a one unit increase in the average per capita income in the country, it will lead to a 5.2 unit increase in the quantity demanded of the iRobot-H.

Demand equation for iRobot-H based on its average retail sales over the last 18 months isQ = 5 200 - 42P + 20Pc + 5.2Y + 0.2A + 0.25SParameters of demand equation:-42P means the demand for iRobot-H is negatively related to the price. It indicates the price elasticity of demand for iRobot-H. It means if there is a one unit increase in the price of iRobot-H, it will lead to a decrease of 42 units in the quantity demanded of the iRobot-H.20Pc means the demand for iRobot-H is positively related to the price of a leading competitor's product. It indicates the cross-price elasticity of demand for iRobot-H. It means if there is a one unit increase in the price of a leading competitor's product, it will lead to a 20 unit increase in the quantity demanded of the iRobot-H.5.2Y means the demand for iRobot-H is positively related to the average per capita income in the country. It indicates the income elasticity of demand for iRobot-H. It means if there is a one unit increase in the average per capita income in the country, it will lead to a 5.2 unit increase in the quantity demanded of the iRobot-H.

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High-capital industries require longer time periods to adjust all their resources compared to those industries that are more labor intensive. O False True

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The given statement "High-capital industries require longer time periods to adjust all their resources compared to those industries that are more labor intensive" is true.

High-capital industries, which heavily rely on capital-intensive equipment and infrastructure, often require longer time periods to adjust all their resources compared to labor-intensive industries.

In high-capital industries, such as manufacturing or heavy infrastructure development, significant investments are made in machinery, technology, and infrastructure. Adjusting or reallocating these resources takes time and can involve complex processes.

For example, if a manufacturing plant wants to introduce new technology or reconfigure its production line, it may require significant planning, installation, training, and adjustment of various capital resources.

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Suppose we want a 95% confidence interval for the average amount spent on books by freshmen in their first year at college. The amount spent has a normal distribution with standard deviation $16. (a) How large should the sample be if the margin of error is to be less than $2? ANSWER:

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To achieve a 95% confidence interval with a margin of error of less than $2, a sample size of at least 246 freshmen is required.

To determine the sample size required for a 95% confidence interval with a margin of error less than $2, we need to consider the formula for the margin of error:

The margin of Error = Z * (Standard Deviation / √n)

where Z is the z-score corresponding to the desired confidence level, Standard Deviation is the population standard deviation, and n is the sample size.

In this case, the population standard deviation is given as $16, and we want the margin of error to be less than $2. Let's substitute these values into the formula:

2 = Z * (16 / √n)

To find the appropriate z-score for a 95% confidence level, we can consult the standard normal distribution table, which gives us a z-score of approximately 1.96.

2 = 1.96 * (16 / √n)

Next, we can solve this equation to find the sample size, n:

√n = (1.96 * 16) / 2

√n = 15.68

n ≈ 245.81

Since the sample size must be a whole number, we can round up to the nearest integer to ensure the margin of error remains less than $2. Therefore, the sample size required would be at least 246 freshmen.

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the profit margin is the amount of net profit earned for every $1 of:

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The profit margin is the amount of net profit earned for every $1 of revenue generated.

Profit margin is a financial metric that indicates the profitability of a company or business. It measures the percentage of each dollar of revenue that translates into net profit. The profit margin is calculated by dividing the net profit by the revenue and multiplying the result by 100 to express it as a percentage. It provides insight into the efficiency and effectiveness of a company's operations and its ability to generate profits from its sales.

A higher profit margin indicates that a company is generating more profit for each dollar of revenue, which is generally seen as favorable by investors and stakeholders. Conversely, a lower profit margin suggests lower profitability and may indicate the need for cost optimization or revenue growth strategies.

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PLEASE HELP ASAP I WILL MARK AS BRAINLIEST!Give an example of a chemical reaction that is caused when reactants cool. AX and EX are secant segments that intersect at point X. What is the length of DE?1 unit3 units4.5 units4 2/3 units 2. Find the length of a side of a square if its area is:a. 81 square inchesb. cmc. 0.49 square unitsd. m square units Which of the following is not an advantage described in Chapter 4?A. Collaboration helps certain employees prove they are the best leaders.B. Collaboration helps acclimate new employees to an organization.C. Collaboration draws on a wider knowledge base.D. Collaboration provides a better idea of how the audience will read the document. i need help please help me How many countries are involved in manufacturing/trade in Africa? a. Determine whether the Mean Value Theorem applies to the function f(x) 4x^(1/7) on the interval [-128,128). b. If so, find or approximate the point(s) that are guaranteed to exist by the Mean Value Theorem ayudaaaaaaaaaaa por favor Create VIEWS.Note that views are virtual tables. If you need to troubleshoot a view at some point you can simply delete it and recreate it.a) Copy and paste the query in 4a and create a view called ProductAvailability based on this query.b. Using the ProductAvailability view that you created in 5a, create a query that only shows products that need to be ordered (that have UnitsAvailable less than the ReorderLevel). Mendeleev was the first to organise elements based on their similarities *TrueFalse how much does the heaviest cat in the world weigh? Reuben will rent a car for the weekend. he can choose one of two plans. the first has no initial fee but costs $0.90 per mile driven. The second plan has an initial fee of $65 and costs an additional $0.70 per mile driven. How many miles would Reuben need to drive for the two plans to cost the same? Sophia drove 63 miles. Sophia's car used 2 gallons of gas. How many miles per gallon did Sophia car get? How do paragraphs 21-25 contribute to the development of ideas in the article? The poem opens with the line "The buzz saw snarled and rattled in the yard" is an example of what kind of sound device? What happens to a community when the same bad things happen over and over again? Compare and contrast the structure and function of DNA and RNA. Identify the bases used in DNA and RNA and how they pair classifyeach as a purine or pyrimidine n the problem of estimating total hospitalization costs for kidney stone patients, suppose Muscat and Dhofar regions were selected as strata because they have very different incident rates for the disease, and the estimates for each region was needed separately. Also, this stratification into geographic regions simplified the sampling procedures. The sample data are summarized as follows: Muscat Dhofar ni=260 12=150 Mean cost ,=170 RO Mean cost y =125 RO S =3050 $ -2525 G = 745 C-10 RO n 02-680 C2=12 RO A previous study showed the number of kidney stone incidents in the Muscat to be 325 out of 100,000 population and the number in the Dhofar to be 320 out of 100,000. The population of the Muscat was 775,878, and the population of the Dhofar was 249,729, according to the 2010 census. a) Obtain the estimates of N, and N2, the numbers of kidney stone patients expected to be found in the Muscat and Dhofar regions. b) Obtain the average annual cost of hospitalization of the kidney patients of the two region combined with 95% confidence interval and interpret the results. c) Find the appropriate sample size n and stratum sample size ni and n2 for estimating the population mean with a bound on the error of estimation equal to 50 RO, considering proportional allocation. El usuario se registra medio de una temperatura de 8 grados centgrados Sin embargo a las 22 horas la temperatura y ha bajado unos 10 grados centgrados Cul es la temperatura en este momento Draaksh Corporation sells premium quality wine for $115 per bottle. Its direct materials and direct labour costs are $22 and $12.50 respectively per bottle. It pays its direct labour employees a wage of $25 per hour. The company performed a regression analysis using the past 12 months' data and established the following monthly cost equation for manufacturing overhead costs using direct labour-hours as the overhead allocation base: y=$154,700 + $23.00x Draaksh believes that the above cost estimates will not substantially change for the next fiscal year. Given the suff competition in the wine market, Draaksh budgeted an amount of $34,600 per month for sales promotions, additionally, it has decided to offer a sales commission of $6.00 per bottle to its sales personnel. Administrative expenses are expected to be $25,300 per month. Required: 1. Compute the expected total variable cost per bottle and the expected contribution margin ratio.