Answer:
excess inventory buildup
Explanation:
The absorption costing is the costing which covers full costing i.e direct costing and indirect costing
Here directing costing could be in terms of direct material, direct labor
While the indirect costing could be in terms of manufacturing overhead or indirect cost
In the given case since the managers who are rewarding in order to link bonus to income so it would be results in building excess inventory and the same is to be considered
At the end of the video, Keith Reinhard says that advertisers have the ability not only to lift up the brands they work for but also to lift up the human spirit. Do you think this is true? Is it their responsibility? Explain.
ahi-dasa-uxy j0in on g00gle meet
Which of the following statements about the relationship between an institution and the institution's irb(s) is correct?
a. Institutional priorities take precedence over all IRB determinations.
b. Department chairs can overturn an IRB disapproval.
c. Officials of the institution may overturn an IRB disapproval.
d. Officials of the institution may overrule an IRB approval.
The correct answer is D) officials of the institution may overrule an IRB approval.
The International Review Board (IRB) reviews all the human participant's research. It needs to confirm and check that an individual’s life is not at any risk. The IRB protects the privacy of the people who participated in the research activities and human rights. The Institute protects the human rights and privacy of the participants. The statement about the relationship between an institution and the institution's IRB(s) that is correct is: officials of the institution may overrule an IRB approval.
The IRB protects the rights, welfare, and privacy of human subjects. It has the authority to monitor, approve, and disapprove and it requires modifications in all kinds of research activities that fall in its jurisdiction as mentioned by both the institutional policy and federal regulations.
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When the demand for skilled labor increases, _____________________.
the demand curve would shift to the right
the demand curve would shift to the left
the supply curve would shift to the right
the supply curve would shift to the left
The correct option is A). the demand curve would shift to the right.
What happens when the demand for skilled labor increases?When the demand for skilled labor get increases, the demand curve would shift to the right.
As the demand for the goods and services increases, the demand for the skilled labor will also increase, which will cause the demand curve shift to the right.
If the demand for the goods and services decreases, the demand for labor will decrease too, and demand curve will shift to the left.
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Gloria attended a job interview. The purpose of the interview was to assess how well she performs in a discussion with six other candidates. Which type of interview did Gloria attend?
Gloria attended a [blank] interview.
Answer:
she attended a job interview.
Explanation:
Answer:
Group
Explanation:
Multiple
Which of the following encourages creativity and innovation. Flexibility, realistic expectations, persistence or organized planning
Flexibility fosters invention and creativity.
what is flexibility?If we take corporate work into consideration.
Instead, workplace flexibility is fostering an environment where workers may balance work and personal obligations while still performing at a high level. Options for when, where, and how the work is completed are part of flexible work arrangements.
Creative thinking demands flexibility, which makes it easier to come up with original and creative ideas. If someone is flexible, they will have creative thoughts.
In that we are working with ideas, flexibility is similar to fluency. Yet, while fluency focuses on producing as many ideas as possible, flexibility focuses on producing concepts that are unique from one another.
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how do you make a lot of money fast
please help i have none
Answer:
you gottaa start working and saving up
Explanation:
Which of the following could be an outcome of unexpected inflation?
Export goods decrease.
Foreign goods cost less.
Worker education increases.
Workers have more purchasing power.
Answer: A. Export goods decrease.
Explanation: There is a difference between anticipated and unanticipated inflation, which typical occurs because of an unexpected event such as a pandemic or natural disaster. Because of this unexpected event, there is an increase for the demand for goods and services locally beyond what the producers can make and export overseas.
For example, during the Covid-19 pandemic, there was an increased demand for toiletries such as tissues that would help with the symptoms of the virus and resulted in a cap of the amount of boxes a consumer could purchase. Companies not only had to increase production to meet the demands, but had to reduce their amount of product being exported.
Your parents agree to pay half of the purchase price of a new car when you graduate from college. You will graduate and buy the car two years from now. You have $6,000 to invest today and can earn 5% on invested funds. If your parents match the amount of money you have in two years, what is the maximum you can spend on the new car?
Answer:
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negative Impact of crime on a business
Answer:
● The facts of crimes in business. With the sluggish economy the entire numbers of criminal activities have increased dramatically...
● Loss of revenue. Once the business is been compromised by such crimes, it would not be easy anymore to run the business because the funds are already affected.
● Damaged Reputation...
● Reduced production...
● Protect your business...
Explanation:
There are never shortages or surpluses when the price in a market is equal to the equilibrium price for the market.
True or False
Answer:
true
Explanation:
because that means no dead weight loss in the market
Discuss the pros and cons of BMWs selective target marketing? What has the firm done well over the years and where could it improve? (20 marks)
Selective target marketing allows BMW to focus on a specific market segment, offering tailored products and services that appeal to its target audience.
This approach has several pros and cons.
Pros:
1. Precise targeting: By focusing on a specific group, BMW can create customized offerings that cater to the unique preferences of its customers, leading to higher satisfaction and brand loyalty.
2. Efficient resource allocation: Concentrating on a specific segment enables BMW to allocate resources efficiently, ensuring better returns on investment.
3. Enhanced brand image: By offering high-quality products and services to a select clientele, BMW has built a strong, premium brand image over the years.
Cons:
1. Limited market reach: Selective targeting may limit BMW's customer base, restricting potential growth.
2. Vulnerability to market fluctuations: Focusing on a single segment makes BMW vulnerable to changes in market dynamics, affecting its overall performance.
3. Increased competition: BMW faces fierce competition within its target segment, as competitors vie for the same customers.
Over the years, BMW has excelled at creating innovative, high-performance vehicles and maintaining a strong brand image. To improve, the firm could explore new market segments, diversify its product range, and adopt a more flexible marketing approach to accommodate the evolving preferences of its target audience.
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Calculations of cost and benefit are always which of the following?
OA. Resourceful
OB. Minimum
OC. Rational
OD. Subjective
Answer:
D.
Explanation:
It’s subjective.
I think it’s subjective because it’s about the benefit of the calculations of a cost.
What economic problem did many countries face as a result of world war 2
Answer:
trade deficits, lack of investment capital, and wide gaps between rich and poor
Explanation:
WBS for the knowledge area of Human/Resource Management for a low-cost housing project
Here's an example of a WBS for the knowledge area of Human/Resource Management for a low-cost housing project:
The wbs for a knowledge area of Human/Resource Management for a low-cost housing projectHuman/Resource Management
1.1 Staffing Plan
1.1.1 Define project roles and responsibilities
1.1.2 Identify required staffing resources
1.1.3 Determine the project team structure
1.1.4 Develop a staffing plan and budget
1.2 Recruitment and Selection
1.2.1 Create job descriptions and specifications
1.2.2 Advertise and promote job openings
1.2.3 Review resumes and conduct initial screenings
1.2.4 Conduct interviews and select candidates
1.2.5 Perform background checks and reference checks
1.2.6 Extend job offers and negotiate terms
1.3 Training and Development
1.3.1 Assess training needs for project team members
1.3.2 Develop a training plan and schedule
1.3.3 Conduct training sessions and workshops
1.3.4 Provide on-the-job training and mentoring
1.3.5 Evaluate training effectiveness and adjust as needed
1.4 Performance Management
1.4.1 Set performance expectations and goals
1.4.2 Monitor and assess individual and team performance
1.4.3 Provide feedback and coaching to improve performance
1.4.4 Conduct performance appraisals and evaluations
1.4.5 Identify and address performance issues or conflicts
1.5 Resource Allocation
1.5.1 Identify project resource requirements
1.5.2 Allocate resources based on project needs
1.5.3 Monitor resource utilization and availability
1.5.4 Optimize resource allocation to meet project objectives
1.6 Stakeholder Management
1.6.1 Identify project stakeholders and their interests
1.6.2 Develop a stakeholder engagement plan
1.6.3 Communicate and manage stakeholder expectations
1.6.4 Address stakeholder concerns and resolve conflicts
1.6.5 Maintain positive relationships with stakeholders
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Focused reports help managers ____________ the challenge before recommending solutions. Reports that present data without conducting analysis arei ______________.
Like other business messages, reports can range from informal to formal depending on their purpose, audience, and setting. Which of the following contributes to an informal writing style?
a. Absence of humor
b. Passive voice verbs
c. Familiar words
d. Use of contractions
Answer: analyze, informational reports;
the use of contractions
Explanation:
Focused reports help managers (analyze) the challenge before recommending solutions. Reports that present data without conducting analysis are (informational reports)
b. The option that contributes to an informal writing style is ( the use of contractions). Other informal writing styles are:
• First-person pronouns
• Active-voice verbs
• Conversational language
which of the following statements is true regarding an investment adviser taking physical custody of a customer's monies or securities? a an investment adviser is prohibited, by rule, from taking physical custody of a customer's monies or securities b an investment adviser is permitted to take physical custody of a customer's monies or securities if the adviser notifies the customer that he will take custody c an investment adviser is permitted to take physical custody of a customer's monies or securities if the administrator does not prohibit this by rule; and if the adviser notifies the administrator that he will take custody d an investment adviser is permitted to take physical custody of a customer's monies or securities if the adviser notifies finra that he will take custody
An investment adviser is permitted to take physical custody of a customer's monies or securities only if the Administrator does not prohibit this by rule; and if the adviser notifies the Administrator that he has, or will take, custody.
In this case, option c is correct
A person or business known as an investment adviser is one that receives compensation for advising clients on investments. Investment advisers and financial advisors are not the same, despite how similar the terms sound. A broker (or, to use the technical term, a registered representative) is typically referred to as a financial advisor, which is a general term. Contrarily, the term "investment adviser" refers to a person or business that is officially recognized as such by the Securities and Exchange Commission or a state securities regulator. Investment advisers are also referred to as asset managers, investment counselors, investment managers, portfolio managers, and wealth managers. Individuals who work for and provide advice on behalf of investment adviser representatives.To know more about investment adviser here
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What are the two major components of a working capital management strategy
Answer:
The two major components of Working Capital are Current Assets and Current Liabilities. One of the major aspects of an effective working capital management is to have regular analysis of the company's currents assets and liabilities.
Walt Disney reports the following information for its two Parks and Resorts divisions. U.S. International Current Year Prior Year Current Year Prior Year Hotel occupancy rates 87 % 83 % 79 % 78 % Assume Walt Disney uses a balanced scorecard and sets a target of 85% occupancy in its resorts. (1) Which division(s) exceeded the occupancy target during the current year
The division that exceeded the occupancy target during the current year was the United States because it had 87% occupancy.
A balanced scorecard is a management model that groups together various data to evaluate the result of a strategy related to the objectives.
A balanced scorecard works through indicators that allow aligning the behavior of the organization's members with the company's strategy.
Based on the above and the chart, the only resort that exceeded the occupancy target (85%) during the current year was the United States resort (87%)
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Salmon, Inc. issues 505,000 shares of preferred stock for $35 a share. The stock has a fixed annual dividend rate of 5% and a par value of $14 per share. The current price of the preferred stock is $37 a share. If sufficient dividends are declared, preferred stockholders can anticipate receiving annual dividends of:
A. $0.70 per share.
B. $1.75 per share.
C. $1.85 per share.
D. $1.05 per share.
Answer:
A. $0.70 per share.
Explanation:
Calculation for preferred stockholders anticipation of receiving annual dividends
Annual dividends= Par value × Fixed Annual dividend rate
Let plug in the formula
Annual dividends= $14 per share × 0.05
Annual dividends= $0.70 per share
Therefore If sufficient dividends are declared, preferred stockholders can anticipate receiving annual dividends of:$0.70 per share
Answer: A. $0.70 per share.
Explanation:
Prepare the adjusting journal entries for the following transactions.
a. Supplies for office use were purchased during the year for $500, of which $100 remained on hand (unused) at year-end.
b. Interest of $250 on a note receivable was earned at year-end, although collection of the interest is not due until the following year.
c. At year-end, salaries and wages payable of $3,600 had not been recorded or paid.
d. At year-end, one-half of a $2,000 advertising project had been completed for a client, but nothing had been billed or collected.
e. Redeemed a gift card for $600 of services.
Answer: See attachment
Explanation:
The adjusting journal entries for the transactions has been attached. It should be noted that for (a), there was a debit of supplies expense by $400 which was calculated as:
= $500 - $100
= $400
For (d),the accounting revenue of $1000 was gotten as:
= 1/2 × $2000
= $1000
Why are accounts payable considered to be Current Liabilities?
Accounts payable are considered to be current liabilities because they are expected to be paid within a year (C). Current liabilities are debts or obligations that a company is expected to pay within the current fiscal year or operating cycle. Accounts payable represent money that the company owes to its creditors for goods or services that have been received but have not yet been paid for. Since these debts are typically paid within a short period of time, typically within a month or less, they are classified as current liabilities.
1. Some businesspeople believe that elimination agents and wholesalers reduce their operating expenses. Discuss the opportunity costs associated with eliminating intermediaries.
1. While eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.
Eliminating intermediaries such as elimination agents and wholesalers reduce operating expenses, but it also has associated opportunity costs that businesses need to consider. One of the primary costs is the loss of the expertise and value-added services that intermediaries offer to businesses and customers. Eliminating intermediaries may result in businesses taking on additional responsibilities and expenses such as marketing, distribution, and logistics.
This may result in the need for additional staff and resources to ensure that products reach customers on time. Furthermore, eliminating intermediaries may also result in reduced customer access to products, as intermediaries are often responsible for finding new markets and customer segments. In this case, businesses may need to invest additional resources to market and promote their products to reach new customers.
In conclusion, while eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.
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Changes in the market environment impact _____
how competitive the marketplace is
how many offerings are available
how many marketing communication channels are used
how consumers behave
Changes in the market environment impact how competitive the marketplace is, how many offerings are available, how many marketing communication channels are used, and how consumers behave.
Aspects of the business landscape are significantly impacted by changes in the market environment. First and foremost, they have an impact on the level of market competition because changes in variables like technology, rules, and consumer preferences can affect how businesses compete with one another.
Changes in the market environment can also have an impact on the variety and range of goods and services that are offered to customers. New technologies and trends have an impact on how businesses communicate with their target audiences through marketing channels. Last but not least changes in the market environment such as those in the economy in social trends and in technological advancements have a significant impact on consumer behavior causing changes in buying patterns and preferences.
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Your name, address, telephone number, and e-mail address all belong in the ____ section of a résumé.
letterhead
education
references
heading
Answer:
heading
Explanation:
our contact information—which includes your name, address, phone number, and email address—should always appear at the top of your resume, regardless of which resume format you are using.
Answer:
A) Letterhead
Explanation:
Your answer should actually be letterhead. If you look up what a letter head is online it tells you it's the heading at the top of a paper that usually consists of a name address, phone number, and email.
I took the quiz and got the answer correct!
EDG 2021
A researcher has determined that a two-factor model is appropriate to determine the return on a stock. The factors are the percentage change in GNP and an interest rate. GNP is expected to grow by 3.5 percent and the interest rate is expected to. be 2.9 percent. A stock has a beta of 1.3 on the percentage change in GNP and a beta. of .47 on the interest rate. If the expected rate of return on the stock is 10.2 percent, what is the revised expected return on the stock if GNP actually grows by 3.2 percent and the interest rate is 2.7 percent?
The revised expected return on the stock is 9.21%.
To calculate the revised expected return on the stock, we need to first calculate the expected return based on the given factors, and then adjust it for the actual values of the factors.
Using the two-factor model, the expected return on the stock can be calculated as
Expected return = risk-free rate + beta GNP × (expected GNP growth) + beta Interest Rate × (expected interest rate)
Given the data in the question, we have
risk-free rate = 2.9%
betaGNP = 1.3
expected GNP growth = 3.5%
beta Interest Rate = 0.47
expected interest rate = 2.9%
Substituting these values into the formula, we get
Expected return = 2.9% + 1.3×(3.5%) + 0.47×(2.9%) = 9.69%
So the expected return on the stock based on the given factors is 9.69%.
To adjust this for the actual values of the factors, we need to calculate the contribution of each factor to the overall return, and then adjust it based on the actual values.
Contribution of GNP factor = betaGNP×(actual GNP growth - expected GNP growth)
Contribution of interest rate factor = betaInterestRate×(actual interest rate - expected interest rate)
Substituting the actual values of the factors, we get
Contribution of GNP factor = 1.3×(3.2% - 3.5%) = -0.39%
Contribution of interest rate factor = 0.47×(2.7% - 2.9%) = -0.09%
So the total adjustment to the expected return is -0.39% - 0.09% = -0.48%.
Therefore, the revised expected return on the stock is
Revised expected return = Expected return + Total adjustment
= 9.69% - 0.48% = 9.21%
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Biarritz Corp. is growing quickly. Dividends are expected to grow at a rate of 29 percent for the next three years, with the growth rate falling off to a constant 6.3 percent thereafter.
If the required return is 15 percent and the company just paid a dividend of $2.90, what is the current share price?
Biarritz Corp. now has a share price of $84.55.
The dividend will grow by 29 percent yearly over the following three years. the following dividends will be paid throughout the first three years:
Dividend for year 1 equals $2.90 times (1 + 29%) to equal $3.75.
Dividend for year 2 equals $3.75 x (1 + 29%) = $4.84
Dividend for year 3 equals $4.84 times (1 + 29%), which equals $6.25.
The rate of dividend growth will eventually slow to a steady 6.3% after three years. the dividend growth formula can be used to determine the dividend for the upcoming year.
Dividend for year 4 equals $6.25 times (1 + 6.3%), or $6.65. The dividend will increase at a 6.3 percent annual pace after the fourth year. The dividend for year five will therefore be $6.65 times (1 + 6.3%) = $7.08
Dividend for year 1 divided by year 2 divided by dividend for year 1 divided by dividend for year 2Dividend for year n+1 = (1 + r) + 2 +...n+1 ÷ (r - g) Where,g = the dividend growth rate and r = the needed rate of return
Dividends for the first year were $3.75,
The second was $4.84, the third was $6.25, and the fourth was $8.00. Dividend for year 5 is $7.08, with r = 15%g = 29% for years 1 through 3 and 6.3% after that.
Consequently, the share price of Biarritz Corp. is currently $84.55.
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Double declining balance
The double-declining balance method is an effective way to depreciate assets in the early years of their useful life and reduce the balance of the asset more quickly than the straight-line method. This helps companies to account for the asset's cost more accurately over time and to recognize its diminishing value as it ages.
Double-declining balance method is a method of depreciation that is an accelerated method.
The depreciation rate is twice as much as the straight-line method's depreciation rate.
This method begins with an asset's value at the beginning of its use and then decreases at a constant rate throughout its useful life until it reaches the asset's salvage value.
This depreciation method is most commonly used for assets that depreciate quickly at the beginning of their useful life and then slowly depreciate over time until they are scrapped or sold.
Assets such as computers, vehicles, and machinery are common examples of assets that use this method of depreciation.
Double-declining balance method can be calculated using the following formula:Annual depreciation = (2 / useful life in years) * book value at the beginning of the yearOrDepreciation rate = 2 / useful life in years.
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Which type of logic is based on indisputably verifiable information?
Answer:
Falsifiability
Explanation:
Falsifiability
What is the definition of revenue cycle management?
Answer:Revenue cycle management is the process used by healthcare systems in the United States and all over the world to track the revenue from patients, from their initial appointment or encounter with the healthcare system to their final payment of balance. It is a normal part of health administration
Explanation:
Answer/Explanation:
Definition of Revenue Cycle Management also known as (RCM) is the supervision of all administrative and clinical functions that contribute to the capture, management and collection of patient service revenue.
g The AD curve is the relationship between A. the quantity of real GDP demanded and the quantity of real GDP supplied. B. the quantity of real GDP demanded and the unemployment rate. C. aggregate planned expenditure and real GDP when the price level is fixed. D. aggregate planned expenditure and the price level. E. aggregate planned expenditure and the quantity of real GDP demanded.
Answer:
D. aggregate planned expenditure and the price level.
Explanation:
Aggregate demand (AD) can be defined as the total amount spent on domestic goods and services in an economy. It is called total planned expenditure by economists.
Aggregate demand (AD) consist of four components of demand:
1. Consumption
2. Savings
3. Government spending
4. Net export, that is, export minus import.
The aggregate demand (AD) curve shows the relationship between total spending on domestic goods and services at each price level.
D. aggregate planned expenditure and the price level is the correct answer.