The objective of low-cost programs designed to improve the health of seniors is to address the issue that many seniors lack understanding of their own chronic health issues.
An important risk factor for functional impairment in older persons is the presence of many chronic conditions, commonly known as comorbidities or multi-morbidities. Functional impairment is the inability to carry out regular domestic tasks and chores or to participate in activities outside the home without interference. Many older persons experience an increasing number of complex health problems as they age, which negatively impact their ability to function on a day-to-day basis and their general quality of life. The prevalence of memory problems adds to these worries for some individuals and groups of older folks.
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How long does an inquiry stay on your credit report.
Answer:
Two years
Explanation:
Hard inquiries stay on your credit reports for two years before they fall off naturally. If you have legitimate hard inquiries, you'll likely need to wait until the 24-month period is over to see them disappear. Not all hard inquiries impact credit scores.
A company database needs to store information about employees (identified by IDno, with salary and phone as details), departments (identified by dno, with dname and budget as details), and children of employees (with name and age as details). Employees work in departments; each department is managed by an employee; a child must be identified uniquely by name when the parent (who is an employee; assume that only one parent works for the company) is known. We are not interested in information about a child once the parent leaves the company. Draw an ER model that captures this information. The answer should also show clear entities, attributes, relationships, and possible cardinality
The ER model includes three entities: Employee (IDno, Salary, Phone), Department (dno, Dname, Budget), and Child (Name, Age). The relationships are: Employees work in departments (WorksIn, 1:1), each department is managed by an employee (Manages, 1:1), and an employee can have multiple children (HasChild, 1:N).
The ER model captures the information about employees, departments, and children in a concise manner. The Employee entity includes attributes such as IDno (employee identifier), Salary, and Phone. The Department entity includes attributes like dno (department identifier), Dname (department name), and Budget. The Child entity includes attributes Name and Age.
The relationships in the model are represented as follows:
1. Employees work in departments: This relationship (WorksIn) indicates that one employee works in one department (1:1 cardinality).
2. Each department is managed by an employee: This relationship (Manages) signifies that one employee manages one department (1:1 cardinality).
3. An employee can have multiple children: This relationship (HasChild) denotes that one employee can have multiple children (1:N cardinality).
The ER model diagram would visually represent these entities, attributes, relationships, and their respective cardinalities. It helps to understand the structure and connections between the entities in the database design.
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help me please
You are putting on a theater production. Which of the following should be a consideration when you get ready to choose the script?
The size of the theater/stage
The demographics of the audience
The topic/popularity of the script
All of the above
Answer:
The topic/popularity of the script
Explanation:
When you are writing a script, you WILL NEED TO consider the topic/popularity of the script.
Hope it help! ;)
which viability factor involves building relationships with a experienced professionals
Relationship factor helps in building relationships with a experienced professionals.
Give a brief account on Business viability.Viability means that the business is (or may be) successful. A viable business is profitable, meaning it generates more revenue than you spend running it. If a company is not profitable, it is difficult to recover. Companies need to increase sales, reduce costs, or both. Profitability is closely related to solvency and liquidity as well as profit.
There are two processes to creating a profitable business. First, it means formulating a marketing strategy by knowing who you are, who you sell to, and who else you sell to. Second, it means your financial home is in order.
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when does the owner's contractual rights begin under an individual annuity contract?
The owner's contractual rights under an individual annuity contract typically begin at the time of contract issuance.
This is the point at which the insurance company accepts the applicant's proposal and issues the annuity contract.
From this moment, the annuity owner gains certain rights and responsibilities, including the right to make premium payments, designate beneficiaries, and exercise options such as annuitization or surrender.
To recap, the owner's contractual rights under an individual annuity contract begin when the insurance company issues the contract, granting them various rights and responsibilities related to premium payments, beneficiaries, and annuity options.
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Do you think that employers have a right to judge an applicant attitude when hiring? Give a reason for your answer
A web interface which presents integrated personalized business content delivered to senior managers is ________.
A Web interface which presents integrated personalized business content delivered to senior managers is an XML document.
What is an XML document?XML documents can be seen to be a text files which is a phrase "XML document" that is used in describing the file or data stream having some form of structured data.
This could be e-commerce transactions as well as server APIs, hence Web interface which presents integrated personalized business content delivered to senior managers is an XML document.
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Which describes personal finance?(1 point)
Answer:
so saving money investing it buying house something like that....
Explanation:
What Is Personal Finance? Personal finance is a term that covers managing your money as well as saving and investing. It encompasses budgeting, banking, insurance, mortgages, investments, and retirement, tax, and estate planning.
Answer: Answer: 1. the ability to understand how to make sound financial choices so you can confidently manage and grow your money
2.the CEO of The Finance Bar
3.the financial management which an individual or a family unit performs
4.your language
5. -a notebook for your homework
-lunch brought from home
Explanation: I took the quick check
How can choosing the right institution help you manage money effectively?
Answer:
You may get a better job, or it may make you more responsible. The money is the main thing, you will get paid better, so you wont have to worry abt money i guess.
Explanation:
Budgeting provides a guide for efficient business decisions O TRUE O FALSE
Answer:
true, budgeting allows for responsible money usage especially for new businesses. Without budgeting, money management would be very difficult.
A company usually holds 320 pounds of wax in its warehouse. The company uses 46 pounds of wax per day and it takes 7 days for wax purchased from the supplier to arrive. The holding cost for wax is $0.34 per pound per day. What is the company's average holding cost (per pound for wax)? Note: Round your answer to 2 decimal places.
The company's average holding cost per pound for wax is $109.48.
To calculate the company's average holding cost per pound for wax, we need to consider the amount of wax held in the warehouse and the time it takes for new wax to arrive.
Let's break it down step by step:
1. The company usually holds 320 pounds of wax in its warehouse.
2. The company uses 46 pounds of wax per day.
3. It takes 7 days for wax purchased from the supplier to arrive.
To calculate the average holding cost per pound for wax, we need to determine the average amount of wax held in the warehouse during the time it takes for new wax to arrive.
The average amount of wax held in the warehouse can be calculated by multiplying the amount of wax used per day (46 pounds) by the number of days it takes for new wax to arrive (7 days):
Average wax held = Wax used per day × Number of days
Average wax held = 46 pounds/day × 7 days
Average wax held = 322 pounds
Now that we know the average amount of wax held in the warehouse is 322 pounds, we can calculate the average holding cost.
The holding cost for wax is $0.34 per pound per day. To find the total holding cost, we multiply the average amount of wax held by the holding cost per pound per day:
Average holding cost = Average wax held × Holding cost per pound per day
Average holding cost = 322 pounds × $0.34/pound/day
Average holding cost = $109.48
Rounding to two decimal places, the company's average holding cost per pound for wax is $109.48.
Therefore, the company's average holding cost per pound for wax is $109.48.
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Assume the following facts relating to a 90% owned subsidiary company: BOY stockholders' equity... BOY AAP assets.... Net income of subsidiary (not including [A] asset depreciation and amortization). AAP assets depreciation and amortization expense .. Dividends declared and paid by subsidiary $1,300,000 169,000 312,000 52,000 26,000 a. Compute the net income attributable to noncontrolling interests for the year. b. Compute the amount reported as noncontrolling equity at the end of the year.
To compute the net income attributable to noncontrolling interests for the year, we need to find the subsidiary's net income first. From the given information, the subsidiary's net income is $312,000 (excluding asset depreciation and amortization).
Next, we need to determine the noncontrolling interests percentage. Since the subsidiary is 90% owned, the noncontrolling interests would be 10% (100% - 90%).To calculate the net income attributable to noncontrolling interests, we multiply the subsidiary's net income by the noncontrolling interests percentage: Net income attributable to noncontrolling interests = Subsidiary's net income x Noncontrolling interests percentage. Net income attributable to noncontrolling interests = $312,000 x 0.10. Net income attributable to noncontrolling interests = $31,200
To compute the amount reported as noncontrolling equity at the end of the year, we need to consider the net income attributable to noncontrolling interests calculated in part (a), any dividends declared and paid by the subsidiary, and the noncontrolling interests percentage. To compute the amount reported as noncontrolling equity at the end of the year, we consider the net income attributable to noncontrolling interests, dividends declared and paid by the subsidiary, and the noncontrolling interests percentage.
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An instrument used to enlarge or reduce a map is known as
Answer:
pantograph
Explanation:
you can use a pantograph to do this.
Hockley Brewing has produced a new craft lager beer that will be branded Hockley Classic Lager. The market for craft beer is about $20 million retail per year and the average retail price across all craft beer producers is $2. 50. The following information applies to Hockley’s new craft lager beer.
Factory production costs $1. 05 / can (Variable Cost)
Beer ingredients $0. 35 / can (Variable Cost)
Packaging $0. 20 / can (Variable Cost)
Advertising and promotion $60,000 (Fixed Cost)
Channel listing fees $30,000 (Fixed Cost)
Hockley’s wholesale price to retailers $2. 40 / can (Variable Cost)
(Hockley’s) manufacturer’s suggested retail price $2. 55 / can (Variable Cost)
a. What is Hockley’s unit contribution (measured in $ per can) and contribution margin (measured in percentage)?
b. What is the break-even point in cans? in dollars?
c. What is the necessary sales volume in cans to achieve a $150,000 (target) profit?
d. What will Hockley’s net profit be if 100,000 cans of the new lager are sold?
e. What will Hockley’s market share of craft beer be if they sell 100,000 cans?
f. Their largest competitor is Mill Street Brewery whose Original Organic Lager has 2. 5% market share of the craft beer market. Given Hockley’s market share calculated in part (e), what will Hockley’s relative market share (RMS) be for their Classic Lager?
g. The craft beer market is growing at 10% annually, higher than any other type of beer. With the RMS for Hockley Classic Lager calculated in part
(f), at the end of their first year, where in Hockley’s portfolio will Classic Lager be positioned and what recommendation would follow?
h. Calculate the price elasticity of demand if they raise the MSRP from $2. 55 to $2. 75 and demand falls from 100,000 cans to 95,000 cans. Is demand for this product price elastic or inelastic?
Hockley's unit contribution is $0.50 per can with a contribution margin of 19.6%. The break-even point is 180,000 cans or $432,000, and a sales volume of 480,000 cans is needed to achieve a target profit of $150,000.
a. Hockley's unit contribution is $0.50 per can ($2.55 - $2.05), and the contribution margin is 19.6% (($0.50 / $2.55) x 100).
b. The break-even point in cans can be calculated by dividing the total fixed costs ($60,000 + $30,000) by the contribution per can ($0.50). The break-even point is 180,000 cans. In dollars, the break-even point is $432,000 (180,000 cans x $2.40).
c. To achieve a target profit of $150,000, we need to calculate the necessary sales volume in cans. The formula is (Total Fixed Costs + Target Profit) / Contribution per can. Using the given numbers, the necessary sales volume is 480,000 cans.
d. If 100,000 cans of the new lager are sold, the net profit can be calculated as (Unit contribution x Sales volume) - Total Fixed Costs. With the given numbers, the net profit would be $10,000.
e. If Hockley sells 100,000 cans, their market share of craft beer can be calculated as (Sales volume / Total market size) x 100%. With a $20 million market size, their market share would be 0.5%.
f. Hockley's relative market share (RMS) for their Classic Lager can be calculated by dividing their market share by Mill Street Brewery's market share and multiplying by 100. With Hockley's market share of 0.5% and Mill Street Brewery's market share of 2.5%, Hockley's RMS would be 20%.
g. With an RMS of 20% for their Classic Lager, Hockley would be positioned as a significant player in the craft beer market. The recommendation would be to continue investing in and promoting the Classic Lager to further increase its market share.
h. The price elasticity of demand can be calculated using the formula: Percentage change in quantity demanded / Percentage change in price. In this case, the percentage change in quantity demanded is ((100,000 - 95,000) / 100,000) x 100% = 5%, and the percentage change in price is (($2.75 - $2.55) / $2.55) x 100% = 7.8%. Therefore, the price elasticity of demand is 0.64 (5% / 7.8%). With a price elasticity of less than 1, demand for this product is price inelastic, meaning that a price increase led to a proportionally smaller decrease in quantity demanded.
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if+the+contribution+margin+ratio+for+france+company+is+34%,+sales+are+$496,000,+and+fixed+costs+are+$100,000,+the+operating+income+is+a.$54,912+b.$168,640+c.$68,640+d.$100,000
The importance of unit contribution margin is that it is used to calculate the break-even price of the product, when fixed costs are made up for. It measures how growth in sales translates to growth in profits.
Given, Contribution margin ratio = 34%
Sales = $496,000
Fixed costs = $100,000
Formula used Operating income = Sales * Contribution margin ratio – Fixed costs
Operating income = $496,000 * 34/100 - $100,000
Operating income = $168,640 - $100,000
Operating income = $68,640
Therefore, the operating income is $68,640.
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Consumers have certain rights that do NOT carry corresponding responsibilities.
Please select the best answer from the choices provided
T
F
Answer:
Explanation:Consumers have certain rights that do NOT carry corresponding responsibilities....(false is the answer)Your job is to cold call people and sell
them life insurance. You do some
research and find out that the life
insurance policy could be purchased
cheaper online. Your boss forbids you
to tell the customer this and expects
you to sign up at least 5 new
customers per day.
What will you do?
I believe I would be cheating customers if I don't do right by them. I would prefer to look for a new job than do something that is ethically wrong and against my morals.
As an employee, I would first try to figure out a way to do right by the customers and reduce the insurance fee. I would try to explain to my boss how we could benefit and increase our customer base if we reduce the fees.
If I fail at getting the price change. I would try looking for a new job that fits well with my morals. Till the time I get a new job, I would try working the same job and explaining to the boss.
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pepper department store allocates its service department expenses to its various operating (sales) departments. the following data is available for its service departments: expensebasis for allocation amount rentsquare feet of floor space $36,000 advertisingamount of dollar sales $54,000 administrativenumber of employees $81,000 the following information is available for its three operating (sales) departments: department square feet dollar sales number of employees a 4,200 $316,000 18 b 4,600 $336,000 20 c 4,800 $468,000 22 totals 13,600 $1,120,000 60 what is the total advertising expense allocated to department b?
The total advertising expense allocated to Department B is $16,200.
To calculate the total advertising expense allocated to Department B, we need to find the proportion of dollar sales for Department B and then apply this proportion to the total advertising budget.
Department B's dollar sales: $336,000
Total dollar sales (all departments): $1,120,000
Proportion of dollar sales for Department B = (Department B's dollar sales) / (Total dollar sales)
Proportion = $336,000 / $1,120,000 = 0.3
Total advertising budget: $54,000
Advertising expense allocated to Department B = (Proportion of dollar sales for Department B) × (Total advertising budget)
Advertising expense = 0.3 × $54,000 = $16,200
Hence, The total advertising expense allocated to Department B is $16,200.
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What are two similarities between Mixed economy and Traditional economy?
Help please!
Answer:
where the production and distribution of goods is based on custom and cultural traditionsExplanation: because
mr.marlon pays minimum wage to the cashiers in his store. if minimum wage is $7.25 per hour, how much does a cashier make who works 80 hours per week
Answer:
580
hour × rate
80 × 7.25
Analyze, using a production possibility curve (PPC) diagram, the possible effects of faster internet speeds for economic growth.
Faster internet speeds can accelerate economic growth by increasing the slope of the production possibility curve.
What is a production possibility curve?A production possibility curve is a graphical representation of the productivity of a given organization/country based on information about advantageous inputs.
A faster internet speed can increase productivity by increasing the chances of customer satisfaction and also boosting collaborative efforts.
In conclusion, faster internet speeds can accelerate economic growth by increasing the slope of the production possibility curve.
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list three ways you can find jobs in the hidden job market
Answer:
get active on social media use flex jobs and go to conferences
Answer:
networking, direct contact, and research.
Explanation:
edge 2021 ;)
why did competitive intensity moderate and prices rise during 1988-1989?
The degree to which businesses within a particular industry put pressure on one another is referred to as competitive intensity in strategy. It encourages innovation within organizations, so a certain amount of competition is healthy.
The degree to which businesses within a particular industry put pressure on one another is referred to as competitive intensity in strategy. Because it spurs innovation within organizations, competition at some level is beneficial. Competition inspires groups and individuals to perform at their highest level, whether it occurs in a workplace or other setting. In fact, this kind of competition is what keeps the majority of businesses alert and drives them to outperform their rivals.
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You are an HR consultant. Which of the following would likely be one of your suggestions for measuring the effectiveness and success of a company's recruitment plan?
Answer:
Access the results of variius recruitment strategies used.
Answer:the person who commented the answers is wrong its
Explanation:
1.d
2b
3c
4a
5b
6d
7c
8b
9a
10a
The financial statement that is most likely to be used to determine if a business is able to meet its short-term obligations within the next month would be.
The financial statement most likely to be used to determine if a business can meet its short-term obligations within the next month is the "Statement of Cash Flows."
This statement provides a detailed account of a company's cash inflows and outflows, including operating, investing, and financing activities. By analyzing cash flow patterns, stakeholders can assess the company's ability to generate sufficient cash to pay off its short-term liabilities due within the next month.
Additionally, it helps identify potential liquidity issues and allows for proactive measures to ensure the business can meet its immediate financial obligations.
The financial statement most likely to be used to determine if a business can meet its short-term obligations within the next month is the "Statement of Cash Flows."
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why is training important
These reasons include:-
Increased job satisfaction and morale among employees.Increased employee motivation.Increased efficiencies in processes, resulting in financial gain.Increased capacity to adopt new technologies and methods.Increased innovation in strategies and products.Reduced employee turnover.What are inferior goods in business?
Answer:
Inferior goods are goods that are bought less as income of buyers increase.
Explanation:
In business, inferior goods can be described as goods that experience declines in their demand or sale when the income of buyers or consumers increase.
This implies that there is a negative relationship between the demand of inferior goods and the income of the buyers.
Put in another way, inferiors goods are the more affordable substitutes for goods that are expensive when the income of the consumers fall.
Without doing any calculations, determine the missing number that will make the value of Expression B half the value of Expression A.
A (8 + 54 + 91) × 12
B (8 + 54 + 91) × _____
Answer:
B (8 + 54 + 91) × _____ If im wrong apologies
Explanation:
Kerr Company's account balances at December 31 for Accounts Receivable and Allowance for Doubtful Accounts were $2,100,000 and $20,000 (Cr.), respectively. An aging of accounts receivable indicated that $170,000 are expected to become uncollectible. The amount of the adjusting entry for bad debts at December 31 is
Answer:
$150,000
Explanation:
Calculation to determine what The amount of the adjusting entry for bad debts at December 31 is
Using this formula
Bad debts=Accounts receivable-Allowance for Doubtful Accounts
Let plug in the formula
Bad debts=$170,000-$20,000
Bad debts=$150,000
Therefore The amount of the adjusting entry for bad debts at December 31 is $150,000
I need help on this
Answer: fra
Explanation: