A leader who values inclusivity must make sure that everyone agrees—or strongly agrees—that they are valued, treated fairly and respectfully, have a sense of belonging, and are psychologically safe.
A leader who encourages new ideas on a team is one who is inclusive. They strive to reduce their own biases and preferences because they are conscious of them.
Leaders who are inclusive view diversity as a competitive advantage for their company, regardless of nationality, socioeconomic status, or philosophical beliefs.
In addition, an inclusive leader wants a diverse workforce that is actively involved in the company. They actively work to involve everyone and promote the exchange of fresh ideas.
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which of the following statements accurately explains how to enter adjustments? (check all that apply.) multiple select question. each adjustment is identified by a letter in parentheses that serves as a cross-reference to the debit and credit side of the adjustment. adjustments are entered in a middle column titled adjustments. only the debited or credited account of each adjustment needs to be shown--not both accounts. the adjusted balance is computed by taking that account's amount from the unadjusted trial balance column and adding or subtracting adjustments.
worksheet Adjusting entries are changes to journal entries you've already recorded. Specifically, they make sure that the numbers you have recorded match up to the correct accounting periods.
-Adjustments are entered in a middle column titled adjustments
-As new accounts are added, they are added to the bottom of the worksheet below the other accounts.
-Each adjustment is identified by a letter in parentheses that serves as a cross-reference to the debit and credit side of the adjustment.
-The adjustments column totals must balance before moving on to the adjusted trial balance columns
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What is the general anti-avoidance rule (GAAR)?
A. Avoid paying taxes at all costs.
B. Non-arm's length transactions are prohibited.
C. All of taxpayer's transaction amounts must be reasonable.
D. Taxpayers cannot enter into transactions where the sole purpose is to reduce taxes, without any business purpose.
The general anti-avoidance rule (GAAR) is "Taxpayers cannot enter into transactions where the sole purpose is to reduce taxes, without any business purpose".
A GAAR was a last provision that can be used by a tax agency to invalidate unethical tax evasion strategies that would normally be compliant with the letter and spirit of regular tax legislation.
The General Anti-Avoidance Rule (GAAR) would be a principle that, in general, gives the Revenue Authority in a country the authority to withhold the tax incentive of transactions as well as arrangements that have no real business purpose and are merely done to obtain the tax benefit.
Therefore, the correct answer will be option (D)
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First mover advantage is often a great indicator of long term business success.a. Trueb. False
The first mover advantage is often a good indicator of long-term trading success, it's wrong.
Set big hand?
An accurate measure of the behavior, practice, or task that is the expected product or outcome of an intervention. Reliable: Constantly measurable over time, equally by different observers. Precise: Operationally clearly defined. Person or thing indicating, signalling, or indicating.a pointing or steering mechanism, e.g. B. a display on the front of an instrument showing pressure, temperature, velocity, volume, etc. or a floating icon in the graphical user interface of a computer or other device: The fuel gauge was empty. Many researchers and teachers share the widespread belief that reading proficiency in related materials is a good indicator of overall reading proficiency.
Recreational reading (which is not required by school) was a good indicator of the level of intrinsic interest in reading in the language.
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neal corp. entered into a nine-year finance lease on a warehouse on december 31, year 1. lease payments of $50,000, which include real estate taxes itemized in the contract at $2,000 per year, are due annually, beginning on december 31, year 2, and every december 31 thereafter. neal does not know the interest rate implicit in the lease; neal's incremental borrowing rate is 9%. the rounded present value of an ordinary annuity for nine years at 9% is 5.6. what amount should neal report as finance lease liability at december 31, year 1?
The amount that Neal should report as the finance lease liability at December 31, Year 1 can be calculated as follows:
Lease payment = $50,000 - $2,000 (real estate taxes) = $48,000
Present value of an ordinary annuity for nine years = $48,000 / 5.6 = $8,571.43
Finance lease liability at December 31, Year 1 = $48,000 x 9 years = $432,000
Therefore, Neal should report $432,000 as the finance lease liability on December 31, Year 1.
Liability refers to the legal responsibility that an individual or organization has for their actions or decisions. This responsibility can take many forms, including financial, moral, or legal obligations. Liability can arise from a variety of situations, including contracts, torts, or statutory laws.
In legal terms, liability is often used to describe the responsibility that an individual or organization has for harm or damages that they have caused. For example, if a company is found to have manufactured a product that is harmful, it may be held liable for any harm or injury that results from its use. Liability can also be imposed by the courts in order to ensure that individuals and organizations take responsibility for their actions and ensure that victims are fairly compensated for their losses.
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for 2019, what was alpha’s cash flow from investing?
For 2019, the Alpha’s cash flow from investing will be a net flow of $150 million.
The net balance of money coming into and going out of a company at a particular period is referred to as cash flow. A firm continually receives and expends cash. For instance, when a merchant buys merchandise, money leaves the company and goes to its vendors.
The profit or cash loss over time is referred to as net flow for cash (after all debts have been paid). A company is said to have positive cash flow if, after paying all of its operational expenses, it still has cash left over.
The question is incomplete, find the complete question in the image attached.
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transforming inputs into the final products describes which primary activity?
In business and management, primary activities are a key aspect of the value chain, which is a systematic approach to understanding the creation and delivery of a product or service.
Transforming inputs into final products is referred to as the production or operations primary activity. This involves the physical creation of the product, from sourcing raw materials to using machinery and technology to assemble and manufacture the final product.
The production primary activity is essential for the creation of value for the customer, as it converts the inputs into a tangible, usable product. The production primary activity is critical in ensuring that the product meets customer needs and requirements, and is of high quality.
The success of the production primary activity is dependent on several factors, including the quality of inputs, the efficiency of the production process, and the ability to meet customer demand in a timely and cost-effective manner. Hence, the production primary activity plays a crucial role in the overall success of a business and is an important aspect of the value chain.
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At what point hould a buine information manager aume that he or he will not receive any more new quetion or requet to olve problem?
A business information manager should assume that they will not receive any more new questions or requests to solve problems after the normal working hours have ended or after they have effectively communicated their unavailability to the team or relevant stakeholders.
An Information Manager is a professional responsible for managing an organization's information and data. They are responsible for ensuring the accuracy, accessibility, and security of the information within an organization. They work with both technology and people to develop systems and processes that manage the collection, storage, and dissemination of information.
Information managers use their technical knowledge and understanding of business processes to design and implement solutions that meet the needs of their organization. They also use their communication and collaboration skills to engage with stakeholders and ensure that information is being used effectively and efficiently. Additionally, they stay current on industry developments and emerging technologies to ensure that their organization remains competitive. Overall, information managers play a critical role in ensuring the effective use of information to support an organization's goals and objectives.
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why collaboration is difficult in fragmented industries
According to macroeconomic industries theory, an industry is a segment of an economy that produces a collection of closely related goods, services, or raw materials.
The insurance or forestry industries, for instance, could be highlighted.When evaluating a company or group, industry classifications frequently use the primary revenue source to classify it inside the industry. In the majority of nations throughout the world, the International Standard Industrial industries Classification (ISIC) for example, classifies "statistical units" based on the "economic activity in which they are predominantly engaged." A list of statistical units that fall into the same ISIC category is then used to define industry. [4] However, a single business is not need to belong to only one industry, as when
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gem city's internal service fund received a residual equity transfer of $50,000 cash from the general fund. this $50,000 transfer should be reported in gem's internal service fund as a credit to
The $50,000 residual equity transfer from the general fund to Gem City's internal service fund should be reported as a credit to the "Residual Equity" account in the internal service fund.
This account represents the equity balance of the internal service fund, which is the difference between its assets and liabilities. By receiving a $50,000 transfer, the residual equity account will increase, indicating an increase in the equity balance of the internal service fund.
It's important to note that this transfer will not affect the internal service fund's financial position, as the general fund and internal service fund are separate entities. However, the residual equity transfer will increase the internal service fund's ability to pay for the services it provides to the general fund.
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when the text states that marketers need to create tools for ongoing, meaningful measurement of marketing productivity, it is referring to the need for __________.
a. subjectivity
b. visibility
c. accountability
d. identification
e. responsibility
The text is referring to the need for accountability (c).
As a marketer, it's important to have a way to measure the success and effectiveness of your marketing efforts. This is where creating tools for ongoing, meaningful measurement of marketing productivity comes in. It refers to the need for:
C. Accountability: Marketers need to be accountable for the results they produce and the investments they make. They need to have a way to measure the impact of their marketing efforts on the business and ensure that they are producing a positive return on investment.
This requires creating tools that accurately and consistently measure marketing productivity, so that marketers can track progress, identify areas for improvement, and make informed decisions about how to allocate resources and optimize results. By having a system for measuring marketing productivity, marketers can demonstrate their value to the organization and drive business success.
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Evaluate the similarities and differences between trusts and corporations. In an attempt to protect income, which would be most suitable for a company?
As an entrepreneur, you probably know that running and owning a corporation can come with pitfalls and risks. Making a profit is not enough. You also need to protect your corporation from claims and lawsuits.
Liabilities and mortgages to third parties and suppliers, employee claims, product and professional liability, and consumer protection issues are just a few of the risks that must be addressed. If handled improperly, these risks can lead to loss of business and personal assets. If you know the risks you are exposed to and how to minimize or avoid them, you have a good chance of making your company successful.
The goal of a comprehensive wealth protection plan is to avoid or significantly reduce risk by separating business and personal assets from creditor claims. Unfortunately, most small business owners are unaware of all the potential risks that can harm their business and how they can protect themselves.
We employ legal strategies that are implemented before they occur to help deter potential plaintiffs or prevent asset seizure after judgment.If you have not already set up an asset protection plan, Please wait. The longer a plan drags on, the stronger that plan can be.
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explain what a yield curve shows. what must be held constant among the bonds whose interest rates are shown on a yield curve?
A yield curve is a line that is used to represent the interest rates and it compares the interest rates of different bonds.
Yield curve is an important curve that is used to compare the interest rates of two different bonds. The different bonds whose interest rates are compared differ in their maturity dates but they both have the same credit quality. We look at the slope of the yield curve to determine the future interest rates of the bonds. The slope of the yield curve can be studied in three different ways. The three ways include an upward slope, downward slope or a flat curve.
However, while measuring and comparing the interest rates of the bonds using a yield curve several parameters are kept constant so that the measure of the interest rates are accurate. These parameters are the Liquidity, Taxation and Default risk.
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the following is a syntactically correct sql statement. select price*2, price/2 from products;
Yes, the statement "SELECT price*2, price/2 FROM products" is a syntactically correct SQL statement. It retrieves two columns from the "products" table, one being the result of the expression "price * 2", and the other being the result of the expression "price / 2".
SQL represents Structured Query Language. SQL orders are the guidelines used to speak with a data set to perform errands, works, and questions with information.
SQL orders can be utilized to look through the data set and to do different capabilities like making tables, adding information to tables, adjusting information, and dropping tables
Syntax is the arrangement of rules by which the components of a language are accurately joined. SQL sentence structure depends on English punctuation, and utilizations large numbers of similar components as Visual Essential for Applications (VBA) grammar.
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Correct Question - Is the following syntax is a syntactically correct sql statement. select price*2, price/2 from products ?
which of the following statements is correct? a. one advantage of adopting the residual dividend policy is that this policy makes it easier for corporations to develop a specific and well-identified dividend clientele. b. the clientele effect can explain why so many firms change their dividend policies so often.
Adopting the residual dividend model has the benefit of making it simpler for businesses to draw in a specific, well-defined dividend consumer. This statement is correct. Here option C is the correct answer.
The residual dividend model is a way for a firm to determine its dividend policy. Under this model, the firm first invests all of its available earnings into new projects and then pays out any remaining earnings as dividends.
The advantage of this model is that it makes it easier for the firm to attract a specific group of investors who are seeking a steady stream of dividends because the firm is more likely to pay dividends consistently if its earnings are strong.
The disadvantage of this model is that the firm may not have enough earnings left over to pay a dividend if its investment opportunities are especially attractive, which could cause its dividend payout ratio to decrease.
Complete question:
Which of the following statements is correct?
a. If a firm follows the residual dividend model, then a sudden increase in the number of profitable projects would be likely to lead to a reduction of the firm's dividend payout ratio.
b. The clientele effect explains why so many firms change their dividend policies so often.
c. One advantage of adopting the residual dividend model is that this policy makes it easier for a corporation to attract a specific and well-identified dividend clientele.
d. New-stock dividend reinvestment plans are similar to stock dividends because they both increase the number of shares outstanding but don't change the firm's total amount of book equity.
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Deadweight loss can occur if a price floor is implemented: A. Because fewer transactions take place due to the artificially increased prices. B. Because intervention in a market will increase overall surplus. C. Because fewer transactions take place due to the artificially decreased prices. D. Because there is an increase in the number of transactions that take place due to the artificially increased prices.
Previous question
Deadweight loss can occur if a price floor is implemented: A. Because fewer transactions take place due to the artificially increased prices.
Deadweight loss is an economic term used to describe the reduction in total economic surplus that results from market inefficiencies, such as price floors. A price floor is a government-imposed minimum price that must be charged for a good or service. If the government imposes a price floor that is above the market equilibrium price, then some potential transactions will not take place because the price is too high. This means that some buyers who were willing to pay the market price will no longer be able to purchase the good or service, and some sellers who were willing to sell at the market price will no longer be able to sell their goods or services. As a result, the number of transactions that take place will be fewer, leading to a reduction in the total economic surplus. This reduction in economic surplus is referred to as a deadweight loss.
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when was jen unemployed? if ((year >= 2010)
The information provided does not specify when Jen was unemployed. The statement "if ((year >= 2010)" only provides a condition for a year
The statement "if ((year >= 2010)" only provides a condition for a year being greater than or equal to 2010 and does not provide any information about Jen's employment status. To determine when Jen was unemployed, additional information, such as her employment history, would be required. Keep in mind that being unemployed refers to a state of not having a job but being actively seeking employment, The information provided does not specify when Jen was unemployed. so it's important to have clear and accurate information about an individual's employment status in order to determine when they were unemployed.
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the manager of a large apartment complex knows from experience that 90 units will be occupied if the rent is 342 dollars per month. a market survey suggests that, on the average, one additional unit will remain vacant for each 9 dollar increase in rent. similarly, one additional unit will be occupied for each 9 dollar decrease in rent. what rent should the manager charge to maximize revenue?
The answer is 494$,
Revenue without changing the rent:
R = $342· 90 = $30,780
x - number of dollars increased
R = ( 90 - x/9 ) ( 342+ x )
R = - x²/9 + 38 x +30,780
R` = - x/4 + 38
- x/4 + 38 = 0
x/4 = 38
x = 38 · 4 = 152$
Maximum revenue: R = 152· 76 = $11,552$
The rent should be:
$152 + $342= $494 per month.
What does the term "revenue" mean?The total income a firm receives from the sale of products or services that are connected to its core business operations is referred to as revenue. Since it appears at the top of the income statement, revenue, also known as gross sales, is frequently referred to as the "top line." An organization's whole earnings or profit is known as income, or net income.
How does a firm make money?The term "revenue" refers to the overall profits a business makes through its primary activities, such as the sale of goods or services, the rental of real estate, periodic payments, the interest on loans, etc. Prior to taking away any costs, including discounts and returns, revenue calculations are performed.
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who are the stakeholders which is really focused on the policies and decisions in netflix
The key stakeholders in Netflix are its shareholders, customers, employees, and content providers.
Shareholders are primarily interested in the financial performance and profitability of the company. Customers are concerned with the quality and availability of content, as well as the user experience.
Employees are interested in job security, fair compensation, and a positive work environment. Content providers are focused on the revenue generated from their content and the distribution of their content to a large audience.
Netflix's policies and decisions are therefore heavily influenced by the need to balance the interests of these stakeholders. The company must make choices that will increase shareholder value, satisfy customers, provide competitive benefits to employees, and maintain positive relationships with content providers.
For example, investments in original content may improve the customer experience and increase the company's profitability, but may also increase costs and require negotiation with content providers.
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as an accountant what bad news could you have to give to a client
You may need to break terrible news to a client in a number of situations. It doesn't matter if you can't meet a deadline, you're too busy to assist them with their tax planning, or the tax authorities disagree with their assertions you can't always make up for it.
The truth is that negative news is inevitable in the world of accounting. It's imperative that you develop the ability to convey it in a helpful (and non-confrontational) manner. The leading news website for the entertainment industry, spanning the worlds of film, television, online, and allied fields, is Deadline.com. In 2006, seasoned writer Nikki Finke started the publication Deadline. Everything nice has to end at some point. The Deadline app will no longer be updated, we have decided. The app will no longer get updates starting on February 18, 2022, and will be taken down from the app store at that time.
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Read Case 15: "Publix Super Markets: Its Strategy in the U.S. Supermarket and Grocery Store Industry" and answer the following questions
1. What are the key elements of the strategy of Publix Super Markets? How did these elements impact Publix Super Markets competitiveness?
2. What components of the macroenvironments are strategically important for the industry of Publix Super Markets? Identify and elucidate on the key dynamic forces shaping the trajectory of the industry?
3. Connect the components of the macroenvironment and the dynamic forces (identified in question 2) to the key elements of Publix Super Markets (identified in question 1). How do individual components of the macroenvironment and each key dynamic force impact the key elements of the strategy of Publix Super Markets? What are the overall impacts of these components of macroenvironment and dynamic forces on the key elements of Publix Super Markets?
4. Based on your analyses in question 3, what recommendation would you make to Kevin Murphy to improve Publix Super Markets's competitiveness (identify the arena, vehicle, staging and pacing as well as the key risks and mitigation of your recommendations)?
1. The key elements of Publix Super Markets’ strategy include a focus on providing excellent customer service, implementing a flexible operating system, offering competitive pricing and discounts, investing in technology, and investing in employee development and training.
2. The components of the macroenvironment that are most important for the industry of Publix Super Markets include the economic environment, political environment, social environment, technological environment, and legal environment.
3. The components of the macroenvironment and the dynamic forces impact the key elements of Publix Super Markets in a variety of ways. For example, the economic environment impacts the pricing and discounts offered by Publix Super Markets, while the technological environment impacts the technology investments that Publix Super Markets makes. The increasing competition and changing consumer preferences impacts the customer service offered by Publix Super Markets.
4. In order to improve Publix Super Markets’ competitiveness, I would recommend that Kevin Murphy focus on investing in cutting-edge technologies and expanding their online presence. This could include investing in artificial intelligence, automation, and robotics to streamline the operations, as well as investing in e-commerce platforms to increase their online presence.
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hich aspect of an entity and its environment would you most likely obtain an understanding of by reading public information about the entity such as entity- issued press releases and materials for presentations to analysts and investor groups?
1. The entity's application controls over system generated reports.
II. The entity's objectives, strategies and related business risks.
III. The entity's measurement and analysis of its financial performance.
IV. The entity's mapping of internal controls to COSO principles.
I and II
I and IV I
I and III
III and IV
Hich aspect of an entity and its environment would you most likely obtain an understanding of by reading public information about the entity investor groups are "the entity's application controls over system generated reports" and "the entity's objectives, strategies and related business risks". The correct option is I and II.
The business risks are those risk which is faced by the company when implementing the new strategy to launch their products or services in the market.
If the company predicts the risk before implementing the strategy and updating the strategy and plan according to the current status of the market and the entity- issued press releases and materials for presentations to analysts and investor groups.
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how many plastic rings must precision sell to recoup its investment? (you can assume that the administrative overhead is entirely fixed.
To calculate the number of plastic rings that Precision needs to sell in order to recoup its investment, we would need to know the following information.
1. The amount of the initial investment
2. The cost of producing each plastic ring
3. The selling price of each plastic ring
With these three pieces of information, we can calculate the number of plastic rings needed to sell by using the following formula:
Number of plastic rings = Investment / (Selling price - Cost of production)
If the company does not sell the equivalent of the BEQ as a result of the investment, then it is going to lose money and it would not recoup its costs. If the company sells more than the BEQ then it not only has made its money back but is making additional profit as well.
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suppose that during summer, a hurricane destroys part of the sugarcane crop and drives up the price of sugar. How does this event affect the market for ice cream?
1) the change in price of sugar, an input for the ice cream, affects the supply curve. By raising the cost of production, it reduces the amount of ice cream that firms produce and sell at any given price. The demand curve does not change because the higher cost of inputs does not directly affect the amount of ice cream households wish to buy
2) the supply curve shifts to the left because, at every price, the total amount that firms are willing and able to sell is reduced.
3) at the old price of $2, there is now an excess demand for ice cream and this shortage causes firms to raise the price. The shift of supply curve raises the equilibrium price from $2 to 2.50 and lowers the equilibrium quantity from 7 to 4 cones. As a result the sugar price increases, the price of ice cream rises and the quantity of ice cream sold falls
The supply curve for ice cream shifts to the left due to the increase in the price of sugar. (2)
Due to the hurricane, the price of sugar has increased, raising the cost of producing ice cream. As a result, firms are able to produce and sell less ice cream at any given price, causing the supply curve to shift to the left. This shift in supply results in an excess demand for ice cream at the old price, causing firms to raise the price.
The higher price equates to a higher equilibrium price and a lower equilibrium quantity. Thus, the increase in the price of sugar leads to a rise in the price of ice cream and a decrease in the quantity of ice cream sold.
The demand curve for ice cream does not change as the higher cost of inputs does not directly affect the amount of ice cream households wish to buy.
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on march 4, tonkawa law asks green lawn services for basic lawn maintenance totaling $200. green lawn provides maintenance on march 8, and tonkawa pays for the lawn maintenance on march 12. under accrual-basis accounting, on which date should tonkawa record an increase in accounts payable?
Under accrual-basis accounting, Tonkawa should record an increase in accounts payable on March 8, when Green Lawn provided the lawn maintenance services.
This is because, under the accrual basis of accounting, transactions are recorded when the goods or services are received, rather than when the payment is made.
In accrual-basis accounting, the income and expenses are recorded in the period in which they are incurred, not necessarily when the payment is made. This is important for businesses that have customers that pay in arrears, as it ensures that the business is accurately reflecting its financial position and not overstating its income.
Additionally, under the accrual basis of accounting, businesses must also record any liabilities they may have. This means that any money that is owed must be recorded as a liability in the books, even if the payment has not yet been made.
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i measure dominance in male business executives in a variety of ways. the executives complete a dominance questionnaire and their employees complete observer reports of their boss' dominance. i examine the executives' employment histories and measure their serum testosterone. collecting all this data about one specific personality characteristic is called
Collecting all this data about one specific personality characteristic is called Triangulation.
What is Triangulation?In research, triangulation refers to addressing a research question using a variety of datasets, approaches, theories, and/or researchers. It's a research tactic that can assist you in improving the validity and credibility of your conclusions and minimising the presence of any research biases in your work.
Triangulation is frequently used in both qualitative and quantitative research, though it is most frequently used in the former. Methodological triangulation is a must if you choose to conduct a mixed-methods study.
By employing various techniques, you can approach the same research question when methodological triangulation is used.
Researchers frequently combine qualitative and quantitative research techniques in a single study, making this type of triangulation the most popular.
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tom graduated from college in june but was still looking for work in august. this is an example of . responses cyclical unemployment. cyclical unemployment. frictional unemployment. frictional unemployment. structural unemployment. structural unemployment. seasonal unemployment
Tomy graduating from college but still looking for work is an example of b)frictional unemployment.
Frictional unemployment is a natural occurrence in any economy due to the mismatch between the skills and qualifications of job seekers and the requirements of employers. It is also known as search unemployment as it is caused by the time taken for jobseekers to find a suitable job.
In this case, the job seeker has graduated from college and is actively seeking employment, but the job market is not able to match the person's qualifications with a suitable job. This mismatch results in frictional unemployment.
Frictional unemployment is usually short-term, as the jobseeker can find a job with the right qualifications and experience eventually. The job seeker in this case may be facing difficulty due to the seasonal nature of the job market, where certain types of jobs become available only at certain times of the year.
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The concept which states that directors must carry out their responsibilities in a conscientious manner so that the corporation is not harmed by their actions is called:
A) codetermination.
B) due diligence.
C) cumulative voting.
D) accountability.
E) due care.
The concept which states that directors must carry out their responsibilities in a conscientious manner so that the corporation is not harmed by their actions is called "due care." The correct answer is option e.
It is a crucial principle for directors of corporations. Directors have a legal and ethical obligation to act in a responsible and diligent manner when making decisions and carrying out their responsibilities for the corporation.
Due care refers to the level of attention and caution that a reasonable and prudent person would exercise in similar circumstances. In other words, directors must act with a high degree of care, taking all relevant factors into account, to ensure that their actions do not harm the corporation or its stakeholders.
It is important for directors to be well-informed and knowledgeable about the corporation, its operations, and its industry. They must also stay up-to-date with relevant laws, regulations, and best practices, and seek professional advice when necessary.
By fulfilling their duty of due care, directors can help protect the reputation and financial stability of the corporation, and ensure that it operates in a sustainable and ethical manner. Failure to exercise due care can result in legal and financial consequences for the directors and the corporation.
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Dunder-Mifflin Corp. has a payout ratio of 40%, a required rate of return of 10%, and a growth rate of 6%. What is Dunder-Mifflin Corp.'s P/E ratio?
The price-to-earnings (P/E) ratio is the proportion for esteeming an organization that actions its ongoing offer value comparative with its per-share profit.
To calculate the P/E ratio, we need to know the earnings per share (EPS). We can estimate the EPS using the dividend discount model:
EPS = Dividend / (Required rate of return - Growth rate)
where the dividend is the annual dividend per share and can be calculated as the payout ratio times the earnings per share:
Dividend = Payout ratio * EPS
Substituting the given values:
Dividend = 0.40 * EPS
EPS = Dividend / (0.10 - 0.06) = Dividend / 0.04
So, the EPS = Dividend / 0.04 = 0.40 * EPS / 0.04 = 10 * EPS
Solving for EPS, we get:
EPS = Dividend / 10 = 0.40 * EPS / 10 = 0.04 * EPS
Therefore, EPS = $0.40.
Finally, the P/E ratio is the market price per share divided by the earnings per share:
P/E ratio = Market price per share / EPS
Since the market price per share is not given, we cannot calculate the P/E ratio.
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the mid-1990s saw a rise in the use of mobile phones in the general population. the technology continued to improve in the early 2000s and in the mid-2000s smartphones revolutionized the way people communicated. the technology has changed very rapidly and improved the lives of consumers. with these rapid changes, what would you suspect has happened to the cpi calculation? responses the cpi has overstated the cost of living because of quality improvement bias. the cpi has overstated the cost of living because of quality improvement bias. the cpi has understated the cost of living because of fluctuations in the prices of electronic items the cpi has understated the cost of living because of fluctuations in the prices of electronic items the cpi has understated the cost of living because of quality improvement bias. the cpi has understated the cost of living because of quality improvement bias. the cpi has overstated the cost of living because of income bias.
the Consumer Price Index (CPI) has understated the cost of living because of quality improvement bias is correct option of given answer .
What is the CPI?The Consumer Price Index (CPI) is a measure of the average change in prices paid by urban consumers for a market basket of consumer goods across time. When price indices do not take into account information regarding good quality over time in addition to their nominal price, quality improvement bias emerges. Advances in computer processors have enhanced consumer lives by making faster and more advanced functionalities and speeds available—all without taking this information into account when calculating CPI.
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The following graph presents the market for keyboards in 2016. Between 2016 and 2017, equilibrium quantity of keyboards remained constant, but the equilibrium price of keyboards increased. Given this information, you can conclude that between 2016 and 2017, the supply of keyboards ___ and the demand for keyboards ____.
Make changes to The graph to illustrate your answer by showing the positions of the supply and demand curves in 2017.
Select and drag one or both of the curves to the desired position. Curves will snap into position, so if you try to move a curve and it snaps back to its original position, just drag get a little farther
Between 2016 and 2017, the supply of keyboards decreased and the demand for keyboards increased. This would result in an increase in the equilibrium price and a constant equilibrium quantity. The supply curve would shift leftwards and the demand curve would shift rightwards, both relative to the original positions in 2016.
What is equilibrium price?The term "equilibrium pricing" in economics refers to the price at which consumers' willingness and ability to buy an equal amount of an item or service as suppliers' willingness and ability to deliver that same amount. There is neither an excessive supply of goods nor an excessive demand, signalling a market in equilibrium where the forces of supply and demand are balanced. Since buyers and sellers may freely exchange goods and services at the equilibrium price, there are no market pressures to modify the price at that point. Up until a change occurs, such an increase or reduction in supply or demand, the market will continue in an equilibrium condition until it adjusts and finds a new equilibrium price.
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