Amazon attempts to provide a variety of books to its customers. Best-selling books are stocked in many smaller regional warehouses close to customers. Slower-moving books are stocked at fewer larger distribution centers. Some of the slowest-moving books are directly obtained from the publisher when requested by a customer. Amazon mainly uses which of the following supply chain driver(s) to provide the right balance of responsiveness and efficiency? (select all correct answers) Information Inventory Facility Transportation

Answers

Answer 1

Amazon mainly uses the supply chain drivers of information and inventory to provide the right balance of responsiveness and efficiency. By answering the customer orders in less time, this method enhances the customer service.

Amazon mainly uses the supply chain drivers of information and inventory to provide the right balance of responsiveness and efficiency. By answering the customer orders in less time, this method enhances the customer service. The supply chain drivers are the drivers that give balance to the chain, meet the demands of customers and maintain the balance of inventory.

What are warehouses?

Warehouses are those premises which are primarily used to store goods for a certain amount of time until they are dispatched to customers. In short, warehouses are the storehouses where goods are kept in a proper and safe manner to protect them from theft, damage, fire, etc.What is inventory?Inventory means all the goods, products, and materials that a business keeps to sell to customers or to manufacture other goods. It includes both finished goods ready for sale as well as raw materials needed to produce those goods. In the supply chain, inventory is often used to balance the mismatch between supply and demand. Thus, inventory management is the critical aspect of supply chain management. It helps businesses to balance the gap between production and consumption.

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Related Questions

16. Standard deviation:
a. is equal to the variance
squared.
b. measures the variability of returns
around the expected return.
c. is found by taking the square root
of expected return.
d. is accepta

Answers

Measures the variability of returns around the expected return" is the correct answer for the definition of standard deviation.

Standard deviation is a statistical measure that quantifies the amount of variability or dispersion in a set of data. It provides a measure of how spread out the values are from the mean or expected value.

Option (a) is incorrect because the variance is equal to the square of the standard deviation, not the other way around. The variance is another statistical measure that quantifies the dispersion of data, but it is not the same as the standard deviation.

Option (c) is incorrect because taking the square root of the expected return does not yield the standard deviation. The square root of the variance is taken to calculate the standard deviation.

Option (d) is not a valid completion of the sentence and does not provide an accurate statement about standard deviation.

Standard deviation is a measure of variability or dispersion in a set of data, specifically measuring the spread or variability of returns around the expected return. It is not equal to the variance squared, it is not found by taking the square root of expected return, and option (d) does not accurately describe the concept of standard deviation.

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Part C Are the following statements true, false or uncertain? Briefly explain your answers. (40 points) a) "According to Monetarists, there is a permanent trade-off between unemployment and inflation rate" This statement is true. Because according to them especially Friedman, there is no trade-off between unemployment and inflation rate in the long-run. He said that Phillips curve which show the inverse relationship between unemployment and inflation, is a short-term phenomenon resulting from temporary illusion of money. He said that, monetary policy and natural unemployment rate are independent from each other. b) "People are rational financial investors." This statement is uncertain. Because some school say that people are rational but some school ,especially behavioural economists, say that people are not rational. c) "A. Smith was a pragmatic advocate of free trade." This statement is true. He was pragmatic advocate of free trade. According to Adam Smith, individuals cannot be restricted by the government unless he/she affects other individuals. d) "Like the new Classicals, most new Keynesians build macroeconomics on perfectly competitive markate "

Answers

The given statement in the question is "Like the new Classicals,  most new Keynesians build macroeconomics on perfectly competitive markets".

the correct option is (d) False.

Therefore, the answer to this question is "False".The statement, "Like the new Classicals, most new Keynesians build macroeconomics on perfectly competitive markets," is False.  most new Keynesians build macroeconomics on perfectly competitive markets".

New Keynesians do not believe in the theory of Perfect competition, but rather they propose the theory of Imperfect competition. They argue that there are price rigidities in the market, which prevent the market from attaining full equilibrium.

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Answer all questions. Each question carries 25 marks. Question 1: You are presented with the following trial balance of Annie Trading Investment Holdings, a limited liability company, at 31 October 2021. Dr. Cr. 5000 5000 Land at cost Buildings at cost Motor vehicles at cost Equipment at cost Buildings, accumulated depreciation, at 1 November 2020 Motor vehicles, accumulated depreciation, at 1 November 2020 Equipment, accumulated depreciation, at 1 November 2020 Trade receivables Cash Trade payables Bank overdraft Bank loan Share capital Retained earnings at 1 November 2020 Sales Sales return Inventory at 1 November 2020 Purchases Travelling expenses (Distribution costs) Insurance (Distribution costs) Utility expenses (Distribution costs) Printing expenses (Administrative expenses) Salaries (Administrative expenses) Bank loan interest paid Page 2 of 10 3,495 7,920 1,260 2,400 8,280 252 447 2,010 22,368 1,950 984 360 1,101 4,260 207 57,294 3,750 210 1,005 2.250 786 2,247 8,010 2,763 36,273 57,294 Additional information as 31 October 2021: 1. Buildings are depreciated at 10% of cost, allocated to administrative expenses. 2. Motor vehicles are depreciated at 20% of cost, allocated to administrative expenses. Equipment is depreciated at 30% of cost, allocated to distribution costs. 3. 4. There were no additions or disposals of non-current assets during the year. 5. Inventory at 31 October 2021 was valued at $2,037,000. 6. Land was revalued at 31 October 2021 to $4,563,000. Tax of $252,000 is to be provided for the year. 7. Required: a. Prepare a statement of profit or loss and other comprehensive income for the year ended 31 October 2021 of Annie Trading Investment Holdings Limited in accordance with "HKAS 1 Presentation of Financial Statements". (11 Marks) b. Explain the following accounting items in relation to Annie Trading Investing Holdings Limited: i. Current assets and non-current assets; Current liabilities and non-current liabilities. (6 Marks) C. Audit committees contribute significantly to raising the standards of corporate governance if they operate effectively. Please evaluate this statement.

Answers

Summary of all parts: Annie Trading Investment Holdings Limited Statement of Profit or Loss and Other Comprehensive Income for the year ended 31 October 2021.

b. Explanation of the following accounting items in relation to Annie Trading Investing Holdings Limitedi. Current assets and non-current assets; Current liabilities and non-current liabilities. Current assets are those assets that a business expects to convert into cash or use up within one year from the reporting date (or its operating cycle, whichever is longer). Current assets that Annie Trading Investment Holdings Limited have include Trade receivables and Cash. On the other hand, non-current assets are expected to provide a benefit to the business for more than one year and are not held for resale.

Non-current assets that Annie Trading Investment Holdings Limited have include Buildings at cost, Land at cost, Motor vehicles at cost, and Equipment at cost. Current liabilities are debts and obligations a business expects to settle within one year from the reporting date (or its operating cycle, whichever is longer). Current liabilities that Annie Trading Investment Holdings Limited have include Trade payables, Bank overdraft, Bank loan, and Bank loan interest paid. Conversely, non-current liabilities are those debts and obligations that a company expects to settle after one year.

Annie Trading Investment Holdings Limited has no non-current liabilities. c. Evaluation of the statement “Audit committees contribute significantly to raising the standards of corporate governance if they operate effectively.”The statement that “Audit committees contribute significantly to raising the standards of corporate governance if they operate effectively” is a correct statement. Audit committees are accountable for promoting transparent financial reporting and for ensuring that the management and employees of an organization comply with regulatory and legal standards.

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Michelle Mibelle was a 17 year old student at CSUN. Michelle worked fulltime to pay for her room and board as well as for that portion of her tuition that was not covered by her scholarship and student loans. Her mother Ms. Mibelle lived in Arizona where she worked as a server in a coffee shop.
This past week, Michelle was admitted to the Northridge Hospital for treatment for appendicitis. When Michelle arrived at the hospital, she was asked to fill out forms, including a contract stating, "In consideration for medical services rendered, Patient agrees to pay to Northridge Hospital the full cost of her medical treatment." In addition, the contract also provided that if Northridge Hospital were to have to file suit against Michelle to recover the cost of her medical treatment, and the Hospital were to win the lawsuit, the Hospital would be entitled to recover its attorney’s fees, but if the patient (Michelle) were to win the lawsuit, she would not be entitled to recover her attorney’s fees. This provision was written on the second to last page of the forms presented to Michelle. A nurse reviewed with Michelle the terms of the forms presented to Michelle, but never mentioned the attorney’s fees provision.
While Michelle was being admitted to the hospital, the hospital payments administrator called Michelle’s mother Ms. Mibelle and asked her to guarantee the payment for Michelle’s medical services. Ms. Mibelle refused to do so because she had no money and was in the process of filing for bankruptcy protection. This meant that the Hospital would not be able to collect any money from Ms. Mibelle.
Michelle was hospitalized for three days during which time she had a variety of tests and ultimately surgery to remove her appendix. The hospital bill came to $20,000. The reasonable value of the surgery and the hospital stay was $15,000. Neither Michelle nor Ms. Mibelle paid the bill. The hospital sued Michelle. Is Michelle legally obligated to pay the hospital bill? Please explain your answer

Answers

Michelle is legally obliged to pay the hospital bill. This is because Michelle signed a contract with the Northridge Hospital stating that she would pay the entire cost of her medical treatment.

The hospital also informed Michelle of the terms of the forms presented to her, and although the attorney’s fees provision was written on the second to last page of the forms presented to Michelle, a nurse reviewed with Michelle the terms of the forms and although she never mentioned the attorney’s fees provision, it does not matter since Michelle had signed the contract.Michelle's mother's refusal to pay for Michelle's medical services does not affect Michelle's obligation to pay for her medical treatment. This is because Michelle is an adult and is capable of signing a contract and entering into agreements on her own behalf. Therefore, the hospital is legally entitled to pursue legal action against Michelle to recover the cost of her medical treatment, and the fact that the hospital would be entitled to recover its attorney's fees if it won the lawsuit does not change Michelle's obligation to pay for her medical treatment.

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Suppose you have a small business and are thinking about expanding production, including hiring more workers. Until recently, the interest rates at your bank were too high to get a loan. However, the central bank decides to expand the money supply, which lowers interest rates to a level at which you can take out loans and expand production. Choose how your actions affect the macroeconomics.
choose which answer is correct vs wrong:
Real GDP increases.
Unemployment is down.
The inflation rate fell.
Aggregate demand is increasing.

Answers

Expanding production, including hiring more workers by taking loans at lower interest rates can have several impacts on macroeconomics. The correct answer is that all of the given options are correct.

Here's how:Real GDP increases: Real GDP (Gross Domestic Product) increases with the increase in production and supply of goods and services in the economy. Hence, by expanding production, it can increase the GDP of the economy.Unemployment is down: By hiring more workers, businesses can reduce the rate of unemployment. When more people get jobs, it increases their purchasing power, which stimulates the economy further.The inflation rate fell: By expanding production, it increases the supply of goods and services in the economy. When the supply increases, it can lead to a decrease in the price level. Thus, the inflation rate can fall.Aggregate demand is increasing: When the production and supply of goods and services increase, it can lead to an increase in aggregate demand in the economy. As a result, it stimulates the economy and leads to further expansion and growth.

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Cocomelon Umbrellas Ltd has determined that its variable cost per umbrella is $5. Its fixed costs have been established as $210,000. The typical sales price is $12. How many umbrellas must be sold for Cocomelon Umbrellas to breakeven?
Suppose Cocomelon Umbrellas can sell 60,000 units at $10 each; 50,000 units at $11; and 40,000 units at $13, which of these sale prices should the company pick? Why?
Cocomelon Umbrellas can purchase a new fabric gluing/sewing machine for $100,000. The new process will reduce variable cost by $1 per unit. Fixed costs will rise to $310,000. Should the company make this purchase? Explain

Answers

If the company expects to sell more than 62,500 units, it should buy the new machine as it will reduce the cost per unit by $1.

Cocomelon Umbrellas Ltd

Breakeven Analysis

:Let, X be the number of units sold by the company.

So, we haveTotal revenue, R = sales price x number of units sold

R = 12XTotal variable cost,

VC = variable cost per unit x number of units sold

VC = 5XTotal cost,

= Total fixed cost + Total variable cost

C = 210,000 + 5X

At breakeven point, total cost = total revenue

So, 210,000 + 5X = 12X

The above equation is the break-even point equation.

By solving the above equation, we get:

7X = 210,000X = 30,000 umbrellas

Here, we will calculate the total revenue at each price point and select the one that yields maximum revenue.1. For a sales price of $10, the total revenue will be:

$10 x 60,000 = $600,0002.

For a sales price of $11, the total revenue will be:

$11 x 50,000 = $550,0003.

For a sales price of $13, the total revenue will be:

$13 x 40,000 = $520,000

The company should pick a sales price of $10 since it yields the maximum revenue.

Cocomelon Umbrellas can purchase a new fabric gluing/sewing machine for $100,000.

we will calculate the new breakeven point. Let's assume X to be the number of units sold by the company after buying the new machine.

So, we have New variable cost, VC' = (variable cost per unit - $1) x number of units soldVC'

= (5-1)X = 4X

New Total cost, C' = Total fixed cost + New Total variable cost C' = 310,000 + 4X

Now, we will set C' = R i.e. calculate the new breakeven point.310,000 + 4X = 12XX = 62,500 umbrellas. The new breakeven point after buying the new machine is 62,500 units. If the company expects to sell more than 62,500 units, it should buy the new machine as it will reduce the cost per unit by $1.

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Sydney Train’s share price was $10 when the company announced that it will cut next year’s dividend to $0.6 per share from $1 (the dividend just paid). It will use the savings to expand its network, and as a result, the growth in dividend is expected to accelerate to 7% from current value of 4%. How do you think the announcement will affect Sydney Train’s share price? Hint: you need to calculate the new share price.

Answers

Share Price = $0.6 / (0.10 - 0.07) = $0.6 / 0.03 = $20

To calculate the new share price of Sydney Train after the dividend cut and the expected accelerated dividend growth, we can use the Dividend Discount Model (DDM).

The DDM formula is as follows:

Share Price = Dividend / (Required Rate of Return - Dividend Growth Rate)

Given the following information:

Current dividend = $1

Dividend cut = $0.6

Current dividend growth rate = 4%

Expected dividend growth rate = 7%

We need to determine the required rate of return (discount rate) for Sydney Train. This rate represents the return that investors expect for holding the stock, taking into account its risk and opportunity cost.

Assuming a required rate of return of 10% as an example, we can calculate the new share price:

For the current dividend:

Share Price = $1 / (0.10 - 0.04) = $1 / 0.06 = $16.67

For the reduced dividend:

Share Price = $0.6 / (0.10 - 0.07) = $0.6 / 0.03 = $20

Based on this calculation, the share price of Sydney Train is expected to increase to $20 after the announcement of the dividend cut and the expected accelerated dividend growth. This increase is due to the fact that the company is reinvesting the savings from the dividend cut into expanding its network, which is expected to generate higher future dividends, leading to a higher valuation of the company's shares.

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Define the term natural rate of unemployment. Explain its
relationship to potential output.

Answers

The natural rate of unemployment (NRU) is defined as the level of unemployment that occurs when the economy is producing at potential output. The natural rate of unemployment (NRU) is the level of unemployment that exists when an economy is operating at full capacity.

It represents the rate of unemployment that results from the structural characteristics of the labor market, such as the level of job search activity, the degree of labor market friction, and the matching process between workers and jobs. Explanation: Potential output is the level of economic activity that an economy can sustainably produce in the long run. It is determined by the economy's productive capacity, which is determined by the availability of labor, capital, and technology. When an economy is operating at potential output, it is producing the maximum amount of goods and services that it can sustainably produce in the long run.

At this level of output, the natural rate of unemployment is achieved because all available resources are being used to their fullest extent. The natural rate of unemployment is related to potential output because it represents the level of unemployment that is consistent with the full utilization of an economy's resources. When the economy is producing at potential output, it is operating at full employment, and the unemployment rate is at its natural rate. This relationship between the natural rate of unemployment and potential output is important because it helps policymakers to assess the health of the labor market. If the unemployment rate is below the natural rate, it may indicate that the economy is overheating, which could lead to inflation. If the unemployment rate is above the natural rate, it may indicate that the economy is operating below its potential, which could lead to a reduction in living standards.

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If you are willing to pay $28,017.00 today to receive a
perpetuity with the first payment occurring next year then the
payment must be $______. Assume a 13.00% discount rate. Answer
format: Currency:

Answers

To calculate the payment amount for a perpetuity, we can use the formula: Payment = Present Value / Discount Rate

In this case, the present value is $28,017.00, and the discount rate is 13.00%.

Substituting these values into the formula, we have:

Payment = $28,017.00 / 0.13

Payment = $2155.15 (rounded to two decimal places)

Therefore, if you are willing to pay $28,017.00 today to receive a perpetuity with the first payment occurring next year, the payment amount would be approximately $2155.15.

A perpetuity is an investment that provides a fixed payment indefinitely, so you would receive $2155.15 each year, starting from the year after your initial payment.

It's important to note that perpetuities are theoretical financial instruments and not commonly found in practice, as most investments have a finite term.

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In a portfolio of 200 shares of stock A priced at $50 per share and 400 shares of stock B priced at $20 per share, what is the investment weight of each stock? (That is, what is the proportion of investment in stock A? What is the proportion of investment in stock B?) [5 points]

Answers

The proportion of investment in stock A is 55.5% and the proportion of investment in stock B is 44.4% as per the information provided.

Investment weight of each stock: The investment weight of each stock is the proportion of the total investment in that stock to the total investment in the portfolio.

In the given portfolio, there are 200 shares of stock A priced at $50 per share and 400 shares of stock B priced at $20 per share. The total investment in stock A can be calculated as follows:

Total investment in stock A = Number of shares × Price per share= 200 × $50 = $10,000

The total investment in stock B can be calculated as follows:

Total investment in stock B = Number of shares × Price per share= 400 × $20 = $8,000

The total investment in the portfolio is the sum of the investments in stock A and stock B.

Total investment in the portfolio = $10,000 + $8,000 = $18,000

The proportion of investment in stock A is the investment in stock A divided by the total investment in the portfolio.

Proportion of investment in stock A = Investment in stock A / Total investment in the portfolio

= $10,000 / $18,000= 0.555 or 55.5%

Therefore, the proportion of investment in stock A is 55.5%. The proportion of investment in stock B is the investment in stock B divided by the total investment in the portfolio.

Proportion of investment in stock B = Investment in stock B / Total investment in the portfolio= $8,000 / $18,000= 0.444 or 44.4%Therefore, the proportion of investment in stock B is 44.4%.

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Securitizations are tools providing alternative investment opportunities to investors. Mortgage-back securitization (MBS) is one of the most popular instruments. It allows investors to invest in mortgage loans that are traditionally available to banks and financial institutions only. In this assignment, you will use SAS to model cash inflows/outflows of a simple MBS. The model is to project the future cash collection from mortgage loans based on different default risk assumptions and then allocates cash available to MBS certificate holders. The model will allow you to estimate risk- return to investors under different default scenario. Suppose a MBS invests in a pool of mortgage loans that has the following characteristics: Aggregate beginning balance of the mortgage loans Weighted average of coupon rate $52 million 6% per annum 360 months Weighted average maturity The MBS issues three classes of certificates with the following balance and coupon rate. Beginning Balance $25 million $20 million $ 4 million Certificate A B с Annual Fixed Coupon Rate 5% 7% 9% For simplicity, we assume that a. The mortgage loan pool may default at a 3% annual rate, on average. For loans that default, MBS does not receive any cash (100% severity rate) and the mortgage ban pool will immediately be written down by the default amount (before any calculation). b. Monthly coupons paid to certificate holders are fixed and do not change over the life of the loans. c. However, the actual amounts paid to certificate holders depend on whether there is enough cash to distribute to certificate holder. If the cash collected from the mortgage pool outweighs the cash payouts to certificate holders, the excess cash wil be kept in reserve account. On the other hand, if the cash collection (plus any reserve available) is less than the required cash payouts to certificate holders, the junior certificate holders may not receive any payment. Certificate C is mcre junior than B and B is more junior than A. d. Any portion of payment that cannot be made due to insufficient fund will be recorded as unrecoverable losses.

Answers

Mortgage-backed securities (MBS) are securitized investment tools that are usually the most prevalent form of structured finance. They provide investors with an opportunity to invest in mortgages that are traditionally only available to banks and financial institutions.

MBSs involve the pooling of a large number of mortgage loans, which are then securitized into a single investment instrument. They are often divided into various classes of securities or tranches, each with its own risk and return characteristics. MBS certificates are categorized into three types: A, B, and C.
MBS invests in a pool of mortgage loans with a total value of $52 million and an average coupon rate of 6% per annum. The weighted average maturity of the mortgage loan is 360 months. For simplicity, it is assumed that the mortgage loan pool has an annual default rate of 3% on average. MBS does not receive any cash for loans that default, and the mortgage pool will be written down by the default amount immediately.

It is also assumed that monthly coupon payments to certificate holders are fixed and will not change over the life of the loans. However, the actual amounts paid to certificate holders depend on whether there is enough cash to distribute to certificate holders. If the cash collected from the mortgage pool is more than the cash payouts to certificate holders, the excess cash will be kept in a reserve account. If the cash collection (plus any reserve available) is less than the required cash payouts to certificate holders, the junior certificate holders may not receive any payment. Certificate C is more junior than B, and B is more junior than A.

In conclusion, this assignment will use SAS to model cash inflows/outflows of a simple MBS. The model will project the future cash collection from mortgage loans based on different default risk assumptions and then allocate cash available to MBS certificate holders. The model will allow investors to estimate risk-return under different default scenarios.

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. Incremental innovation often involves open-ended experimentation which can be very time consuming. True or False

2. Companies are rarely reluctant to invest time and resources in activities with an unknown future. True pr Fa;se

3. Firms using a focused approach to corporate entrepreneurship do NOT separate corporate venturing activities from ongoing operations of the firm. True or False

4. Exit champions are often eager to gather hard data about a venture because it might kill the project. True or Flase

5. The term skunkworks is used to refer to a specialized type of outside contractor that corporations use to develop entrepreneurial ideas. True or False

6. Successful corporate entrepreneurship requires firms to reach deep within their current operations and markets in the pursuit of new opportunities. True or False

Answers

1. True. Incremental innovation often involves open-ended experimentation which can be very time-consuming.

Incremental innovation refers to making small changes and improvements to the existing products, services, or processes of the company. It often involves open-ended experimentation, which can be very time-consuming and costly.

2. False. Companies are often reluctant to invest time and resources in activities with an unknown future. Activities with an unknown future include new product development, research and development, and corporate entrepreneurship. Companies often weigh the potential risks and benefits of such activities before investing time and resources.

3. False. Firms using a focused approach to corporate entrepreneurship separate corporate venturing activities from the ongoing operations of the firm. This allows the corporate venture to be more agile, flexible, and innovative. It also helps to shield the corporate venture from the bureaucracy and politics of the parent organization.

4. False. Exit champions are often eager to gather hard data about a venture because it might SAVE the project. Exit champions are individuals or groups who advocate shutting down a corporate venture. They often gather hard data and evidence to support their case.

5. False. The term skunkworks is used to refer to a specialized type of in-house unit that corporations use to develop entrepreneurial ideas. Skunkworks are autonomous, self-contained units that are given the freedom and resources to develop new products, services, or processes without being burdened by the bureaucracy and politics of the parent organization.

6. True. Successful corporate entrepreneurship requires firms to reach deep within their current operations and markets in the pursuit of new opportunities. This requires a deep understanding of the market, customer needs, and the firm's own capabilities. It also requires the willingness to take risks, experiment, and learn from failures.

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in your economics class, each homework problem set is graded on the basis of a maximum score of 100. you have completed 9 out of 10 of the problem sets for the term, and your current average grade is 88. a. what range of grades for your 10th problem set will raise your overall average? 0 to 87 89 to 100 70 to 99 0 to 90 b. what range will lower your overall average? 0 to 87 89 to 100 0 to 90 70 to 99

Answers

In this particular scenario, the current average grade is 88 and the student has completed 9 out of 10 problem sets. So, the total score the student has earned so far is 792. This was calculated by multiplying 88 by 9.Now, we can set up an equation to determine the range of grades required to raise the student's overall average to 90.

Since the total possible points for the course are 1000 (10 sets of 100 points), the equation can be written as:(792 + x) / 1000 = 0.90 (where x represents the score on the tenth problem set)Multiplying both sides by 1000, we get:792 + x = 900Solving for x, we get:x = 108So, the range of grades that will raise the student's overall average is 89 to 100. Any score between 89 and 100 on the tenth problem set will bring the student's average up to 90 or higher.Now, to find the range of grades that will lower the student's overall average, we can repeat the same process but set the desired average to 87:(792 + x) / 1000 = 0.87Multiplying both sides by 1000, we get:792 + x = 870Solving for x, we get:x = 78So, the range of grades that will lower the student's overall average is 0 to 87. Any score on the tenth problem set that is lower than 87 will bring the student's average down. Therefore, the correct option is (a) 0 to 87.

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Company. Advertising expense $ 28,750 Direct labor anven W $675,480 Indirect labor 159,475 Office salarios expense.. 63,000 Rent expense-Office space.. 22.000 Depreciation expense-Office equipment Depreciation expense-Selling equipment..... Depreciation expense-Factory equipment...... Raw materials purchases (all direct materials).... Maintenance expense-Factory equipment Factory utilities 7,250 8,600 49,325 925,000 35,400 33,000 Rent expense-Selling space 26,100 Rent expense-Factory building. 76,800 Sales salaries expense ve 392,560 Required Identify each cost as either a product cost or a period cost. If a product cost, classify it as direct materials, direct labor, or factory overhead. If a period cost, classify it as a selling expense or a general and administrative expense.

Answers

A company can have different types of costs, and each type of cost is categorized as either a product cost or a period cost. The classification of costs is important for budgeting, financial reporting, and strategic decision-making.

Product costs are those costs that are incurred in the manufacturing of a product, while period costs are those costs that are incurred over a period of time, irrespective of the number of products manufactured. The cost of advertising, office salaries, and sales salaries expense is considered a period cost because these costs are not directly related to the production of goods.

Indirect labor, maintenance expense, and factory utilities are considered factory overhead because they are incurred during the production process. Raw materials purchases are considered direct materials because they are directly used in the production process. Direct labor is considered a product cost because it is directly involved in the manufacturing of a product.

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Schedule of Activity Costs
Quality Control Activities Activity Cost
Process audits $50,300
Training of machine operators 28,700
Processing returned products 18,400
Scrap processing (disposal) 26,900
Rework 5,700
Preventative maintenance 27,900
Product design 43,600
Warranty work 9,500
Finished goods inspection 22,400
From the provided schedule of activity costs, determine the value-added costs.
a.$233,400
b.$182,400
c.$150,500
d.$172,900

Answers

To determine the value-added costs from the provided schedule of activity costs, we need to identify the costs that directly contribute to the creation of value for the customer or the final product. Value-added costs are those activities that customers are willing to pay for because they enhance the product or service.

From the given list, the value-added costs are generally related to activities that directly contribute to the production or improvement of the product. These activities include training of machine operators, product design, preventative maintenance, and finished goods inspection.

Adding up the costs of these value-added activities, we have:

Training of machine operators ($28,700) + Product design ($43,600) + Preventative maintenance ($27,900) + Finished goods inspection ($22,400) = $122,600

Therefore, the value-added costs from the provided schedule amount to $122,600.

None of the given answer choices match this amount exactly, so it seems that there might be an error in the options provided. However, based on the calculations, the closest answer choice would be option (c) $150,500.

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_ (blank) _ defines the objectives of the new or modified system and develops a detailed description of the functions that the new system must perform. Select one: a. programming b. documentation c. audit d. conversion e. requirements analysis

Answers

The blank that defines the objectives of the new or modified system and develops a detailed description of the functions that the new system must perform is e. requirements analysis.

Requirements analysis is a critical phase in the development of a new or modified system. It involves identifying and documenting the objectives, goals, and specifications that the system should fulfill. During this phase, the project team works closely with stakeholders to gather and analyze their requirements, ensuring a clear understanding of what the system needs to accomplish.

The objectives of the new or modified system are defined through thorough discussions, interviews, and documentation of user needs and expectations. These requirements are then analyzed to identify the core functions and features that the system must deliver. This analysis helps in establishing a solid foundation for the subsequent stages of system design, development, and implementation.

Effective requirements analysis is crucial for project success as it helps in aligning the development efforts with the desired outcomes. It ensures that the system meets the needs of stakeholders, enhances efficiency, and delivers value to the organization.

Therefore, requirements analysis plays a pivotal role in the system development lifecycle by defining objectives and capturing detailed functional requirements. It serves as the basis for designing and building a system that addresses the specific needs of stakeholders.

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Think of a relevant example in your own life of how a change in the market (including income, preferences, technology, price of alternative goods, regulations, taxes, etc.) has shifted either the supply or demand of a good or services. How did this change affect the market equilibrium for that good or service? Explain with the help of diagrams and calculations.

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The introduction of online streaming platforms has caused a decrease in demand for physical DVDs, a decrease in price, and a decrease in quantity.

In my own life, I have witnessed how the emergence of online streaming platforms, such as Netflix and Amazon Prime Video, has altered the market for movies and significantly impacted the demand for physical DVDs. Prior to the rise of streaming services, DVDs were a popular choice for movie enthusiasts. However, with the convenience and affordability of streaming platforms, the demand for DVDs has decreased.

This shift in demand can be illustrated using a demand and supply diagram. The demand curve for DVDs has shifted to the left due to the availability of streaming services. As a result, the equilibrium price of DVDs has decreased, and the quantity supplied has decreased as well. The decrease in demand has created downward pressure on the price of DVDs as consumers now have alternative options to access movies.

Furthermore, the decrease in demand for DVDs has also affected the production and supply of DVDs. Movie production companies and retailers have adjusted their strategies to meet the changing demand, leading to a reduction in the quantity supplied.

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I can explain how changes in market factors can affect the supply and demand of a good or service and how they influence the market equilibrium using a general explanation.

In general, changes in market factors such as income, preferences, technology, prices of alternative goods, regulations, or taxes can shift the supply or demand curve for a good or service. For example, an increase in income can lead to a higher demand for luxury goods, shifting the demand curve to the right. On the other hand, advancements in technology can increase the efficiency of production, leading to an increase in supply and shifting the supply curve to the right. The impact on the market equilibrium depends on the specific nature of the change and the relative shifts in supply and demand. If both curves shift in the same direction, the equilibrium quantity will change, but the impact on the equilibrium price will depend on the magnitude of the shifts. If one curve shifts more than the other, both the equilibrium price and quantity will be affected. Detailed analysis with diagrams and calculations would require specific data and market information, which I do not have access to. It is advisable to consult economic models or professionals for a thorough analysis based on real-world data.

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5 points V Compare and contrast transactional and transformational leadership styles For the toolbar, press ALT F10 (PC) or ALTEN+F10(Mac). BI V S Paragraph Arial 10pt 6F11: x X, जाना. 田田�

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Transactional and transformational leadership styles are two distinct approaches to leadership that have different focuses and outcomes. Here are the key points of comparison and contrast between the two styles:

1. Focus:

- Transactional leadership: This style of leadership emphasizes the transactional relationship between the leader and followers. It focuses on the exchange of rewards and punishments for performance and compliance with established goals and procedures.

- Transformational leadership: This style of leadership emphasizes inspiring and motivating followers to achieve their full potential. It focuses on creating a vision, fostering innovation and creativity, and developing strong relationships with followers.

2. Approach to Motivation:

- Transactional leadership: Transactional leaders motivate their followers through a system of rewards and punishments. They use contingent rewards to incentivize desired behavior and corrective actions to address poor performance.

- Transformational leadership: Transformational leaders motivate their followers by appealing to their higher-order needs and aspirations. They inspire and empower followers to go beyond their self-interests and work towards collective goals.

3. Relationship with Followers:

- Transactional leadership: Transactional leaders maintain a more formal and transactional relationship with their followers. The focus is on achieving specific targets and meeting expectations through clear instructions and monitoring.

- Transformational leadership: Transformational leaders foster a more personal and emotional connection with their followers. They establish trust, respect, and rapport, and encourage individual growth and development.

4. Change Orientation:

- Transactional leadership: Transactional leaders maintain stability and focus on maintaining existing systems and processes. They ensure adherence to rules and procedures and make incremental improvements.

- Transformational leadership: Transformational leaders embrace change and actively seek to transform the organization. They challenge the status quo, promote innovation, and encourage followers to think outside the box.

5. Long-term Impact:

- Transactional leadership: Transactional leadership may lead to short-term gains in productivity and efficiency but may not foster long-term growth or innovation.

- Transformational leadership: Transformational leadership has the potential for long-term impact by creating a culture of continuous improvement, fostering creativity, and driving organizational success.

In summary, while transactional leadership focuses on the exchange of rewards and punishments for compliance, transformational leadership emphasizes inspiration, motivation, and personal growth. Transactional leadership is more task-oriented and transactional in nature, while transformational leadership is more relationship-oriented and transformational in nature. Both styles have their strengths and can be effective in different contexts, but transformational leadership is often associated with long-term organizational growth and innovation.

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.Nagy Corporation reported the following income statement in 20X1, along with a comparable income statement for 20X0, its first year of operations:

Income Statement, 20X1 and 20X0
($ in millions)
20X1 20X0
Sales $ 350 $ 280
Cost of goods sold (188 ) (170 )
Depreciation expense (40 ) (38 )
Interest expense (25 ) (22 )
Fixed asset impairment (30)
Other operating expenses (99 ) (92 )
Loss before income tax benefit (32 ) (42 )
Income tax benefit 7 9
Net income $ (25 ) $ (33 )
In its Form 10-K, Nagy also provided a non-GAAP metric, earnings before depreciation and one-time charges, which was a pre-tax earnings measure that excluded depreciation expense and the one-time fixed-asset impairment charge in 20X1. Nagy reported that its earnings before depreciation and one-time charges was $38 million in 20X1 versus a $4 million loss in 20X1.

Required:

Provide the reconciliation (for both 20X1 and 20X0) to the nearest GAAP counterpart that Nagy must include with its non-GAAP metric. (Enter your answers in million. Amounts to be deducted should be indicated by a minus sign.)

($ in millions) 20X1 20X2
Income / Loss:
Adjustments:
Earnings (loss) before depreciation and one-time charges $ $

Answers

($ in millions) 20X1 20X0

Income / Loss:

Earnings (loss) before depreciation and one-time charges $38 $-4

Adjustments:

Add: Depreciation expense $40 $38

Add: Fixed asset impairment $30 $0

Net income (loss) per GAAP $8 $-42

In the reconciliation for 20X1, Nagy Corporation needs to add back the depreciation expense of $40 million and the fixed asset impairment charge of $30 million to the non-GAAP earnings to arrive at the net income per GAAP of $8 million. The depreciation expense and fixed asset impairment are non-cash charges that are included in the GAAP net income calculation but excluded in the non-GAAP metric.

In the reconciliation for 20X0, there are no adjustments needed as there were no one-time charges or non-GAAP metrics mentioned for that year. The net income per GAAP is already reported as a loss of $-33 million.

These reconciliations are necessary to provide transparency and allow investors and stakeholders to understand the differences between the non-GAAP metric and the GAAP net income. It helps to provide a clearer picture of the company's financial performance and ensures consistency in reporting.

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Help with creating an ERD!!!

Now lets consider designing a database for the a car lot. Consider the following statements ->

Our car lot sells many cars every month (we have a big inventory)

Our car lot has many customers (everyone loves us!)

Our car lot has many sales persons (we are ready to help our customers)

Each car sale persons sells many cars a week (our prices are great)

Our car lot provides many mechanical services (all our mechanics are experts)

Our Service department has many mechanics (any mechanic would love to work here)

Our mechanics provide service to our customers (our repeat business is awesome)

Examine the above information and determine the Entities.

With each entity - determine some attributes for each entity. As a note - is there any information in the above statements that is not helpful for our database design?

Now lets consider our Car Lot database design and determine the relationship of our Entities

Answers

Based on the information provided, we can identify the following entities for the Car Lot database:

Attributes: Lot ID, Lot Name, Location

Car:

Attributes: Car ID, Car Make, Car Model, Car Year, Price, Color, Mileage

Customer:

Attributes: Customer ID, Customer Name, Contact Number, Email Address

Salesperson:

Attributes: Salesperson ID, Salesperson Name, Contact Number, Email Address

Service Department:

Attributes: Department ID, Department Name, Location

Mechanic:

Attributes: Mechanic ID, Mechanic Name, Contact Number, Email Address

Sale:

Attributes: Sale ID, Car ID, Customer ID, Salesperson ID, Sale Date

Service:

Attributes: Service ID, Car ID, Customer ID, Mechanic ID, Service Date, Service Description

The information provided is helpful in designing the database, as it outlines the entities and their attributes. However, there may be additional attributes or relationships that could be identified based on specific requirements or business rules. For example, we may need to consider additional attributes such as Car VIN (Vehicle Identification Number) or Salesperson Commission.

Now, let's determine the relationships between the entities:

Car Lot - Car:

One Car Lot can have many Cars (One-to-Many relationship)

Car Lot is the "one" side, and Car is the "many" side

Car Lot - Customer:

One Car Lot can have many Customers (One-to-Many relationship)

Car Lot is the "one" side, and Customer is the "many" side

Car Lot - Salesperson:

One Car Lot can have many Salespersons (One-to-Many relationship)

Car Lot is the "one" side, and Salesperson is the "many" side

Salesperson - Sale:

One Salesperson can have many Sales (One-to-Many relationship)

Salesperson is the "one" side, and Sale is the "many" side

Car Lot - Service Department:

One Car Lot can have many Service Departments (One-to-Many relationship)

Car Lot is the "one" side, and Service Department is the "many" side

Service Department - Mechanic:

One Service Department can have many Mechanics (One-to-Many relationship)

Service Department is the "one" side, and Mechanic is the "many" side

Customer - Sale:

One Customer can have many Sales (One-to-Many relationship)

Customer is the "one" side, and Sale is the "many" side

Customer - Service:

One Customer can have many Services (One-to-Many relationship)

Customer is the "one" side, and Service is the "many" side

Car - Sale:

One Car can have many Sales (One-to-Many relationship)

Car is the "one" side, and Sale is the "many" side

Car - Service:

One Car can have many Services (One-to-Many relationship)

Car is the "one" side, and Service is the "many" side

It is important to note that these relationships are based on the information provided and can be modified or expanded depending on the specific requirements and business rules of the car lot.

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Match each shock to the impact it has on the aggregate demand curve. autonomous consumption increases [Choose] marginal propensity to consume [Choose] increases government spending decreases [Choose] aggregate income increases [Choose]

Answers

The correct match for the impact each shock has on the aggregate demand curve are:autonomous consumption increases [shifts the curve to the right]. A) marginal propensity to consume increases [shifts the curve to the right].

government spending decreases [shifts the curve to the left]. aggregate income increases [shifts the curve to the right]. The autonomous consumption increases results in the shift of the curve to the right.

Marginal propensity to consume increases has the same effect. Government spending decreases is a shock that results in the shift of the curve to the left.

Aggregate income increases is another shock that shifts the curve to the right.It is important to note that when any of these shocks occur, they may affect aggregate demand either positively or negatively.

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INTERNATIONAL MARKETING

Explain the difference between a low-masculinity culture and a high-masculinity culture. Name a country that is an example of each type and discuss how this could impact the marketing strategy of a company.

Answers

Low Masculinity culture:In low masculinity cultures, the roles of men and women have less differentiation, and they share a relatively equal status. These societies value modesty, cooperation, and the quality of life, and they are often more relaxed. People in these societies prefer compromise to conflict and tend to be more tolerant and accepting of others.  

 

The high Masculinity culture:In high masculinity cultures, the roles of men and women are more differentiated, and men have more power than women. In these societies, success, achievement, and competition are highly valued, and people are encouraged to be assertive and independent. People in these societies tend to be less patient and more aggressive, and they are more likely to use force or intimidation to get what they want.Examples:Low-masculinity culture - Sweden is an example of a country with a low-masculinity culture. In such societies, gender roles are fluid, and women have significant access to educational and employment opportunities. Therefore, companies marketing products in such a country would need to make sure that they are not perpetuating stereotypes of traditional gender roles.High-masculinity culture - Japan is an example of a country with a high-masculinity culture. In such societies, men have traditionally been more powerful than women, and they have more access to educational and employment opportunities. Therefore, companies marketing products in such a country would need to make sure that they are appealing to the strong, independent spirit of Japanese men.  

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On January 1, Year 2, PAT Ltd. acquired 90% of SAT Inc. when SAT’s retained earnings were $890,000. There was no acquisition differential. PAT accounts for its investment under the cost method. SAT sells inventory to PAT on a regular basis at a markup of 30% of selling price. The intercompany sales were $140,000 in Year 2 and $170,000 in Year 3. The total amount owing by PAT related to these intercompany sales was $40,000 at the end of Year 2 and $30,000 at the end of Year 3. On January 1, Year 3, the inventory of PAT contained goods purchased from SAT amounting to $50,000, while the December 31, Year 3, inventory contained goods purchased from SAT amounting to $60,000. Both companies pay income tax at the rate of 40%. Selected account balances from the records of PAT and SAT for the year ended December 31, Year 3, were as follows: PAT SAT Inventory $ 490,000 $ 290,000 Accounts payable 590,000 310,000 Retained earnings, beginning of year 2,390,000 1,090,000 Sales 3,990,000 2,490,000 Cost of sales 3,090,000 1,690,000 Income tax expense 280,000 350,000 Required: (a) Determine the amount to report on the Year 3 consolidated financial statements for the selected accounts noted above. (Omit $ sign in your response.) Inventory $ Accounts payable Retained earnings, beginning of year Sales Cost of sales Income tax expense

Answers

Given that PAT Ltd. acquired 90% of SAT Inc. when SAT’s retained earnings were $890,000 and PAT accounts for its investment under the cost method.

SAT sells inventory to PAT on a regular basis at a markup of 30% of the selling price. The intercompany sales were $140,000 in Year 2 and $170,000 in Year 3 and both companies pay income tax at the rate of 40%.

Firstly, let's find the intercompany profit by subtracting the cost of goods sold from the sales price. The calculation is shown below: Intercompany profit for Year 2: $140,000 × 30% = $42,000Intercompany profit for Year 3: $170,000 × 30% = $51,000.

Now, let us calculate the balance in the consolidated retained earnings of PAT and SAT as of December 31, Year 3 using the formula: Consolidated Retained Earnings = [Retained Earnings PAT (Beginning of Year 3) + Retained Earnings SAT (Beginning of Year 3)] + [(PAT’s net income + SAT’s net income) - Consolidated Dividends declared]

The consolidated retained earnings balance will be:Consolidated Retained Earnings = [2,390,000 + 1,090,000] + [(590,000 - 490,000) × (1 - 0.4)] + [(310,000 - 290,000) × (1 - 0.4)] + [(PAT’s net income + SAT’s net income) - Consolidated Dividends declared] = 3,480,000 + 60,000 + 12,000 + [(780,000 + 550,000) - Consolidated Dividends declared]

Now, let's calculate the income tax expense and net income for PAT and SAT: Income Tax Expense PAT = 40% × ($780,000 - $280,000) = $200,000 Income Tax Expense SAT = 40% × ($550,000 - $350,000) = $80,000

Net income PAT = $780,000 - $280,000 - $42,000 - $200,000 = $ 258,000 Net income SAT = $550,000 - $350,000 - $51,000 - $80,000 = $69,000. Now, we can proceed to calculate the consolidated figures for PAT and SAT for the selected accounts noted above.

The calculations are shown below: Inventory = $490,000 + $60,000 - $50,000 = $500,000 Accounts payable = $590,000 + $310,000 - $30,000 = $870,000Retained earnings, the beginning of year = $3,480,000 Sales = $3,990,000 + $2,490,000 = $6,480,000

Cost of sales = $3,090,000 + $1,690,000 = $4,780,000 Income tax expense = $200,000 + $80,000 = $280,000.

Therefore, the amount to report on the Year 3 consolidated financial statements for the selected accounts are as follows: Inventory = $500,000 Accounts payable = $870,000 Retained earnings, the beginning of year = $3,480,000 Sales = $6,480,000 Cost of sales = $4,780,000 Income tax expense = $280,000

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Case Study

You are a business analyst who has just joined the commission system replacement project at PrivateWealth. The project has been running for six months, and half of the planned analysis work has been completed.

As part of the orientation, you have decided to review the project's requirements traceability matrix. But, you have found that the matrix does not exist, and requirements are maintained in multiple separate documents. You spent the next day reviewing the project documentation and came up with a list of business needs, requirements, and risk/opportunities. You have even found some test cases for built functionality.

Create a Requirements Traceability Matrix using Microsoft Excel. Populate the matrix, using the business needs and requirements in your list. Assign attributes to the requirements. Accompany your Requirements Traceability and explain the matrix, attributes, and attribute values.

Business Needs and Requirements

Access to data must be provided via a role assignment.
Change a transaction value by using an account with a role assignment that allows only for reading the data.
The Compliance department user must be able to view only the sales transactions of financial advisors.
The contact center representative must have access to view the data of all financial advisors.
Data from the system must be aggregated, before it is loaded to the general ledger system.
Enter a transaction for financial advisor in Field Office 9 using an account with a role assignment that allows to read, change, and add data for Field Offices 1 to 9.
Old technology will not be supported by the vendor within the next five years.
Only Commission department users should be able to run payroll.
Replace the outdated commission system with a modern solution that is cheaper and easier to maintain.
The data in the new system must be secured from unauthorized usage.
The new commission system must provide data to post to the general ledger system.
The new system must provide all required operational, management, compliance, and regulatory reports.
The system must integrate into existing technical infrastructure.
The system must provide payslip and tax forms for financial advisors.
The system must have a role in read-only access.
The system must have a role that provides read-only access to sales transactions.
The system must have a role to restrict read, change, and add data by field office IDs.

Answers

The requirements traceability matrix is an important component of project management that provides documentation of each requirement from its inception through its implementation and testing.

Microsoft Excel is an effective tool for creating a requirements traceability matrix since it provides the capability to manage information and generate reports. A traceability matrix can help ensure that each requirement is accounted for and traceable to related work products such as test cases. Requirements Traceability Matrix for Commission System Replacement Project at PrivateWealthAttributesValuesRequirement IDRequirement NameBusiness NeedAttribute TypeAttribute ValueREQ-01Access to data must be provided via a role assignment.Access to DataPriorityMREQ-02Change a transaction value by using an account with a role assignment that allows only for reading the data.Change Transaction ValueRequirement TypeFunctionalREQ-03The Compliance department user must be able to view only the sales transactions of financial advisors for business.

View Compliance Department UserPriorityHREQ-04The contact center representative must have access to view the data of all financial advisors.View Contact Center RepresentativePriorityLREQ-05Data from the system must be aggregated before it is loaded to the general ledger system.Data AggregationPriorityMREQ-06Enter a transaction for financial advisor in Field Office 9 using an account with a role assignment that allows to read, change, and add data for Field Offices 1 to 9.Enter Transaction for Financial AdvisorRequirement TypeFunctionalREQ-07Old technology will not be supported by the vendor within the next five years.Replace Outdated Commission SystemPriorityHREQ-08Only Commission department users should be able to run payroll.Run PayrollPriorityMREQ-09Replace the outdated commission system with a modern solution that is cheaper and easier to maintain.Replace Outdated Commission SystemRequirement TypeFunctionalREQ-10The data in the new system must be secured from unauthorized usage.

Secure DataPriorityHREQ-11The new commission system must provide data to post to the general ledger system.Post DataPriorityHREQ-12The new system must provide all required operational, management, compliance, and regulatory reports.Generate ReportsRequirement TypeFunctionalREQ-13The system must integrate into existing technical infrastructure.System IntegrationPriorityMREQ-14The system must provide payslip and tax forms for financial advisors.Provide Payslip and Tax FormsRequirement TypeFunctionalREQ-15The system must have a role in read-only access.Access RolesRequirement TypeFunctionalREQ-16The system must have a role that provides read-only access to sales transactions.

Access RolesRequirement TypeFunctionalREQ-17The system must have a role to restrict read, change, and add data by field office IDs.Access RolesRequirement TypeFunctionalRequirements traceability matrix is a tool that provides documentation of each requirement from its inception through its implementation and testing. This matrix contains different attributes that assign specific values to each requirement based on priority, requirement type, and attribute type. This matrix ensures that each requirement is accounted for and traceable to related work products such as test cases. Microsoft Excel is an effective tool for creating a requirements traceability matrix since it provides the capability to manage information and generate reports.

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what should be the primary purpose of the talent management process?

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The primary purpose of the talent management process is to identify, attract, develop, and retain the best employees in an organization.

It is a set of practices that involve the recruitment, selection, and training of employees to meet the strategic objectives of the organization and improve the performance of employees. There are several reasons why talent management is important. The first reason is that it helps organizations to identify the skills and knowledge required to perform specific jobs. This helps organizations to recruit employees who are a good fit for the job. The second reason is that it helps organizations to develop employees' skills and knowledge. By providing training and development opportunities, employees can become more skilled and productive.

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The relative financial stability following the Great Depression was ended by: The relative financial stability following the Great Depression was ended by: Multiple Choice stagflation. O the Great Recession. the Great Crash World War II.

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The relative financial stability following the Great Depression was ended by World War II.

The Great Depression was a global economic downturn in the 1930s that lasted from 1929 until the end of the decade. The Great Depression was caused by a combination of factors, including bank failures, stock market crashes, drought conditions, and other issues. The Great Depression is frequently referred to as the most severe economic downturn in human history. Following the Great Depression, the US government implemented various reforms to help mitigate the effects of the recession. However, the relative financial stability of the 1940s was ended by World War II. During the war, the government ramped up production, leading to significant economic growth. This resulted in a strong economy in the postwar period, but it also ended the relative financial stability that had existed following the Great Depression. The government's economic policies during and after the war contributed significantly to this. Additionally, the war itself was incredibly costly, leading to significant economic strain. Overall, while World War II led to significant economic growth, it also ended the relative financial stability that had existed following the Great Depression.

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comlpete question:The relative financial stability following the Great Depression was ended by: The relative financial stability following the Great Depression was ended by: Multiple Choice

stagflation.

the Great Recession.

the Great Crash

World War II.

How does political logic differ from economic logic? And under what conditions do they diverge or converge? What implications do they have for the state vis-à-vis the market, and for wealth and poverty?

Answers

The policies may lead to increased wealth inequality or decrease it, based on the effectiveness of the policies.

Political logic is referred to as the ways in which authority is organized and used, while economic logic is related to the production, circulation, and use of commodities and wealth. Political logic and economic logic may converge or diverge, depending on the political system and its economic policy.

The divergence between economic and political logic usually occurs when the government is pursuing goals that conflict with or limit the interests of market stakeholders. Political logic and economic logic converge when political actions taken by a government complement and reinforce the objectives of the market.

A state's political and economic objectives have a significant impact on the market, wealth, and poverty. Government policy can either promote or impede economic growth, leading to changes in the overall distribution of wealth and poverty. Government policies may also influence market activity by establishing barriers to entry, setting pricing rules, or promoting particular industries.

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CASE: On Gulf Air flights, a passenger needs to pay extra money if he/she has an extra bag, above what is allowed by their ticket, but university students can bring one extra bag free of charge. QUESTION: Which Segmented Pricing strategy is being used in this example? FU FALU

Answers

The segmented pricing strategy being used in the given example is FALU (Flat Allowance with Variable User Charges).

FALU (Flat Allowance with Variable User Charges) is a segmented pricing strategy in which a flat rate is charged for a basic service or product, but users are charged variable rates for additional services. This is accomplished by providing a flat allowance or base rate for a product or service, with additional fees charged for services or products beyond that limit.

In the provided example, Gulf Air's passengers must pay extra for their additional bags beyond what is permitted by their ticket. However, university students are granted an additional bag free of charge. Hence, Gulf Air is using a flat allowance (a set number of bags included in the ticket price) with variable user charges (additional charges applied for extra bags beyond the flat allowance), which is an example of a FALU pricing strategy.

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i) Why should service firms be concerned with yield and provide an example? ii) How might the principles of yield management be applied to a rental car company? iii) Explain two Challenges and two risks in using yield management and offer clear examples of those Subject: Marketing Services and Experiences

Answers

Service firms should be concerned with yield as it helps optimize revenue, and an example is a hotel adjusting room rates based on demand.

i) Service firms should be concerned with yield as it helps optimize revenue by effectively managing capacity and pricing. For example, a hotel can adjust room rates based on demand to maximize occupancy and revenue during peak seasons while offering discounted rates during off-peak periods to attract more guests.

ii) The principles of yield management can be applied to a rental car company by implementing dynamic pricing strategies based on factors like demand, seasonality, and availability. The company can adjust rental rates accordingly, offering higher prices during high-demand periods like holidays or events, and lower prices during slower periods to maintain utilization rates and maximize revenue.

i) Yield management is crucial for service firms as it enables them to extract maximum value from their resources. By carefully managing capacity and pricing, they can achieve optimal revenue and profitability. For example, a hotel can analyze historical booking data and market trends to determine when to increase or decrease room rates, ensuring the highest possible yield from their available inventory.

ii) Rental car companies can apply yield management principles by employing dynamic pricing algorithms that take into account factors such as reservation lead time, car availability, and market demand. By adjusting prices dynamically, the company can optimize revenue and utilization of their fleet, ensuring maximum profitability.

Yield management in service firms, such as hotels and rental car companies, is essential for revenue optimization. By effectively managing capacity and pricing based on demand and market conditions, these firms can maximize their yield and profitability. However, implementing yield management strategies also presents challenges and risks, such as demand forecasting accuracy and potential customer dissatisfaction with fluctuating prices. Thus, careful consideration and monitoring are required to mitigate these challenges and risks while reaping the benefits of yield management.

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Solare Company acquired mineral rights for $269,100,000. The diamond deposit is estimated at 29,900,000 tons. During the current year, 3,220,000 tons were mined and sold. a. Determine the depletion rate. per ton b. Determine the amount of depletion expense for the current year. c. Journalize the adjusting entry to recognize the depletion expense. If an amount box does not require an entry, leave it blank. Dec. 31 Depletion Expense Accumulated Depreciation

Answers

a. To determine the depletion rate per ton, divide the total cost of mineral rights by the estimated total tons of the diamond deposit:

Depletion rate per ton = Cost of mineral rights / Estimated total tons

Depletion rate per ton = $269,100,000 / 29,900,000 tons

b. To determine the amount of depletion expense for the current year, multiply the depletion rate per ton by the number of tons mined and sold:

Depletion expense = Depletion rate per ton * Tons mined and sold

Depletion expense = Depletion rate per ton * 3,220,000 tons

c. The journal entry to recognize the depletion expense would be as follows:

Date: December 31

Debit: Depletion Expense

Credit: Accumulated Depreciation

The exact amounts for the debit and credit would depend on the calculations in parts a and b.

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When an advertiser creates three versions of the same ad and web users are randomly shown one of the three versions so that the advertiser can determine which ad is superior, the advertiser is engaging in A/C testing A/B/C testing A/B testing B/C testing Social Media Marketing is not free since it requires work to manage a social media presence, so if an employee is managing it, it is costing money. O True O False A series RLC circuit with L = 13 mH, C = 3.8 F, and R = 6.7 is driven by a generator with a maximum emf of 100 V and a variable angular frequency . (a) Find the resonant (angular) frequency 0. (b) Find Irms at resonance. When the angular frequency = 9000 rad/s, (c) Find the capacitive reactance XC in ohms. Find the inductive reactance XL in ohms. (d) Find the impedance Z. (Give your answer in ohms.) Find Irms. (e) Find the phase angle (in degrees). 1. Write a Python program that prompts the user to enter the current month name and prints the season for that month. Hint: If the user enters March, the output should be "Spring"; if the user enters June, the output should be "Summer". 2. Write a Python program using the recursive/loop structure to print out an equilateral triangle below (single spacing and one space between any two adjacent asterisks in the same row). 3. Write a Python program that prints all the numbers from 0 to 10 except 3 and 6. Hint: Use 'continue' statement.Expected Output: 0124578910(You can add spaces or commas between these numbers if you like) 4. Write a Python program to calculate the sum and average of n integer numbers (n is provided by the user). 5. Grades are values between zero and 10 (both zero and 10 included), and are always rounded to the nearest half point. To translate grades to the American style, 8.5 to 10 become an "A" 7.5 and 8 become a "B," 6.5 and 7 become a "C," 5.5 and 6 become a "D," and other grades become an "F." Implement this translation, whereby you ask the user for a grade, and then give the American translation. If the user enters a grade lower than zero or higher than 10, just give an error message. You do not need to handle the user entering grades that do not end in .0 or .5, though you may do that if you like - in that case, if the user enters such an illegal grade, give an appropriate error message. iWhen you are on assignment and the job site supervisor asks you to do something different from or in addition to your original job description, you should: Call your Employment Service Representative and get approval before doing it. O Not risk angering the client and do it, but be extremely careful. Tell the job site supervisor to "forget it" and immediately walk off the job. All of the above. Eukaryotic chromosomes are composed of a complex of 60% protein and 40% DNA. The name of this chemical complex isa histone complexchromatina histamine complexSister chromatids there is a zero coupon bond that sells for $410.30 and has a par value of $1,000. if the bond has 21 years to maturity, what is the yield to maturity? assume semiannual compounding. A supplier claims to have a product specification of 5 +0.1 kg in weight. According to its machine operator's record, the production process actually has the sample mean of 5.02 kg and a standard deviation of 0.04 kg. Calculate the process capability index for this supplier. What is your conclusion of the supplier's quality performance? Cpk - 0.67, the process has not even reached a 3-sigma quality Cpk = 1.33, the process has achieved a 6-sigma quality Cpk = 1.33, the process has achieved a 3-sigma quality Cpk - 2, the process has achieved a 6-sigma quality Cpk - 2. the process has achieved a 3-sigma quality I and III IV A bank finds that on average there are 20 customers waiting in line in front of one teller. However, a consultant suggests that the average queue length according to the queuing model (M/M/1) should only be 10. The bank manager suspects that the consultant underestimates both the customer arrival rate and the service rate by 50%. However, the consultant suggests that this should not be a reason for the discrepancy. Is the consultant correct? No, because a higher service rate should reduce the average waiting time when the arrival rate increases at the same time Yes, because the calculated queue length should be the same even if the arrival rate and service rate are reduced by 50% Yes, because a 50% change in the arrival and service rates will lead to 100% change in the queue length No, because a higher arrival rate means a higher throughout rate and thus a longer queue length according to the Little's law No, because a higher arrival rate increases variation in service time and thus a longer queue length 3. Assume you will need $100,000 in 5 years, annual rate of intere should you invest presently? A. $60,000 B. $62, 100 C. $64, 000 D. $65,000 E. $70,000 86152100625 is 10%, how much Answer: ( ) What is nursing leadership barriers they face when implementing evidence based practice? Identify two companies working in the same sector (hotels, restaurants, and post-secondary institutions are good choices), one using a low-cost provider strategy and one using a differentiation strategy. Research these two companies mission, vision, and value statements. On July 1, 2011, Northgate Minerals issued 100 10-year bonds (par value of $1,000 each). The coupon rate on the bonds was 9%, while the market rate for a similar debt security was currently yielding 10%. Interest is paid on June 30th of each of the 10 years, with the first interest payment occurring on 6/30/2012 and the final payment (and repayment of principle) occurring on June 30 2021. Northgate incurs $5,000 in fees related to the underwriting of the bond. What journal entry(ies) will Northgate Minerals record on 7/1/2011? Question 4 3 pts On July 1, 2011, Northgate Minerals issued 100 10-year bonds (par value of $1,000 each). The coupon rate on the bonds was 9%, while the market rate for a similar debt security was currently yielding 10%. Interest is paid on June 30th of each of the 10 years, with the first interest payment occurring on 6/30/2012 and the final payment (and repayment of principle) occurring on June 30 2021. Northgate incurs $5,000 in fees related to the underwriting of the bond. What will be the issue price of this bond (i.e. what will the bond sell for)? Edit View Insert Format Tools Table 12pt Paragraph BIUA 2 T 25 % a *** D Question 6 2 pts On July 1, 2011, Northgate Minerals issued 100 10-year bonds (par value of $1,000 each). The coupon rate on the bonds was 9%, while the market rate for a similar debt security was currently yielding 10%. Interest is paid on June 30th of each of the 10 years, with the first interest payment occurring on 6/30/2012 and the final payment (and repayment of principle) occurring on June 30 2021. Northgate incurs $5,000 in fees related to the underwriting of the bond. What journal entry (if any) will Northgate Minerals record on 12/31/2011, assuming they are a 12/31 fiscal year end firm that prepares annual financial statements each year? Edit View Insert Format Tools Table There is a minimal interaction and communication between the 3PL enterprise in comparison to transactional relationship. True FalsePrevious question What will cause that active stabilization policy may destabilizethe economy if policy-maker do? You Are Working As An Auditor At Boren Ltd. You Have Been Asked To Issue A Report Regarding An Audit Client, Storey Co, Which Is Trying To Be Listed On The Stock Exchange Market In December 2023. Storey Co, For The Past Nine Years, Has Been An Audit Client Of Boren Ltd, Also Preparing Financial Statements To 31 December 2021. During The Past Nine Years, TheYou are working as an auditor at Boren Ltd. You have been asked to issue a report regarding an audit client, Storey Co, which is trying to be listed on the stock exchange market in December 2023. Storey Co, for the past nine years, has been an audit client of Boren Ltd, also preparing financial statements to 31 December 2021. During the past nine years, the senior partner at your firm, Walter Stevens, has taken much responsibility for the audit, thereby increasing the total fee income from the client to the level where it became 20 % of Storey Co total fee income as compared to 17 % in the previous year. Apart from performing audit on annual basis, your company, Boren Ltd also provides bookkeeping and accounting services to Storey Co. The accounting service as well as the bookkeeping services includes duties such as the preparation of weekly and monthly payroll for Storey Co and thereby maintaining all those financial records available. In preparation of the process of getting listed on the stock exchange, the managing director of Storey Co has approached your firm and asked for your assistance in the preparation of the share prospectus document that will have to be used on the support of the companys flotation. Your wife, Mary is also one of the individuals that are working in the accounts department for Storey Ltd as the payroll and accounts clerk. On the contents of the prospectus will include the following elements: -Previous financial statements prepared up to December 2021 -Forecasts of profit levels for the next 5 years -A brief list of key risks of the business Currently, Storey Co is reviewing the audit appointment and therefore is looking for an audit firm that will be capable of assisting them to take them through the process of listing and also to provide them a wide range of services in the future. Required: a. Identify and comment on the ethical and professional issues that may arise as a result of Boren Ltd agreeing to provide services to Storey Co. (10 Marks) b. Suggest the safeguards that can be put in place by Boren Ltd to cater for the issues that you identified and commented above. Book Value of Fixed Assets Cannington Inc. designs, manufactures, and markets personal computers and related software. Cannington also manufactures and distributes music players (CPod), mobile phones (CPhone), and smartwatches (Cannington Watch) along with related accessorles and services, including online distribution of third-party music, videos, and applications. The following information was taken from a recent annual report of Cannington: Property, Plant, and Equipment (in millions): a. Compute the book value of the fixed assets for the current year and the preceding year: A comparison of the book values of the current and preceding years indicates that they cost and accumulated depreciation reveals that Cannington purchased 5 by the additional depreciation expense of \& milion taken during the current year. b. Would you normally expect Cannington's book value of fixed assets to increase or decrease during the year? for every 1 dash point increase in college gpa, a student's study time is predicted to increase by about 0.040 hour(s). (round to three decimal places as needed.) the information on the map supports which of these conclusions? the era would have passed if the states that ratified it in one house had passed it. the era would have pass Determine the image distance for an object d0 = 6.500 cm from a diverging lens of radius of curvature 5.200 cm and index of refraction 1.700. (Express your answer as a positive quantity.) Successful supply chain management requires many decisions relating to the flow of information, product, and funds. These decisions fall into three categories or phases, depending on the frequency of each decision and the time frame during which a decision phase has an impact. Which of the following decision is at the strategic level? a O Hyundai Motor allocated a customer to be shipped by the end of Friday. O None of them O Hyundai Motor decided to produce 2 million vehicles at its Indian plants. O Hyundai Motor decided to build a second manufacturing plant in India in 2008. determine whether the statement is true or false. if it is false, rewrite it as a true statement. a data set can have the same mean, median, and mode.