An architectural design company just won the bid for a huge project. To ensure that everyone does the right work at the right times, a well-designed ________ will show who has authority over whom.
a. common purpose
b. span of control
c. chain of command
d. network structure

Answers

Answer 1

An architectural design company just won the bid for a huge project. To ensure that everyone does the right work at the right times, a well-designed chain of command will show who has authority over whom.

In a chain of command, there is a clear hierarchy of authority and reporting relationships. Each employee has a specific supervisor to whom they report, and each supervisor reports to a higher-level manager. This structure helps to clarify roles and responsibilities, establish lines of communication, and ensure that work is coordinated and executed effectively. In the case of the architectural design company, a well-designed chain of command will help to ensure that everyone involved in the project understands their role and responsibilities and that work is coordinated and executed effectively to complete the project on time and within budget.

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Related Questions

how does a report writer decide the best organization for a formal report and determine which preliminary or addenda parts to include in a report?

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A report writer decides the best organization for a formal report by considering the purpose of the report and the intended audience. The report should be structured in a logical and coherent manner, with a clear introduction, main body, and conclusion. The introduction should provide background information and an overview of the report's objectives, while the main body should present the research findings and analysis. The conclusion should summarize the key points and provide recommendations or conclusions.

In terms of addenda or preliminary parts, the report writer should include only relevant materials that support the main content of the report. Examples of addenda may include appendices, glossaries, or bibliographies. The writer should carefully consider whether to include these materials, as they should add value and clarity to the report. Ultimately, the writer should aim to provide a clear, concise, and informative report that effectively communicates the intended message to the audience.
A report writer decides the best organization for a formal report and determines which preliminary or addenda parts to include by following these steps:

1. Identify the purpose and audience: Understand the report's objective and the target audience to tailor the organization and content accordingly.

2. Choose a logical structure: Select a suitable organization pattern, such as chronological, problem-solution, or cause-effect, based on the report's purpose.

3. Create an outline: Develop a detailed outline that includes main sections and subsections to ensure a logical flow of information.

4. Select preliminary parts: Based on the report's complexity and audience, decide which preliminary sections (e.g., title page, abstract, table of contents) are necessary for clarity and ease of navigation.

5. Write the main body: Ensure the main body of the report is well-organized and covers all key points with appropriate headings and subheadings.

6. Determine addenda: Assess if additional information, such as appendices, glossaries, or bibliographies, is needed to support the main content and provide further context.

7. Review and revise: Edit and refine the report to ensure it is well-organized, clear, and concise while staying within the 100-word limit for each section, if required.

By following these steps, a report writer can create an effective formal report with a suitable organization and necessary preliminary and addenda parts.

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if inflation is currently 2.55% and a bank is lending money at 7.75% interest, what is the real interest rate the bank is earning on its loans?

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The real interest rate the bank is earning after lending the money at 7.75% interest us 5.2%

Real of Interest rate = Nominal interest rate - Inflation  

                             = 7.75 - 2.55  = 5.2%

Rising prices or inflation can be viewed as a gradual loss of purchasing power. The increase in the average price of selected products and services over time serves as an indicator of the rate of decline in purchasing power. Units of currency are actually purchased less as a result of price increases and are sometimes expressed as a percentage. Deflation, which occurs when prices fall and purchasing power rises, can be compared to inflation.

The purpose of measuring inflation is to determine the overall impact of price changes for various goods and services. It provides a single value representing the increase in the cost of goods and services in the economy over time.

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running press created a line of palm-sized mini books that were sold as point-of-sale impulse items. the company grew rapidly, even though it had a small fraction of the sales in the publishing industry. they used a pure overall cost leadership strategy to capture market share

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Running Press used a pure overall cost leadership strategy to capture market share.

Running Press, a publishing company, created a line of palm-sized mini books that were sold as point-of-sale impulse items. Despite having a small fraction of the sales in the publishing industry, the company grew rapidly. This was largely due to their cost leadership strategy, which involved keeping costs low while still maintaining a high level of quality. By offering their products at a lower price point than their competitors, Running Press was able to capture a larger share of the market.

Running Press's success can be attributed to their use of an overall cost leadership strategy. By offering their mini books at a lower price point than their competitors, they were able to capture market share and achieve rapid growth, despite having a small fraction of the sales in the publishing industry.

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FILL IN THE BLANK. this term is calculated by dividing annual dividends received per share with the market price of the share: ___

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The term that is calculated by dividing annual dividends received per share with the market price of the share is known as the dividend yield.

This is an important metric that investors use to evaluate the return on their investment in a particular stock. Dividend yield is expressed as a percentage and is calculated by dividing the annual dividend payment per share by the current market price per share. A high dividend yield indicates that a company is paying a larger percentage of its profits in dividends, while a low dividend yield suggests that the company is retaining more of its profits to reinvest in the business.

Investors typically look for stocks with a high dividend yield as they provide a steady stream of income, making them particularly attractive for those seeking a passive income stream. However, it is important to consider other factors such as the company's financial health, growth prospects, and dividend history before investing in a stock solely based on its dividend yield.

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a group of students decided to lease and run a gasoline service station. the lease is for 10 years. almost immediately the students were confronted with the need to alter the gasoline pumps to read in liters. the dayton company has a conversion kit available for $3000 that may be expected to last 10 years. the firm also sells a $1000 conversion kit that has a 5-year useful life. the students believe that any money not invested in the conversion kits may be invested elsewhere at a 10% interest rate. income tax consequences are to be ignored in this problem. (a) assuming that future replacement kits cost the same as today, which alternative should be selected? (b) if one assumes a 4% inflation rate, which alternative should be selected?

Answers

The students should select the $3,000 conversion kit that lasts for 10 years.

(a) To determine which alternative to select, we need to calculate the present value of each option. Using a discount rate of 10%, the present value of the $3,000 conversion kit that lasts for 10 years is $3,000. However, the present value of the $1,000 conversion kit that has a useful life of 5 years is $3,170. This means that choosing the cheaper option would be more expensive in the long run.

(b) Assuming a 4% inflation rate, we need to adjust our calculations for the present value of the future replacement kits. Using the same discount rate of 10%, the present value of the $3,000 conversion kit that lasts for 10 years is $2,113, and the present value of the $1,000 conversion kit that has a useful life of 5 years is $1,643. This means that the cheaper option is now more attractive due to the higher cost of future replacement kits. Therefore, the students should select the $1,000 conversion kit that has a useful life of 5 years if the inflation rate is 4%.

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A fundamental source of monopoly market power arises from:.

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Entry barriers are monopolies' primary reason. There are three sources of entry barriers: • Possession of a valuable resource. The government grants one company the sole authority to create a good. A single producer is more effective than several producers due to production costs.

When there is just one producer in a market, a monopoly develops. In this instance, the demand curve a firm is facing is the same as the market demand curve. the quantity of an item or service that is desired at each price. Barriers to entry are the primary reason for monopolies, as they prevent other businesses from entering the market and competing with the monopoly.

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Elena owned a hair salon where she offered hair care services and related hair care products. In which of the following ways would Elena market the hair care services differently than the hair care products? O She would focus on advertising that the salon uses hair products endorsed by celebrities. She would focus on the skill level and technique provided by the stylists. She would focus on advertising the salon's upscale location and decor. She would focus on the variety of items available for customers to purchase.

Answers

Option C: Elena would focus on the skill level and technique provided by the stylists.

Businesses that offer their clients a service can utilise services marketing to raise their brand recognition and revenue. Services marketing, as opposed to product marketing, is concerned with promoting immaterial exchanges that benefit consumers.

Effective service marketing techniques are used by advertisers to win over clients' trust and demonstrate the value of their services. To assist them sell their services, businesses may build their service marketing tactics on the promotion of concepts, advantages, and promises. Companies that offer services employ services marketing techniques to connect with prospective clients.

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Complete question:

Elena owned a hair salon where she offered hair care services and related hair care products.

In which of the following ways would Elena market the hair care services differently than the hair care products?

She would focus on the variety of items available for customers to purchase.

She would focus on advertising the salon's upscale location and decor.

She would focus on the skill level and technique provided by the stylists.

She would focus on advertising that the salon uses hair products endorsed by celebrities.

which of the following statements about a holding company organizational structure are true? (check all that apply.) multiple select question. it often provides synergies that can be shared across companies. it is the most appropriate structure for firms that use an unrelated diversification corporate strategy. it includes units with a great deal of autonomy. it is often referred to as a conglomerate.

Answers

A holding company is a type of financial organization that owns a controlling interest in other companies, which are called subsidiaries. Option (A), (C) & (D) are correct.

A holding company structure allows for the consolidation of various companies under one umbrella, providing opportunities for synergies and sharing of resources, expertise, and market presence across the subsidiary companies.

Each subsidiary operates as a separate entity, maintaining its own management, operations, and decision-making authority, while being overseen by the holding company.

A conglomerate is a large corporation or entity that consists of diverse business units operating in different industries or sectors, often acquired through acquisitions or investments.

Hence, the organizational structure often provides synergies that can be shared across companies, it includes units with a great deal of autonomy, and it is often referred to as a conglomerate.

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the tennis shoe company has concluded that additional equity financing will be needed to expand operations and that the needed funds will be best obtained through a rights offering. it has correctly determined that as a result of the rights offering, the share price will fall from $44 to $40.00 ($44 is the rights-on price; $40.00 is the ex-rights price, also known as the when-issued price). the company is seeking $22 million in additional funds with a per-share subscription price equal to $30. how many shares are there currently, before the offering? (assume that the increment to the market value of the equity equals the gross proceeds from the offering.

Answers

There are currently approximately 21,576 shares outstanding before the rights offering.

We can use the formula for the value of a firm's equity before and after a rights offering;

V₀ = V₁ + (n x p x (P₁ - p))/(1 + n)

where;

V₀ = value of equity before the offering

V₁ = value of equity after the offering

n = number of new shares to be issued for each existing share

p = subscription price per share

P₁ = ex-rights price

In this case, the company is seeking $22 million in additional funds, and the subscription price is $30 per share. Therefore, the number of new shares to be issued for each existing share is;

n = 22,000,000 / (30 x S)

where S is the number of shares currently outstanding.

The ex-rights price is $40, and the rights-on price is $44. Therefore, we have;

V₁ = S x $40 + (n x S x $4)

V₀ = V₁ + (n x p x (P₁ - p))/(1 + n)

We know that V₀ = V₁ + $22,000,000, so we can substitute to get:

V₁ + $22,000,000 = V₁ + (n x $30 x ($40 - $30))/(1 + n)

Solving for n, we get;

n = ($22,000,000 / ($30 x ($40 - $30))) x (1 + n)

n = 220,000 / 9

n = 24,444.44

Since n represents the number of new shares to be issued for each existing share, it must be a whole number. Therefore, we round up to the nearest integer to get;

n = 24,445

Now we can use the formula for V₁ to solve for the number of shares currently outstanding, S;

V₁ = S x $40 + (n x S x $4)

$22,000,000 = S x $40 x (1 + n)

S = $22,000,000 / ($40 x (1 + n))

S = $22,000,000 / ($40 x 25,445)

S ≈ 21,576

Therefore, there are currently 21,576 shares before the offering.

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how to calculate comginajavacity is considering new brewing equipment. the amount of initial investment will be $550 today and the equipment is expected to last for 10 years with no salvage value. the depreciable base is the entire amount of investment, and straight line depreciation will be used. project inflows are expected to be $540 per year and project outflows are expected to be $315 per year, both starting in one year and continuing at the end of each year over the project life. javacity pays tax at the rate of 30%. what is the net present value of the project if the required rate of return is 6%.

Answers

The depreciable base is the entire amount of the initial investment, which is $550.The annual depreciation expense will be $550 divided by 10 years, which is $55 per year. This expense will be subtracted from the project inflows of $540 per year, resulting in net cash inflows of $485 per year.


To calculate the net present value of the project, we need to discount the net cash inflows over the project life at the required rate of return of 6%. Using a financial calculator or spreadsheet, we can calculate the present value of each year's net cash inflows and sum them up to find the total net present value.
The present value of each year's net cash inflows can be calculated using the formula:
PV = FV / (1 + r)^n


Where PV is the present value, FV is the future value of the net cash inflows, r is the required rate of return, and n is the number of years from the present.
For example, the present value of the net cash inflows in year 1 would be:
PV = $485 / (1 + 0.06)^1 = $457.08
Similarly, the present value of the net cash inflows in year 2 would be:
PV = $485 / (1 + 0.06)^2 = $431.34


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which of the following is the planned-order release using an mrp program if the gross requirement is 5,000, inventory on hand is 1,200, and planned receipts are 800? a. 7,000 b. 4,200 c. 3,000 d. 2,000 e. 1,200

Answers

In this case, with a gross requirement of 5,000 units, an inventory on hand of 1,200 units, and planned receipts of 800 units, the planned-order release is 3,000 units (option c).

To calculate the planned-order release using an MRP (Material Requirements Planning) program, given the gross requirement, inventory on hand, and planned receipts, we can follow these steps:

1. Determine the gross requirement: In this case, the gross requirement is 5,000 units.


2. Determine the inventory on hand: Here, the inventory on hand is 1,200 units.


3. Determine the planned receipts: In this case, the planned receipts are 800 units.


4. Calculate the net requirement: Subtract the inventory on hand and planned receipts from the gross requirement: 5,000 - 1,200 - 800 = 3,000 units.


5. Determine the planned-order release: In this scenario, the planned-order release is equal to the net requirement, which is 3,000 units.

So, the correct answer is c. 3,000.

In summary, to calculate the planned-order release using an MRP program, you need to consider the gross requirement, inventory on hand, and planned receipts. In this case, with a gross requirement of 5,000 units, an inventory on hand of 1,200 units, and planned receipts of 800 units, the planned-order release is 3,000 units (option c).

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When a tax is imposed in a market for a good, deadweight loss occurs because.

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Deadweight loss happens when a tax is applied in a market for goods because the tax results in a discrepancy between the price purchasers pay and the price sellers receive, which reduces economic efficiency. Here option C is the correct answer.

When a tax is imposed in a market for a good, deadweight loss occurs because the tax creates a difference between the price paid by buyers and the price received by sellers, leading to a loss of economic efficiency. This is known as the "excess burden" of the tax, where the tax leads to a decrease in the overall quantity of the goods being exchanged in the market, as well as a reduction in consumer and producer surplus.

The excess burden arises because the tax increases the price paid by buyers and decreases the price received by sellers. As a result, the demand for the good decreases, and the supply of the good reduces, leading to a reduction in the quantity of the goods traded. This results in a loss of efficiency as some mutually beneficial trades are not made, leading to an overall decrease in social welfare.

In addition to reducing the quantity of the goods traded, the tax also creates administrative and compliance costs for both buyers and sellers, which further decreases efficiency. Overall, deadweight loss occurs when the imposition of the tax results in a decrease in overall economic welfare, by reducing the quantity of the goods traded and creating inefficiencies in the market.

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Complete question:

When a tax is imposed in a market for a good, deadweight loss occurs because:

A) The tax revenue collected by the government reduces the overall supply of the good

B) The tax increases the cost of production, which decreases the overall demand for the good

C) The tax creates a difference between the price paid by buyers and the price received by sellers, leading to a loss of economic efficiency

D) The tax reduces the number of suppliers in the market, leading to a decrease in the overall quantity supplied of the good.

most organizations develop multiple suppliers rather than give their business to only one in order to . question 5 options: increase knowledge and information avoid uncertainty reduce dependency develop interdependence maximize power

Answers

Most organizations develop multiple suppliers rather than give their business to only one in order to reduce dependency and avoid uncertainty.

By having multiple suppliers, organizations are not relying on just one source for their goods or services. This reduces the risk of disruption in the supply chain if that one supplier is unable to provide the needed goods or services. Additionally, having multiple suppliers allows for comparison of prices and quality, which can lead to better deals for the organization.

Developing multiple suppliers is a common practice among organizations to reduce dependency and avoid uncertainty in their supply chain. It provides a safety net in case of disruptions and allows for better negotiation power.

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A bank loans greg’s ice cream $250,000 to remodel a building near campus to use as a new store. On their respective balance sheets, this loan is:.

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On the bank's balance sheet, the $250,000 loan to Greg's ice cream will be recorded as an asset, specifically a loan receivable.

Why is it receivable?

This is because the bank expects to receive repayment of the loan with interest over time, generating income for the bank. On the other hand, on Greg's ice cream's balance sheet, the loan will be recorded as a liability, specifically a long-term loan payable.

This is because Greg's ice cream owes the bank the principal amount plus interest over the term of the loan.

The loan will have an impact on both balance sheets, increasing the bank's assets and Greg's ice cream's liabilities.

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after the gas increase, the company raised its wholesale cost from $8 to $8.50. find the breakeven point after the adjustment in the expense function. round to the nearest integer.

Answers

To find the breakeven point, we need to set the cost equal to the revenue. Let's assume that the revenue is $10 per unit (the selling price). the breakeven point after the adjustment is about 5 units.

Before the gas increase, the expense function was:

E(q) = 8q

After the gas increase, the new expense function is:

E(q) = 8.5q

The revenue function is:

R(q) = 10q

Setting the cost equal to the revenue, we get:

8q = 10q - E

where E is the profit (or loss) made by selling q units.

Substituting the expense function, we get:

8q = 10q - 8.5q

8q = 1.5q

q = 8/1.5

q ≈ 5.33

So the breakeven point after the adjustment is about 5 units.

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a tariff levied on a good produced in a small nation with an inelastic supply that maximizes the gain to a large nation is called a(n):

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A tariff levied on a good produced in a small nation with an inelastic supply that maximizes the gain to a large nation is called a "optimal tariff".

An optimal tariff is a tariff that is set by a large nation on a good that is produced by a small nation with an inelastic supply in order to maximize its own welfare. This type of tariff is often used as a strategy to protect domestic industries from foreign competition and increase revenue for the imposing country.


An optimal tariff is a type of import tax imposed by a large nation on a good produced in a small nation with an inelastic supply. This tariff is set at a level that maximizes the welfare or gains to the large nation while taking advantage of the small nation's limited ability to respond to the tariff due to its inelastic supply.

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alexa had a party over the weekend, and one of her guests cracked the sliding glass door between the living room and patio. she notified her landlord but got no response. after five days, she called a contractor and he quoted her $450 to replace the door, which is more than half her rent. alexa had the work done and paid the bill. when she tried to deduct the cost from her next rent payment, why did her landlord refuse to honor her claim?

Answers

According to most state laws, tenants are required to notify their landlords about any damages or repairs needed before making any repairs themselves. In this case, Alexa did notify her landlord about the broken door, but did not receive a response.

However, it's important to note that simply not receiving a response does not give tenants the right to make repairs themselves and deduct the cost from their rent. The landlord has the right to choose their own contractor and negotiate the cost of repairs. Additionally, the cost of repairs cannot exceed the cost of rent unless otherwise stated in the lease agreement. It's possible that Alexa's landlord refused to honor her claim because she did not follow proper procedure and made repairs without permission.

However, her landlord refused to honor her claim when she tried to deduct the cost from her next rent payment. This could be due to a lack of prior written agreement or proper communication about the repair costs with the landlord, as it is typically the landlord's responsibility to handle such repairs in a timely manner. Additionally, the repair cost might not be legally eligible for deduction from the rent without following proper procedures.

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Capitalism is an economic system in which there is:.

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Capitalism is an economic system in which there is private ownership of resources, voluntary exchange, and the profit motive.

In this system, individuals and businesses own and control the means of production and distribution, while economic decisions are driven by supply and demand. Entrepreneurs play a vital role in driving innovation and creating new goods and services. Competition among businesses ensures efficiency, and the government's primary role is to protect property rights and enforce contracts.

Overall, capitalism promotes economic growth and wealth creation by allowing individuals and businesses to freely operate in the market with minimal government interference.

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if no foreign companies produce in a country, but many of the country's companies produce abroad, then

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If no foreign firms produce in the country but many domestic firms produce abroad, the country's domestic market is not attractive enough for foreign firms to invest in, but the domestic firms have found attractive opportunities in other markets. Option A is correct.

This scenario could indicate that the country may lack certain factors that make it attractive for foreign companies to invest in, such as political stability, economic growth, skilled labor, or access to natural resources. As a result, foreign companies may choose to invest in other countries where they can find these factors.

On the other hand, the country's companies may have found profitable opportunities in foreign markets by leveraging their expertise, resources, or competitive advantages. It is also possible that the country's government has imposed regulations or restrictions on foreign investment, as in scenario B.

However, this is less likely as it would typically deter both foreign and domestic companies from investing in the country. Scenarios C and D are also possible, but they are less likely as they assume that the country's companies have a comparative advantage in certain industries or are highly self-sufficient, which may not always be the case.

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Complete question:

Which of the following scenarios could be inferred if no foreign companies produce in a country but many of the country's companies produce abroad?

A) The country's domestic market is not attractive enough for foreign companies to invest in, but the country's companies have found lucrative opportunities in other markets.

B) The country's government has imposed strict regulations on foreign investment, forcing foreign companies to look for opportunities in other countries, while the country's companies are able to navigate these regulations and invest abroad.

C) The country's companies are operating in industries that require significant resources that are not available in the country, such as natural resources or highly skilled labor.

D) The country's economy is highly self-sufficient, with little need for foreign investment or trade, and the country's companies have found opportunities to expand their businesses abroad.

How is "business associate" best defined, as it relates to hipaa rules?.

Answers

In HIPAA rules, a business associate is defined as any person or entity that performs services or functions that involve the use or disclosure of protected health information (PHI) on behalf of a covered entity.

What does it have?

This includes entities such as third-party administrators, billing companies, IT support providers, and attorneys.

The definition also includes subcontractors who perform similar services on behalf of business associates. Business associates are required to sign a business associate agreement with the covered entity, which outlines the terms of the relationship and ensures that the business associate complies with HIPAA rules and regulations.

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design complexity enhances attention to the brand and attitude toward the ad, whereas feature complexity enhances paying attention to the ad, its comprehensibility, and attitude toward the ad. group of answer choices True or false ?

Answers

The statement is true as it suggests that design complexity tends to capture attention and elicit positive attitudes towards the brand, while feature complexity encourages people to pay attention and comprehend the ad.


]The statement highlights the importance of different types of complexity in advertising design and their impact on audience engagement and attitude towards ads. Design complexity refers to the overall aesthetic appeal of an ad, such as the use of color, shape, or imagery. This type of complexity tends to capture attention and create positive attitudes towards the brand being advertised. On the other hand, feature complexity refers to detailed information about a product or service being advertised, such as its features or benefits.

This type of complexity encourages people to pay attention and comprehend the ad, leading to positive attitudes towards it. Therefore, the statement is true as it suggests that both types of complexity have a different impact on audience engagement and attitudes towards ads.

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A project has a 50% chance of doubling your investment in 1 year and a 50% chance of losing half your money. What it the expected return on this investment project? 75% 0% 25% 50%

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25% is the expected return on this investment project. The expected return, for instance, would be 5% if an investment had a 50% probability of making a 20% profit and a 50% chance of losing 10%.

Although not guaranteed for the future because it is typically based on historical data, the expected return frequently establishes realistic expectations. The minimum return needed to consider an investment choice is represented by the necessary rate of return.

The expected return, on the other hand, is the amount of money the investor anticipates making from the investment.

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major, large city newspaper endorsements often carry important weight, especially in down ballot races for local offices.T/F

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The given statement "Major endorsements from large city newspapers can carry significant weight in down ballot races for local offices" is true because these endorsements can sway the opinions of undecided voters and give candidates a boost in terms of visibility and credibility.

Moreover, newspapers are considered to be objective and neutral sources of information, so their endorsement of a candidate can give voters a sense of confidence in that candidate's abilities and qualifications. In addition, newspaper endorsements are often based on in-depth research and analysis of a candidate's positions, past record, and overall suitability for the office.

Therefore, they can provide voters with valuable insights and information that they may not have otherwise considered. Overall, major endorsements from large city newspapers can play a crucial role in shaping local elections and determining the outcome of down ballot races. As such, candidates often seek out these endorsements and use them to bolster their campaigns and appeal to a wider range of voters.

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which of the folwoiing statments is true? federal laws typically allow insurance companies and pension funds to purchase nopn-investment grade bonds.

Answers

The statement that federal laws typically allow insurance companies and pension funds to purchase non-investment-grade bonds is not entirely true.

While there are some limited circumstances in which these entities may be allowed to invest in lower-rated bonds, such investments are generally considered risky and not permitted under most federal regulations. Instead, insurance companies and pension funds are typically required to invest in higher-quality, investment-grade bonds in order to minimize risk and ensure the safety of their clients' funds.

Federal laws generally permit insurance companies and pension funds to purchase non-investment-grade bonds, which are also known as high-yield or junk bonds. These bonds carry a higher risk than investment-grade bonds but can offer higher returns. Insurance companies and pension funds may invest in them as part of a diversified portfolio to potentially enhance overall returns while managing risk exposure. However, it's important to note that specific regulations and investment policies may vary among different insurance companies and pension funds.

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define liquidity: multiple choice ability to pay long term debt ability to pay both current and long term debt ability to pay current debt ability to generate free cash flow from operations

Answers

The correct answer is C,  Liquidity means that the "Ability to pay the current debt".

Liquidity refers to the ability of an asset to be quickly and easily converted into cash without causing a significant change in its market value. It is a crucial concept in finance and investing, as it determines how easily an investor can buy or sell an asset.

Assets with high liquidity are easily tradable and have a high degree of market depth, meaning there are many buyers and sellers actively trading the asset. Examples of highly liquid assets include cash, stocks of large and well-established companies, and government bonds. On the other hand, assets with low liquidity are less easily tradable and may require a significant effort or cost to convert to cash. Examples of illiquid assets include real estate, art, and small company stocks.

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Jim lost his job in a car assembly factory to a robot and his skills will no longer be needed. Which terms can be used to describe jim?.

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Jim can be described as a "displaced worker," "jobless," "unemployed," or "out of work." He may also be experiencing "job insecurity" or facing "economic hardship" as a result of the loss of his job.

Additionally, he may feel a sense of "betrayal" or "frustration" towards his former employer for replacing him with a machine. It is important for Jim to seek support and resources to help him navigate this difficult transition, such as job training programs or unemployment benefits. Overall, Jim's situation highlights the potential impact of automation and technological advancements on the job market and the need for individuals to adapt and upskill in order to stay competitive.

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the federal reserve cut the federal funds rate seven times between september 2007 and march 2008. what event led the fed to make these reductions in the federal funds rate?

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The Federal Reserve made these seven cuts in the federal funds rate due to the onset of the global financial crisis in 2007.

The crisis began to unfold, there was a decline in consumer and business confidence which led to a decrease in spending and investment. The Federal Reserve, therefore, reduced interest rates in order to encourage borrowing and spending, thereby stimulating economic growth and preventing a recession.

The event that led the Fed to make these reductions in the federal funds rate was the onset of the financial crisis in 2007, which was triggered by the collapse of the housing market and the subprime mortgage crisis in the United States.

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suppose that the u.s. and european union (eu) are the only trading partners in the world. if the u.s. lowers import restrictions from the eu, we would expect: a the demand for the dollar to increase, appreciating the dollar. b the supply of dollars to increase, appreciating the dollar. c the supply of euros to increase, depreciating the euro. d the demand for euros to decrease, depreciating the euro. e the demand for euros to increase, appreciating the euro.

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The main reason for this is that when the US lowers import restrictions from the EU, it becomes easier and cheaper for US consumers and businesses to purchase goods and services from the EU.

This increased demand for EU goods and services will lead to an increased demand for euros, as US buyers will need to exchange their dollars for euros to make these purchases. As a result, the increased demand for euros will cause the euro to appreciate in value relative to the dollar. This means that each euro will be able to buy more dollars, making EU goods and services more expensive for US buyers.

In summary the demand for euros will increase and the euro will appreciate when the US lowers import restrictions from the EU is due to the increased demand for EU goods and services, which requires an increase in the demand for euros. When the U.S. lowers import restrictions, it becomes easier for U.S. consumers and businesses to purchase European goods. As a result, they would need more euros to pay for those goods.

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How often do perfectly competitive firms engage in price discrimination?.

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Perfectly competitive firms are unlikely to engage in price discrimination due to the nature of the market.

In a perfectly competitive market, there are many buyers and sellers with homogeneous products, meaning that no single firm can influence the market price. Therefore, if one firm attempts to charge a higher price for the same product, consumers will simply switch to the lower-priced alternatives provided by other firms. This creates a situation where firms have no incentive to engage in price discrimination since they cannot control the market price. However, in imperfectly competitive markets, firms can engage in price discrimination to increase their profits. In such markets, firms may differentiate their products to target different consumer groups or offer discounts to consumers who are more price sensitive. Overall, the frequency of price discrimination depends on the market structure and the level of competition among firms.

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what are the two criteria used to determine whether a contingent liability is reported in the financial statements? multiple select question. the payment date of the loss the ability to estimate the amount of the loss the percentage of the loss of total income the likelihood of the loss

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The two criteria used to determine whether a contingent liability is reported in the financial statements are the likelihood of the loss and the ability to estimate the amount of the loss.

Likelihood of the loss: A contingent liability is reported in the financial statements if it is probable that a loss will occur. If there is only a remote possibility of a loss occurring, then the contingent liability is not reported.

When evaluating contingent liabilities, it is important to consider both the ability to estimate the amount of the loss and the likelihood of the loss occurring.

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