each part of the service mix should make a different contribution to achieving a firm's goals. True or False

Answers

Answer 1

The statement that each part of the service mix should make a different contribution to achieving a firm's goals is true.

A service mix refers to the combination of services offered by a firm, which includes product, price, place, promotion, people, process, and physical evidence. These components are essential to a company's success as they help in achieving business objectives.


Each part of the service mix has a unique role to play in achieving the overall objectives of the organization. For instance, the product or service offered by a firm should be designed to meet the needs and expectations of customers. The price of the product should be competitive enough to attract and retain customers while generating profits for the company.



The place or distribution strategy should be well-planned to ensure that the product or service reaches the target market. The promotion strategy should be geared towards creating awareness and interest in the product or service. People, who include employees, are a critical component of the service mix. They should be well-trained and motivated to offer excellent customer service.


The process used in delivering the service should be efficient, convenient, and customer-friendly. Finally, physical evidence refers to the tangible elements that customers experience when interacting with a company. These elements, such as the physical environment, should be well-designed to create a positive customer experience.



In conclusion, each component of the service mix plays a different role in achieving a firm's goals. Therefore, it is crucial to develop a well-planned service mix that takes into account the needs of the target market and the company's objectives. By doing so, the company can optimize its service mix and achieve its business goals.

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A country, with a good economic system, tends to have a relatively low long-term unemployment rate

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country with a good economic system is likely to have a relatively low long-term unemployment rate due to strong job creation, effective education and training programs, active labor market policies, and overall economic stability.

A country with a good economic system tends to have a relatively low long-term unemployment rate. Let's break this down step-by-step:
1. A "good economic system" generally refers to an economy that is efficient, stable, and promotes growth and development. This typically involves a mix of strong government policies, effective regulations, and private sector involvement.
2. One important indicator of a good economic system is a low long-term unemployment rate. Long-term unemployment is when individuals remain jobless for an extended period, usually defined as 27 weeks or more.
3. A low long-term unemployment rate can be achieved through various factors such as:
  a. Strong job creation: A robust economy generates a continuous demand for labor, resulting in more job opportunities and less long-term unemployment.
  b. Effective education and training programs: These help individuals acquire necessary skills and qualifications, making them more employable and less likely to face long-term unemployment.
  c. Active labor market policies: These include job search assistance, unemployment benefits, and other support measures to help jobseekers find employment faster.
  d. Economic stability: A stable economy with low inflation, steady growth, and a healthy business environment encourages investment and job creation, reducing long-term unemployment.
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Which of the following is a way in which governments can directly promote savings and​ investment?A.Governments can promote vaccinations for children and improve access to clean water.B.Governments can limit foreign competition by imposing tariffs and quotas on trade.C.Governments can expand primary and secondary schools.D.Governments can create tax incentives for both businesses and individuals.

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The answer to the question is: D. Governments can create tax incentives for both businesses and individuals in order to promote savings and investment.

By doing so, governments can encourage businesses and individuals to invest their money in different ways, such as in stocks, bonds, and other financial instruments.

Tax incentives can include tax credits, deductions, and exemptions that reduce the amount of taxes that businesses and individuals have to pay, thereby freeing up more money that they can use for savings and investment.

In addition, governments can also promote savings and investment by implementing policies that support businesses and entrepreneurs. This can include providing financial assistance or subsidies to businesses that invest in research and development, as well as providing training and educational programs to help individuals develop the skills needed to start and run successful businesses.

Furthermore, governments can also promote savings and investment by creating an environment that is conducive to economic growth and development. This can include investing in infrastructure, such as roads and bridges, that facilitate the movement of goods and services, as well as promoting innovation and entrepreneurship through the establishment of business incubators and other support programs.

In summary, governments can directly promote savings and investment by creating tax incentives for both businesses and individuals, supporting businesses and entrepreneurs, and creating an environment that is conducive to economic growth and development. By doing so, governments can help to stimulate economic activity, create jobs, and improve the overall standard of living for their citizens.

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These financial statement items are for Sunland Company at year-end, July 31, 2020.

Salaries and wages payable $2,200
Notes payable (long-term) $1,700
Salaries and wages expense 52,000
Cash 13,600
Utilities expense 22,300
Accounts receivable 9,700
Equipment 30,300
Accumulated depreciation equipment 6,000
Accounts payable 4,500
Owner's drawings 4,300
Service revenue 60,700
Depreciation expense 3,900
Rent revenue 8,700
Owner's Capital (beginning of the year) 52,300

(b) Prepare an owner’s equity statement for the year. Sunland did not make any capital investments during the year.

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To prepare an owner's equity statement for Sunland Company at year-end, July 31, 2020, we need to calculate the owner's capital at the end of the year.

Owner's Capital (end of the year) = Owner's Capital (beginning of the year) + Net Income - Owner's Drawings

Net Income = Total Revenues - Total Expenses

Total Revenues = Service Revenue + Rent Revenue = $60,700 + $8,700 = $69,400

Total Expenses = Salaries and Wages Expense + Utilities Expense + Depreciation Expense = $52,000 + $22,300 + $3,900 = $78,200

Net Income = $69,400 - $78,200 = -$8,800

Owner's Capital (end of the year) = $52,300 - $4,300 - $8,800 = $39,200

Therefore, the owner's equity statement for the year is as follows:

Owner's Equity Statement for Sunland Company at Year-End, July 31, 2020

Owner's Capital (Beginning of the Year) $52,300

Add: Net Income $(8,800)

Less: Owner's Drawings $4,300

Owner's Capital (End of the Year) $39,200

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When selling a property in New York, the Licensee is required to disclose to a potential
Buyer that
a. There is a group home 1 ½ miles away.
b. The property lies in an agricultural district.
c. There is a fundamentalist church three blocks away.
d. The former owners were divorced

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When selling a property in New York, the Licensee is required to disclose to a potential buyer that the property lies in an agricultural district.

This means that there may be certain restrictions or regulations on the use of the land for agricultural purposes. Additionally, if the former owners were divorced, this may impact the ownership or title of the property and should also be disclosed to the potential buyer. It is important for the  

Licensee to provide accurate and complete information about the property to ensure a smooth and legal transaction.Licensee must conduct due diligence and provide necessary information before closing deal.

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If you are promised a nominal return of 12%, on a one year investment, and you expect the rate of inflation to be 5%, what real rate do you expect to earn (use the formula for the exact relationship).

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The real rate of return you can expect to earn on your one-year investment, after accounting for an inflation rate of 5%, is approximately 6.67%.

When you're promised a nominal return of 12% on a one-year investment, it means the return is not adjusted for inflation. To find the real rate of return, which accounts for the effects of inflation, you can use the Fisher equation. The Fisher equation is:

(1 + real rate) = (1 + nominal rate) / (1 + inflation rate)

Plugging in the given values, you have:

(1 + real rate) = (1 + 0.12) / (1 + 0.05)

Now, you can solve for the real rate:

(1 + real rate) = 1.12 / 1.05

1 + real rate = 1.06667

Real rate = 1.06667 - 1

Real rate ≈ 0.0667, or 6.67% (rounded to two decimal places)

This is the rate that reflects the actual purchasing power of your investment after considering the effect of inflation.

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Susan Cashin Company identifies the following items for possible inclusion in the physical inventory. Indicate whether each item should be included or excluded from the inventory taking.
(a) 900 units of inventory shipped on consignment by Cashin to another company.
(b) 3,000 units of inventory in transit from a supplier shipped FOB destination.
(c) 1,200 units of inventory sold but being held for customer pickup.

Answers

The items that should be included in the physical inventory are (b) 3,000 units of inventory in transit from a supplier shipped FOB destination and (c) 1,200 units of inventory sold but being held for customer pickup.


Item (a) 900 units of inventory shipped on consignment by Cashin to another company should be excluded from the inventory taking as it still belongs to Cashin until it is sold by the other company.

Item (b) 3,000 units of inventory in transit from a supplier shipped FOB destination should be included in the inventory taking as they are still under Cashin's ownership and control until they reach their final destination.

Item (c) 1,200 units of inventory sold but being held for customer pickup should also be included in the inventory taking as they are still on Cashin's premises and have not yet been transferred to the customer.

It is important to accurately identify and include all relevant items in the physical inventory in order to ensure that the inventory valuation is accurate and reflects the true value of the company's inventory. Thus correct option are b and c.

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-Which of the following offers the strongest support for the Heckscher-Ohlin model?
A. East-West trade
B. U.S. trade
C. North-South trade in manufactures
D. The overall (world) pattern of trade

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The option that offers the strongest support for the Heckscher-Ohlin model is D) The overall (world) pattern of trade.

The Heckscher-Ohlin model, also known as the factor-proportions theory, suggests that countries specialize in producing and exporting goods that utilize their abundant factors of production and import goods that require factors of production in which they are relatively scarce.

In other words, countries with abundant labor will specialize in labor-intensive goods, while countries with abundant capital will specialize in capital-intensive goods.

The overall pattern of trade observed in the world provides strong empirical evidence for the Heckscher-Ohlin model. It shows that countries tend to export goods that are intensive in their abundant factors of production and import goods that are intensive in their scarce factors.

This pattern is consistent with the predictions of the model and suggests that countries engage in trade based on their comparative advantage arising from their factor endowments.

While options A, B, and C may provide some support for specific aspects of the model, the overall pattern of trade observed globally offers the strongest and most comprehensive support for the Heckscher-Ohlin model. Correct answer is option d.

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The last ski season at Jackson Hole, a ski resort in Wyoming, had very little snow and consumers expect similar amounts of snow for the upcoming ski season. What is the impact on the demand curve for season passes for the ski resort

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Decrease in demand for season passes for the ski resort at Jackson Hole due to the previous season's little snow and the expectation of similar amounts of snow for the upcoming ski season.

The availability of snow is a key factor that drives demand for season passes at ski resorts. If consumers expect similar or less snow than the previous season, they are less likely to purchase season passes, resulting in a decrease in demand. Ski resorts like Jackson Hole may need to adjust their pricing or marketing strategies to attract customers and maintain their revenue levels during a season with less snow. Alternatively, they could invest in artificial snow-making equipment to ensure adequate snow levels for skiing and snowboarding, even during periods of low natural snowfall.

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If Rick places $1,000 into a savings account which earns nine percent, it will take approximately how many years to turn the $1,000 investment into $2,000

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It will take approximately 8 years for Rick's $1,000 investment to turn into $2,000 with a nine percent interest rate.

To calculate this, we can use the rule of 72, which is a formula to estimate how long it takes for an investment to double. We divide 72 by the interest rate (in this case, nine percent), which gives us eight years. Therefore, after eight years of earning nine percent interest, Rick's $1,000 investment will have doubled to $2,000.

To solve this question, we can use the formula for compound interest: A = P(1 + r/n)^(nit)

Where:

A is the investment's projected future worth.

P is equal to the $1,000 initial principle balance.

(9% or 0.09) where r is the annual interest rate.

The annual frequency of interest compounding is n.

t = the duration in years

We want to find the number of years (t) it takes for the investment to double, so A = $2,000. Assuming the interest is compounded annually (n = 1), we can set up the equation as:

$2,000 = $1,000(1 + 0.09/1)^(1*t)

Divide both sides by $1,000:

2 = (1 + 0.09)^t

Consider both sides' natural logarithms (ln):

ln(2) = t * ln(1.09)

Now, divide by ln(1.09) to find the value of t:

t ≈ ln(2) / ln(1.09) ≈ 8

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The amount of interest cost capitalized during a period when a building is constructed may, in some cases, exceed the actual interest cost incurred. should be debited to both the land account and the building account. should not exceed the actual interest cost incurred. should be debited to the land account and not to the building account.

Answers

The amount of interest cost capitalized during a period when a building is constructed "should not exceed the actual interest cost incurred" (option c).

When a building is under construction, interest costs incurred during that period may be capitalized as part of the cost of the building. This means that the interest costs are added to the cost of the building and recorded as an asset. However, it is important to ensure that the amount of interest cost capitalized does not exceed the actual interest cost incurred.

Capitalizing more interest cost than what was actually incurred would lead to an overstatement of the building's cost on the balance sheet. Therefore, it is necessary to accurately track and record the actual interest cost incurred and limit the amount capitalized accordingly to ensure accurate financial reporting.

Option c is answer.

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Agazzi Repair Shop had the following transactions during the first month of business as a proprietorship. Journalize the transactions. (Omit explanations.)

Aug. 2 Invested $12,000 cash and $2,500 of equipment in the business.

7 Purchased supplies on account for $500. (Debit asset account.)

12 Performed services for clients, for which $1,300 was collected in cash and $670 was billed to the clients.

15 Paid August rent $600.

19 Counted supplies and determined that only $270 of the supplies purchased on August 7 are still on hand. What's step by step solution?

Answers

The journal entries:

To journalize the transactions for Agazzi Repair Shop's business, we would follow these steps:

1. Identify the accounts involved in each transaction.
- Aug. 2: Cash (debit) and Equipment (debit) for $12,000 and $2,500, respectively.
- Aug. 7: Supplies (debit) for $500 and Accounts Payable (credit) for $500.
- Aug. 12: Cash (debit) for $1,300 and Accounts Receivable (debit) for $670. We would also credit Service Revenue for $1,970 ($1,300 + $670).
- Aug. 15: Rent Expense (debit) for $600 and Cash (credit) for $600.
- Aug. 19: Supplies Expense (debit) for $230 (the difference between $500 and $270) and Supplies (credit) for $230.

2. Record each transaction in the general journal using the accounts and amounts identified above.

- Aug. 2:
Cash       $12,000
Equipment  $2,500
        - Owner's Investment $14,500

- Aug. 7:
Supplies        $500
Accounts Payable    $500
        - Purchased supplies on account $500

- Aug. 12:
Cash             $1,300
Accounts Receivable   $670
        - Service revenue $1,970

- Aug. 15:
Rent Expense    $600
Cash            $600
        - Paid rent for August $600

- Aug. 19:
Supplies Expense   $230
Supplies          $230
        - Adjusted supplies on hand $230

3. Post the journal entries to the appropriate ledger accounts (e.g. Cash, Equipment, Supplies, Accounts Payable, Accounts Receivable, Service Revenue, Rent Expense, and Supplies Expense).

This would complete the journalizing of the transactions for Agazzi Repair Shop's first month of business as a proprietorship.

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what is the ethnic makeup of most of the people on the arabian peninsula?

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The majority of the people on the Arabian Peninsula are of Arabian ethnicity, which is a term used to describe people of Arab descent who live in the region.

However, there are also significant populations of other ethnic groups, such as South Asians, including Indians and Pakistanis, as well as Africans, including Somalis and Ethiopians. In addition, there are also indigenous groups, such as the Bedouins, who have lived on the Arabian Peninsula for centuries.

It is important to note that while the majority of people on the Arabian Peninsula are Arab, the term "Arab" is used to describe a cultural and linguistic identity rather than a specific ethnic group. Arabs can be of various ethnicities and share a common language, Arabic, as well as cultural practices and traditions.

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.Paid-in capital is externally generated capital and results from transactions with outsiders.
True
False

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The given statement "Paid-in capital is externally generated capital and results from transactions with outsiders" is true because Paid-in capital refers to the capital that a company receives from investors in exchange for shares of stock.

It represents the external capital contributed by shareholders or investors to the company. This capital is raised through transactions with external parties, such as issuing new shares of stock in an initial public offering (IPO) or a subsequent stock offering.

Paid-in capital is recorded in the company's balance sheet as a component of shareholders' equity. It represents the funds that have been invested in the company by its owners and is separate from retained earnings, which are generated internally through the company's operations.

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In the context of customer benefit packages,__________are those that are not essential to the primary service, but enhance it.

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In the context of customer benefit packages, add-ons or extras are those that are not essential to the primary service, but enhance it.

These add-ons can include things like extended warranties, loyalty programs, or bonus services that provide additional value and improve the overall customer experience. While not essential to the core service offering, they can be important in attracting and retaining customers and increasing their satisfaction levels. Ultimately, the inclusion of these extras in a customer benefit package should be carefully considered and aligned with the overall context of customer benefit to ensure they are truly enhancing the primary service.

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What is a disadvantage of countertrade? Group of answer choices Countertrade requires employing lawyers who specialize in these unique types of contracts. Countertrade requires the firm to use an out-of-house trading company to which much of the profit will go. Countertrade contracts may involve the exchange of unusable or poor-quality good. Countertrade contracts often involve high-quality, expensive goods that the firm cannot move enough of to be profitable.

Answers

Countertrade can be defined as a form of international trade in which goods or services are exchanged for other goods or services rather than for cash. While countertrade may seem like an attractive option for firms looking to expand into new markets, it also has its disadvantages.

One major disadvantage of countertrade is that it often involves the exchange of unusable or poor-quality goods. This is because some countries may not have the resources or technology to produce high-quality goods. As a result, the firm may be left with goods that are not suitable for use or sale, which can lead to losses.

Furthermore, countertrade contracts often involve high-quality, expensive goods that the firm cannot move enough of to be profitable. This is because the firm may not have the necessary resources or channels to sell these goods in large quantities. As a result, the firm may be left with a surplus of goods that it cannot sell, which can lead to losses.In addition, countertrade requires employing lawyers who specialize in these unique types of contracts.

This can be a disadvantage as it can be expensive to hire lawyers who have expertise in countertrade transactions.In conclusion, while countertrade may seem like an attractive option for firms looking to expand into new markets, it also has its disadvantages, such as the exchange of unusable or poor-quality goods, the use of out-of-house trading companies, difficulty in moving high-quality, expensive goods, and the need for specialized lawyers.

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for a client with green eyes, which shadow color would be considered complementary?

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For a client with green eyes, the complementary color on the color wheel would be shades of purple. Complementary colors are located opposite each other on the color wheel, and in this case, purple is the complementary color to green.

To enhance the natural beauty of green eyes, using purple eyeshadows can create a striking contrast and make the eyes stand out. Various shades of purple, such as lavender, plum, violet, or deep eggplant, can be chosen depending on the desired intensity and effect. When applying purple eyeshadow, it's essential to consider the undertones of the green eyes. For example, if the green eyes have warmer golden or hazel undertones, warmer purples with red or copper undertones might work well. On the other hand, cooler-toned greens with blue undertones can be complemented by cooler purples with blue or gray undertones. Additionally, it's worth experimenting with different finishes, such as matte, satin, or shimmer, to achieve different looks and textures. By choosing complementary purple eyeshadows, the green eyes can be enhanced and emphasized, creating a captivating and harmonious eye makeup look.

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you have accumulated $1,459,439 for your retirement. How much money can you withdraw for the next 29 years in equal annual end-of-the-year cash flows if you invest the money at a rate of 7.07 percent per year, compounded annually

Answers

To calculate the amount of money that can be withdrawn for the next 29 years in equal annual end-of-the-year cash flows, we can use the formula for the present value of an annuity:PV = C x (1 - (1+r)^-n)/r

where:PV = present value

C = cash flow per period

r = interest rate per period

n = number of periods

In this case, the present value is $1,459,439, the cash flow per period is what we are trying to find, the interest rate per period is 7.07% and the number of periods is 29. Solving for C: C = PV x (r / (1 - (1+r)^-n))

C = $1,459,439 x (0.0707 / (1 - (1+0.0707)^-29))

C = $1,459,439 x (0.0707 / 0.4694)

C = $218,636.33

Therefore, the amount of money that can be withdrawn for the next 29 years in equal annual end-of-the-year cash flows is $218,636.33.

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Click-through rates, conversion rates, and cost per order are all examples of _____ that help marketers to watch the performance of their marketing campaigns, initiatives, and channels and when appropriate serve as a control mechanism.

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Click-through rates, conversion rates, and cost per order are all examples of key performance indicators (KPIs) that help marketers monitor the performance of their marketing campaigns, initiatives, and channels.

KPIs are measurable values that indicate how well a company is achieving its business objectives. They provide insights into the effectiveness of marketing efforts and serve as a control mechanism to ensure that the company is on track to meet its goals.

Click-through rates (CTR) measure the percentage of people who click on a link or ad after seeing it. This KPI helps marketers assess the effectiveness of their ads and how well they are resonating with the target audience.

Conversion rates measure the percentage of visitors who take a desired action, such as making a purchase or filling out a form. This KPI helps marketers understand how well their website or landing page is converting vis

Cost per order (CPO) measures the cost of acquiring a customer through a particular marketing channel or campaign. This KPI helps marketers determine the profitability of their marketing efforts and allocate resources more effectively.

By monitoring these KPIs, marketers can identify areas where their marketing efforts are succeeding or falling short, and make data-driven decisions to improve their campaigns and achieve their business objectives.

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A trader owns 933 shares of a stock and plans on selling covered calls using standard contracts on a third of his shares. How many contracts would she sell?

Answers

To determine how many covered call contracts a trader would sell, we first need to understand what a covered call is. A covered call is an options strategy where an investor holds a long position in an asset, in this case, stock, and sells call options on that same asset to generate income. In other words, the trader owns 933 shares of a stock and plans on selling call options on 1/3 of those shares.



The standard option contract represents 100 shares of the underlying asset. Therefore, to calculate the number of contracts the trader would sell, we need to divide the number of shares they plan to sell covered calls on by 100. One-third of 933 shares is 311 shares. Therefore, the trader would sell 311/100 = 3.11 contracts. Since options contracts cannot be sold in fractions, the trader would sell three contracts, leaving 11 shares uncovered. They could choose to sell another contract on those 11 shares or hold them for a potential capital gain. It is important to note that selling covered calls is a strategy with risks and potential rewards, and it is recommended that traders fully understand the risks before implementing this strategy.

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You deposit $2,000.00 in an account earning 3% interest compounded annually. How much will you have in the account in 16 years

Answers

After 16 years, you will have approximately $3,218.24 in the account with the given interest rate and initial principal amount.

You want to know how much you will have in an account after depositing $2,000 at 3% interest compounded annually for 16 years. To solve this problem, you can use the compound interest formula:

A = P(1 + r/n)^(nt)

Where:

A = the future value of the investment/loan, including interest

P = the initial deposit (the principal) = $2,000

r = the annual interest rate (as a decimal) = 3% = 0.03

n = the number of times that interest is compounded per year = 1 (annually)

t = the number of years the money is invested or borrowed for = 16

Plug in the values into the formula:

A = 2000(1 + 0.03/1)^(1*16)

A = 2000(1 + 0.03)^(16)

A = 2000(1.03)^(16)

Now, calculate the result:

A ≈ 2000 * 1.609121509

A ≈ $3,218.24

Approximate amount in the account after 16 years is $3,218.24.

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what gross profit will snap report assuming the company maintains its inventory using perpetual system and uses the FIFO cost method g

Answers

Based on the information provided, it is not possible to determine the gross profit that Snap will report assuming they maintain their inventory using the perpetual system and the FIFO cost method.

The calculation of gross profit requires information about sales revenue and the cost of goods sold (COGS). The COGS calculation includes the cost of the inventory sold, which is affected by the cost flow assumption used (such as FIFO, LIFO, or average cost). Additionally, other factors such as purchase discounts, sales returns, and allowances may impact the calculation of COGS and gross profit. Without access to this information, it is impossible to determine the gross profit that Snap will report using the given cost flow assumption and inventory system.

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High involvement while evaluating results is significantly related to higher levels of satisfaction and work group performance. Group of answer choices True False

Answers

True. When individuals are highly involved in evaluating their results, they are more likely to feel a sense of ownership and accountability towards their work.

This increased sense of responsibility can lead to higher levels of job satisfaction as individuals feel that their efforts and contributions are valued and recognized. Additionally, when individuals are invested in evaluating their results, they are more likely to identify areas for improvement and take action to address these issues. This can lead to higher levels of work group performance as teams become more efficient and effective in achieving their goals. On the other hand, when individuals are less involved in evaluating their results, they may feel disengaged and disconnected from their work. This can lead to lower levels of job satisfaction and work group performance. Therefore, it is important for individuals to be actively involved in evaluating their results in order to drive success and satisfaction in the workplace.

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To create an agency relationship, it is necessary that
a. A listing contract be registered with the DOS.
b. The principal and agent sign a written agreement.
c. The principal pay the agent's fees.
d. The parties act as principal and agent.

Answers

To create an agency relationship, it is necessary that the parties act as principal and agent. In this relationship, the principal gives authority to the agent to act on their behalf.

This can be done through a written or oral agreement between the parties. The agent is required to act in the best interest of the principal and follow their instructions, while the principal is responsible for the actions of the agent.

The agency relationship is important in many areas of business and law, such as real estate, employment, and financial services. Without the relationship, it would be difficult for individuals and businesses to effectively delegate tasks and responsibilities to others.

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A strategic approach to selection requires ways to measure the effectiveness of selection tools. What is a basic standard for this

Answers

A basic standard for measuring the effectiveness of selection tools is the validity of the tool.

The validity of a selection tool refers to the extent to which it measures what it is supposed to measure and its ability to predict job performance. Validity can be assessed through various methods such as content validity, criterion-related validity, and construct validity. Content validity involves ensuring that the selection tool is relevant to the job and covers all the necessary areas. Criterion-related validity involves comparing scores on the selection tool with actual job performance. Construct validity involves examining the underlying constructs that the selection tool is meant to measure.

Overall, a strategic approach to selection requires careful consideration and evaluation of selection tools to ensure that they are effective in identifying the best candidates for the job. Measuring the validity of selection tools is a basic standard for evaluating their effectiveness.

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A person who believes that he or she has been illegally discriminated against may file a complaint with the
A) NV Association of Realtors
B) Attorney General
C) Real Estate Commission
D) Department of Housing and Urban development (HUD)

Answers

The correct answer is D) Department of Housing and Urban Development (HUD). The HUD is responsible for enforcing federal fair housing laws that prohibit discrimination in the sale, rental, and financing of housing based on race, color, national origin, religion, sex, familial status, and disability.

Individuals who believe they have been victims of housing discrimination can file a complaint with HUD within one year of the alleged act.

The complaint can be filed online, by mail, or by phone. After receiving the complaint, HUD will investigate and determine whether there is reasonable cause to believe that discrimination occurred.

If so, HUD will attempt to conciliate the complaint, and if conciliation fails, HUD may refer the case to the Department of Justice for further legal action.

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Decreasing transfer payments is one option to eliminate a recessionary gap. T/f

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The statement given "Decreasing transfer payments is one option to eliminate a recessionary gap." is false because decreasing transfer payments is not a recommended option to eliminate a recessionary gap.

A recessionary gap occurs when the aggregate demand in an economy falls short of the aggregate supply, leading to a decline in economic output and employment. To address a recessionary gap, policymakers typically employ expansionary fiscal or monetary policies. Expansionary fiscal policies involve increasing government spending, reducing taxes, or implementing transfer payments (such as unemployment benefits or welfare programs) to stimulate economic activity and increase aggregate demand.

Therefore, decreasing transfer payments would be counterproductive in addressing a recessionary gap as it would reduce government spending and potentially dampen aggregate demand, exacerbating the economic downturn.

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Examples of private land use controls would NOT include:
a. restrictive covenants
b. restrictions placed in deed or wills
c. conditions in a deed
d. eminent domain

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Private land use controls refer to the rules and regulations put in place by private individuals or organizations to regulate the use of their property.

Some examples of private land use controls include restrictive covenants, easements, zoning regulations, and building codes. These controls are typically used to ensure that the property is used in a manner that is consistent with the owner's wishes and to protect the value of the property.

However, the use of eminent domain is not considered a private land use control because it involves the government taking private property for public use, which is not controlled by private individuals or organizations.

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The transfer pricing method that uses either the variable cost or the full cost as the basis for setting the transfer price is the:

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The transfer pricing method that uses either the variable cost or the full cost as the basis for setting the transfer price is known as cost-based transfer pricing. In this method, the transfer price is determined by adding a markup to the cost incurred by the selling division to produce the goods or services being transferred.

The markup is typically set at a level that allows the selling division to recover its costs and earn a reasonable profit. The variable cost-based transfer pricing method considers only the direct costs associated with the production of the goods or services being transferred.

This includes materials, labor, and other variable costs. On the other hand, the full cost-based transfer pricing method takes into account both the direct and indirect costs associated with production. This includes variable costs as well as fixed costs such as rent, depreciation, and administrative expenses.

The advantage of cost-based transfer pricing is that it provides a simple and objective method for setting transfer prices. However, it may not reflect the true market value of the goods or services being transferred, which can result in suboptimal decisions for the overall organization.

Therefore, it is important for companies to consider other transfer pricing methods such as market-based and profit-based transfer pricing to ensure that transfer prices are set appropriately to reflect market conditions and maximize the profitability of the organization.

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What are the step-by-step guide to presenting an appraisal?

Answers

Prepare the appraisal report Present the appraisal report

How can you effectively present an appraisal using a systematic, step-by-step approach?Prepare the appraisal report

The first step in presenting an appraisal is to prepare the appraisal report. This report should include a detailed analysis of the property or asset being appraised.

It should be based on a comprehensive evaluation of relevant factors such as location, condition, comparable sales or rents, and any other factors that may affect the value of the property.

The appraisal report should also include the appraiser's opinion of value and the reasoning and analysis used to arrive at that opinion.

This report should be prepared in accordance with applicable professional standards and may include various types of documentation, such as photographs, maps, and market data.

Present the appraisal report

Once the appraisal report is prepared, the next step is to present the report to the intended audience. The manner in which the report is presented will depend on the audience and the purpose of the appraisal.

For example, if the appraisal is being prepared for a lender or financial institution, the appraiser may need to present the report in a formal meeting or through a written report.

The appraiser should be prepared to explain the reasoning and analysis used to arrive at the opinion of value and should be able to answer any questions that may arise.

It is important for the appraiser to be clear and concise in their presentation, and to use language that is easily understood by the intended audience.

In summary, the steps to presenting an appraisal include preparing the appraisal report and presenting it to the intended audience in a clear and concise manner.

While being prepared to explain the reasoning and analysis used to arrive at the opinion of value.

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Goal of the seller is to max profits and solve what 3 problems

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The goal of the seller is to maximize profits and solve three problems:

what to producehow to produce itwhom to produce it

Based on customer demand and market developments, the vendor must decide what products or services to offer.

In addition, they must decide how to manufacture the products or render the services in the most effective and economical way feasible, taking into account elements like labour, resources, and technology.

As a result, the significance of the goal of the seller is to maximize profits and solve three problems are the aforementioned.

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