if the demand curve is QD= 10−2P, then what is the lowest price at which no consumer is willing to buy the good is?
a. 10
b. 2
c. 7
d. 5

Answers

Answer 1

Demand curve is Qd = 10 - 2P. The lowest price at which no consumer is willing to buy can be calculated. At this price quantity  the lowest price at which no consumer is willing to buy the good is 5

A demand curve is a graphical illustration of how a change in price affects the demand for a product. Demand and price of a good are inversely related, provided that other factors remain constant.

A downward or upward movement represents any change in demand brought on by a drop in price or an increase in price.

When the product requirement rises or falls, the curve shifts to the right or the left. Consumer income, consumer preferences, consumer expectations, and the supply of goods all affect demand in addition to price. The relationship between the cost of a good or service and the quantity demanded over a specific time period is represented graphically by the demand curve.

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Related Questions

what are two pieces of data that are needed in each of the six financial planning areas?

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The cash flow forecast, balance sheet, income statement, and statement of stakeholders' equity make up the four financial statements that make up the financial planning.

Financial planning includes both saving, which is the act of setting money aside you'll need in an emergency, and investing, which is the act of setting money aside you'll will require in the long run. These essential components of a financial plan include:

1. Your current financial situation, which will enable you to gauge your current situation.

2. Investment planning can assist you in achieving your goals.

3. Retirement Planning, which aims to enable you to maintain your standard of living once you retire.

4. Tax planning can help prevent paying extra taxes.

5. Protection Planning to protect your cherished ones and way of life

6. Executing an estate plan to safeguard your legacy.

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for an mlo employed by a mortgage broker, which statement about an mlo advertising to solicit mortgage business is false?

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The statement about a mortgage loan originator (MLO) advertising to solicit mortgage business which is false is that the loan originator may advertise exclusively in his or her own name. (Option C)

A mortgage loan originator (MLO), sometimes just called a loan originator, refers to an individual or entity who is integral to the mortgage loan origination process, or the initiation of a loan. It facilitates the mortgage approval process by making first contact with the originator, to getting preapproved, to applying for a loan and on through to closing. In order to advertise to solicit mortgage business by the MLO, the ad must include the license number of employing broker's principal place of business, the loan originator's unique NMLS ID, and must obtain the approval of the employing mortgage broker. However, the loan originator is not required to advertise exclusively in his or her own name.

Note: The question is incomplete. The complete question probably is: Which statement about a mortgage loan originator (MLO) advertising to solicit mortgage business is FALSE? A. The ad must include the license number of employing broker's principal place of business B. The ad must include the loan originator's unique NMLS ID C. The loan originator may advertise exclusively in his or her own name D. The loan originator must obtain the approval of the employing mortgage broker

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the alpine house, incorporated, is a large retailer of snow skis. the company assembled the information shown below for the quarter ended march 31: amount sales $ 1,276,000 selling price per pair of skis $ 440 variable selling expense per pair of skis $ 49 variable administrative expense per pair of skis $ 17 total fixed selling expense $ 150,000 total fixed administrative expense $ 100,000 beginning merchandise inventory $ 65,000 ending merchandise inventory $ 115,000 merchandise purchases $ 280,000 required: 1. prepare a traditional income statement for the quarter ended march 31. 2. prepare a contribution format income statement for the quarter ended march 31. 3. what was the contribution margin per unit?

Answers

If the alpine house, incorporated, is a large retailer of snow skis.

1. Traditional income statement for the quarter ended march 31 is $609,600

2. The Contribution Format Income Statement for the Quarter ended March 31 is  $839,600.

3. The Contribution Margin per Unit was $374.

How to prepare the Traditional Income Statement?

1. Traditional Income Statement for the Quarter ended March 31:

Sales: $1,276,000

Less: Cost of Goods Sold $345,000

($65,000 + $280,000)

Less: Ending Merchandise Inventory $115,000

= Cost of Goods Sold $230,000

Gross Profit $1,046,000

Less: Total Selling Expenses  $137,100

( $49 × (1,276,000 / 440))

Fixed Selling Expense $150,000

Total Selling Expenses $287,100

Less: Total Administrative Expenses $49,300

Fixed Administrative Expense $100,000

Total Administrative Expenses $149,300

Net Income $609,600

2. Contribution Format Income Statement for the Quarter ended March 31:

Sales: $1,276,000

Less: Variable Cost of Goods Sold $137,100

( $49 × (1,276,000 / 440))

Variable Administrative Expense per Pair of Skis $17

Total Units Sold (1,276,000 / 440) = 2,900

= $49,300

Total Variable Cost of Goods Sold $186,400

Contribution Margin $1,089,600

Less: Total Fixed Expenses:

Fixed Selling Expense $150,000

Fixed Administrative Expense $100,000

Total Fixed Expenses $250,000

Net Income $839,600

3. Contribution Margin per Unit:

Contribution Margin per Unit = Selling Price per Pair of Skis - (Variable Selling Expense per Pair of Skis + Variable Administrative Expense per Pair of Skis)

Contribution Margin per Unit = $440 - ($49 + $17)

Contribution Margin per Unit= $374


Therefore the Traditional income statement for the quarter ended march 31 is $609,600

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sunbeam overstated goodwill on the acquisition of companies in order to create cookie-jar reserves. true

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Sunbeam inflated goodwill in company acquisitions to build cookie reserves. False.

The required details for Goodwill in given paragraph

Goodwill is an intangible asset associated with the acquisition of one company by another. It represents the value that an acquiring company can bring to a competitive advantage. Specifically, the definition of goodwill is that portion of the purchase price that is greater than the sum of the fair values ​​of all those included in the acquisition assets acquired and liabilities assumed under the process. A company's name value, brand reputation, loyal customer base, strong customer service, good relationships with employees, and proprietary technology are all aspects of goodwill. This value is why one company may pay more for another. Goodwill is an intangible asset that represents the price of the purchase exceeded by another company. The items included in goodwill are property or intellectual property and brand awareness that are not easily measurable.

Goodwill is calculated by The purchase price of the company is taken and the difference between the fair value of assets and liabilities is deducted.

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what can a country use to counteract a country that uses subsidies to support an industry? multiple choice question. engage in a licensing deal establish anti-dumping regulations establish export tariffs reduce local content requirements

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The answer is is option a. engage in a licensing deal , it is what a country use to counteract a country that uses subsidies to support an industry.

What do import and export mean?

Sending products and services from one country to another is referred to as exporting. In a similar vein, importing products and services entails getting them from a foreign market and bringing them back home.

What kinds of exports are there?

Direct exporting and indirect exporting are the two basic types of exporting. A sort of exporting called direct exporting involves a corporation selling its goods directly to customers abroad. A sort of exporting known as indirect exporting is carried out by businesses that sell goods to other nations through an intermediary.

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Describe how managers can plan in today's dynamic environment

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The first step in achieving goals is planning. Set up rigorous monitoring mechanisms before implementing a strategic plan so you can determine whether it is still effective and relevant over time.

The following methods can be used by managers to properly plan in the changing environment of today:

By putting the ends before the methods. Making it clear how the result may be monitored and how much is anticipated How long after completion can the success be measured.Getting everyone to agree on a position. Concentrating on and choosing the objectives.Ensuring that low expectations don't demoralize.

The timeframes of strategic plans can be either lengthy or brief. Short-term plans are made to quickly accomplish immediate goals, whereas longer-term plans direct a company's actions over a period of years. Use a combination of short- and long-term plans to achieve your goals in order to keep your strategic plan current. Set broad, overarching goals for your long-term plans, and then routinely create short-term plans and strategies to aid in achieving those goals. You can adjust and modify your plans quickly enough to stay up with shifting market conditions by using short-term planning to attain long-term goals.

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Bruce Ibach owns Biotech Fitness Centre, which showed the following selected transactions for the month ended May 31, 2017:
May 1 Purchased new equipment, paying cash of $14,300 and signing a 90-day note payable for the balance of $35,000.
2 Purchased 12 months of insurance to begin May 2; paid $25,800.
3 Completed a fitness contract for a group of clients today and received $6,300.
4 Purchased office supplies on account; $3,900.
6 Returned to the supplier $780 of defective office supplies purchased on May 4.
10 Provided services to a client today on account; $11,800.
15 Paid for the May 4 purchase less the return of May 6.
20 Received payment from the client of May 10.
25 Received cash of $2,800 from a client for work to be done in June.
31 Paid month-end salaries of $50,000.
31 Paid the May telephone bill today; $2,400.
31 Received the May electrical bill today; $3,400. It will be paid on June 15.
Required:
Prepare journal entries for each of the above transactions

Answers

The Debit and Credit balance of the transaction will come to $153680.

Debit new equipment and credit cash amount 49300

Debit insurance and credit cash amount $25800

Debit cash and credit contract amount $6300

Debit office supplies and credit bank amount $3900

Debit cash and credit Purchase return amount of $780

Debit bank and credit services amount to $11800

Debit salaries and credit bank amount $50000

Debit telephone bill and credit bank amount of $2400

Debit electricity bill and credit bank amount of $3400

A documented entry for a made or unpaid payment is referred to as a debit. In a ledger account, a debit entry is often made on the left side. So, with a double-entry system, when a transaction happens, one account is debited and another account is credited.

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which of the following statements about cash flow diagramming is false? which of the following statements about cash flow diagramming is false? the end of period x is at the same time as the beginning of period x 1. more than one cash flow can take place at the end of a single period. cash flows that take place during the middle of a compounding period are placed on the diagram at the start of that period. cash flows that occur during the same compounding period can be algebraically combined into a single cash flow.

Answers

Statements concerning cash flow diagramming are untrue since cash flows that occur in the midst of a compounding period are depicted on the diagram at the beginning of that period. The right response in this case is option C.

Cash flows that take place during the middle of a compounding period are usually shown on the diagram at the point in time at which they occur, rather than at the start of that period.

In a cash flow diagram, the end of period "x" is not necessarily at the same time as the beginning of period "x + 1". Multiple cash flows can take place at the end of a single period. Algebraically, cash flows that happen within the same compounding period can be merged to form a single cash flow.

Complete question:

which of the following statements about cash flow diagramming is false? which of the following statements about cash flow diagramming is false?

A - the end of period x is at the same time as the beginning of period x 1.

B - more than one cash flow can take place at the end of a single period.

C - cash flows that take place during the middle of a compounding period are placed on the diagram at the start of that period.

D - cash flows that occur during the same compounding period can be algebraically combined into a single cash flow.

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what is the term called when companies make everything the same but charge extra for certain features to be activated

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The term for companies making everything the same but charging extra for certain features to be activated is called "tiered pricing" or "freemium model". Many businesses, particularly in the tech sector, adopt the "tiered pricing" or "freemium model".

A business can draw in an extensive customer base by providing a free or inexpensive service. Then, it can create revenue by selling premium features or upgrades to a select group of consumers who require or appreciate the additional capabilities. This business model enables organizations to generate revenue while continuing to deliver an actual product to a wide group of users.

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"the independence of the central bank has meant that it takes the long view and not the short view." is this statement true, false, or uncertain? explain your answer.

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Statement "the independence of the central bank has meant that it takes the long view and not the short view." is Uncertain.

The statement that the independence of a central bank leads to a long-term view is a common belief, but it is not universally true.

The level of independence of central banks varies greatly between countries, and their decision-making processes are influenced by many factors, including their mandates, governance structures, and political constraints.

Therefore, it is uncertain whether the independence of a central bank will always result in a long-term perspective or not. It is important to consider the specific context of each central bank and the factors that shape its decision-making processes in order to understand its behavior and the implications of its independence.

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a You are 20 years old today. When you turn 62, you want to retire. Starting on your 62nd birthday you want to receive funds from a growing annuity; the first payment would be $60,000 and grow at a rate of 5% per year for a total of 35 payments (including the first one). Your plan is to start saving for this plan on your 24th birthday; your first deposit would be $10,000 and would stay constant for a total of 25 deposits. On your 55th birthday, you calculate the amount of your compounded savings have and need to determine whether you have enough saving or not. On that 55th birthday, do you need to deposit more, or are you over funded and can take money out and still have enough in the account to fund your planned annuity? Assume a discount rate (or rate of return) of 8% for all periods. a For this question, see Retirement Problem in Content. At age 55, do you need to deposit more funds to meet your plan? No; the plan has plenty of funds invested Need more information Not sure yes....a lot!

Answers

On that 55th birthday, you don't need to deposit more, as you still have $16476 2.2 in the account to fund your planned annuity.

An annuity is an agreement that you have with an insurance provider that calls for regular payments to be made by the insurer to you, either now or in the coming. Whether its a solitary payment or a group of payments are required to purchase an annuity.

Compounding is the process by which interest is earned on an investment over time, causing your earnings to increase. Your earnings will increase as your assets increase thanks to the power of compounding. The yearly interest rate raised to the number of compound periods minus one, multiplied by the original principal amount, is used to determine compound savings.

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describe advocacy strategies that you can use as a leader to create positive change in your current workplace.

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Strategies for Employee Advocacy in Your Business

Create a positive workplace culture.Encourage Your Employees to Participate in the Program.For your program, set goals and performance standards.Establish social media guidelines and best practices.Leaders for Your Employee Advocacy Program.

Which leadership philosophies are most effective for advocacy?

The three strategies described below can assist leaders in being outstanding supporters of their organization.

Pay attention to them and carry their concerns higher up the corporate structure.Report performance metrics and praises to other departments.Look for growth opportunities for your top performers.

Why is support in the workplace crucial?

Initiatives for employee advocacy help employees understand and feel a part of the company's mission. It offers employees a greater sense of purpose, which raises motivation and improves the working environment. Sharing material improves an employee's professional brand as well.

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omar is considering buying a sports car, but he changes his mind when he realizes that the cost of regular maintenance would be exorbitant. which type of risk kept omar from making the purchase?

Answers

Omar was facing financial risk, also known as economic risk.

This type of risk occurs when an individual is uncertain about the future costs associated with a decision, and this uncertainty can negatively impact their financial situation. In this case, Omar was concerned about the high cost of regular maintenance for the sports car, which would have put a strain on his finances.

This type of financial risk is particularly relevant for expensive luxury items, such as sports cars, as the cost of maintenance and repair can be quite significant. As a result, Omar decided to change his mind about making the purchase, as he did not want to take on the risk of incurring such high costs in the future.

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which marketing function involves communicating directly with potential customers to determine their needs?

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Marketing research, which involves collecting and analyzing data about customers and the marketplace.

Which aspect of marketing entails direct interaction with potential clients to learn about their needs?

Market research is the marketing function that involves communicating directly with potential customers to determine their needs. Market research helps marketers collect data on customer preferences and opinions, as well as competitor activity and industry trends.This data helps marketers better understand the customer and the competitive landscape, and provides insight into which strategies will be most effective for reaching and engaging customers.

Market research activities might include conducting surveys, focus groups, interviews, competitor analysis, and more. By gathering data from customers and competitors, marketers can better understand customers’ needs and develop strategies to meet those needs.

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Which is the most pragmatic way to plan a venture?
pursuing an existing franchise license

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Starting a new venture can be an exciting and challenging process, but it is important to have a clear and practical plan in order to increase the chances of success. The most pragmatic way to plan a venture is by using a systematic and structured approach that takes into account various key factors.

The first step in planning a venture is to define the purpose and goals of the venture. This includes determining what problem the venture will solve, what products or services will be offered, and what the target market is. Having clear and measurable goals will help guide the rest of the planning process.

Once the goals have been defined, it is important to conduct market research to better understand the potential customers and competitors in the market. This information can be used to refine the product or service offerings and to develop a marketing and sales strategy.

Another key factor in planning a venture is to create a realistic financial plan. This should include projections for income and expenses, as well as a plan for securing funding if needed.

It is important to have a clear understanding of the costs associated with starting and running the venture, and to make sure that there is enough funding to support the venture in the short and long term.

Finally, it is important to have a risk management plan in place. This involves identifying potential risks and developing strategies to mitigate or avoid them. This can include insuring the venture against potential losses, setting aside funds for unexpected expenses, and developing contingency plans for various scenario.

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zero unemployment is group of answer choices only possible in recessions. not possible. only possible in expansions. the official main goal of macroeconomic policymakers.

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Zero unemployment is not possible in any phase of the business cycle, whether it is a recession or expansion. Unemployment is a lagging indicator and tends to decrease during expansions and increase during recessions.

The official main goal of macroeconomic policymakers is to achieve maximum employment and price stability. This means that policymakers aim to maintain an economy with a low and stable rate of inflation and high levels of employment. Zero unemployment is not a feasible or desirable goal for policymakers, as some level of unemployment is considered to be natural and necessary for an economy to function effectively.For example, some level of unemployment is necessary to accommodate changes in the labor market, such as workers transitioning between jobs, and to maintain flexibility in the labor market. Additionally, if unemployment were to fall to zero, it could lead to inflationary pressures, as employers would have to compete for workers, driving up wages and prices.Therefore, while zero unemployment is not possible, macroeconomic policymakers aim to achieve a balance between low unemployment and price stability, through the use of monetary and fiscal policy tools.

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which risk affects many accounts and assertions and often arises from the entity and its environment? A. Assertion level risk B. Risk of error C. Risk of fraud D. Financial statement level risk

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Assertion level risk affects many accounts and assertions and often arises from the entity and its environment .

Option a is correct .

The evaluation of inherent risk and control risk constitutes the risk of significant misstatement at the level of an assertion. Inherent risk refers to the auditor's assessment of the client's susceptibility to material misstatement of an assertion. This is before the internal controls of the client are taken into account.

A financial statement assertion that reasonably could contain a misstatement or misstatements that would cause the financial statements to be significantly misstated is considered to be relevant. Basic, emphatic, increasing, I-language, and positive assertions are among the five categories of assertions. A simple statement that represents a thought, emotion, desire, or belief is referred to as a fundamental assertion.

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in the month of april 2020 management of dime community bancshares modified 274 loans to borrowers affected by covid-19. the principal amount of these loans was $947,447,000.

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Dime Community Bancshares modified 274 loans in April 2020 to assist borrowers affected by the COVID-19 pandemic. The total principal amount of these loans was $947,447,000.

In April 2020, Dime Community Bancshares took action to support borrowers who were impacted by the COVID-19 pandemic. The management of the company modified 274 loans to provide relief to those affected. The total principal amount of these modified loans was $947,447,000. This modification likely included changes such as extending the loan term, reducing the interest rate, or deferring payments. The goal of these modifications was to help borrowers manage their debt during a difficult time and avoid defaulting on their loans.

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If you sell an asset, you are most apt to receive which value for that asset?a.) market valueb.) original cost minus accumulated depreciationc.) carrying valued.) historical valuee.) book value

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If you sell an asset, you are most apt to receive  book value. In this case option d is correct

An asset's book value is determined by subtracting its accumulated depreciation from the asset's cost to carry it on the balance sheet of the company. Since a company's total assets are deducted from its intangible assets (patents, goodwill), liabilities, and liabilities, its net asset value (NAV) is also known as book value. In relation to an investment's initial outlay, book value may be gross or net of costs like trading fees, sales taxes, service fees, and other similar charges.

A company's book value per share is determined by dividing its total common stockholders' equity, less preferred stock, by the total number of its outstanding common shares. In addition to being referred to as "book value," "net book value"

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Write a one- to two-page paper that addresses the following. Be sure to show your calculations.
Construct the average fixed cost, average variable cost, and average total cost schedules.
Construct the marginal cost schedule.
Check that the gap between total cost and total variable cost is the same at all output levels. Explain why this relationship is so important and demonstrate clear insightful and critical thinking.

Answers

The distance between the two curves, which indicates total fixed cost and is constant at all production levels, explains why. If fixed costs are the difference between total costs and total variable costs.

The relationship between the total fixed cost of production and the amount of output, with all other factors being constant, is shown by the total fixed cost curve. Since the entire fixed expenses are fixed, a horizontal line serves as the curve to depict them. At all output levels, TFC remains constant. At a level of production of zero, TVC is zero, and as output grows, TVC rises as well. As a result, TC also rises. The typical fixed cost curve never has a U-shape. Because fixed costs are spread out across a greater volume as production volume grows, the average fixed costs AFC curve slopes downward.

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what are 2 types of adjusting journal entries commonly made before preparing financial statements? provide examples in your answer.

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The 2 types of adjusting journal entries commonly made before preparing financial statements are accruals and deferrals.

The financial statements are those statements which include the record of the financial activity which is  performed by the businesses or companies.

The financial statements are audited by the government, accountants and the firms etc. These financial statements  also include the tax and investing records.

The example of accruals, if the firms provide the service to consumer in the January month but the payment comes in the end of February month.

The example of deferrals in the when the individual pays their rent payments in the advance to the rent collector.

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Assume that a commercial bank has demand deposits of $1,000,000 and cash reserves of $150,000. If the required reserve ratio is 10%, which of the following is true?This bank has inadequate reserves, given its demand deposits.This bank must keep demand deposits of at least $150,000.This bank has excess reserves of $100,000.This bank's required reserves equal $100,000.This bank must reduce its demand deposits to comply with the reserve requirement.

Answers

Considering its demand deposits, this bank's reserves are insufficient. Demand deposits in this bank must be at least $150,000. This bank has $100,000 in extra reserves. The required reserves for this bank are $100,000.

The required reserve ratio is easily calculated by dividing the amount of money a bank must hold in reserve by the amount of money it has on deposit. For instance, if a bank needed to retain $500,000 in reserves and had $10 million in deposits, the required reserve ratio would be 1/20, or 5%.Excess reserves are the sum of total reserves less required reserves. Consider that a bank has $20 million in deposits, for instance. It must keep $2 million in cash on hand if its reserve ratio is 10%. $1 million of the bank's $3 million in reserves, however, would be considered surplus reserves.

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robin hood's statement of cash flows contained the following information: cash flows from operating activities in the amount of $30,600 cash flows from investing activities in the amount of $31,600 cash flows from (used by) financing activities in the amount of ($43,400) what was robin hood's change in cash for the period?

Answers

Robin Hood's cash balance increased by $15,200 throughout the time period.

Calculating the period's Robin Hood change in cash is as follows: = Cash flow from operating operations + Cash flow from investment activities - Cash utilised in financing activities = $29,400 + $30,400 - $44,600 = $15,200

The rise in Robin Hood change over the time period is $15,200. Cash Balances for Business Deposit & Savings Accounts: The total amount of cash on hand in all Business Deposit & Savings Accounts as of the end of the business day. Cash is listed as a current asset on the balance sheet, which causes it to rise on the debit side and fall on the credit side. Cash will normally be at the top of the current asset section of the balance sheet due to the order of liquidity.

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Fill in the blank: _____ is when the project manager determines how long it will take to complete a project based on resources available.
a. Planning
b. Brainstorming
c. Prediction
d. Projection

Answers

The correct answer is "Planning". Planning is an important phase of project management where the project manager determines how long it will take to complete a project based on the resources available. (A)

This involves creating a detailed project plan that outlines the tasks, resources, and timeline required to complete the project.

The project manager will assess the resources, such as manpower, equipment, and budget, and determine how they can best be used to achieve the project goals within the allotted time.

The project plan serves as a roadmap for the project and helps to ensure that it stays on track and is completed within the specified timeframe.

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nest company started year 2 with a beginning balance of $7,600 in accounts receivable. during the year, revenue on account amounted to $13,600. the company incurred $3,300 of expenses on account and paid dividends of $530. if the company had an ending balance in accounts receivable of $2,300, how much cash was collected from customers?

Answers

If company had an ending balance in the accounts receivable of $2,300, $1,000 cash was collected from the customers.

What is accounts receivable?

Accounts receivable, also referred to as AR, is the balance owed to a company for products or services that have been delivered or used but for which customers have not yet made payment. Accounts receivable is the balance sheet term for a current asset. Any amount that customers owe for purchases they made using credit is referred to as AR. The phrase "accounts receivable" refers to any unpaid bills or money that a company is due from clients. The expression refers to accounts that a business is due as a result of providing a good or service. Accounts receivable, or receivables, is another name for the line of credit that a company offers to its clients.

Cash collected= $3300-$2300= $1,000

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why do most analysts regard the net interest margin (nim) as a more precise indicator of net interest income than the ratio of net interest income to total assets?

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The difference between the income a bank receives on loans and the interest it pays on deposits is known as the net interest margin (NIM). One measure of a bank's profitability and expansion is NIM.

What does NIM stand for and what does it mean?

A financial institution's net interest margin (NIM) compares the net interest revenue it receives from credit products like loans and mortgages to the interest it expends on holders of savings accounts and certificates of deposit (CDs).

The net return on the bank's earning assets, which include investment securities, is measured by the net interest margin (NIM). It is calculated by dividing interest revenue less interest expense by assets with a positive yield. Earning assets x Net interest income equals NIM.

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will the use of leonardo dicaprio help with penetration of the us ev market?

Answers

IIMB PROJECT MA at IIM Bangalore with penetration of the us ev market

Penetration may refer to:A wire, cable, or other electrically conducting device passing through a wall or partitionA penetration is an opening in a wall or floor assembly that needs to be fire-resistant to allow for the passage of a mechanical, electrical, or structural penetrant (firestop).

the capacity of weapons to cut through a target's armour or other types of defenceThe degree of penetration of light or any other electromagnetic radiation into a physical mediuPenetrating trauma is injury brought on by a foreign object piercing the skin and entering body tissue.roofing with HVAC supports, pipes, and conduits

Media and artistic access controls being violated without authorization

Punk rock band Penetration performs the song "Penetration"

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How many stocks do you need in a portfolio to more or less to eliminate Diversifiable risk?
Holding 100 stocks reduces diversifiable risk by about 90%, and. Holding 400 stocks reduces diversifiable risk by about 95%.

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To more or less eliminate diversifiable risk in your portfolio, you need to hold at least 100 stocks.

Diversifiable risk is the risk that is unique to a particular asset or security. Holding multiple assets in a portfolio will reduce this risk, since each asset or stock has its own unique risks that are not necessarily correlated to the risks of the other assets in the portfolio.

The more stocks you hold in a portfolio, the lower your diversifiable risk. Holding 100 stocks reduces diversifiable risk by about 90%, and holding 400 stocks reduces diversifiable risk by about 95%.

This is due to the fact that it is unlikely for all 100 stocks, or all 400 stocks, to move in the same direction at the same time.

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suppose in a hypothetical economy, the expected inflation rate is 4% and the real interest rate is 3%. the nominal interest rate is:

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According to the inflation rate, the nominal interest rate is 7%.

The inflation rate is a measure of how much prices for goods and services are rising over time.

In a hypothetical economy, the expected inflation rate is 4% and the real interest rate is 3%. The nominal interest rate is the interest rate that is adjusted for inflation.

To calculate the nominal interest rate, we must add the expected inflation rate to the real interest rate. The formula for calculating the nominal interest rate is as follows:

=> Nominal Interest Rate = Real Interest Rate + Inflation Rate

So in this case, the nominal interest rate would be:

Nominal Interest Rate = 3% + 4% = 7%

This means that if you invested $100 at a nominal interest rate of 7%, in a year, you would receive a return of $107, adjusted for the expected inflation rate of 4%. The real interest rate of 3% would reflect the increase in purchasing power of the investment, taking into account the effect of inflation.

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he failure to share bad news within an organization multiple select question. is a characteristic of a high-performing organization. sometimes happens because employees don't want to be blamed when things go wrong. gives top-level officials the impression that things are more positive than they actually are. leads to lower morale within the organization.

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Lowers employee morale inside the company, often as a result of workers' reluctance to take blame when something goes wrong, and provides upper-level officials the false idea that things are going well.

Why is business organization crucial?

Planning ahead can help you do your task correctly and prevent mistakes that might cost you money. Planning ahead and organizing your work will increase your efficiency and productivity. You may accomplish significant goals and objectives by maintaining good organization and creating successful strategies.

What are an example and an organization?

An organizations is a formal gathering of individuals, such as a business, charity, political party, or club. The majority of these specialty schools are run by nonprofit institutions.

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