The is c, $11,487. This can be found by looking at Nike's most recent balance sheet and locating the line item for Retained Earnings or Accumulated Deficit.
This number represents the undistributed earnings of the company, which is the amount of profits that have been earned but not paid out as dividends or used for other purposes. It is important to note that this number can change from quarter to quarter or year to year depending on the company's financial performance.
To find the correct answer, you would need to look up Nike's most recent financial statement or balance sheet. Undistributed earnings, also known as retained earnings, represent the cumulative net income that has not been distributed as dividends to shareholders. In this case, the correct value for Nike's undistributed earnings is $11,487 million.
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Which of the following would have a negative
effect on your credit score?
A getting a promotion at work B making late payments on a car loan C paying credit card balances in full
D having a low debt-to-income ratio
Making late payments on a car loan would have a negative effect on your credit score.
Late payments are reported to credit bureaus and can significantly impact your credit score, as payment history is one of the most important factors in determining your credit score. Payment history accounts for 35% of your FICO credit score, which is one of the most widely used credit scoring models.
Getting a promotion at work, paying credit card balances in full, and having a low debt-to-income ratio are not likely to have a negative effect on your credit score. In fact, paying credit card balances in full and having a low debt-to-income ratio can have a positive effect on your credit score, as they demonstrate responsible credit management.
However, it's important to note that credit scoring models consider a range of factors when calculating your credit score, including the length of your credit history, the types of credit you have, and the amount of credit you're using. While late payments can have a significant negative impact on your credit score, they are not the only factor that lenders consider when evaluating your creditworthiness.
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the proper blend of elements in the promotional mix depends on the type of product. the three specific characteristics to be considered are complexity, , and ancillary services.
The proper blend of elements in the promotional mix depends on the type of product, and there are three specific characteristics to be considered: complexity, compatibility, and ancillary services.
Complexity refers to how difficult it is for the consumer to understand the product and its features. For example, a new software product may be complex and require more technical explanation through demonstrations and tutorials. On the other hand, a simple household cleaning product may require less explanation and can be effectively promoted through advertising.
Compatibility refers to how well the product fits with the target audience's lifestyle or needs. For instance, a luxury car may be more compatible with affluent consumers who value style and performance, while a budget car may be more compatible with consumers who prioritize affordability.
Finally, ancillary services refer to additional services or features that come with the product, such as warranties, customer service, or delivery options. Depending on the product, the importance of ancillary services may vary. A high-end electronic device may require strong customer support and warranties, while a food product may not require as much focus on ancillary services.
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calculate the equilibrium level of income for the following case:
Autonomous consumption a=$400
Income (Y) = $2000
Taxes (T) = $200
mpc=.75
Investment: $400
Government spending: $250$1750
$2150
$2400
not enough information
To calculate the equilibrium level of income, the correct answer is $2150. We need to use the Keynesian Cross formula:
Y = C + I + G + (X - M)
Where:
Y = Income
C = Consumption
I = Investment
G = Government spending
X = Exports
M = Imports
Assuming that X = M = 0, we can simplify the formula to:
Y = C + I + G
Using the information provided:
C = a + mpc(Y - T) = 400 + 0.75(2000 - 200) = 1450
I = 400
G = 250
Therefore,
Y = 1450 + 400 + 250 = $2100
The equilibrium level of income is $2100.
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calculate the equilibrium level of income for the following case:
Autonomous consumption a=$400
Income (Y) = $2000
Taxes (T) = $200
mpc=.75
Investment: $400
Government spending: $250$1750
$2150
$2400
in a culture, employee values and behaviors are consistent with the organization's values, and the culture is resistant to change. question 38 options: a) weak positive b) strong positive c) moderate neutral d) weak negative e) strong negative
The culture described in the question has a strong positive correlation between employee values and behaviors and the organization's values.
This means that employees in the organization share the same values and exhibit behaviors that align with those values. Additionally, the culture is resistant to change, indicating that any attempts to change the values and behaviors may be met with significant resistance. Therefore, the answer is option b) strong positive.
your question is about a culture in which employee values and behaviors are consistent with the organization's values, and the culture is resistant to change. The best option to describe this situation is:
Strong positive
A strong positive culture indicates that there is a high level of alignment between the employees' values and behaviors and the organization's values, which creates a unified and consistent work environment. However, it also means that the culture may be resistant to change, as employees are deeply committed to the existing values and practices.
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gloria's snacks is a food truck that sells smoothies. in this scenario, which of the following is true of gloria's snacks?
The true statement of gloria's snacks is that the business is a mix of goods and services. The Option D is correct.
What kind of business is Gloria's Snacks?Her business offers a variety of food and beverage items such as chips, candy, and soft drinks which are considered goods but the business also provides services such as catering for events and parties, delivery services, and customized gift baskets.
So, we can assume that Gloria's Snacks is a mix of goods and services business. This combination of offerings can help the business cater to a wider range of customers and increase its revenue streams.
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suppose the quantity of money (m) is $2,025, the velocity (v) is 4, and real gdp (y) is $4,500. then the price level is . question blank 1 of 1 type your answer...
The quantity theory of money states that the price level is directly proportional to the quantity of money and the velocity of money, and inversely proportional to real GDP. the price level in this economy is 1.8.
Using the formula for the quantity theory of money, we can calculate the price level when given the values of M, V, and Y.
In this case, the quantity of money (M) is $2,025, the velocity (V) is 4, and real GDP (Y) is $4,500. By substituting these values in the formula, we get:
M * V = P * Y
2,025 * 4 = P * 4,500
Solving for P, we get:
P = (2,025 * 4) / 4,500 = 1.8
Therefore, the price level in this economy is 1.8.
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What would cause you to have Closing Inventory in Stock from a previous year?
Having closing inventory in stock from a previous year can be attributed to overstocking, slow-moving or obsolete items, seasonal demand fluctuations, economic factors, inaccurate forecasting, and supplier issues.
Proper inventory management is crucial to avoid excess closing inventory and optimize business operations.
Closing inventory refers to the unsold goods or products that remain in stock at the end of an accounting period. These goods are carried forward to the next accounting period as opening inventory. There are several reasons why a business may have closing inventory in stock from a previous year.
1. Overstocking: The company may have purchased or produced more inventory than it could sell, leading to a surplus.
2. Slow-moving or obsolete items: Some products may not sell as quickly as anticipated or may become outdated, causing them to remain in inventory longer.
3. Seasonal demand fluctuations: Certain goods may have higher demand during specific times of the year, leading to excess inventory during the off-season.
4. Economic factors: Economic downturns or market saturation can cause a decrease in sales, resulting in higher closing inventory.
5. Inaccurate forecasting: If a company's sales forecasts are inaccurate, it may lead to excess inventory.
6. Supplier issues: Delays or issues with suppliers can cause a business to hold onto inventory longer than anticipated.
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assume that an individual investor wants to select one market segment for a new investment. a forecast shows improving to declining economic conditions with the following probabilities: improving 0.3, stable 0.5, and declining 0.2. what is the preferred market segment for the investor? - select your answer - what is the expected return percentage? round your answer to one decimal place. expected return
Based on this analysis, the preferred market segment for the investor is stocks, with an expected return of 5.8%.
To determine the preferred market segment for the investor, we need to calculate the expected return for each market segment under different economic conditions.
1. Identify the potential market segments (e.g., stocks, bonds, real estate, etc.).
2. Determine the expected returns for each market segment under improving, stable, and declining economic conditions.
3. Calculate the weighted average of the expected returns for each market segment using the given probabilities.
Example:
Let's assume three market segments: stocks (S), bonds (B), and real estate (R).
Expected returns under different economic conditions:
- Improving: S = 12%, B = 4%, R = 6%
- Stable: S = 6%, B = 3%, R = 4%
- Declining: S = -4%, B = 2%, R = -2%
Now, calculate the weighted average of expected returns for each market segment:
Stocks:
- (0.3 * 12%) + (0.5 * 6%) + (0.2 * -4%) = 3.6% + 3% - 0.8% = 5.8%
Bonds:
- (0.3 * 4%) + (0.5 * 3%) + (0.2 * 2%) = 1.2% + 1.5% + 0.4% = 3.1%
Real Estate:
- (0.3 * 6%) + (0.5 * 4%) + (0.2 * -2%) = 1.8% + 2% - 0.4% = 3.4%
Comparing the weighted average expected returns, stocks have the highest expected return of 5.8%, followed by real estate at 3.4% and bonds at 3.1%.
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historical data shows that the mean starting annual salary at a given department of a company is 95k and the median is 118k. which of the following statement is true?
The correct option is B, starting annual earnings are negatively skewed, in other phrases there are a few employees who have a lot lower beginning annual salaries than most of the people of the personnel.
Earnings refer to the amount of money that a person or a company receives for their work or investments. Earnings can come in various forms, such as wages, salaries, bonuses, commissions, dividends, and capital gains. For individuals, earnings typically represent the income they receive from their employment, while for companies, earnings represent the profits they generate from their operations.
Earnings are a crucial metric for businesses and investors as they provide insight into a company's financial health and profitability. A company's earnings can affect its stock price, as investors often use earnings per share (EPS) to determine a stock's value. It's important to note that earnings are subject to taxation, and individuals and companies are required to pay taxes on their earnings according to the applicable tax laws in their respective jurisdictions.
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Complete Question:
Historical statistics indicates that the suggest beginning annual revenue at a given branch of a employer is 95K and the median is 118K. Which of the subsequent announcement is genuine?
A). beginning annual revenue is negatively skewed, in other words there are a few employees which have lots higher beginning annual salaries than most people of the personnel
B), starting annual earnings is negatively skewed, in other phrases there are a few employees which have a lot lower beginning annual salaries than most of the people of the personnel
C). beginning annual salary is undoubtedly skewed, in different phrases there are a few employees which have much better beginning annual salaries than most of the people of the personnel
D). starting annual profits is undoubtedly skewed, in other phrases there are a few employees that have a lot better starting annual salaries than the general public of the personnel
imagine that the market for home-exercise equipment experiences an increase in supply and a decrease in demand. which of the following results is expected to occur?
When the market for home-exercise equipment experiences an increase in supply and a decrease in demand, the result is likely to be a surplus of home-exercise equipment.
This means that there will be more home-exercise equipment available in the market than there are buyers for it. As a result, suppliers will be forced to lower the price of the equipment to sell their surplus inventory. This will lead to a downward pressure on prices, resulting in a decrease in the equilibrium price of home-exercise equipment.
Additionally, the decrease in demand will lead to a decrease in the quantity of home-exercise equipment demanded at every price. Consumers will either switch to other forms of exercise or reduce their spending on exercise equipment altogether. This will lead to a leftward shift of the demand curve.
The decrease in demand combined with the increase in supply will lead to a surplus of home-exercise equipment and a decrease in the equilibrium price. Overall, the increase in supply and decrease in demand for home-exercise equipment will lead to a surplus of equipment and a decrease in its price.
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When used for causal inference, the multiple regression model permits estimating the effect ofYiof changing one variable(X1i):A.while holding one of the other variables (for example,X3i)constant.B.and hence always gives the same result as the simple regression model.C.while changing all the other variables, since two observations are hardly ever the same.D.while holding the other regressors(X2i,X3i,and so forth) constant.
D. When used for causal inference, the multiple regression model permits estimating the effect of Y_i of changing one variable (X_{1i}): while holding the other regressors (X_{2i}, X_{3i}, and so forth) constant.
In a multiple regression model, the relationship between a dependent variable (Y) and multiple independent variables (X1, X2, X3, and so on) is examined. The coefficients of the independent variables in the model represent the effect of a unit change in each variable on the dependent variable, holding all other variables constant.
When used for causal inference, the multiple regression model can estimate the effect of changing one independent variable (X1) on the dependent variable (Y), while holding the other independent variables (X2, X3, and so on) constant. This is important for identifying the causal effect of X1 on Y, while controlling for the effects of other independent variables.
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we know that monopolistically competitive firms prevent the efficient use of resources because they produce where group of answer choices p > atc. p > mc. mr > p. p
Monopolistically competitive firms tend to produce where price (p) is greater than average total cost (atc), which means that they are not producing at the lowest possible cost.
This can lead to an inefficient use of resources because the firm is not fully utilizing its available resources to produce at the lowest cost. Additionally, producing where marginal cost (mc) is less than price (p) would result in a more efficient allocation of resources. Therefore, monopolistically competitive firms can be seen as hindering the efficient use of resources.
In a monopolistically competitive market, firms prevent the efficient use of resources because they produce where P > MC (price is greater than marginal cost). This indicates that the firm's output is not produced at the lowest possible cost, leading to a misallocation of resources.
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In the week before the terrorist attacks of Sept. 11, 2001, the Federal Reserve lent about $34 million to banks. On September 12, 2001, it lent $45.5 billion to banks. This highlights the importance of the Fed's role in boosting:
The Fed's actions in the aftermath of the 9/11 attacks highlight the importance of its role in supporting the economy during times of crisis. Its actions helped prevent a financial panic, stabilize the financial system, and support economic growth and job creation.
The Federal Reserve's role in boosting the economy cannot be overstated, especially during times of crisis. In the aftermath of the September 11 attacks, the Fed played a critical role in providing liquidity to the financial system to prevent a collapse.
By injecting massive amounts of liquidity into the banking system through its lending operations, the Fed helped stabilize the financial markets and prevent a financial panic. The Fed's actions also helped restore confidence in the economy, which was crucial in preventing a recession.
Moreover, the Fed's actions during times of crisis demonstrate its commitment to maintaining stable prices and full employment, which are its dual mandates. By providing liquidity and supporting the banking system, the Fed helps ensure that businesses have access to credit, which in turn supports economic growth and job creation.
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effective marketing research involves listening to customers, employees, shareholders, and other stakeholders.T/F
Listening to customers, employees, shareholders, and other stakeholders is an essential component of efficient marketing research. This statement is true.
Effective marketing research involves gathering information from a variety of sources, including customers, employees, shareholders, and other stakeholders. This information can provide valuable insights into consumer preferences, product development, brand perception, and other important marketing considerations.
Listening to customers is perhaps the most critical aspect of marketing research. Customer feedback can reveal important insights about product features, pricing, advertising, and distribution channels. It can also help identify emerging trends and changing consumer preferences.
In addition to customers, marketing research should also involve input from employees, who can provide valuable insights into product development, marketing strategies, and customer service. Shareholders and other stakeholders can provide feedback on company performance, financials, and brand reputation, which can help inform marketing decisions.
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which of the following is a set of points defining the minimum possible risk for a set of return values? an efficient frontier an unity constraint a reduced gradient a contour
The correct option is A, The set of points defining the minimum possible risk for a set of return values is known as the efficient frontier.
The efficient frontier is a concept in finance that refers to the set of portfolios that offer the highest expected return for a given level of risk or the lowest risk for a given level of expected return. In other words, the efficient frontier represents the optimal trade-off between risk and return for a portfolio of assets.
It is constructed by plotting the expected return of a portfolio against its corresponding level of risk, as measured by the portfolio's volatility or standard deviation. Investors can use the efficient frontier to select a portfolio that best meets their risk and return objectives. Portfolios that lie on the efficient frontier are considered efficient because they offer the highest expected return for a given level of risk or the lowest risk for a given level of expected return.
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You must study for your test in one of three periods, t = 0, 1, 2. The instantaneous utility cost of studying at t = 0 is 8, at t = 1 is 10, and at t = 2 is 12. You are a naive quasi-hyperbolic discounter with β = 0.75 and δ = 1. a) In which period will you study? [1 mark] b) You like to reward yourself with a chocolate cake when you finish study. Your instantaneous utility from eating this cake is equal to 6. Discuss whether binding the unpleasant task to a pleasant task overcome procrastination in this example? [1 mark] c) After completing this unit you learn about your present bias and become a sophisticated quasi-hyperbolic discounter. Does being sophisticated change the period in which you study? (Assume that there is no cake.) [1 mark]
As a naive quasi-hyperbolic discounter, you will study during period 0 since the utility cost is lowest at t=0. Binding the unpleasant task to a pleasant task would help overcome procrastination. Being sophisticated does not change the period in which you study.
a) As a naive quasi-hyperbolic discounter, you must choose the period to study based on your discount factors (β = 0.75, δ = 1) and the utility costs. To determine this, you must compare the present value of the utility costs of studying in each period:
At t = 0: Utility cost = 8 (since you're studying now, no discounting is applied)
At t = 1: Utility cost = 10 * β = 10 * 0.75 = 7.5
At t = 2: Utility cost = 12 * β * δ = 12 * 0.75 * 1 = 9
Since the utility cost is lowest at t=0 (8), you will study during period 0.
b) By binding the unpleasant task (studying) with the pleasant task (eating chocolate cake with utility of 6), it may help overcome procrastination if the combined utility is less than the utility cost of studying in later periods. In this case:
At t = 0: Combined utility cost = 8 - 6 = 2
Since the combined utility cost at t=0 (2) is lower than the utility costs of studying in periods 1 and 2 (7.5 and 9), binding these tasks could help overcome procrastination.
c) As a sophisticated quasi-hyperbolic discounter, you're now aware of your present bias. However, since there is no cake involved, the utility costs remain the same as in part (a):
At t = 0: Utility cost = 8
At t = 1: Utility cost = 7.5
At t = 2: Utility cost = 9
Even though you're now sophisticated, the period in which you study does not change. You will still study during period 0, as it has the lowest utility cost.
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are good examples of the limits to arbitrage because they show that the law of one price is violated. i) siamese twin companies ii) unit trusts iii) closed-end funds iv) open-end funds v) equity carve-outs
Arbitrage is a trading strategy that involves buying an asset in one market and selling it in another market simultaneously to profit from the price difference. The law of one price states that identical assets should have the same price in different markets.
However, there are instances where the law of one price is violated due to various reasons such as market inefficiencies, information asymmetry, and transaction costs. These violations create opportunities for arbitrage, but in some cases, the limits to arbitrage prevent traders from taking advantage of these opportunities.
Now, let's look at the examples you mentioned. Siamese twin companies are two companies with identical assets and operations, but they are listed on different stock exchanges. Due to market inefficiencies, the prices of their stocks may differ, violating the law of one price. However, the limits to arbitrage, such as high transaction costs and regulatory restrictions, make it difficult for traders to exploit this price difference.
Unit trusts, closed-end funds, and open-end funds are investment vehicles that pool money from investors and invest in a portfolio of assets. The prices of their shares may deviate from their underlying net asset value due to market inefficiencies and transaction costs. However, the limits to arbitrage, such as illiquidity and regulatory restrictions, make it difficult for traders to arbitrage these price discrepancies.
Equity carve-outs occur when a company sells a portion of its subsidiary to the public through an initial public offering. The prices of the parent company's shares and the subsidiary's shares may differ due to market inefficiencies and information asymmetry. Again, the limits to arbitrage, such as high transaction costs and regulatory restrictions, make it difficult for traders to exploit these price differences.
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Case Problem: Grey Code Corporation
Grey Code Corporation (GCC) is a media and marketing company involved in magazine and book publishing and in television broadcasting. GCC’s portfolio of home and family magazines has been a long-running strength, but it has expanded to become a provider of a spectrum of services (market research, communications planning, web site advertising, etc.) that can enhance its clients’ brands.
GCC’s relational database contains over a terabyte of data encompassing 75 million customers. GCC uses the data in its database to develop campaigns for new customer acquisition, customer reactivation, and identification of cross-selling opportunities for products. For example, GCC will generate separate versions of a monthly issue of a magazine that will differ only by the advertisements they contain. It will mail a subscribing customer the version with the print ads identified by its database as being of most interest to that customer.
One particular problem facing GCC is how to boost the customer response rate to renewal offers that it mails to its magazine subscribers. The industry response rate is about 2%, but GCC has historically performed better than that. However, GCC must update its model to correspond to recent changes. GCC’s director of database marketing, Chris Grey, wants to make sure that GCC maintains its place as one of the top achievers in targeted marketing. The file Grey contains 38 variables (columns) and over 40,000 rows (distinct customers). The table appended to the end of this case provides a list of the variables and their descriptions.
Play the role of Chris Grey and construct a classification model to identify customers who are likely to respond to a mailing. Write a report that documents the following steps:
Explore the data. Because of the large number of variables, it may be helpful to filter out unnecessary and redundant variables.
Appropriately partition the data set into training, validation, and test sets. Experiment with various classification methods and propose a final model for identifying customers who will respond to the targeted marketing.
Your report should include appropriate charts (ROC curves, lift charts, etc.) and include a recommendation on how to apply the results of your proposed model. For example, if GCC sends the targeted marketing to the top 10% of the test set that the model believes is most likely to renew, what is the expected response rate? How does that compare to the industry’s average response rate?
As the director of database marketing for Grey Code Corporation (GCC), my main objective is to increase the response rate for renewal offers that are mailed to magazine subscribers.
The current industry response rate is around 2%, and while GCC has historically performed better than that, recent changes necessitate an updated model to maintain our position as a top achiever in targeted marketing.
To address this issue, I propose constructing a classification model to identify customers who are likely to respond to a mailing. This model will be based on the 38 variables (columns) and over 40,000 rows (distinct customers) contained in the "Grey" file, which is a relational database of GCC's subscribers.
The first step in constructing the model is to explore the data and filter out unnecessary and redundant variables. Given the large number of variables, it is important to identify those that are most relevant for predicting response rates. This can be achieved using techniques such as principal component analysis (PCA) or correlation analysis.
Once the relevant variables have been identified, the next step is to partition the data set into training, validation, and test sets. The training set will be used to train the model, the validation set will be used to optimize the model parameters, and the test set will be used to evaluate the performance of the final model.
Several classification methods can be used to build the model, such as logistic regression, decision trees, or random forests. To evaluate the performance of each method, appropriate charts such as ROC curves and lift charts can be used.
After experimenting with various classification methods, a final model can be proposed for identifying customers who are likely to respond to the targeted marketing. This model can then be used to send renewal offers to the top 10% of the test set that the model believes is most likely to renew.
Based on the model's predicted response rate, we can estimate the expected response rate and compare it to the industry's average response rate.
In conclusion, by constructing a classification model and using appropriate data analysis techniques, GCC can improve its response rate to renewal offers and maintain its position as a top achiever in targeted marketing.
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Assume there are 6000 U.S.‐based stocks listed on exchanges. In that case, the Russell 3000 Index would cover about 50% of the U.S. stock market capitalization.
A. True
B. False
A. True The Russell 3000 Index is a market capitalization-weighted index that includes the 3,000 largest U.S.-based stocks.
As of April 2023, there are roughly 6000 U.S.-based stocks listed on exchanges. Therefore, the Russell 3000 Index would cover approximately 50% of the U.S. stock market capitalization, since it represents the largest 3000 companies. The remaining 50% of the U.S. stock market capitalization would be represented by the other 3000 or so companies not included in the index.
The Russell 3000 Index is a stock market index that includes the 3000 largest publicly traded companies in the United States, representing approximately 98% of the total U.S. market capitalization.
Since there are approximately 6000 U.S.-based stocks listed on exchanges, the Russell 3000 Index would indeed cover about 50% of the U.S. stock market capitalization.
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Assignment 6S (15 points) Assignment Overview This is a three-part assignment. In Part I, you'll check your work from Section 6. In Part II, you'll add on to your Section 6 project. In Part III, you'll zip and submit your files to your instructor. Part I: Check Your Work Follow these steps to check your work from Section 6. 1. Make sure your cover letter meets the criteria in the Cover_Letter Grading Rubric below, and then save your work. Cover_Letter Grading Rubric Points possible Points earned The cover letter is single spaced. 0.5 The cover letter has a heading. The heading includes the date, your name, the example address and phone number, the example phone number, your e-mail address, the name Jacob Reyes, and Jacob Reyes' example address. 1.0 The cover letter has a greeting that says Dear Mr. Reyes:. 0.5 The introduction has a sentence that tells Mr. Reyes that you are applying for the intern position and you heard about it on monster.com. 1.0 The introduction lists two reasons why you'd be a good fit for the position. 1.0 The first and second sentence of the first and second body paragraphs each explain a reason why you'd be a good fit for the position. 1.0 The closing summarizes the information in the body, lets the person reading the letter know you'd like to interview for the job, a
The steps a person can use when writing a cover letter are:
HeadingSalutationIntroductionBodyClosing statement SignatureProofreadWhat is the Cover Letter?In terms of Heading, one must include contact information for yourself and the employer. Introduce yourself and state the position you're applying for in the first paragraph. Express enthusiasm for the job and briefly state how you learned about it.
Then, in the second and third paragraphs, detail your qualifications and experience. Highlight skills and achievements that fit the job. Use examples to show abilities and relate to position requirements. In closing, summarize your interest and qualifications for the position. Thank the employer and offer to provide additional information or schedule an interview. End with a formal closing and signature.
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what amount would the lessee record as annual amortization on the asset using the straight-line method, assuming no residual value? (round your answer to the nearest whole dollar.)
To calculate the annual amortization using the straight-line method, we need to first determine the total cost of the asset and the useful life. Let's assume that the total cost of the asset is $10,000 and the useful life is three years.
Using the straight-line method, we would divide the total cost of the asset by the useful life to get the annual amortization. In this case, it would be $10,000 / 3 = $3,333.33. However, since we need to round our answer to the nearest whole dollar, the lessee would record $3,333 as the annual amortization on the asset using the straight-line method, assuming no residual value.
Finally, to determine the amount the lessee would record as annual amortization on the asset, simply apply the straight-line method calculation and round your answer to the nearest whole dollar. So, take the initial cost, divide it by the useful life, and round the result to get the annual amortization expense.
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high-ranking managers who endorse and lend political support for the completion of a specific project are known as ____project .
The high-ranking managers who endorse and lend political support for the completion of a specific project are known as "project sponsors."
High-ranking managers who endorse and lend political support for the completion of a specific project are known as "sponsor" of the project. Sponsors are responsible for ensuring that the project is aligned with the organization's strategic goals, and they provide the necessary resources to complete the project. They also facilitate communication between project stakeholders and help to remove any barriers or obstacles that could hinder the project's success. The role of the sponsor is crucial in ensuring that the project is completed on time, within budget, and to the required quality standards. Without the support of the sponsor, the project may struggle to gain momentum and ultimately fail to deliver the expected outcomes.
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bga has 285,000 shares outstanding that sell for $24 per share. the company plans a 1-for-3 reverse stock split. how many shares will be outstanding after the split? multiple choice 855,000 shares 108,571 shares 95,000 shares 79,167 shares 142,500 shares
95,000 shares will be outstanding after the split.
Before the split, BGA has 285,000 shares outstanding, each selling for $24. The total market capitalization of the company is:
Market Capitalization = Shares Outstanding x Share Price
Market Capitalization = 285,000 x $24
Market Capitalization = $6,840,000
After the 1-for-3 reverse stock split, each shareholder will receive one new share for every three shares they currently own. This means that the number of outstanding shares will be reduced by a factor of three, while the share price will be tripled. The new share price will be:
New Share Price = Old Share Price / Split Ratio
New Share Price = $24 / 1/3
New Share Price = $72
The new number of outstanding shares can be calculated as:
New Shares Outstanding = Old Shares Outstanding / Split Ratio
New Shares Outstanding = 285,000 / 1/3
New Shares Outstanding = 95,000
Therefore, after the 1-for-3 reverse stock split, BGA will have 95,000 shares outstanding, each selling for $72. The total market capitalization of the company will remain the same:
Market Capitalization = Shares Outstanding x Share Price
Market Capitalization = 95,000 x $72
Market Capitalization = $6,840,000
So, the correct answer to the multiple-choice question is 95,000 shares.
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sharing some personality helps build common ground and trust and makes it more likely that people will find the social media campaign engagingT/F
The statement "sharing some personality helps build common ground and trust and makes it more likely that people will find the social media campaign engaging" is generally true.
When a brand or individual shares some aspects of their personality on social media, it can help create a more human connection with the audience and foster a sense of relatability.
By showing their human side, brands and individuals can build trust and credibility with their followers, which can ultimately lead to greater engagement with their social media campaigns.
However, it is important to note that the extent to which personality should be shared on social media can vary depending on the brand or individual's goals and target audience.
Some may prefer to keep a more professional or formal tone, while others may choose to be more casual and personal in their communication. It is essential to strike the right balance and share an appropriate amount of personality that aligns with the brand's image and values.
In summary, sharing some aspects of personality can help build common ground, trust, and engagement with an audience on social media, but it is essential to do so in a way that aligns with the brand's image and target audience.
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when the coffee collective purchases advertisements on the radio announcing its new patio for dog-loving coffee drinkers, this would be a form of advertisement.
T/F
Purchasing radio advertisements to announce a new feature of the Coffee Collective, such as a patio for dog-loving coffee drinkers, is a form of advertising. True
This is a way for the company to promote their product and attract new customers. Radio advertisements are a common form of advertising that can reach a large audience, making it an effective way for the Coffee Collective to get the word out about their new offering. By advertising on the radio, the Coffee Collective can target their desired audience, in this case, dog-loving coffee drinkers who may be interested in enjoying their coffee in a pet-friendly environment.
Overall, advertising is an essential tool for companies to promote their products and services and attract new customers.
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steve is a manager at kewl gadgets. cody is steve's least preferred subordinate because he finds it difficult to approach cody when it comes to collaborating and getting work done. when asked by his boss, steve states that cody is complacent, unresponsive, and hostile. therefore, steve does not want to work with cody. in this scenario, steve has which of the following leadership styles?
In this scenario, Steve has a task-oriented leadership style.
Task-oriented leadership centers around accomplishing objectives. Task-arranged pioneers delegate tasks, set clear cycles, and issue cutoff times to guarantee all colleagues stay centered and convey their piece of the venture inside the assigned time.
An excellent example of task-oriented leaders is the undertaking administrators who are accountable for enormous tasks. Project supervisors are regularly worried about finishing the venture within the predetermined time limit and accomplishing the task objectives. It includes rehearsing genuine undertakings (like strolling or noting a phone), determined to secure or reacquire expertise.
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Companies are one of the greatest inventions of the 19th century. They are used forsmall, medium and large businesses. Without the contribution of companies, it wouldhave been difficult to enjoy life-changing products such as vehicles, mobile phones,computers, the internet, vaccines and many other innovations that have benefitedhumanity.However, Australians commonly witness companies flouting the separatelegal entity principle and ASIC’s supervision is inadequate in curbing their misconduct.Legal reform is needed to reduce the risk of companies abusing the separate legal entitydoctrine. Do you agree/disagree with the above statement? Why or why not?You may address one or more of the following issues in answering the essay question:1. Whether companies are a great innovation.2. Why companies are the most popular vehicle for doing business and are preferredover other types of business organisations in Australia.3. Whether there are specific examples that help explain if the Corporations Law is/isnot able to minimise risks associated with the separate legal entity doctrine (examplesshould focus on topics covered in weeks 1-4).4. The strengths/weaknesses of ASIC as a corporate regulator and its role in reducingthe risk of companies abusing the separate legal entity doctrine.5. Potential legal reforms that could reduce the risk of corporate abuses of the separatelegal entity
As an AI language model, I do not have personal opinions, but I can provide you with a general answer based on the information provided. Companies are indeed a great innovation as they have played a significant role in bringing life-changing products and services to people around the world.
They have been instrumental in driving economic growth, creating jobs, and improving people's lives through various innovations. Companies are the most popular vehicle for doing business because they provide a separate legal entity that limits the liability of shareholders, making it easier for investors to invest in new ventures. Moreover, companies have the ability to raise funds through issuing shares or borrowing money from financial institutions.
There are several examples of companies flouting the separate legal entity principle, such as the case of Salomon v. A Salomon & Co Ltd, where the court upheld the principle but found that it could be abused by unscrupulous individuals. The Corporations Law provides for ASIC's supervision to minimize the risks associated with the separate legal entity doctrine. However, there are instances where ASIC's supervision is inadequate in curbing company misconduct.
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Companies are considered a great innovation because they have enabled businesses of all sizes to operate and grow, creating products and services that have changed the world. Without companies, we would not have many of the life-changing products we enjoy today, such as cars, mobile phones, computers, the internet, and vaccines.
Companies are the most popular vehicle for doing business in Australia because they offer limited liability protection to their shareholders. This means that if the company incurs debts or liabilities, the shareholders are only responsible for the amount of their investment. Companies are also preferred because they have a separate legal entity, which means they can enter into contracts, sue and be sued, and own property in their own name. The Corporations Law is designed to minimize the risks associated with the separate legal entity doctrine, but there are instances where companies flout this principle. For example, a company may be used as a front for illegal activities, such as money laundering or tax evasion. In such cases, the law may not be able to prevent the abuse of the separate legal entity doctrine. ASIC is the corporate regulator in Australia and has a role in reducing the risk of companies abusing the separate legal entity doctrine. ASIC has the power to investigate and prosecute companies that breach the Corporations Law. However, ASIC's supervision may not be adequate in curbing all instances of misconduct by companies.
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What are the stages of the lewin model for change?.
The Lewin Model for Change is a well-known model that describes the stages of organizational change. Developed by Kurt Lewin, a social psychologist, this model consists of three main stages: Unfreeze, Change, and Refreeze.
Unfreeze: The first stage of the Lewin Model for Change involves creating a need for change. This can be done by identifying and communicating the reasons for change, and building awareness around the need for change. During this stage, individuals must be convinced that the status quo is not sustainable, and that change is necessary. This can be a challenging stage, as individuals may resist the need for change.
Change: Once individuals have accepted the need for change, the next stage involves implementing the changes. During this stage, new systems, processes, and behaviors are introduced, and individuals are required to adapt to the new ways of working.
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Which of the following best describes the relationship between capitalism and economic regulations according to Anderson?
A. Capitalism is a natural economic order that promotes freedom, but regulation interfere with that order and reduce freedom.
B. Capitalism is an economic order designed by people that can use regulation to expand or restrict freedom.
C. Capitalism is a natural economic order and regulations are a natural evolution that expand freedom,
D. Capitalism is an economic order designed by people that only promotes freedom with minimal regulation.
According to Anderson, the relationship between capitalism and economic regulations can best be described by option B: Capitalism is an economic order designed by people that can use regulation to expand or restrict freedom.
Anderson argues that capitalism, as a system created by humans, is subject to modifications and improvements through the use of regulations. These regulations can be implemented in a way that either promotes or restricts freedom, depending on their intent and design.
In this perspective, regulations are not inherently harmful to capitalism, nor do they automatically reduce freedom. Instead, they can be tailored to address specific issues within the capitalist system and help guide it toward a more equitable and just economic order.
The key here is to strike a balance between maintaining the benefits of capitalism, such as innovation and individual opportunity, while also ensuring that these benefits are accessible to all members of society through thoughtful and targeted regulation.
In conclusion, Anderson's view on the relationship between capitalism and economic regulations highlights the importance of regulation in ensuring a fair and just market economy. He argues that capitalism cannot function properly without regulation and that regulation can be used to expand freedom rather than restrict it.
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what can be the economic benefit of having workers of fairly similar skills making cars, computers, machinery and other products which are then shipped across the oceans to and from the united states, the european union, and japan?
The economic benefit of having workers of fairly similar skills making cars, computers, machinery and other products which are then shipped across the oceans to and from the United States, the European Union, and Japan is that it creates a global market where countries can specialize in producing certain goods and services that they are more efficient in. This results in lower costs of production, increased productivity, and lower prices for consumers.
For instance, Japan is known for its high-tech electronics, while the United States is known for its agricultural production and machinery. The European Union is known for its luxury goods, automobiles, and pharmaceuticals. By specializing in producing these goods and services, these countries can take advantage of economies of scale, and can produce goods at lower costs. They can then export their goods to other countries, creating jobs and generating revenue for their economies.
This global market also allows for competition, which helps to drive innovation, increase efficiency, and improve quality. As countries specialize in certain goods and services, they can develop expertise and skills, which can lead to further advancements in technology and production techniques.
In conclusion, having workers of fairly similar skills making cars, computers, machinery, and other products which are then shipped across the oceans to and from the United States, the European Union, and Japan can create a more efficient and competitive global market. This can lead to lower costs, increased productivity, and greater innovation, which can benefit consumers, producers, and economies alike.
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