Question 16 3.5 pts A data analysis technique that answers the question "what should be done?" is which type of analytic ? Descriptive Diagnostic Predictive Prescriptive

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Answer 1

In conclusion, the data analysis technique that answers the question "what should be done?" is Prescriptive Analytic. It is the most advanced form of analytics that helps organizations to achieve their objectives by providing recommendations for future actions.

The data analysis technique that answers the question "what should be done?" is Prescriptive Analytic. Data analytics is a technique that is widely used in organizations to convert raw data into meaningful insights. It involves analyzing, interpreting, and processing vast amounts of data in order to draw conclusions. The purpose of this technique is to improve the performance of organizations by helping them to make better decisions.There are four types of analytics in data analysis, namely Descriptive, Diagnostic, Predictive, and Prescriptive Analytics. The descriptive analytics deals with the analysis of past data to gain insights into the current situation. Diagnostic analytics is used to identify the root cause of an issue and predict the future outcomes. Predictive analytics is used to forecast future events based on past data. Finally, Prescriptive analytics is used to provide specific recommendations for future actions. It helps organizations to take the most appropriate actions to achieve their goals.In conclusion, the data analysis technique that answers the question "what should be done?" is Prescriptive Analytic. It is the most advanced form of analytics that helps organizations to achieve their objectives by providing recommendations for future actions.

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Hello , please assist me with the following below
Compute the cash provided or used for the operating activities section, investing activities section and the financing activities section from the following information: (20)
Sold equipment for $ 30 700 cash
Net income on the accrual basis is $ 45 960
Net income converted to a cash basis is $ 78 200
Issued common stock for $ 136 700 cash
Paid dividends in cash $ 8 600
Purchased land costing $ 580 000 with a down payment of $ 55 000 and a mortgage of $ 579 945

Answers

Calculating the cash provided or used for the operating activities section, investing activities section and the financing activities section from the provided data:Cash provided or used for operating activities section .Net income on an accrual basis = $ 45,960Net income converted to a cash basis = $ 78,200

Therefore, cash provided by operating activities= $78,200 - $45,960= $32,240Cash provided or used for investing activities section . Sold equipment for $30,700 cash and purchased land costing $580,000 with a down payment of $55,000 and a mortgage of $579,945Therefore, net cash used in investing activities = $580,000 - $55,000 - $579,945 + $30,700= ($24,245)Cash provided or used for financing activities section. Issued common stock for $136,700 cash and Paid dividends in cash $8,600Therefore, net cash provided by financing activities = $136,700 - $8,600= $128,100

Therefore, the cash flows provided by operating activities, investing activities and financing activities are calculated below:Cash Flows from Operating Activities:Net income (from the accrual basis) $45,960Add: Depreciation $32,240Less: Increase in receivables $9,560Less: Increase in payables $36,400Cash flows from operating activities $32,240Cash Flows from Investing Activities:Sale of equipment $30,700Purchase of land $(580,000)Down payment $(55,000)Mortgage $(579,945)Net cash used for investing activities $(624,245)Cash Flows from Financing Activities:Sale of common stock $136,700Payment of dividends $(8,600)Net cash provided by financing activities $128,100Therefore, the net increase in cash flows for this company is $32,240 - $624,245 + $128,100 = $(464,905). The negative cash flow indicates that the company had a net decrease in cash.

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Which of the following is an example of physical capital that might be used by a business to install and service car tires?
A. hydraulic lifts for cars
B. the employees who install the tires
C. tire installation services
D. new tires

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The following is an example of physical capital that might be used by a business to install and service car tires: A. hydraulic lifts for cars.A hydraulic lift for cars is a piece of physical capital used in the installation and maintenance of tires.

Hydraulic lifts for cars, in particular, are designed to raise cars off the ground so that workers may more easily access the underside of a vehicle, including its wheels and tires. This equipment assists in the removal and replacement of car tires, making the procedure faster and more efficient. As a result, option A is the correct answer.

In order to be considered as The hydraulic lifts for cars is a piece of physical capital used in the installation and maintenance of tires. Hydraulic lifts for cars are designed to raise cars off the ground so that workers may more easily access the underside of a vehicle, including its wheels and tires. This equipment assists in the removal and replacement of car tires, making the procedure faster and more efficient.A hydraulic lift is a significant investment for a tire installation and maintenance business. Hydraulic lifts are essential equipment in this type of business because they save time and labor costs while also providing safety for workers. Workers would have to manually remove and install tires, and this can take time, and in a busy business, time is money.Hydraulic lifts for cars are a significant piece of physical capital that businesses invest in to increase their overall profitability. By having this equipment, tire installation and maintenance businesses can take on more work, be more efficient, and better serve their customers. As a result, it is clear that A, hydraulic lifts for cars, is the correct answer to the question.

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Consider the following timeline detailing a stream of cash flows: Date 0 2 3 5 $100 $200 $300 $400 $500 ? Cash flow If the current market rate of interest is 7%, then the future value (FV) of this str

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The future value (FV) of the given stream of cash flows can be calculated using the formula for comppound interest. The FV is the value of the cash flows at a specified future date, taking into account the interest earned over time.

To calculate the future value, we need to determine the present value (PV) of each cash flow and then apply the compound interest formula. The present value is the current value of each cash flow, discounted by the interest rate.

In this case, we have cash flows of $100 at Date 0, $200 at Date 2, $300 at Date 3, $400 at Date 5, and $500 at an unknown future date. To find the FV, we need to determine the PV of each cash flow and then calculate the cumulative value by applying compound interest.

Assuming a current market rate of interest of 7%, we can discount each cash flow back to the present using the formula PV = CF / (1 + r)^n, where CF is the cash flow, r is the interest rate, and n is the number of periods.

Once we have the PV of each cash flow, we can sum them up to find the FV. The future value represents the total value of the cash flows at the specified future date, taking into account the interest earned.

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When Maya had 2 years left in college, she took out a student loan for $13,340. The loan has an annual interest rate of 8.7%. Maya graduated 2 years after acquiring the loan and began repaying the loan immediately upon graduation. According to the terms of the loan, Maya will make monthly payments for 5 years after graduation. During the 2 years she was in school and not making payments, the loan accrued simple interest. Answer each part. Do not round intermediate computations, and round your answers to the nearest cent. If necessary, refer to the list of financial formulas. (a) If Maya's loan is subsidized, find her monthly payment. ? Subsidized loan monthly payment: S (b) If Maya's loan is unsubsidized, find her monthly payment. Unsubsidized loan monthly payment: S

Answers

Therefore, Maya's monthly payment on an unsubsidized student loan is $219.58.

Given, the principle amount of Maya's student loan = $13,340Annual interest rate = 8.7%Length of time the loan is for = 5 years

Amount of time in which Maya was not making payments = 2 years

Subsidized student loan:

When a loan is subsidized, the government covers the interest on the loan during the in-school and grace periods. Therefore, the interest does not accumulate during these periods.

The interest only starts to accumulate when the student starts to make payments.

Subsidized loan monthly payment: S

Let's use the compound interest formula which is given by the following formula:

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

Where,P = the monthly payment

A = amount borrowed

r = annual interest rate

t = the length of time the loan is for, in years

t = the amount of time in which Maya was not making payments

r = 8.7%/yearn = number of times interest is compounded per yeart = 5 - 2 = 3 years (the loan term after graduation)Substituting the given values, we get;

P = 13340/(1+(0.087/12))*(12*3) = $186.55.

Maya was not making payments

r = 8.7%/yearn = number of times interest is compounded per yeart = 5 - 2 = 3 years (the loan term after graduation)Substituting the given values, we get;

P = 15656.48/(1+(0.087/12))*(12*3)

= $219.58.

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In its most recent financial statements, Nessler Inc. reported $60 million of net income and $840 million of retained earnings. The previous retained earnings were $781 million. How much in dividends were paid to shareholders during the year? Assume that all dividends declared were actually paid. Write out your answer completely. For example, 25 million should be entered as 25,000,000. Round your answer to the nearest dollar, if necessary.

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The solution to this problem is based on the fact that the change in retained earnings is calculated by deducting the current period's retained earnings from the previous period's retained earnings. This is equivalent to a statement of the accounting equation in which change in retained earnings equals net income less dividends.

The calculation of dividends paid is made possible by rearranging the accounting equation.The formula for dividends paid is:Dividends Paid = Net Income - Change in Retained EarningsHere is how to calculate the change in retained earnings:Change in Retained Earnings = Current Retained Earnings - Previous Retained EarningsChange in Retained Earnings = $840 million - $781 millionChange in Retained Earnings = $59 millionUsing the formula,Dividends Paid = Net Income - Change in Retained EarningsDividends Paid = $60 million - $59 millionDividends Paid = $1 millionTherefore, Nessler Inc. paid dividends of $1 million to shareholders during the year.

Retained earnings reflect the portion of a company's profit that is reinvested in the business rather than being distributed as dividends to shareholders. This reinvestment can occur in the form of debt reduction, share buybacks, and capital investment, among other things. Retained earnings, in addition to being a source of internal financing, serve as a measure of a company's financial health. If a company's retained earnings are consistently rising, it is a sign that it is financially healthy and capable of expanding or dealing with unanticipated expenses.In this problem, the change in retained earnings between two periods is calculated, and then the dividends paid to shareholders are determined. This calculation is based on the principle that the change in retained earnings equals net income less dividends. The calculation of dividends paid is made possible by rearranging the accounting equation to solve for the unknown variable. In this example, the result was a dividend payout of $1 million.

Dividends are an important source of return for shareholders, and they reflect a company's financial well-being. The calculation of dividends paid is a critical aspect of financial analysis because it aids in determining the source of a company's earnings. Retained earnings are a component of a company's financial health and are an essential element of the accounting equation.

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Lopez Company reports net sales of $200,000 and cost of goods sold of $50,000. Using the numbers provided, B. Lopez Company's gross profit is:
Multiple Choice
$250,000.
$200,000.
$50,000.
$150,000.

Answers

The gross profit for Lopez company, given the net sales and the cost of goods sold would be found to be D. $ 150, 000.

How to find the gross profit ?

To calculate the gross profit, we subtract the cost of goods sold from the net sales.

Gross Profit = Net Sales - Cost of Goods Sold

Given :

Net Sales = $ 200, 000

Cost of Goods Sold = $ 50, 000

Gross Profit = $200 ,000 - $ 50, 000

Subtracting the cost of goods sold from the net sales:

Gross Profit = $150,000

Therefore, B. Lopez Company's gross profit is $150,000.

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Question 12 Which of the following occurs in the factor market? Nathan spends $500 to buy a TV from Best-buy. Jose earns $785 per week working for Benjamin's Ice Cream. Becky spends $10 to order a medium pizza.

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Jose earns $785 per week working for Benjamin's Ice Cream occurs in the factor market.A factor market is a market where the services of the factors of production such as labor, capital, land, and entrepreneurship are traded between buyers and sellers.

The sellers of the factors of production in the factor market are the households and the firms are the buyers of the factors of production.In the given options, Jose earns $785 per week working for Benjamin's Ice Cream is an instance of a factor market. This is because in this instance,

Jose's services as a labor factor are being traded to Benjamin's Ice Cream in exchange for the wage of $785 per week, which is a payment for the factor of labor. It is a long answer to explain the factor market and how the wage that Jose earns is related to it.

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kenji just graduated from college and is now in the market for a new car. he has saved up $4,000 for a down payment. he has the decision narrowed down to a cord and a fevvy. the cord is priced at $23,599, and the fevvy is priced at $18,999. after agonizing over the decision, he decides to buy the fevvy. he writes the dealership a check for $4,000 and takes out a loan for the remainder of the purchase price. Identify what role money plays in each of the following parts of the story

Answers

Money plays a crucial role in various parts of the story of Kenji purchasing a new car. The story mentions that Kenji had saved up $4,000 for a down payment, indicating that money played a role in his decision-making. Saving money for a down payment can help reduce the amount of the loan and can also impact the interest rate of the loan.

Thus, the more money that Kenji had saved, the more purchasing power he had.

The dealership listed the price of the two cars, which means that money was a determining factor in which vehicle Kenji could afford to purchase. The price of the cars influences the type and quality of the car he could afford, and thus, money played a significant role in the type of car Kenji could buy. The story also reveals that Kenji decided to buy the fevvy over the cord, even though the latter was priced higher. This decision also shows how Kenji was considering his financial situation and making a wise financial decision.

Finally, the story reveals that Kenji had to take out a loan to pay for the remainder of the purchase price, which shows that money was necessary for him to buy the car. Without access to a loan, Kenji would have been unable to purchase the vehicle. Therefore, money played a crucial role in Kenji's ability to purchase the car, the type of car he could afford, and the terms of the loan.

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Take any B to B Marketing company that is considering entry into a new market.
1) Explain the market and segments the company can target.
2) Assess the various competitive advantages the company possesses that will enable it to penetrate the market.
3) Elaborate in detail the steps that the company should take for strategic planning and for determining and positioning its marketing mix.
Answers to these three questions should be specific to the B to B Marketing company, the market and the segment that has been selected. Do not write general answers. You are required to assess, critique, analyze the situation, apply the concepts studied in the course, and give recommendations particular to the company and its strategy. You can use flow diagrams, charts or tables in your answers.Â

Answers

To provide specific answers for a B2B marketing company considering entry into a new market, I would need more information about the company and the market it intends to target.

However, I can provide a general framework that can be applied to most situations.

Market and Segments: Conduct market research to identify the potential market and segments that align with the company's expertise, capabilities, and goals.

Analyze the size, growth potential, and competitive landscape of each segment.

Evaluate the attractiveness and fit of each segment based on factors such as customer needs, purchasing power, and market trends.

Select the segment(s) that offer the best opportunity for the company's products or services to succeed.

Competitive Advantages:

Identify the unique strengths and resources of the company that can differentiate it from competitors in the new market.

Assess the company's expertise, technology, intellectual property, distribution channels, customer relationships, or any other distinctive capabilities.

Determine how these competitive advantages can provide value to customers and give the company an edge in the market.

Strategic Planning and Marketing Mix:

Conduct a SWOT analysis to identify the company's internal strengths and weaknesses, as well as external opportunities and threats in the new market.

Develop a clear market entry strategy, including goals, target market, positioning, and differentiation strategies.

Determine the appropriate marketing mix (product, price, place, promotion) based on the target segment's needs and preferences.

Develop a comprehensive marketing plan with specific actions, timelines, and metrics to track progress and performance.

It is important to note that the specific details of the market, segments, competitive advantages, and marketing mix will vary depending on the company and the market being considered. Tailoring these steps to the specific circumstances will ensure a more effective and relevant strategy.

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Micromanaging his business, his employees as well as world events best describes this entrepreneur. Choose the correct option: A)Jeff Bezos B)Richard Branson C)Bill Gates D)Steve Jobs E)Jack Ma F)Elon Musk

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The entrepreneur that is best described as micromanaging his business, employees, and world events is Elon Musk. Elon Musk is a well-known entrepreneur who is passionate about technology and innovation.

He is known for his involvement in various companies such as Tesla, SpaceX, Neuralink, The Boring Company, and OpenAI. He is also a well-known philanthropist who is actively involved in various charitable activities.According to the sources, he is known for micromanaging his business, his employees, and world events. He is known for being extremely detail-oriented and hands-on, which has helped him in building successful companies. He is known for working long hours, sometimes even up to 100 hours per week. He is a visionary who is always thinking about the future and coming up with new ideas and innovations. He is known for being a risk-taker and is not afraid to take on big challenges.Elon Musk is known for his unique leadership style and is often described as a visionary leader. He is always looking for ways to improve his companies and is not afraid to make bold decisions. He is a perfectionist who expects nothing but the best from himself and his employees. Overall, Elon Musk is an entrepreneur who is passionate about technology and innovation, and his unique leadership style has helped him in building successful companies.

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Jefferson Services Company records the collection of $500 cash for previously accrued revenues and then makes an accrual of $325 for another revenue. The impact of these two entries on total net income and working capital is an increase of Select one: O a Net Income $325. Working Capital 5175 O b. Net Income $825, Working Capital $325 Oc Net Income $325, Working Capital $500 Od Net Income 5325. Working Capital $325 Oe. Net Income 5500, Working Capital $175

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Jefferson Services Company records the collection of $500 cash for previously accrued revenues and then makes an accrual of $325 for another revenue. The impact of these two entries on total net income and working capital is an increase of net income $325 and working capital $500.

Jefferson Services Company The amount $500 cash was recorded previously in accrued revenue. An accrual of $325 was then made for another revenue, and this resulted in a net income of $325 and an increase of $500 in working capital. Since Jefferson Services Company recorded $500 cash for previously accrued revenues, it would be listed as an increase in revenue. The remaining $325 would be classified as revenue from another source, increasing the company's net income. Jefferson Services Company would also experience an increase in working capital as a result of these two entries. Since the company received $500 in cash, its working capital would increase by $500. When the $325 revenue was accrued, the company's working capital increased by $325.This means that the impact of these two entries on total net income and working capital is an increase of net income $325 and working capital $500.

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An organization plans to make a product in batches of 35,000 units. Planned production is 1,575,000 units, and actual production is 2,100,000 units Requirement What are the planned (master budget) number of batches and the flexible budget number of batches?

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the planned number of batches for a product with a batch size of 35,000 units and a planned production of 1,575,000 units is 45 batches. The flexible budget number of batches when the actual production is 2,100,000 units is 60 batches.

To calculate the planned (master budget) number of batches, we divide the planned production by the batch size:

1,575,000 / 35,000 = 45 batches

However, if actual production increases to 2,100,000 units, the flexible budget number of batches needs to be adjusted:

2,100,000 / 35,000 = 60 batches

This allows the organization to properly budget and allocate resources for each batch, and adjust production targets as needed to meet actual demand.

It is important to regularly review and update the flexible budget based on actual production levels to ensure that resources are being utilized efficiently.

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Gabriella invested $15.000 into an account 15 years ago and now has $48,000 in the account. Her money was compounded semi-annually. What is the annual interest rate Gabriella earned in this investment?

Answers

In the given problem, Gabriella earned an annual interest rate of 8.496% in this investment.

Gabriella invested $15,000 into an account 15 years ago and now has $48,000 in the account. Her money was compounded semi-annually. We need to determine the annual interest rate Gabriella earned in this investment. So, Let us denote the annual interest rate as “r”. Here, the money was compounded semi-annually.

We know that the formula for compound interest is given by:

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

Where, P = the principal amount, A = the final amount after “t” years, r = the annual interest rate, n = the number of times the interest is compounded per year, t = the number of years Firstly, we will calculate “n”.

Since the investment was compounded semi-annually, we have 2 compounding periods in one year. Therefore, n = 2Next, we will calculate the value of “t”. Since the investment was made 15 years ago, the value of “t” is 15 years.

Let us substitute the given values into the formula and solve it:

A = P (1 + (r/n))^(nt)48,000

= 15,000 (1 + (r/2))^(2 × 15)

Simplify the equation by dividing both sides by

15,000:48,000/15,000 = (1 + (r/2))^(2 × 15)

Use a calculator to simplify the left-hand side of the equation:

3.2 = (1 + (r/2))^30

Take the 30th root of both sides of the equation:

(1 + (r/2)) = 1.04248

Subtracting 1 from both sides:

r/2 = 0.04248

Multiplying by 2 on both sides:

r = 2 × 0.04248r = 0.08496

Therefore, Gabriella earned an annual interest rate of 8.496% in this investment.

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Under variable costing, product costs consist of direct materials, direct labor, and variable manufacturing overhead. True False

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The statement is true. Under variable costing, product costs consist of direct materials, direct labor, and variable manufacturing overhead.

Furthermore, variable costing is a costing method that considers variable manufacturing costs as product costs, and fixed manufacturing costs as a period cost that is only deducted from the income statement and doesn't affect the inventory accounts.

Variable costing is a cost accounting system that attributes only the variable manufacturing costs to the products produced during a period. It is a cost accounting system that only considers variable production expenses, not fixed manufacturing costs, when calculating the expense of manufacturing a product. This implies that under variable costing, the cost of producing a unit includes only the variable manufacturing expenses incurred in making that unit.

This makes it possible for the firm to know how much each unit is costing them to produce, which is useful in making pricing decisions. It also helps to provide a clearer picture of the profitability of each product line since the fixed costs are treated as period costs, rather than being allocated to the cost of goods sold.

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In the short run, economic growth is primarily determined
by:
a)potential GDP
b)spending
c)unit labor cost
d)productivity

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In the short run, economic growth is primarily determined by (option B) spending.

In the short run, economic growth is driven by changes in aggregate demand, which is primarily influenced by spending. When spending increases, businesses experience higher demand for goods and services, leading to increased production and economic growth.

Increased spending can come from various sources, such as government expenditure, consumer spending, and investment. Government expenditure refers to government spending on public goods and services, infrastructure, and other programs.

Consumer spending refers to the purchases made by individuals on goods and services, including necessities and discretionary items. Investment refers to spending by businesses on capital goods like machinery, equipment, and factories.

To illustrate the impact of spending on economic growth, we can consider the concept of the multiplier effect. When there is an increase in spending, it leads to increased income for businesses, which, in turn, can result in increased employment and wages.

As workers earn higher wages, they have more disposable income to spend, further boosting aggregate demand. This cycle continues, creating a multiplier effect on the initial increase in spending, and ultimately contributing to economic growth.

In the short run, economic growth is primarily determined by spending. Increased spending stimulates aggregate demand, leading to increased production, employment, and income. This cycle of increased spending and production creates a multiplier effect that contributes to economic growth.

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11.In 2021, BMW was the leading luxury car brand in the United States, recording sales of over 336,600 units. It was followed closely by Tesla, with sales of over 313,400 vehicles. This year, BMW factories in Germany are expected to start producing the iX5 Hydrogen-powered car. According to the predictions of the Mundell–Fleming model with floating exchange rates, a shift in preferences by American consumers from domestic produced cars (such as Tesla) to foreign-produced cars (such as iX5 produced in Germany) would lead to _________________
a. no change in income or net exports, but the dollar would depreciate.
b. a fall in income and net exports, and an apprecitation of the US dollar.
c. a fall in income but no change in net exports, but the US dollar would appreciate
d. no change in income but a fall in net exports, but the US dollar would appreciate

Answers

The Mundell-Fleming model is an economic model used to explain how changes in monetary and fiscal policies impact exchange rates and balance of payments in an economy.

When it comes to predicting the shift in preferences by American consumers from domestic produced cars (such as Tesla) to foreign-produced cars (such as iX5 produced in Germany), the answer is: Option (c): a fall in income but no change in net exports, but the US dollar would appreciate

According to the Mundell–Fleming model with floating exchange rates, an increase in the demand for foreign-made products (such as iX5 produced in Germany) will increase the demand for foreign currencies, causing the foreign currency to appreciate.  Conversely, there will be a decrease in the demand for domestic currency, resulting in depreciation. However, since American consumers' preferences have shifted from domestic cars to foreign cars (iX5 produced in Germany), the net export will remain unchanged.

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Once a vendor receives an order from a firm, it responds by immediately filling the order. true or false.

Answers

The correct answer is  False.Once a vendor receives an order from a firm, the immediate response may not always be to fill the order right away.

Several factors can influence the vendor's response time, such as the availability of the requested products, the vendor's inventory levels, production capacity, logistical constraints, and order fulfillment processes.

Upon receiving an order, the vendor typically assesses its ability to fulfill the order promptly. If the vendor has the requested products in stock and can meet the order requirements, they may proceed with order fulfillment immediately. However, if the vendor needs to source the products or manufacture them, it may take some time before the order can be filled. Additionally, the vendor may need to coordinate with other departments, such as procurement or production, to ensure a smooth fulfillment process.


In summary, while vendors strive to provide timely order fulfillment, it is not always an immediate response. The time taken to fill an order can vary based on various factors, and vendors need to evaluate their inventory and production capabilities before committing to order fulfillment.

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Prepare an FMEA with between five and ten failure modes that is directly relevant to something in your professional life right now. If you currently have no profession, you can even conduct an FMEA on whether or not you will get your MBA! This is an extremely important quality tool for all senior managers, entrepreneurs...any leader, really.
formulate your response and post it. You may take a screen shot or build a simple table right in your response in the forum. You may also attach an excel spreadsheet.

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An FMEA was conducted on the company's website update project, identifying ten failure modes and their respective severities, occurrence rates, and detection scores.

The company is currently working on updating its website to improve user experience and increase sales. An FMEA was conducted to identify potential failure modes that could occur during the project.

Ten failure modes were identified, including slow page loading times, broken links, incorrect product information, and security breaches. Each failure mode was evaluated for its severity, occurrence rate, and detection score to prioritize mitigating actions.

For example, the failure mode of slow page loading times had a high severity score because it could lead to frustration and loss of sales, a medium occurrence rate because it could happen frequently due to various factors impacting internet speed, and a high detection score because it would be easily noticeable by users.

Mitigating actions were developed to reduce the severity, occurrence rate, and increase detection scores for each failure mode, including conducting regular website speed tests, implementing security protocols, and updating product information regularly.

By conducting an FMEA, the company hopes to ensure a successful website update project that meets the needs of its customers and achieves its business goals.

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17. Which of the following is not a barrier to entry? a. Standardized product b. Natural monopoly c. High fixed cost d. Exclusively-owned resources 18. The monopolist: a. is always a large powerful firm. b. always charges the highest possible price. c. always misallocates resources. d. always makes a profit

Answers

a. Standardized product is not a barrier to entry, while b. Natural monopoly, c. High fixed cost, and d. Exclusively-owned resources are barriers to entry. The monopolist, on the other hand, does not always exhibit the characteristics described in options a, b, c, or d.

a. Standardized product is not a barrier to entry because it refers to a product that is undifferentiated and can be easily replicated by new entrants. A standardized product does not create a significant obstacle for new firms to enter the market and compete.

b. Natural monopoly occurs when a single firm can produce at a lower cost than multiple firms due to economies of scale. This can serve as a barrier to entry since it is difficult for new firms to compete on a cost basis with the established monopolist.

c. High fixed cost refers to the substantial upfront investment required to enter a market. This can act as a barrier to entry, as new entrants may find it challenging to gather the necessary funds to cover these costs.

d. Exclusively-owned resources, such as unique patents or access to scarce inputs, can create a barrier to entry by preventing competitors from accessing the same resources and replicating the monopolist's offering.

Regarding the monopolist, none of the given options accurately describe its behavior. A monopolist can be a large powerful firm, but it is not a requirement. The monopolist does not always charge the highest possible price, as it considers factors like demand elasticity and market conditions. It does not always misallocate resources, as efficiency levels can vary.

Lastly, a monopolist does not always make a profit since it depends on factors like costs, pricing strategies, and market demand.

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Please solve this question by providing proper empirical equations. (Question from Environmental economics)
How will you test the "pollution heaven hypothesis" empirically? What are the challenges that you may confront in doing this exercise?

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To test the "pollution heaven hypothesis" empirically, we need to collect data on pollution levels, economic growth, and government policies in different regions.

Then, we can use regression analysis to examine the relationship between environmental regulation and economic performance.

Challenges in this exercise include the availability and quality of data, the difficulty in isolating the effect of environmental regulation on economic growth from other factors, and the different levels of government enforcement across regions.

The "pollution heaven hypothesis" suggests that multinational corporations (MNCs) in developed countries will relocate their polluting activities to less regulated developing countries.

This may lead to higher pollution levels in developing countries but also economic benefits due to increased foreign investment. To test this hypothesis, we need to collect data on pollution levels, economic growth, and government policies in different regions.

We can then use regression analysis to examine the relationship between environmental regulation and economic performance.

If the hypothesis is true, we would expect to find a negative relationship between environmental regulation and economic growth in developing countries where MNCs are relocating their polluting activities.

However, we may also find that environmental regulation has a positive effect on economic growth due to its potential to attract clean industries and improve public health outcomes.

There are several challenges in testing the pollution heaven hypothesis. Firstly, data on pollution levels and environmental regulation may not be available or reliable in all regions.

Secondly, it is difficult to isolate the effect of environmental regulation on economic growth from other factors such as human capital, infrastructure, and trade policies.

Finally, there may be differences in the level of government enforcement of environmental regulations across regions, which may affect the results of the analysis.

Despite these challenges, empirical testing of the pollution heaven hypothesis is important to inform environmental policies and trade agreements that may have implications for developing countries.

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1.Identify and formulate the research problem Answer: The problem was regarding settling warranty claim disputes with its dealers. Actually, company wanted from dealers to follow the appeal process but they denied.

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The research problem can be formulated as the issue of settling warranty claim disputes between a company and its dealers.

The company has established an appeal process for resolving disputes, but the dealers are refusing to follow this process. This problem is significant because it could lead to a breakdown in the relationship between the company and its dealers, which could ultimately impact sales and profitability.
In order to address this problem, the company could conduct research to better understand why the dealers are refusing to follow the appeal process. This could involve conducting surveys or focus groups with dealers to gather their feedback and opinions on the process. Additionally, the company could review its warranty policies and procedures to ensure that they are clear and easy to understand.
Ultimately, the goal of this research would be to find a way to improve the appeal process so that it is more effective in resolving disputes between the company and its dealers. This could involve making changes to the process itself, providing additional training or resources to dealers, or finding other ways to incentivize dealers to follow the process. By addressing this problem, the company could improve its relationship with its dealers and ensure that warranty claims are resolved in a fair and timely manner.

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Miving to another question will save this response Question 30 Marketing Mix consists of the 4 P's. One of those P's is Product. A company must carry out a customer-oven new product development process for finding and growing new products. List the eight major steps, of the new product development process, in sequence

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In sequence, the eight major steps in the customer-driven new product development process are as follows: idea generation, idea screening, concept development and testing, marketing strategy development, business analysis, product development, market testing, and commercialization.

The new product development process is a systematic approach used by companies to bring new products to the market successfully. The process involves several steps that are carried out in a sequential manner to ensure effective product development and market entry.

Idea Generation: This is the initial stage where ideas for new products are generated. It can come from various sources such as customers, employees, competitors, or market research.Idea Screening: In this step, the generated ideas are evaluated to determine their feasibility and alignment with the company's goals and resources. Ideas that show potential are selected for further development.Concept Development and Testing: The selected ideas are further developed into concepts that outline the product's features, benefits, and target market. These concepts are tested with a sample of potential consumers to gather feedback and refine the ideas.Marketing Strategy Development: Once the product concepts are validated, a marketing strategy is developed. This includes identifying the target market, positioning the product, and determining the marketing mix.Business Analysis: A detailed analysis of the product's potential profitability and financial viability is conducted in this step. Factors such as production costs, pricing, and sales forecasts are assessed.Product Development: The actual development of the product takes place in this stage. The product is designed, prototyped, and tested for functionality and quality.Market Testing: Before full-scale launch, the product is tested in a controlled market environment to evaluate its performance, acceptance, and consumer response.Commercialization: If the product passes the market testing phase, it is ready for commercialization. This involves full-scale production, marketing, and distribution of the product to the target market.

By following these eight steps in sequence, companies can systematically develop and introduce new products that meet customer needs and generate business growth.

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based on the coase theorem, private solutions to externalities will be impossible if

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Based on the Coase theorem, private solutions to externalities will be impossible if transaction costs are too high.

The Coase theorem states that private parties can solve the problem of externalities (i.e., the cost or benefit that affects a third party due to economic activities) through bargaining, without requiring government intervention. The theorem assumes that the affected parties can bargain at no cost and that property rights are clearly defined. However, in the real world, transaction costs, which refer to the time, effort, and resources spent in making an exchange, may make bargaining difficult or even impossible.

If the transaction costs are high, then private solutions to externalities are unlikely to emerge.Transaction costs can arise due to various reasons such as lack of information, high search costs, legal and bureaucratic hurdles, communication problems, and enforcement issues. In addition, power asymmetries between the parties may also affect bargaining outcomes.

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Question 5. In recording cash paid by the company to the withdrawing partner, the journal entry to include his/her capital account in credit and cash account is debil. True or False Question 6 The purchase of land by Issuing a long-term note payable for the entire amount is reported on the investing activities section of the statement of cash flows . True or False. Question 7 A company has callable bonds outstanding with a par value of $100,000. The unamortized discount on these bonds is $1,500. The company called to retire these bonds and paid a call premium (bonus) of $3,000. What is the gain or loss on this retirement? OA $4,500 loss OB 50 gain or loss. OC. $3,000 loss OD.$1,500 gain Moins this response TOSHIBA

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Question 5: False. In recording cash paid by the company to the withdrawing partner, the journal entry would include debiting the withdrawing partner's capital account and crediting the cash account.

Question 6: False. The purchase of land by issuing a long-term note payable for the entire amount is reported on the financing activities section of the statement of cash flows, not the investing activities section.

Question 7: OC. $3,000 loss. In this scenario, the company incurred a loss of $3,000 on the retirement of callable bonds. The gain or loss on retirement is calculated by subtracting the call premium from the unamortized discount. In this case, $3,000 (call premium) - $1,500 (unamortized discount) = $1,500 loss.

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During the 2020 campaign, Joe Biden proposed raising income taxes on those earning more than $400,000 per year and raising corporate taxes from about 21 percent to 28 percent.
Consider the aggregate demand-aggregate supply diagram below, which represents the macroeconomy. Suppose the market is initially at an equilibrium at point A. What effect will a tax increase have on this graph?
a.The aggregate demand curve will shift to the right.
b. The aggregate demand curve will shift to the left.
c. The short-run aggregate supply curve will shift to the left.
d.The long-run aggregate supply curve will shift to the left.

Answers

The correct answer is:

b. The aggregate demand curve will shift to the left.

A tax increase on high-income earners and corporations would reduce their disposable income and profits, leading to a decrease in consumption and investment spending. As a result, aggregate demand, which represents the total spending in the economy, would shift to the left. This shift reflects a decrease in overall demand for goods and services in the economy.

In the given scenario, the equilibrium point A represents the initial balance between aggregate demand and aggregate supply. With the tax increase reducing aggregate demand, there will be a contraction in economic activity. This contraction can lead to a decrease in output, employment, and inflationary pressures. It is important to note that the impact on the short-run or long-run aggregate supply curves is not explicitly mentioned in the question, and therefore, those options are not applicable.

In summary, a tax increase on high-income earners and corporations would cause the aggregate demand curve to shift to the left, indicating a decrease in overall demand for goods and services in the economy. This can have implications for economic activity, output, and employment in the short run.

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A stock is expected to pay an annual dividend of $10 per share next year. Every year after that the dividend is expected to increase at a rate of 2% per year. The stock's price is 560. What is the implied cost of capital ANSWER Type your answer here....

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Answer: 3.7857

To calculate the implied cost of capital for the given stock, we can use the dividend discount model (DDM). The DDM formula is as follows:

Stock Price = Dividend / (Cost of Capital - Dividend Growth Rate)

We are given that the annual dividend next year is expected to be $10 per share, and the dividend growth rate is 2% per year. The stock's price is $560.

Substituting these values into the formula, we get:

$560 = $10 / (Cost of Capital - 0.02)

To solve for the cost of capital, we can rearrange the formula:

Cost of Capital - 0.02 = $10 / $560

Simplifying:

Cost of Capital - 0.02 = 0.017857

Cost of Capital = 0.037857 or 3.7857%

Therefore, the implied cost of capital for the given stock is approximately 3.7857%.

The cost of capital is the return that a company must earn on its investments in order to attract enough funds to meet its financial obligations. The cost of capital is an important metric for investors because it helps them determine whether an investment in a company is likely to be profitable.

The cost of capital can be estimated using the following formula

Cost of capital = Risk-free rate + Beta * (Market risk premium + Rate of return required)

where Risk-free rate is the return on a risk-free investment (such as a U.S. Treasury bond), Beta is the measure of a company's systematic risk, Market risk premium is the additional return required to compensate investors for taking on the additional risk associated with investing in the stock market, and Rate of return required is the expected return on the company's investment.

In this case, the risk-free rate is the expected return on a U.S. Treasury bond, which is currently around 2.5%. The beta of the stock is the measure of its systematic risk, which can be estimated using historical stock prices. The market risk premium is the additional return required to compensate investors for taking on the additional risk associated with investing in the stock market.

Assuming a beta of 1.5, the cost of capital can be estimated as follows:

Cost of capital = 2.5% + 1.5 * (Market risk premium + Rate of return required)

Cost of capital = 2.5% + 1.5 * (market risk premium + 10%)

Cost of capital = 2.5% + 1.5 * 6.5%

Cost of capital = 4.75%

The stock's price is 560.

If the expected divide and next year is10, the expected dividend yield is:

Expected dividend yield = 10/560

Expected dividend yield = 0.175

The price of the stock can be calculated using the following formula:

Price of stock = Dividend yield * (1 + Dividend growth rate) / (1 - Cost of capital)

Plugging in the given values, we get:

Price of stock = 0.175 * (1 + 2% / (1 - 4.75%)) / (1 - 4.75%)

Price of stock = 0.175 * (1.02) / (1 - 4.75%)

Price of stock = 607.18

Therefore, the implied cost of capital based on the given information is approximate 607.18, or 10.2

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Assume that an economy is characterized by the following equations: C = 100 + (2/3)(Y – T) T = 600 G = 500 I = 800 – (50/3)r Ms /P = Md /P = 0.5Y – 50r

a. Write the numerical IS curve for the economy, expressing Y as a numerical function of G, T, and r.
b. Write the numerical LM curve for this economy, expressing r as a function of Y and M/P.
c. Solve for the equilibrium values of Y and r, assuming P = 1.0 and M = 1,200. How do they change when P = 2.0? Check by computing C, I, and G.
d. Write the numerical aggregate demand curve for this economy, expressing Y as a function of G, T, and M/P.

Answers

To check the equilibrium, we can compute consumption (C), investment (I), and government spending (G) using the equilibrium values of Y and substitute them into the original equations.

The numerical aggregate demand curve expresses output (Y) as a function of government spending (G), and the money supply relative to the price level (M/P).

a. The IS curve equation can be derived by equating aggregate output (Y) to aggregate demand (C + I + G) and solving for Y:

Y = C + I + G = [100 + (2/3)(Y - T)] + [800 - (50/3)r] + G

b. The LM curve equation can be derived by equating the money supply relative to the price level (M/P) to money demand (Md/P) and solving for r:

M/P = Md/P = 0.5Y - 50r

c. To solve for equilibrium values of Y and r, we set the IS and LM curves equal to each other and substitute the given values of T, G, and M/P:

Y = [100 + (2/3)(Y - 600)] + [800 - (50/3)r] + 500

0.5Y - 50r = 1200

By solving these equations simultaneously, we can find the equilibrium values of Y and r. When P = 2.0, we can repeat the process to find the new equilibrium values.

To check the equilibrium, we can compute consumption (C), investment (I), and government spending (G) using the equilibrium values of Y and substitute them into the original equations.

d. The aggregate demand curve expresses output (Y) as a function of government spending (G), taxes (T), and the money supply relative to the price level (M/P):

Y = [100 + (2/3)(Y - T)] + [800 - (50/3)r] + G

This equation shows how changes in government spending, taxes, and the money supply affect output in the economy.

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Which of the following statements is correct? O The long-run total cost curve is the total of all the short-run total cost curves. O The marginal cost curve intersects average variable cost (AVC) and average total cost (ATC) at the maximum of ATC and AVC. O The long-run average total cost curve must be the lower envelope of all of the firm's short-run average total cost curves. O In the short run where capital is fixed, to minimize the cost, the necessary condition is the technical rate of substitution equals to input price ratio.

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The statement that is correct is that in the short run where capital is fixed, to minimize the cost, the necessary condition is the technical rate of substitution equals to input price ratio.

When capital is fixed, the firm can adjust the level of output by varying only one input, usually labor. The cost structure in the short run depends on whether the variable input is subject to diminishing returns.The technical rate of substitution is defined as the negative of the slope of the isoquant, or the marginal rate of technical substitution.The necessary condition for minimizing the cost is that the input price ratio is equal to the technical rate of substitution. As a result, the point of intersection between an isoquant and an isocost line represents the optimal combination of inputs that minimizes costs.In the short run, all inputs are not adjustable, so a firm's cost curve consists of the marginal cost curve and the average variable cost curve, as well as the average fixed cost curve.The long-run total cost curve (LTC) is the sum of all the short-run total cost curves.

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A company decided to change its inventory method from FIFO to the weighted average cost method. Assuming that the change happens during a period of rising inventory costs, which of the following will most likely increase as a result of this change? (Wrong choices are penalized.) Select one or more: a. Inventory turnover b. Current ratio. 0 C. Debt-to-equity. d. None of others 0 0 e. DOH

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It is not likely to increase as a result of this change.

when a company changes its inventory method from fifo (first-in, first-out) to the weighted average cost method, the impact on various financial ratios can differ. let's analyze the s provided:

a. inventory turnover:

changing the inventory method is not likely to directly impact the inventory turnover ratio. the inventory turnover ratio is determined by dividing the cost of goods sold by the average inventory. although the inventory valuation method affects the cost of goods sold, changing the inventory method alone does not necessarily affect the average inventory levels or the overall inventory turnover ratio. b. current ratio:

the current ratio is calculated by dividing current assets by current liabilities. changing the inventory method is unlikely to have a direct impact on current assets or current liabilities, as it mainly affects the valuation of inventory.

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This economic agent is responsible for the redeployment of excess funds from savings back into the economy as loans and investments. O a Government O b. Rest of the World O O d. Households O e. Firms

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The economic agent responsible for the redeployment of excess funds from savings back into the economy as loans and investments are the financial intermediaries such as banks, credit unions, and other institutions.

The correct option would be option F.

financial intermediaries. The financial intermediaries redirect savings into productive investment opportunities through lending, issuing bonds, and other financial activities.What are financial intermediaries?A financial intermediary is an entity that connects borrowers and lenders or savers in the financial market. It provides a mechanism that allows for the transfer of financial resources between parties, and the financial intermediary itself earns a profit by charging a fee or interest rate on the loans and other financial transactions it facilitates. They are institutions like banks, credit unions, and other financial organizations whose primary role is to mobilize savings and allocate them to productive investment opportunities through lending, issuing bonds, and other financial activities.

They are responsible for the redeployment of excess funds from savings back into the economy as loans and investments. The long answer is as follows:The term financial intermediary refers to an entity that operates as an intermediary between borrowers and lenders in the financial market. Financial intermediaries mobilize savings and channel them into productive investment opportunities through lending, issuing bonds, and other financial activities. The role of financial intermediaries in the economy is critical since they redirect savings into productive investment opportunities, thereby enhancing economic growth and development. Financial intermediaries take advantage of economies of scale by pooling resources from numerous savers, thereby increasing their capacity to lend money at lower interest rates. Furthermore, they reduce risk by diversifying their loan portfolio, which reduces the probability of default on any given loan. In conclusion, financial intermediaries are critical in the economy since they are responsible for mobilizing savings and channeling them into productive investment opportunities, thereby enhancing economic growth and development.

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