The primary task of a database administrator (DBA) is to ensure that a database is available as needed and is protected and secured from unauthorized users and activities.
true/false

Answers

Answer 1

True,

The statement, "The primary task of a database administrator (DBA) is to ensure that a database is available as needed and is protected and secured from unauthorized users and activities," is true.

A DBA is responsible for maintaining database availability, security, and protection from unauthorized access.

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Related Questions

which of the following occurs in the long run: a. diminishing returns b. economies of scale c. increasing returns d. none of the above

Answers

Option B). In the long run, economies of scale tend to occur.

Economies of scale refer to the phenomenon where the cost of production decreases as output increases. This is because larger firms are able to spread fixed costs, such as overhead expenses, over a larger production volume.

Additionally, larger firms are able to negotiate better deals with suppliers due to their increased bargaining power. This leads to lower costs of production and greater efficiency. In contrast, diminishing returns occur in the short run when increasing inputs result in smaller and smaller increases in output.

Increasing returns, on the other hand, are rare and occur when increasing inputs result in larger and larger increases in output.

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If $2,000 is withdrawn from the bank by a customer, the bank:________

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If $2,000 is withdrawn from the bank by a customer, the bank will have less money in its reserves. This is because the bank keeps a certain amount of cash on hand to meet the demands of its customers, and when a customer withdraws money, the bank has to reduce its cash reserves accordingly.

In addition to reducing the bank's cash reserves, a withdrawal of $2,000 may also impact the customer's account balance. Depending on the type of account the customer has and their current balance, the withdrawal could result in a lower account balance, potential overdraft fees, or other account-related charges.To ensure that the bank can continue to meet the needs of its customers and maintain its financial stability, it is important for the bank to monitor its cash reserves and adjust them as necessary.

Banks also have various measures in place to manage the risks associated with withdrawals, such as limiting the amount that can be withdrawn in a single transaction or requiring advance notice for large withdrawals.Overall, while a $2,000 withdrawal from the bank by a customer may seem like a relatively small amount, it can have significant implications for both the customer and the bank. As such, it is important for both parties to carefully manage their finances and work together to ensure that all transactions are carried out smoothly and securely.

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if you invest $15,000 in a bank account that pays 6% interest. how much will you have in your account in 10 years g

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After 10 years, $15,000 invested inside a bank account earning 6% interest will have grown to $24,964.27.

This is due to compound interest's strength. Compound interest is when interest is computed on a higher balance after the principal and interest on the initial investment have been added together.

Your initial $15,000 investment will have increased to $24,964.27 after 10 years if compounding at the a rate of 6%. It's vital to keep in mind that this is presuming that there be no further contributions or withdrawals during the 10-year term. Also, depending on how frequently the account is compounded, the actual amount gained may change.

To talk about your investing possibilities and goals, it is always a worthwhile endeavor to speak with a financial counsellor.

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quality charge capture ensures that payment and reimbursement rates are established for all of the following except _____. group of answer choices apcs drgs icd-10 hcpcs

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All of the following, with the exception of ICD-10, which is a coding system for health conditions rather than a payment determination system, are covered by quality charge capture, which guarantees payment and reimbursement rates are established.

Quality charge capture is essential for ensuring accurate payment and reimbursement rates in healthcare settings. However, one of these options does not directly relate to establishing payment rates.

APCs (Ambulatory Payment Classifications) are used to determine the payment for outpatient services under the Medicare system. They group similar clinical services together to establish a standardized payment rate.

DRGs (Diagnosis-Related Groups) are a system for classifying hospital cases based on the diagnosis, treatments, and other factors. They help to determine the payment rate for inpatient hospital stays under the Medicare system.

ICD-10 (International Classification of Diseases, 10th revision) is a coding system used to classify and code diseases, symptoms, and other health conditions. While it helps with proper billing, it doesn't directly establish payment rates.

HCPCS (Healthcare Common Procedure Coding System) is a set of codes used to identify medical services and procedures for billing purposes. These codes are used in conjunction with other classification systems to establish payment rates.

In summary, quality charge capture ensures payment and reimbursement rates are established for all of the following except ICD-10, as it is a coding system for health conditions rather than a payment determination system.

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you recently won a contest sponsored by a local radio station. the radio station will pay you $2,500 at the end of each of the next 15 years. assuming an interest rate of 3%, what is the present value of this prize?

Answers

To calculate the present value of the prize, we need to discount the future cash flows at the given interest rate of 3%. The present value of the prize is $29,546.

This means that we need to find the equivalent amount of money that we could invest today at 3% interest to generate the same amount of cash flows over the next 15 years.

Using the formula for present value, we can calculate the present value of the prize as follows:

Present value = $2,500 /

[tex](1 + 0.03)^1[/tex]

+ $2,500 /

[tex](1 + 0.03)^2[/tex]

+ ... + $2,500 /

[tex](1 + 0.03)^15[/tex]

Simplifying this expression, we get: Present value = $2,500 x

[tex] [1/(1 + 0.03)^1[/tex]

+

[tex]1/(1 + 0.03)^2[/tex]

+ ... +

[tex]1/(1 + 0.03)^15][/tex]

Using a financial calculator or spreadsheet, we can calculate the present value to be approximately $29,546.

In other words, if we had $29,546 today and invested it at an interest rate of 3%, we would receive $2,500 at the end of each of the next 15 years, which is equivalent to the prize money offered by the radio station.

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phantom corporation purchased equipment for $50,000, four years ago. the accumulated depreciation to date is $41,360. if they were able to sell the equipment today for $20,000, what would be the amount of tax due? assume the company is in the 34% tax bracket. multiple choice $1,931 $3,862 $8,640 $10,000 $11,360

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If they were able to sell the equipment today for $20,000, then the amount of tax due is $3,862 (option b).

Phantom Corporation purchased equipment for $50,000 four years ago. The accumulated depreciation to date is $41,360. Depreciation is the accounting method used to allocate the cost of a tangible asset over its useful life. In this case, the equipment's useful life is deemed to be four years, and the depreciation expense per year is $2,160 ($50,000 divided by four years equals $12,500 in depreciation per year).

The book value of the equipment after four years would be $8,640 ($50,000 minus $41,360 in accumulated depreciation). If the company sells the equipment today for $20,000, they will make a profit of $11,360 ($20,000 minus $8,640).

Since the company is in the 34% tax bracket, they will owe tax on their profit of $11,360. The tax due is calculated by multiplying the profit by the tax rate, which is 34%.

Therefore, the amount of tax due is $3,862 ($11,360 multiplied by 0.34).

So, the correct option is (b).

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sales$ 700,000 variable cost of goods sold200,000 fixed overhead174,000 variable selling and administrative expenses66,000 fixed selling and administrative expenses64,000 compute contribution margin.

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To compute the contribution margin, we need to subtract the variable costs from the sales revenue.

Variable costs = cost of goods sold + variable selling and administrative expenses
= $200,000 + $66,000
= $266,000

Contribution margin = Sales revenue - Variable costs
= $700,000 - $266,000
= $434,000

The contribution margin represents the amount of revenue that is available to cover the fixed overhead and fixed selling and administrative expenses, as well as generate profit. It is an important metric for businesses to track as it helps in decision-making related to pricing, production, and overall profitability.

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the firm's free cash flow next year (t=1) is $17.5 million, and after next year it is expected to grow at a constant rate. Its weighted cost of capital is 9.7%. The firm value today is _____ million.

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The firm's free cash flow next year (t=1) is $17.5 million, and after next year it is expected to grow at a constant rate. Its weighted cost of capital is 9.7%. The firm value today is $304.35 million

To calculate the firm's value today, we need to use the constant growth model. The formula for this model is V0 = FCF1/ (WACC - g), where V0 is the firm's value today, FCF1 is the free cash flow in the next year, WACC is the weighted cost of capital, and g is the expected growth rate of the free cash flow.Using the information given in the question, we can calculate the firm's value today as follows:V0 = 17.5 / (0.097 - g)



Since the question states that the free cash flow is expected to grow at a constant rate after next year, we can assume that the growth rate is also constant. Let's say that the expected growth rate is 3%. Then:
V0 = 17.5 / (0.097 - 0.03)

V0 = 304.35 million
Therefore, the firm's value today is $304.35 million.

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franklin modems has excess production capacity and is considering the possibility of making and selling paging equipment. the following estimates are based on a production and sales volume of 1,700 pagers. unit-level manufacturing costs are expected to be $27. sales commissions will be established at $1.70 per unit. the current facility-level costs, including depreciation on manufacturing equipment ($67,000), rent on the manufacturing facility ($57,000), depreciation on the administrative equipment ($14,100), and other fixed administrative expenses ($75,450), will not be affected by the production of the pagers. the chief accountant has decided to allocate the facility-level costs to the existing product (modems) and to the new product (pagers) on the basis of the number of units of product made (i.e., 5,700 modems and 1,700 pagers). required a. determine the per-unit cost of making and selling 1,700 pagers. (do not round intermediate calculations. round your answer to 3 decimal places.) b. assuming the pagers could be sold at a price of $41 each, should franklin make the pagers?

Answers

a. The per-unit cost of making and selling 1,700 pagers is $37.82.

b. The profit per unit on selling 1,700 pagers is $3.18

a. Per-unit cost of making and selling 1,700 pagers

Total unit-level manufacturing costs = $27 per unit

Total sales commissions = $1.70 per unit

Total facility-level costs = ($67,000 + $57,000 + $14,100 + $75,450) = $213,550

Facility-level cost allocation to pagers = ($213,550 * 1,700) / (5,700 + 1,700) = $64,062

Total cost per unit = Unit-level manufacturing costs + Sales commissions + Facility-level costs per unit

= $27 + $1.70 + ($64,062 / 1,700)

= $37.82

Therefore, the per-unit cost of making and selling 1,700 pagers is $37.82.

b. Profit per unit on selling 1,700 pagers

Selling price per unit = $41

Profit per unit = Selling price per unit - Total cost per unit

= $41 - $37.82

= $3.18

The profit per unit on selling 1,700 pagers is $3.18.

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nielsen compiles ratings of television shows and then sells the information to other firms. nielsen conducts ________.

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Nielsen compiles ratings of television shows and then sells the information to other firms. In this context, Nielsen conducts market research.

Market research is the process of gathering, analyzing, and interpreting information about a specific market, including its consumers, competitors, and trends. This helps companies make informed decisions about marketing strategies and product development.In the case of Nielsen, the market research consists of tracking viewership data for various television shows. By analyzing this data, they can determine the popularity of different programs, demographics of viewers, and peak times for watching certain shows. Nielsen collects this information through various methods, including surveys and electronic monitoring devices.Once Nielsen has compiled this data, they sell it to other firms, such as advertisers and television networks. These companies use the information to make decisions about advertising placements, content development, and programming schedules. This helps them maximize their reach and target the most relevant audience for their products and services.In summary, Nielsen conducts market research by collecting and analyzing television viewership data. This information is then sold to other firms to help them make informed decisions about their marketing and content strategies.

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What does the duty to indemnify require a principal to pay?

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The duty to indemnify is a legal obligation for a principal to pay for any losses, damages, or expenses incurred by an agent or third party due to the principal's actions or inactions


The duty to indemnify can arise in various situations, such as when a principal hires an agent to act on their behalf, or when a principal contracts with a third party to perform services for them. In these situations, the principal may be held responsible for any damages caused by the actions of their agent or third party contractor.For example, if a principal hires a contractor to build a new office building, and the contractor accidentally damages neighboring property during construction, the principal may be required to indemnify the property owner for any losses incurred as a result of the damage.

Overall, the duty to indemnify is an important legal requirement that helps ensure that principals take responsibility for the actions of their agents and contractors, and provides a mechanism for compensating those who are harmed by those actions.

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ou have a workbook that contains sales data for different regional sales reps of a company. which task is the least likely to be done while the worksheets are grouped?

Answers

The least likely task to be done while the worksheets are grouped is a. Enter specific values for the first sales rep

When worksheets are combined, any modifications made to one worksheet are immediately applied to other sheets in the group. Therefore, it is doubtful that the intended effect would be achieved if particular values for the first salesperson were recorded on just one worksheet. Instead, those values would be entered for all the worksheets in the group.

When doing operations that simultaneously affect many worksheets, such as formatting, adding or removing columns and rows, or placing same formula into numerous cells, it is common practice to group thes e sheets. When combining them, it is crucial to remember that changes a user makes will be applied to all other sheets, so the user must proceed with caution and double-check the desired effect before making them.

Complete Question:

You have a workbook that contains sales data for different regional sales reps of a company. The  least likely task to be done while the worksheets are grouped

a. Enter specific values for the first sales rep

b. Open two new workbook windows

c.

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the following graph shows the marginal and average product curves for labor, the firm's only variable input. the monthly wage for labor is $2,000. fixed cost is $120,000. when the firm uses 100 units of labor, what is marginal cost at this level of output?

Answers

$18.18 is the marginal cost at output level of 100 units

Marginal cost is the addition to TC or TVC when one more unit of output is produced .

MC = ∆TC/∆Q

Fixed cost is given $120,000.

Quantity and Total cost of labour at 60 units .

Q= L×APL

L = 60 , APL = 60

Q = 60×60

Q = 36,000.

Total cost = total variable cost + total fixed cost

TVC = Q × monthly wage of labour

TVC = 60× 2,000 = 120,000.

TC = 120,000+120,000. = 240,000.

Quantity and total cost of labor at 100 units .

Q = L ×APL = 100×80 = 8,000.

TVC = 2,000×100 = 200,000.

TC = 200,000+120,000=320,000.

MC at 100 units of labour = ∆TC /∆Q = (320,000-240,000)/8,000-3,600) = 80,000/4,400= $18.18.

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the complete question is :

The graph displayed illustrates both the marginal and average product curves for labor, which is the only variable input used by the firm. The labor is compensated with a monthly wage of $2,000 while the fixed cost is $120,000. At a labor utilization level of 100 units, what is the marginal cost for this level of output?

self-interest is consistent with many goals that people pursue, including betterment of others. applies only to people in market settings. implies that people will not give away wealth. implies that a person must try to increase wealth at all times.

Answers

Self-interest is a term used to describe the actions of individuals who seek to maximize their own personal gain or benefit. Option A is correct

Self-interest is compatible with a wide range of objectives that people strive for, including the improvement of others. A business owner who prioritizes their own financial gain, for instance, might also create jobs and offer products and services that are beneficial to others.

Self-interest does not just apply to people in market environments; it also applies to any circumstance in which people look to maximize their own gain, such as in social, political, or intimate relationships.

Self-interest may lead one to believe that wealth will not be distributed, but this is not a universal truth. Wealth can be given away by people for a variety of reasons, including philanthropy or social responsibility.

Self-interest does not mandate that one constantly seek to accumulate more money.

Option A is correct

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Refer to graph below showing the market for New York Giants jerseys. $15 12 9 6 6 3 3 0 1 2 3 4 5 6 7 Quantity Suppose New York implements a 54.50 tax on each jersey sold. How much will the New York Giants receive for each jersey after the tax? $7.50 $4.50 $10.00 $9.00

Answers

The New York Giants will receive $9.00 for each jersey sold after the implementation of a $54.50 tax per jersey.

Assuming that the tax is imposed on the buyers, the market price of the jerseys will increase by the amount of the tax to $69.50 ($15 + $54.50). As a result, the quantity demanded of jerseys will decrease, leading to a shift along the demand curve. At the same time, the quantity supplied of jerseys will increase, leading to a shift along the supply curve. The new equilibrium price and quantity will be determined by the intersection of the new demand and supply curves. After the tax, the price received by the New York Giants for each jersey will be lower than the original market price of $15. The amount received by the Giants will depend on the new equilibrium price, which is likely to be lower due to the decrease in quantity demanded. Therefore, the Giants will receive less than $15 per jersey after the tax. Without knowing the new equilibrium price, it is not possible to determine the exact amount received by the Giants.

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The New York Giants receive for each jersey after the tax is given by $9.00 which is option D.

In the event that the tax is levied against the purchasers, the market price of the jerseys will rise to $69.50 ($15 + $54.50) as a result of the tax. As a result, the amount of jerseys requested will decline, causing a change in the demand curve. The supply of jerseys will grow concurrently, causing a change in the supply curve. The junction of the new demand and supply curves will establish the new equilibrium price and quantity. Each jersey will cost less to the New York Giants after the tax than it would at the $15 original market value.

The Giants' payout will be based on the new equilibrium price, which is probably going to be lower given the drop in quantity required. The Giants will thus get less than $15 for each shirt after the tax. The precise amount received by the Giants cannot be calculated without knowledge of the new equilibrium price.

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On December 31, 2016, Continuous Computing leased a set of servers from Harry’s Hardware with annual payments of $45,000 for 3 years. The servers are expected to have a useful life of 4 years and have an ordinary selling price of $140,000. Continuous Computing’s average borrowing rate is 6%. On January 1, 2018, the lease is renegotiated to be extended by two years and lease payments increase to $65,000 per year, effective immediately. Harry’s Hardware originally purchased the servers for $80,000 and depreciates all assets according to the straight-line method. PLEASE PLEASE SHOW ME WHERE ARE THE NUMBERS COMING FROM.

Answers

The numbers in this scenario come from the terms and conditions of the lease agreement between Continuous Computing and Harry's Hardware, and the accounting practices of both companies.

In this scenario, Continuous Computing leased servers from Harry's Hardware on December 31, 2016, for three years with annual payments of $45,000. The servers have an ordinary selling price of $140,000 and a useful life of four years. Continuous Computing's average borrowing rate is 6%. On January 1, 2018, the lease was renegotiated, extending it by two years, and the annual lease payments increased to $65,000.

To better understand the numbers, let's break it down:

1. Lease term: Initially, the lease was for three years, but it was extended by two years after renegotiation, making the total lease term five years.

2. Annual lease payments: Initially, the annual lease payment was $45,000. After renegotiation, it increased to $65,000.

3. Ordinary selling price: The servers have a selling price of $140,000.

4. Useful life: The servers are expected to be useful for four years.

5. Average borrowing rate: Continuous Computing has a 6% borrowing rate.

6. Harry's Hardware's purchase and depreciation: Harry's Hardware purchased the servers for $80,000 and uses the straight-line depreciation method.

The numbers in this scenario come from the terms and conditions of the lease agreement between Continuous Computing and Harry's Hardware, and the accounting practices of both companies. The initial annual lease payment of $45,000 and the renegotiated payment of $65,000 are agreed upon by both parties. The useful life of the servers and their ordinary selling price are determined by the manufacturer and market conditions. Finally, the depreciation method and original purchase price of the servers come from Harry's Hardware's financial records.

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question: macy of new york sold leeco. of chicago office equipment with a $5,800 list price. sale terms were 2/10, n/30 fob new york. macy agreed to prepay the $100 freight. leeco. pays the invoice within the discount period. what does leeco. pay macy? payable amount

Answers

The selling conditions of "2/10, n/30" allow Leeco. to receive a 2% discount off the $5,800 retail price provided payment is made within 10 days. If they don't pay within 10 days, they have 30 days to make up the difference. Leeco. Thus pays $5,584 to Macy of New York.

As the purchase was made FOB New York and Macy agreed to pay the $100 freight in advance, Leeco. just needs to pay the invoice amount less the discount and the prepaid freight.

Let's first figure out how much of a discount Leeco can accept:

$5,800 X by 2%, or a discount, = $116.

Secondly, to get the payment amount, we may deduct the discount and the goods bought in advance from the list price:

Payable amount = List price - Discount - Prepaid freight

Payable amount = $5,800 - $116 - $100

Payable amount = $5,584

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Explanation:

Calculate the discount:

Discount Percentage = 2%

Discount Amount = List Price x Discount Percentage

Discount Amount = $5,800 x 0.02 = $116

Subtract the discount from the list price to find the discounted price:

Discounted Price = List Price - Discount Amount

Discounted Price = $5,800 - $116 = $5,684

Add the prepaid freight:

Total Amount Due = Discounted Price + Prepaid Freight

Total Amount Due = $5,684 + $100 = $5,784

So, LeeCo. will pay Macy a total of $5,784 within the discount period.

Which statements will execute successfully? (Choose 2)A) SELECT employee_id, last_name, job_id, department_id, hire_date FROM employees ORDER BY 3;B) SELECT first_name, last_name FROM employees ORDER BY employee_id DES;C) SELECT first_name, last_name, first_name||last_name fullname FROM employees ORDER BY fullname;D) SELECT employee_id, first_name, last_name FROM employees ORDER BY employee_id DESCEND;

Answers

The two statements that will execute successfully are:

(1) (A) SELECT employee_id, last_name, job_id, department_id, hire_date FROM employees ORDER BY 3; In this statement, you are selecting the columns "employee_id", "last_name", "job_id", "department_id", and "hire_date" from the employees table. The 'ORDER BY 3' sorts the results based on the third column, which is "job_id".

(2) (C) SELECT first_name, last_name, first_name||last_name fullname FROM employees ORDER BY fullname; In this statement, you are selecting the columns "first_name" and "last_name" from the employee's table, and concatenating them to create a new column named "fullname".

The 'ORDER BY fullname' sorts the results based on the "fullname" column. The other statements (B and D) will not execute successfully due to syntax errors. In statement B, 'DES' should be replaced with 'DESC' (for descending order), and in statement D, 'DESCEND' should be replaced with 'DESC'.

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money that is available in an economy for the private sector and government to borrow is called_____funds

Answers

The money that is available in an economy for the private sector and government to borrow is called "funds."

These funds can come from various sources, such as savings deposits in banks, investment funds, or even government bonds. The availability of funds in an economy is a key factor in determining the overall health of that economy. When there is an ample supply of funds available, it can stimulate economic growth and development by making it easier for businesses to obtain financing and invest in new projects. This, in turn, creates job opportunities and can help boost consumer spending, leading to a stronger economy. On the other hand, when funds are scarce, it can hinder economic growth and development as businesses struggle to secure financing for new projects. This can lead to a decrease in job opportunities and consumer spending, which can ultimately lead to a weaker economy. In summary, funds are a critical component of any economy, as they provide the necessary capital for businesses to grow and expand. Therefore, it is essential for governments and financial institutions to work together to ensure that there is a steady supply of funds available to support economic growth and development.

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baxter believes that every person should be ___________ unless his or her actions interfere with the interests of other human beings.

Answers

Baxter believes that every person should be free to act in accordance with their interests, unless their actions interfere with the interests of other human beings.


Baxter believes that every person should be "free" unless his or her actions interfere with the interests of other  human beings. The term "accordance" describes a situation in which two or more items or persons are in agreement, conformity, or harmony. When two or more objects or people agree with one another, adhere to a set of norms, standards, or expectations, or conduct or act in a manner that is consistent with one another, it suggests that two or more things or people are in accordance. The word accordance is frequently used to define the condition of conformity or agreement between two or more parties in situations including law, contracts, agreements, and social standards.

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A winning strategy is one that:
Select one:
a. builds strategic fit, is socially responsible, and maximizes shareholder wealth.
b. is highly profitable and boosts the company's market share.
c. fits the company's internal and external situation, builds sustainable competitive advantage, and improves company performance.
d. results in a company becoming the dominant industry leader.
e. can pass the ethical standards test, the strategic intent test, and the profitability test.

Answers

The correct answer is c. A winning strategy is one that fits the company's internal and external situation, builds sustainable competitive advantage, and improves company performance.

It is important for a strategy to consider the company's unique position and resources, while also creating a long-term advantage over competitors. This type of strategy focuses on creating value for all stakeholders, including shareholders, employees, customers, and the wider community.

It also takes into account ethical considerations and aligns with the company's values and purpose.

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given the following information, what are the values of m1 and m2? small time deposits $1,800 billion demand deposits and other checkable deposits $1,000 billion savings deposits $1,400 billion money market mutual funds $1,000 billion traveler's checks $50 billion large time deposits $600 billion currency $300 billion miscellaneous categories in m2 $50 billion a. m1

Answers

The values of M1 and M2 deposits through the information given is, M1 = $1, 350 billion, M2 = $5, 600 billion option B.

A deposit is money that needs to be transferred from one party to another and is kept in a bank account or with another financial organization. The sum of money used as security or collateral for the delivery of goods or services can also be referred to as a deposit.

We have,

Small-time deposits $1,800 billion

Demand deposits and other checkable deposits $1000 billion

Savings deposits $1,400 billion

Money market mutual funds $1,000 billion

Traveler's checks $50 billion

Large time deposits $600 billion

Currency $300 billion

Miscellaneous categories in M2 $50 billion.

Deposits are the sums of money that people choose to keep with financial organisations. There are several sorts of deposits, including time deposits, demand deposits, and others.

M1 can be computed as the sum of currency, traveler's check, and demand deposits, and other checkable deposits.

M1 = 300 + 50 + 1000 = 1350

The M1 is $1350 billion.

M2 can be computed as the sum of M1, small- and large time deposits, savings deposits, money market mutual funds, and, miscellaneous categories in M2.

M2 = 1350 + 1800 + 1400 + 1000 + 50

M2 = 5600.

The M2 is $5600 billion.

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Complete question';

given the following information, what are the values of m1 and m2? small time deposits $1,800 billion demand deposits and other checkable deposits $1,000 billion savings deposits $1,400 billion money market mutual funds $1,000 billion traveler's checks $50 billion large time deposits $600 billion currency $300 billion miscellaneous categories in m2 $50 billion.

a. M1 = $3, 150 billion, M2 = $6, 200 billion.

b. M1 = $1, 350 billion, M2 = $5, 600 billion.

c. M1 = $1, 400 billion, M2 = $6, 200billion.

d. Ml = $1, 300 billion, M2 = $5, 600 billion.

the so-called wealth effect, when consumers feel wealthier (due to a rising housing or stock market), will result in households group of answer choices spending more and saving less. spending less and saving more. spending more and saving more. spending less and saving less.

Answers

The so-called wealth effect, when consumers feel wealthier due to a rising housing or stock market, will result in households spending more and saving less. Therefore the correct option is option A.

The wealth effect describes households' propensity to spend more when their perceived wealth rises. Households may feel wealthier and more secure when stock or home prices rise, which may encourage them to spend more money on goods and services.

Since households may feel less of a need to save for the future when they feel financially comfortable in the present, this increased spending may come at the expense of savings. As a result, the wealth effect is linked to higher spending and lower savings.

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To profitably employ a best-cost provider strategy, a company must have the resources and capabilities to:

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To profitably employ a best-cost provider strategy, a company must have the resources and capabilities to: optimize supply chain management, invest in innovation, market effectively, maintain high-quality control standards, and cultivate a culture of excellence.

To effectively implement a best-cost provider strategy, a company must possess the resources and capabilities to deliver a unique combination of value and affordability. The primary goal is to offer a product or service that meets or exceeds the quality and features of competitors, while maintaining a competitive pricing structure.

Firstly, a company must have a strong supply chain management system. This includes sourcing cost-effective materials, reducing production costs, and optimizing logistics. Efficient supply chain management can lead to lower overall expenses, enabling the company to maintain lower prices while still offering high-quality products.

Secondly, technological innovation and investment in research and development (R&D) are crucial. By staying at the forefront of industry advancements, a company can consistently offer improved products and services that surpass competitors. This can lead to increased customer satisfaction and loyalty, enhancing overall profitability.

Thirdly, a best-cost provider should focus on effective marketing and branding strategies to communicate their value proposition to customers. This includes targeting the right market segments and emphasizing the combination of quality and affordability in advertising campaigns.

Additionally, a company must maintain a robust quality control system to ensure that products and services meet the highest standards. This helps to build and sustain a positive reputation in the market, attracting and retaining customers.

Lastly, a strong organizational culture that promotes cost-consciousness and continuous improvement is vital. Employee training, efficient management, and a commitment to excellence are all essential elements in creating a workforce that consistently strives to achieve the goals of the best-cost provider strategy.

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what are the trade-offs facing an investor who is considering buying a put option on an existing portfolio?

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When an investor is considering buying a put option on an existing portfolio, there are trade-offs that need to be considered such as put option is a financial contract that gives buyer right, but not the obligation, to sell a particular asset at a predetermined price, known as strike price.


The primary benefit of buying a put option is that it provides downside protection to the portfolio, as it can be used to hedge against potential losses in the underlying assets. However, there are also some trade-offs that come with buying a put option.



One of the primary trade-offs is the cost of the put option. The premium paid for the option can eat into potential gains, particularly if the option expires without being exercised. Additionally, the investor will need to decide on the strike price and expiration date, which can be difficult to predict accurately.  



Another trade-off to consider is the potential opportunity cost of holding the put option. If the underlying asset experiences significant gains, the investor will not benefit from those gains, as the put option limits their potential profits.



Overall, while buying a put option can provide downside protection for an existing portfolio, investors should carefully weigh the potential trade-offs before making a decision.

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Which type of fastener could be used to hold together pieces that must be dismantled frequently?
Machine screws
BoltsCenterCap screws

Answers

A type of fastener called a screws can be used to keep together objects that need to be taken apart often. Option 2 is Correct.

Non-permanent fasteners: Non-permanent fasteners are simple to remove without causing harm, allowing for several uses. Bolts are typical non-permanent fasteners that are utilised in a range of industries where items need to be quickly disassembled and reassembled.

The most prevalent kind of fastener is a bolt. Often, these machine components are employed to join two unthreaded parts. A bolt has a hexagonal head on one end and external male threads on the other. Often, a nut is used to secure the bolt's opposite end. Option 2 is Correct.

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Correct Question:

Which type of fastener could be used to hold together pieces that must be dismantled frequently?

1. Machine

2. screws

3. Bolts

4. Center Cap

6.create two scenarios to compare the costs for standard consultants and for consultants with change certification as follows:a.in the scenario manager, add two scenarios using the data shown in bold in table 1 below. b.the changing cells for both scenarios are the nonadjacent cells b11 and b14. c.close the scenario manager without showing any of the scenarios.

Answers

In Excel's Scenario Method, two scenarios were added to compare costs for consultants, with varying hourly and fixed costs.

To create two scenarios to compare the costs for standard consultants and consultants with change certification:

a. Open Microsoft Excel and go to the "Data" tab.

b. Click on "What-If Analysis" and select "Scenario Manager".

c. Click "Add" and name the first scenario "Standard Consultants".

d. In the "Changing cells" box, select cell B11 and cell B14.

e. In the "Values" box, enter 380 in cell B11 and 380,000 in cell B14.

f. Click "OK" to save the first scenario.

g. Click "Add" again and name the second scenario "Certified Consultants".

h. In the "Changing cells" box, select cell B11 and cell B14.

i. In the "Values" box, enter 420 in cell B11 and 335,000 in cell B14.

j. Click "OK" to save the second scenario.

k. Close the Scenario Manager without showing any of the scenarios by clicking "Close".

This will create two scenarios to compare the costs for standard consultants and consultants with change certification. The first scenario assumes a variable cost per hour of $380 and a total fixed cost of $380,000 for standard consultants. The second scenario assumes a variable cost per hour of $420 and a total fixed cost of $335,000 for certified consultants.

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Correct question is:

Create two scenarios to compare the costs for standard consultants and consultants with change certification as follows: a. In the Scenario Manager, add two scenarios using the data shown in bold in Table 1 below. b. The changing cells for both scenarios are the nonadjacent cells B11 and B14. C. Close the Scenario Manager without showing any of the scenarios. Table 1: Organizational Change Scenario Values Values Scenario 1 Scenario 2 Scenario Name Standard Certified Variable_Cost_Per_Hour_Change 380 420 (B11) Total Fixed Cost Change (B14) 380,000 335,000

Present value with multiple cash flows:Saul Cervantes has just purchased some equipment for his landscaping business. For this equipment he must pay the following amounts at the end of each of the next five years: $10,450, $8,500, $9,675, $12,500, and $11,635. If the appropriate discount rate is 10.875 percent, what is the cost in today's dollars of the equipment Saul purchased today?

Answers

The cost in today's dollars of the equipment Saul purchased today, with payments due at the end of each of the next 5 years, and a discount rate of 10.875 percent, is $38,652.76.

To calculate the present value of the equipment, we need to discount each payment to its present value and then sum up all of the present values. Using a financial calculator or spreadsheet program, we can input the following values:

N = 5 (number of payments)I/Y = 10.875% (discount rate)PMT = -10,450 (payment in year 1)PMT = -8,500 (payment in year 2)PMT = -9,675 (payment in year 3)PMT = -12,500 (payment in year 4)PMT = -11,635 (payment in year 5)

By solving for the present value (PV) of each payment, we get:

PV1 = $9,364.90PV2 = $6,847.26PV3 = $7,432.62PV4 = $8,567.04PV5 = $6,441.94

Finally, by summing up all of the present values, we get:

PV = $9,364.90 + $6,847.26 + $7,432.62 + $8,567.04 + $6,441.94 PV = $38,652.76

Therefore, the cost in today's dollars of the equipment Saul purchased today is $38,652.76.

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if a broker agrees to pay for remodeling of a home for the exclusive right to sell the home after the remodeling is completed, what type of agency exists?

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If a broker agrees to pay for the remodelling of a home for the exclusive right to sell the home after the remodelling is completed, then a special agency exists.

This is because the broker is providing a special service to the homeowner by investing in the remodelling of the property. In this type of agency, the broker has a fiduciary duty to act in the best interest of the homeowner and must disclose any material facts or conflicts of interest that may arise during the transaction.

The homeowner still maintains ownership of the property and can choose to terminate the agency agreement at any time. This type of agency agreement can be beneficial for both parties as the homeowner receives the benefit of the remodelling without upfront costs, and the broker has a guaranteed listing after the remodelling is completed.

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The quantity of loanable funds supplied increases if the real interest rate rises, all other things remaining the same, because the A. real interest rate is the opportunity cost of consumption. B. cost of living is determined by the real interest rate. C. real interest rate is the opportunity cost of saving. D. real interest rate is inversely related to the cost of buying on credit. E demand for investment increases when the real interest rate rises.

Answers

The quantity of loanable funds supplied increases if the real interest rate rises because the real interest rate is the opportunity cost of saving. (C)

As the real interest rate increases, people are incentivized to save more because they can earn a higher return on their savings. This increase in savings leads to an increase in the supply of loanable funds, which can then be used for investment or borrowing purposes.

In other words, when the real interest rate is higher, people are more willing to save their money instead of spending it on consumption. This increase in saving then leads to an increase in the supply of loanable funds available for borrowing or investment.

On the other hand, if the real interst rate is lower, people are less incentivized to save and may instead choose to spend more on consumption.

This decrease in saving would lead to a decrease in the supply of loanable funds available for borrowing or investment. Therefore, the relationship between the real interest rate and the quantity of loanable funds supplied is inverse.

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