The two categories of routing protocols are interior router protocols (IRPs) and exterior router protocols (ERPs). true or false?

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Answer 1

"The two categories of routing protocols are interior router protocols (IRPs) and exterior router protocols (ERPs)." The statement is False.

The two main categories of routing protocols are interior gateway protocols (IGPs) and exterior gateway protocols (EGPs).

IGPs are used within an autonomous system (AS), which is a network controlled by a single organization or administrative domain. Examples of IGPs include Routing Information Protocol (RIP), Open Shortest Path First (OSPF), and Interior Border Gateway Protocol (IBGP).

EGPs, on the other hand, are used for routing between different autonomous systems, which are distinct networks or domains controlled by different organizations.

The most common EGP is the Border Gateway Protocol (BGP), which is used for routing between autonomous systems on the Internet.

So, the correct categorization of routing protocols is IGPs and EGPs, rather than IRPs and ERPs as mentioned in the statement.

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Related Questions

What type of defects most commonly around found in products liability actions? Analyze what is required for each type of defect, providing examples of each. Please in detail

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3 types of defects found in products liability actions: manufacturing defects, design defects, warning defects. Manufacturing defects require proof that defect caused injury, design defects require proof of safer alternative design, and warning defects require proof of inadequate warning.



Manufacturing defects are flaws in the way a product is made or assembled that make it different from other products of the same line or model. These defects occur during the manufacturing process and are not intended by the manufacturer.

To prove liability for a manufacturing defect, the plaintiff must show that the defect caused their injury or damage. For example, if a car has a defective brake system due to a manufacturing error and causes an accident, the manufacturer may be held liable for the damages.

To prove liability for a design defect, the plaintiff must show that there was a safer alternative design available and that the defect caused their injury or damage.


To prove liability for a warning defect, the plaintiff must show that the warning or instruction was inadequate or missing, and that the defect caused their injury or damage.



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The _____ function determines if any conditions in a logical test are true.

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Management Information Systems( MIS) is the study of people, technology, associations and the connections between them.

The AND function determines whether one of the conditions of a sense test is true. A common use of the AND function is to extend the mileage of other functions that perform sense tests.

MIS experts help associations get the most from their investments in people, outfit and business processes. Civilians is a people- centric field with an emphasis on services through technology.

features include:

It should be grounded on long- term planning.Should give an overview of the dynamics and structure of the association.It should serve as a complete and comprehensive system, covering all interdependent subsystems of the association.

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The following list contains several items that appear on an income statement. 1. Other revenue and expenses 2. Income before taxes 3. Income taxes 4. Operating expenses 5. Net income 6. Operating revenues 7. Income from operations Select the choice that lists the items in the order they would appear on a multiple-step income statement. Oa. 7,6.1, 4, 2, 3,5 Ob. 6, 7,4, 1, 2, 3,5 Oc. 6, 1, 7, 4, 2, 3, 5 Od. 6, 4, 7, 1, 2, 3, 5

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The correct order of items on a multiple-step income statement is: 1. Operating revenues 2. Income from operations 3. Operating expenses 4. Other revenue and expenses 5. Income before taxes 6. Income taxes 7. Net income So, the correct choice is option C (6, 1, 7, 4, 2, 3, 5).

An income statement is a financial statement that shows a company's revenues and expenses over a specified period of time, typically a quarter or a year. It is also known as a profit and loss statement or P&L statement.

The income statement is divided into two main sections: revenues and expenses. The revenues section shows all the money the company has earned from its primary business operations during the period. The expenses section shows all the costs incurred by the company during the same period, including the cost of goods sold, operating expenses, interest expenses, taxes, and any other expenses incurred in the course of doing business.

The bottom line of the income statement is the net income, which is calculated by subtracting total expenses from total revenues. A positive net income means that the company made a profit during the period, while a negative net income means that the company incurred a loss.

This is the correct order for a multiple-step income statement, which first lists operating revenues and deducts operating expenses to arrive at income from operations. Then, other revenue and expenses are added or subtracted to arrive at income before taxes, which is then reduced by income taxes to arrive at net income. The correct answer is option C: 6, 1, 7, 4, 2, 3, 5.

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what was the name of the publishing company achebe started and the name of friend he started it with, and what happened to that friend?

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Achebe dedicated his novel "Arrow of God" to Okigbo in honour of their friendship and their work together at Heinemann.

In the given question it is clear, Christopher Okigbo passed away in 1967 during the Nigerian Civil War, also known as the Biafran War, while fighting as a soldier.

The name of the publishing company that Chinua Achebe started was "Heinemann Educational Books (Nigeria) Ltd." and he started it with a friend named Christopher Okigbo.

Okigbo was a renowned poet and played a significant role in the establishment and success of the company. Unfortunately, Okigbo died in 1967 during the Nigerian Civil War.

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which of the following would increase a firm's financial leverage? group of answer choices a. an increase in depreciation b. an increase in interest expense c. an increase in the number of shares of common stock outstanding d. a and b e. all of the above

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Financial leverage refers to using debt to finance a company's operations. It is calculated by dividing the company's total debt by its equity. When a company takes on more debt, it increases its financial leverage.

Conversely, depreciation is a non-cash expense that reduces a company's taxable income but does not affect its actual cash flow. It does not directly impact a company's financial leverage. An increase in the number of shares of common stock outstanding, known as stock dilution, can actually decrease a company's financial leverage because it increases the amount of equity in the company.

Therefore, option B, an increase in interest expense, is the correct answer as it means the company is taking on more debt, which increases its financial leverage.

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Suppose that the break-even point (BEP) for a given product is 200 units. This means that if 198 units are produced, then this product is not profitable.
true and false

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The given statement " break-even point (BEP) for a given product is 200 units. This means that if 198 units are produced, then this product is not profitable " is True. The break-even point (BEP) is the point at which a company or business does not make a profit or loss.

In other words, the revenue earned from the sale of a product or service is equal to the total costs incurred to produce that product or service. In this case, if the BEP for a given product is 200 units, it means that the company needs to sell at least 200 units to cover all the costs incurred in producing those units.

If the company produces and sells only 198 units, then the revenue earned from the sale of those units will not be enough to cover all the costs incurred, and therefore, the company will not make a profit. In fact, the company will incur a loss as the cost of producing those 198 units will be greater than the revenue earned from the sale of those units. Therefore, it is true that if 198 units are produced, then this product is not profitable.

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______ plans permit employees to defer compensation on a pretax basis O Profit-sharing O Specified retirement benefit O Section 401(k) O Supplemental benefit

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Section 401(k) plans permit employees to defer compensation on a pretax basis.

These plans are a type of retirement savings plan offered by employers, where employees can contribute a portion of their salary to the plan on a pretax basis, meaning that the contributions are deducted from their salary before taxes are calculated. This allows employees to lower their current taxable income, potentially reducing their current tax liability. The deferred compensation in the 401(k) plan grows on a tax-deferred basis until it is withdrawn during retirement, at which point it is subject to ordinary income taxes. Section 401(k) plans are a popular type of retirement savings plan in the United States and are subject to certain contribution limits and rules set by the Internal Revenue Service (IRS).

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two south american countries formed a free trade agreement. as a result, one of the countries that used to produce its own refrigeration units at a higher cost now imports them from the other country at a lower cost. this is an example of multiple choice trade creation. dumping. a political union. retaliatory trade action. trade diversion.

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This is an example of "Trade Creation" which is a situation where the formation of a free trade agreement between two countries leads to an increase in overall trade, and production shifts from a higher-cost producer to a lower-cost producer. Here option A is correct

In this case, the country that used to produce its own refrigeration units at a higher cost now finds it more cost-effective to import them from the other country at a lower cost. Trade creation occurs when countries can take advantage of each other's comparative advantage in producing goods and services.

Comparative advantage occurs when a country can produce a good or service at a lower opportunity cost than another country. By engaging in free trade, countries can benefit from producing and exporting goods and services that they have a comparative advantage in while importing goods and services that another country can produce more efficiently.

In this case, the country that is importing refrigeration units can benefit from the lower costs and allocate resources towards producing other goods and services in which they have a comparative advantage. This can result in increased efficiency, higher output, and ultimately, higher economic growth for both countries.

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Complete question:

Two South American countries formed a free trade agreement. As a result, one of the countries that used to produce its own refrigeration units at a higher cost now imports them from the other country at a lower cost. this is an example of multiple choice

A - trade creation.

B - dumping.

C - a political union.

D - retaliatory trade action.

E - trade diversion.

What happens when the value of all u.s. imports is greater than the value of all u.s. exports?

Answers

When the value of all U.S. imports is greater than the value of all U.S. exports, it results in a trade deficit or a negative trade balance.

This means that the United States is importing more goods and services from foreign countries than it is exporting to them, resulting in a net outflow of money from the U.S. economy to foreign economies.

There are several potential implications of a trade deficit for the U.S. economy:

Current account deficit: A trade deficit contributes to a current account deficit, which is a measure of a country's net transactions with the rest of the world.

Foreign debt: To finance a trade deficit, the U.S. may need to borrow money from foreign countries, resulting in an increase in foreign debt.

Impact on domestic industries: A trade deficit may indicate that domestic industries are facing competition from foreign imports, which can lead to job losses and reduced competitiveness for U.S. industries.

Exchange rate effects: A persistent trade deficit can put pressure on the value of the U.S. dollar in foreign exchange markets. If the demand for U.S. dollars decreases due to the trade deficit, it can lead to a depreciation of the U.S. dollar relative to other currencies.

Economic and policy considerations: A trade deficit may prompt policymakers to consider various measures to address the imbalance, such as imposing tariffs or other trade barriers, negotiating trade agreements, or implementing domestic policies to promote export-oriented industries.

It's worth noting that trade deficits are complex economic phenomena with various causes and effects, and economists hold differing views on their implications. Some argue that trade deficits are not necessarily harmful and can be offset by other economic factors, while others raise concerns about their impact on long-term economic health.

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sam and elias agree in writing that sam will give elias needlepoint lessons once a week for five weeks in exchange for $1,000 per lesson. the contract stipulates that if either party is going to cancel a lesson, they must provide 48 hours' notice. on the morning of the second lesson, elias calls sam and says he cannot make it because earthquake damage has closed all roads leading out of his town. will elias owe sam for the missed lesson?

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No, Elias will not owe Sam for the missed lesson due to the unforeseen circumstances of the earthquake damage, as stipulated in the contract's cancellation policy.

Both parties must give 48 hours' notice if they cancel a lesson under the terms of the agreement. Elias was unable to attend the session in this instance owing to unanticipated events, including the earthquake damage that shut down all highways heading out of his village.

Elias won't have to pay Sam for the lesson he missed because the cancellation was beyond of his control and brought on by an unforeseen circumstance. Sam and Elias can thus choose to reschedule the class or just carry on with the remaining lessons in accordance with the original contract.

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Given a 7 percent interest rate, compute the present value of payments made in years 1, 2, 3, and 4 of $1,650, $1,850, $1,850, and $2,150, respectively. (Do not round intermediate calculations and round your final answer to 2 decimal places.)

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The present value of the payments made for BONDS in years 1, 2, 3, and 4 is $6,307.11. To compute the present value of the given payments with a 7% interest rate, you need to discount each payment to the present using the formula:

PV = FV / (1 + r)^n, where PV is the present value, FV is the future value (payment), r is the interest rate, and n is the number of years.

1st year: PV1 = $1,650 / (1 + 0.07)^1 = $1,650 / 1.07 = $1,542.06
2nd year: PV2 = $1,850 / (1 + 0.07)^2 = $1,850 / 1.1449 = $1,615.82
3rd year: PV3 = $1,850 / (1 + 0.07)^3 = $1,850 / 1.2250 = $1,509.80
4th year: PV4 = $2,150 / (1 + 0.07)^4 = $2,150 / 1.3108 = $1,639.43

Now, add all the present values together:
Total PV = PV1 + PV2 + PV3 + PV4 = $1,542.06 + $1,615.82 + $1,509.80 + $1,639.43 = $6,307.11

The present value of the payments made in years 1, 2, 3, and 4 is $6,307.11.

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An investor has invested $250,000 in a new rental property. Her estimated annual costs are $6000 and annual revenues are $20,000. What rate of return per year will the investor make over a 30-year period ignoring the salvage value? If the property can be sold for $200,000 what is the rate of return?

Answers

To calculate the rate of return for the investor over a 30-year period, ignoring the salvage value, we can use the following formula:

Rate of Return = [(Annual Revenues - Annual Costs) / Initial Investment] x 100%

Plugging in the given values:

Annual Revenues = $20,000

Annual Costs = $6,000

Initial Investment = $250,000

Rate of Return = [($20,000 - $6,000) / $250,000] x 100%

Rate of Return = $14,000 / $250,000 x 100%

Rate of Return = 0.056 x 100%

Rate of Return = 5.6%

So, the investor would make a rate of return of 5.6% per year over a 30-year period, ignoring the salvage value.

If the property can be sold for $200,000, we can calculate the rate of return including the salvage value as follows:

Rate of Return = [(Annual Revenues - Annual Costs + Salvage Value) / Initial Investment] x 100%

Plugging in the given values:

Salvage Value = $200,000

Rate of Return = [($20,000 - $6,000 + $200,000) / $250,000] x 100%

Rate of Return = $214,000 / $250,000 x 100%

Rate of Return = 0.856 x 100%

Rate of Return = 85.6%

So, the rate of return including the salvage value would be 85.6% per year.

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billy bob's barber shop knows that a 5 percent increase in the price of their haircuts results in a 20 percent decrease in the number of haircuts purchased. what is the elasticity of demand facing billy bob's barber shop? group of answer choices 0.15

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If Billy Bob's barber shows a 5 percent increase in price of haircuts, then the elasticity of demand facing Billy bob's barber shop is 4.

The 'Price-Elasticity" of demand is defined as percent Change in quantity demanded divided by the percent Change in price.

The price-elasticity of demand is written as :

⇒ Price-Elasticity of demand = (percent Change in demand)/(percent Change in price),

The increase in the price of hair cut is = 5%,

The decrease in the number of haircuts is = 20%,

So, Price-Elasticity Of Demand = 20/5 = 4.

Therefore, the required price-elasticity of demand is 4.

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A taxable bond has a coupon rate of 5.26 percent and a YTM of 5.51 percent. If an investor has a marginal tax rate of 39 percent, what is the equivalent aftertax yield? a)6.12% b)8.62% c)3.36% d)9.03% e)3.21%

Answers

The correct answer is (c) 3.36%.

To find the equivalent after-tax yield on a taxable bond with a coupon rate of 5.26 percent and a YTM of 5.51 percent, you should consider the investor's marginal tax rate of 39 percent.

Here are the steps to calculate the equivalent after-tax yield:
1. Determine the taxable yield: In this case, the taxable yield is the YTM, which is 5.51 percent.
2. Calculate the tax on the taxable yield: Multiply the taxable yield (5.51%) by the marginal tax rate (39%). This results in a tax of 2.15 percent (5.51% x 0.39).
3. Calculate the equivalent after-tax yield: Subtract the tax (2.15%) from the taxable yield (5.51%). This results in an equivalent after-tax yield of 3.36 percent (5.51% - 2.15%).

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1. what is the relevant cost per unit to make the product internally? 2. what is the estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier?

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1. The relevant cost to make the product internally is $66.

2. The estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier is $12,000

To determine the relevant cost of producing the product internally, we need to consider the direct materials, direct labor, variable overhead, and allocated fixed overhead costs. The total relevant cost per unit can be calculated as follows:

Direct Materials + Direct Labor + Variable Overhead + Allocated Fixed Overhead = Relevant Cost per Unit

$28 + $18 + $16 + $4 = $66

Therefore, the relevant cost to make the product internally is $66 per unit.

Now, to determine the estimated increase or decrease in short-term operating profit, we need to compare the relevant cost to produce the product internally ($66 per unit) with the cost to purchase the product from the subcontractor ($120,000 for 2,000 units).

If Terry Inc. decides to purchase the product from the subcontractor, the cost would be $120,000, and the company would not incur any manufacturing costs. This means that the short-term operating profit would be:

Revenue - Cost of Goods Sold = Short-term Operating Profit

$0 - $120,000 = -$120,000

If Terry Inc. decides to produce the product in-house, the cost would be $66 per unit or $132,000 for 2,000 units. This means that the short-term operating profit would be:

Revenue - Cost of Goods Sold = Short-term Operating Profit

$0 - $132,000 = -$132,000

Therefore, based on the relevant costs, the estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier would result in a decrease in profit of $12,000 ($132,000 - $120,000).

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Complete Question:

Terry Inc. manufactures machine parts for aircraft engines. CEO Bucky Walters is considering an offer from a subcontractor to provide 2,000 units of product OP89 for $120,000. If Terry does not purchase these parts from the subcontractor, it must continue to produce them in-house with these costs:

Cost per unit                       ($)

Direct Materials                  28

Direct Labor                       18

Variable Overhead             16

Allocated Fixed Overhead   4

Required

1. What is the relevant cost to make the product internally?

2. What is the estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier?

your investment over one year yielded a capital gains yield of 5% and no dividend yield. if the sale price was $114 per share, what was the cost of the investment?

Answers

The cost of the investment was $108.57 per share.

To find the cost of the investment, follow these steps:

1. Convert the capital gains yield to a decimal: 5% = 0.05
2. Divide the sale price by 1 plus the capital gains yield: $114 / (1 + 0.05) = $114 / 1.05
3. Calculate the result: $114 / 1.05 = $108.57 per share

Since there was no dividend yield, the only return on the investment was the capital gains yield of 5%. By dividing the sale price of $114 by 1.05, you find the original cost of the investment, which was $108.57 per share.

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The Dahlia Company has net income of $151,850. There are currently 26.25 days’ sales in receivables. Total assets are $840,000, total receivables are $146,500, and the debt–equity ratio is .65.
What is the company’s profit margin? What is the company’s total asset turnover? What is the company’s ROE?

Answers

Answer:

Explanation:To calculate the company's profit margin, we divide net income by total revenue.

Since we are not given the sales revenue, we can estimate it by using the days sales in receivables. The days sales in receivables is the average number of days it takes for a company to collect payment from its customers.

Assuming the company's sales are made entirely on credit, we can calculate the accounts receivable turnover as follows:

Accounts receivable turnover = Annual credit sales / Average accounts receivable

26.25 days' sales in receivables = 26.25 / 365 = 0.072

Average accounts receivable = 0.072 * $146,500 = $10,548

Annual credit sales = $10,548 * 12 = $126,576

Therefore, we can estimate the company's total revenue as $126,576.

Profit margin = Net income / Total revenue = $151,850 / $126,576 ≈ 1.198 or 119.8%

To calculate the company's total asset turnover, we divide total revenue by total assets.

Total asset turnover = Total revenue / Total assets = $126,576 / $840,000 ≈ 0.15 or 15%

To calculate the company's return on equity (ROE), we need to first calculate the company's equity using the debt-equity ratio.

Debt-equity ratio = Total debt / Total equity

Total equity = Total assets - Total debt

Total debt = Debt-equity ratio * Total equity = 0.65 * ( $840,000 - Total equity )

Solving the equation for Total equity gives:

Total equity = $403,652.17

ROE = Net income / Total equity = $151,850 / $403,652.17 ≈ 0.376 or 37.6%

According to the given data of the Dahlia Company, its profit margin is 7.46%, total asset turnover is 2.42, and ROE is 29.83%.

To calculate the Dahlia Company's profit margin, total asset turnover, and ROE, we will first need to find the relevant values.

1. Profit Margin: Profit margin is calculated as Net Income / Sales. To find sales, we will use the Days' Sales in Receivables formula:

Days' Sales in Receivables = (Receivables / Sales) * 365
26.25 = (146,500 / Sales) * 365
Sales = 146,500 / (26.25/365) = 2,034,286.53

Now, we can calculate the profit margin:
Profit Margin = Net Income / Sales
Profit Margin = 151,850 / 2,034,286.53 = 0.0746 or 7.46%

2. Total Asset Turnover: Total asset turnover is calculated as Sales / Total Assets.
Total Asset Turnover = 2,034,286.53 / 840,000 = 2.42

3. ROE (Return on Equity): ROE is calculated as Net Income / Equity. To find equity, we will use the Debt-Equity Ratio formula:

Debt-Equity Ratio = Total Debt / Total Equity
0.65 = Total Debt / Total Equity
Total Equity = Total Debt / 0.65

Since Total Assets = Total Debt + Total Equity,
Total Debt = Total Assets - Total Equity
Total Debt = 840,000 - Total Equity

Substitute the value of Total Debt in the Debt-Equity Ratio formula:
0.65 = (840,000 - Total Equity) / Total Equity
Total Equity = 840,000 / (1 + 0.65) = 509,090.91

Now, we can calculate the ROE:
ROE = Net Income / Total Equity
ROE = 151,850 / 509,090.91 = 0.2983 or 29.83%

So, the Dahlia Company's profit margin is 7.46%, the total asset turnover is 2.42, and the company's ROE is 29.83%.

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a _____ is a business document that announces a project, describes it and solicits bids from qualified contractors to complete it.

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A ( RFP) is a business document. That announces a design, describes its reach, and solicits flings from good contractors to complete it.

It's a pivotal document that outlines the conditions of the design, including the deliverables, timeline, and budget. The RFP includes detailed information about the design's pretensions, objects, reach of work, selection criteria, evaluation process, terms and conditions, and other applicable information. The RFP process helps businesses identify the most good and competitive contractors and ensures that the design is completed.

According to the defined conditions and within the allocated budget and timeline.

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three years ago you purchased a kraft heinz corporate bond that pays 4.800 percent annual interest. the face value of the bond is $10,000. what is the total dollar amount of interest that you received from your bond investment over the three-year period? (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

The total dollar amount of interest received from the bond investment over the three-year period is $1,440.

To calculate the total dollar amount of interest received from the bond investment, we need to use the following formula:

Total interest = Face value x Annual interest rate x Time

Where time is the number of years the bond has been held.

In this case, the face value of the bond is $10,000, the annual interest rate is 4.800%, and the time held is 3 years.

Plugging in these values into the formula, we get:

Total interest = $10,000 x 0.048 x 3

Total interest = $1,440

Therefore, the total dollar amount of interest received from the bond investment over the three-year period is $1,440.

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in the period 1965 through the 1970s, policymakers pursued ________ policies in order to achieve ________..
A) expansionary; high employment
B) expansionary; low inflation
C) contractionary; high employment
D) contractionary; low inflation

Answers

The correct option is a. During the period from 1965 through the 1970s, policymakers pursued expansionary policies in order to achieve high employment.

This was in response to the high levels of unemployment that had been experienced during the Great Depression and the post-World War II period. The expansionary policies included measures such as increasing government spending, reducing taxes, and keeping interest rates low.

These policies were designed to stimulate economic growth and create jobs, and they were largely successful in achieving their goals. However, they also led to inflationary pressures, which policymakers then had to address with contractionary policies in the late 1970s and early 1980s.

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If we look at real and nominal interest rates in the United States since 1976, we see that
A. the nominal interest rate has always been less than the real interest rate because of inflation.
B. at times the nominal interest rate has been greater than the real interest rate and at times has been less than it.
C. the difference between the nominal and real interest rates has widened during the 1990s because of inflation
D. the real interest rate has almost always been less than the nominal interest rate because of inflation.
E. both the nominal and real interest rates were negative in the highly inflationary 1970s.

Answers

The real interest rate has almost always been less than the nominal interest rate because of inflation since 1976 in the United States.(D)

Real interest rates and nominal interest rates are connected by the Fisher equation, which states that the nominal interest rate is equal to the real interest rate plus expected inflation. Since 1976, inflation has typically been positive in the United States.

As a result, the nominal interest rate has generally been higher than the real interest rate to account for inflation's erosion of purchasing power.

It's important to note that there may be brief periods when this relationship doesn't hold, but overall, the real interest rate has been consistently less than the nominal interest rate due to the presence of inflation.(D)

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the demand (x) for iphones in anaheim is normally distributed with mean 30,000 and standard deviation of 5,000. performing 20,000 simulations and determine the proportion of times that the demand is greater than 45,000 iphones?

Answers

In 20,000 simulations, the demand for iPhones in Anaheim is greater than 45,000 approximately 26 times.

To determine the proportion of times the demand for iPhones in Anaheim is greater than 45,000, you can use the following steps:

1. Identify the mean (µ) and standard deviation (σ) of the normal distribution. In this case, µ = 30,000 and σ = 5,000.

2. Convert the target value (45,000 iPhones) to a z-score using the formula: z = (x - µ) / σ. Here, x = 45,000, so z = (45,000 - 30,000) / 5,000 = 3.
3. Now that you have the z-score, use a standard normal distribution table or a calculator to find the probability that the demand will be greater than 45,000 iPhones. In this case, you want to find the probability P(Z > 3).

You can do this by finding P(Z < 3) and subtracting it from 1 (since the total probability under the curve is 1): P(Z > 3) = 1 - P(Z < 3).
4. From the standard normal distribution table, you'll find that P(Z < 3) ≈ 0.9987. So, P(Z > 3) = 1 - 0.9987 = 0.0013.
5. Multiply the probability by the total number of simulations (20,000) to find the proportion of times the demand is greater than 45,000 iPhones: 0.0013 * 20,000 = 26 times.

So, in 20,000 simulations, the demand for iPhones in Anaheim is greater than 45,000 approximately 26 times.

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To provide better access and possibly reduce the number of workers​ needed, work cells may be designed in the shape of what letter of the​ alphabet?

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Work cells may be designed in the shape of the letter U to provide better access and possibly reduce the number of workers needed.

Work cells are designed to improve the efficiency of manufacturing processes by grouping together the necessary equipment and workers to produce a specific product or service. One way to optimize the use of space and personnel in work cells is to arrange the equipment and workstations in a U-shape.

This design allows workers to have better access to the equipment and materials they need to complete their tasks, as well as better communication with each other. Additionally, the U-shape can help reduce the number of workers needed by eliminating unnecessary movement and transportation of materials, ultimately improving productivity and reducing costs.

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the cost of inventory includes more than just the acquisition cost. it also includes the cost of :

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The cost of inventory includes more than just the acquisition cost, as it encompasses various other expenses associated with maintaining and managing the inventory. These costs can be categorized into three main components: purchase cost, ordering cost, and carrying cost.



1. Purchase cost: This is the acquisition cost of the inventory items, which is the price paid to suppliers for the goods or raw materials.

2. Ordering cost: This includes expenses related to placing orders, such as administrative and shipping costs. These costs may involve processing purchase orders, communicating with suppliers, and arranging transportation for the inventory items.

3. Carrying cost: This refers to the costs associated with storing and maintaining the inventory. It includes expenses such as warehouse rent, utilities, insurance, labor costs, and inventory shrinkage due to obsolescence, damage, or theft.

By considering all these factors, businesses can better understand their inventory costs and make informed decisions about their inventory management strategies.

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iven the following information: The order production quantity = 18973 units Daily demand = 300 units Daily production = 400 units How many days of demand satisfied through inventory? about 21 days Need more information about 12 days about 16 days

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Based on the given information, the inventory can satisfy about 21 days of demand.

This is calculated by dividing the order production quantity (18973 units) by the daily demand (300 units), which results in approximately 63 days of inventory. However, since the daily production is 400 units, only 300 units are needed to satisfy the daily demand, leaving 100 units to add to the inventory each day.

Therefore, the 63 days of inventory will only satisfy 21 days of demand before the inventory runs out.
To determine how many days of demand will be satisfied through inventory if more information is provided, we would need to know the amount of inventory currently on hand.

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managerial accounting provides financial and nonfinancial information to an organization's managers. true or false

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The statement, "managerial accounting provides financial and nonfinancial information to an organization's managers," is true.

Managerial accounting is an essential tool for an organization's management team, as it focuses on providing financial and nonfinancial information specifically designed to help them make informed decisions.

Financial information includes data about the company's revenues, expenses, assets, liabilities, and other financial aspects, while nonfinancial information refers to operational data such as production levels, employee performance, and customer satisfaction metrics.



In contrast to financial accounting, which primarily serves external stakeholders such as investors and regulatory agencies, managerial accounting is intended for internal use.

Managers utilize this information to plan, control, and evaluate the organization's performance, as well as to make strategic decisions on resource allocation, pricing, and cost control.



One of the main benefits of managerial accounting is its ability to provide real-time, detailed data that reflects the organization's current financial position and operational performance.

This enables managers to identify trends, potential issues, and opportunities for improvement, ultimately leading to better decision-making and increased organizational efficiency.



Furthermore, managerial accounting focuses on the future by helping managers develop budgets, forecasts, and performance targets. This forward-looking aspect of managerial accounting is crucial in enabling organizations to adapt and respond to changes in the business environment effectively.



In summary, managerial accounting is a vital function within an organization, as it provides both financial and nonfinancial information to managers. This information aids in decision-making, planning, and controlling processes, ultimately contributing to the organization's overall success.

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Sparks Corporation has a cash balance of $12,900 on April 1. The company must maintain a minimum cash balance of $10,500. During April, expected cash receipts are $57,000. Cash disbursements during the month are expected to total $65,500. Ignoring interest payments, during April the company will need to borrow:
$4,400
$6,100
$8,500
$10,500
Sparks Corporation has a cash balance of $12,900 on April 1. The company must maintain a minimum cash balance of $10,500. During April, expected cash receipts are $57,000. Cash disbursements during the month are expected to total $65,500. Ignoring interest payments, during April the company will need to borrow: $4,400 $6,100 $8,500 $10,500

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Based on the given information, the company is expecting cash inflows of $57,000 and outflows of $65,500 for the month of April is $6,100.

Since the minimum cash balance required by the company is $10,500, we need to calculate the shortfall in cash balance.

Expected ending cash balance = Beginning cash balance + Expected cash receipts - Expected cash disbursements
Expected ending cash balance = $12,900 + $57,000 - $65,500
Expected ending cash balance = $4,400

As the expected ending cash balance is less than the required minimum balance of $10,500, the company will need to borrow $6,100 ($10,500 - $4,400) during April to maintain the minimum required cash balance.

Therefore, the correct answer is $6,100.

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Jorge, the office manager of Metalblock Inc., believes that providing positive consequences for a job well done will increase the likelihood of good work performance in the future. Jorge personally sends e-mails to his employees to commend their efforts when they perform well. Karla, the CEO of Descriptive Designs Inc., takes her employees off probation early when they perform to her expectations. Barney, the sales manager of Queenstar Corp., often shouts at his employees when they perform poorly. He also fails to appreciate employees when they perform well, which often results in poor performances.
It can be inferred that Jorge believes in the law of

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The Law of Reinforcement, which states that behavior that is positively reinforced is more likely to be repeated in the future.

What is Reinforcement?

Reinforcement is a form of learning in which an individual's behavior is modified by either rewarding or punishing the behavior in response to its occurrence. The goal is to increase the likelihood that the behavior will be repeated in the future. Reinforcement can involve the use of positive reinforcement, such as providing a reward for a desired behavior, or negative reinforcement, such as providing a punishment for an undesired behavior.

By sending e-mails to employees to commend them for good work, Jorge is reinforcing the behavior he wants to see repeated and encouraging employees to continue to perform at a high level. Karla is also reinforcing good behavior by taking employees off probation when they meet expectations. On the other hand, Barney's approach of criticizing employees for poor performance and failing to recognize good work undermines the law of reinforcement.

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To build her employees' resilience, Civia is instituting ______, such as redesigning jobs and offering career counseling. Multiple Choice a. holistic wellness b. role sets c. glass ceilings d. buffers

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a. To build her employees' resilience, Civia is instituting holistic wellness, such as redesigning jobs and offering career counseling.

Civia is taking a holistic approach to building her employees' resilience by implementing various initiatives, such as job redesign and career counseling. Job redesign involves restructuring job roles and responsibilities to improve employee satisfaction and productivity. By creating a more supportive and engaging work environment, employees can feel more motivated and better equipped to manage stress and adversity. Additionally, career counseling can help employees identify their strengths, interests, and career goals, which can promote a sense of purpose and fulfillment. By offering these types of initiatives, Civia is promoting employee well-being and resilience, which can ultimately lead to better performance, job satisfaction, and retention.

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How long will it take money to if it is invested at a compounded compounded continuously?

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The time for money to grow with continuous compounding depends on the interest rate, principal amount, and compounding frequency. Provide more details for an accurate estimate.

The length of time it takes for money to increase by continuous compounding relies on a number of variables, including the interest rate, principal amount, and frequency of compounding. Continuous compounding refers to the process of continuously adding interest to an investment, which leads to exponential development.

A is the ultimate amount, P is the principal amount, r is the interest rate, t is the time in years, and e is Euler's number. This formula for continuous compounding is A = P * e(rt). (approximately 2.71828). You need to know the values of P, r, and A in order to solve for t using this formula and find the amount of time it takes for money to grow.

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