What is Enterprise Architecture and why is there a need for
organisations to have one? How does ERP relate to Enterprise
Architecture? (500 words)
Subject: Enterprise and Architecture Design

Answers

Answer 1

Enterprise Architecture (EA) is a strategic approach to designing and managing the structure, processes, and technology of an organization.

It provides a holistic view of the enterprise, aligning its business goals, processes, information systems, and technology infrastructure to drive efficiency, agility, and innovation Organizations need Enterprise Architecture to ensure effective planning, execution, and optimization of their business operations. It helps in several ways: EA aligns an organization's business strategy with its IT capabilities. It ensures that IT investments and initiatives are in line with the organization's goals, enabling better decision-making and resource allocation. EA promotes the use of standardized processes, data models, and technology platforms across the organization. This leads to improved interoperability, efficiency, and cost savings. EA facilitates the integration of different systems and applications within an organization. It enables seamless information flow and collaboration between various departments, leading to improved communication and productivity.

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Related Questions

ABC company acquired a decision support system. There requires a role of a computer specialist. State and briefly describe this role.
ABC company wishes to facilitate decision making related to location. In the viewpoint as ABC’s information technology consultant, what key concept of decision support does it need? Briefly explain it.

Answers

The role of a computer specialist within ABC company's acquisition of a decision support system would involve expertise in managing and maintaining the system's technical aspects. Some of the responsibilities of this role may include:

Installation and Configuration: The computer specialist would be responsible for installing the decision support system software and configuring it to meet the specific requirements of ABC company. System Maintenance and Upgrades: The specialist would ensure the smooth operation of the decision support system by performing regular maintenance tasks, including software updates, patches, and troubleshooting any technical issues that may arise. Data Management: The computer specialist would oversee the management of data within the decision support system, ensuring data accuracy, integrity, and security. User Support and Training: The specialist would provide technical support to users of the decision support system, assisting with any software-related questions or issues.

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the freedom of entry and exit in monopolistic competition means that firms group of answer choices find it easy to permanently make an economic profit. exit the market when economic profits are being made. can enter a market to compete for economic profits and leave when economic losses are being incurred. enter the market when economic losses are being incurred. enter the market when firms are making zero economic profit.

Answers

The freedom of entry and exit in monopolistic competition means that firms can enter a market to compete for economic profits and leave when economic losses are being incurred. Thus, option (c) is correct.

This is due to the absence of exit or entry obstacles in monopolistically competitive markets. Businesses are free to enter or exit a sector, and decisions made by one firm do not affect those made by its rivals.

However, there may be some entry-level obstacles for new businesses, such as products that are covered by legal patents or that established businesses are very loyal to. If businesses can differentiate their products and build a devoted customer base in a monopolistically competitive market, they can earn economic gains in the near term.

Therefore, option (c) is correct.

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Suppose that MUY = 15, MUX = 10, PY = $2, and PX = $1. Which of the following statements is TRUE?
a.The consumer is maximizing utility.
b.The consumer is receiving more marginal utility per dollar from good Y than from good X.
c.The consumer could increase utility by giving up 2 units of good X for 1 unit of good Y.
d.The consumer could increase utility by giving up 1 unit of good Y for 2 units of good X.

Answers

The correct answer is b. The consumer is receiving more marginal utility per dollar from good Y than from good X.

To determine this, we compare the marginal utility per dollar (MUD) for each good, which is calculated by dividing the marginal utility (MU) by the price (P) of the good.

For good Y, MUDY = MUY / PY = 15 / $2 = 7.5.

For good X, MUDX = MUX / PX = 10 / $1 = 10.

Since MUDX (10) is greater than MUDY (7.5), it means that the consumer is receiving more marginal utility per dollar from good X than from good Y. Therefore, option b is true.

The other statements are false:

a. We cannot determine if the consumer is maximizing utility based on the given information. Maximizing utility depends on comparing the marginal utilities of all goods consumed, not just two goods.

c. We cannot determine if the consumer could increase utility by giving up 2 units of good X for 1 unit of good Y without further information about the consumer's preferences and indifference curves.

d. We cannot determine if the consumer could increase utility by giving up 1 unit of good Y for 2 units of good X without additional information about the consumer's preferences and indifference curves.

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Scheduling optimization systems used in retail stores typically track customer traffic in 4-hour time increments. a)true. b)false

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Retail businesses frequently utilize scheduling optimization systems that track consumer flow every four hours. The statement is false.

The practice of making sure every activity or action in a schedule is in line with your ultimate aim is known as schedule optimization. Both people and companies can utilize schedule optimization to maintain their top priority (or priorities) in the forefront when scheduling the completion of tasks.

Schedule optimization is frequently used by delivery businesses to ensure that a delivery route is planned with the least amount of distance (and consequently lowest fuel cost). To ensure that a child's after-school schedule gives priority to finishing homework and/or going to bed on time, parents frequently utilize schedule optimization.

While we frequently manage our schedules in our personal lives without even recognizing it, it takes a little more work to do it in the workplace.

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which of the following statements is correct? multiple choice a gain on the sale of a stock investment increases income from operations. income before taxes occurs before other items on the income statement. income from operations is decreased by a loss from the sale of plant assets. dividend revenue is a component of income from operations.

Answers

The correct statement is: Dividend revenue is a component of income from operations.

The operating income

Income from operations, also known as operating income or operating profit, represents the income generated from the core operational activities of a business. It includes revenue from sales of goods or services, as well as any associated operating expenses.

Dividend revenue, which refers to the income earned from dividends received from investments in other companies, is considered part of the operating activities of a business. It is typically included in the calculation of income from operations.

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helen has a production function 2x1 + x2. If the factor prices are $8 for factor 1 and $5 for factor 2, how much will it cost her to produce 70 units of output?

Answers

Since we have two different values for λ, it means there is no solution that simultaneously satisfies both equations. Therefore, there is no minimum-cost solution to produce 70 units of output with the given factor prices and production function.

To calculate the cost of producing 70 units of output using Helen's production function, we need to determine the optimal combination of factor inputs that minimizes the cost while producing the desired output level.

Given:

Production function: 2x1 + x2

Factor prices: $8 for factor 1 (x1) and $5 for factor 2 (x2)

Desired output: 70 units

Let's assume that Helen wants to minimize her cost while producing 70 units of output. We can set up a cost minimization problem using the production function and the given factor prices:

Minimize: Cost = 8x1 + 5x2 (Total cost function)

Subject to: 2x1 + x2 = 70 (Output constraint)

To solve this problem, we can use the method of Lagrange multipliers. The Lagrangian function is defined as:

L(x1, x2, λ) = Cost - λ(2x1 + x2 - 70)

Taking partial derivatives with respect to x1, x2, and λ, and setting them equal to zero, we can find the optimal values that minimize the cost:

∂L/∂x1 = 8 - 2λ = 0

∂L/∂x2 = 5 - λ = 0

∂L/∂λ = 2x1 + x2 - 70 = 0

Solving these equations simultaneously will give us the values of x1, x2, and λ.

From the first equation: 8 - 2λ = 0

Solving for λ: λ = 4

From the second equation: 5 - λ = 0

Solving for λ: λ = 5

Since we have two different values for λ, it means there is no solution that simultaneously satisfies both equations. Therefore, there is no minimum-cost solution to produce 70 units of output with the given factor prices and production function.

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narcissists blame themselves for the failure of their companies and tend to apologize even when others are at fault true false

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The given statement is false because narcissists tend to avoid taking responsibility for their failures and are more likely to blame others, rather than blaming themselves, for the failure of their companies.

Narcissists tend to have a grandiose sense of self-importance and an inflated ego. They often have difficulty accepting responsibility for their failures and are more likely to blame others or external factors for any negative outcomes. Instead of blaming themselves, they may shift the blame onto others and avoid taking personal accountability. Apologizing when others are at fault is not a typical behavior of narcissists, as they are more focused on protecting their self-image and preserving their sense of superiority.

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Doctor J. is considering purchasing a new blood analysis machine to test for HIV, it will cost $60,000. He estimates that he could charge $25.00 for an office visit to have a patient's blood analyzed, while the actual cost of a blood analysis would be $5.00. Dr. J got an offer from Central Lab to run an HIV test for him for $15 per test. If he expects to perform 5,000 HIV tests this year, which option should he choose Option 1: outsource all the tests to Central Lab Option 2: buy the machine for $60,000 and incur the internal cost is $5.0 per test Regardless, Dr. J would still charge $25 per test None of the other choices are correct Option 2 Option 1 and 2 are equally good Neither Option I nor Option 2 Option 1

Answers

Dr. J should choose Option 2 as it would be more financially beneficial to purchase the machine and incur the internal cost of $5.00 per test.

To determine which option is more favorable for Dr. J, we need to compare the costs and revenues associated with each option. Let's analyze the two options: Option 1: Outsource all the tests to Central Lab

Cost per test: $15.00 (charged by Central Lab)

Number of tests: 5,000

Total cost: $15.00 * 5,000 = $75,000

Option 2: Buy the machine and perform the tests internally

Cost per test: $5.00 (internal cost)

Number of tests: 5,000

Total cost: $5.00 * 5,000 = $25,000 (considering only the internal cost)

Additionally, Dr. J would charge $25.00 per test, regardless of the option chosen. Therefore, the revenue for both options would be $25.00 * 5,000 = $125,000.

Now, let's calculate the total profit for each option:

Option 1: Revenue - Cost = $125,000 - $75,000 = $50,000

Option 2: Revenue - Cost = $125,000 - $25,000 = $100,000

Based on the calculations, Option 2 (buying the machine and performing the tests internally) would yield a higher profit of $100,000 compared to Option 1's profit of $50,000. Therefore, Dr. J should choose Option 2 as it would be more financially beneficial to purchase the machine and incur the internal cost of $5.00 per test.

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1(a). (TRUE or FALSE?) If projects A & B are mutually exclusive and their NPVs are less than zero, accept both projects.
1(b). (TRUE or FALSE?) Internal rate of return method shows how many years take to recoup the initial investment.
1(c). (TRUE or FALSE?) Any time you consider investing in a project, you will not actually receive the IRR unless you can reinvest the project’s intervening cash flows at the IRR.

Answers

The correct answer is-

1(a). FALSE.  If projects A & B are mutually exclusive and their NPVs are less than zero, accept both projects.

1(b). FALSE.  Internal rate of return method shows how many years take to recoup the initial investment.

1(c). TRUE. Any time you consider investing in a project, you will not actually receive the IRR unless you can reinvest the project’s intervening cash flows at the IRR.

1(a). FALSE. If projects A & B are mutually exclusive and their net present values (NPVs) are less than zero, it would not be advisable to accept both projects. When projects are mutually exclusive, it means that choosing one project automatically excludes the other. In such cases, it is generally recommended to accept the project with the higher positive NPV or reject both projects if their NPVs are negative. Accepting both projects with negative NPVs would likely result in a net loss for the company.

1(b). FALSE. The internal rate of return (IRR) method does not directly show how many years it takes to recoup the initial investment. The IRR is the discount rate at which the present value of the project's cash inflows equals the present value of its cash outflows, resulting in an NPV of zero. It represents the rate of return generated by the project over its entire duration. While it is related to the payback period (the time it takes to recover the initial investment), the IRR does not provide a direct measure of the payback period.

1(c). TRUE. Any time you consider investing in a project, the actual realization of the internal rate of return (IRR) depends on the ability to reinvest the project's intervening cash flows at the IRR. The IRR represents the rate of return that equates the present value of the project's cash inflows with the present value of its cash outflows. If the intervening cash flows can be reinvested at the IRR, then the project will achieve the calculated IRR. However, if the company cannot reinvest the cash flows at the IRR, the actual realized rate of return may differ from the IRR.

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suppose the firm's required rate of return is stated in nominal terms, but the project's expected cash flows are expressed in real dollars. in this situation, other things held constant, the calculated npv would

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When the firm's required rate of return is expressed in nominal terms and the project's expected cash flows are expressed in real dollars, the calculated net present value (NPV) would depend on the inflation rate. Other things being equal, the NPV would be lower than the NPV calculated using nominal cash flows.

The reason for this is because nominal cash flows include the effects of inflation. Thus, using nominal cash flows to determine the NPV would result in double-counting the inflation effect.Net Present Value (NPV) is the current value of all future cash inflows minus the current value of all future cash outflows. It is a capital budgeting technique used to evaluate investments.

NPV is a measure of the profitability of an investment, with a positive NPV indicating that the investment is profitable and a negative NPV indicating that the investment is not profitable.The real rate of return is the rate of return adjusted for inflation.

It is the rate of return on an investment after accounting for the effects of inflation. The real rate of return is calculated by subtracting the inflation rate from the nominal rate of return.

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mango company applies overhead based on direct labor costs. for the current year, mango company estimated total overhead costs to be $400,000, and direct labor costs to be $200,000. actual overhead costs for the year totaled $425,000, and actual direct labor costs totaled $225,000. at year-end, the balance in the factory overhead account is a:

Answers

Tthe actual overhead costs exceeded the estimated overhead costs by $25,000, the balance in the factory overhead account at year-end would be an overapplied overhead balance of $25,000.

How to solve for the actual overhead costs

The estimated overhead costs for the year were $400,000, while the actual overhead costs were $425,000. This means that the actual overhead costs exceeded the estimated overhead costs.

The formula to calculate the underapplied or overapplied overhead is:

Underapplied/Overapplied Overhead = Actual Overhead Costs - Estimated Overhead Costs

Substituting the given values:

Underapplied/Overapplied Overhead = $425,000 - $400,000

Underapplied/Overapplied Overhead = $25,000 (Overapplied)

Since the actual overhead costs exceeded the estimated overhead costs by $25,000, the balance in the factory overhead account at year-end would be an overapplied overhead balance of $25,000.

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Different compounding periods, are used for different types of investments. In order to properly compare investments or loans with different compounding periods, we need to put them on a common basis. In order to do this, you need to understand the difference between the nominal interest rate (I_NOM) and the effective annual rate (EAR). The interest rate is quoted by borrowers and lenders, and it is also called the annual percentage rate (APR). If the compounding periods for different securities is the same, then you use the APR for comparison. If the securities have different compounding periods, then the must be used for comparison. Here, M is the number of compounding periods per year and I_NOM/M is equal to the periodic rate (I_PER). If a loan or investment uses compounding, then the nominal interest rate is also its effective annual rate. However, if compounding occurs more than once a year, EAR is I_NOM. Bank 1 lends funds at a nominal rate of 6% with payments to be made semiannually. Bank 2 requires payments to be made quarterly. If Bank 2 would like to charge the same effective annual rate as Bank 1, what nominal interest rate will they charge their customers? Do not round intermediate calculations.

Answers

Consider the compounding periods and the relationship between the nominal interest rate and the effective annual rate. After calculation, bank 2 should charge a nominal interest rate of 6% to achieve the same effective annual rate as bank 1. The calculation is shown in the attached image below.

A bank is a financial institution that provides various financial services to individuals, businesses, and governments. Banks play a crucial role in the economy by facilitating financial transactions, offering loans, accepting deposits, and providing other financial products and services.Banks assist businesses in managing financial risks through services like hedging, derivatives, and foreign exchange services.

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Nestlé's reputation was damaged when the company was accused of which of the following? Group of answer choices a)forcing mothers to buy baby formula within days of delivering their babies b)providing cheap formula to mothers in developing countries, but more expensive to mothers c)in developed countries selling poor quality bottled water to developing countries d)promoting inadequate nutrition in developing countries

Answers

a) forcing mothers to buy baby formula within days of delivering their babies.

Nestlé's reputation was damaged when the company was accused of forcing mothers to buy baby formula within days of delivering their babies. This practice is associated with aggressive marketing techniques employed by Nestlé and other formula companies in the past, particularly in developing countries. The promotion of formula feeding over breastfeeding has been criticized for its potential negative impact on infant health and the well-being of mothers. The accusations against Nestlé brought attention to ethical concerns surrounding the marketing and distribution of infant formula in vulnerable communities.

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In material requirements planning, the process of placing the exploded requirements in the proper time periods, based on the assembly lead times involved, is known as:
exploding.
offsetting.
netting.
all of the above
none of the above

Answers

Answer:

B) offsetting

Explanation:

Example: if 50 units of A are required in week 5, the order to assemble the A's must be released in week 4, and 50 B's and 50 C's must available in week 4.

When it comes to financial ratios and assessing company performance, management usually look at which of the following?
1. How the company's financial ratios have changed over time
2. Comparing ratios with companies in the same line of business

Answers

When it comes to financial ratios and assessing company performance, management usually looks at both how the company's financial ratios have changed over time and comparing ratios with companies in the same line of business.

These approaches provide valuable insights into the company's financial health, performance, and position relative to industry peers. By analyzing trends in their own financial ratios over time, management can assess the company's progress and identify areas for improvement. Additionally, comparing ratios with industry benchmarks allows management to gauge the company's competitiveness and identify areas where they may be outperforming or lagging behind their peers.

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for the month of april, a checking account temphas a balance of $523 for 24 days, $2415 for 2 days, and $250 for 4 days. wat is the account''s mean daily balance for april

Answers

The record's mean everyday total for April is roughly $612.73.

To find the mean everyday equilibrium for April, we really want to work out the weighted mean utilizing the given information. The weighted mean is determined by increasing each worth by its comparing weight, summarizing the weighted qualities, and partitioning by the all out weight.

We should work out the weighted mean for the record's equilibrium in April:

Total of $523 for 24 days:

Weight = 523 * 24 = 12552

Surplus of $2415 for 2 days:

Weight = 2415 * 2 = 4830

Total of $250 for 4 days:

Weight = 250 * 4 = 1000

Absolute weight = 24 + 2 + 4 = 30

Presently, we should work out the weighted mean:

Weighted mean = (12552 + 4830 + 1000)/30 = 18382/30 ≈ 612.73

Accordingly, the record's mean everyday total for April is roughly $612.73.

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meester corporation has an activity-based costing system with three activity cost pools--machining, order filling, and other. in the first stage allocations, costs in the two overhead accounts, equipment depreciation and supervisory expense, are allocated to three activity cost pools based on resource consumption. data used in the first stage allocations follow: overhead costs: equipment depreciation $ 78,200 supervisory expense $ 6,500 distribution of resource consumption across activity cost pools: activity cost pools machining order filling other equipment depreciation 0.50 0.30 0.20 supervisory expense 0.50 0.20 0.30 machining costs are assigned to products using machine-hours (mhs) and order filling costs are assigned to products using the number of orders. the costs in the other activity cost pool are not assigned to products. activity data for the company's two products follow: activity: mhs (machining) orders (order filling) product m0 1,090 1,220 product h2 9,410 1,640 total 10,500 2,860 how much overhead cost is allocated to the order filling activity cost pool under activity-based costing?

Answers

Product M: $50,525; Product H: $47,075. To allocate costs using the activity-based costing system, we need to follow a two-stage allocation process.

In the first stage, overhead costs are allocated to the three activity cost pools based on resource consumption. Given the distribution of resource consumption across activity cost pools, we can calculate the allocated costs for each pool as follows: Machining: Equipment depreciation: $78,200 * 0.50 = $39,100 Supervisory expense: $6,500 * 0.50 = $3,250 Total allocated cost for Machining = $39,100 + $3,250 = $42,350 Order Filling: Equipment depreciation: $78,200 * 0.30 = $23,460 Supervisory expense: $6,500 * 0.20 = $1,300 Total allocated cost for Order Filling = $23,460 + $1,300 = $24,760 Other: Equipment depreciation: $78,200 * 0.20 = $15,640 Supervisory expense: $6,500 * 0.30 = $1,950 Total allocated cost for Other = $15,640 + $1,950 = $17,590 In the second stage, the costs in the Machining and Order Filling activity cost pools are assigned to products based on their respective activity drivers.

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assume again that andretti company has sufficient capacity to produce 109,350 daks each year. a customer in a foreign market wants to purchase 28,350 daks. if andretti accepts this order it would have to pay import duties on the daks of $1.70 per unit and an additional $22,680 for permits and licenses. the only selling costs that would be associated with the order would be $2.10 per unit shipping cost. what is the break-even price per unit on this order? (round your answers to 2 decimal places.)

Answers

To calculate the break-even price per unit on this order, we need to consider the additional costs incurred by Andretti Company for importing and shipping the Daks.

Given information:

Andretti Company can produce 109,350 Daks each year.

A customer wants to purchase 28,350 Daks.

Import duties cost $1.70 per unit.

Permits and licenses cost $22,680 in total.

Shipping costs $2.10 per unit.

First, let's calculate the total additional costs incurred for this order:

Import duties: $1.70 per unit x 28,350 units = $48,195

Permits and licenses: $22,680

Shipping costs: $2.10 per unit x 28,350 units = $59,535

Total additional costs = $48,195 + $22,680 + $59,535 = $130,410

Now, we need to determine the break-even price per unit, which is the minimum price per unit that covers the additional costs without incurring a loss.

Break-even price per unit = Total additional costs / Number of units

Break-even price per unit = $130,410 / 28,350 units

Break-even price per unit ≈ $4.60 (rounded to 2 decimal places)

Therefore, the break-even price per unit on this order would be approximately $4.60.

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a consumer's market exists when:competition is lackingproduction stopsprices are lowestprices are highest

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A consumer's market exists when prices are lowest. In such a market, competition among sellers is high, leading to reduced prices as businesses strive to attract more customers.

This creates a favorable environment for consumers, as they have a wide range of options and can purchase goods and services at lower prices. A lack of competition or production stoppage would typically result in higher prices or limited availability, which is not indicative of a consumer's market. Therefore, the lowest prices in a competitive market characterize a consumer's market, benefiting buyers with greater affordability and choice.

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the long-term consequences of limited educational opportunities, such as reduced economic mobility and societal inequality, are extensively discussed by

Answers

educational researchers, policymakers, and social scientists. These individuals and groups recognize that limited educational opportunities can have far-reaching effects on individuals and society as a whole.

Some of the long-term consequences of limited educational opportunities include: Reduced Economic Mobility: Limited access to quality education can hinder individuals' ability to acquire the necessary skills and knowledge for higher-paying jobs.  Socioeconomic Inequality: Limited educational opportunities can contribute to the perpetuation of socioeconomic disparities. Those with less access to education may face barriers in obtaining well-paying jobs, adequate healthcare, and other resources, further deepening societal inequality. Limited Social Mobility: Education is often viewed as a means for social advancement and upward mobility. When individuals are denied equal educational opportunities, their chances of moving up the social ladder are diminished.

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Shelton, Inc., has sales of $21 million, total assets of $18.3 million, and total debt of $9.5 million. Assume the profit margin is 9 percent.
What is the company's net income? (Do not round intermediate calculations. Enter your answer in dollars not in millions, e.g., 1,234,567.)
What is the company's ROA? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
What is the company's ROE? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Net income is $1,890,000. ROA is 10.33%, indicating profitability relative to assets. ROE is 36.52%, representing profitability relative to equity.

To calculate the net income, we need to multiply the sales by the profit margin:

Net income = Sales * Profit margin

Net income = $21,000,000 * 0.09

Net income = $1,890,000

The company's net income is $1,890,000.

To calculate the Return on Assets (ROA), we divide the net income by the total assets and multiply by 100 to express it as a percentage:

ROA = (Net income / Total assets) * 100

ROA = ($1,890,000 / $18,300,000) * 100

ROA = 10.33%

The company's ROA is 10.33%.

To calculate the Return on Equity (ROE), we divide the net income by the total equity (which is the total assets minus total debt) and multiply by 100:

ROE = (Net income / Total equity) * 100

ROE = ($1,890,000 / ($18,300,000 - $9,500,000)) * 100

ROE = 36.52%

The company's ROE is 36.52%.

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Recently, the number of people who attended music concerts, plays, and other live entertainment increased because they had the ___to enjoy these activities. a)disposable income b)profit c)gross income d)bonus income e)discretionary income

Answers

These days, more and more people are using their discretionary income to attend live entertainment events such as music concerts and theatrical performances.

Option e is correct .

An increase in the number of people attending music concerts, plays, and other live entertainment activities is likely due to an increase in disposable income. Disposable income refers to the amount of income available to an individual after covering essential expenses such as taxes, housing and basic needs.

Higher discretionary income for individuals gives them greater financial flexibility, allowing them to allocate funds for non-essential activities such as entertainment. They can spend their discretionary income on concerts, plays and other live entertainment experiences, resulting in increased attendance.

hence, Option e is correct .

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Lacy is a single taxpayer. In 2021, her taxable income is $44,600. What is her tax liability in each of the following alternative situations? Use Tax Rate Schedule, Dividends, and Capital Gains Tax Rates for reference. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
c. Her $44,600 of taxable income includes $7,600 of qualified dividends
What is the tax Liability ?

Answers

Rounding to two decimal places, Lacy's tax liability is $4,999.50.

To calculate Lacy's tax liability, we need to consider her taxable income and the applicable tax rates for each portion of her income.

For the year 2021, the tax rates for single taxpayers are as follows:

10% on the first $9,950 of taxable income

12% on taxable income between $9,951 and $40,525

22% on taxable income between $40,526 and $86,375

24% on taxable income between $86,376 and $164,925

32% on taxable income between $164,926 and $209,425

35% on taxable income between $209,426 and $523,600

37% on taxable income over $523,600

Since Lacy's taxable income is $44,600, we need to calculate the tax on each portion of her income.

First, we calculate the tax on the portion of her income subject to the 10% rate:

$9,950 * 0.10 = $995

Next, we calculate the tax on the portion of her income subject to the 12% rate:

($44,600 - $9,950) * 0.12 = $4,194

Now, we need to consider the qualified dividends. Qualified dividends are taxed at lower rates than ordinary income.

For Lacy's $7,600 of qualified dividends, the tax rate is 0% for the 10% and 12% brackets. Hence, there is no tax on the qualified dividends.

Finally, we sum up the taxes calculated for each portion of her income:

$995 + $4,194 + $0 = $5,189

However, there is an adjustment for qualified dividends. Since Lacy has $7,600 of qualified dividends and they are tax-free within the 10% and 12% brackets, we subtract the tax on those dividends from the total tax calculated:

$5,189 - $190.50 = $4,998.50

Rounding to two decimal places, Lacy's tax liability is $4,999.50.

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1- cleveland's rock and roll hall of fame is an example of what concept?
a- tax- negative development
b- locality development
c- incumbent upgrading
d- suburban sprawl

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The Rock and Roll Hall of Fame in Cleveland is an example of the concept of "locality development." Thus, option B is the correct option.

Locality development refers to the process of leveraging unique local assets, culture, or heritage to promote economic development and attract visitors or investment to a specific area. In this case, Cleveland's Rock and Roll Hall of Fame capitalizes on the city's historical connection to rock and roll music, hosting exhibits and preserving the history of this genre.

By establishing the Rock and Roll Hall of Fame in Cleveland, the city aims to draw tourists, generate economic activity, and enhance its reputation as a cultural destination. The museum showcases the local music scene and contributes to the cultural identity of the city, thus exemplifying the concept of locality development.

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Results for "the balance sheet shows liabilities of $5,000,000 and owners' equity of $5,237,000. according to the fundamental accounting equation

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The balance sheet should show assets totaling $10,237,000.

According to the fundamental accounting equation, which states that Assets = Liabilities + Owners' Equity, we can calculate the value of assets.A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It presents the company's assets, liabilities, and owners' equity.

Assets = Liabilities + Owners' Equity

Assets = $5,000,000 + $5,237,000

Assets = $10,237,000

Therefore, the balance sheet should show assets totaling $10,237,000.

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facts which are presented as numbers such as test scores, number of students in the class, number of words on a page, or capacity of a hard drive are called:

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Facts that are presented as numbers, such as test scores, number of students in a class, number of words on a page, or capacity of a hard drive, are called quantitative data or numerical data.

Quantitative data represents measurable quantities or attributes that can be expressed in numerical form and can be subjected to mathematical calculations and analysis. It provides information in a quantitative or numerical format, allowing for statistical analysis and comparisons. Numbers are fundamental to our understanding of the world and play a crucial role in various aspects of life. They represent quantities, measurements, and values, providing a universal language for expressing information. Numbers enable us to quantify and compare things, analyze data, and make informed decisions. They are used in fields such as mathematics, science, finance, and statistics, allowing us to calculate, predict, and model phenomena. Numbers are not only used for practical purposes but also have cultural and symbolic significance, representing concepts, identities, and beliefs. From counting and arithmetic to advanced mathematical concepts, numbers form the basis of our numerical understanding and reasoning.

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Which of the following situations is an example of a negative externality? Select all that apply: 1.A neighbor paints his house and it drips on your car.
2.You discover that the clerk at the grocery store charged you too much after you already threw the receipt out.
3.The city you live in closes a major highway for one month for construction which increases raficon other routes and routinely makes you late for work.
4. A friend brings you a cup of coffee that you weren't expecting to receive.

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The situation that is an example of a negative externality is option 1: A neighbor paints his house and it drips on your car.

Option 1 represents a negative externality because the neighbor's action of painting his house has an unintended negative impact on you by damaging your car. The cost of the car repair or cleaning falls on you, even though you did not cause the damage.

A negative externality occurs when the actions of one party impose costs or negative effects on others who are not involved in the transaction. In this case, the neighbor's painting activity creates an external cost for you in the form of car damage, which you have to bear without any compensation or agreement.

Negative externalities often result in inefficient outcomes, as the person creating the externality does not take into account the costs imposed on others. They highlight the need for regulations or mechanisms to internalize the external costs and ensure fair compensation or mitigation for those affected.

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the organizational policy that encourages employees to bring their personal devices into the workplace so that they can be used to complete work is called the .

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The organizational policy that encourages employees to bring their personal devices into the workplace so that they can be used to complete work is called the Bring Your Own Device (BYOD).

A BYOD policy is a set of guidelines that specify how employees can use their own electronic devices, such as desktops, cell phones, and tablets, at work and for business-related activities.

BYOD regulations can require employees to bring their own laptop or computer, or they can simply allow remote tools on personal mobile phones. BYOD policies may offer advantages including the opportunity for mobile work, a reduction in the time and money needed for an organizational policy to keep its technology current, and a decrease in the cost of giving devices to employees.

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Your question is incomplete, but most probably the full question was.

The organizational policy that encourages employees to bring their personal devices into the workplace so that they can be used to complete work is called the _______.

Flag question Not yet answered Points out of 1.00 The late-mover advantage is a company that offers a highly differentiated product designed to win the first-movers market share? Select one: A. True B. False

Answers

The given statement "late-mover advantage is a company that offers a highly differentiated product designed to win the first-movers market share" is False because  term "late-mover advantage" actually refers to the advantage a company has by entering the market after the first-mover has already established it.

Instead of being burdened with the cost and risk of developing a new market, the late-mover can learn from the first-mover's successes and failures, and improve upon it to create a superior product, service or customer experience.

By taking a more cautious approach, the late-mover is able to invest in more advanced technology, better distribution channels and stronger branding efforts, ultimately providing a better value proposition to customers. In the end, the late-mover can benefit from the first-mover's pioneering efforts without having to bear the same level of risk and uncertainty.

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the company's average gross profit ratio is 30%. what is the estimated cost of the lost inventory using the gross profit method

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To estimate the cost of lost inventory using the gross profit method, we need additional information. Specifically, we would require the net sales figure and the cost of goods sold (COGS) for the company. With these details, we can calculate the estimated cost of lost inventory.

The gross profit method formula is as follows: Estimated Cost of Lost Inventory = (Lost Inventory / Net Sales) * COGS Let's assume we have the net sales figure and the average gross profit ratio of 30%. We'll calculate the estimated cost of lost inventory using this information. Estimated Cost of Lost Inventory = (Lost Inventory / Net Sales) * COGS Since we don't have the lost inventory figure, we cannot calculate the estimated cost of lost inventory accurately. To obtain a precise estimation, you would need the lost inventory value or percentage of inventory lost. With that information, we can calculate the estimated cost of lost inventory using the gross profit method.

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