Marriage, Employment change, Significant income change, these events trigger a recalculation of the retirement.
What is retirement?When a person retires, they permanently depart the workforce.In the United States, the early retirement age is 62 and the full retirement age (when a person can receive all Social Security payments) is 67. (the earliest age someone can collect Social Security benefits).Historically, 65 was the retirement age, and most people live for 15 to 20 years after that (on average).How much you should save aside for retirement will partly rely on how long you plan to live in retirement and how much money you'll need per year to live comfortably.Any time there is a life change for the client, such as a marriage, divorce, birth, death, change in work and income, or change in health, the retirement needs analysis should be updated. Long-term retirement demands won't be impacted by brief changes in tax laws.To learn more about retirement, refer to
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Suppose the government imposes a price floor of $70 on this market. What will be the size of the surplus in this market?.
Suppose the government imposes a price floor of $70 on this market. 0 units will be the size of the surplus in this market.
What happens in a market with the government imposes a price floor?When the government sets a minimum price that is higher than equilibrium, a price floor develops in the market. Because it stops buyers and sellers from negotiating lower prices and establishing equilibrium, the mandated price serves as a "floor."
Price floors stop a price from dropping below a specific markdown. Amount provided will exceed quantity required when a price floor is set above the equilibrium price, leading to excess supply or surpluses.
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whether to invest in a project today or to postpone the decision until next year is a decision facing the ceo of the aaron co. the project has a positive expected npv, but its cash flows could be less than expected, in which case the npv could be negative. no competitors are likely to invest in a similar project if aaron decides to wait. which of the following statements best describes the issues that aaron faces when considering this investment timing option? a. waiting would probably reduce the project's risk. b. the investment timing option does not affect the cash flows and will therefore have no impact on the project's risk. c. the more uncertainty about the future cash flows, the more logical it is for aaron to go ahead with this project today. d. since the project has a positive expected npv today, this means that its expected npv will be even higher if it chooses to wait a year. e. since the project has a positive expected npv today, this means that it should be accepted in order to lock in that npv.
the issues that Aaron faces when considering this investment timing since the project has a positive expected npv today, this means that it should be accepted in order to lock in that npv.
The difference between the current value of cash inflows and withdrawals over a period of time is known as net present value (NPV). To evaluate the profitability of a proposed investment or project, NPV is used in capital budgeting and investment planning.
Using the appropriate discount rate, calculations are performed to determine the current value of a stream of future payments, or NPV. Projects that have a positive NPV are generally worthwhile undertaking, whereas those that have a negative NPV are not.
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Suppose you invest $500 at an annual interest rate of 8. 2% compounded continuously. How much will you have in the account after 15 years?.
Suppose you invest $500 at an annual interest rate of 8.2% compounded continuously. the future value is $1,710.61 Option C
What is the Future Value?Generally, The worth of an asset on a certain date in the future is known as its future value.
It is the present value multiplied by the accumulation function, and it is used to calculate the nominal future sum of money that a given sum of money will be "worth" at a specific time in the future assuming a certain interest rate, or more generally, rate of return. This value is used to measure the "worth" of money in the future.
A=PV(1+r)^{n}
Therefore
A=500 e^{0.082 *15}
A =500 e^{1.23}
A= 1,710.61
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CQ
Suppose you invest $500 at an annual interest rate of 8.2% compounded continuously. How much will you have in the account after 15 years?
$1,671.74
$17,028.75
$1,710.61
$8,140.92
Answer:
c
Explanation:
I just took the quick check
the other answers are: 1.C 2.A 3.C 4.B 5.C
Brian is finishing a meal at his favorite restaurant. the check shows that the cost of the food is $42. he adds a 15% tip to the amount on the check. what is the total amount brian paid? write your answer up to two decimal places. the total amount brian paid is $ .
The total cost that Brian must pay is $48.30.
A cost is the amount of money that was expended during the production or delivery of a good or service and is therefore no longer available for use. In the case of an acquisition cost, the money spent on the acquisition is considered the cost.
Actual Cost of food = $42
Tip amount = 15% of actual cost (15% of $42)
Calculation of tip:
Tip amount = 15% of actual cost
Tip amount = (42 * 15%)
Tip amount = $6.3
Now we'll add this tip amount to the actual cost:
Total cost = Actual Cost + Tip amount
Total cost = 42 + 6.30 = 48.30
Therefore, the total amount which is payable by Brian is $48.30
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I really hope this helps.
FILL INT THE BLANK. organizations that introduce ___ systems where low performers are systematically identified and, where necessary, eliminated from payrolls often experience quick improvement gains.
Organizations that introduce forced ranking distribution systems where low performers are systematically identified and, where necessary, eliminated from payrolls often experience quick improvement gains.
A forced ranking distribution system is used to rank the employees based on their performance in comparison to other employees. The employees are divided into groups a, b, and c. Employees placed in the group a are the most motivated and contributive towards their work and consist of around 20% of the whole workforce. Group b employees usually include 70% of the employees who come are less engaged and motivated in comparison to the group a employees.
Group c employees are least motivated and engaged in their work which consists of around 10% of the employees. This system identifies the most active employees with the highest contribution. It is purely based on performance and not favors. It creates profitability due to increased productivity and improvement in work of employees.
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Which of the following is an example of direct materials cost for an automobile manufacturer?
a. Cost of oil lubricants for factory machinery
b. Cost of wages of assembly worker
c. Salary of production supervisor
d. Cost of interior upholstery
The "cost of interior upholstery" is an example of direct materials cost for an automobile manufacturer.
Automobile makers require steel, rubber, as well as plastic to construct their automobiles. These were direct materials even though they are represented in the finished product.
Direct material refers to the actual components of a product. A cook's direct costs, by example, include flour, eggs, yeast, sugar, oil, as well as water.
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Please discuss a business that you would start with $100k. Outline the business idea, objectives and be specific on how you would spend the $100k. Be clear with your reasoning. If your business were to fail, what would be the biggest reason why? how would you mitigate that? please limit your response to 500 words or less
You have a lot of possibilities if you want to invest $100,000 and have that amount of money.
What are the best business I can start with 100k?So, if you're looking for the greatest approach to invest $100,000, here are five possibilities to think about.Considerably, joining a real estate syndication is the finest approach to invest $100,000.A group of investors who are interested in purchasing, enhancing, and reselling multi-family or commercial real estate properties together is known as a real estate syndication.A business real estate acquisition firm might, as an example, purchase an office building, renovate the spaces to increase the rent, and then sell the structure for a profit.For starting a small business in India, consider some of the following intriguing business concepts:repairs to vehicles. Tiffin service.the repair of electronics .A small business that involves blogging.one-on-one instruction.service for caring for pets.Mobile apps for education.Baking the cakeThere are five typical reasons why businesses fail.Lack of money or finance, the retention of a subpar management team, a flawed infrastructure or company model, and poor marketing campaigns are among the most frequent causes of small business failure.To learn more about business idea refer
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You earn $500 a month and currently have $200 in currency, $100 in your checking account, $2,000 in your savings account, $3,000 worth of illiquid assets, and $1,000 of debt.
a. How much money (M1) do you have?
b. What is your annual income?
c. How much wealth do you have?
a. You have $300 worth of M1 money
b. You have an annual income $6,000
c. You have a total wealth of $4,300
M1 money supply consists of circulating currency such as bills and coins in circulation, demand deposits such as checking account in banks, and traveler's check. In order to calculate the M1 money supply you will need to calculate it using the following formula:
M1 money = currency + demand deposit and other liquid deposit
M1 money = $200+$100
M1 money = $300
Therefore you have a total of $300 in terms of M1 money
Annual income is defined as a total income earned in a given year. To calculate annual income, you will need to multiply your monthly income by 12 months in a year
Annual income = Monthly income × 12 months
Annual income = $500×12
Annual income = $6,000
Therefore your annual income is $6,000
Wealth is defined as a measurement of total value of assets owned minus your liabilities. To calculate total wealth you will need to add all your assets including cash, money in bank accounts including savings, property, and investments deducted with your total liabilities such as debt. The formula is as follows:
Total wealth = Assets - liabilities
Total wealth = $200+$100+$2,000+$3,000-$1,000
Total wealth = $4,300
Therefore you have a total wealth of $4,300
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Monopoly profit will _____ when a monopolist goes from single-price monopoly to perfect price discrimination. Remain the same increase decrease initially increase and then return to its original level.
Monopoly profit will decrease when a monopolist goes from a single-price monopoly to perfect price discrimination. Remain the same increase decrease initially increase and then return to its original level.
Discrimination is the act of making unjustified distinctions between human beings primarily based on the companies, training, or different classes to which they belong or are perceived to belong.[1] humans may be discriminated on the idea of race, gender, age, religion, incapacity, or sexual orientation, in addition to other classes.[2] Discrimination specifically occurs while people or agencies are unfairly dealt with in a manner which is worse than different human beings are dealt with, on the idea in their real or perceived club in sure corporations or social classes.[2][3] It entails limiting members of one organization from possibilities or privileges which might be to be had to individuals of another organization.
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The following data were extracted from the income statement of Keever Inc.: Current Year Previous Year Sales $1,445,400 $1,511,100 Beginning inventories 85,874 108,950 Cost of goods sold 722,700 839,500 Ending inventories 77,674 85,874 a. Determine for each year (1) the inventory turnover and (2) the number of days' sales in inventory. Round interim calculations to the nearest dollar and the final answers to one decimal place. Assume 365 days a year. Current Year Previous Year 1. Inventory turnover 2. Number of days' sales in inventory days days
Current year Previous year
Inventory turnover 8.8 8.6
Number of days sales in inventory 41.5 42.4
Inventory turnover ratio = Cost of goods sold / Average inventories
For current year:
Average inventory = ($85,874 + $77,674) / 2 = $81,774
= $722,700/ $81,774
=8.8 times
For previous year:
Average inventory = ($108,950 + $85,874) / 2 = $97,412
=$839,500/$97,412
=8.6 times
Number of day's sales in inventory = 365 days / inventory turnover
For current period:
365/8.8 = 41.5 days
For current period:
365/8.6 = 42.4 days
What is Inventory turnover?
The rate at which inventory stock is sold, used up, and replaced is known as inventory turnover. By dividing the cost of items by the average inventory for the same time period, the inventory turnover ratio is derived.
What is Number of day's sales in inventory?
DSI is determined using the average inventory value and cost of products sold during a specified time period or as of a specific date. Mathematically, 365 for a year and 90 for a quarter are used to determine the number of days in the respective time.
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Using the table, and assuming the stock closed at $171.15 at expiration, calculate the total profit from the stock position and the short option since selling the call (excluding commissions and fees
$826
$711
$226
$600
Since selling the call, the combined profit from the stock position and the short option is not 826 or 226.
What is stock position?Someone or another entity has a position when they own (or have sold short) a specific amount of a security, asset, or piece of property. A trader or investor assumes a position when they execute a buy order, which signifies a bullish intent, or when they sell short securities, which indicates a bearish intent.Here is a straightforward method to use to specify the class size in trading: The amount of units you purchase is determined by breeding the equity in your account by the risk per trade you choose to take, divided by the risk per unit. A list of the protection (stocks, ETFs, bonds, etc.) in your Demat account is displayed on the holdings tab. On the other side, the positions tab displays any open trades you have taken in the intraday or derivatives area. This describes the standing's market value at the time of writing. The net shares held are used.To learn more about stock position, refer to:
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The 1990s saw inflation fall and real growth increase in the U.S. and in many other countries. This is partially attributed to all of the following except:
Central banks focused more on exchange rates in a global environment
This is partially attributed to all of the following except Central banks focused more on exchange rates. At 4.8% in 1990, 5.6% in 1991, 1.5% in 1992, and 1.9 in 1993, inflation was kept significantly below the target of 3%. In reality, from 1995 and 1997.
Inflation decreased, indicating that supply-side factors were at work. The expansion of the labour force, productivity, and foreign competition are the three main supply-side factors. Each has undergone changes that have increased supply exchange rates since the mid-1990s. Because underemployment was increasing, the 1990s and following years saw a decline in both unemployment and the inflation.
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western company begins the year with $50,000 of inventory on hand. during 2018, western purchases additional inventory for $100,000 cash. sales for the year, all on account, totaled $70,000 and the cost of the inventory sold was $40,000. assuming western uses a perpetual inventory system, the journal entry to record the purchase of inventory during the year includes which of the following? (select all that apply.) multiple select question. credit cash $100,000
Debit $40,000 from cost of goods sold.
Explanation:
Similar to how we have inventory specifics:
Opening Inventory Value: $50,000
Amount Spent = $100,000
Therefore, the entire inventory is $150,000.
We will have the remaining inventory on hand at closing, which is $110,000.
Cost of goods sold is calculated as follows: Total inventory - Closing ($150,000 - $110,000 = $40,000);
The cost of the goods sold must be deducted because it is an expense.
At Hand The amount physically present in the warehouse of an eCommerce or digi-physical business is known as inventory. When applied to a specific product or item, this might be used to compare the marketability of various products and determine average days in inventory: the lower the average number of days in inventory, the more market-friendly a product would actually be.
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what does pro forma mean? right to invest in a follow on round in advance of actual data based on data right of refusal
pro forma: In Latin, the words "as a matter of" and "for the purpose of the form" are equivalent. It mostly refers to the formal presentation of information that assumes or anticipates bits of information that might not be available.
Basic pro forma statement templates are available online, or you can make your own by using a Microsoft Excel spreadsheet to populate and calculate the correct entries based on your inputs. Pro forma statements sometimes include some past data to assist account for what the predicted outcomes should look like, making them handy for tracking future financial direction and occurrences.
The "pro-data right" is the right to participate once more in subsequent rounds in order to keep your ownership. Let's use an illustration to make it more real. 1% of the company is yours if you invest $50,000 in a seed round with a $5 million cap. The following round is a $3 million round with $9 million in pre-round money and $12 million in post-round money. You will own 0.75% of the company after being diluted by 25% if you choose not to participate. On the other hand, if you spend $30k and purchase 1% of the round, you will keep your 1% ownership in the business. In this case, your "pro-rata right" is a $30k allocation in the following round.
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52. Suppose that the government imposes a per-unit tax on the producers of a good that has a perfectly inelastic demand. After the tax, the price and quantity of the good sold would change in which of the following ways? Price Quantity (A) Increase Increase (B) Increase Decrease (C) Increase Not change (D) Not change Increase (E) Decrease Not change
Option B. Suppose that the government imposes a per-unit tax on the producers of a good that has a perfectly inelastic demand. After the tax, the price and quantity of the good sold would change by Increase Decrease.
What is a per unit tax?Per unit taxes, sometimes known as specific taxes, are levied at a set rate for each unit of an item or service sold, such as cents per kilogram. Therefore, regardless of the product's price, it is proportionate to the specific quantity sold of that commodity. For instance, excise taxes are included in this category of taxes.
The price of each gallon of gasoline sold must include an additional 10 cents in taxes, which are levied by the federal government on a per-unit basis.
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why do you think international trade volume has increased over time? in general, how are inefficient firms affected by the reduction in trade restrictions among countries and the continuous increase in international trade?
International trade volume has increased because of the reduction in trade restrictions over time.
Give an example of trading.Assume that Liam and Henry are the only two people present. Henry has food but needs wool, in contrast to Liam who has wool but needs food. To please both of them, Liam and Henry will trade food for wool in order for Liam to get food and Henry to get wool. The pinnacle of trading is this.
The importance of Trade?Trade is essential for preserving a competitive global economy because it promotes innovation and market specialization while also lowering product prices across borders. Another advantage of being able to trade is having access to goods and services that may be more affordable and higher quality than their domestic competitors.
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a retired couple can probably bear more risk in their portfolio than a young investor with a secure job. question 10 options: true false
The statement is False. A capitalist with HIGH-risk aversion (very risk-averse) can select a portfolio with a LOWER variance. A portfolio dominates another if it's a better expected come and lower variance.
We'll invariably like a portfolio that includes a HIGHER expected-to-come and LOWER variance. Risk is the likelihood that some unfavorable event can occur, and there's a trade-off between risk and come. The upper investment's risk, the upper the come needed to induce investors to get the quality.
Risk is any uncertainty with the relevancy of your investments that has the potential to negatively impact your money welfare. for instance, your investment worth would possibly rise or fall due to market conditions (market risk).
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in the united states, employee salaries are increasingly based on market pricing rather than internal job evaluation methods such as the point factor method.
Instead of using internal job evaluation techniques like the point factor approach, employee pay in the United States are increasingly based on market pricing.
The process of deciding how much compensation to provide a job is referred to as a job evaluation. Internal and external data must be utilized to determine the salary range, the pay scale for pertinent occupations, and the benefits appropriate for certain employees.
A performance appraisal reviews the person, whereas a job evaluation evaluates the position without taking the person in that role into consideration. One-position assessments for newly created roles, job reevaluations to boost wages' equality or competitiveness, and company-wide job evaluations to revamp the entire pay structure are a few examples of common job evaluations.
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which of the following normally takes the form of a wire transfer of money from the bank account of the importer directly to that of the exporter prior to shipment of merchandise?
The mechanism taking place as a form of a wire transfer of money from the bank account is an advance payment
Money can be sent digitally using wire transfers beyond a system that is governed by banks and transferring mechanism providers all over the globe. When sending a wire transfer, the sender must include details such as the recipient's name and account number. A sending and receiving institution is also involved.
Prior to the dispatch of commodities, advance payments are made through a wire transfer of funds from the importer's bank account to the exporter's. Additionally, the sender initially makes an upfront payment for the transaction at their bank. Through a secure mechanism, the sending bank communicates payment instructions to the recipient's bank.
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Some bonds issued by the u. S. Treasury are inflation protected, meaning that what the bond pays at maturity and the regular interest payments are adjusted for changes in the cpi. You can think of the interest rate on an inflation-protected bond as a real interest rate, while the interest rate on a bond that is not inflation-protected is a nominal rate. If investors expect inflation, which type of bond should have a higher interest rate?.
The bond that is inflation-protected is a real interest rate and should have a higher interest rate, because the not inflation-protected (nominal rate) does not adjust for changes in inflation.
The principal value of inflation-protected bond rises as inflation rises while the interest payment varies with the adjusted principal value of the bond. If investors expect an inflation, the type of bond that should have a higher interest rate is the inflation-protected bond.
What is real interest rate?
Real interest rate is the rate of interest after adjusting for inflation. It is determined by deducting the nominal interest rate from the inflation rate. The purchasing power of money across various time periods is compared using the real interest rate.
What is nominal interest rate?
The stated rate of interest on a loan or financial product is known as the nominal interest rate; it does not account for compounding or any other factors. The stated rate and annual percentage rate are other names for it (APR).
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Which of the following types of processing is essential for businesses that require access to current data such as airlines, ticket agencies, and stock investment firms?
Online transaction processing
Online transaction processing OLTP is essential for businesses that require access to current data such as airlines, ticket agencies, and stock investment firms.
An internet-based software programme class called online transactional processing, or OLTP, is able to support transaction-oriented applications. OLTP is used in many commonplace applications, including businesses POS terminals, internet shopping, and banking stock. The online database transactions that frontline employees like cashiers and bank tellers generate are carried out via OLTP. Online banking, travel, and e-commerce customer self-service apps all produce database transactions and are connected to OLTP systems. Both of them use online processing.
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Refer to Table 5-1. If D1 and S1 represent the demand and supply schedules in a particular market, then the equilibrium price and quantity are and , respectively.
$4; 16
When the price drops below a certain threshold , equilibrium a company will eventually leave a market. The quantity decreases when the industrial demand curve moves from D1 to D2.
How can the equilibrium price be determined?The equilibrium price may be calculated using a mathematical formula. The quantity demanded (Qd) must equal the quantity supplied (Qs) in order to determine the price according to the equilibrium pricing formula (P).
What impact does a rightward movement in labor supply and demand have on equilibrium pay and employment?Businesses are now willing to pay more per hour of labor if the labor demand curve changes to the right since demand has increased. Demand declines, and the curve changes.
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the airline industry alters the price of its seats based on the type of seat, the number of seats remaining, and the amount of time before the flight departs. this is an example of .
Real-time pricing, often known as dynamic pricing, is a highly adaptable method of determining a product's or service's price. Dynamic pricing aims to enable businesses that offer products or services online to quickly modify prices in response to consumer demand.
Who is consumer?
Consumers are people or companies that purchase products or services. The condition also refers to hiring materials and services. They are humans or other economic authorities that use a goods or service.
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How does price discrimination move a market that is not perfectly competitive to an efficient output level?.
Price discrimination allows companies to sell at much higher production volumes. Therefore, it uses the previous capacity reservation. This allows the company to process production factors more efficiently. Improved performance allows companies to reduce average long-term costs and continue to generate higher profits.
What is price discrimination ?
Price discrimination is a sales strategy that charges customers different prices for the same product or service based on what the salesperson believes the customer can agree with. In pure price discrimination, sellers charge the highest price each customer will pay. In a more common form of price discrimination, sellers divide customers into groups based on certain attributes and charge different prices to each group.
Why is price discrimination used?
Companies engage in price discrimination to maximize profits. Because large markets typically include many types of consumers, price discrimination allows businesses to offer higher prices to wealthy consumers and lower prices to the most price-sensitive consumers.
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a food delivery company has recently received many complaints that food has been cold when customers receive it. if they were following herbert simpsons four stage process, which of the following would occur during the implementation phase of solving the problem? more than one answer may be correct.
Administrative Behavior, one of Herbert Simon's best-known works, contains the earliest mention of the decision-making theory (1947).
What was Herbert Simpsons four stage process ?He claimed that timely decision-making was essential since doing so would help an organization achieve its goals. The idea can be broken down into two parts: the decision someone makes and the process or actions they take. In other words, carrying out a choice is just as crucial as making it.
A paradigm called the Simpson Decision Making Theory offers a more realistic perspective on the world, where choices have an impact on costs and outputs. Theorist claimed that choosing amongst several options is what it means to make a decision. It may even entail choose between taking action and staying still. as opposed to traditional thinkers.
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which of the following statements about service level is correct? question 7 options: it can be greater than one. it is something that should be minimized in retail. it is the probability of not stocking out. it is the probability of stocking out.
The following statements approximately carrier degree is correct: D- it's far the possibility of stocking out.
The required details for Probability in given paragraph
Probability is the department of mathematics regarding numerical descriptions of ways possibly an occasion is to occur, or how possibly it's far that a proposition is true. The possibility of an occasion is a number of among zero and 1, where, kind of speaking, zero suggests impossibility of the occasion and 1 suggests certainty. The better the possibility of an occasion, the much more likely it's far that the occasion will occur. A easy instance is the tossing of a fair (unbiased) coin. Since the coin is fair, the 2 consequences are each similarly probable; the possibility of "heads" equals the possibility of "tails"; and due to the fact that no different consequences are possible, the possibility of either "heads" or "tails" is 1/2. These ideas had been given an axiomatic mathematical formalization in possibility concept, that's used broadly in regions of study such as statistics, mathematics, science, finance, gambling, synthetic intelligence, device learning, pc science, recreation concept, and philosophy to, for instance, draw inferences approximately the predicted frequency of events.
Probability concept is likewise used to explain the underlying mechanics and regularities of complicated systems.
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two firms, firm a and firm b, have identical cost curves, yet firm a operates in perfect competition and firm b operates in monopolistic competition. in the long run, what can we say about the price and output that each firm charges?
What is the purpose of a company survey?.
Surveys are useful tools for gathering information to improve your business practices.
Surveys provide businesses with feedback and information about customers’ and employees’ wants and needs. Surveys can have different goals.
Surveys allow businesses across all industries to efficiently collect honest feedback, opinions and responses from customers and employees, and use that information to improve operations, make any necessary adjustments to the onboarding process, increase sales, reduce costs and uncover product development opportunities. Survey responses can either confirm the effectiveness of current practices or provoke discussions on strategic business decisions and provide unbiased data to guide decision-making.
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examining shipping and receiving documents issued before and after the manual physical inventory count is an important procedure. (enter only one word per blank.)
An essential cutoff step is to review shipping and receiving records created prior to and following the manual physically inventory count.
What does inventory mean?Inventory refers to all the products, services, and materials that a business keeps on hand with the intention of reselling them for a gain. Example: If a weekly supplier uses a truck to deliver papers to customers, just the periodical will be considered inventory.
What exactly does inventory mean at work?The products or materials in inventory are those that a company plans to resell to consumers for a profit. Tracking inventory from producers to depots and from these locations to a point of sales is supply chain, a crucial component of the distribution network.
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Lee Robi developed an electronic lice comb that tells whether head lice are present by emitting an audible sign. Robi has mailed promotional flyers on the lice comb to all the school districts in the nation. He has also run ads in several different women's magazines. This describes the _____ strategy that Robi used.
Marketing mix
Promotional
Production
Customer value
Functional
Robi has mailed promotional flyers on the lice comb to all the school districts in the nation. He has also run ads in several different women's magazines. This describes the marketing mix strategy that Robi used.
Advertising is the method of exploring, growing, and turning in value to fulfill the desires of a goal market in terms of goods and offerings; probably consisting of the selection of a target market; choice advertising is nicely researched and centered and will deliver new and returning clients.
opinions of contemporary and former clients can identify areas for improvement. elevating logo recognition. permits for an extra non-public relationship between the commercial enterprise and the purchaser. multiplied marketplace percentage.
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