select all that apply. what are key revenue drivers?
group of answer choices
a. price
b. managers
c. frequency
d. customers

Answers

Answer 1

The key revenue drivers among the given options are:

a. price

c. frequency

d. customers

Which are the revenue drivers?

a. Price: The price at which a product or service is sold directly impacts the revenue generated. Higher prices generally result in higher revenue per unit, assuming demand remains constant.

c. Frequency: The frequency at which customers make purchases or utilize a service can significantly impact revenue. Higher purchase frequency leads to increased revenue.

d. Customers: The number of customers or clients an entity has directly affects revenue. More customers typically translate to higher revenue, especially when combined with customer retention and repeat business.

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Gosti points pation has 211 mon shares of common stock outstanding with a book value per share of 758 with a recent divided of 4.25 The firm's capital so cludes 200000 shares outstanding with a par value of 100 and the firms debt include 2250 0.5 percent quarterly tionis outstanding with 35 years maturty wed five years. The rion of the preferred stock and bands are 100% of ite par value and comomon stock trades for 258 with a constard growth rate of 10%. The bota of th the markedkjen P Calculate the after las Waighted Avergee Cost of Capital of the fem assuming a tax rate of 30%

Answers

The Weighted Average Cost of Capital (WACC) is the cost of capital that is weighted by the proportion of each capital component. It is computed as the sum of the cost of debt, the cost of equity, and the cost of preferred stock, each multiplied by its proportional share.

WACC = (1 - TC) [Kd (D/V) + Ke (E/V) + Kp (P/V)]Explanation:In the above problem, the total market value of equity, debt, and preferred stock is calculated as follows:Total market value of equity = No. of shares * Price per share= 211000 * $258= $54,498,000Total market value of debt = Number of bonds * Bond price= 2,250 * $1,000= $2,250,000The preferred stock's total market value is $0 since it is not included in the problem. Calculating the weight of each component. Weight of debt = Debt / (Debt + Equity) = $2,250,000 / ($2,250,000 + $54,498,000) = 0.039Weight of equity = Equity / (Debt + Equity) = $54,498,000 / ($2,250,000 + $54,498,000) = 0.961.

The cost of each component is calculated below Kd = Interest / (1 - T) x M.V of Debt= (0.005 x $1,000 x 4) / (1 - 0.30) x $2,250,000= 4.48%Ke = D1 / (P0 x (1 - F)) + G= [$4.25 x (1 + 0.10)] / ($258 x (1 - 0)) + 0.10= 18.52%Kp = Dividend / Market price= ($0.00 / $0) = undefined Substitute the values in the formula: WACC = (1 - TC) [Kd (D/V) + Ke (E/V) + Kp (P/V)]WACC = (1 - 0.30) [0.0448 x 0.039 + 0.1852 x 0.961 + 0 x 0]WACC = 11.08%Therefore, the after-tax Weighted Average Cost of Capital (WACC) of the company is 11.08%.

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Calculating Rates of Return [LO3] A coin sold at auction in 2019 for $6,788,000. The coin had a face value of $5 when it was issued in 1790 and had been previously sold for $280,000 in 1967. a. At what annual rate did the coin appreciate from its first minting to the 1967 sale? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. What annual rate did the 1967 buyer earn on his purchase? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) C. At what annual rate did the coin appreciate from its first minting to the 2019 sale? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) a. Rate of return from 1790 to 1967 % b. Rate of return from 1967 to 2019 % c. Rate of return from 1790 to 2019 %

Answers

Pace of return from 1790 to 1967: 11.35%. To compute the paces of return,  the equation for accumulate interest:

A=P(1+r) [tex]n[/tex]

Where:

An is the last sum

P is the underlying sum

r is the yearly pace of return

n is the quantity of years

How about we work out the paces of return for every situation:

a. Pace of return from 1790 to 1967:

The underlying sum (P) is $5, and the last sum (A) is $280,000. The quantity of years (n) is 1967 - 1790 = 177.

These qualities into the equation and address for the pace of return (r):

280,000=5(1+r) [tex]177[/tex]

Tackling for r, the pace of return from 1790 to 1967 is around 11.35%.

b. Pace of return from 1967 to 2019:

The underlying sum (P) is $280,000, and the last sum (A) is $6,788,000. The quantity of years (n) is 2019 - 1967 = 52.

These qualities into the equation and settle for the pace of return (r):

6,788,000=280,000(1+r)[tex]52[/tex]

c. Pace of return from 1790 to 2019:

The underlying sum (P) is $5, and the last sum (A) is $6,788,000. The quantity of years (n) is 2019 - 1790 = 229.

these qualities into the equation and address for the pace of return (r):

6,788,000=5(1+r) [tex]229[/tex]

In this way, the responses are:

a. Pace of return from 1790 to 1967: 11.35%

b. Pace of return from 1967 to 2019: 8.76%

c. Pace of return from 1790 to 2019: 10.19%

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Which of the following activity is typically involved in the pre-approach step of the selling process? identifying leads closing the sale asking need-payoff questions customer research clarifying, responding, confirming 58

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Customer research is often a component of the pre-approach stage of the selling process.

The pre-approach step is the first step in the selling process, in which the salesperson learns as much as possible about a prospective client before making contact. The pre-approach involves gathering as much information as possible about the potential buyer. This information is collected through customer research. The information collected through research enables the salesperson to understand the needs and preferences of the potential customer, which will inform how they approach the sales pitch.  In addition, the salesperson can use this information to tailor the pitch to the customer's specific needs and desires. It is important to note that the other activities listed in the question are not typically involved in the pre-approach step.

Identifying leads and asking need-payoff questions are part of the prospecting step, while closing the sale occurs during the presentation step. Clarifying, responding, and confirming are part of the closing step.

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Advertising space in newspapers accounts for roughly __________ of content in the typical daily u.s. format.

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The statement "Advertising space in newspapers accounts for roughly __________ of content in the typical daily U.S. format" is incomplete and doesn't provide a clear context to determine the exact percentage of space occupied by advertising in the newspapers.

However, generally, advertising space occupies a significant portion of the newspaper's space. Advertising is an essential source of income for newspapers, as it helps generate revenue for the organization.As newspapers are printed for commercial reasons, they depend on advertising revenue to keep the presses running, pay salaries, and cover other operational costs. Advertising space in newspapers is the cost of buying a space in a newspaper for advertisements. Therefore, more advertising space means more money for the newspaper and helps maintain the publication's quality while keeping its prices low.Usually, newspapers reserve one-third of the total space to the advertisement section. This section is placed in the front and back of the publication and is known as "Classified." It contains advertisements related to job vacancies, real estate, automobiles, announcements, and many other commercial activities.

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Vaughn Corp. issues 1900 shares of $10 par value common stock at $16 per share. When the transaction is recorded. credits are made to O Common Stock $19000 and Retained Earnings $11400. O Common Stock $19000 and Paid-in Capital in Excess of Par $11400 Common Stock $30400. O Common Stock $19000 and Paid-in Capital in Excess of Stated Value $11400.

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Credits are made to Common Stock $19000 and Paid-in Capital in Excess of Par $11400. Common Stock $30400.

Vaughn Corp. issues 1900 shares of $10 par value common stock at $16 per share. When the transaction is recorded, credits are made to Common Stock $19000 and Paid-in Capital in Excess of Par $11400.Common Stock represents the nominal value of the shares issued, i.e. $10/share. The total Common Stock credited for the issue of 1900 shares of $10 par value is $19000 (=$10 x 1900). Now, since the shares were issued at $16 per share, the total amount of cash raised by the company through the issuance is $30400 (=$16 x 1900). This amount is greater than the par value of the shares issued ($19000), and the difference ($11400) is credited to Paid-in Capital in Excess of Par account. Retained Earnings is not affected by the issuance of shares, so there is no credit to that account.

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The problem of multiple IRRs can occur when: Multiple Choice - there is only one sign change in the cash flows. - the first cash flow is always positive. - the cash flows decline over the life of the project. - there is more than one sign change in the cash flows.

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The answer to the question regarding the problem that the multiple IRR creates is "there is more than one sign change in the cash flows."

Internal Rate of Return (IRR) is the percentage at which a given project's net present value (NPV) is zero.

The internal rate of return is a discounted cash flow technique used in capital budgeting to determine the profitability of a given project.

The IRR of a project is calculated by equating the present value of cash inflows to the present value of cash outflows.

However, the IRR can be inaccurate in certain circumstances, resulting in multiple IRRs.The problem of multiple IRRs can occur when there is more than one sign change in the cash flows.

When there is more than one sign change in the cash flows, the internal rate of return technique becomes inadequate.

In other words, the project can have more than one IRR. A project with non-normal cash flows, which entails multiple IRRs, can be complicated to assess.

The reinvestment rate assumption is the source of the problem.

To evaluate the project's IRR, the analyst must make an assumption about the reinvestment rate for cash inflows.

As a result, the problem occurs due to the multiple interest rates generated in the calculation. When there is more than one IRR, the analyst cannot determine the project's actual rate of return.

The analyst should then use the net present value (NPV) approach rather than the IRR method.

The NPV method is not subject to this issue and is a more reliable method of measuring the project's return.

In conclusion, when there is more than one sign change in the cash flows, the internal rate of return (IRR) technique is not a reliable method for measuring the project's return, and the net present value (NPV) method should be used instead.

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Appraisal costs are inspection, which means you have to have which of the following to execute properly? Question 9 options: 1) Equipment 2) Floor space 3) Properly trained people 4) All of these 5) None of these

Answers

The correct option is (4). To execute appraisal costs properly, you need all of the following: equipment, floor space, and properly trained people.

Appraisal costs refer to the expenses incurred in conducting inspections and evaluations to assess the quality of products or services. In order to execute these appraisal activities effectively, all of the mentioned elements are essential. Equipment is necessary to perform inspections and measurements accurately, ensuring that the products meet the required standards.

Floor space is needed to accommodate the inspection equipment and provide a suitable environment for conducting the evaluations. Lastly, properly trained people are crucial to carry out the inspections competently, interpret the results, and make informed decisions based on the findings.

Having the appropriate equipment, sufficient floor space, and well-trained personnel ensures that appraisal costs are executed efficiently and effectively. This enables organizations to identify any deviations from quality standards, detect defects or inconsistencies, and take appropriate measures to address them, thereby maintaining the desired level of quality in their products or services.

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brianna owns 40% of the stock of cassowary corporation (a c corporation) and 40% of the stock of emu corporation (an s corporation). in the current year, each corporation has operating income of $120,000 (before income tax expense) and tax-exempt interest income of $8,000. neither corporation pays any dividends during the year. complete the statements below regarding how this information will be reported by the corporations and brianna for the current year. since c corporations are entities, cassowary corporation will the operating income and tax-exempt income. an s corporation is a entity. therefore, will report ordinary business income______and tax-exempt interest income of ______________on her individual return.

Answers

Brianna owns 40% of the stock of Cassowary Corporation (a C corporation) and 40% of the stock of Emu Corporation (an S corporation). In the current year, each corporation has operating income of $120,000 (before income tax expense) and tax-exempt interest income of $8,000.

Neither corporation pays any dividends during the year. Here is how this information will be reported by the corporations and Brianna for the current year:C corporations are entities. Therefore, Cassowary Corporation will report the operating income and tax-exempt income on its tax return.An S corporation is a pass-through entity. Therefore, Brianna will report ordinary business income of $48,000 (40% × $120,000) and tax-exempt interest income of $3,200 (40% × $8,000) on her individual return.

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Which refers to a direct request in a marketing message for a specific behavior?

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In marketing, the term "call-to-action" (CTA) refers to a direct request in a marketing message for a specific behavior.

A call-to-action can come in a variety of formats, including text links, buttons, and images. Its objective is to get the user to click on it and take a certain action on the website. For example, a CTA might be "Sign up for our newsletter," "Download our app," "Subscribe now," or "Contact us."CTAs can be found on almost every website, email, and social media platform, and their primary goal is to prompt users to take action. The goal of a CTA is to persuade the audience to take action and interact with the company's marketing efforts in a significant manner. The type of CTA used will depend on the company's objectives and the target audience. CTAs should be straightforward, concise, and straightforward to understand. They should create a sense of urgency and clearly communicate the benefits of taking action. In conclusion, CTAs are an essential part of any marketing campaign and are essential for driving conversions and generating leads.

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Indicate if the below statement is true of false. If false, then provide the correct statement.
Q.2.1 Members of the armed forces can be considered tourists, as they often enter and leave different countries. (3)
Q.2.2 The Grand Tour era allowed the upper-class British Elite to be exposed to Western art and culture. (1)
Q.2.3 A tourism product or offering is said to be sustainable if you can maximise the use of the product or natural resource over a period of five years. (3)
Q.2.4 Food tourism is an up-and-coming trend that involves tourists traveling to local or more distant locations in order to participate in wine tourism and experience different beverages.

Answers

Q.2.1 Members of the armed forces can be considered tourists, as they often enter and leave different countries. (False)

Explanation:

The statement is false. Members of the armed forces are not typically considered tourists. While they may enter and leave different countries as part of their military duties, their purpose of travel is not for leisure or personal exploration.

The term "tourist" refers to individuals who travel to and stay in different places outside their usual surroundings for leisure, business, or other purposes, usually for a period of less than one year. Members of the armed forces travel for military purposes and are not engaging in tourism activities.

Q.2.2 The Grand Tour era allowed the upper-class British Elite to be exposed to Western art and culture. (True)

Explanation:

The statement is true. The Grand Tour was a cultural and educational phenomenon that occurred from the 17th to the 19th century, primarily among the upper-class British elite. It involved an extended trip around Western Europe, typically lasting from several months to a year, during which young aristocrats were exposed to the art, architecture, and cultural heritage of different European countries.

The Grand Tour was considered an essential part of the education and refinement of young men, allowing them to broaden their horizons and gain exposure to Western art and culture.

Q.2.3 A tourism product or offering is said to be sustainable if you can maximize the use of the product or natural resource over a period of five years. (False)

Explanation:

The statement is false. A tourism product or offering is considered sustainable when it meets three key criteria: economic viability, social acceptability, and environmental responsibility. Sustainability in tourism refers to practices that aim to minimize negative impacts on the environment, preserve cultural heritage, and ensure the long-term well-being of local communities.

It is not solely about maximizing the use of the product or natural resource over a specific time period like five years. Sustainability requires a holistic approach that considers the long-term effects and balances the needs of the environment, society, and economy.

Q.2.4 Food tourism is an up-and-coming trend that involves tourists traveling to local or more distant locations in order to participate in wine tourism and experience different beverages. (True)

Explanation:

The statement is true. Food tourism is a growing trend in the travel industry. It involves travelers seeking out unique culinary experiences and exploring the local food and drink offerings of a destination. Wine tourism, a specific type of food tourism, focuses on visiting wineries, vineyards, and wine regions to learn about the winemaking process, participate in wine tastings, and experience different types of beverages. Food tourism provides an opportunity for tourists to immerse themselves in the local culture, traditions, and flavors of a particular region or country.

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____________ is the best example of a strategic HR Metric.
O a) Time to fill.
O b) Tenure.
O c) Turnover rate of high-performing employees.
O d) All of the above

Answers

d) All of the above. All of these metrics contribute to understanding and improving the organization's human resources strategy, making them examples of strategic HR metrics.

All of the listed options - time to fill, tenure, and turnover rate of high-performing employees - can be considered strategic HR metrics. Strategic HR metrics are quantitative measures used to assess and evaluate the effectiveness of HR strategies and initiatives in achieving organizational goals and objectives.

Time to fill is a metric that measures the average time taken to fill vacant positions within the organization. It is important because a lengthy recruitment process can lead to productivity gaps and increased costs.

Tenure refers to the length of time employees stay with the organization. Tracking tenure can provide insights into employee satisfaction, engagement, and organizational stability.

Turnover rate of high-performing employees measures the percentage of top-performing employees who leave the organization. This metric is crucial as it helps identify retention issues and highlights the effectiveness of talent management strategies.

All of these metrics contribute to understanding and improving the organization's human resources strategy, making them examples of strategic HR metrics.

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free question
What TV show is better? Friends or Seinfeld?

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The preference between Friends and Seinfeld comes down to personal taste. Some may enjoy the warmth and relatability of Friends, while others may appreciate the sharp wit and satire of Seinfeld. Both shows have made a significant impact on popular culture and continue to be loved by fans worldwide.

The question of which TV show is better, Friends or Seinfeld, is subjective and depends on personal preferences. Both shows have been highly popular and have their own unique appeal.

Friends is a sitcom that revolves around a group of friends living in New York City. It focuses on their relationships, careers, and comedic moments. It is known for its relatable characters, humorous dialogue, and iconic catchphrases. Friends has a more light-hearted and feel-good tone, with emphasis on friendship and romantic relationships.

Seinfeld, on the other hand, is a sitcom about four self-centered friends living in New York City. It is often referred to as a "show about nothing" as it explores the mundane aspects of daily life and showcases the characters' quirky personalities. Seinfeld is known for its clever writing, observational humor, and memorable characters. It has a more cynical and satirical tone, often making fun of social norms and conventions.

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The followings are inventory transactions during May.
5/1 Beginning inventory of 300 units at $10/unit
5/5 Bought 700 units at $11/unit.
5/10 Sold 600 units for $16/unit.
5/15 Bought 1,000 units at $12/unit.
5/25 Sold 1,300 units for $16/unit.
Instructions: Compute costs of goods sold (COGS) and costs of ending inventory for May using the following
methods under the perpetual inventory system as of 5/31.
1. Average method.
2. First In First Out method.
3. Last In First Out method.

Answers

Here are the calculations for COGS and ending inventory for May using the average, FIFO, and LIFO methods under the perpetual inventory system as of 5/31:

Average Method

Cost of goods available for sale = $10,000 + $7,700 + $12,000 = $39,700

Average cost per unit = $39,700 / 2,000 units = $19.85

COGS = 600 units * $19.85 = $11,910

Ending inventory = 200 units * $19.85 = $3,970

FIFO Method

Cost of goods available for sale = $10,000 + $7,700 + $12,000 = $39,700

COGS = 600 units * $10 = $6,000

Ending inventory = 200 units * $11 = $2,200

LIFO Method

Cost of goods available for sale = $10,000 + $7,700 + $12,000 = $39,700

COGS = 1,300 units * $12 = $15,600

Ending inventory = 700 units * $11 = $7,700

COGS and inventory amounts vary with valuation method used. FIFO = High COGS, Low Inventory. LIFO = Low COGS, High Inventory. The average method is in between. Inventory valuation method's impact on financial statements is significant. Understand the methods before deciding.


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wind damage occurs to your car costing $1,500 to repair. if you have a $270 deductible for collision and full coverage for comprehensive, what portion of the claim will the insurance company pay?

Answers

The insurance company will pay $1230 of the claim.

In this scenario, since the damage to your car is caused by wind, it falls under the comprehensive coverage of your insurance policy.

To calculate the portion of the claim that the insurance company will pay, you need to consider the deductible and the total repair cost.

The repair cost for the wind damage is $1,500. Since you have a deductible of $270 for collision, which doesn't apply in this case, you only need to consider the comprehensive coverage.

Therefore, the insurance company will pay the remaining amount after deducting the deductible from the repair cost:

Claim amount paid by insurance company = Total repair cost - Deductible

Claim amount paid by insurance company = $1,500 - $270 = $1,230

The insurance company will pay $1,230 towards the repair cost of the wind damage to your car.

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Nowadays, when information technology is rapidly evolving, it is not at all difficult for companies to detect and produce the appropriate information material that concerns their human resources. In addition, valuable information is needed for businesses to be able to assess the current availability of their human resources, provides a job analysis. Identify what additional information emerges from the job analysis and in which activities of the company's Human Resources sector can be utilized.

Answers

Job analysis provides additional information about the company's human resources, and this information can be utilized in various activities of the Human Resources sector.

Job analysis is a process that involves gathering and analyzing information about the tasks, responsibilities, and requirements of a specific job role within a company. It provides valuable insights into the nature of work, job requirements, and the skills and competencies needed for successful performance.

The additional information that emerges from job analysis can be utilized in various activities of the company's Human Resources sector. Firstly, it can be used for recruitment and selection processes, where the job analysis data helps in developing accurate job descriptions and job specifications. This ensures that the right candidates are identified and hired for the job, aligning their skills and qualifications with the job requirements.

Secondly, job analysis information is essential for performance management activities. It helps in setting clear performance expectations, defining performance standards, and establishing relevant performance appraisal criteria. The data from job analysis can also be utilized for career development and succession planning, as it provides insights into the skills and competencies required for advancement within the company.

Furthermore, job analysis plays a crucial role in training and development initiatives. The information obtained helps in identifying skill gaps and training needs, allowing the Human Resources department to design and deliver targeted training programs to enhance employee performance and growth.

Overall, the data obtained from job analysis serves as a foundation for various Human Resources activities, including recruitment, selection, performance management, career development, and training. It enables organizations to make informed decisions and effectively manage their human resources to achieve their strategic objectives.

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Beagle Beauties engages in the development, manufacture, and sale of a line of cosmetics designed to make your dog look glamorous. Below you will find selected information necessary to compute some valuation estimates for the firm. Assume the values provided are from year-end 2015. Also assume that the firm’s equity beta is 1.40, the risk-free rate is 2.75 percent, and the market risk premium is 7 percent.
a. What are the sustainable growth rate and required return for Beagle Beauties?
b. Using these values, estimate the current share price of Beagle Beauties stock according to the constant dividend growth model.

Answers

To estimate the current share price, we need the expected dividend per share for the next period.

a. The sustainable growth rate for Beagle Beauties is X% and the required return is Y%.

The sustainable growth rate (g) can be calculated using the formula:

g = ROE × retention ratio

where ROE represents the return on equity and the retention ratio is the proportion of earnings retained in the business.

The required return (k) can be estimated using the Capital Asset Pricing Model (CAPM):

k = risk-free rate + beta × market risk premium

In this case, the equity beta is given as 1.40, the risk-free rate is 2.75%, and the market risk premium is 7%.

b. According to the constant dividend growth model, the current share price of Beagle Beauties stock can be estimated using the formula:

P₀ = D₁ / (k - g)

where P₀ is the current share price, D₁ is the expected dividend per share for the next period, k is the required return, and g is the sustainable growth rate.

To estimate the current share price, we need the expected dividend per share for the next period. However, that information is not provided in the question. Without the dividend information, we cannot calculate the current share price using the constant dividend growth model.

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Assume that the demand curve for an environmental good is with no positive externalities and can be described as MPB = 42-0.125q, where q refers to the quantity of the good. Assume also that the marginal private cost function can be described by MPC = 10+0.075q, and that marginal social costs are always 10 percent of the quantity produced. a) Determine an equation for the marginal social costs (MSC). b) Graph the MPB, MPC and MSC curves in one graph. c) Determine the market level of output and the optimal level of output.

Answers

The marginal social cost (MSC) can be determined by multiplying the quantity produced by 10 percent, resulting in an equation of MSC = 0.1q.

Graphing the marginal private benefit (MPB), marginal private cost (MPC), and MSC curves on the same graph allows us to analyze the market level of output and the optimal level of output. The market level of output occurs where the MPB and MPC curves intersect, while the optimal level of output occurs where the MPB and MSC curves intersect.   The marginal social cost (MSC) is calculated by taking 10 percent of the quantity produced, leading to the equation MSC = 0.1q. This reflects the additional cost to society associated with each unit of output. Graphing the MPB, MPC, and MSC curves on the same graph provides a visual representation of the relationship between these curves. The MPB curve represents the demand for the environmental good, indicating the maximum price that consumers are willing to pay for each quantity. The MPC curve represents the private cost incurred by producers in producing each quantity of the good. The market level of output occurs where the MPB curve intersects the MPC curve, as it represents the quantity at which the marginal private benefit equals the marginal private cost. This level of output is determined by the market forces of supply and demand. However, in the case of environmental goods, the optimal level of output should be where the MPB curve intersects the MSC curve. This represents the quantity at which the marginal benefit to society equals the marginal cost to society, taking into account the external costs associated with production. By producing at the optimal level, society maximizes its overall welfare by balancing the benefits and costs associated with the production of the environmental good.

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Complete each of the following statements in your Workbook by writing the appropriate word or phrase from the list below. A. Accounting is in nature. B. The states that financial reporting is done in equal periods of time. C. Asset and liability accounts are considered to be accounts. D. have their balances continue on into the succeeding fiscal period. E. Revenue, expense, and drawings accounts are considered to be accounts. F. The balances in do not continue into the fiscal period G. Another name for a nominal account is a H. Nominal accounts begin each fiscal period with I. The process of removing the "old" balances from the nominal accounts is known as J. means to cause it to have no balance. K. During a fiscal period, the Capital account shows L. Changes in equity during a fiscal period (except for additional invest- ments by the owner) are contained in accounts. M. At the end of the fiscal period, the ledger is brought up to date by N. One of the final steps in the accounting cycle is to bring the Capital account and to the nominal accounts. 0. The final step in the accounting cycle is List of Words or Phrases a nil balance close out closing an account closing the accounts cyclical journalizing and posting the adjusting entries next nominal nominal accounts the post-closing trial balance the balance at the beginning of the period real real accounts revenue, expense, and drawings temporary equity account time period concept up to date

Answers

The given statements related to Accounting are the correct terms that can be used to complete each of the given statements in the workbook.

A. Accounting is in nature. B. The time period concept states that financial reporting is done in equal periods of time. C. Asset and liability accounts are considered to be real accounts. D. Real accounts have their balances continue on into the succeeding fiscal period.

E. Revenue, expense, and drawings accounts are considered to be nominal accounts. F. The balances in nominal accounts do not continue into the fiscal period. G. Another name for a nominal account is a temporary equity account. H. Nominal accounts begin each fiscal period with a nil balance.

I. The process of removing the "old" balances from the nominal accounts is known as closing an account. J. Closing an account means to cause it to have no balance. K. During a fiscal period, the Capital account shows changes in equity. L. Changes in equity during a fiscal period (except for additional investments by the owner) are contained in real accounts. M. At the end of the fiscal period, the ledger is brought up to date by journalizing and posting the adjusting entries. N. One of the final steps in the accounting cycle is to bring the Capital account and the nominal accounts to a nil balance. O. The final step in the accounting cycle is to prepare the post-closing trial balance.

The above given are the correct terms that can be used to complete each of the given statements in the workbook.

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You borrow $740 from your brother and agree to pay back $810 in
16 months. What simple interest rate will you pay?

Answers

To calculate the simple interest rate, we can use the formula:

Simple Interest = Principal × Rate × Time

Principal (P) = $740

Amount to be paid back (A) = $810

Time (T) = 16 months

We need to find the rate (R).

Simple Interest = Amount to be paid back - Principal

Simple Interest = A - P

Interest = P × R × T

A - P = P × R × T

R = (A - P) / (P × T)

R = ($810 - $740) / ($740 × 16/12)

R ≈ $70 / ($740 × 1.33)

R ≈ $70 / $985.2

R ≈ 0.071 or 7.1%

Therefore, the simple interest rate you will pay is approximately 7.1%.

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Which of the following identifies the reason that we need reconciliations between governmental funds and government-wide governmental activities (select all that apply)?
a. Internal service funds are often categorized as governmental funds.
b. Governmental funds use the modified accrual basis of accounting, and the government-wide governmental activities use the accrual basis of accounting.
c. Internal service funds are often categorized as governmental activities.
d. Governmental funds use the accrual basis of accounting, and the government- wide governmental activities use the modified accrual basis of accounting.

Answers

"Governmental funds use the modified accrual basis of accounting, and the government-wide governmental activities use the accrual basis of accounting", identifies the reason that we require reconciliations amaong governmental funds and government-wide governmental activities. The right answer is b.

The terms cash basis and full accrual basis are combined to form modified accrual. When revenues are both quantifiable and accessible, they are recognised. However, as expenses are always quantifiable at the time of incurrence, they are recorded using the full accrual method.

Which transactions are recognised in the operating fund depends on the measuring focus of the governmental funding. Transactions are not included in the operational capital of the fund financial statement if they are not a current resource or use.

The correct answer is option b.

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Company A will use 4 different trucks to ship products from its factory to 4 warehouses. Any truck can be used for making these 4 trips. However, due to differences in trucks, warehouses, and labor and loading conditions, the cost of shipping for each truck warehouse combination varies, as shown in the following table. Formulate this problem with the goal of assigning trucks to warehouses while minimizing the total cost of all shipments. Clearly describe your decision variables and write down objective function and all necessary constraints. Upload your formulation to FINAL_pictures assignment OR type in textbox. Warehouse1 Warehouse2 Warehouse3 Warehouse4 Truck1 5 7 5 3 4 Truck2 Truck3 Truck4 9 3 4 st a 5 6 A 8

Answers

Decision variables: Let xij represent the assignment of truck i to warehouse j, where i = 1, 2, 3, 4 represents the trucks and j = 1, 2, 3, 4 represents the warehouses

Objective function: Minimize the total cost of all shipments, which can be formulated as: Minimize 5x11 + 7x12 + 5x13 + 3x14 + 9x21 + 3x32 + 4x43 + 5x34 + 6x41 + 8x42.

Constraints:

1. Each warehouse must be assigned to exactly one truck: x11 + x21 + x31 + x41 = 1, x12 + x22 + x32 + x42 = 1, x13 + x23 + x33 + x43 = 1, x14 + x24 + x34 + x44 = 1.

2. Each truck can only be assigned to one warehouse: x11 + x12 + x13 + x14 = 1, x21 + x22 + x23 + x24 = 1, x31 + x32 + x33 + x34 = 1, x41 + x42 + x43 + x44 = 1.

3. Binary constraint: xij = 0 or 1 for all i, j.

The problem involves assigning trucks to warehouses while minimizing the total cost of shipments. The decision variables represent the assignment of each truck to each warehouse. The objective function is formulated to minimize the cost of shipments based on the given cost table. The constraints ensure that each warehouse is assigned to exactly one truck and each truck is assigned to exactly one warehouse. Additionally, the binary constraint restricts the decision variables to 0 or 1.

The formulated problem aims to minimize the total cost of shipments by assigning trucks to warehouses while satisfying the assignment and binary constraints.

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Question: Why are operational indicators such as PE and ACCT
checked off and what are they used for?

Answers

Operational indicators such as PE and ACCT are checked off and used for various purposes as follows: Performance Efficiency (PE).

The performance efficiency is an operational indicator that is evaluated to determine whether a project is efficiently utilizing its resources.

It is used to measure the efficiency of the project by comparing the amount of work accomplished with the amount of work planned to be accomplished.

The formula used to calculate Performance Efficiency (PE) is as follows: Performance Efficiency (PE) = (Earned Value / Planned Value) × 100

This formula is used to measure the performance efficiency of the project.

Accounting (ACCT): The Accounting operational indicator is used to track expenses and the total amount of money spent on a project.

It helps in measuring the financial performance of a project.

This information is then utilized to make decisions about project cost control.

The Accounting (ACCT) operational indicator is used to measure the following: Project expenditures

Funds remaining: Percentage of funding expendedThe Accounting operational indicator can be used to determine whether a project is using its funds efficiently or if there are any discrepancies between the project's expenses and the estimated expenses.

An accounting operational indicator is an essential tool for project managers to determine whether they are meeting the project's financial objectives.

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Sarah Wiggum would like to make a single investment and have $1.3 million at the time of her retirement in 40 years. She has found a mutual fund that will earn 4 percent annually How much will Sarah have to invest today? f Sarah invests that amount and could earn a 15 percent annual retum, how soon could she retire, assuming she is still going to retire when she has $1.3 million?

Answers

Sarah would need to invest $296,904.96 today in order to have $1.3 million at the time of her retirement in 40 years. Sarah would need to wait for 28.64 years to retire if she invests $142,095.04 and earns a 15 percent annual return.

If Sarah invests that amount and could earn a 15 percent annual return, she would be able to retire in 28.64 years.

If Sarah Wiggum intends to accumulate $1.3 million by the time of her retirement in 40 years and has identified a mutual fund with an annual return of 4 percent, she would need to determine the initial investment required to achieve her goal.

Here’s how we can calculate the amount of investment needed by Sarah today:

PV = FV / (1 + r)n

PV = present value or investment amount

FV = future value or desired amount of $1.3 million

r = annual interest rate of 4% (as a decimal)

r = 0.04n = number of years = 40 years

PV = 1,300,000 / (1 + 0.04)40PV = 1,300,000 / 9.13637652562

PV = 142,095.039382

The amount that Sarah would have to invest today would be $142,095.04 in order to have $1.3 million at the time of her retirement in 40 years.

By assuming Sarah makes the specified investment and earns a 15 percent annual return, we can determine the potential timeframe in which she could retire while still maintaining a balance of $1.3 million.

Here’s how we can calculate the number of years Sarah would need to wait to retire if she invests $142,095.04 and earns a 15 percent annual return:

FV = PV x (1 + r)n

FV = future value = $1.3 million

PV = present value = $142,095.04

r = annual interest rate of 15% (as a decimal)

r = 0.15

n = number of years we want to calculate

FV = PV x (1 + r)n

1,300,000 = 142,095.04 x (1 + 0.15)n

9.15193796472 = (1 + 0.15)n

Log(9.15193796472) = Log(1 + 0.15)n

0.961086195245 = n

Therefore, Sarah would need to wait for 28.64 years to retire if she invests $142,095.04 and earns a 15 percent annual return.

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Cube Company sells small refrigerators. It usually sells these refrigerators to hotels and offices. However, sometimes its customers choose to buy their refrigerators because they do not have a lot of room for a full-size refrigerator in their houses and apartments. Its primary market is a(n) _____________ market, but it also sells to a(n) _____________ market.
Select one:
a. business; consumer
b. business; demographic
c. business; industrial
d. consumer; business
e. industrial; target

Answers

Cube Company usually sells its small refrigerators to hotels and offices, which is the business market. This is because businesses are often in need of refrigerators to keep food or other things cold. However, sometimes the company's customers choose to buy their refrigerators because they do not have a lot of room for a full-size refrigerator in their houses and apartments, which is the consumer market.

Cube Company is a company that sells small refrigerators and usually sells these refrigerators to hotels and offices. Hotels and offices are always in need of refrigerators to keep food or other things cold. That's why Cube Company's primary market is the business market. However, sometimes its customers choose to buy their refrigerators because they do not have a lot of room for a full-size refrigerator in their houses and apartments. In this case, Cube Company is catering to a consumer market as well.The consumer market is where customers purchase products for their personal use. Cube Company sells small refrigerators for personal use. Therefore, it is also catering to the consumer market. In a consumer market, the consumer is the king. In this market, the producers have to pay attention to what the customer wants. The customer decides which product is successful and which is not. Therefore, Cube Company has to make sure that it keeps its customers happy by providing them with quality products and services.Cube Company has a primary market of a business market, but it also sells to a consumer market. This is because the company's customers sometimes choose to buy their refrigerators because they do not have a lot of room for a full-size refrigerator in their houses and apartments. Therefore, Cube Company is catering to both markets.

Cube Company has a primary market of a business market, but it also sells to a consumer market. Its customers sometimes choose to buy their refrigerators because they do not have a lot of room for a full-size refrigerator in their houses and apartments, which is the consumer market. Therefore, the correct answer is option (a) business; consumer.

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How could a business balance the line on their production process?
Reduce the number of workers in the step causing the bottleneck
Speed up the step causing the bottleneck
Reduce the speed of the step causing the bottleneck
Reduce the speed of the process after the bottleneck

Answers

Balancing the production line involves optimizing the workflow to eliminate or minimize bottlenecks. To balance the line on their production process, a business can consider the following strategies:

A. Reduce the number of workers in the step causing the bottleneck: If a particular step has more workers than necessary, it can create congestion and slow down the entire production line.

By optimizing staffing levels and ensuring that the right number of workers is assigned to each step, the flow can be improved. This may involve redistributing workers to other steps where they are needed or adjusting shift schedules.

B. Speed up the step causing the bottleneck: If a specific step is causing a bottleneck, it may be necessary to increase the speed or efficiency of that step.

This can be achieved by implementing process improvements, such as using faster equipment, improving work methods, or providing additional training to workers. Analyzing the specific constraints of the bottleneck step can help identify opportunities for speeding up the process.

C. Reduce the speed of the step causing the bottleneck: In some cases, the bottleneck may be caused by a step that is operating at a speed higher than the subsequent steps in the production process can handle.

Slowing down the bottleneck step can help create a balance in the overall flow. However, it's important to carefully consider the impact on productivity and overall efficiency before implementing this strategy.

D. Reduce the speed of the process after the bottleneck: If the bottleneck is occurring due to a significant difference in processing times between the bottleneck step and the subsequent steps, adjusting the speed of the process after the bottleneck can help balance the line. Slowing down the subsequent steps can prevent inventory build-up and ensure a smooth flow of work throughout the production process.

It's important to note that the best approach to balancing the production line will depend on the specific circumstances and constraints of the business. Regular monitoring, analysis, and experimentation may be necessary to identify the most effective strategies for achieving a balanced production process.

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Institutional investors are playing an increasing monitoring role of the firms they invest in. They do this as part of their: (choose the option that best applies)
a. Entrepreneurial duties.
b. Fiduciary duties.
c. Managerial duties.
d. Legal duties.

Answers

Answer:

The correct option is B. Fiduciary Duties.

Explanation:

Institutional investors, such as pension funds, mutual funds, and insurance companies, have a fiduciary duty to act in the best interests of their clients or beneficiaries. This duty includes monitoring and overseeing the firms they invest in to ensure that they are managed properly and that the investments are protected. By actively monitoring the firms, institutional investors aim to maximize returns and minimize risks on behalf of their clients or beneficiaries.

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What is the value of DTE stock using the perpetual growth model with $2.35 dividends and a discount rate of 4.75%?
formula given: P0 = (D_0 × (1 + g))/(k − g

Answers

The value of the DTE stock rate can be calculated as:

P0 = (D_0 × (1 + g))/(k − g)

Dividend = 2.35

Discount Rate = 0.0475

Dividend/discount rate = 2.35/0.0475 = $49.47

Thus, the DTE stock rate is $49.47.

DTE Energy, a diversified energy corporation located in Detroit that develops and manages energy-related businesses and services in the US and Canada, was formerly known as Detroit Edison until 1996. A natural gas utility serving 1.3 million consumers in Michigan and an electric utility serving 2.2 million customers are among its operating units.

National and foreign corporations both makeup DTE. Non-utility energy companies with a focus on power and industrial projects, energy marketing, and trading are part of the DTE Energy portfolio.

In 2020, coal accounted for 49.66% of DTE's electricity production, followed by nuclear at 21.07%, natural gas at 17.21%, and renewable sources like wind, solar, and hydroelectricity at 11.81%.

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At the beginning of 2010, Dell Inc had 450,000 shares issued and outstanding. on June 30, 2010 the firm issued an additional 135,000 share for $7 per share, the 2010. income was$ 319,200. on September 1, 2011, a 15% stock dividend was issued to all common shareholders, on October 1, 2011, 60,000 shares were reacquired as treasury shares. Net income in 2011 was $278,063 Compute the basic earnings per share in 2010, and 2011

Answers

At the beginning of 2010, Dell Inc had 450,000 shares issued and outstanding. The basic earning per share in 2010 is $0.95 per share and in 2011 is $0.45 per share.

On June 30, 2010, the firm issued an additional 135,000 share for $7 per share. The 2010 income was $319,200. On September 1, 2011, a 15% stock dividend was issued to all common shareholders. On October 1, 2011, 60,000 shares were reacquired as treasury shares. Net income in 2011 was $278,063.

The basic earnings per share in 2010 and 2011 are as follows:

Basic earnings per share for 2010:

Basic earnings per share formula = (Net income - Preferred dividends) / Weighted average number of shares

Basic earnings per share

= ($319,200 - 0) / 450,000 + 135,000 / 2

= $0.95 per share

Basic earnings per share for 2011:

Basic earnings per share formula = (Net income - Preferred dividends) ÷ Weighted average number of shares

Basic earnings per share

= ($278,063 - 0) ÷ 617,250

= $0.45 per share

Note: In 2011, 15% of the weighted average shares (92,250 shares) are also added to the weighted average number of shares. The repurchase of 60,000 shares does not affect the calculation of basic earnings per share.

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Compare and contrast the difference between a public nuisance
and a private nuisance.

Answers

Public Nuisance:A public nuisance refers to an activity, condition, or thing that interferes with the rights of the general public.

It affects the community as a whole, rather than specific individuals. Public nuisances typically involve actions that impact public health, safety, or welfare. Examples of public nuisances include loud parties, pollution, obstructed public spaces, or hazardous structures. Public nuisances are regulated by local or municipal laws, and legal action can be taken by government entities or affected members of the public.

Private Nuisance:

A private nuisance, on the other hand, affects the use and enjoyment of property owned by an individual or a limited number of individuals. It involves interference with the rights of specific individuals to use and enjoy their property. Private nuisances can include excessive noise, odors, vibrations, or other disturbances that disrupt the peaceful enjoyment of one's property. Legal action to address a private nuisance is typically initiated by the affected property owner, seeking remedies such as injunctions, damages, or the cessation of the offending activity.

Key Differences:1. Scope of Impact: Public nuisances affect the community as a whole, whereas private nuisances impact specific individuals or a limited number of individuals and their properties.

2. Nature of Interference: Public nuisances generally involve activities or conditions that impact public health, safety, or welfare. Private nuisances are more focused on individual property rights and interference with the use and enjoyment of private property.

3. Legal Action: Public nuisances are typically addressed by government entities or public agencies through legal action. Private nuisances are addressed by affected individuals who seek legal remedies to stop the interference and seek compensation for damages.

4. Regulation: Public nuisances are regulated by local or municipal laws that define the standards and behaviors considered detrimental to the public. Private nuisances are assessed based on the impact on specific individuals and their rights to use and enjoy their property.

In summary, public nuisances pertain to activities that disrupt the rights of the general public, whereas private nuisances involve interference with individual property rights. Public nuisances are addressed by government entities, while private nuisances are typically resolved through legal action initiated by affected individuals.

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Mean Absolute Deviation (MAD) (Refer to Slides 52, 53, and 54 in Chapter 02 -or- Pages 54 and 55 in the textbook) Calculate the Mean Absolute Deviation (MAD) using the following data. Month Actual Sales Forecast ABS Deviation
Month
Actual Sales
Forecast
ABS Deviation
JAN
1,345
1,375
FEB
1,445
1,330
MAR
1,470
1,450
APR
1,390
1,420
MAY
1,340
1,350
JUN
1,345
1,340
JUL
1,300
1,305
AUG
1,375
1,355
SEP
2,152
2,200
OCT
2,312
2,135
NOV
2,352
2,320
DEC
2,224
2,272
TOTAL
AVERAGE

Answers

The Mean Absolute Deviation (MAD) is calculated by finding the absolute deviations between the actual sales and the forecasted sales, summing them up, and dividing by the number of data points. In this case, we will calculate the MAD for the given data set.

To calculate the Mean Absolute Deviation (MAD), we need to find the absolute deviations between the actual sales and the forecasted sales for each month. The absolute deviation is obtained by subtracting the forecasted sales from the actual sales, taking the absolute value of the difference. Then, we sum up all the absolute deviations and divide by the number of data points.

Month Actual Sales Forecast ABS Deviation

JAN 1,345 1,375 30

FEB 1,445 1,330 115

MAR 1,470 1,450 20

APR 1,390 1,420 30

MAY 1,340 1,350 10

JUN 1,345 1,340 5

JUL 1,300 1,305 5

AUG 1,375 1,355 20

SEP 2,152 2,200 48

OCT 2,312 2,135 177

NOV 2,352 2,320 32

DEC 2,224 2,272 48

To calculate the MAD, we sum up the absolute deviations and divide by the number of data points:

MAD = (30 + 115 + 20 + 30 + 10 + 5 + 5 + 20 + 48 + 177 + 32 + 48) / 12

MAD = 590 / 12

MAD ≈ 49.17

Therefore, the Mean Absolute Deviation (MAD) for the given data set is approximately 49.17.

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