Write a paragraph about People as Brands.
a. What do you think is the most important difference to note between a person brand and a product brand based on the passage?
b. Who is a person that has taken a huge brand hit in the past year and what are the reasons for this? (Do not use a politician please)

Answers

Answer 1

a. The most important difference to note between a personal brand and a product brand is that a personal brand is built around an individual's reputation, values, and personal qualities, while a product brand focuses on marketing tangible goods or services.

a. Personal branding refers to the process of establishing and promoting an individual's reputation, expertise, and unique qualities. It involves shaping how others perceive and identify with that person, often for professional or business purposes.

Unlike product brands, which primarily emphasize features, benefits, and market positioning, personal brands are centered around the individual's character, values, expertise, and the emotional connection they create with their audience. A strong personal brand can lead to career opportunities, influence, and credibility.

On the other hand, a product brand focuses on positioning a specific product or service in the market, highlighting its features, benefits, and competitive advantage.

b. While it is difficult to pinpoint a specific individual who has taken a huge brand hit in the past year without mentioning a politician, it is important to note that public figures, celebrities, and business leaders often face challenges in managing their personal brands. Negative publicity, scandals, or controversies can significantly impact an individual's reputation and brand image.

These events can lead to a loss of public trust, credibility, and diminished opportunities. It is crucial for individuals to maintain consistency, authenticity, and ethical behavior to protect and enhance their personal brand reputation.

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Related Questions

In August 2016, Arizona became the first in the nation to pass a "Declaration of Independent Business Status," allowing, but not requiring, independent contractors to sign a statement acknowledging that they operate an independent business, are not entitled to unemployment or other benefits arising from an employment relationship, and are responsible for taxes owed and for any registration, license, or authorization necessary for services rendered. The worker must also meet 6 of 10 other criteria commonly used to determine a worker’s status. The signed document creates a rebuttable presumption that the worker is an independent contractor if that status is ever challenged. What are the benefits attached to the signing of such a declaration? In what ways might it be harmful to the signer? To a party contracting with her?

Answers

The benefits attached to signing the "Declaration of Independent Business Status" in Arizona include the ability for independent contractors to assert their status as self-employed individuals.

By acknowledging that they operate an independent business, contractors can establish a legal presumption of their independent contractor status, which can be advantageous if their classification is ever questioned or challenged. This presumption provides a layer of protection and can potentially help avoid costly legal disputes regarding employment status.

However, signing the declaration also carries potential risks. By explicitly acknowledging that they are not entitled to unemployment benefits or other benefits typically associated with an employment relationship, independent contractors may find themselves without important safety nets in times of financial hardship or unforeseen circumstances. Additionally, the responsibility for paying taxes and obtaining necessary registrations, licenses, or authorizations falls solely on the independent contractor, which can add administrative burdens and potential financial liabilities.

From the perspective of a party contracting with an individual who has signed the declaration, it may offer a degree of assurance that they are engaging a genuinely independent contractor. However, if the true nature of the working relationship is closer to that of an employee, the party contracting with the signer may face potential legal consequences and liabilities, such as back payment of taxes, penalties, and other obligations associated with misclassifying an employee as an independent contractor.

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Why is Illinois no longer the largest producer of pears in the US?

Labor costs became excessive

A major disease problem called fire blight was introduced to Illinois from the east coast

Illinois residents stopped eating pears

Illinois lost its federal license to produce pears

Answers

The reason why Illinois is no longer the largest producer of pears in the US is due to a major disease problem called fire blight being introduced to Illinois from the east coast and labor costs becoming excessive.

Illinois residents stopped eating pears and Illinois lost its federal license to produce pears. These are the reasons why Illinois is no longer the largest producer of pears in the US.The first reason for this is that a major disease problem called fire blight was introduced to Illinois from the east coast. Fire blight is a disease that affects fruit trees, including pear trees. The disease causes the tree to develop blackened, withered leaves and branches, and can eventually kill the tree. Fire blight is difficult to control, and once it has infected a tree, it can quickly spread to other trees in the orchard.The second reason is that labor costs became excessive. As labor costs increased, it became more expensive to grow and harvest pears in Illinois. This made it difficult for Illinois growers to compete with other states that had lower labor costs. As a result, many growers in Illinois stopped growing pears, which led to a decline in production.

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Illinois is no longer the largest producer of pears in the United States due to a major disease problem called fire blight, which was introduced to Illinois from the east coast.

The disease, which infects and destroys pear trees, caused a significant reduction in pear production in the state, leading to a decline in the industry and a shift in production to other regions with more favorable growing conditions and disease resistance. Therefore, labor costs, Illinois residents, and federal licenses are not the reasons why Illinois is no longer the largest producer of pears in the US. Due to a serious health issue called fire blight, which was brought to Illinois from the east coast, Illinois is no longer the top producer of pears in the United States.

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If the company’s current liabilities increase by 30%, which of the following indicators or ratios will decrease as a result, e-commerce prices increased, and trade discussed by 30%:A- Debt to Total Assets Ratio
Ratio of debt to assets
b- Debt-to-equity ratio and debt-to-equity ratio
C- Current Ratio and Current Ratio D- Accounts Receivable Turnover Ratio and Alternative Receivables Turnover Ratio
7-A correlation study shows that the correlation coefficient between the price of the price utilities is located in an equal state (1.00). This result means
A - There is a weak direct relationship between the price of the two commodities. There is a weak relationship between the price of the two commodities
B-
It is the reason for the controversy, the price of which indicates the high price of drugs
It is the reason for the decrease in the price of (X) the increase in the price of the commodity
C- There is a direct direct relationship between the price of the two commodities
D- It is the cause of the rise in the price of the sea and the rise of the cliffs.
The reason for the rise in the price of the commodity (X) is the rise in the price of the commodity (Y)
8-Which of the following statements is (are) correct:a-Public offering is characterized by low issuance costs due to selling securities to
the public b-Public offering is characterized by low issuance costs due to selling securities to the public
C- Private placement includes seling securities to specific investors Generally there is a pre agreement between the firm and the investors without assistance of investment banks
D-d. Generally, public offering is done without assistance of investment banks

Answers

If a company’s current liabilities increase by 30%, then the Debt to Total Assets Ratio indicator or ratio will decrease as a result. The Debt to Total Assets Ratio is a financial indicator that calculates a company’s total debt relative to the total value of its assets.

The Debt to Total Assets Ratio is calculated by dividing total liabilities by total assets. If a company’s current liabilities increase by 30%, then the total liabilities will increase, and the Debt to Total Assets Ratio will decrease.



Regarding the second part of the question, the correct statement is c. Private placement includes selling securities to specific investors. Generally, there is a pre-agreement between the firm and the investors without the assistance of investment banks.

Private placement is a method of selling securities to a small group of accredited investors, rather than to the public. In private placement, the company sells securities to a limited number of specific investors without assistance from investment banks.

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Question 1
Now calculate the average return and standard deviation in each market, then use the Normal Approximation to calculate the 95% Value at Risk. (As in the previous question, enter your answers as positive losses in $, with no decimal places).
VaR Fiscalia Stock Market: ?
VaR Monetaria Stock Market: ?

Answers

The VaR (Value at Risk) for the Fiscalia Stock Market is $X and for the Monetaria Stock Market is $Y.

To calculate the VaR, we first need to determine the average return and standard deviation in each market. The average return represents the average gain or loss observed over a certain period, while the standard deviation measures the volatility or risk associated with the returns.

Once we have the average return and standard deviation, we can use the Normal Approximation method to calculate the VaR at a specified confidence level, which in this case is 95%. The VaR represents the maximum expected loss at a given confidence level over a specific time horizon.

To calculate the VaR using the Normal Approximation, we multiply the standard deviation by the Z-score corresponding to the desired confidence level. In this case, the Z-score for a 95% confidence level is 1.645. Multiplying the Z-score by the standard deviation gives us the dollar amount that represents the VaR at the 95% confidence level.

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Which two of the following are not key components of a Social Media Content Strategy (PICK TWO):

a. Specifications for Profile Optimization
b. list of content-specific goals and objectives

Answers

Social media content strategy is a marketing plan that outlines how a company will use social media channels to communicate with its target audience.

Two of the following which are not key components of a Social Media Content Strategy are:a. Specifications for Profile Optimizationb. List of content-specific goals and objectivesSpecifications for Profile Optimization and a list of content-specific goals and objectives are not key components of a Social Media Content Strategy.

A social media content strategy is used to create and execute a comprehensive plan for your social media accounts, which can result in improved brand recognition, increased social media engagement, and the generation of new sales leads.Instead, the key components of a Social Media Content Strategy include:Content researchA well-defined target audienceContent sharing goalsChannels of distributionA content publishing scheduleAn outline of your content promotion and outreach plan.

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1) does peloton case study represent an incremental or radical innovation? justify your response using specific details from the case.

2) should peloton focus on cost advantage or differentiation advantage strategy? justify your response using specific terms.

Answers

Peloton represents a radical innovation due to its revolutionary business model, disruptive technology, digital ecosystem, and market transformation.

should peloton focus on cost advantage or differentiation advantage

It introduced a unique combination of hardware, software, and content to create an immersive and personalized fitness experience. Peloton's focus on differentiation, with a unique value proposition, premium pricing, strong brand and community, and continuous innovation, makes it more suitable to pursue a differentiation advantage strategy.

This strategy allows Peloton to maintain its market leadership by delivering a superior and differentiated fitness experience.

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11 ces our applies to the questo a velow.j [ie fonowing Simon Company's year-end balance sheets follow. At December 31 Assets Cash Accounts receivable, net Merchandise inventory Prepaid expenses Plant

Answers

The assets of Simon Company's year-end balance sheets are as follows: Cash, accounts receivable net, merchandise inventory, prepaid expenses, and plant. However, the amount of these assets is not given in the question and therefore cannot be included in the answer.

Assets are defined as resources with economic value that a company, corporation, or individual owns or manages with the goal of producing returns or benefits in the future. They are something that is owned, possessed, or controlled by a person or entity and that has monetary value in the market. Assets may include cash, real estate, machinery, intellectual property, and other items that can be monetized.

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Determining the Cost of Capital: Cost of New Common Stock If a firm plans to issue new stock, flotation costs (investment bankers' fees) should not be ignored. There are two approaches to use to account for flotation costs. The first approach is to add the sum of flotation costs for the debt, preferred, and common stock and add them to the initial investment cost. Because the investment cost is increased, the project's expected return is reduced so it may not meet the firm's hurdle rate for acceptance of the project. The second approach involves adjusting the cost of common equity as follows: Cost of equity from new stock = re = F) +9L The difference between the flotation-adjusted cost of equity and the cost of equity calculated without the flotation adjustment represents the flotation cost adjustment. Quantitative Problem: Barton Industries expects next year's annual dividend, D1, to be $2.10 and it expects dividends to grow at a constant rate gL = 5%. The firm's current common stock price, Po, is $24.90. If it needs to issue new common stock, the firm will encounter a 5.3% flotation cost, F. Assume that the cost of equity calculated without the flotation adjustment is 12% and the cost of old common equity is 11.5%. What is the flotation cost adjustment that must be added to its cost of retained earnings? Round your answer to 2 decimal places. Do not round intermediate calculations. 1.32% What is the cost of new common equity? Round your answer to 2 decimal places. Do not round intermediate calculations. 13.91 %

Answers

To calculate the flotation cost adjustment, we need to find the difference between the cost of equity calculated without the flotation adjustment and the cost of old common equity.

Given:

Dividend for the next year, D1 = $2.10

Dividend growth rate, gL = 5%

Current common stock price, Po = $24.90

Flotation cost, F = 5.3%

Cost of equity calculated without flotation adjustment = 12%

Cost of old common equity = 11.5%

First, let's calculate the cost of new common equity by applying the flotation cost adjustment formula:

Cost of equity from new stock = re = (1 + F) * (Cost of equity calculated without flotation adjustment)

Cost of equity from new stock = (1 + 0.053) * 12% = 1.053 * 12% = 12.636%

Next, let's calculate the flotation cost adjustment:

Flotation cost adjustment = Cost of new common equity - Cost of old common equity

Flotation cost adjustment = 12.636% - 11.5% = 1.136%

Therefore, the flotation cost adjustment that must be added to the cost of retained earnings is 1.136%.

The cost of new common equity is 12.636% (rounded to 2 decimal places).

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Why is the Pareto principle important in marketing analytics? Check all that apply" Group of answer choices
a) It shows how profits are distributed
b) It helps to explain dependency on few items to managers and executives
c) It shows how few things (products, customers, salespeople, etc) can have a significant impact
d) It shows how dependent a business is on a small percentage of customers

Answers

The Pareto principle important in marketing analytics. The correct answers are b), c), and d).

The Pareto principle is important in marketing analytics because:
b) It helps to explain dependency on few items to managers and executives: The Pareto principle, also known as the 80/20 rule, highlights that a significant portion of the outcomes (such as sales, profits, or customer behavior) is driven by a small percentage of factors. This understanding helps managers and executives focus their resources and efforts on the key drivers that have the most impact on business performance.
c) It shows how few things (products, customers, salespeople, etc.) can have a significant impact: The Pareto principle emphasizes that a small subset of products, customers, salespeople, or other variables can account for a significant portion of the overall results. By identifying these high-impact factors, marketers can prioritize their strategies and allocate resources effectively to maximize returns.
d) It shows how dependent a business is on a small percentage of customers: The Pareto principle reveals that a small percentage of customers often contribute to a significant portion of a company's revenue or profits. Recognizing this dependence allows businesses to focus on nurturing and retaining these valuable customers, providing them with exceptional experiences, and developing targeted marketing strategies to maintain their loyalty and satisfaction.
Therefore, the correct answers are b), c), and d).

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The following securities are in Crane SA's portfolio of long-term non-trading securities at December 31, 2019. Cost 1,000 shares of Reginald SA ordinary shares : R$55,000 1,400 shares of Elderberry A/S ordinary shares : 88,200
1,200 shares of Mattoon AG preference shares : 33,600 On December 31, 2019, the total cost of the portfolio equaled total fair value. Crane had the following transactions related to the securities during 2020. Jan. 20 Sold all 1,000 ordinary shares of Reginald at R$57,80 per share.
28 Purchased 310 shares of R$70 par value ordinary shares of Hachito Ltd. at R$79.20 per share.
30 Received a cash dividend of R$1.15 per share on Elderberry ordinary shares.
Feb. 8 Received cash dividends of $0.30 per share on Mattoon preference shares. 18 Sold all 1,200 preference shares of Mattoon at R$26.30 per share. July. 30 Received a cash dividend of R$1.00 per share on Elderberry ordinary shares.
Sept. 6 Purchased an additional 800 R$70 par value ordinary shares of Hachito at R$82 per share. Dec. 1 Received a cash dividend of R$1.50 per share on Hachito ordinary shares. At December 31, 2020, the fair values of the securities were: Elderberry A/S ordinary shares : R$67 per share Hachito Ltd. ordinary shares : R$72 per share Prepare journal entries to record the transactions. Crane has no significant influence over its share investments. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No entry" for the account titles and enter 0 for the amounts. Record journal entries in the order presented in the problem.) 

Answers

The journal entries to record the transactions related to Crane SA's securities portfolio are as follows:

Jan. 20:

Cash                                                        $57,800

Realized Gain on Sale of Investments    $2,800

Investment in Reginald SA                       $55,000

  (To record the sale of 1,000 ordinary shares of Reginald at R$57.80 per share)

Jan. 28:

Investment in Hachito Ltd.           $24,552

Cash                                              $24,552

  (To record the purchase of 310 ordinary shares of Hachito Ltd. at R$79.20 per share)

Jan. 30:

Cash                               $1,610

Dividend Income           $1,610

  (To record the cash dividend received on Elderberry ordinary shares)

Feb. 8:

Cash                               $360

Dividend Income            $360

  (To record the cash dividend received on Mattoon preference shares)

Feb. 18:

Cash                                        $31,560

Realized Loss on Sale of Investments     $2,040

  Investment in Mattoon AG                      $33,600

  (To record the sale of 1,200 preference shares of Mattoon at R$26.30 per share)

July 30:

Cash                               $1,400

Dividend Income            $1,400

  (To record the cash dividend received on Elderberry ordinary shares)

Sept. 6:

Investment in Hachito Ltd.       $65,600

Cash                                          $65,600

  (To record the purchase of 800 ordinary shares of Hachito Ltd. at R$82 per share)

Dec. 1:

Cash                               $1,200

Dividend Income            $1,200

  (To record the cash dividend received on Hachito ordinary shares)

The journal entries are recorded to reflect the various transactions related to Crane SA's securities portfolio during 2020. The entries include the sale and purchase of shares, the receipt of cash dividends, and the realization of gains or losses on the sale of investments.

Each transaction is recorded by debiting or crediting the appropriate accounts. The investment accounts are adjusted for the sale and purchase of shares, while the cash account is updated for the receipt of dividends. Realized gains or losses are recognized when securities are sold.

These journal entries allow for the accurate tracking and recording of the transactions and help maintain the proper valuation and accounting of Crane SA's securities portfolio.

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According to its annual report, P\&G's billion-dollar brands include Pampers, Tide, Ariel, Always, Pantene, Bounty, Charmin, Downy, Olay, Crest, Vicks, Gillette, and others. The following are items taken from its recent balance sheot and income statement. Note that different companies use slightly different titles for the same item, Select each item in the following list as an asset, liability, or stockholders' equity item that would appear on the balance sheet or a revenue or expense item that would appear on the income statement.

Answers

In the given scenario, we need to select each item from the given list as an asset, liability, or stockholders' equity item that would appear on the balance sheet or a revenue or expense item that would appear on the income statement.

In a company's annual report, the balance sheet and income statement are the most important financial statements. The balance sheet presents the company's financial position at a particular time and includes assets, liabilities, and stockholders' equity. The income statement, on the other hand, lists the company's revenues and expenses over a specified time period.

We will select each item in the given list and categorize it as an asset, liability, or stockholders' equity item that appears on the balance sheet or a revenue or expense item that appears on the income statement: Balance Sheet: Assets: Cash and cash equivalents Liabilities: Accounts payable Equity: Common stock Income statement: Revenue: Net sales Expenses: Cost of goods sold

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Rani Inc. decides to acquire an equipment that has a 4-year life and costs Taka 50,00,000 delivered and installed. The equipment can be written off according to the accelerated depreciation chart of the NBR, 45 percent can be written off in the first year, 30 percent in the second year, and 25 percent in the third year. Annual maintenance cost is Tk. 2,00,000. It is considering two options for financing the equipment. (1) Rani can borrow an equivalent amount at 12 percent per year for 4 years. The loan will be amortized over 4 years. Yearly loan payment is Tk. 16,46,362 and Interest payments according to amortization table are Tk. 6,00,000, Tk.4,74,436, Tk. 3,33,806, and Tk. 1,76,299 respectively. (2) Rani will lease the equipment for 4 years at a rental charge of Taka 13,15,500 per year, payable at the end of each year. It has the option to buy the equipment at the end of the 4th year for Tk. 8,00,000. Lessee will maintain the equipment. The equipment will be used for at least 5 years. Required: Do a lease versus buy analysis using 12.5 percent as the discount rate. Marginal tax rate is 30%.

Answers

To perform a lease versus buy analysis, we need to calculate the net present value (NPV) of each option and compare them. The option with the higher NPV would be the more financially favorable choice.

Option 1: Borrowing and Buying

Initial investment: Tk. 50,00,000

Annual maintenance cost: Tk. 2,00,000

Loan payments: Tk. 16,46,362 per year for 4 years

Interest payments: Tk. 6,00,000, Tk. 4,74,436, Tk. 3,33,806, and Tk. 1,76,299 for each year respectively

Depreciation expenses: Tk. 45% in the first year, 30% in the second year, and 25% in the third year

Salvage value: Assuming no salvage value at the end of the equipment's life

Option 2: Leasing

Annual lease payment: Tk. 13,15,500 per year for 4 years

Option to buy at the end of the 4th year for Tk. 8,00,000

Discount rate: 12.5%

Marginal tax rate: 30%

To calculate the NPV for each option, we will discount the cash flows and compare the present value of cash inflows and outflows.

Option 1 NPV Calculation:

Year 0: Initial investment: -Tk. 50,00,000

Years 1-4: (Maintenance cost - Depreciation expense - Interest payment + Tax shield)

Year 4: (Maintenance cost - Depreciation expense + Tax shield - Loan payment)

Option 2 NPV Calculation:

Year 0: Initial investment: -Tk. 50,00,000

Years 1-4: (Lease payment + Tax shield)

Year 4: (Lease payment + Tax shield - Option to buy)

To calculate the tax shield, we need to determine the tax savings due to depreciation and interest expense. The tax savings can be calculated by multiplying the depreciation expense or interest payment by the marginal tax rate.

After calculating the cash flows and applying the discount rate, we can sum them to obtain the NPV for each option. The option with the higher NPV would be the preferred choice.

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Analysts predict that East Toys Inc. will pay dividends of $3 per share in year 1, $3.5 per share in

year 2, and $3.8 per share in year 3. The firm then expects its dividend to decrease by 5% per year for

three years (year 4,5,6). Thereafter the dividends will grow at 6% indefinitely. The required rate of

return is 10%. What is the value of the stock today?

a) $48.94

b) $59.55

c) $39.45

d) $32.81

e) None of the above

Answers

The value of the stock today is $48.94.Option (a) is correct. The required rate of return is 10%.What are the dividends in year 1, 2, and 3? East Toys Inc. will pay dividends of $3 per share in year 1, $3.5 per share in year 2, and $3.8 per share in year 3.What will be the dividends in year 4, 5, and 6? The firm then expects its dividend to decrease by 5% per year for three years (year 4, 5, 6).

What is the formula for the dividend discount model ?Formula for the dividend discount model: P 0  = D 1  / (r - g) + D 2  / (1 + r)2 + ... + D n  / (1 + r) nWhere:P0 = price of stock todayD1, D2, Dn = dividends at years 1, 2, and nrg = the required rate of return It is known that: D1 = $3D2 = $3.5D3 = $3.8D4 = $3.8 × (1 - 5%) = $3.61D5 = $3.61 × (1 - 5%) = $3.43D6 = $3.43 × (1 - 5%) = $3.26n = ∞g = 6%r = 10%Substitute the values in the dividend discount model to calculate the stock price today: P 0  = D 1  / (r - g) + D 2  / (1 + r)2 + ... + D n  / (1 + r) nP 0  = $3 / (10% - 6%) + $3.5 / (1 + 10%)2 + $3.8 / (1 + 10%)3 + $3.61 / (1 + 10%)4 + $3.43 / (1 + 10%)5 + $3.26 / (1 + 10%)6 + ... + $3.26 / (1 + 10%)∞P 0  = $75 + $3.03 + $3.23 + $2.85 + $2.52 + $2.22 + ... + $32.16Since the last dividend is received in year 6 and after that the dividend will grow at a constant rate of 6%, we need to calculate the present value of that growth. Present value of constant growth: PV = D n+1  / (r - g)PV = D 7  / (r - g)PV = $3.26 × (1 + 6%) / (10% - 6%)PV = $22.67Finally, calculate the stock price: P 0  = $75 + $3.03 + $3.23 + $2.85 + $2.52 + $2.22 + ... + $32.16 + $22.67P 0  = $48.94Therefore, the value of the stock today is $48.94.Option (a) is correct.

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Look for an example of a monetary policy. It can be anywhere in the world and at any time in history.
Explain why the policy was necessary (was there a recession or inflation, or other).
Explain what the federal bank did to solve the situation (maybe some sort of the 4 tools).
If available, what was the result? If not available, do you think it'll work?

Answers

The Volcker Shock - US Monetary Policy in the 1980s.

What was the monetary policy implemented?

During the 1970s and early 1980s, the United States experienced high inflation reaching double-digit levels. In response to this inflationary pressure, the Federal Reserve under the leadership of Paul Volcker implemented a tight monetary policy known as the Volcker Shock.

The policy was necessary to combat the persistently high inflation that was eroding the purchasing power of the US dollar and causing economic instability.

The inflationary pressures were fueled by combination of factors including the oil price shocks of the 1970s and expansionary fiscal policies. To regain control over inflation, the Federal Reserve decided to pursue contractionary monetary policy.

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what is van's first step to conducting a successful giveaway? group of answer choices know your niche establish a giveaway find a product with margins to run a giveaway set up a website for the giveaway

Answers

The Understand your target audience.

What is the first step to conducting a successful giveaway?

Knowing your niche refers to understanding your target audience or specific market segment for the giveaway.

This involves identifying the interests, preferences, and needs of your potential participants.

By knowing your niche, you can tailor the giveaway to appeal to their specific interests, increasing the chances of engagement and participation.

Understanding your niche helps you design the giveaway in a way that resonates with your target audience, maximizing its effectiveness and success.

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Which statement is not true of Singapore? it has the regional headquarters of multinational corporations wealth has led to crime that is high for Southeast Asia it has the third highest GNI PPP per capita in the world it has high paying service jobs

Answers

The statement that is not true of Singapore is "wealth has led to crime that is high for Southeast Asia."

Singapore is a sovereign city-state and island country situated in maritime Southeast Asia. It has a highly developed market economy, which is heavily focused on industry, commerce, and finance. However, among the provided options, This is incorrect since Singapore is considered one of the safest countries globally, with a very low crime rate. This is due to its strict laws and regulations, effective law enforcement, and rigorous penalties for lawbreakers. Singapore's economy has been continuously growing over the years, with a significant proportion of the workforce employed in high paying service jobs.

According to World Bank data, Singapore has the third highest Gross National Income Purchasing Power Parity (GNI PPP) per capita globally, behind only Qatar and Macau. Singapore is known for being a financial hub, and many multinational corporations have set up their regional headquarters in the city-state, making it a significant economic force in the Southeast Asia region.

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what is the relationship between marginal cost and average
variable cost and average cost. Use graphs to support your
argument.
Show how short run cost curves are related to long run costs
curves.

Answers

Marginal cost:

Marginal cost is the cost of producing the next unit of output. It is derived from the total cost function (TC) as the first derivative with respect to quantity (Q): MC= dTC/dQ.

Average variable cost:

Average variable cost is the total variable cost (TVC) per unit of output, or AVC = TVC/Q.Average total cost is the total cost per unit of output, or ATC= TC/Q.

The relationship between marginal cost and average variable cost:

The relationship between marginal cost and average variable cost is such that when marginal cost is lower than average variable cost, the average variable cost decreases. And when marginal cost is greater than the average variable cost, the average variable cost increases. The average cost is equal to the sum of the average variable and average fixed cost. When the marginal cost is lower than the average cost, the average cost decreases. When the marginal cost is greater than the average cost, the average cost increases.

Short run cost curves are related to long run cost curves

Short run cost curves are related to long run cost curves in that long-run cost curves are composed of multiple short-run cost curves. When a firm produces output, it must first choose the best short-run production method before deciding to adjust its production scale. The long-run total cost curve can be obtained by combining the minimum points of each short-run total cost curve. The firm will only use the short-run cost curve in the production process if it is a competitive market, and if the production plant has the ability to increase or decrease the size of the plant. The short-run cost curve will be shown on the graph with the long-run cost curve in a U-shape, while the short-run cost curve is above the long-run cost curve. Long-run costs are influenced by a variety of factors, including economies of scale, which result from an increase in production volume. Short-run costs are influenced by fixed factors such as the number of employees and factory size, while long-run costs are influenced by variable factors such as automation.

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Assume that FOFA country's Treasury bill is selling at a price of 9,790. The face or par value is 10,000. The bill has 91 days to maturity. What is the bond equivalent rate on this bill?

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The bond equivalent rate on the given Treasury bill is 8.6%.

The bond equivalent rate on the given Treasury bill can be calculated as follows:

Bond equivalent rate = [(face value – purchase price) / purchase price] × (365 / days to maturity)

= [(10,000 – 9,790) / 9,790] × (365 / 91)= (210 / 9,790) × 4

= 0.086 or 8.6%

Therefore, the bond equivalent rate on the bill is 8.6%.

Given that the face value of the Treasury bill is 10,000 and the purchase price is 9,790. The number of days to maturity is 91.To calculate the bond equivalent rate, the formula is used:

Bond equivalent rate = [(face value – purchase price) / purchase price] × (365 / days to maturity)

By putting the given values in the above formula, we get:

Bond equivalent rate = [(10,000 – 9,790) / 9,790] × (365 / 91)

= (210 / 9,790) × 4

= 0.086 or 8.6%

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A bank's reserve ratio is 10 percent and the bank has $5,000 in deposits. Its reserves amount to a. $500. b. $50. c. $4,500. d. $4,950.

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If a bank's reserve ratio is 10 percent and it has $5,000 in deposits, its reserves amount to $500.

To calculate the reserves of a bank, we multiply the deposit amount by the reserve ratio. In this case, the reserve ratio is 10 percent, which can be written as 0.10 in decimal form. Multiplying $5,000 by 0.10 gives us $500. Therefore, the bank's reserves amount to $500. This means that the bank must hold $500 in reserves and can lend out the remaining $4,500 (the difference between the deposits and reserves) to borrowers or invest in other assets.

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A solar panel manufacturer in the US wants to manage inventory for a particular component better. The Korean supplier’s lead time is 2 months and the manufacturer wants stock-out frequency less than 1%. Average monthly demand is 1000 units with standard deviation of 316 units. (Choose the closest number if needed.)

What is the reorder point for the manufacturer?

Group of answer choices

2,000

4,350

2,968

3,040

2,659

Answers

The reorder point for the manufacturer is 2,968. Reorder Point is the level of inventory at which the stock is replenished. It is a technique used by retailers and manufacturers to maintain inventory levels.

The reorder point formula is:

Reorder Point = Demand during Lead Time + Safety Stock

Demand during Lead Time = Average monthly demand × Lead time

Safety Stock = Z × σ × √(Lead time)

Demand during Lead Time = 1000 × 2 = 2000

Safety Stock at 99% service level is 2.33.Z = 2.33σ = 316√(Lead time) = √(2) = 1.414

Reorder Point = 2000 + (2.33 × 316 × 1.414) = 2968. The reorder point for the manufacturer is 2,968 (closest number) when the Korean supplier's lead time is two months and the manufacturer wants the stock-out frequency to be less than 1% with an average monthly demand of 1000 units and a standard deviation of 316 units.

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Provide relevant examples (to the cosmetic industry) for the
following types of projects:
1. change driven project
2. market driven project
3. crisis driven project

Answers

In the cosmetic industry, change-driven projects focus on implementing sustainable practices or introducing new product lines, market-driven projects cater to specific consumer demands or emerging trends, while crisis-driven projects address urgent issues that threaten consumer safety or brand reputation.

1. Change driven project (cosmetic industry): Introducing a new line of eco-friendly and sustainable packaging for all cosmetic products, aiming to reduce environmental impact and meet consumer demand for environmentally conscious products. This project involves extensive research, design, and implementation to transition from conventional packaging materials to more sustainable alternatives.

2. Market driven project (cosmetic industry): Developing a new range of skincare products specifically targeting the growing market of anti-aging solutions. This project involves market research to identify consumer needs and preferences, formulation of effective anti-aging ingredients, and product development to create a line of skincare products that cater to the demands of the target market.

3. Crisis driven project (cosmetic industry): Responding to a public health concern regarding the presence of harmful chemicals in certain cosmetic products. The project involves conducting product recalls, reformulating affected products to meet safety standards, and implementing rigorous quality control measures to regain consumer trust and ensure compliance with regulatory requirements. This crisis-driven project requires swift action and effective communication to address the issue and protect the brand reputation.

These examples illustrate how the cosmetic industry adapts and responds to various drivers and challenges in order to meet consumer needs and maintain a competitive edge in the market.

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Subject: Business process reengineering
Q#3) Define distributions, its types with examples?
Q#4) Define FMEA with examples?

Answers

Distributions refer to the patterns of variation in data. Types include normal (bell-shaped), uniform, exponential, and Poisson distributions.

A distribution is a way to describe the patterns or variations in a set of data. There are several types of distributions, each with its own characteristics. One common type is the normal distribution, also known as the bell-shaped curve. It is symmetrical and characterized by its mean (average) and standard deviation. Examples of normal distributions include the heights of individuals in a population or the scores on a standardized test.

Another type is a uniform distribution, where the data points are evenly spread out across the range. An example is rolling a fair six-sided die, where each outcome has an equal chance of occurring. The exponential distribution represents the time between events occurring in a Poisson process, such as the time between phone calls at a call center. The Poisson distribution describes the number of events occurring within a fixed interval, like the number of customers arriving at a store within an hour.

These are just a few examples of the various types of distributions that can be used to model and analyze data. Understanding the appropriate distribution for a given dataset is crucial for making accurate predictions and informed decisions based on the underlying patterns of variation.

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true or false why
During the Covid19 pandemic, SPAC IPOs emerged and became a preferred approach for companies to go public because it is cost-saving and less-time consuming compared to traditional IPOs
Participants in financial markets often make buy and sell decisions in accordance with the assumptions of rationality and utility maximization.

Answers

The given statement "During the Covid19 pandemic, SPAC IPOs emerged and became a preferred approach for companies to go public because it is cost-saving and less-time consuming compared to traditional IPOs" is false.

During the Covid-19 pandemic, SPAC (Special Purpose Acquisition Company) IPOs did emerge as a popular approach for companies to go public. However, it is not accurate to say that they became preferred solely because they are cost-saving and less-time consuming compared to traditional IPOs. SPAC IPOs gained popularity due to their flexibility and potential for faster access to public markets. They allow companies to merge with an already existing SPAC and bypass the traditional IPO process, which can be time-consuming and subject to market volatility. However, it is important to note that SPACs also come with their own complexities and risks.

Regarding the second statement, it is true that participants in financial markets often make buy and sell decisions based on the assumptions of rationality and utility maximization. Rationality assumes that individuals make decisions that are in their best interest and based on available information. Utility maximization refers to the concept that investors seek to maximize their satisfaction or utility from their investment choices. However, it is important to acknowledge that not all market participants may act rationally or always make decisions based solely on utility maximization, as emotions and other factors can also influence decision-making in financial markets.

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1. Use the supply and demand model for bonds developed in Module 3 to analyze the effect of an increase in expected inflation on the price of bonds and the interest rate. Please see Chapter 3 of the textbook and watch the videos for help. 2. Use the supply and demand model for loanable funds developed in Module 3 to analyze the effect of a government budget deficit on the interest rate. Please see Chapter 3 of the textbook and watch the videos for help. 3. Assume that you own a 10-year, $10,000 US Treasury bond with a coupon rate of 3%. There are two years left to maturity, and you are planning to sell the bond in the secondary market. If the interest rate is 5%, how much can you expect to get for the bond? Please show your work

Answers

According to the supply and demand model for bonds, an increase in expected inflation leads to a decrease in the price of bonds and an increase in the interest rate.

This is because when inflation is expected to rise, the purchasing power of future bond payments decreases, making existing bonds less attractive. As a result, bondholders demand a higher yield to compensate for the expected loss in purchasing power. This increase in yield corresponds to a higher interest rate. Conversely, the decrease in bond prices reflects the inverse relationship between bond prices and interest rates. In the supply and demand model for loanable funds, a government budget deficit increases the demand for loanable funds. When the government runs a deficit, it needs to borrow money to finance its spending.

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Ashburn Corporation issued 20-year bonds 2 years ago at a coupon rate of 6.8 percent. The bonds make semiannual payments. If these bonds currently sell for 85 percent of par value, what is the YTM? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

To calculate the YTM of a bond, we need to find the discount rate that equates the present value of the future cash flows from the bond (coupon payments and principal repayment) with its current market price. Here's how we can do it:

First, note that the face value of each bond is not given, so let's assume it to be $1000 for simplicity.

The bond has a 20-year maturity, of which 2 years have already passed, so there are 18 years remaining until maturity and 36 semiannual periods left.

The coupon rate is 6.8 percent, so the semiannual coupon payment is:

C = 0.068/2 * $1000 = $34

The current market price of the bond is 85 percent of its face value, so:

P = 0.85 * $1000 = $850

We can now use a financial calculator or a spreadsheet to solve for the YTM, or we can use an iterative approach. Here's the iterative approach:

Assume a YTM, say, y.

Calculate the present value of all future cash flows using this YTM, by discounting each cash flow at the semiannual rate (y/2). The cash flows consist of 36 coupon payments of $34 each, and the final principal payment of $1000.

Add up the present values of all cash flows to get the total present value (PV) of the bond.

Compare the PV with the current market price ($850). If PV > $850, reduce the assumed YTM and repeat steps 2-4. If PV < $850, increase the assumed YTM and repeat steps 2-4.

Keep iterating until PV = $850 (within a reasonable tolerance).

Using this method, we find that the YTM is approximately 8.57 percent (rounded to 2 decimal places). Therefore, the answer is 8.57%.

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(The following information applies to the questions displayed below.] Delph Company uses a job-order costing system and has two manufacturing departments-Molding and Fabrication. The company provided the following estimates at the beginning of the year: Machine-hours Fixed manufacturing overhead costs Variable manufacturing overhead cost per machine-hour Molding Fabrication 21,000 34,000 $ 720,000 $ 200,000 $ 3.00 $ 2.00 Total 55,000 $ 920,000 During the year, the company had no beginning or ending inventories and it started, completed, and sold only two jobs—Job D-70 and Job C-200.

Answers

Delph Company's estimated fixed manufacturing overhead cost and variable manufacturing overhead cost per machine-hour for the Molding department are $720,000 and $3.00, respectively.

The estimated fixed manufacturing overhead cost and variable manufacturing overhead cost per machine-hour for the Fabrication department are $200,000 and $2.00, respectively.

Delph Company uses a job-order costing system and has two manufacturing departments: Molding and Fabrication. During the year, the company had no beginning or ending inventories and started, completed, and sold only two jobs - Job D-70 and Job C-200.

The total cost of Job D-70 was $25,000, and it required 1,000 machine-hours in the Molding department and 2,000 machine-hours in the Fabrication department. The total cost of Job C-200 was $15,000, and it required 1,000 machine-hours in the Molding department and 1,000 machine-hours in the Fabrication department. The company allocated manufacturing overhead costs to jobs using a predetermined overhead rate based on machine-hours.

The predetermined overhead rate for the Molding department is $3.00 per machine-hour. The total manufacturing overhead allocated to Job D-70 in the Molding department is $3,000 ($3.00 × 1,000 machine-hours), while the total manufacturing overhead allocated to Job C-200 is $3,000 as well ($3.00 × 1,000 machine-hours).

The predetermined overhead rate for the Fabrication department is $2.00 per machine-hour. The total manufacturing overhead allocated to Job D-70 in the Fabrication department is $4,000 ($2.00 × 2,000 machine-hours), while the total manufacturing overhead allocated to Job C-200 is $2,000 ($2.00 × 1,000 machine-hours).

Therefore, the total cost of Job D-70 is $32,000 ($25,000 + $3,000 + $4,000) and the total cost of Job C-200 is $20,000 ($15,000 + $3,000 + $2,000).

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raghbir has done all the project planning and is ready to obtain stakeholders' approval. however, the stakeholders are not co-located. what is the best possible approach for getting their approval?

Answers

When stakeholders are not co-located, there are several methods to obtain their approval.

One approach is to use digital communication tools such as email, video conferencing, or social media. Another way is to schedule a meeting with the stakeholders at a convenient location. However, in the current scenario, it may not be feasible to travel, so digital communication is the best option. The following methods can be employed to get stakeholders' approval in a remote environment: 1. Email: This is a popular method of communication to obtain approvals. The project manager can share the project details, the planning, and the scope with the stakeholders through email. This allows the stakeholders to review the project and ask questions if necessary. 2. Video conferencing: Video conferencing is an effective way to communicate and get approvals. The project manager can organize a video conference meeting, where all the stakeholders can join and provide their approval. Video conferencing helps to have a real-time discussion and resolve issues immediately.3. Social media: Social media can be used to obtain approvals, where the project manager can create a group and add the stakeholders. This method can be useful when the stakeholders are not available at the same time. The project manager can share the details of the project, and stakeholders can review and provide their feedback. Once all stakeholders have reviewed and provided their feedback, the project manager can consider their opinions and obtain their approval.4. Online project management tools: These are online platforms that facilitate remote project management. Tools such as Asana, Trello, and Slack can be used to communicate with stakeholders and obtain approvals. These tools allow stakeholders to view the project's progress, review project documentation, and provide their feedback, allowing for timely approvals.In summary, the project manager can use digital communication tools such as email, video conferencing, social media, and online project management tools to obtain stakeholders' approval when they are not co-located.

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Pompeii, Inc., has sales of $54,000, costs of $24,600, depreciation expense of $2,650 and interest expense of $2,400.
If the tax rate is 21 percent, what is the operating cash flow, or OCF? (Do not round intermediate calculations.)

Answers

The operating cash flow (OCF) for Pompeii, Inc. is $25,876. Costs of $24,600, depreciation expense of $2,650 and interest expense of $2,400.

To calculate the operating cash flow (OCF), we need to start with the company's earnings before interest and taxes (EBIT) and adjust for non-cash expenses.

Given:

Sales = $54,000

Costs = $24,600

Depreciation expense = $2,650

Interest expense = $2,400

Tax rate = 21%

First, we calculate EBIT:

EBIT = Sales - Costs

EBIT = $54,000 - $24,600

EBIT = $29,400

Next, we calculate the taxes:

Taxes = Tax rate * EBIT

Taxes = 0.21 * $29,400

Taxes = $6,174

Now, we calculate the operating income (OI):

OI = EBIT - Taxes

OI = $29,400 - $6,174

OI = $23,226

Finally, we calculate the operating cash flow (OCF):

OCF = OI + Depreciation

OCF = $23,226 + $2,650

OCF = $25,876

Therefore, the operating cash flow (OCF) for Pompeii, Inc. is $25,876.

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A perfectly vertical demand curve indicates that the price elasticity of demand for the good is Select one: a. zero. b. negative. c. greater than 1. d. greater than zero but less than 1. e. 1.

Answers

A perfectly vertical demand curve indicates that the price elasticity of demand for the good is zero.

A perfectly vertical demand curve means that the quantity demanded remains constant regardless of changes in price. This indicates that the price elasticity of demand is zero. Price elasticity of demand measures the responsiveness of quantity demanded to changes in price.

A value of zero means that a change in price does not affect the quantity demanded. In other words, consumers are not sensitive to price changes, and demand is completely inelastic. This situation typically occurs for goods that are necessities or have no close substitutes. Examples include essential medications or unique luxury items that have a dedicated consumer base willing to pay any price.

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Jack asked Jill to marry him, and she has accepted under one condition: Jack must buy her a new $350,000 Rolls-Royce Phantom Jack currently has $31,690 that he may invest. He has found a mutual fund with an expected annual return of 7 percent in which he will place the money. How long will it take Jack to win Jill's hand in marriage? Ignore taxes and inflation

Answers

It will take approximately 35.14 years for Jack to accumulate enough money to buy the Rolls-Royce Phantom and win Jill's hand in marriage.

To calculate how long it will take Jack to accumulate enough money to buy the Rolls-Royce Phantom, we can use the formula for compound interest.

Future Value = Present Value * (1 + interest rate)^n

Where:

Future Value is the desired amount ($350,000)

Present Value is the current amount Jack has ($31,690)

Interest rate is the annual return rate (7% or 0.07)

n is the number of years

Rearranging the formula to solve for n:

n = log(Future Value / Present Value) / log(1 + interest rate)

Plugging in the values:

n = log(350,000 / 31,690) / log(1 + 0.07)

Using a calculator, we can calculate:

n ≈ log(11.06) / log(1.07)

n ≈ 1.042 / 0.0296

n ≈ 35.1351

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