True: Salary is considered a hygiene factor in Herzberg's two-factor theory. These factors, if not met, can lead to dissatisfaction, but their presence does not necessarily create motivation or job satisfaction.
Salary is considered a hygiene factor, meaning that it does not necessarily lead to job satisfaction, but rather prevents job dissatisfaction if it is fair and adequate. Other hygiene factors include working conditions, job security, and company policies. Job satisfaction, on the other hand, is influenced by motivators such as achievement, recognition, and growth opportunities.
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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
the tax rate schedule for individuals who qualify as a head-of-household is more favorable than the tax rate schedule for single individuals. True or False
It is true that the tax rate schedule for individuals who meet the requirements to be considered a head-of-household is more favorable than the tax rate schedule for single individuals. Because individuals who qualify as a head-of-household have a lower tax rate and a higher standard deduction than single individuals.
The tax rate schedule is a rate sheet that individuals and corporations use to calculate their estimated taxes due. The schedule includes tax rates for various ranges of taxable income as well as specific taxable circumstances. The federal tax rates are determined by income and filing status.
Example tax rate in 2022
Single individuals with taxable income between $10,275 and $41,775 are subject to the 12% tax rate.Head-of-household with taxable income between $14,651 and $55,800 are subject to the 12% tax rate.Learn more about the tax rate schedule at https://brainly.com/question/28456845
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"What US-based company is one of China’s largest trading
partners?
Group of answer choices
A. Home Depot
B. Lowes
C. Petco
D. Wal-Mart
The US-based company that is one of China's largest trading partners is Wal-Mart. Wal-Mart is one of the largest retailers in the world, with more than 11,000 stores in 27 countries, including China.
Wal-Mart has been operating in China for over 20 years and has become one of the largest foreign investors in the country. Its operations in China include retail stores, e-commerce, and supply chain management. Wal-Mart has a significant impact on the Chinese economy, as it sources a large amount of its merchandise from China.
This has led to Wal-Mart becoming one of China's largest trading partners, as well as one of the largest foreign investors in the country. In addition to sourcing products from China, Wal-Mart has also been investing in China's infrastructure and logistics systems to improve its supply chain operations.
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Which of the following is a benefit of a bank?
A. You can get your cash quickly and easily.
B. A bank is insured by the federal deposit insurance corporation
C. You assets are safe from theft, loss, and fires
D. All the above
Answer:
D
Explanation:
Answer:
D. All the above
Explanation:
which one of the following statements regarding the investment strategy of value averaging is correct? A)
Can require a sale of the securities being averaged.
B)
Buys fewer shares in a bear market than would dollar-cost averaging.
C)
Uses varying periods between investments.
D)
Invests the same dolla
The correct statements regarding the investment strategy of value averaging is A) Can require a sale of the securities being averaged.
What is investment strategy?Investing plans are a set of recommendations designed to help individual investors meet their financial and investment goals. This approach guides an investor's decisions in light of their objectives, risk tolerance, and anticipated capital needs. They can be exceedingly aggressive or incredibly cautious, using a low-risk approach in order to protect their money (seeking rapid growth by focusing on capital appreciation). Investors have two options for building portfolios: either utilizing their own methods or working with a financial counselor. Strategies are not static and must be regularly revised as circumstances alter.
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which federal consumer credit law starts all credit applicants off on the same footing?
The federal consumer credit law that starts all credit applicants off on the same footing is the Equal Credit Opportunity Act (ECOA).
The ECOA prohibits creditors from discriminating against credit applicants on the basis of factors such as race, color, religion, national origin, sex, marital status, age, or receipt of public assistance. This means that all individuals, regardless of their personal characteristics, must be treated equally when applying for credit. The ECOA ensures that all applicants have an equal opportunity to obtain credit and that decisions regarding creditworthiness are based on objective factors such as income, credit history, and ability to repay rather than discriminatory criteria. By promoting fair lending practices, the ECOA helps create a level playing field for all credit applicants.
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Stocks and bonds are different in which primary way?
Answer:
Explanation:
One major difference between the bond and stock markets is that the stock market has central places or exchanges where stocks are bought and sold. The other key difference between the stock and bond market is the risk involved in investing in each
Help!
Which federal agency oversees how clean and how appropriately a restaurants prepare and store foods?
Answer:
FDA's Center for Food Safety and Applied Nutrition (CFSAN) seeks to ensure that these foods are safe, sanitary, nutritious, wholesome, and honestly and adequately labeled.
Explanation:
There is blank______ correlation between the unsystematic risk of two companies from different industries. multiple choice question. significant positive no significant negative
There is no correlation between the unsystematic risk of two companies from different industries.
Stock correlation describes the relationship that exists between two stocks and their respective price movements. It can also refer to the relationship between stocks and other asset classes such as bonds and real estate.
To find the correlation between two stocks, start by finding the average price of each. Select a time period, sum the daily prices of each stock for that period, and divide by the number of days in that period. That's the average price. Next, calculate the daily variance of each stock.
This can be thought of as a simple question. What does Y tend to do as X increases? In general, there is a positive relationship if Y tends to increase with X. If Y decreases while X increases, it is a negative relationship. Correlation is defined numerically by the correlation coefficient.
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1._____________is the difference between earned income and costs. 2. An organization that produces or distributes a good or service for profit is called a __________
Answer:
1. Profit
2. Business
Explanation:
Profit may be defined as the income which is distributed to the owner in the production process of a profitable market. In other words it is the extra revenue generated by the company that is in excess of the money spend as expenses. It is the difference between the earned income and the costs.
Business is a regular work or occupation or trade of a person. It refers to an organized efforts as well as the activities of any individual to produce the goods and services and sell them for a profit.
Why would the stock exchange insitst that all listed compaines abide by a strict code of rules and procedures
In order to maintain the integrity of the stock market and protect investors, stock exchanges typically require all listed companies to abide by a strict code of rules and procedures.
The stock exchange is a marketplace where publicly traded companies can raise capital by selling shares of their stock to investors. One key reason for this is to ensure transparency and accountability.
Companies that are listed on a stock exchange are required to disclose certain financial information and adhere to strict accounting standards, which helps to provide investors with a clear picture of the company's financial health and performance.
Another reason for these rules and procedures is to prevent insider trading and other forms of market manipulation. By requiring all listed companies to follow the same set of rules and procedures, the stock exchange can help to ensure a level playing field for all investors.
Finally, these rules and procedures help to maintain investor confidence in the stock market. By ensuring that all listed companies are held to the same high standards, the stock exchange can help to prevent fraudulent activity and other forms of misconduct that could undermine investor confidence and lead to a loss of trust in the market.
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ABC Enterprises is worth $300,000. There are 3 shareholders and each shareholder is an equal owner of the company. If they establish an entity buy-sell agreement, the entity would have to buy policies in the amount of $____________ on each of the owners.
Answer:
$100,000 per each owner
Explanation:
Divided by 3. Seems fair
Palencia Paints Corporation has a target capital structure of 25% debt and 75% common equity, with no preferred stock. Its before-tax cost of debt is 13%, and its marginal tax rate is 40%. The current stock price is P0 = $22.00. The last dividend was D0 = $3.00, and it is expected to grow at a 5% constant rate. What is its cost of common equity and its WACC? Round your answers to two decimal places. Do not round your intermediate calculations.
Answer:
cost of common equity is 18.64%.
WACC is 15.93 %.
Explanation:
Cost of Equity is the return that is required by providers of Capital in form of Common Stocks.
This can be determined using the Growth Model as the information permits use of such method.
Cost of Equity = Current Dividend / Current Market Price + Expected Growth Rate
= $3.00 / $22.00 + 0.05
= 0.1864 or 18.64%
WACC = Ke × (E/V) + Kd × (D/V) + Kp × (P/V)
where,
Ke = cost of equity
= 18.64%
E/V = Weight of Equity
= 75%
Kd = cost of debt
= Interest × (1 - market rate)
= 0.13 × (1 - 0.40)
= 0.078 or 7.80 %
D/V = Weight of Debt
= 25%
Therefore,
WACC = 18.64% × 75% + 7.80 % × 25%
= 15.93 %
As a rule of thumb, how often should an entrepreneur reevaluate her compensation package? Question 27 options: Every month Every 6 months Every 12 months Every 18 months
While in the planning stage, what would a project manager create through the use of software?
O a proposal for what the project will entail
O a list of goals for the project to meet
O a timeline or schedule for the project
O an evaluation of the project
an evaluation of the project
What is the interest earned in a savings account after 12 months on a balance of
$2500 if the interest rate is 1% APY compounded yearly?
interest = $ [?]
Round your answer to the nearest hundredth.
The interest earned in the savings account after 12 months on a balance of $2000 if the interest rate is 1% APY compounded yearly is $20.
Given,
Initial amount = P = $2000
Interest rate = 1% annually
The time for which interest is compounded = 12 months = 1 year = T
Here, the initial amount (also called as principal amount) is P, and the interest rate is R% per unit time, and it is left for T unit of time.
So, the interest amount earned is given by:
\(CI = P(1+\frac{R}{100} )^{T} -P\)
\(CI = 2000 (1+\frac{1}{100} )^{1} -2000\\\\CI = 2000 * 1 / 100\\\\\)
=$20
Hence, the interest earned in the savings account after 12 months on a balance of $2000 if the interest rate is 1.5% APY compounded yearly is $20.
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If you were to open up a business, how many hours would you be open ?
Suppose that the local daily demand for iced coffee drinks is given by the demand function: Q=300-25P, where P is the price of an iced coffee drink.
a. Construct this demand curve in black. Place the quantity of iced coffee drinks demanded on the horizontal axis and the price of an iced coffee drink on the vertical axis.
b. Suppose that iced coffee drinks are a normal good, and that consumers’ incomes fall. The demand for iced coffee drinks decreases by 50 units at every price. What is the new demand function (i.e., equation)?
c. Suppose that iced coffee drinks are a normal good, and that consumers’ incomes fall. The demand for iced coffee drinks decreases by 50 units at every price. Construct the new demand function in blue.
a. To construct the demand curve, we can first use the demand function provided, Q=300-25P. To plot this on a graph, we can plug in different values of P to find the corresponding values of Q. For example:
When P = 0, Q = 300-25(0) = 300
When P = 1, Q = 300-25(1) = 275
When P = 2, Q = 300-25(2) = 250
We can plot these points on a graph with Q on the horizontal axis and P on the vertical axis, and connect them to form the demand curve.
b. The new demand function would be Q = 250-25P.
c. To construct the new demand function in blue, we can start with the same process as before, using the new demand function, Q = 250-25P.
For example:
When P = 0, Q = 250-25(0) = 250
When P = 1, Q = 250-25(1) = 225
When P = 2, Q = 250-25(2) = 200
We can plot these points on the same graph as before, but this time use blue color to distinguish it from the previous demand function.
prepare a double entry ledger entries January 3 took out of the cash till$50 and put into the business by cheque Jan 4 the proprietor put a further$5000 in to business by cheque .please I need it quick
Explanation:
In the first entry, $50 is taken out of the cash till and put into the business as drawings. The effect is a decrease in the cash balance and an increase in the drawings account.
In the second entry, the proprietor puts a further $5000 into the business by cheque. The effect is an increase in the capital account and an increase in the bank balance.
It's important to note that "Drawings" and "Capital" are the accounts used to record the personal transactions of the business owner in this case, it is assumed that the business is a proprietorship. Other forms of business may have different accounts to record the personal transactions of the owne
How do I solve for determining the associated risk measure in this equipment investment in terms of the standard deviation? Reference: Table First Cost, $ Probability $60,000 0.25 0 S80,000 35 $100,000 0.30 $120,000 0.10 19. Find the expected EUAW from the financial data provided in the table for new equipment Because of the uncertainty of technology being used in this equipment, it has not been possible to get the initial cost accurately. The annual benefit, however; is estimated to be S25,000 with possible equipment life of 5 years_ The salvage value is expected to be 10% of the initial cost MARR =8% A) $2977 B) $5157 C) 83957 D) $4628 Answer: B Refer to: Table 10 20. Determine the associated risk measure in this equipment investment in terms of standard deviation A) $4,923 B) S6,123 C) S4437.8 D) $8,523
The associated risk measure in terms of standard deviation is $16,499.03.
To determine the associated risk measure in terms of standard deviation, we need to calculate the standard deviation of the probability distribution of the cash flows. We can use the following formula to calculate the standard deviation:
σ = √[∑(Xi - E(X))^2 * P(Xi)]
where:
Xi = cash flow in state i
E(X) = expected cash flow
P(Xi) = probability of state i
Using the data from the table, we can calculate the expected cash flow as follows:
Expected cash flow =\((0.25 * $60,000) + (0.35 * $80,000) + (0.30 * $100,000) + (0.10 * $120,000) = $87,000\)
Now we can use the formula above to calculate the standard deviation:
σ =\(√[((0.25 * ($60,000 - $87,000)^2) + (0.35 * ($80,000 - $87,000)^2) + (0.30 * ($100,000 - $87,000)^2) + (0.10 * ($120,000 - $87,000)^2))]\)
σ =\(√[(0.25 * $729,000,000) + (0.35 * $4,410,000) + (0.30 * $1,089,000,000) + (0.10 * $1,089,000,000)]\)
σ = \(√[$272,250,000]\)
σ = $16,499.03
Therefore, the associated risk measure in terms of standard deviation is $16,499.03. The closest answer choice is option B) $6,123, but that is not a correct answer based on the calculations.
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what insurance would a Protection for the owner of Tiffany’s Art Supply Store when a customer falls and injures his back while shopping use
A Protection for the owner of Tiffany’s Art Supply Store when a customer falls and injures his back while shopping would use the general liability insurance.
This kind of insurance is intended to shield companies from monetary loss as a result of legal actions or claims brought by clients or other third parties who sustain bodily harm or property damage on the premises. General liability insurance would pay the costs related to medical expenses, lost wages and other damages resulting from the incident in the event that a customer fell and hurt themselves while shopping.
Additionally it would pay for any legal fees incurred in defending against a claim brought by the injured party. In order to reduce their risk and potential financial losses due to unforeseeable incidents business owners should have general liability insurance.
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Which type of market is the one in which a person buys stock in the fast-food company that makes their favorite breakfast sandwich?
Product market
Factor market
Financial market
Closed market
The type of market is the one in which a person buys stock in the fast-food company is Financial market. Thus 3rd option is correct.
What is Financial Market?Any location or system that gives buyers and sellers the ability to trade financial assets, such as bonds, shares, the various international currencies, and derivatives, is referred to as a financial market.
The connection between people with capital to invest and those who need capital is facilitated by financial markets.
The kind of market where a consumer purchases shares of the fast-food chain that sells their preferred breakfast sandwich is referred as financial market.
Thus 3rd option is correct.
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Answer: Financial market
Explanation: stocks
Explain whether it is acceptable for different economists to arrive at different conclusions using the same data. (1 point)
A.) It is not acceptable. There is only one truth to how economies function, and economists should be able to discern this one truth.
B.) It is acceptable. The main reason for this is that society does not know which economic theories work best and different schools of
economic thought rely on different understandings of behavior.
C.) It is acceptable. The main reason for this is that economic data relies on samples and imperfect data collection, and economists use different statistical methods of accounting for this.
D.) It is only acceptable when economists are making predictions about the future; economists should reach the same conclusions in assessing the past since all information about the past is available.
B. It is acceptable. The main reason for this is that society does not know which economic theories work best and different schools of
economic thought relies on different understandings of behavior.
What is economics?The social science of economics focuses on the creation, exchange, and consumption of goods and services. Economics is the study of how economies function and the activities and interactions of economic agents.
In conclusion, economics is the study of scarcity and how it influences the utilization of resources, the creation of goods and services, the expansion of production and well-being over time, as well as many other significant and intricate societal issues.
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Identify What prevented the economy from slipping
back into a recession after slow growth ended the
long recession in November of 2001?
A. historically low interest rates
B. embargoes placed on oil by OPEC
C. an extended period of stagflation
D. an unprecedented surge in the economy
golden nugget airlines has opened a free bar in the tail of their airplanes in an attempt to lure customers. in order to automatically adjust for the sudden weight shift due to
Golden Nugget Airlines has decided to introduce a free bar in the tail of its planes as a way of attracting clients. In order to automatically compensate for the sudden weight shift caused by the free bar's introduction, there are certain steps that the airline can take.
The airline may, for example, reduce the weight of certain products on board the aircraft to compensate for the weight shift. This may involve lowering the weight of checked luggage or providing smaller seat sizes. Another option is to distribute passengers in a manner that balances the weight on both sides of the plane.
This may necessitate making certain seats available on either side of the airplane and prohibiting passengers from moving around on the plane.
The airline can also install sensors that detect changes in weight and relay this information to the airplane's control system, which can then make the necessary modifications. This system may be linked to the plane's automated navigation and control system, which may use a fly-by-wire system to fly the airplane without the need for a human pilot.
A fly-by-wire system employs a computer to regulate and manage the plane's flight patterns. In summary, Golden Nugget Airlines may use a combination of these strategies to automatically balance the airplane's weight after introducing a free bar in the tail of their airplanes.
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true/false. a. inherent in the afn formula is the assumption that each asset item must increase in direct proportion to sales increases and that spontaneous liability accounts also grow at the same rate as sales.
It is accurate what is said. These two presumptions are part of the fundamental, unaltered AFN formula: (1) each asset item must rise in direct relation to sales rises; and (2) spontaneous liability accounts rise in proportion to sales.
What is meant by proportion?An equation in which two ratios are made equal is known as a percentage. As an illustration, you could express the ratio as 1: 3 if there is 1 guy and 3 girls (for every one boy there are 3 girls) 40% are girls, and 14% are boys. 0.25 are men (by dividing 1 by 4). An example of a ratio that compares a component to a whole is a percentage. For instance, the class with 20 men and 80 women has a total enrollment of 100 students, and the percentage of men is 20/100, or 20%. 80 out of every 100 people are women, or 80%. Relative comparison in terms of size, quantity, number, etc., between objects or magnitudes; ratio. having tastes that are completely out of proportion to one's financial situation. a comparison of size or scope. size, measurements, or proportions a massive rock, in size.To learn more about proportion, refer to:
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Customer service personnel typically need at least A. a high school diploma. B. a vocational school certificate. C. a community college degree. D. a four-year degree.
Answer:
A. a high school diploma.
Explanation:
Typically, a Customer service representative's minimum qualification is a high school diploma. They also need on the job training to acquire specific skills required to work in that particular organization. Companies organize classroom-like training to teach the customer service representatives about their products and services.
Some organizations, such insurance companies and banks, may demand higher qualifications due to the technical aspects of their job.
As Lynn eats more pizza, we would typically expect her marginal utility from eating pizza to: Group of answer choices stay the same. Decrease. Equal the price of pizza. Increase
Therefore, the expected trend is for Lynn's marginal utility from eating pizza to decrease as she consumes more of it.As Lynn eats more pizza, we would typically expect her marginal utility from eating pizza to decrease.
According to the law of diminishing marginal utility, the more units of a good or service a person consumes, the less additional satisfaction or utility they derive from each additional unit. In the case of pizza, the first few slices may bring a high level of enjoyment and satisfaction. However, as Lynn continues to consume more pizza, her marginal utility from each additional slice will likely decrease. This means that the additional satisfaction she gains from each subsequent slice will be lower than the previous one.
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Five years from today, you plan to invest $3,850 for 8 additional years at 5. 9 percent compounded annually. How much will you have in your account 13 years from today?
The 13 years from today, you will have approximately $7,976.20 in your account.
To calculate how much you will have in your account 13 years from today, we can break down the problem into two parts:
1. First, let's calculate the future value of the initial investment of $3,850 after 8 years at a 5.9% annual interest rate compounded annually. We can use the formula for compound interest:
Future Value = Principal * (1 + Interest Rate)^Time
Using this formula, we have:
Future Value = $3,850 * (1 + 0.059)^8
Calculating this, we find that the future value of the initial investment after 8 years is approximately $5,735.71.
2. Next, we need to calculate the future value of the amount obtained in step 1 after an additional 5 years at the same interest rate. Again, using the compound interest formula:
Future Value = Principal * (1 + Interest Rate)^Time
Here, the principal is the amount obtained in step 1, which is $5,735.71. The time is 5 years.
Calculating this, we find that the future value of the amount obtained in step 1 after an additional 5 years is approximately $7,976.20.
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HURRY!! Sarah is working at a daycare center. She just thought of a way to streamline the way parents drop off and pick up their children. When she mentions her idea to the director, he asks her to present it at the next staff meeting. What aspect of a good professional relationship is the director demonstrating?
Group of answer choices
Trust
Respect
Boundaries
Diversity
Answer:
Explanation:
Trust