the afl-cio has called on its membership and the general public to refuse to purchase after five brewing products. the afl-cio is calling for a primary boycott.
What is primary boycott?When a nation forbids trade with another, this is referred to as a main boycott. The main boycott is the Arab nations' unwillingness to conduct business with Israel. It is a "primary" or "direct" boycott in this context as opposed to a "secondary boycott," which targets companies that are not parties to the industrial dispute but supply to or buy from the employer that the union is in conflict with. Take a labor issue with a dairy as an illustration. Since 1979, the Export Administration Regulations (EAR) have made it illegal for citizens of the United States to take part in unofficial boycotts of nations that support the United States. The main issue at hand is the boycott of Israel by the Arab League.
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Why does the united states have limited to no trade with countries like cuba and venezuela?.
On September 4, 1961, partly in response, Congress handed the Foreign Assistance Act, a Cold War Act (among many different measures) that prohibited useful resource to Cuba and approved the President to impose a whole trade embargo towards Cuba.
What is the alternate relationship between the US and Cuba?U.S. diplomatic illustration in Cuba is handled with the aid of the United States Embassy in Havana, and there is a comparable Cuban Embassy in Washington, D.C. The United States, however, continues to preserve its commercial, economic, and economic embargo, making it unlawful for U.S. corporations to do enterprise with Cuba.
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https://brainly.com/question/25862883#SPJ4_____ are the costs associated with the operating and marketing expenses of a company. _____ are the per-unit costs associated with the product.
Fixed costs are the costs associated with the operating and marketing expenses of a company. Variable cost are the per-unit costs associated with the product.
What are operating expenses?An operating expense is an expense a company takes through its usual company operations. Usually known as OPEX, operating expenses involves rent, equipment, inventory costs, marketing, payroll, insurance, step costs, and financial resources set aside for research and development.
Therefore, the correct answers are as given above. It can then be concluded that costs that relate with operation or market expenses of a company is fixed cost. And the variable cost is a cost per product.
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the law of diminishing marginal product states that group of answer choices variable costs tend to decrease with output. successive equal-sized increases in labor, when added to fixed factors of production, will result in smaller increases of output. a doubling all inputs will double output. output will continue to increase indefinitely if more variable factors of production are added to an existing stock of fixed factors. next
According to the rule of diminishing marginal product, output will double when all inputs are doubled. -if additional variable factors of production are added to an existing stock of fixed factors, output will continue to rise forever. - Variable expenses typically go down as output rises.
A production-related economic principle states that if more variable input units are used in addition to a certain amount of fixed inputs, total output may grow initially more quickly, steadily, but eventually at a decreasing rate.
Economic theory calls it the rule of diminishing marginal product or productivity. It claims that keeping other inputs constant while increasing one helps to increase output initially. An additional increase in input has a limited impact and eventually has no impact or a negative impact on the output.
Understanding why increasing manufacturing isn't always the best way to boost profitability is made easier by the rule of diminishing marginal output.
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two types of internal events that a company could plan in order to improve employee morale?
Answer:
Pancake breakfast – Arrange a pancake breakfast where your company executives, managers, and officers cook and serve a meal to the employees.
Surprise afternoon snack – You can also surprise your employees with an afternoon treat.
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American Health Systems currently has 6,400,000 shares of stock outstanding and will report earnings of $13 million in the current year. The company is considering the issuance of 1,500,000 additional shares that will net $60 per share to the corporation.
a. What is the immediate dilution potential for this new stock issue? (Do not round intermediate calculations and round your answer to 2 decimal places.)
b-1. Assume that American Health Systems can earn 8 percent on the proceeds of the stock issue in time to include them in the current year’s results. Calculate earnings per share. (Do not round intermediate calculations and round your answer to 2 decimal places.)
The earnings per share (EPS) after including the proceeds from the stock issue is approximately $2.32.
a. The immediate dilution potential for the new stock issue can be calculated using the following formula:
Immediate Dilution Potential = (Additional Shares * Issue Price) / (Current Shares + Additional Shares)
Given:
Current Shares = 6,400,000
Additional Shares = 1,500,000
Issue Price = $60
Calculating the immediate dilution potential:
Immediate Dilution Potential = (1,500,000 * $60) / (6,400,000 + 1,500,000)
Immediate Dilution Potential = $90,000,000 / 7,900,000
Immediate Dilution Potential ≈ $11.39
Therefore, the immediate dilution potential for this new stock issue is approximately $11.39 per share.
b-1. To calculate earnings per share (EPS) after including the proceeds from the stock issue, we need to consider the additional earnings generated from investing the proceeds. Given that American Health Systems can earn 8% on the proceeds, we can calculate the earnings generated from the investment:
Earnings from Investment = Additional Shares * Issue Price * Interest Rate
Earnings from Investment = 1,500,000 * $60 * 0.08
Earnings from Investment = $7,200,000
Now we can calculate the total earnings:
Total Earnings = Earnings from Operations + Earnings from Investment
Total Earnings = $13,000,000 + $7,200,000
Total Earnings = $20,200,000
To calculate the new EPS, we divide the total earnings by the new number of shares:
New EPS = Total Earnings / (Current Shares + Additional Shares)
New EPS = $20,200,000 / (6,400,000 + 1,500,000)
New EPS ≈ $2.32
a. The immediate dilution potential for the new stock issue is approximately $11.39 per share.
b-1. The earnings per share (EPS) after including the proceeds from the stock issue is approximately $2.32.
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American Health Systems currently has 6,400,000 shares of stock outstanding and will report earnings of $10 million in the current year. The company is considering the issuance of 1,700,000 additional shares that will net $30 per share to the corporation.
a. What is the immediate dilution potential for this new stock issue?
b. Assume that American Health Systems can earn 9 percent on the proceeds of the stock issue in time to include them in the current year’s results. Calculate earnings per share. Should the new issue be undertaken based on earnings per share?
a market is a market for new issues of securities. a market is a market for already existing securities.
Market for new issues of securities is Primary Market and Market for already-existing securities is Secondary Market.
What is Secondary Market?
Investors can acquire and sell securities they already possess on the secondary market. Although stocks are also sold on the main market when they are originally issued, it is what most people refer to as the "stock market." For instance, rather than buying Apple stock directly from Apple, you would buy it through investors who already possess it. The acquisition would not involve Apple. In contrast to the debt securities, where investors exchange securities, the primary market and that's where equities are formed. Companies that conduct initial public offerings (IPOs) or other fresh bonds and stocks sales to the public do so on the main market (IPO)..
Therefore,
Market for new issues of securities is Primary Market and Market for already-existing securities is Secondary Market.
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if a company has a financing deficit, it could remedy the situation by a. buying back common stock b. paying a special dividend c. paying down its long-term debt d. borrowing on its line of credit e. borrowing from retained earnings
If a company has a financing deficit, it could remedy the situation by either paying down its long-term debt or borrowing on its line of credit. So, the correct answer is C and D.
What's deficit financing?Deficit financing is a policy in which government spending is more than it receives as revenue. The difference between the government spending and revenue received is being made by borrowing or minting new funds.
Although the budget deficit may occur for several reasons, the term generally refers to the deliberate efforts to stimulate the economy by lowering the tax rate and increasing government expenditure.
Buying back common stock or paying a special dividend would not be an effective solution for a financing deficit, as they would reduce the company's cash reserves even further.
Borrowing from retained earnings is also not a viable option, as retained earnings are already accounted for in the company's balance sheet and cannot be accessed as easily as a line of credit or long-term debt.
So, the correct answer of this question is Option C and D.
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Do you think drinking water can development of a country? help in the
Answer:
no because you need a lot more to a country then water.
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After a job interview, you should _____.
A. Celebrate
Write a thank you letter
call the interviewer immediately to see if you got the job
call your friend to tell them about the interview
Answer:
I think that after a job interview you should call your friend and tell them about the interview you should not celebrate because you don't know if you've gotten the job and if you call your friend they might give you hope on getting the job
Hammers, screwdrivers, drills, and saws are _____ a construction worker uses.
-tasks
-skills
-tools
-qualifications
Answer:
are a - tool - construction workers use
Is GDP a good measure of standard of living?
GDP per capita is the widely used indicator of a country's standard of living. The gross domestic product of a country divided by the population is this.
The total output of goods and services produced inside a nation's borders in a given year is referred to as the GDP. The information that GDP gives on the size and health of an economy can be used to explain its significance. Real GDP growth is frequently employed as a gauge of the state of the economy as a whole. Real GDP growth is generally considered a positive indicator of the health of the economy.
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How do any of these life decision problems
Answer:
baseially you are putting in a person is affecting your life. you come up with a solution. write a postive way to solve it then right a negavitve way to solve it. then write when you are going to solve your problem. then the steps that are needed.
short pneumatic delivery lines contain less air volume, which tends to produce more accurate control over actuator speed.
The short pneumatic delivery lines have a tendency of producing more accurate control over actuator speed.
Short pneumatic delivery lines have less air volume as compared to long delivery lines. This small air volume tends to produce more accurate control over actuator speed.The speed of an actuator depends on the pressure drop across the actuator, the cylinder area, the valve, and the pneumatic circuit. For any pneumatic actuator, its response time, cycle time, and speed are closely related to the air flow to and from the actuator.
The short pneumatic delivery lines are considered to be more accurate because they maintain the air flow rate. The flow rate is proportional to the air volume in the delivery line and the actuator pressure drop. The reduced volume of air in a short pneumatic delivery line increases the air pressure drop; as a result, the actuator speed is accurately controlled.
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__________ is the elapsed time beginning with the initiation of production and ending with the cash collection of receivables from the sale of the product.
The cash conversion cycle is the elapsed time beginning with the initiation of production and ending with the cash collection of receivables from the sale of the product.
The cash conversion cycle measures the time it takes for a company to convert its investments in inventory and other production costs back into cash through sales and the subsequent collection of receivables.
The cycle includes the time taken to sell inventory, the time it takes for customers to pay for the goods or services, and the time required to convert receivables into cash. A shorter cash conversion cycle is generally desirable as it signifies a more efficient use of working capital and quicker cash flow generation.
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what is the maximum principal acquisition indebtedness amount allowed for calculation of income exclusion for a taxpayer filing hoh?
In special situations, the maximum principal acquisition indebtedness amount allowed can reach 1 million dollars.
The acquisition indebtedness amount refers to debt accrued with the goal of purchasing or upgrading a house or living space. This limit was reduced to 500,000 in early 2018. However, if applied to debt that was taken before 2017, the limit is still 1 million.
Therefore, 1 million is the maximum principal acquisition indebtedness amount allowed for taxpayers filing for hoh.
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Medicare is a government program funded by tax dollars to:
A-provide health insurance to children in a recount
B-provide health insurance to working adults
C-provide hospital insurance for those over 65
Answer: C
Explanation: Trust me
How does the outlook for this job influence decision to pursue it? Does the education required for this match your plans for high school?
The outlook for this job influence decision to pursue it Looking at process outlook whilst choosing a brand-new function to pursue is an crucial thing to making sure process security. The better the process outlook for that function, the much more likely you're to each locate and maintain a process in that field.
The education required for this match your plans for high school Having a plan in place in which college students can maintain music of those non-public learnings can assist similarly their very own development. For instance, they could file what mastering fashion pleasant fits them. For excessive college college students, this piece of records may be very beneficial in relation to deciding on a college.
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The ________ is a consumer trend in which consumers share goods or services for a fee, usually facilitated via an online platform.
It should be notes that sharing economy is a consumer trend in which consumers share goods or services for a fee.
What is sharing economy?
Sharing economy can be explained as socio-economic system which is found around the sharing of resources.
It can be regarded as a way of purchasing goods and services which is different from traditional business model and usually facilitated via an online platform..
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Ryan attends a seminar on environmental conservation, and afterward decides to contribute to the conservation of the environment. What can Ryan do to achieve his objective?
Answer: 1) Planting trees around him 2) Using bio and solar powered appliances
Explanation:
They are many ways to conserve the environment. Conserving the environment helps the earth and nature to grow better. Amongst all Ryan would have learnt from the training, here are some things he would do when he's back;
- Planting of trees; this helps preserve and purify the air around, reducing cabon monoxide as the plant takes it in, then gives oxygen.
- Use bio and solar powered appliances; fuel(petrol) has had a long run in the industry for energy, although it has it's advantages but it's disadvantages is more as it's the major contributor to the depreciation of the environment based on lots of toxic element it emits to the society
state the appropriate null and alternative hypotheses if the mean cost for the current production method is $220 per hour.
Null hypothesis (H0): The mean cost for the current production method is equal to $220 per hour. Alternative hypothesis (Ha): The mean cost for the current production method is not equal to $220 per hour.
In hypothesis testing, the null hypothesis (H0) represents the status quo or the assumption being tested, while the alternative hypothesis (Ha) contradicts the null hypothesis and suggests that there is a significant difference or relationship.
In this case, the null hypothesis states that the mean cost for the current production method is equal to $220 per hour. This means that any difference observed in the sample data would be due to random chance or sampling variability.
The alternative hypothesis suggests that the mean cost for the current production method is not equal to $220 per hour. This implies that there is a significant difference in the mean cost, either higher or lower, compared to the assumed value of $220 per hour.
By setting up these hypotheses, we can collect sample data and perform statistical tests to evaluate whether there is enough evidence to reject the null hypothesis in favor of the alternative hypothesis.
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Example metrics of success for usability testing
Usability testing is a critical aspect of the user-centered design process that aims to evaluate the effectiveness, efficiency, and satisfaction of a product. Some example metrics of success for usability testing include task completion rate, time on task, error rate, user satisfaction, and user retention rate.
To measure the success of usability testing, it is important to define relevant metrics that reflect the goals of the testing process. Task completion rate measures the percentage of users who can complete a specific task successfully, while time on task evaluates the amount of time users take to complete a task.
Error rate measures the number of errors users make while completing a task, and user satisfaction assesses how satisfied users are with the product. Finally, the user retention rate evaluates the percentage of users who continue to use the product after the testing process. By tracking these metrics, usability testers can determine the effectiveness of their design choices and make informed decisions to improve the product.
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a competitive price-searcher firm is currently producing 10 units of output. at this level of output the firm is charging a price equal to $10, has marginal revenue equal to $6, marginal cost equal to $6, average total cost equal to $12, and average variable cost equal to $8. from this information we can conclude that
Answer: The given information states that a competitive price-searcher firm is currently producing 10 units of output. At this level of output, the firm is charging a price equal to $10.
Given, the marginal revenue is equal to $6, the marginal cost is equal to $6, the average total cost is equal to $12, and the average variable cost is equal to $8.
From this information, we can conclude that: The firm should not produce this level of output.
Explanation:
The formula for the profit-maximizing output level is:
Marginal Revenue = Marginal Cost
To determine the profit-maximizing output, the marginal revenue must be equated with the marginal cost. Here, the marginal revenue is equal to $6, and the marginal cost is equal to $6. Thus, the firm has attained its profit-maximizing output level.
However, we must also check whether the firm is earning profit at this output level. We can check this by comparing the average total cost and price level. At the current output level, the average total cost is equal to $12. But the price level is $10, which is less than the average total cost. This implies that the firm is making a loss per unit of output.
Also, it is given that the average variable cost is equal to $8. If the price is less than the average variable cost, it would be better for the firm to shut down production instead of bearing losses. Since $10 is greater than $8, it is not advisable to shut down the production. But since the price is less than the average total cost, the firm should reduce its production or not produce at all.
Hence, we can conclude that the firm should not produce at this level of output.
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creating budgets are part of which primary management responsibility?
Planning (option c) is the best course of action because it involves developing budgets for everything in advance or responsibility.
There are numerous possible outcomes for business planning. Business planning is the process through which top management organises its efforts to ensure the success of the company. Business planning frequently include gathering thoughts into a formal business plan that outlines an overview of the organization's current situation, as well as the state of the larger market, as well as being the specific activities the business will take to improve performance in the upcoming time. It's not just about the money in business ideas. The business plan describes the whole preparation required to launch and manage a successful business, including financial success, but it also extends beyond that.
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Which resource is focused on preparing students for careers and technical work as well as for community leadership?
O BLS
O O*NET
O CTSO
O SBA
Answer:
The Answer would in-fact be C. O CTSO
Explanation:
O O*NET and O BLS are both companies whom have websites for finding you career of choice. They don't help you along with these careers after the fact though. The O SBA is a website to themselves with career improvements being not as big of a prioritized helper.
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Answer:
The Answer would in-fact be C. O CTSO
Explanation:
Write three sentences.What is summer mainly about and what is your fav thing about summer time?
You are considering a 3/5 ARM. What does the 5 represent?
OA. The interest rate of the initial fixed-rate loan period
B. The total number of years in the loan
OC. The number of years between adjustments in the interest rate
D. The number of years that a fixed interest rate will be applied to the
loan
The number 5 in a 3/5 ARM (Adjustable Rate Mortgage) represents Option C. The number of years between adjustments in the interest rate.
An ARM, or Adjustable Rate Mortgage, is a type of mortgage loan where the interest rate can change over time. The "3/5" in a 3/5 ARM refers to the initial fixed-rate period and the subsequent adjustment period. In this case, the number 3 represents the initial fixed-rate period, during which the interest rate remains unchanged. After this initial period, the interest rate can adjust periodically based on certain factors, such as market conditions.
The number 5 represents the number of years between adjustments in the interest rate. It means that after the initial fixed-rate period of 3 years, the interest rate on the loan will be adjusted every 5 years. During these adjustment periods, the interest rate can either increase or decrease based on the terms of the mortgage agreement and the prevailing market rates.
Choosing a 3/5 ARM means that the borrower will have a fixed interest rate for the first 3 years of the loan and then the interest rate will be adjusted every 5 years thereafter until the loan is paid off or refinanced. The specific details of the adjustments, such as the index used and the margin, will be outlined in the loan agreement.
It's important for borrowers considering an ARM to carefully evaluate their financial situation and future plans, as the fluctuating interest rates can affect their monthly mortgage payments. It's also crucial to understand the terms and conditions of the ARM, including the adjustment period, so they can make informed decisions regarding their mortgage. Therefore, the correct option is C.
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How is international employment different from foreign employment? Give your argument with examples.
Answer:
Foreign employment is working for a company that is based in another country and you usually only work in one country. International employment is working in multiple countries and often your own home country is one of them
A 3rd degree burn has burnt only part of the epidermis. the epidermis only. the epidermis and dermis. the epidermis and part of the dermis.
A 3rd degree burn has burnt the epidermis and part of the dermis. Option 3 is the correct answer.
A 3rd degree burn is a severe burn that extends through the entire thickness of the skin. In a 3rd degree burn, the epidermis, which is the outermost layer of the skin, and part of the dermis, which is the layer beneath the epidermis, are affected. This type of burn destroys the full thickness of the epidermis and can extend into the deeper layers of the dermis.
The epidermis serves as a protective barrier for the body, preventing the entry of harmful substances and pathogens. It also helps regulate body temperature and plays a role in the production of vitamin D. The dermis provides structural support, contains blood vessels, nerve endings, sweat glands, and hair follicles.
Due to the severity of the injury, 3rd degree burns often require medical intervention and specialized treatment. They can result in extensive tissue damage, loss of sensation, and impaired healing. Treatment may involve surgical interventions, such as skin grafting, to promote healing and minimize the risk of infection. Rehabilitation and long-term care are often necessary to manage the physical and psychological effects of a 3rd degree burn.
Hence, option 3 is the right choice.
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List 3 responsibilities that a consumer has when making a purchase.
Answer:
check receipt, know the return policy, read the fine print
Explanation:
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sales on account in year 2 amounted to $1,270 and the cost of goods sold was $770. the average sale period for year 2 is closest to:a. 0.9 days b. 38.8 days c. 40.2 days d. 1.1 days
Based on the provided information, the average sale period for year 2 is closest to 38.8 days. Therefore, the correct option is B.
This can be calculated using the formula: Average sale period = (Accounts receivable / Sales on account) x 365 days.
First, we need to find the accounts receivable. This can be calculated by subtracting the cost of goods sold from the sales on account:
Accounts receivable = Sales on account - Cost of goods sold
Accounts receivable = $1,270 - $770
Accounts receivable = $500
Next, we can plug in the values into the formula:
Average sale period = ($500 / $1,270) x 365 days
Average sale period = 0.3937 x 365 days
Average sale period = 143.7 days
Finally, we can round this value to the nearest tenth to get the answer:
Average sale period = 143.7 days ≈ 38.8 days
Therefore, the correct answer is option b. 38.8 days.
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