Answer: T
Explanation: I just took the test and I got it right.
Answer:
TRUE
Explanation:
What are reasons why strategic planning may not occur sequentially?
There are several reasons why strategic planning may not take place in order:
When conducting a situation analysis makes it necessary to update the mission statementWhen there are insufficient resources to allow the execution plan to proceedWhen fresh strategic chances present themselvesStrategic planning is a process carried out by an organization to determine strategy or direction, and make decisions to allocate its resources (including capital and human resources) to achieve this strategy. Strategic planning is a management tool used to manage current conditions to project conditions in the future, so strategic plans are a guide that organizations can use from current conditions to work towards the next 5 to 10 years.
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You are the coding supervisor and you notice a potential discrepancy in a productivity report from one of your coders. You remind all of the coders about the importance of accuracy with these reports. One of the coders thinks she may have accidentally combined 2 days into one of her daily productivity reports and she must decide if she should admit her potential mistake or just let it go because one day’s productivity reporting really doesn’t make a difference. This is an example of ______.
Answer:
laziness.
Explanation:
What is an example of form utility
The invisible hand principle indicates that competitive markets can help promote the efficient use of resources Group of answer choices only if buyers and sellers really care, personally, about economic efficiency. even when each market participant cares only about their own self interest rather than about the overall efficiency of resource use. even if business firms fail to produce goods efficiently. if, and only if, businesses recognize their social obligation to keep costs low and use resources wisely.
Answer:
even when each market participant cares only about their own self interest rather than about the overall efficiency of resource use.
Explanation:
A capitalist economy also referred to as free-enterprise system, pure capitalism, or free market can be defined as a type of economy in which prices, products and services are being determined by the market rather than the government. Thus, a capitalist economy is devoid (free) of government regulations, interference or control because the market (enterprises) are the ones who are saddled with the responsibility of determining the market forces.
Simply stated, a capitalist economy is a type of economy that is completely driven by demand and supply of goods and services.
The invisible hand principle indicates that competitive markets can help promote the efficient use of resources even when each market participant such as producer and suppliers cares only about their own self interest rather than about the overall efficiency of resource use.
The "invisible hand" concept asserts that, the self-interest by producers and suppliers of resources in a market system will automatically promote the public interest as well.
This ultimately implies that, public and private interest will always coincide assuming there exist competition in a free market system.
In conclusion, the invisible hand concept is a metaphorical description of the unforeseen forces that typically moves a free market system or economy.
How long do you have to work to qualify for unemployment?.
until you are eligible to pay check entitlement
Answer: Each state determines who is eligible for unemployment insurance benefits, however you are usually eligible if you: Are jobless due to no fault of your own. In most states, this implies that you had to leave your previous position due to a lack of accessible work. Comply with all labor and wage standards.
Explanation:
Jake Olsen has decided to put $1,000 in the bank. List several questions Jake might want to ask before ch whether to put the money in a checking or a savings account.
Answer:
look at my comment
Explanation:
Noma plans to save $3,900 per year for the next 30 years. If she can earn an annual interest rate of 9.2 percent, how much will she have in 35 years? a) $716,300.24 b) $119,000.00c) $767,464.54 d) $83807128 e) $734,09652
the correct option is c) $767,464.54.
What is compound interest formula?To calculate the future value of Noma's savings, we can use the formula for compound interest:
Future Value = Principal Amount × (1 + Interest Rate)^Number of Periods
In this case, Noma plans to save $3,900 per year for the next 30 years. The interest rate is 9.2 percent, and we need to find the future value after 35 years.
First, let's calculate the principal amount. Noma saves $3,900 per year for 30 years, so the principal amount is:
Principal Amount = Annual Savings × Number of Years
Principal Amount = $3,900 × 30
Principal Amount = $117,000
Now, let's calculate the future value using the formula mentioned above:
Future Value = $117,000 × (1 + 0.092)^35
Calculating this expression will give us the answer.
Using a calculator or spreadsheet, we find that the future value is approximately $767,464.54.
Therefore, the correct option is c) $767,464.54.
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WILL MARK BEST ANSWER BRAINLIEST
Write a professional email using the following scenario:
The manager is going to a conference in another city. She would like her assistant to book the flight and hotel.
A professional email based on the given scenario would sound like the following:
To: Assistant
From: Manager
Subject: Flight and Hotel Booking for Chicago
Date: January 28, 2022
Hi,
Please book my flight and hotel reservations for the upcoming conference in Chicago from February 7, 8:00 am to February 11, 2022 (5:00 pm).
Do not forget the company's favorite airline and hotel for the bookings.
Regards,
Tony
Thus, while the email sounds professional, it may be more conversational than formal since it is a workplace request.
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trinh corporation has excess cash and has opted to buy some of its outstanding shares. what is this process of buying called? multiple choice stock repeal stock split stock repurchase stock dividend reverse stock split
According to the given statement of This process of buying is called Stock repurchase.
What drives stock purchases?Stocks could be a wise addition to your financial portfolio. By buying stocks in various companies, you may expand your savings, protect your money from taxes and inflation, and boost the return off your assets. It's crucial to realize that investing in the share market has difficulties.
Is Bitcoin is a good investment?Bitcoin, the most important cryptocurrency in terms of market value, is a risky and unstable investment. Only if you have a high degree of risk tolerance, strong financial position, and the capacity to withstand any potential losses should you give it any thought.
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What is not a criterion when evaluating financial service providers?
A. financial service provider's history
B. benefits or lack thereof
C. past and current employees
D. emerging technologies
That which is not a criterion when evaluating financial service providers is this: C. past and current employees.
What are the criteria for evaluating financial service providers?To successfully evaluate the qualification of a financial service provider, the customer must be able to look at their present and past history. They should consider their ability to incorporate emerging technologies into their businesses.
It is not really the business of the consumer to dig out the past and current employees of the business. He should be interested in other relevant factors like the above.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
PLZ HELP I AM TIMED!!!!!!
Kendra’s level of education is a high school diploma. Which careers could she work in? Check all that apply.
Planning Clerk
Production Worker
Mechanical Engineer
Hand Packer
Operating Workers
Industrial Engineering Technician
Answer:
b,d,e
Explanation:
these are correct
Production Workers, Hand Packers, and Operating Workers careers could work. Thus, option A is correct. b,d, and e.
What is education?Education is portrayed as a learning cycle for the individual to accomplish data and perception of the greater unequivocal things and express. Schooling influences the possibilities of work for individuals. A profoundly instructed individual is presumably prone to find a decent line of work.
In this instance as Kendra’s level of education is a high school diploma. This was to represent that the job and the project will be different. Also, there will be a specific low line of work that she can acquire to work on. This line of work will be Production Workers, Hand Packers, as well as Operating Workers.
Therefore, option b, d, and e is correct.
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The Federal Communications Commission (FCC) has hired you as a consultant to design an auction to sell wireless spectrum rights. The FCC indicates that its goal of using auctions to sell these spectrum rights is to generate revenue. Since most bidders are large telecommunications companies, you rationally surmise that all participants in the auction are risk neutral. Which auction type—first-price, second-price, English, or Dutch—would you recommend if all bidders value spectrum rights identically but have different estimates of the true underlying value of spectrum rights?
Kindly give a brief one-page description as part of the assignment.
For an auction to sell wireless spectrum rights where bidders are risk neutral but have different value estimates, a second-price auction is recommended to encourage truthful bidding and maximize revenue for FCC.
In the given scenario, where all participants in spectrum rights auction are risk neutral and value rights identically but have different estimates of true underlying value, the recommended auction is second-price auction.
The second-price auction encourages bidders to reveal their true valuation of spectrum rights because each bidder submits sealed-bid without knowing bids of others.
The bidder with highest valuation wins auction but pays price of second-highest bid. This format incentivizes bidders to bid their true value, as there is no benefit in strategically bidding lower.
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A three-month forward contract exists on a zero-coupon corporate bond with a current price per £100 nominal of £42.60. The yield available on three-month government securities is 6% pa effective. Calculate the forward price.
b) Portfolio B contains a European put option and a share. Compare this with the alternative of cash, currently worth ke-r(T-t)- . At time T portfolio B will be worth at least as much as the cash alternative. Why must Portfolio B be worth at least as much as the cash alternative?
What is the lower bound for a 3-month European put option on Share X if the share price is 95, the exercise price 100 and the risk-free rate 12% pa?
c) Explain why the put-call parity relationship above does not hold in the case of:
American options on non-dividend-paying shares.
European options on dividend-paying shares.
Company X issues 3-month European call options on its own shares with a strike price of 120p. They are currently priced at 30 pence per share. The current share price is 123p and the current force of interest is δ = 6% pa .
The question involves multiple scenarios related to financial contracts and options. It includes calculating the forward price for a three-month zero-coupon corporate bond, comparing a portfolio with a put option and a share to a cash alternative, determining the lower bound for a 3-month European put option, and discussing put-call parity relationships for American options on non-dividend-paying shares and European options on dividend-paying shares. Lastly, it involves analyzing European call options issued by Company X on its own shares.
In the first scenario, to calculate the forward price for the three-month zero-coupon corporate bond, we need to consider the current price per £100 nominal and the yield available on three-month government securities. The forward price would depend on the relationship between the current price and the yield.
In the second scenario, portfolio B, which consists of a European put option and a share, is compared to a cash alternative. The question states that at time T, portfolio B will be worth at least as much as the cash alternative. The reason for this is not explicitly provided, but it could be due to the protective nature of put options. The put option provides the holder with the right to sell the share at the exercise price, which acts as a downside protection in case the share price declines. This downside protection ensures that the portfolio value of B will not fall below the value of the cash alternative.
In the third scenario, the lower bound for a 3-month European put option is to be determined given the share price, exercise price, and risk-free rate. This involves applying the principles of options pricing models, such as the Black-Scholes model, to calculate the minimum value for the put option.
In the final scenario, the question addresses the put-call parity relationship. It mentions that the put-call parity relationship does not hold in the case of American options on non-dividend-paying shares and European options on dividend-paying shares. The reasons behind this are not provided, but it could be due to differences in the underlying assumptions and mechanics of these types of options, which may lead to deviations from the put-call parity relationship.
For the European call options issued by Company X, the question states the current share price, the option price, and the force of interest. It doesn't specify what needs to be calculated or explained in this particular scenario.
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Which form of financial capital involves giving up ownership in a company? A) a bank loan. B) a corporate bond. C) a perpetuity bond. D) shares of stock.
The form of financial capital that involves giving up ownership in a company is shares of stock. The correct answer is (D)
When individuals or entities purchase shares of stock in a company, they become part owners of the company and have a claim on its assets and earnings. This ownership also gives them the right to vote on important company decisions and elect the board of directors.
On the other hand, bank loans and corporate bonds do not involve giving up ownership in a company. Instead, they are forms of debt financing where the borrower agrees to repay the loan or bond with interest over time. Perpetuity bonds are a type of bond that pays interest indefinitely, but they also do not involve giving up ownership in a company.
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richard is reading over his title policy. it states that it will not cover any overlapping of improvements. is this standard in texas?
Title policy coverage in Texas and coverage for overlapping improvements
The standard title policy in Texas won't cover any overlapping of improvements. Therefore, Richard's policy is not any different from the standard one. So, it is standard in Texas.
A title policy is a form of insurance coverage that offers protection to property owners, buyers, and mortgage lenders from unforeseen title defects. In Texas, title policies are provided by title insurance companies regulated by the Texas Department of Insurance.
Types of Title Policy in Texas
The standard Texas title policy coverage includes two types of title policies:
Owner's Title Policy: The owner's title policy offers protection to the homeowner against title problems. The coverage provided is for the amount of the home's purchase price. This policy lasts as long as the owner or his heirs hold the title to the property.Lender's Title Policy: A lender's title policy offers coverage to the lender to secure their investment in the property. This policy's coverage is the amount of the mortgage loan, and it lasts until the mortgage loan is paid off.Title policy coverage exclusions
The Texas Department of Insurance provides a standard title policy that includes different coverage exclusions. Among the many exclusions, here are the coverage exclusions related to improvements:
Unrecorded liens and rights of parties in possessionOverlapping improvements and conflicts in boundary linesImprovements made after the effective date of the title policyUnauthorized alterations and encroachmentsEncroachments that affect the property's use or enjoyment by the owner, including those caused by neighbors or governmental entitiesBottom Line- The standard title policy in Texas won't cover any overlapping of improvements. Therefore, Richard's policy is not any different from the standard one.To know more about the "standard title policy": https://brainly.com/question/14662950
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Which examples demonstrate common qualifications for Security and Protective Services careers? Check all that apply.
Brooke negotiates with the prison inmates she supervises.
Ami is comfortable working alone and making decisions in her work as a Private Detective.
Reed thinks of creative solutions for defending a client in court.
Vincenzo attends college for many years and earns a juris doctor degree.
Shameka watches for unusual activities and signs of danger as she guards a bank building.
Teddy is a Lifeguard who uses his strength to pull a person out of the water.
Answer:
2,5,6
Explanation:
Ami,shameka,teddy
Answer:
2,5,6
Explanation:
10 pts
Question 2
Shannon's best friend has been excluding her lately. They were supposed to go shopping
together, but her friend called and canceled. Shannon is upset about it. This is an
example of which type of problem?
Por que se dice que emprender suele ser una decisión muy difícil quien la toma sabe que esta renunciando a la estabilidad que otorga un salario
Answer:
porque se dice que quiero tomar el siguiente
Last year, Sally had a gross profit margin of 68% in her hair salon. Her gross profit was $32,508. 63. How much did Sally make in net sales last year? a. $16,398. 06 b. $22,105. 87 c. $35,610. 25 d. $47,806. 81.
To find the net sales of Sally's hair salon, we need to calculate her total revenue generated in the year. Gross profit is defined as the amount of money a business earns after deducting the cost of goods sold (COGS).
It is typically represented as a percentage of total revenue. The formula for gross profit margin is: Gross Profit Margin = Gross Profit ÷ Total Revenue We know that Sally's gross profit margin was 68% and that her gross profit was $32,508.63. Let's use this information to find her total revenue:0.68 = $32,508.63 ÷ Total Revenue Total Revenue = $32,508.63 ÷ 0.68 Total Revenue = $47,806.81
Therefore, Sally's net sales for the year were $47,806.81. Hence, the correct option is d. $47,806.81.
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rapid population growth group of answer choices was hailed by thomas robert malthus as the key to future economic growth. tends to lead to higher levels of educational attainment. is the only reason that less developed nations are poor. may depress economic prosperity by reducing the amount of capital which each worker has to work with.
Rapid population increase may lower economic prosperity by lowering the amount of capital available to each worker, which is true of the statement.
The stock of financial and physical assets, including as cash, property, machinery, and other equipment, that can be used to produce goods and services is referred to as the amount of capital. Capital is a crucial component of production, and both its quantity and quality have an impact on the economy's productivity and efficiency. A sufficient amount of capital accumulation encourages economic growth by raising investment levels and the capacity to generate new jobs. On the other side, insufficient capital accumulation may limit economic growth, especially in less developed nations where a lack of financial resources and infrastructure can obstruct capital formation. Successful capital accumulation policies and tactics can support long-term economic growth and development.
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One way to determine the strength of the economy is to watch how consumers and producers are acting. When can an economy be considered strong?
One way to determine the strength of an economy is indeed by observing the behavior of consumers and producers. An economy can be considered strong when several key indicators demonstrate robust economic performance. Here are some signs that indicate a strong economy:
High Consumer Spending: Strong consumer spending is a positive indicator of economic strength. When consumers have confidence in the economy, they tend to spend more on goods and services. Increased consumer spending stimulates economic growth, drives business expansion, and creates job opportunities.
Growing Business Investment: When businesses are investing in new equipment, infrastructure, or expanding their operations, it signifies confidence in future economic prospects. Higher business investment indicates that companies expect increased demand and profitability, contributing to economic growth.
Low Unemployment Rate: A low unemployment rate suggests a strong labor market, with a significant portion of the workforce employed. It indicates that businesses are hiring, job opportunities are abundant, and people have the means to support themselves and contribute to economic growth.
Rising GDP: Gross Domestic Product (GDP) measures the total value of goods and services produced in an economy. A strong economy typically exhibits consistent GDP growth over time. Increasing GDP reflects overall economic expansion and prosperity.
Stable or Low Inflation: Inflation refers to the rate at which prices for goods and services rise over time. A strong economy maintains stable or low inflation rates, which ensures that the purchasing power of consumers is not eroded. It provides stability for businesses to plan investments and make long-term decisions.
Positive Business and Consumer Sentiment: Business and consumer confidence surveys are valuable indicators of economic strength. When businesses and consumers have optimistic views about the economy, they are more likely to make investments, spend, and engage in economic activities that drive growth.
It's important to note that these indicators should be considered in conjunction with each other, as no single indicator can provide a comprehensive view of economic strength. Additionally, the specific context, policies, and external factors can influence the interpretation of these indicators in assessing the overall health of an economy.
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What are some things can do to influence how the US government is run? Check all that apply.
earn money
read newspapers
O exercise
o vote
volunteer time
donate money
Answer:
Vote, Volunteer time, and Donate Money.
Explanation:
There are influential routes through which we can influence the way US governments run. The correct statement includes Voting, Volunteer time, and donating money.
What impacts the United States Government?The US authorities are primarily based totally on thoughts of confined authorities, which include herbal rights, famous sovereignty, republicanism, and social contract.
Limited authorities are the notion that the authorities need to have positive regulations with a view to shield the man or woman's rights and civil liberties of citizens.
Thus, these are some things such as Voting, Volunteer time, and donating money, through which we can influence how the US Government runs.
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in reviewing prices for a mutual fund, an investor notices that the beacon fund has two listings, one for class a shares and the other for class b shares. the distinction between the two classes of shares would most likely be
The distinction between class A and class B shares of a mutual fund typically refers to the way in which the fund charges fees to its investors. Class A shares typically have a front-end load, which is a sales charge that is applied when the shares are purchased.
This means that investors in class A shares pay a higher initial price for the shares, but may have lower ongoing expenses.
Class B shares, on the other hand, typically do not have a front-end load, but may have higher ongoing expenses, such as an annual management fee or a deferred sales charge. This means that investors in class B shares pay a lower initial price for the shares, but may have higher ongoing costs.
The choice between class A and class B shares will depend on an investor's individual circumstances and investment goals. Investors should carefully consider the fees and expenses associated with each class of shares, as well as the investment objectives and risk profile of the mutual fund, before making a decision.
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Consider your own career-related goals and dreams for the future—what are they? Briefly explain your career goals as they are today. Then, identify a specific professional organization that could benefit your pursuit of these goals. Evaluate how you might benefit from joining this organization.
Answer:
As an engineering student, my career goal is to work as a professional engineer in a reputed organization. I want to specialize in the field of renewable energy and work towards developing sustainable solutions for our planet's energy needs. My dream is to contribute towards the development of green technologies that can help reduce our carbon footprint and promote a cleaner environment.
One specific professional organization that could benefit my pursuit of these goals is the Institute of Electrical and Electronics Engineers (IEEE). This organization is dedicated to advancing technology for the benefit of humanity and has a specific focus on renewable energy and sustainable development.
By joining IEEE, I could benefit in several ways. Firstly, I would have access to a network of professionals and experts in the field of renewable energy, which could provide me with valuable guidance and mentorship. I would also have access to a range of educational resources, including conferences, seminars, and publications, which could help me stay up-to-date with the latest developments in the field.
In addition, being a member of IEEE would enhance my credibility as a professional engineer, and it could help me build a strong reputation in the industry. This could lead to potential career opportunities, and it could help me achieve my long-term career goals. Overall, joining IEEE would be a valuable investment in my future as an engineer and could help me make a positive impact on the world.
Explanation:
In business, a group of people who work together in an attempt to achieve some specific purpose is known as a(n) _____. Multiple choice question. cadre symposium cohort organization
There are different kinds of firms. In business, a group of people who work together in an attempt to achieve some specific purpose is known as an organization.
What is an organization?An organization is regarded as a combination or a group of people that are said to be working together such as an association, a charity, a union, etc.
The word organization also connote a group or business, or to the process establishing something.
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A neighbor’s kid comes into your backyard and jumps on the trampoline without your permission or knowledge. He falls off and lands on his head, resulting in a week’s hospital stay.
The first step should making sure such child receives proper medical attention. When he is well, we can have a conversation with the neighbor to prevent it from happening again..
What should be done in the event?It is very important to prioritize the child's health in this situation and once the medical attention has been sought, we can have a calm and respectful conversation with the child's parent to discuss the incident for future interactions.
One can also review any legal liabilities or insurance policies that could be involved. So, by taking proactive steps to prevent similar incidents in the future can help maintain positive relationships with neighbors while ensuring everyone's safety.
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what best defines form
Answer:
the shape and structure of something as distinguished from its material the building's massive form.
If a marketing-related business objective involves generating sales and revenue, KPI measurements that should be taken include _____.
O new customer acquisitionO message pillarsO product informationO Owned media
If a marketing-related business objective involves generating sales and revenue, KPI measurements that should be taken include new customer acquisition.
These are all illustrations of KPls. Key Performance Indicators, or KPls. Businesses track their progress towards attaining their goals and objectives using these precise, quantifiable metrics.
The average customer satisfaction rating is a gauge of how happy customers are with the services or goods. The percentage of returning consumers: This statistic indicates how many customers make subsequent purchases. Businesses can use this KPl to better understand client loyalty Sales revenue growth.This metric gauges how much a given period's worth of sales have grown.
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PLEASE ANSWER QUICKLY: (FIRST ANSWER GETS BRAINLIEST)
When comparing financial institutions, price is an important factor. What is TRUE about prices in financial institutions?
A. Interest rates on CD accounts are lower than on other types of accounts.
B. Higher interest rates will give you a higher return on your money.
C. It is illegal for financial institutions to have fees attached to checking accounts.
Higher interest rates will give you a higher return on your money.