David Greybeard was a chimpanzee that showed intelligence to Jane Goodall. David Greybeard's impressive intelligence and tool usage shocked the scientific community when he was first discovered. Jane Goodall is a well-known scientist and primatologist who has spent her entire life studying chimpanzees in the wild.
In 1960, at the age of 26, she began her research in Tanzania, East Africa, in the Gombe Stream Reserve.Jane Goodall discovered that chimpanzees had a lot in common with humans. She discovered that chimpanzees have complex emotional lives and are capable of making and using tools to solve problems and acquire food.David Greybeard displayed intelligence to Jane Goodall David Greybeard was the first chimpanzee that Jane Goodall studied. David Greybeard became famous for his tool usage and intelligence. David Greybeard showed intelligence when he used a stick to fish for termites and then ate them. This was a revolutionary discovery because it was previously believed that only humans were capable of making and using tools to solve problems and acquire food.
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which method of project analysis consists of computing npv values in best-case, worst-case, and base-case situations?
NPV values are calculated using the scenario technique of project analysis in the best-case, worst-case, and base-case scenarios.
Scenario analysis is a technique for forecasting that looks at several alternatives and their predicted results. The most likely result is a base-case cash flow, and a range of possible results is provided by best-case and worst-case cash flow scenarios. Then, the NPV for each of these hypotheses is determined.
This indicates both the potential risk involved with the investment as well as the anticipated return on the investment. The ability to see the predicted profit or loss from various scenarios might be useful in making decisions. Investors can use this information to choose which investments to pursue and which to forego.
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The vast bulk of Marx's theoretical efforts consisted of a painstaking analysis of capitalism as a a. world economic system. b. tool of emancipation. c. mode of production. d. theory of hegemony.
The majority of Marx's theoretical efforts consisted of a painstaking analysis of capitalism as a world economic system.
What is capitalism?A capitalism is an economic system whereby the citizen, manufacturer and producers independently runs the affairs of an economy production with no regulation from government.
Hence, the majority of Marx's theoretical efforts consisted of a painstaking analysis of capitalism as a world economic system
Therefore, the Option A is correct.
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Mort Silver owns a home. He estimates his expenses as mortgage interest, $10,180; property taxes, $3,690; insurance, $833; depreciation, $3,800; maintenance and repairs, $900; lost interest income, $2,375; and utilities, $2,450. He expects to save $3,700 in income taxes. What is his net cost of home ownership?
Answer:
$17,528.00
Explanation:
The net cost of home-ownership will be the expenses minus savings.
Mortgage interests: $10,180
Property taxes :$3,690
Insurance :$833
Depreciation :$800
Maintenance and repairs :$900
Loss interest income :$2,375
Utilities: $2,450
The total expenses
= $10,180 + $3,690 + $833 + $800 + $900 + $2,375 + $2,450
=$21,228
Savings
=$21,228 - $3,700
=$17,528.00
What is the straight time pay for each of the following for a 40 hour week
What is the guideline amount for an emergency fund
Answer:
While the size of your emergency fund will vary depending on your lifestyle, monthly costs, income, and dependents, the rule of thumb is to put away at least three to six months' worth of expenses.
Explanation:
While the size of your emergency fund will vary depending on your lifestyle, monthly costs, income, and dependents, the rule of thumb is to put away at least three to six months' worth of expenses.
Please HELPPP
What accounts does Lillie T. Lane have open at this time?
O One mortgage
O One mortgage and one credit card
O One mortgage and two credit cards
One mortgage, two credit cards, and one bank account
Based on the information provided, it appears that the Lillie T. Lane has at least one mortgage account and either one or two credit card accounts. Additionally, they have a bank account.
If Lillie T. Lane only mentioned having one credit card in addition to their mortgage, then they have two open accounts: one mortgage and one credit card. However, if they mentioned having two credit cards in addition to their mortgage, then they have three open accounts: one mortgage and two credit cards. Having multiple credit cards can be beneficial for building credit and earning rewards, but it's important to use them responsibly and pay them off in full each month to avoid accumulating debt and damaging credit scores. Finally, having a bank account is essential for managing personal finances. It allows for easy access to funds and provides a means of paying bills and transferring money. It's important to choose a bank account with low fees and convenient features that suit individual financial needs.
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A company is in the process of preparing a budget for launching a new product. The following table provides the associated activities and their durations. Activity Predecessor(s) Duration (days) A: B: C: D: E: F: G: Forecast sales volume Study competitive market Design item and facilities Prepare production schedule Estimate cost of production Set sales price Prepare budget А С D BE EF 10 7 5 3 2 1 14 a. Construct the project network. b. Find earliest & latest start times for each event. c. Determine the critical path, minimum duration to complete the project and identify critical activities and non-critical activities. d. For the non-critical activities, compute total and free float and identify red-flagged activities.
The project network has been constructed for a company preparing a budget for launching a new product. The critical path, minimum duration, and critical and non-critical activities have been identified.
The project network has been created by following the activity-on-node technique, where each activity is represented as a node and connected through arrows, representing their dependencies.
The earliest start time (EST) and the latest start time (LST) have been calculated for each event. For example, the EST for event A is 0, and the LST is also 0, as it is the starting event and has no predecessor.
The critical path, which represents the longest sequence of activities that determines the minimum duration to complete the project, has been identified as A-C-D-E-F-G, with a minimum duration of 32 days.
The critical activities are those that lie on the critical path, and any delay in their completion will result in a delay in the project's overall completion.
Conversely, non-critical activities, such as B, have slack in their schedules, and they can be delayed without affecting the overall project duration.
The red-flagged activities are those with negative slack or float, indicating that their completion may delay the project's overall duration or deadline.
In conclusion, the project network provides a comprehensive view of the project's activities, dependencies, and their relative importance, which helps in better planning, scheduling, and managing the project resources and timelines.
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Why would a borrower get a cosigner for a loan?
If the principal borrower defaults on a loan, the co-signer agrees to assume repayment of the debt.
Why would someone co-sign for a loan?
When you cosign for someone, you agree to be held accountable for the loan, lease, or other contract should the primary borrower be unable to make the required payments.
Everything for which you cosign will appear on your credit record as if it were your own, which, depending on your credit history, may have an influence on your credit ratings.
What distinguishes a cosigner from a guarantor?
The lease is signed by a cosigner and guarantor who both agree to be responsible for paying the rent. Whereas a guarantor is only obligated to make payments if the principal borrower is unable or unwilling to do so, a cosigner is accountable from the moment they sign the loan.
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WILL GIVE BRAINLIEST!!! Jake has been distribution manager at his company for over ten years. Unfortunately, the company has experienced a decline in profit and they are fighting to stay in business. Jake has to schedule a shipment very quickly over the next couple of weeks. Would an aircraft be a good choice for jake? why or why not? if not, provide a better alternative.
Answer:
I say yes because the shipment will get their faster, and the faster the shipment gets there the faster he gets the money to save the business.
will give brainliest if correct (repost)
Answer:
decrease in demanded
Explanation:
the green one is the answer
Answer:
The other person is correct
Explanation:
have a great rest of your day :)
which type of data consists of objective responses that a business can measure for market research purposes?
blank or blank data refers to objective responses that a business can measure in the market research process.
1 (structured/ unstructured: descriptive)
2 (expressive/ qualitative/ quantitative)
Answer: structured or quantitative
Explanation: i just took the test ( for PLATO users )
i am so coufued "what i am going to in future, i am very good in art and math and cooking and pe?
Answer:
you can be a artist or chef
Answer:
You can start up an art themed restaurant.
Explanation:
You are very talented, you could even enter cooking shows to practice and improve on ur cooking skills.
Very many people have are paintings in their homes, selling your art could earn you plenty of income.
PLEASE MARK BRAINLIEST :))What are the basic points to be considered while running the occupation? for each of them
Answer:
interest
qualification
skills
finance
You have a startup company that is not particularly well known. Your annual sales at the end of year 1 are $100,000. Due to hard work, however, you expect that your sales will grow by 25% every year. What type of cash flow is this? Irregular Series Gradient Series Geometric Series Uniform Series
The cash flow described in this scenario is a geometric series characterized by a constant growth rate of 25% each year.
The type of cash flow described in this scenario is a geometric series. A geometric series is a sequence of numbers in which each term is obtained by multiplying the previous term by a constant ratio. In this case, the annual sales are expected to grow by 25% each year, which means the sales for each subsequent year will be 1.25 times the previous year's sales.
The annual sales of $100,000 at the end of year 1 serve as the starting point, and by applying the growth rate of 25% (or 1.25), we can calculate the sales for each subsequent year. The sales for year 2 would be $100,000 x 1.25 = $125,000, for year 3 it would be $125,000 x 1.25 = $156,250, and so on.
This pattern continues indefinitely, with each year's sales being 25% higher than the previous year. A geometric series is characterized by its constant ratio between consecutive terms, making it suitable for modeling scenarios with consistent growth rates over time.
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Which departments within the organization should have access to the marketing plan?.
The CMO of business unit is likely to be responsible for creation of its marketing plan.
What is a marketing plan?A comprehensive business plan could include a marketing strategy. A well-written marketing plan must start with a strong marketing strategy in order to accomplish goals. While a marketing strategy includes a list of tasks, it is of little use to a business without a strong strategic base. A marketing plan is a thorough report or blueprint that describes the advertising and marketing strategies to be used in the upcoming calendar year. It covers the commercial operations involved in achieving particular marketing goals within a predetermined time frame. A marketing strategy also contains a discussion of the target market, a description of the target market, and a description of the marketing mix that will be used by the company to meet its marketing objectives.
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company c has a fixed charge coverage ratio of 3 times and company d has a fixed charge coverage ratio of 4 times. looking at only this ratio, which company is in a better financial condition.
Based solely on the fixed charge coverage ratio, Company D is in a better financial condition than Company C.
The fixed charge coverage ratio measures a company's ability to cover its fixed charges, such as interest expenses and lease payments, with its earnings before interest and taxes (EBIT). A higher ratio indicates a greater ability to meet these obligations.
Company C has a fixed charge coverage ratio of 3 times, meaning its EBIT is three times its fixed charges.
Company D has a fixed charge coverage ratio of 4 times, indicating its EBIT is four times its fixed charges.
Comparing the fixed charge coverage ratios, Company D's ratio of 4 times is higher than Company C's ratio of 3 times. This implies that Company D has a stronger ability to cover its fixed charges with its earnings. Therefore, based solely on this ratio, Company D is in a better financial condition than Company C.
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Still haven't got corona, even a global pandemic don't want me..
Answer:
Same Who knows Can't Say that until this Pandemic Over
Explanation:
QuestionCove its Aight My User KazGotFetee
What is the purpose of active listening?
Explanation:
Active listening serves the purpose of earning the trust of others and helping you to understand their situations. Active listening comprises both a desire to comprehend as well as to offer support and empathy to the speaker.
Gaining others' trust and gaining insight into their circumstances are two benefits of active listening. Both a want to understand and a desire to support and empathize with the speaker are components of active listening.
What are components?A component is an identifiable portion of a larger program or construction in the programming and engineering fields. A component often performs one specific function or a set of related functions. A component is something that is a piece of a bigger whole. An example of a component is a CD player in a stereo system. An illustration of a component is an ingredient in a recipe. Noun.
Abiotic factors are non-living parts of an ecosystem that have an impact on their surroundings. Terrestrial ecosystems can be characterized by factors like temperature, light, and water. Ocean currents and salinity are examples of abiotic components in a marine ecosystem.
Active listening is a technique for listening to and responding to another person that enhances comprehension between the two parties. To diffuse the situation and look for solutions to issues, it is crucial to take this initial move. Students will learn what active listening is in this session and why it is crucial for handling disagreements.
Therefore, the speaker is a component of active listening.
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Airline Accessories has the following current assets: cash, $112 million; receivables, $104 million; inventory, $192 million; and other current assets, $28 million. Airline Accessories has the following liabilities: accounts payable, $118 million; current portion of long-term debt, $45 million; and long-term debt, $33 million. Based on these amounts, calculate the current ratio and the acid-test ratio for Airline Accessories. (Enter your answers in millions, not in dollars. For example, $5,500,000 should be entered as 5.5.)
Answer:
Current Ratio = 2.67
Acid-Test Ratio = 1.50
Explanation:
Given:
Current assets:
cash = $112 million
receivables = $104 million
inventory = $192 million
other current assets = $28 million
Liabilities:
accounts payable = $118 million
current portion of long-term debt = $45 million
Long-term debt = $33 million
FInd:
Current ratio
Acid-test ratio
Computation:
Current assets = Cash + Receivables + Inventory + Other Current Assets
Current assets = [112 + 104 + 192 + 28] Million
Current assets = $436 million
Current Liabilities = Accounts Payable + Current portion of Long term debt
Current Liabilities = [118 + 45] million
Current Liabilities = $163 million
Current Ratio = Current assets / Current Liabilities
Current Ratio = $436 Million / $163 Million
Current Ratio = 2.67
Acid-Test Ratio = [Current Assets – Inventories] / Current Liabilities
Acid-Test Ratio = [$436 Million - $192 Million] / $163 Million
Acid-Test Ratio = $244 Million / $163 Million
Acid-Test Ratio = 1.50
where does McKenna grace live? Brainliest for the correct answer
Answer:
McKenna grace lives in Texas of America.
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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110 PART 2 PORTER'S APPROACH TO INDUSTRY ANALYSIS Michael Porter, an authority on competitive strategy, contends that corporation is mes con cemed with the intensity of competition within its incestry
Michael Porter's approach to industry analysis is based on his ive Forces Fmodel. This model is used to determine the intensity of competition within an industry and to identify the key factors that influence a corporation's ability to compete in the market.
The five forces include:
1. Threat of new entrants: This refers to the ease with which new competitors can enter the market. If there are low barriers to entry, the threat of new entrants is high, and competition within the industry is likely to be intense.
2. Bargaining power of suppliers: This refers to the ability of suppliers to influence the prices of the goods and services they provide. If suppliers have a high degree of bargaining power, they can exert more control over the prices of their products, which can impact the profitability of the corporations within the industry.
3. Bargaining power of buyers: This refers to the ability of buyers to influence the prices of the goods and services they purchase. If buyers have a high degree of bargaining power, they can exert more control over the prices of the products they buy, which can impact the profitability of the corporations within the industry.
4. Threat of substitute products: This refers to the availability of products or services that can be used in place of those offered by the corporations within the industry. If there are many substitute products available, the threat of substitution is high, and competition within the industry is likely to be intense.
5. Rivalry among existing competitors: This refers to the level of competition among the corporations within the industry. If there is a high degree of rivalry, competition within the industry is likely to be intense.
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According to the Small Business Administration, the percentage of businesses that
survive the first five years is about
Answer:
50%
Explanation:
other things the same, in the open-economy macroeconomic model, if the real exchange rate rises, the
Answer: Other things the same, in the open-economy macroeconomic model, if the real exchange rate rises, the country's net exports will decrease. This is because the increase in the real exchange rate makes the country's goods relatively more expensive for foreigners, leading to a decrease in exports. At the same time, the increase in the real exchange rate makes foreign goods relatively cheaper for domestic consumers, leading to an increase in imports. As a result, the country's net exports decrease, and the trade balance moves towards a deficit.
Explanation: BRAINLIST?
Other things the same, in the open-economy macroeconomic model, if the real exchange rate rises, the trade balance will tend to improve.
This is because a rise in the real exchange rate makes domestic goods relatively more expensive than foreign goods, thus leading to an increase in imports and a decrease in exports. As a result, the net exports will decrease, leading to a smaller trade deficit or a larger trade surplus.
In the short run, an improvement in the trade balance can lead to an increase in aggregate demand, as higher net exports increase the demand for domestic goods and services. This can lead to an increase in output, employment, and income. However, in the long run, the effect of a rise in the real exchange rate on the trade balance is likely to be offset by other factors, such as changes in relative prices and competitiveness.
Moreover, the impact of a rise in the real exchange rate on the economy also depends on the nature of the exchange rate regime and the monetary policy. Under a fixed exchange rate regime, a rise in the real exchange rate requires an adjustment in the nominal exchange rate, which may be difficult to achieve without a corresponding change in the monetary policy.
Under a flexible exchange rate regime, the exchange rate adjusts automatically to changes in the real exchange rate, but this may also lead to volatility and uncertainty in the exchange rate. Overall, the effect of a rise in the real exchange rate on the economy is complex and depends on various factors.
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1) Inflation represents the rate of increase of the average price of goods. If inflation decreases from 10% to 5%, does the average price of goods decrease? Explain.
No, the average price of goods does not decrease when inflation decreases from 10% to 5%.
Inflation represents the rate of increase in the average price of goods and services over time. When inflation decreases, it means that the rate of price increase has slowed down, but it does not imply a decrease in the average price itself. Even with a lower inflation rate, prices can still continue to rise, albeit at a slower pace.
The percentage of inflation indicates the extent of price increase compared to the previous period. If the inflation rate decreases from 10% to 5%, it means that prices are still increasing but at a slower rate. For example, if an item was priced at $100 at the beginning of the year, with a 10% inflation rate, its price would increase to $110. However, with a 5% inflation rate, the price would increase to $105. While the rate of increase has decreased, the average price of goods has not decreased.
Therefore, it is important to differentiate between a decrease in the inflation rate (a decrease in the rate of price increase) and an actual decrease in the average price of goods, which would indicate deflation.
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If you see the letters "wh” on your paycheck, what do they stand for?
investment equals inventory investment added to group of answer choices business purchases of new capital goods. purchases of new residential housing. government investment. business purchases of new capital goods and purchases of new residential housing. previousnext
Investment equals inventory investment added to government investment.
Stock is the products or materials a commercial enterprise intends to sell to customers for earnings. Stock management, a vital detail of the delivery chain, is the tracking of inventory from manufacturers to warehouses and from those facilities to a point of sale.
The principle characteristic of inventory is to provide operations with ongoing delivery of materials. To acquire this function efficiently, your commercial enterprise should try to discover a candy spot among an excessive amount of and too little, without ever jogging out of inventory.
Powerful stock management and manage protect from wrong or broken items being shipped to customers. This helps improve purchaser enjoyment, protect from issues including refunds, and acquire extra repeat shoppers.
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Why do you feel we should choose to hire you over other candidates?*
1
Answer:
Because you have a unique skill that they will need.
Explanation:
Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
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1.4 Why is Canada considered to have a branch-plant economy?
Answer:
Manufacturing companies set up branch plants to serve the Canadian market, thereby avoiding high freight costs and import duties.
Explanation:
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