Determine if the following statement is a descriptive or an inferential statistic: (1) The average earnings per share for AT\&T over the last 5 years. (2) The number of people who will vote for the Democratic candidate for senator in the upcoming election in California using a sample of 200 potential voters. (3) The number of people who would favor a constitutional amendment requiring Congress to balance the budget, based on a survey of registered voters. (4) The average number of yards a rookie running back is expected to gain, based on a sample of rookie running backs.

Answers

Answer 1

Descriptive statistics summarize or describe data, providing information about a specific group or population.

In statement (1), the average earnings per share for AT&T over the last 5 years is a descriptive statistic because it presents a summary measure of a specific company's financial performance.

Inferential statistics, on the other hand, involve drawing conclusions or making predictions about a larger population based on a sample. Statement (2) involves estimating the number of people who will vote for the Democratic candidate in the upcoming election using a sample of 200 potential voters. This requires making inferences about the entire population of potential voters in California.

Similarly, statement (3) is an inferential statistic because it estimates the number of people who would favor a constitutional amendment based on a survey of registered voters, implying conclusions about the larger population of registered voters.

Lastly, statement (4) is a descriptive statistic as it provides the average number of yards a rookie running back is expected to gain based on a sample of rookie running backs. It describes the performance of a specific group without making any inferences about a larger population.

In summary, descriptive statistics summarize data about a specific group, while inferential statistics involve making inferences or predictions about a larger population based on a sample.

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Related Questions

Select the correct answer.
Henry conducted a survey on an ad done by his company. In the survey, he asked people to evaluate the ad and state whether they found it
extremely poor, poor, good very good, or excellent. What kind of test is Henry conducting in this survey?

OA day after recall test

OB interview test

OC rating scale test

OD. open-ended test

Answers

Answer: C

Hope this helps!!

3. A financial institution issues a guaranteed investment contract for $10,000 to its customers, which has a 6-year maturity and a guaranteed interest rate of 5% per year. The institution wants to fund the obligation using two debt instruments, which include 4-year zero-coupon bonds selling at a yield-to-maturity (YTM) of 5%, and also 5% annual coupon-paying perpetuities selling at par. Answer the following questions with steps of calculation shown:
(i) Describe an immunized portfolio for the first year such that the duration of asset portfolio is equal to the duration of the single-payment liability.


(ii) Next year, assume that YTM will remain at 5%. Describe the rebalancing strategy for the immunized portfolio.

Answers

The immunized portfolio in the first year consists of a long position in the zero-coupon bond with a weight of 1.5 and a short position in the perpetuity with a weight of -0.5. In the second year, the portfolio needs to be rebalanced with a weight of 1.25 for the zero-coupon bond and -0.25 for the perpetuity to maintain the duration matching condition.

(i) To create an immunized portfolio for the first year, we need to match the duration of the asset portfolio with the duration of the single-payment liability.
Step 1: Calculate the duration of the liability:
Duration of liability = maturity of the guaranteed investment contract = 6 years
Step 2: Determine the duration of the zero-coupon bond:
Duration of zero-coupon bond = maturity of the bond = 4 years
Step 3: Determine the duration of the perpetuity:
Duration of perpetuity = (1 + yield-to-maturity) / coupon rate = (1 + 5%) / 5% = 1.05 / 0.05 = 21 years
Step 4: Create a portfolio with appropriate weights:
Let's assume we invest X dollars in the zero-coupon bond and Y dollars in the perpetuity. We need to find the weights that satisfy the duration matching condition.
Weight of zero-coupon bond (W0) = duration of liability / duration of zero-coupon bond = 6 / 4 = 1.5
Weight of perpetuity (W1) = 1 - W0 = 1 - 1.5 = -0.5
Since the weight of the perpetuity is negative, we can consider it as a short position or use a negative amount. In this case, we would need to invest 1.5 times the liability amount in the zero-coupon bond and short 0.5 times the liability amount in the perpetuity.

(ii) In the second year, assuming the YTM remains at 5%, the rebalancing strategy for the immunized portfolio would involve adjusting the weights to maintain the duration matching condition.
Step 1: Calculate the new duration of the liability:
Since one year has passed, the new duration of the liability would be 5 years (original 6-year maturity minus 1 year).
Step 2: Determine the new duration of the zero-coupon bond and perpetuity (no changes since their maturities and coupon rates remain the same).
Step 3: Calculate the new weights of the zero-coupon bond and perpetuity:
New weight of zero-coupon bond (W0') = duration of the liability / duration of the zero-coupon bond = 5 / 4 = 1.25
New weight of perpetuity (W1') = 1 - W0' = 1 - 1.25 = -0.25
Similar to the first year, we would need to invest 1.25 times the liability amount in the zero-coupon bond and short 0.25 times the liability amount in the perpetuity to maintain the immunized portfolio.

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which basic supply chain flow is usually the most important?

Answers

The most important flow in the supply chain is the flow of information. Without a clear and consistent flow of information between different parts of the supply chain, the chain cannot function smoothly.

Supply chain flow refers/relates to the movement of goods, materials, and information from suppliers to customers. Information flow is a key component of the supply chain as it provides the visibility and transparency needed to make informed decisions and maintain efficient operations.

Inaccurate or incomplete information can cause supply chain delays, disruption and additional costs. A clear and consistent flow of information enables companies to respond quickly to changing market demands and address issues that arise in their supply chains.

Effective communication and collaboration between all parties involved in the supply chain helps improve efficiency, reduce costs and improve customer satisfaction.

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Complete question:

What is the most important supply chain flow? Without it, supply chains cannot flow seamlessly. Which one is it?

PLEASE HELP ACCOUNTING
Question 4 of 10
Which of the following should be included in
any journal entry?

A. A calculation of owner's equity

B. Either a debit or a credit

C. The total debits and credits for
the period

D. Both a debit and a credit

Answers

Answer:

The answer is D.

Explanation:

In a journal entry you are balancing your accounts. You have Debits and Credits. Think of the acronym DEAD when determining which is which. DEAD is Debits = expenses, assets, and dividends. Debits are always balanced out by credits. So for example if you had rent to pay, you would list that as a debit (it is an expense). The credit would be cash (cash is NOT an asset when thinking in terms of accounting).

SO:

10/12/22  Rent Expense    $500

                                                      Cash          $500

For everything, there is a balance. You want to know what counters a given account.

Which factor determines the equality between savings and investment in Keynesian theory of effective demand

Answers

Profit expectations, the degree of confidence, and the selection of investment in national income are the factors that determine the equality between savings and investment in Keynesian theory.

Keynes made it clear that the equality between saving and investment is obtained by the differences in national income. A basic macro-economic analysis identity is that saving equals investment making it an equilibrium.

The main difference between Keynesian and other classical theories is that Keynesian economics concentrates on government investments and a fiscal approach to promoting economic growth but classical economics concentrates on the strength of the free market to control itself.

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What benefits might citizens of a Centrally Planned economy derive from a move toward a marked based system?

Answers

Citizens in a Centrally Planned Economy benefit from a shift toward a marked-based system. Higher economic growth, Increased access to products and services, More freedom and choice.

1. Higher economic growth: Transitioning to a market-based economy promotes competitiveness and efficiency, which can lead to increased economic growth.

2. Increased access to products and services: As the economy shifts toward a market-based system, residents will have more access to a broader range of goods and services, including imported commodities.

3. More freedom and choice: In a market-based economy, individuals have greater flexibility to pick whatever products and services they wish to buy, as well as more freedom to engage in a variety of economic activities.

4. Improved entrepreneurial incentives: A market-based economy may give incentives for entrepreneurs to innovate and produce new goods and services, resulting in increased economic growth and development.

5. More effective resource allocation: A market-based system supports efficient resource allocation since prices represent the real worth of commodities and services in the economy. This has the potential to boost economic efficiency.

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Patrick, a 43-year-old taxpayer who will use the single filing status, bought 100 shares of HIJ stock for $10,000 in 2015. There were no subsequent adjustments to his basis, but the stock underperformed, and he sold his shares for $4,250 in 2019. Patrick had no other capital gains or losses during the year, and his only other income consisted of $80,000 in wages. If Patrick deducts the maximum capital loss on his 2019 return, what is his long-term capital loss carryover for 2020? $0

Answers

Answer:

Patrick, a 43-year-old taxpayer

Patrick's long-term capital loss carryover for 2020 is:

$2,750.

Explanation:

a) Data and Calculations:

Investment in HIJ stock = $10,000 in 2015

Sale of investment in 2019 = $4,250

Capital loss = $5,750 ($10,000 - $4,250)

Maximum allowed capital loss in 2019 = $3,000

Carryover capital loss for 2020 = $2,750 ($5,750 - $3,000)

b) Patrick is allowed to offset his capital losses against his capital gains.  However, he can use a capital loss as an offset to ordinary income, up to $3,000 per year.  Since he has more than $3,000, the difference of $2,750 will be carried forward to future tax years.

What does a credit score provide to lenders?

Group of answer choices

A person's credit risk

A person's credit history

A person's credit application

A person's credit interest

Answers

Answer:

I believe the answer is credit history, please let me know if I am wrong.

Explanation:

"'A credit score is a number lenders use to help them decide how likely it is that they will be repaid on time if they give a person a loan or a credit card.'' Your personal credit score is built on your credit history.'' Your FICO® Score☉ ranges from 300 to 850."

Answer: A person’s credit risk

Explanation:

Which term refers to checks that have been written but not been cashed?
Group of answer choices

direct deposit checks

outstanding checks

cancelled checks

signature checks

Answers

Answer: ill help you

Explanation:

Answer: signature checks

PLZZ HELP

just need 50 words for a justification on this topic.....that's all....plzzzzz.......its worth max points so plzzzz make it good.

Analyse how Nike has dominated globally throughout the decades and drives the economy.

Answers

Every company develops a brand reputation. Sometimes it helps the company bring in more revenue, and sometimes it plays against it. That's not the case for Nike, which by sponsoring many high-profile athletes and sports teams all over the world has become one of the most recognized global symbols.

Strong branding is just one of Nike's many competitive advantages. A culture of innovation, plenty of international opportunities for revenue expansion, and significant pricing power make this stock a must watch. Its shares are up almost 50% since early January, but this may be just the beginning.

Founded in 1964 by University of Oregon track athlete Philip Knight and his coach Bill Bowerman, Nike has become a leading player in the athletic footwear and apparel industry. Over the past 40 years, the company has built several competitive advantages:

Strong Brand: Nike has been able to establish strong emotional connections with athletes by building one of the most widely recognized brands in the world. Interbrand puts Nike in the 26th position of its Best Global Brands 2012 Ranking, well above Adidas , which is in the 60th position. Pricing Power: Nike's strong brand has enabled the company to set high prices, and therefore enjoy a higher gross margin in footwear than most of its competitors. Just in the latest quarter, the company posted an increase of 110 basis points in gross margin to 43.9%.  Global Supply Chain: With more than 1000 factories worldwide and 1 million workers employed, Nike's supply chain overshadows any other competitor. The company has the resources needed to supply the world with top-quality shoes without any trouble.

These advantages have allowed the company to more than double its revenue in the past 10 years. As earnings per share grew at a compounded rate of 15%, management returned over $15 billion to shareholders via dividend payments and share repurchases. The key behind these figures is massive growth. It took the company 18 years to earn its first $2 billion in revenue. By growing 8% in 2012, the company added that much in just 12 months.

Emerging markets are a massive opportunity for Nike. Asia and Latin America in particular are set to become the firm's primary growth engines. Both regions will continue experiencing strong demand for its products due to increasing economic prosperity and a strong interest in sports.

The brand is already the leading player in China with more than $2.4 billion in sales in 2012. Because of increasing competition coming from Adidas and Hennes & Mauritz, however, Nike's inventories have started to grow faster than its sales after growing its business 23% between 2011 and 2012. That being said, Nike still has plenty of room left for discounts in order to protect its leading position from Adidas.

Brazil is another key market. According to the company's latest letter to shareholders, management is preparing a marketing plan more ambitious than anything they have done before for the 2014 World Cup and the 2016 Olympics.

Nike's classic rival, Adidas, became stronger after the 2006 acquisition of Reebok. The German sports equipment maker is making steady progress in international expansion, and will also benefit from a sales boost coming from the World Cup next year as it will be sponsoring strong teams, such as Germany, Argentina and Spain. However, by securing more than half of the teams in the 2010 World Cup, including the French and Brazilian national soccer teams, Nike will be the main figure.

The industry certainly looks fierce. That should not be a problem for Nike, however, which has all the competitive advantages needed to keep its leading position in the global athletic footwear, apparel, and equipment market, which is worth as much as $284 billion. With more than a thousand factories all over the world and one of the strongest global brands ever created, Nike is well prepared to capitalize on its emerging markets business and welcome one billion new consumers on the way.

difference between middle and higher level professional​

Answers

medium level profession can be defined as some one who has moved past entry level but isn't nearing the end . whereas high level profession means a person has moved past entry level and also has reached the end.

An october 27, 2013 op/ed. Piece by armstrong williams in the washington times makes a four-part argument against the affordable care act or obamacare. Using toulmin’s argumentation model, correctly label each part of the argument, and identify its rebuttal. Each choice is only used once.

Answers

Using Toulmin's argumentation model, correctly label each part of the argument,  as

1. In general, laws should benefit everyone as they were intended-- Warrant

2. The ACA provides health care to many who could not afford it previously -- Rebuttal

3. Early empirical evidence shows that the premiums for young people are significantly higher under the ACA. -- Backing

4. Therefore, the ACA should be repealed  -- Claim

5. Because the insurance premium benefits under the ACA are not as attractive as originally advertised -- Grounds.

What is the objective of Toulmin's argumentation model?

According to Toulmin, an argument must include three key components: a claim, supporting evidence, and a warrant. The warrant is the presumption upon which the statement and the supporting data are based.

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The complete question is Probably

An October 27, 2013 op/ed. piece by Armstrong Williams in The Washington Times makes a four-part argument against the Affordable Care Act or Obamacare. Using Toulmin's argumentation model, correctly label each part of the argument, and identify its rebuttal. Each choice is only used once.

A. Warrant

B. Rebuttal

C. Backing

D. Grounds

E. Claim

1. In general, laws should benefit everyone as they were intended.

2. The ACA provides health care to many who could not afford it previously.

3. Early empirical evidence shows that the premiums for young people are significantly higher under the ACA.

4. Therefore, the ACA should be repealed.

5. Because the insurance premium benefits under the ACA are not as attractive as originally advertised.

Syppose you are a euro-based investor who just sold Microsoft shares that you had bought six months ago. You had invested 10.000 euros to buy Microsoft shares for $120 per share; the exchange rate was $1.11 per euro. You sold the stock for $147 per share and converted the dollar proceeds into euro at the exchange rate of $1.02 per euro. First, determine the profit from this investment in euro terms. Second, compute the rate of return on your investment in euro terms. How much of the return is due to the exchange rate: movement? (Do not round intermediate calculations. Enter your answer as a percent rounded to 1 decimal places.)

Answers

To determine the profit from this investment in euro terms, we need to calculate the initial investment, the proceeds from selling the stock, and the exchange rate at the time of conversion.

Initial Investment:

You invested 10,000 euros to buy Microsoft shares at $120 per share.

Therefore, the number of shares you bought is 10,000 euros / $120 = 83.33 shares.

Proceeds from Selling the Stock:

You sold the stock for $147 per share, and you had 83.33 shares.

So, the total proceeds from selling the stock in dollars is 83.33 shares * $147 = $12,251.51.

Exchange Rate at Conversion:

The exchange rate at the time of conversion was $1.02 per euro.

Now, let's calculate the profit in euro terms:

Profit in euros = (Proceeds in dollars / Exchange rate at conversion)

= ($12,251.51 / $1.02)

= 12,000.50 euros (rounded to two decimal places)

Next, let's compute the rate of return on your investment in euro terms:

Rate of return = (Profit in euros / Initial investment) * 100

= (12,000.50 euros / 10,000 euros) * 100

= 120.01% (rounded to two decimal places)

Lastly, we can determine how much of the return is due to the

exchange rate movement:

Exchange rate movement component = (Rate of return - Stock price movement component)

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the national labor relations act (NLRA) governs which of the following?
A. Workplace safety
B. Minimum wage laws
C. Undocumented workers
D. Collective bargaining

Answers

Answer:

collective bargaining

The national labor relations act (NLRA) governs D. Collective bargaining

Employees who are coworkers in a company come to a consensus on certain crucial issues through collective bargaining. This may involve wage increases or a discussion between businesses and employees. The term NLRA stands for National Labour Relations Act. It is a federal legislation in the United States that typically regulates interactions between employers and employees.

In particular, it safeguards workers' freedom to participate in collective bargaining and other union-related activities and forbids employers from participating in unfair labour practices that might infringe on such freedoms. Because these topics are covered by different laws and regulations, the NLRA does not directly address workplace safety, minimum wage laws, or issues involving undocumented workers.

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The Bank Secrecy Act of 1970 encourages an insurer to report any activity that appears to violate the law, if the amount of the transaction is greater than

Answers

The Bank Secrecy Act of 1970 requires insurers to report any suspicious activity that potentially violates the law, irrespective of the transaction amount.

The Bank Secrecy Act (BSA) of 1970 is a federal law in the United States aimed at preventing money laundering and other financial crimes. It imposes certain reporting requirements on financial institutions, including insurers. Under the BSA, insurers are obligated to report any suspicious activity that appears to violate the law.

Unlike other financial institutions that have specific transaction amount thresholds for reporting, insurers are expected to report any suspicious activity regardless of the transaction amount. This means that even if the transaction amount is small, if the insurer suspects illegal or suspicious activity, they are required to report it to the appropriate authorities, such as the Financial Crimes Enforcement Network (FinCEN).

The purpose of this provision is to ensure that potential criminal activities are identified and investigated, regardless of the monetary value involved in the transaction.

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1. Define the oscopy approach in PCS coding.
2. Code the following scenario dividing the codes appropriately into the mom and baby charts: 29-year-old female presents for delivery. This is her third pregnancy. She is at 39 weeks of gestation. This is a normal pregnancy. After a normal delivery, she gives birth to a single liveborn. The little boy is circumcised on the second day without incident. Both mom and baby are discharged in good health.
3. Code the following scenario dividing the codes appropriately into the mom and baby charts: 36-year-old female presents for delivery. This is her first pregnancy. She has had a normal pregnancy without incident. She is 37 weeks gestation. This is a twin pregnancy. Baby A is delivered vaginally with low forceps and Baby B by C section. Both babies are fine.
4. Code the following scenario: 40-year-old multigravida presents for vaginal delivery in week 41. No problems during delivery. Single liveborn.
5. Code the following scenario: 26-year-old primigravida presents in week 38. Second-degree perineum tear. Single liveborn.
6. Code the following scenario: Baby born via C-Section transferred to Children's Hospital for Myelomeningioma with hydrocephalus. Code for Children's hospital.

Answers

1. Oscopy approach: Surgical instrument insertion method - open or percutaneous. 2. Mom: Normal delivery. Baby: Liveborn, circumcision. 3. Mom: Vaginal delivery with low forceps. Baby A: Vaginal delivery. Baby B: C-section. 4. Vaginal delivery of single liveborn at week 41. 5. Vaginal delivery, second-degree perineum tear, single liveborn. 6. Children's Hospital: Transfer for C-section-born baby with myelomeningioma and hydrocephalus. Code accordingly.

1. The term "oscopy" in PCS coding refers to the approach used during a surgical procedure. It is used to describe the method by which a surgical instrument or device is inserted into the body. The approach can be classified as either "open" or "percutaneous." An open approach involves making a larger incision to access the target area directly, while a percutaneous approach involves inserting instruments through the skin using a minimally invasive technique. The choice of approach depends on the specific procedure and the surgeon's preference.

2. For the given scenario, dividing the codes appropriately into the mom and baby charts would involve assigning diagnosis and procedure codes for each individual. In the mom's chart, you would code for the normal delivery and any relevant procedures or conditions related to the mother. In the baby's chart, you would code for the liveborn status, circumcision, and any other relevant procedures or conditions related to the baby.

3. In this scenario, coding appropriately into the mom and baby charts would involve assigning diagnosis and procedure codes for each individual. In the mom's chart, you would code for the normal pregnancy, twin pregnancy, vaginal delivery with low forceps, and any relevant procedures or conditions related to the mother. In the baby's chart, you would code for the C-section delivery, twin status, and any relevant procedures or conditions related to the babies.

4. For this scenario, the coding would involve assigning diagnosis and procedure codes for the vaginal delivery of a single liveborn baby in week 41 of gestation. The specific codes would depend on any additional procedures or conditions that may be present during the delivery.

5. In this scenario, the coding would involve assigning diagnosis and procedure codes for the perineum tear and the vaginal delivery of a single liveborn baby in week 38 of gestation. The specific codes would depend on the severity of the tear and any additional procedures or conditions that may be present during the delivery.

6. For the scenario involving the baby's transfer to Children's Hospital for myelomeningioma with hydrocephalus, you would need to code the diagnosis and any relevant procedures or conditions associated with the baby's condition. The specific codes would depend on the details provided in the scenario and the coding system used (such as ICD-10-CM for diagnosis coding and/or CPT or HCPCS for procedure coding). The codes should accurately reflect the baby's diagnosis and the reason for the transfer to Children's Hospital.

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Human resources is about trying to
find the best way to utilize which of
the following for the benefit of the
company overall?
A. loans
B. products
C. people

Answers

Answer:

I think b is that the answer

What job do you want when your older?
The person who adds the most details and pictures gets brainliest :)
Please do not report, this is a real question that i am curious to know the answer of.

Answers

I thought about this a lot because I’m going to be a junior soon, but I’ll take a quote form twilight, “who the heck knows”, I grew up thinking I wanted to be a veterinarian, then as I got older I realized I love cooking but thought I wouldn’t be good enough to make it a profession. Now that I’m older I’m thinking about my sister who is in physical therapy and learning how to walk again after having surgery, watching the progress she has made in such a short amount of time is really moving to me, and that’s why I now think I want to be a physical therapist.

Answer:

love it

Explanation:

You find some public records about customer satisfaction in the company's archive. What type of data is this called?

Answers

The  type of data is this called raw data when You find some public records about customer satisfaction in the company's archive.

Raw data collection is typically not ready for analysis, but when organized and cleaned, it becomes data. Processed data is the type of data that has been processed from raw data.

The term raw data is most commonly used to refer to information collected for research studies before the information is transformed or analyzed in any way. This term may apply to data that has been collected or cleaned once but has not been further transformed or analyzed.

A list of all purchases made at the store during the month, but without further structure or analysis. A video captured every second by a surveillance camera at night. The performance of all his students in the district for one quarter. List of all movies streamed by video streaming companies.

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A construction crew has been tasked with removing the foundation of an old building, as well as the old
electrical wiring and gas lines buried underneath the site where a new building will be built. What process are
they engaging in?
O excavation
O site investigation
demolition
O grading
Noyt
Submit

Answers

Answer:

excavation

Explanation:

" a construction crew has been tasked with removing "

incremental analysis would not be appropriate for question 14 options: a make or buy decision. an allocation of limited resource decision. elimination of an unprofitable segment. analysis of manufacturing variances.

Answers

Incremental analysis would not be appropriate for the analysis of manufacturing variances.

What is incremental analysis?

Incremental analysis is a method of assessing the costs and benefits of different options using financial data. It is also known as marginal or differential analysis.

Incremental analysis can be used to make choices when faced with two or more alternatives. The expected profit or loss resulting from a change is the difference between the estimated total revenues and the estimated total costs involved in the decision.

Option A: Make or buy decision

This is a choice that must be made when a company must determine whether to manufacture a product or purchase it from another source. This choice can be made using incremental analysis, which considers the incremental costs and benefits of each option.

Option B: Allocation of limited resource decision

This is a decision made when a company has limited resources and must determine how to allocate them among various tasks. This choice can be made using incremental analysis, which considers the incremental costs and benefits of each option.

Option C: Elimination of an unprofitable segment

This is a decision made when a company has a segment that is not profitable and must decide whether to continue operating it or not. This choice can be made using incremental analysis, which considers the incremental costs and benefits of each option.

Option D: Analysis of manufacturing variances

This is a choice that must be made when a company is attempting to identify the reasons for differences between actual and expected manufacturing costs. Incremental analysis is not suitable for this kind of analysis.

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An arrangement whereby borrowings are permitted up to a specified limit and for a stated period is known as:

Answers

An arrangement whereby borrowings are permitted up to a specified limit and for a stated period is known as "line of credit."

The arrangement you are referring to is called a "line of credit." A line of credit is a type of loan agreement between a borrower and a lender that permits the borrower to borrow up to a specified limit of funds for a specified period, typically at a variable interest rate.

The borrower can draw down on the line of credit as needed, up to the maximum limit, and only pays interest on the amount borrowed.

This type of arrangement is commonly used for short-term working capital needs or to finance specific projects.

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explain the difference between centralised and decentralised organisational structure

Answers

Centralized organizational structures rely on one individual to make decisions and provide direction for the company. ... Decentralized organizational structures often have several individuals responsible for making business decisions and running the business.



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Please answer quickly!

Which of the main components of money management provides the basis of money management?
a. financial records
b. personal financial statements
c. budgeting
d. personal net worth

Answers

The answer to the question is c

The main components to successful money management are financial records, personal financial statements, and budgeting.

What do you mean by money management?

Money management is the key to improving or maintaining your financial situation. Money management involves planning, analyzing and executing every aspect of your financial portfolio, this includes all types of savings, investments, taxes, banking and budgeting.

What do you mean by financial records?

Financial records are documents which provide evidence of or summarize business transactions. An essential part of an accounting department is a well-organized set of financial records. Financial records at the most detailed level, includes invoices and receipts.

What do you mean by personal financial statements?

A personal financial statements provide information about the results of operations, financial position, and cash flows of an organization. This information is maintained in a spreadsheet that gives details of the assets and liabilities of an individual, couple, or business at a specific point in time.

What is budgeting?

A budget is a spending plan which is based on your income and expenses. It is an estimate of how much money you will make and spend over a certain period of time, such as a month or year.

Budgeting is an effective management tool and it has it benefits which are- it provides a time frame required to control finances, highlights cashflow shortages or financing requirements etc. Thus, budgetary  management is the process of managing and tracking income and expenses.

Hence, option A, B, and C are correct.

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What is suggestive selling? Have you experienced an example of this? If so, describe the experience. Why do restaurants use suggestive selling?

Answers

Answer:

Explanation:

Suggestive selling is when someone recommends a better version of the product which you are purchasing or even recommends another totally different product that may suit your individual needs better. Almost everyone has experienced this in some capacity before. For example, any time you go to a fast-food chain they always ask if you would like to increase the size of your order (super-size) for a small additional fee. This is suggestive up-selling, and companies do this because they make additional profit from these items that they are suggesting.

Which of the following is TRUE regarding unexpected expenses?
They usually don’t affect your budget.
They usually don't affect your ability to pay bills.
They should not be included in your budget.
They should be planned for.

Answers

Answer:

They should be planned for.

Explanation:

Unexpected expenses include emergencies and other unforeseen costs that a person incurs in day to day activities.  These unexpected expenses must be paid for, which means resources must come from somewhere to effect the payments.

The best way to cater to unexpected expenses is to include them in the budget. Contingencies is the term used to describe funds kept aside to settle unexpected expenses. Without a contingency arrangement, unexpected expenses will affect the budget and a person's ability to pay normal bills.

Answer:

D. They should be planned for.

Explanation:

Franklin Inc., an apparel manufacturer based in Scotland, opened a new store in the United States. Franklin's designs were well received by consumers in the host country. However, the firm incurred very high expenses due to the expensive rents and the higher costs of labor. Also, there was a hike in the price of fuel in the United States. This led to increased expenditures on the transportation of goods. This indicates that Franklin Inc. had serious issues in the United States due to poor: Group of answer choices

Answers

Answer:

Economic conditions

Explanation:

Since in the question it is mentioned that the firm would incurred greater amount of expenses because of the expensive rents and the labor cost also their would be increase in the fuel price due to this it would increase the expenditure on the transportation so here the serious issues would be with the economic conditions as the price expenses denotes the economics

Therefore it represent the economic conditions

"New York City is issuing $500,000,000 of general obligation bonds paying interest on January 1st and July 1st of each year until maturity. The dated date of the issue is May 1, 2020. The first payment will be made on January 1st, 2021. A bondholder purchases the issue at the offering. How many months of interest will the first and second payments cover?"

Answers

Answer:

8 months for the first interest6 months for the second

Explanation:

The interest is to be paid semi-annually which means that it accrues for 6 months. However, the bond was issued on May 1, 2020 which is 8 months before the first interest payment on January 1, 2021 so the January payment will have to cover for those months as interest starts to build immediately the bond is purchased.

The second payment on July 1, 2021 will cover the period of 6 months between January 1 and July 1, 2021.

Assume that a certain business has $1,000 worth inventory, $1,000 cash in bank, and $10,000 receivable from customers in three months. Further, the business needs to pay a short-term loan worth $5,000 in less than six months. What might be the working capital requirement of this business?
A.
$5,000
B.
$6,000
C.
$7,000
D.
$8,000
E.
$12,000

Answers

Answer:

A. $5,000

Explanation:

Plato

The working capital requirement of this business is $5,000. Thus, option A is correct.

What is working capital?

A financial term known as working capital (WC) measures the operating liquidity that is accessible to a company, organization, or other organization, including governmental agencies.

Working capital is seen as a component of operational capital, along with fixed assets like plant and equipment. Current assets are equal to gross working capital. Current assets less Current Liabilities equals Working Capital. An entity has a working capital deficiency, also known as a working capital deficit and negative working capital, if current assets are fewer than current liabilities. Despite having assets and profits, a business may lack liquidity if its assets cannot be quickly transformed into cash.

Therefore, we can conclude that option A is correct.

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the separation of ownership and management is one distinctive feature of corporations. True or false?

Answers

The correct answer is True, the separation of ownership and management is a distinctive feature of corporations. One of the defining characteristics of corporations is the separation of ownership and management.

In a corporation, ownership is represented by shareholders who hold shares or stock in the company. Shareholders have ownership rights and can participate in decision-making through voting on certain matters.

On the other hand, management refers to the individuals or group of individuals responsible for the day-to-day operations and decision-making of the corporation. This typically includes executives, managers, and directors who are appointed or elected to oversee the company's activities.

The separation of ownership and management allows for the efficient management and operation of large-scale corporations. Shareholders, as owners, have the ability to invest in the company and benefit from its profits through dividends and capital appreciation. They can elect a board of directors to represent their interests and make key strategic decisions.

Meanwhile, management professionals, who may or may not be shareholders themselves, are responsible for running the business and implementing strategies to maximize shareholder value.

This separation ensures that ownership rights and control are distinct from the day-to-day management, providing a framework for effective governance and accountability within the corporate structure.

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