EXPLAIN how HRM has taken on the
characteristics of a profession

Answers

Answer 1

HRM (Human Resource Management) has taken on the characteristics of a profession through the development of specialized knowledge, the establishment of professional associations and certifications, and the adoption of ethical standards and codes of conduct.

Over the years, HRM has evolved into a distinct field of study with its own body of knowledge and theories. Professionals in HRM have access to specialized education and training programs that equip them with the necessary skills and expertise to effectively manage human resources within organizations. This specialized knowledge enables HR professionals to provide strategic guidance and make informed decisions that contribute to organizational success.

Professional associations, such as the Society for Human Resource Management (SHRM) and the Chartered Institute of Personnel and Development (CIPD), have been established to promote the HR profession and provide resources, networking opportunities, and professional development to HR practitioners. These associations play a crucial role in setting standards, conducting research, and advocating for the profession.

Moreover, the establishment of certifications, such as the SHRM Certified Professional (SHRM-CP) and the CIPD qualifications, further solidify HRM as a profession. These certifications validate the competency and expertise of HR professionals, ensuring they meet recognized standards of practice.

Ethical standards and codes of conduct have also been developed to guide HR professionals in their interactions with employees, stakeholders, and organizations. Adhering to these ethical principles helps maintain professionalism, integrity, and trust within the HRM profession.

Overall, the presence of specialized knowledge, professional associations, certifications, and ethical standards demonstrates that HRM has taken on the characteristics of a recognized profession.

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Related Questions

2. As a teenager, why might creating a budget be important?

Answers

A budget can help teens start to discern between genuine needs and wants and will show them where their money is going each month. A good budget will provide for both needs and at least some wants and should be flexible and relatively easy to use and understand.

creating a budget allows you to create a spending plan for your money, it ensures that you will always have enough money for the things you need and the things that are important to you.

Write a suitable indefinite article before the following words or phrases and write

them again. (Copy the questions)

___heirloom ___astronomer

___ewe ___hotel employee

___honest man ___advocate

___one eyed dog ___awkward moment

___awesome picture ___European tourist

___incompetent employee ___auspicious moment

___humane person ___MLA

___horrible joke ___M. A student​

Answers

Answer:

An heirloom,  An astronomer

A ewe, A hotel employee

An honest man, An advocate

A one-eyed dog, An awkward moment

An awesome picture, A European tourist

An incompetent employee,  An auspicious moment

A humane person,  An MLA

A horrible joke, An M. A student​

Explanation:

'A', 'an' and 'the' are the three articles that are used in English. They are used before nouns to specify them. 'A' and 'an' are indefinite articles and 'the' is the definite article. The indefinite article is used before the nouns which are not known or which are not identified. The definite articles are used before the identified noun. The indefinite article 'a' is used before the nouns that begin with a consonant sound. The indefinite article 'an' is used before the nouns that begin with a vowel sound.

24. Griffin Dewatering purchases a wellpoint pump connected to a skid-mounted diesel engine for $14,000. Its market value for salvage purposes decrease by 30 percent each year. When installed on a construction job, a wellpoint system operates virtually 24/7, and operating and maintenance costs will be $3,500 the first year, increasing by $600 each year thereafter. What is the optimum replacement interval if MARR

Answers

If Griffin Dewatering's MARR is 15%, the optimum replacement interval is 2.5 years.

How is the optimum replacement interval determined?

The optimum replacement interval can be determined by calculating the equivalent annual cost and using the computed value to divide the asset's price.

The equivalent annual cost (EAC) can be computed using an online finance calculator as follows.

The selection of project alternatives is based on their ability to achieve the expected return or the MARR.

Data and Calculations:

Market value of engine = $14,000

Salvage value depreciation rate = 30%

Operating and maintenance costs for the first year = $3,500

Increase in operating and maintenance costs after the first year = $600

Equivalent Annual Cost = EAC = (AP * DR)/(1-(1+DR)-n)

= $5,683.62

from an online financial calculator.

Asset Price  = ($)14000

Required Return Rate (%) = 15

Number of Periods (Lifespan in years) = 3.3 years (100%/30%)

Optimum replacement interval = 2.5 years ($14,000/$5,683.62)

Thus, the optimum replacement interval, which minimizes the total costs of owning and operating the asset, is 2.5 years.

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Visit your local retailer. Report on your experience as a customer—focusing on how you were greeted, assisted, cashed-out at the register; overall store cleanliness, atmosphere, comfort, and staff presence; and availability of diverse product lines and knowledge of products by the sales staff. How would you rate your client experience and what might you change/or keep the same that would renter a more pleasant experience that would want you to come back.

Answers

Retailers should also make sure that their personnel is knowledgeable about the goods they sell and readily available to help the customer.

In addition to being tidy and well-maintained, the business should have a speedy and effective checkout experience. Retailers may boost profits by putting money into improving the shopping experience.

Retailers can give the digital experience a sense of being at a physical store to enhance the customer experience. This is possible by replacing in-store personalized interactions with services like chatbots and tailored recommendations.

As a result, the significance of the rate the client experience are the aforementioned.

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harmony reports a regular tax liability of $15,400 and tentative minimum tax of $17,440. given just this information, what is her alternative minimum tax liability for the year?

Answers

Harmony's alternative minimum tax (AMT) liability for the year cannot be determined based solely on the regular tax liability and tentative minimum tax figures provided.

The alternative minimum tax (AMT) is a parallel tax system that operates alongside the regular income tax system. It is designed to ensure that individuals who have substantial deductions and certain income types still pay a minimum level of tax. To calculate the AMT liability, various factors need to be taken into account, including adjusted gross income, itemized deductions, and certain tax preferences and adjustments.

Without knowing Harmony's adjusted gross income, itemized deductions, and other relevant details, it is impossible to accurately determine her AMT liability. The regular tax liability of $15,400 represents the amount she would owe under the standard income tax system. The tentative minimum tax of $17,440 indicates that her income and deductions may trigger the application of the AMT.

To calculate the AMT, the tax law requires taxpayers to add back certain deductions, make adjustments, and apply different tax rates. Additionally, exemptions and alternative minimum tax credits may come into play. Consequently, without more information, such as the components of Harmony's adjusted gross income, itemized deductions, and specific tax preferences, it is not possible to determine her precise alternative minimum tax liability for the year.

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In computing the GDP, why is it import spending subtracted from the sum of consumption, investment, government purchases and export spending?
-Economics

Answers

Import spending is subtracted from the sum of consumption, investment, government purchases and export spending in the calculation of GDP because import represents spending on goods and services that are not produced in that economy.

Gross domestic product is the total sum of goods and services produced in a particular economy in a given period. One of the ways that can be used to determine the value of GDP is the expenditure approach.

The expenditure approach to determine GDP = Consumption + investment + government purchases + ( export - import).

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In parliamentary procedure, a meeting begins when the chair person says which of the following phrases?
a. We will now begin the meeting.
b. The meeting has been called.
C. The meeting will now come to order.
d. There shall be order and commencement.

Answers

Answer:

c

Explanation:

got it right on test

In parliamentary procedure, a meeting begins when the chairperson says  The meeting will now come to order. Thus option A is correct.

What is parliamentary procedure?

A parliamentary system, sometimes known as a parliamentarian system, is a method of democratic government whereby the executive branch obtains the backing of the legislative, usually a parliament, to whom it is answerable.

A really well agenda results in shorter sessions that go more smoothly. The topics that will be covered in what order should be listed on the agenda. Establish a priority list if there are multiple critical items.

Ahead-of-time preparation and the use of agendas is preferred by some boards. This was stating that there will be a commencement. Therefore, option A is the correct option.

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There commencement.

Courtney Industries plans to issue 8-year, 8%, $200,000 bonds paying interest on an annual basis, at a $4,000 premium Which one of the following statements is true? A. Courtney's annual interest expense on the bonds will be greater than the amount of interest payments to bondholders each year. B. The cash paid to bondholders will be $4,000 each interest period. C. Courtney will receive $196,000 as the issue price. D. Courtney's annual interest expense on the bonds will be less than the amount of interest payments to bondholders each year.

Answers

The correct statement is A. Courtney's annual interest expense on the bonds will be greater than the amount of interest payments to bondholders each year. The carrying value of the bonds is higher than the face value, leading to a higher annual interest expense.

The annual interest expense on the bonds will be calculated based on the carrying value of the bonds, which is the face value plus any premium or minus any discount. In this case, the carrying value of the bonds is $204,000 ($200,000 face value + $4,000 premium), and the annual interest expense will be 8% of this amount, or $16,320.

However, the amount of interest payments to bondholders each year will only be 8% of the face value of the bonds, or $16,000. This means that Courtney's annual interest expense will be greater than the amount of interest payments to bondholders each year by $320 ($16,320 - $16,000).

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Assume the economy is operating at P1Y2.
Which of the following would cause a shift to bring the economy to P3Yf?

Real wages fall.
Productivity increases.
Personal income taxes increase.
Transfer payments decrease.
A major hurricane hits the southeastern United States.

Assume the economy is operating at P1Y2.Which of the following would cause a shift to bring the economy

Answers

The decrease in aggregate demand would also reduce productivity and lead to a decrease in output and employment.

What is employment?

Employment is an agreement between two parties, usually based on a contract, where work is exchanged for compensation, such as wages, salary, or commission. Employment is typically for a fixed period of time, and the employer usually has the right to dismiss an employee for a legitimate reason. Employment typically involves an exchange of services, knowledge, skills and experience for remuneration. Employment can be either full-time, part-time, or casual, depending on the type of job and the agreement between the employer and the employee.
A major hurricane hitting the southeastern United States would cause a shift to bring the economy to P3Yf as it would reduce aggregate demand in the affected areas, resulting in a decrease in consumption and investment spending. This would lead to a contraction in output and employment, resulting in a decrease in real wages, a decrease in transfer payments, and an increase in personal income taxes.

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Which section of a business plan gives details about a business’s core products and services?
The section of a business plan talks about a business’s core products and services, and their features and benefits to the consumers.

Answers

Answer:

Executive summary.

Explanation:

A business plan can be defined as a formally written document that comprises of the financial and operational objectives (plans) of a business firm.

Basically, a business plan is a roadmap or guide that outline the goals of a business, methods on how to achieve those goals, and the timeframe required to achieve those goals.

A business plan should be written in such a way that it comprises of all the important informations that an investor looks out for, in order to convince him or her to invest money in the business. Thus, the main section (contents) of a business plan include the following;

I. Title page.

II. Market analysis and competition.

III. Industry overview.

IV. Operating plan.

V. Sales and marketing plan.

VI. Financial plan.

VII. Management plan.

VIII. Appendices and exhibits.

IX. Executive summary.

The executive summary section of a business plan talks about a business’s core products and services, and their features and benefits to the consumers. Thus, the executive summary is the most important section of a business plan because it provides a concise summary of the business and it's the first section to be seen by an investor.

Here's the revenue and expenses for the month. Calculate whether Mia had a profit or loss.
MAY ACCOUNTS
CHECKING
$860.00
REVENUE
FIXED EXPENSES
VARIABLE EXPENSES
CARD PURCHASE
$300
SAVINGS
$1,006.68
DOG FOOD
CAT FOOD
PET TREATS
PET SUPPLIES
$3,650
$2,850
$1,650
$1,800
RENT
$2,000
SALARIES
$2,000
UTILITIES
$1,000
PRODUCT STOCK $4,000
TOTAL
$9,950
TOTAL
$9,000
TOTAL
$300
ENTER MIA'S TOTAL PROFIT/LOSS FOR THE MONTH IN THE BOX BELOW, THEN CLICK SUBMIT.
$
SUMIT

Here's the revenue and expenses for the month. Calculate whether Mia had a profit or loss.MAY ACCOUNTSCHECKING$860.00REVENUEFIXED

Answers

Answer:

Loss

Explanation:

Because she started with 860.00 then ended with 300

Answer:

350

Explanation:

I guessed

Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy

Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.

Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:

Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:

What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?

Answers

1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.  

Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.

2. The real return on my investment in Amazon.com Inc was a net loss of  7.12% or $667.60.

3. The company I selected to buy its stock three years ago was Amazon.com Inc.

4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.

5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.

6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.

What is the stock investment?

Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.

The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).

Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)

Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)

Tax (10%) = $1,024.40 ($10,244 x 10%)

Inflation (3%) = $307.32 ($10,244 x 3%)

Administration fee on sales (2%) = $204.88 ($10,244 x 2%)

Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)

Loss on returns = $667.60 ($8,707.40 - $9,375)

Loss percentage = 7.12% ($667.60/$9,375 x 100)

Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.

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Question 1 [40 marks] The above schematic diagram shows an electric motor with power of 7.5 kW and a speed of 720rpm driving a hoist through a gearbox. The wire-rope from the drum passes through an overhead smooth pulley before connecting to the load of 600 kg. a) Calculate the tension in the wire-rope if the 600 kg load is moving at a constant speed of 5 m/s. (Ignore the mass of wire-rope). Hence calculate the rotational speed of the drum hoist. b) Calculate the torque at the coupling to drive the drum. c) Select a suitable chain drive to replace the gearbox for this application. Given that the pitch diameter of the wheel sprocket should be less than 350 mm and the centre distance between the sprockets of the chain drive should not exceed 500 mm. d) Select suitable bolts to secure the pulley bracket. Assume allowable tensile stress for the bolt material is σmax=45MN/m2

Answers

a. The tension in the wire-rope is 5880 N. The rotational speed of the drum hoist is approximately 191.13 RPM.

b. The torque at the coupling to drive the drum is approximately 99.47 N·m.

c. It is not possible to determine a suitable chain drive.

d. We can choose bolts that have a tensile strength exceeding this value to ensure the safety of the pulley bracket.

a) To calculate the tension in the wire-rope, we can use the equation:

Tension = (mass × acceleration) + (mass × gravity)

Mass (m) = 600 kg

Acceleration (a) = 0 m/s² (since the load is moving at a constant speed)

Gravity (g) = 9.8 m/s²

Tension = (600 kg × 0 m/s²) + (600 kg × 9.8 m/s²)

Tension = 0 + 5880 N

Tension = 5880 N

The tension in the wire-rope is 5880 N.

To calculate the rotational speed of the drum hoist, we can use the formula:

Rotational Speed (in RPM) = (Speed × 60) / (2π × Radius)

Speed = 5 m/s (constant speed of the load)

Radius (R) = 0.5 m (since the rope passes through an overhead smooth pulley)

Rotational Speed = (5 m/s × 60) / (2π × 0.5 m)

Rotational Speed ≈ 191.13 RPM

The rotational speed of the drum hoist is approximately 191.13 RPM.

b) To calculate the torque at the coupling to drive the drum, we can use the formula:

Torque = Power / Rotational Speed

Power = 7.5 kW

Rotational Speed = 720 RPM

Convert Power to watts:

Power = 7.5 kW × 1000 = 7500 W

Convert Rotational Speed to radians per second:

Rotational Speed = 720 RPM × (2π / 60)

Rotational Speed ≈ 75.4 rad/s

Torque = 7500 W / 75.4 rad/s

Torque ≈ 99.47 N·m

The torque at the coupling to drive the drum is approximately 99.47 N·m.

c) To select a suitable chain drive, we need to consider the given constraints:

Pitch Diameter of the Wheel Sprocket < 350 mm

Centre Distance between the Sprockets ≤ 500 mm

Based on these constraints, we can choose a suitable chain drive system that satisfies these requirements.  The required gear ratio and the specifications of the hoist system is not provided, it is not possible to determine a suitable chain drive.

d) To select suitable bolts to secure the pulley bracket, we need to consider the allowable tensile stress for the bolt material (σmax = 45 MN/m²).

Based on this allowable stress, we can choose bolts that have a tensile strength exceeding this value to ensure the safety of the pulley bracket. The specific type, size, and grade of the bolts will depend on the application requirements and the load-bearing capacity needed for the pulley bracket.

It is recommended to consult engineering standards and guidelines or seek assistance from a professional engineer to select the appropriate bolts for the specific application.

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Which of these are undergraduate degrees?

A.) master's

B.) doctorate

C.) bachelor's

D.) associate's

(please help :D)

Answers

Answer:

Bachelor's and Associate's

Explanation:

Five hair stylists at a salon perform 12 haircuts in two hours. One of the stylists,
Francesca, is leaving the salon after 10 years. Francesca usually performs 2
haircuts per hour. Which of the answer choices is correct?

Answers

The salon's average product of labor will decrease when Francesca leaves the salon in the given circumstances.

How is the average product of labor determined?

The average product of labor (APL) gauges the typical output of each employee. The total product is simply divided by the workforce. The total output of labor divided by the quantity of workers employed, or Q/L, yields the average product of labor (APL). A popular metric for assessing labor productivity is the average product of labor.

The form of the AP curve on the left suggests that as more workers are hired, AP initially increases to a maximum before decreasing. The average output (or products) that each input produces is referred to as an "average product", factors of production like labor and land.

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After asking coworkers to review a project plan, you receive feedback. Your coworker thinks there is a better way to display the data in the business report.You should add a
title
reference
abstract
table

Answers

Answer:

table

Explanation:

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).

Cain Company reports net cash provided by operating activities of $35,000. It also reports the following

Answers

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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You just obtained a credit card. you immediately purchase a digital camera for $160. your credit limit is $4000. let’s assume that you make no payments and purchase nothing more and there are no other fees. the monthly interest rate is 1.42%. what is the growth factor of your credit card balance? a. 0.0142 b. 14.2 c. 1.0142 d. 1.42

Answers

The growth factor of your credit card balance is 1.0142. This is calculated by taking the monthly interest rate of 1.42% and adding it to 1, giving us a growth factor of 1.0142.

In this scenario, you have a credit limit of $4,000 and you have just purchased a digital camera for $160. Since you make no payments and purchase nothing more and there are no other fees, your balance will grow by the growth factor of 1.0142 each month.

To find the growth factor of a balance with an interest rate, you can use the formula:

Growth factor = 1 + (interest rate / 100)

In this case, the interest rate is 1.42%, so you can plug that into the formula:

Growth factor = 1 + (1.42 / 100)

Simplifying the fraction gives you:

Growth factor = 1 + 0.0142

Adding the two numbers together gives you the growth factor:

Growth factor = 1.0142

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commercial banks hold deposits and

Answers

Anddd??? What?? You just typed and stopped midway lol
? Umm I don’t get it

How do professional sports and the economy interact?

Answers

Answer:

Research shows local economic growth has been generated from the presence of a professional sports team in multiple ways: the creation of new jobs, increased consumer spending, increased sales in certain market segments, and increased tax revenue. Other beneficial impacts caused by sport franchises are increased tourism from hosting large

Explanation:

in addition to technological and economic factors, which of the following are unique challenges related to global pricing for firms seeking to increase their revenue and profits? (check all that apply.)

Answers

These are unique challenges related to global pricing for firms seeking to increase their revenue and profits:

The gray marketDumpingTariffs

The most not unusual and effective techniques for raising expenses are unbundling and escalator clauses. includes keeping apart the individual items, services, or thoughts that make up a product and pricing everyone personally.

Pricing strategies account for a lot of your business factors, like sales desires, advertising targets, target market, brand positioning, and product attributes. they're additionally encouraged by using outside elements like patron call for, competitor pricing, and ordinary market and monetary traits.

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If Mimi and Elizabeth review information provided in customer comment cards to determine whether instructional quality has changed since the decision was made to expand workshop offerings, which step of the decision-making process is involved?

Answers

Complete Question is as under:

The Maine Media Workshop is a hands-on, experiential workshop for individuals interested in film making and photography. The workshop program has grown significantly in recent years. The biggest challenge for managers of the program is getting instructors to commit. It is not uncommon for instructors to cancel their commitment hours before they are slated to teach.

If Mimi and Elizabeth review information provided in customer comment cards to determine whether instructional quality has changed since the decision was made to expand workshop offerings, which step of the decision-making process is involved?

A. Develop alternatives

B. Evaluate the alternatives

C. Following up and appraise results

D. Select the best alternative

Answer:

Option C. Following up and appraise results          

Explanation:

The reason is that the Mimi and Elizabeth are reviewing the comments of the customers which are the valuable asset of the company. The customer feedback highlights what is the deficiency in the services. So when the customer answers the questions regarding the list of questions, his each suggestion is basically assessed which is following up and appraisal process. At this stage you value the suggestions of the customers and try to solve that issues and by doing so you also bring value to the company.

Don't forget to rate the answer. Thanks

Ben is a double major pursuing degrees in both Finance and Marketing. He is interested in obtaining a position as a personal financial advisor after graduation and is interning with a global financial services company. During his internship, he observes that the most successful advisors wear white shirts, dress very conservatively, and read The Wall Street Journal to stay up to date with the latest business and world news. Ben starts to read The Wall Street Journal too and modifies his dress and grooming style to be more like the representatives he admires. Ben is influenced by _______.

Answers

Answer:

A reference group

Explanation:

The Dallas Development Corporation is considering the purchase of an apartment project for $118.000. They ertimate that they will receive $18,150 at the end of each year for the next 10 years. At the end of the 10th year, the apartment project will be worth nothing. Required: a. If Dallas purchases the project, what will be its internal rate of return, compounded annually? Note: Do not round intermediate calculations and round your final answer to 2 decimal places. b. If the company insists on an 8 percent return compounded annually on its investment, is this a good investment? John is considering the purchase of a lot. He can buy the lot today and expects the price to rise to $16,700 at the end of 10 years. He believes that he should earn an investment yield of 8 percent compounded annually on his investment. The asking price for the lot is $8,000. Required: a. What is the internal rate of return compounded annually on the investment if John purchases the property for $8,000 and is able to sell it 10 years later for $16,700 ? Note: Do not round your intermediate calculations and round your final answer to 2 decimal places. b. Should he buy the lot?

Answers

a. The internal rate of return (IRR) for the apartment project is 14.59%, indicating the annualized return the project is expected to generate.

b. The lot's internal rate of return (IRR) is 6.81%, lower than the desired yield of 8%, suggesting it is not a good investment.

a. The internal rate of return (IRR) for the apartment project is approximately 14.59% compounded annually.

b. To determine if the investment is good, we compare the IRR (14.59%) to the desired return of 8%. Since the IRR is higher than the desired return, this investment is considered good.

a. The internal rate of return (IRR) for John's investment in the lot is approximately 6.81% compounded annually.

b. To decide whether to buy the lot, we compare the IRR (6.81%) to the desired yield of 8%. Since the IRR is lower than the desired yield, John should not buy the lot.

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wilson electric reports income tax expense of $151,000. income tax payable at the beginning and end of the year are $20,200 and $25,300, respectively. what is the cash paid for income taxes during the year?

Answers

according to the question $104,700 is the cash paid for income taxes during the year.

Why is there an income tax?

An individual must pay the individual income tax, sometimes known as the personal income tax, on all of their annual income, including wages, wages, dividends, interests, and other types of income. The state where the income is derived often levies the tax.

How is income tax such a big deal?

Taxes are used by the government to pay for a range of social welfare, including measures to create jobs. The government is responsible for covering the administrative expenses for the different departments' thousands of employees.

Briefing:

cash paid = income tax expense - (income tax payable at the beginning + end of the year)

= $151,000 - ($20,200 + $25,300)

= $105,500

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geno's body shop had sales revenues and operating costs in 2020 of $650,000 and $525,000, respectively. in 2021, geno plans to expand the services it provides to customers to include detailing services. revenues are expected to increase by $85,000 and operating costs by $50,000 as a result of this expansion. assuming that there are no changes to the existing body shop business, what is the amount of operating profits that are expected be earned in 2021? multiple choice $125,000 $85,000 $160,000 $35,000

Answers

Geno's body shop had $35,000 sales revenues and operating costs in 2020

The ongoing costs a business faces as a result of its regular, daily activities are known as operating costs. Selling, general, and administrative (SG&A) costs and other ongoing costs, often known as COGS, are included in operational costs. Operating expenses, on the other hand, are the costs related to carrying out regular business activities. The COGS does not account for these expenses. As a result, running costs are not included in the cost of sales. The costs a business is conscious of paying are called operating costs. The net profit or loss is the operating expense that is most frequently recorded. Wages, rent, utilities, and other costs paid to suppliers that offer services to a firm or its workers are examples of additional operational expenses.

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who is the first president is europe​

Answers

Answer:

Walter Hallstein (1901–1982)

Explanation:

for 9 years

A borrower might benefit from what program if they decide to work for either a nonprofit hospital or a public health organization?

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A borrower can benefit from the Public Service Loan Forgiveness program if they choose to work for a non-profit hospital or public health organization.

What types of loans can receive a public service waiver?

Some types of direct loans, such as the Federal William D. Ford Direct Loan Program qualify for the program, but it is essential to pay attention to the requirements to have the application approved, as the approval rate is low and many applicants do not fit under the established conditions.

Therefore, to participate in the public service loan forgiveness program, it is necessary for the citizen to be aware of the necessary conditions and, above all, to develop their financial education to allocate their income and expenses effectively.

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You have just been promoted at your job, and now you have a net income of $2,190. You would like to use this income to meet new financial goals. 1. Create a budget that will allow you to save at least $100 by the end of October. (10 points) Remember, your old budget reflected a net income of $1850.00 and included these expenses: • $600 for your rent • $475 for your car payment, car insurance, and gas • $230 for your utilities, phone, and Internet • $300 for your groceries • $50 for your entertainment • $20 for your renters insurance • $75 for discretionary spending • A final net total of $100 saved per month Your new budget needs to include these changes: • A new line to budget $50 per month toward a new computer • Other expenses may be modified as you choose. • A final net total of at least $300 saved per month

Answers

Answer:  $300 saved per month

Explanation:

new budget                                        $2,190.

rent                                             $650car, insurance and gas               $480utilities, phone and internet       $250groceries                                     $300entertainment                               $50rentals                                           $30discretionary spending                $80new line budget                           $50

        total                                            $1890

final net total =  \(2190 - 1890\\\)    

= $300 saved per month  

it say we need to save at least $300 per month, what this implies is that the minimum we can save is $300.                          

Answer:

300 per month saved

Explanation:

In 2017, the largest component of national pollution control
expditures was consulting and engineering.
True
False

Answers

The statement is false. Consulting and engineering did not constitute the largest component of national pollution control expenditures in 2017.

The statement is false. According to available data, consulting and engineering were not the largest component of national pollution control expenditures in 2017. While consulting and engineering services are important for implementing and managing pollution control measures, they typically represent a smaller portion of overall expenditures compared to other categories.

National pollution control expenditures encompass a wide range of activities and expenses related to reducing and managing pollution. These can include investments in pollution control technologies, regulatory compliance costs, monitoring and testing, research and development, public education and awareness programs, and more.

The specific breakdown of expenditure categories can vary depending on the country and the nature of the pollution issues it faces. However, it is more likely that the largest component of national pollution control expenditures in 2017 would be related to direct pollution control measures such as investments in pollution abatement technologies or compliance costs associated with environmental regulations.

In summary, while consulting and engineering services play a crucial role in pollution control efforts, they are unlikely to be the largest component of national pollution control expenditures. Other categories, such as technology investments and regulatory compliance costs, typically constitute a larger portion of such expenditures.

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