Monir and Jackie, both in their 40s, own a new 2-story house in Pointe Saint-Charles. Jackie is expecting their first child in September. Monir is the co-owner of a real estate company and receives income in the form of dividends from his share ownership. Jackie is a salaried employee of the company with the usual deductions at source. Jackie earned $76,000 in salary and $7,500 in bonuses in 2021. Monir received a $2.00 dividend per share on his 200,000 shares. Because the company is a Canadian controlled private corporate (CCPC), his dividends are non-eligible. Jackie made $10,000 of RRSP contributions throughout 2021, and a $6,000 TFSA contribution in December. Monir's income is not considered to be earned income for determination of the RRSP contribution limit, thus his only contribution was to his TFSA of $6,000, also in December. Monir purchased 2,000 shares of the Royal Bank at $105 early in 2021, and sold them later in 2021 for $135 per share. He also purchased 5,000 share of iShares Global Clean Energy ETF, which he later sold for a capital gain of $32,400. The ETF was held in his TFSA, while the Royal Bank shares were held in a non-registered account. Monir also Page 5 of 13 incurred a small non-registered capital loss of $5,250 on some long-term bonds he had purchased. Monir had major dental work done in 2021 amounting to $25,000. Their other medical expenses were negligible

Answers

Answer 1

Monir and Jackie, a couple in their 40s, have various income sources including salaries, bonuses, and dividend income. They made contributions to their RRSP and TFSA accounts, and invested in stocks and ETFs. Monir incurred capital gains and losses from his investments.

In summary, Monir received dividends from his co-owned real estate company and earned income as a salaried employee. Jackie earned a salary and received bonuses. They both made contributions to their retirement savings accounts, with Monir contributing to his TFSA and Jackie contributing to both RRSP and TFSA.

Monir engaged in stock investments, selling shares of Royal Bank at a capital gain and purchasing and selling shares of iShares Global Clean Energy ETF. He also experienced a capital loss from bonds. Finally, Monir incurred significant dental expenses. These financial activities highlight their diverse income sources, investment decisions, and significant dental costs.

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--The complete question is, What are the key details regarding the income sources, investments, and financial activities of Monir and Jackie, a couple in their 40s, including their salaries, bonuses, dividend income, RRSP and TFSA contributions, stock investments, capital gains and losses, and dental expenses?--


Related Questions

harry, the local sandwiches r us manager, wanted to increase sales. he decided to raise the price of their most popular sandwich, the tuna on rye bread, by 75 cents to $4.25. a month later, when he compared the most recent month sales to the previous month, he saw that dollar sales for tuna on rye went up by 10% and he was satisfied with the results. calculate the price elasticity of demand for the store’s tuna on rye.

Answers

The Store's price elasticity of demand for the tuna on rye is 0.47.

Data and Calculations:

Change in price = 75 cents

New price = $4.25

Old price = $3.50 ($4.25 - $0.75)

Percentage change in demand = 10%

Percentage change in price = 21.43% ($0.75/$3.50 x 100)

Price elasticity of demand = % change in quantity demanded/% change in price

= 10%/21.43%

= 0.467

= 0.47

Economists can conclude that the demand for the tuna on rye is relatively inelastic.

Thus, the price elasticity of demand is less than 1 (0.47).  The quantity demanded does not change significantly following the price increase.

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What are the potential benefits to India of entry by foreign retail establishments?

Answers

The following are a few advantages of FDI in the retail sector: enhanced market growth and expansion, organized retail outlets, quality products available at better and lower prices, advancement of employment.

Why does growth matter?

The process of developing; a method of slow, steady growth. dimensions or stage of development: It is still not fully developed. development was finished. ceremonial forms' evolution from a basic to a more complex stage. It generally refers to changing your viewpoint, goals, personality traits, knowledge, and abilities for the better. You pursue personal growth if you aim to improve any aspect of yourself, be it your temperament, your formal education, or your maturity.

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List three effective strategies to handle criticism, pressure, and gossip in the workplace.

Answers

Answer:

Don´t take it personally.

See criticsim as help.

Don´t be too hard on yourself.

Do not get defensive and start making excuses.

Explanation:

hurry!! #10
What is one of the SMART guidelines that help develop objectives?

O Rigorous

O Specific

O Abstract

Theoretica​

Answers

It should be specific

Why does the united states have limited to no trade with countries like cuba and venezuela?.

Answers

On September 4, 1961, partly in response, Congress handed the Foreign Assistance Act, a Cold War Act (among many different measures) that prohibited useful resource to Cuba and approved the President to impose a whole trade embargo towards Cuba.

What is the alternate relationship between the US and Cuba?

U.S. diplomatic illustration in Cuba is handled with the aid of the United States Embassy in Havana, and there is a comparable Cuban Embassy in Washington, D.C. The United States, however, continues to preserve its commercial, economic, and economic embargo, making it unlawful for U.S. corporations to do enterprise with Cuba.

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How does a conceptual frame work mirror some personally traits of the research

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A conceptual framework in research acts as a foundation for the study by providing a structure for organizing and understanding the key concepts, variables, and relationships within the research topic. While a conceptual framework is primarily influenced by the research objectives and theoretical perspectives, it can also reflect certain personal traits of the researcher.

Here are a few ways a conceptual framework can mirror personal traits:

1. Background and Expertise: A researcher's background and expertise can shape the conceptual framework. Their knowledge, experiences, and expertise in a particular field may influence the selection of relevant theories, concepts, and variables within the framework.

2. Interests and Values: Personal interests and values can guide the researcher's choice of research topic and the concepts they deem important to investigate. These interests and values may be reflected in the conceptual framework through the selection of specific theories or concepts that align with their personal perspectives.

3. Analytical Skills: A researcher's analytical skills and ability to critically evaluate existing literature can shape the conceptual framework. Their capacity to identify gaps, contradictions, or inconsistencies in previous research may lead to the development of a more refined and comprehensive framework.

4. Creativity and Innovation: Personal traits such as creativity and innovation can influence the researcher's approach to developing a conceptual framework. They may introduce novel concepts or propose unique theoretical frameworks that challenge existing perspectives and contribute to the advancement of knowledge in the field.

5. Openness to Collaboration: A researcher's inclination towards collaboration and interdisciplinary approaches can be reflected in the conceptual framework. They may draw upon theories and concepts from multiple disciplines, fostering a more integrative and holistic framework.

It's important to note that while personal traits can influence the development of a conceptual framework, researchers must strive for objectivity and rigor in their work. They should rely on evidence-based research and engage in critical analysis to ensure the framework accurately represents the research topic and aligns with established theories and concepts.

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Which of the following best describes why banks aren't allowed to loan out all of their deposits at once?

A. If banks loaned out all of their deposits, the money supply would grow much too slowly

B. If banks loaned out all of their deposits, it would be impossible to meet customers' demands for withdrawals

C. If banks loaned out all of their deposits, there wouldn't be enough money left to provide new customers with loans

D. If banks loaned out all of their deposits, the government would be unable to calculate the bank's tax burden​

Answers

Answer:

Answer is B

Explanation:

If banks loaned out all of their deposits, it would be impossible to meet customers' demands for withdrawals. Hence, the correct answer is option B.

What are banks?

Banks are financial institutions that accept deposits from customers and use those funds to make loans or invest in other financial assets. Banks provide a range of financial services, including checking and savings accounts, loans, credit cards, and investment services. Banks play a critical role in the economy by facilitating the flow of funds between savers and borrowers and providing liquidity to the financial system.

Banks must maintain a certain amount of reserves, which is a fraction of the deposits they receive, to ensure that they can meet customer withdrawal demands. If banks loaned out all of their deposits, they would not have enough reserves to meet these demands, which would lead to bank runs and financial instability.

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Assume you have just been hired as a manager of CoffeePlace, a coffee shop located near Asoke junction. The company’s earnings before interest and taxes (EBIT) was 100,000 baht last year, and it is expected to remain constant (in real terms) over time. CoffeePlace plans to pay out all profits as dividends. The management group owns about 50 percent of the stock.
The firm is currently all-equity financed; it has 20,000 shares outstanding; and current price is 5 baht per share. When you took your MBA corporate finance course, your instructor explained that most firms’ owners could be better off financially if the firms used some debt. When you suggested this to your new boss, he encouraged you to follow up with the idea. As a first step, you consulted with the firm’s investment banker and obtained the following estimated costs of debt for the firm at different capital structures:
If the company were to recapitalize, debt would be issued, and the funds received would be used to repurchase stock. CoffeePlace is in the 20 percent corporate tax bracket, its beta is 1.0, the risk-free rate is 3 percent, and the market risk premium is 5 percent.
Consider capital structure effects (by identifying the ways in which capital structure can affect the weighted average cost of capital and free cash flows). Then discuss whether you agree with the following hypotheses and why:
1. Does the company’s debt policy create value to the firm?
2. Does the company’s debt policy create competitive advantage?
3. Does the company’s debt policy sustain senior management’s visions?

Answers

1) Yes company's debt policy create value for the firm.

2) Yes, company's debt policy creates a competitive advantage.

3) Yes, company's debt policy can sustain senior management's vision.

1. The company's debt policy can create value to the firm by reducing the cost of capital. By issuing debt, the company can take advantage of the tax deductibility of interest payments, which lowers the cost of debt. This can lower the weighted average cost of capital (WACC), which in turn can increase the value of the firm. However, the company must be careful not to take on too much debt, as this can increase the risk of financial distress and bankruptcy.

2. The company's debt policy can create a competitive advantage by allowing it to invest in projects with positive net present value (NPV) that may not have been possible with only equity financing.

By using debt financing, the company can take on more projects and potentially generate higher returns for shareholders. However, it is important to note that the company must be able to generate enough cash flow to cover the debt payments.

3. The company's debt policy can sustain senior management's visions by providing the necessary financing to pursue their strategic goals. By using debt financing, the company can invest in growth opportunities and expand its business. However, it is important for senior management to carefully consider the amount of debt the company can reasonably take on and ensure that it can generate enough cash flow to cover the debt payments.

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Refer to exhibit 4-8. suppose that wheat producers lobby the government for a price floor and receive one. this price floor is set at pf. what is the change in the total surplus at the price floor, compared to at the equilibrium price?

Answers

The answer is definitely 49

Which has the rate of on-the-job injuries in increasing order?

state and federal prisons, county jails
county jails, state and federal prisons
state prisons, county jails, federal prisons
federal prisons, county jails, state prisons

Answers

Answer:

the correct answer is "A"!!!!

Explanation:

"state and federal prisons, county jails" is the correct answer because...

The rate of on-the-job injuries is increasing order is state and federal prisons, and county jails. Thus the correct option is A.

What are on-the-job injuries?

When any injury or accident took place with an individual when they are working at the workplace. this is called a job injury. The organization is responsible for the treatment of On the job injury.

Federal prisons are the most dangerous workplaces, and as a result, they have a greater percentage of on-the-job injuries than state prisons, county jails, or even county jails alone.

Workers in the federal corrections system run the danger of getting hurt or ill, which could lead to their needing a federal disability retirement due to high medical treatment.

Therefore, option A is appropriate.

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is shift work involved for lawyers??

Answers

Answer:

I think so.

Explanation:

This may be depending on the job you have in the Lawyer Occupation, but because they must do different types of work and must go to several different clients, I would say yes. Sorry if this is wrong, but I hope it helps!

How do Product Owners typically organize items in the Backlog?
a. From highest to lowest priority
b. From easiest to most difficult
c. From simplest to most complex
d. From most to least time-consuming

Answers

Product Owners typically organize items in the Backlog a. From highest to lowest priority.

The Backlog is a prioritized list of features, user stories, and tasks that need to be addressed in a product development process, typically managed using Agile methodologies such as Scrum. The Product Owner is responsible for managing the Backlog and determining the priority of the items within it.

By organizing items in the Backlog from highest to lowest priority, the Product Owner ensures that the most important and valuable items are addressed first. This allows the development team to focus on delivering the highest-priority items and provides clarity on what needs to be worked on next.

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Product Owners typically organize items in the Backlog from highest to lowest priority, ensuring that the most important features are addressed first.

Product Owners typically organize items in the Backlog from highest to lowest priority. This allows them to ensure that the most important features or user stories are addressed first.

By prioritizing the backlog, Product Owners can focus on delivering value to the customers and stakeholders. They can also plan and sequence the work in a way that maximizes the benefits and minimizes risks.

For example, if a Product Owner is working on a software product, they may prioritize critical bug fixes or essential functionality over cosmetic changes or nice-to-have features.

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Privott, Inc., manufactures and sells two products: Product Z9 and Product N0. The company is considering adopting an activity-based costing system with the following activity cost pools, activity measures, and expected activity:

Estimated Expected Activity
Activity Cost Pools Activity Measures Overhead Cost Product Z9 Product N0 Total
Labor-related DLHs $ 337,018 7,700 4,300 12,000
Product testing tests 52,247 1,050 1,150 2,200
Order size MHs 477,608 5,300 5,600 10,900
$ 866,873
The activity rate for the Labor-Related activity cost pool under activity-based costing is closest to:
A. $45.43 per DLH
B. $394.03 per DLH
C. $49.76 per DLH
D. $28.08 per DLH

Answers

Answer:

Option D is correct

Activity rate for the Labor-Related activity cost pool= $28.08 per DLH

Explanation:

Activity-based costing is a form of absorption costing where overheads are charged to product using cost drivers.

Under this method, overheads are first analyzed and categorized by the activities responsible for them and then charged to product based on the amount of benefits enjoyed using cost drivers.  

Activity rate per driver is calculated as:  

Activity overhead for the period / Total cost drivers for the period

Activity rate for the Labor-Related activity cost pool

= Labour related overheads/Total labour hours

=  $ 337,018 /12,000 labour hours

= $28.08 per Direct labour hour

Activity rate for the Labor-Related activity cost pool= $28.08 per DLH

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.

Answers

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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Todd owns a barber shop. His total monthly cost is $3,800. He charges $40 per customer. How many customers must Todd provide a haircut service to, to break even each month
120


55


95


110

Answers

The answer is 95 because I solved it

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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Look for _____ in research information showing preferential treatment or consideration regardless of legitimate reasoning.

credibility
relevance
bias
additional sources

Answers

Answer:

bias

Explanation:

bias is the true anwer

Discuss the four dissimilarities between the two market structures know as oligopoly and monopolistic competition

Answers

There are several key differences between oligopoly and monopolistic competition. Here are four dissimilarities to consider:


1. Number of firms: In an oligopoly, there are only a few large firms that dominate the market, while in monopolistic competition, there are many small firms that operate independently.
2. Product differentiation: Oligopolistic firms often sell similar or identical products, while firms in monopolistic competition differentiate their products through branding, advertising, and other marketing efforts.
3. Barriers to entry: Oligopolies are typically characterized by high barriers to entry, which make it difficult for new firms to enter the market. Monopolistically competitive markets, on the other hand, have low barriers to entry, which encourage new firms to enter and compete.
4. Price control: Oligopolistic firms often engage in price collusion, which means they work together to set prices at a level that maximizes profits for all firms in the market. In monopolistic competition, firms do not collude on prices and are generally free to set prices based on their individual costs and market conditions.

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A US based company is attempting to merge with a French National conglomerate. With IFRS and GAAP being so different, what would be some of the challenges the two sides may face with the merger from an accounting standpoint?

Answers

The merger between a US-based company and a French National conglomerate can pose several challenges from an accounting standpoint due to the differences between International Financial Reporting Standards (IFRS) and Generally Accepted Accounting Principles (GAAP). Some of the challenges they may face include:

Accounting Principles: IFRS and GAAP have different underlying principles and concepts. IFRS is principles-based, emphasizing substance over form, while GAAP is rules-based, providing specific guidelines for various transactions. The differences in accounting principles can lead to variations in the recognition, measurement, and presentation of financial information.

Financial Statement Presentation: IFRS and GAAP have different requirements for financial statement presentation. The formats and classifications of items on the balance sheet, income statement, and cash flow statement may vary between the two sets of standards. This can make the comparison and consolidation of financial statements challenging.

Revenue Recognition: IFRS and GAAP have differing guidance on revenue recognition, particularly in areas such as the timing of revenue recognition, multiple-element arrangements, and percentage-of-completion method for long-term contracts. Aligning the revenue recognition policies of the merging entities can be a complex task.

Valuation of Assets and Liabilities: IFRS and GAAP may have different rules for the valuation of assets and liabilities, such as inventory, property, plant, and equipment, intangible assets, and financial instruments. Differences in valuation methodologies can impact the reported values of assets and liabilities, which can have implications for financial ratios, financial performance, and tax implications.

Business Combinations and Goodwill: IFRS and GAAP have different requirements for accounting for business combinations and the subsequent treatment of goodwill. For example, IFRS allows for the option of measuring goodwill at cost or using the impairment model, while GAAP follows a more strict impairment-only model. This can result in differences in the recognition and measurement of goodwill and the related impact on financial statements.

Disclosures: IFRS and GAAP have varying disclosure requirements, with differences in the level of detail and specific disclosures mandated for certain transactions and events. Harmonizing the disclosure requirements can be a complex task to ensure compliance with both sets of standards.

These are just a few examples of the challenges that may arise during the merger process from an accounting standpoint. It is crucial for the merging entities to have a thorough understanding of the differences between IFRS and GAAP and work closely with accounting professionals and advisors to address these challenges effectively and ensure accurate financial reporting and compliance with relevant regulations.

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what businesses could do to assist a community experiencing a crisis in education

Answers

Companies can assist in the development of a community that is going through an education crisis with investments in education, such as educational programs, subsidies and support to educational institutions.

What is CSR?

It corresponds to an acronym for corporate social responsibility, which are means that companies use to attest to their social and environmental responsibility in a strategic way, instituting programs and investments in the local community, to generate value for the brand through the positive perception of stakeholders.

Consumers are increasingly interested in consuming from companies with positive practices for socio-environmental development that go beyond legal requirements, which is a relevant competitive advantage.

Therefore, CSR aims to institute continuous improvement in the organization, waste reduction, relationship creation and quality in its internal and external processes.

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Look at ∆ABC and the definitions of sin A and cos A in terms of the side lengths of the triangle. Based on the definitions of sine and cosine, explain what you have observed in the previous parts of this activity. Use equations to support your explanation.

Look at ABC and the definitions of sin A and cos A in terms of the side lengths of the triangle. Based

Answers

Answer:

The leg opposite ∠A is the leg that is adjacent to ∠B, and the leg adjacent to ∠A is the leg that is opposite ∠B. So by the definition of the two trigonometric ratios:

sin A=cos B

cos A=sin B

Hope I helped!

Answer:

Sample answer for Edmentum and Plato

Like and Rate!!

Look at ABC and the definitions of sin A and cos A in terms of the side lengths of the triangle. Based

Explain the differences between the NPV, payback period, BCB, and IRR. What factors have the largest impact on the rate of return of capital investments, and what variables are these factors subsequently determined by?

Answers

The factors with the largest impact on the rate of return of capital investments are cash flows, discount rate, project duration, and initial investment cost, and these factors are determined by market conditions, risks, cost of capital, competition, and industry dynamics.

What factors have the largest impact on the rate of return of capital investments and what variables are these factors subsequently determined by?

The differences between NPV (Net Present Value), payback period, BCB (Benefit-Cost Ratio), and IRR (Internal Rate of Return) are as follows:

NPV: NPV is a measure that calculates the difference between the present value of cash inflows and outflows of a project. It considers the time value of money by discounting future cash flows to their present value. A positive NPV indicates a profitable investment.

Payback period: Payback period is the time required for an investment to generate enough cash flows to recover the initial investment cost. It does not consider the time value of money and focuses on the time it takes to recoup the investment.

BCB: Benefit-Cost Ratio is the ratio of the present value of cash inflows to the present value of cash outflows. It provides an indication of the overall profitability of an investment project. A BCB greater than 1 indicates that the project is financially viable.

IRR: IRR is the discount rate that makes the net present value of an investment equal to zero. It represents the rate of return at which the project breaks even. A higher IRR is generally preferred as it signifies a more attractive investment.

These factors are subsequently determined by various considerations such as market conditions, project-specific risks, cost of capital, competitive landscape, and industry dynamics.

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when deposits are made into an account between compounding periods, those deposits do not begin to accure interest until the next interest period begins. True or false?

Answers

The given statement, "when deposits are made into an account between compounding periods, those deposits do not begin to accurate interest until the next interest period begins" is true because interest is only calculated at the end of a compounding period.

Therefore, any deposits made between compounding periods will not be included in the interest calculation until the next compounding period begins.

For example, if an account has monthly compounding periods and a deposit is made on the 15th of the month, that deposit will not begin to accrue interest until the next compounding period begins on the 1st of the following month.

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A firm with alliance management capability is able to effectively manage which of the following tasks? (Check all that apply.)

a. purchase of the alliance partner
b. alliance design and governance
c. post-formation alliance management
d. partner selection and alliance formation

Answers

A firm with alliance management capability must effectively manage alliance design and governance, post-formation alliance management and partner selection and alliance formation

A firm with alliance management capability must effectively manage -

Alliance design and governance: This involves defining the scope and goals of the alliance, and establishing the decision-making processes and communication protocols used to manage the alliance.

Partner selection: It is important to carefully select partners who are aligned with alliance objectives and who have resources and expertise to contribute to its success.

Alliance formation: The process of forming an alliance involves negotiating and finalizing the terms of the agreement, and establishing the mechanisms for collaboration and communication.

Post-formation management: Once the alliance is formed, it is important to actively manage and maintain the relationship to ensure its ongoing success.

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Which one is not a question that can be used to analyze if an action is ethical?
A) Is the information presented factual and honest?
B)Who is affected by these actions?
C) Is the action illegal?
D)Will the privacy and confidentiality of the company be protected?

Answers

Explanation:

C)Is the action illegal?

Disadvantages of choosing a job that is extremely popular or in demand

Answers

The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.

What is a high demand job?

This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.

The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.

The number of qualified persons may become more than the job that is available for the people to do in the long run.

Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.

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Select a product, either a good or service, that you consider to be in the decline phase of the Product Life Cycle. Discuss some of the options the company has for dealing with this product. What do you think is the best option, and why do you think so?

Answers

Answer:

Explanation:

just want points

__ I can help protect clients’ confidential information.
A. Anti-virus software
B. Piracy
C. Identity theft
D. Licensing infringement

__ I can help protect clients confidential information.A. Anti-virus softwareB. PiracyC. Identity theftD.

Answers

Answer:

a.

Explanation:

I think it’s a. Or anti-virus software because, it helps to prevent or try and help prevent someone from stealing your personal information.

When entrepreneurs check out all the data for customers by going to where they will sell the products and then estimating realistic sales, they are using the ______. Tornado gut check bottom-up analysis competition

Answers

A bottom-up analysis is used by an entrepreneurs when they check out all the data for customers by going to where they will sell the products.

What is a bottom-up analysis?

A bottom-up analysis refers to an analysis that is used when existing components are selected and integrated into study of a product performance.

Also, the bottom-up analysis focuses more on individual's specific characteristics and micro attributes.

Therefore, the Option C is correct.

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Have you ever bought something you thought would make you happy, but in the end it didn't?

Answers

Answer:

ummmmmmmmmm yea, but it's all cool now hbu

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