The statement 'Transaction and clerical systems that displace labor and save space typically produce more measurable, tangible benefits than management information systems' is false because transaction and clerical systems that displace labor do not produce benefits such as increased efficiency.
Transaction and clerical systems are typically designed to automate repetitive tasks and streamline administrative processes. While they may produce benefits such as increased efficiency, accuracy, and cost savings, these benefits are often tangible and measurable.
On the other hand, management information systems (MIS) are designed to provide decision-makers with timely and relevant information to support strategic decision-making.
While the benefits of MIS may not always be as tangible or easily measurable as those of transaction and clerical systems, they can provide significant value to an organization by helping to improve decision-making, enhance productivity, and support competitive advantage.
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eric is expected to show high deference to his boss who is the ceo of a software company. his boss makes all the decisions without much input from lower level employees. this is an example of a
Eric is expected to show high deference to his boss who is the ceo of a software company. his boss makes all the decisions without much input from lower level employees. this is an example of a High power (-distant) culture.
An employee is someone who receives paid to work for someone or enterprise. people do not need to paintings full time to be taken into consideration personnel—they in reality need to be paid to work by using an organisation (the character or commercial enterprise that can pay them).
Employees complete tasks for organisation leaders . They use their abilties, knowledge and information to meet a positive function at a firm. They usually work within a particular branch like customer service, marketing, accounting or facts generation.
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. What is incentive-based compensation and how is it supposed to
resolve the principal-agent problem? Provide examples to
illustrate. 400-600 words.
Incentive-based pay, also known as performance-based or variable pay, is a type of pay structure that ties a portion of an individual's salary to that or the performance of an organization.
Its purpose is to motivate employees, especially managers and key figures, to achieve specific goals, and to align employee interests with those of organizational stakeholders such as shareholders. The principal-agent problem arises when ownership (principals) and management (agents) are separated within an organization. Clients, i.e. owners and shareholders, delegate decision-making authority to their representatives, i.e. executives and managers.
The principal-agent problem arises when the interests of the agent may not be fully aligned with those of the principal, leading to a potential conflict of interest. Incentive-based compensation aims to solve the principal-agent problem by aligning the interests of agents (management or employees) with those of principals (shareholders or owners).
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The correct question is :
What is incentive-based compensation and how is it supposed to resolve the principal-agent problem?
Hugh has the choice between investing in a city of heflin bond at 6 percent or investing in a surething inc. Bond at 9 percent. Assuming that both bonds have the same nontax characteristics and that hugh has a 40 percent marginal tax rate, in which bond should he invest?.
Based on the Heflin City Bond return and the corporate bond return, Hugh should invest in the Heflin City Bond.
The decision to invest in a bond in this instance, should be driven by which bond has the better after tax return.
Surething Inc After tax return.= Return x ( 1 - tax rate)
= 9% x ( 1 - 40%)
= 5.4%
Heflin bonds are not taxed as they are municipal bonds. The bond with a higher after tax return is therefore the Heflin bond at 6%.
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In the weeks before the release of a new version of a product (a new iPad, for example), what will typically happen to the demand curve for the previous version of the product
With there release of the new version of a product , there would be a shift of the demand curve to the left to balance the change.
What is a demand curve?The demand curve is a representation that is used to present the relationship that exist between quantity demanded from a product and the corresponding price.
Therefore, since there is launching of new version of iPad , there would be a change in the demand curve because it will shift left.
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Select all that apply.
Select the items that describe a free market economy.
efficient market system
distribution of goods through price
competition among businesses
small selection of goods and services
little freedom for producers
Explanation:
Free market system is efficient and had wide array of sphere. In a free market system goods are distributed through price . As it include both consumers and producers which only deals on price.As in free market system there is no role of government, so there is a competition between businesses and business man to achieve greatest profit .Mayan company had net income of $33,480. the weighted-average common shares outstanding were 9,300. the company has no preferred stock. the company sold 4,300 shares before the end of the year. there were no other stock transactions. the company's earnings per share is:
Answer:
Earnings Per Share = $3.6
Explanation:
Given
Net Income Average = $33,480
Weighted-average common shares outstanding = 9,300
Shares sold = 4,300
Required
Calculate the company's earnings per share.
Earning per share is calculated as thus;
Let N represent the Net Income; P represent the Preferred Dividend and W represent the Weighted-average common shares outstanding
\(Earnings Per Share = \frac{N - P}{W}\)
The question says there was no preferred stock;
So, P= 0
Substitute $33,480 for N and 9,300 for W.
The formula becomes;
\(Earnings Per Share = \frac{33,480 - 0}{9300}\)
\(Earnings Per Share = \frac{33,480}{9300}\)
\(Earnings Per Share = 3.6\)
Hence, the calculated Earnings per share of Mayan company is $3.6
Which is most likely to happen to consumers with good credit? Check all that apply.
They can be approved for loans.
They are denied a mortgage.
They can receive lower interest rates.
They are denied an unsecured loan.
They can use credit in emergencies.
They are forced into high interest rates.
Answer:
They can be approved for loans.
They can receive lower interest rates.
They can use credit in emergencies.
Explanation:
Good credit history is a result of sound debt management habits. A person with good credit is disciplined in the use of credit facilities. They are characterized by
They pay their debts on time.They do not miss installment payments.Are not overwhelmed by too many debts at a time.Lenders consider an individual with good credit as low-risk customers. Due to this reason, they are advanced loans at lower interest rates. Customers with good credit get their credit approvals within a short period.
Statements that explains things that most likely to happen to consumers that has good credit are;
They can be approved for loans.
They can receive lower interest rates.
They can use credit in emergencies.
A consumer credit system can be considered as one that give room to the consumers to borrow money or incur debt.It enable them to defer repayment of the money over time, and with good credit lower interest rates can be accessed.Learn more at
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You have been asked to lead a group of your coworkers in developing a new process for handling performance reviews at your office. Unfortunately, during your first meeting, you realize that everyone in the group is agreeing with each other - there is no debate happening, and no one is presenting different ideas. What can you do to solve this problem? a) Assign one person in the group to be a devil's advocate. b) Use evidence-based decision making as a group discussion technique. c) Do a postmortem review of all group decisions. d) Use brainstorming as an idea generation technique.
To solve the problem of lack of debate and differing ideas during the group meeting for developing a new process for handling performance reviews at the office, the following actions can be taken:
Assign a facilitator: The facilitator's role is to ensure that everyone gets a chance to speak and that the discussion stays on track. The facilitator can also encourage the group to present differing ideas and viewpoints.
Set ground rules: Establishing ground rules such as "respect everyone's opinion," "avoid interrupting others," and "listen actively" can encourage people to express their ideas and opinions.
Use brainstorming: Brainstorming is an idea generation technique that can encourage creative thinking and diverse viewpoints. Encourage the group to generate as many ideas as possible without judgment or criticism.
Assign a devil's advocate: Assigning someone in the group to present counterarguments to the ideas presented can help stimulate debate and discussion. This can encourage the group to explore different perspectives and weigh the pros and cons of each idea.
Use evidence-based decision making: Encourage the group to present evidence to support their ideas, and to discuss the pros and cons of each idea. This can help the group make a more informed decision.
By using these actions, the group can overcome the problem of agreeing with each other and foster a more productive and collaborative environment for developing a new process for handling performance reviews at the office. A postmortem review of all group decisions can also be done after implementing the new process to evaluate its effectiveness and make necessary adjustments.
To solve the lack of debate and different ideas in the group, you can assign a devil's advocate, use evidence-based decision making, and do postmortem reviews of all group decisions.
In order to solve the problem of lack of debate and different ideas in the group, you can implement the following strategies:
Assign one person in the group to be a devil's advocate: This person can challenge the ideas being presented and bring up counterarguments to promote healthy debate.Use evidence-based decision making as a group discussion technique: Encourage the group to back up their ideas with evidence and data, fostering a more analytical and objective approach to decision making.Do a postmortem review of all group decisions: After each decision is made, conduct a review to evaluate the effectiveness and explore alternatives, allowing for continuous improvement.Learn more about group decision making here:https://brainly.com/question/32556496
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A savings account pays interest at an annual percentage rate of 2.4%, compounded monthly. a) Find the annual percentage yield of this account. Write your answer as a percentage, correct to at least four decimal places. b) How long will it take (in years) for an initial deposit of $1000 to grow to $1900? Round your answ to the nearest tenth of a year.
The annual percentage yield of the account is approximately 2.4196% (rounded to four decimal places).
a) To find the annual percentage yield (APY) of the savings account, we can use the formula:
APY = (1 + r/a)ᵃ⁻¹
Where:
r = annual interest rate (in decimal form)
a = number of times the interest is compounded per year
In this case, the annual interest rate is 2.4% or 0.024 in decimal form, and the interest is compounded monthly, so n = 12.
Plugging the values into the formula:
APY = (1 + 0.024/12)¹²⁻¹
Calculating this expression:
APY ≈ 0.024196
Therefore, the annual percentage yield of the account is approximately 2.4196% (rounded to four decimal places).
b) To determine how long it will take for an initial deposit of $1000 to grow to $1900, we can use the formula for compound interest:
A = P(1 + r/a)ᵃᵇ
Where:
A = final amount (in this case, $1900)
P = initial deposit (in this case, $1000)
r = annual interest rate (in decimal form)
a = number of times the interest is compounded per year
b = time in years
We need to solve for t, so rearranging the formula:
t = (log(A/P)) / (n x log(1 + r/n))
Plugging in the given values:
t = (log(1900/1000)) / (12 x log(1 + 0.024/12))
Calculating this expression:
t ≈ 5.5
Therefore, it will take approximately 5.5 years (rounded to the nearest tenth of a year) for the initial deposit of $1000 to grow to $1900 in this savings account.
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Question 30 Homework Answered What is the Pl of a project that costs $31,000 today and is expected to generate annual cash inflows of $12,000 for the next 7 years, followed by a final inflow of $13,00
We are supposed to calculate the Present value (PV) of the project to find out the Profitability index (PI)
Given,Initial cost of the project= $31,000
Annual cash inflows for the next 7 years= $12,000
Final inflow after 7 years= $13,000
We are supposed to calculate the Present value (PV) of the project to find out the Profitability index (PI)
The formula for calculating the Present value of the project is:
P=∑n=0n=NPt(1+i)t
Where,
P= Present value of the project.
Pt= net cash inflow during the period t.
n= total number of periods.
i= discount rate (required rate of return).
To find out the profitability index (PI), the formula used is:
PI=Present value of inflows / Initial investment
The formula for the present value of the project can be rearranged as:
P=C×(1−1/(1+i)n)/i
Where,
C= annual cash inflow,
n= total number of periods,
i= discount rate (required rate of return).
Calculation for Present value of the project:
Present value of the project=P
=C×(1−1/(1+i)n)/i
= $67,846.08
Calculation for the profitability index (PI):
PI=Present value of inflows / Initial investment
= $67,846.08/$31,000
= 2.19
Therefore, the Profitability index of the project is 2.19.
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Other things the same, an increase in velocity means that a. the rate at which money changes hands falls, so the price level rises. b. the rate at which money changes hands falls, so the price level falls. c. the rate at which money changes hands rises, so the price level rises. d. the rate at which money changes hands rises, so the price level falls.
An increase in the velocity of the money refers to a situation when the rate of changing leads to hand rises and ultimately results in an increase in the price level, indicating an inflation.
What is velocity of money ?Velocity of money refers to a method with the help of which the movement of the money in an economy can be measured. When the number of hands changing money increases, there is an economic growth.
So, option C; states that there is an increase in the velocity of money when the rate at which money changes hands rises, the price level also increases.
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One of the many tasks that an Environmental Engineering Technician might do is: Question 3 options: 
 Conduct pollution survey 
 Manages invasive plant species 
 Complete research on wildlife 
 Work as a farm hand
One of the many tasks that an Environmental Engineering Technician might do is to conduct a pollution survey.
What is Environmental Engineering Technician?
There are many different positions one might hold within the broad field of environmental technology. One of them is assisting environmental engineers and environmental scientists in identifying, evaluating, preventing and controlling environmental contamination.
Environmental technicians conduct equipment inspections and maintenance, handle hazardous waste, collect samples, oversee waste operations, and perform other tasks as required.
Environmental specialists keep an eye on the environment and look for sources of contamination and pollution, especially those that could have an impact on public health. Additionally, they strive to stop environmental infractions.
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Halving is the the operation that takes an array A with n distinct numbers and separates it into two half-sized1 arrays A0 and A1, where all elements of A0 are smaller than all elements of A1. (Note that it is not required that A0 and A1 are sorted. ) Prove that Halving can be done in linear time by presenting an algorithm and arguing its correctness and justifying the running time. You can describe the algorithm in words, if you wish. Just make it clear. You may also invoke any algorithms discussed in lecture in a black-box fashion without having to reprove its correctness
The Halving operation, which separates an array A into two half-sized arrays A0 and A1 such that all elements in A0 are smaller than all elements in A1, can be performed in linear time. This can be achieved by using the QuickSelect algorithm, a variation of the QuickSort algorithm. The algorithm works by selecting a pivot element from the array and partitioning the remaining elements into two groups, one with smaller elements and the other with larger elements.
The QuickSelect algorithm can be used to solve the Halving problem in linear time. It works as follows:
Select a pivot element from the array A.
Partition the array A into two groups: elements smaller than the pivot and elements larger than the pivot.
If the pivot is at the middle position, we have successfully halved the array. Return the two resulting arrays A0 and A1.
If the pivot is not at the middle position, recursively apply the algorithm on the corresponding partition (either the smaller elements or the larger elements).
Repeat steps 1-4 until the pivot is at the middle position.
The correctness of the algorithm can be justified by the fact that the QuickSelect algorithm is a well-known algorithm for finding the kth smallest element in an unsorted array. In the case of halving, we are effectively finding the median element, which ensures that all elements in A0 are smaller than all elements in A1.
The running time of the QuickSelect algorithm is linear on average, making it a suitable choice for solving the Halving problem efficiently. The partitioning step in each recursion reduces the size of the problem by half, resulting in a time complexity of O(n), where n is the number of elements in the input array A. Thus, the Halving operation can be done in linear time by utilizing the QuickSelect algorithm.
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A forecast model composed of an ARMA model and an ES model is used to predict the future demand of an automotive spare part. The variance of the forecast error of the ARMA model is 16, while the variance of the forecast error of the ES model is 25. The coefficient of correlation between the errors of these two models is -0.9. Calculate The optimal values of weights given to each of these two models and the value of the error variance of the combined model.
The optimal weights for ARMA and ES models are 0.529 and 0.471 respectively, And the value of the error variance of the combined model is 15.656.
Let w1 be the weight of ARMA model and w2 be the weight of ES model.
We know that the sum of weights is equal to 1.i.e. w1 + w2 = 1
Also, the variance of the error of the combined model is given by
σc² = w1²σARMA² + w2²σES² + 2w1w2σARMAσESρ
where σ
ARMA² = 16σES² = 25ρ = -0.9σc² = w1²(16) + w2²(25) + 2w1w2(4.5)
For the combined model to have the minimum variance, the partial derivatives of σc² w.r.t.
w1 and w2 should be equal to 0.∂σc²/∂w1 = 32w1 + 9w2 - 36w1 = 0∂σc²/∂w2 = 50w2 + 9w1 - 45w2 = 0
Solving the above equations, we getw1 = 0.529, w2 = 0.471
Therefore, the optimal weights for ARMA and ES models are 0.529 and 0.471 respectively.
The variance of the error of the combined model is
σc² = w1²σARMA² + w2²σES² + 2w1w2σARMAσES
ρ= (0.529)²(16) + (0.471)²(25) + 2(0.529)(0.471)(-3.6)= 7.947 + 11.675 - 3.966= 15.656
The value of the error variance of the combined model is 15.656.
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Suppose 2 athletes sign 10-year contracts for $80 million. In one case, we're told that the $80 million will be paid in 10 equal instalments. In the other case, we're told that the $80 million will be paid in 10 instalments, but the instalments will increase by 5% per year. Who got a better deal and why?
Answer:
player 2 is signing a better contract
Explanation:
the present value of an annuity (player 1) = annual payment x annuity factor
assuming that the interest rate is 10%
present value = $10 million x 6.1446 (PV annuity factor, 10%, 10 periods) = $61.446 million
player 2's contract
the present value of a growing annuity = [payment / (i - g)] x {1 - [(1 + g) / (1 + i)]ⁿ} = [$10 / (10% - 5%)] x {1 - [(1 + 5%) / (1 + 10%)]¹⁰} = $200 x 0.372 = $74.398 million
Sterling Company paid $1,200 for 3 months of rent on April 1 of the current year. On April 30, Sterling Company made an adjusting entry to account for the rent that expired during the month of April. The adjusting entry contained a debit to Rent Expense in the amount of $ _______ and a credit to Prepaid Rent in the amount of $ ______. The remaining balance in the Prepaid Rent account after the adjustment was $ ______.
Explanation:
the rent start on February first and paid 400 the expense rent are for 29 days on 13.7 USD per day
Search engines generate revenue through pay-per-click (each time a user clicks a link to a retailer’s website); pay-per-call (each time a user clicks a link that takes the user to an online agent waiting for a call); or pay-per-conversion (each time a website visitor is converted to a customer)
Answer:
pay-per-click (each time a user clicks a link to a retailer’s website).
Explanation:
Pay-per-click is the cost stipulated by online survey platforms for each click on a sponsored ad.
Popularized by Google AdWords, this is one of the most used metrics for digital marketing, mainly because of the ease of having measurable digital advertising efforts.
The great advantages of this metric is the possibility of measuring and monitoring the number of users who will click on your link, making it more effective to analyze the impact that your business media has on people.
A large company has several data collections across its many departments. what kind of metadata indicates exactly how many collections a piece of data lives in?
A large company has several data collections across its many departments. what kind of metadata indicates exactly how many collections a piece of data lives in Structural metadata
This is further explained below.
What is Structural metadata?Generally, Metadata that identifies the sorts of digital assets, as well as their versions, connections, and other properties, is referred to as structural metadata (Arms, Blanchi, and Overly 1997). Other information that is linked with the particular version is a part of the digital object's structural metadata. This metadata refers to individual versions of digital objects.
In conclusion, A major firm has multiple data collectors across its various divisions. How many different collections do a particular piece of data reside in, and what type of metadata reveals this? Structural metadata
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An annual coupon bond pays 8.7% interest. It matures in 4 years with a face value of $1,000. Yield to maturity is currently 5.7%. The duration of this bond is years. a.4.00 b. 3.38 c. 3.57 d. 3.15
The duration of this bond is approximately 3.38 years. The correct answer is option b.
A bond's sensitivity to interest rate changes is gauged by its term. We can use the following formula to determine the bond's duration:
Duration is equal to (1 + YTM) / [(t * CFt) / PV]
Where t is the specific time period, CFt denotes the cash flow at time t (which is the coupon payment), PV denotes the bond's cash flows' present values, and YTM denotes the yield to maturity.
The bond in this instance has a face value of $1,000, a coupon rate of 8.7%, and a 4-year maturity. 5.7% is the yield till maturity.
We may determine the duration by using the formula and the provided data in the manner shown below:
Duration = [(1 * 0.087 * 1000) / (1 + 0.057)] + [(2 * 0.087 * 1000) / (1 + 0.057)^2] + [(3 * 0.087 * 1000) / (1 + 0.057)^3] + [(4 * (0.087 * 1000 + 1000)) / (1 + 0.057)^4] / (1 + 0.057)
≈ 3.38 years
Therefore, the duration of this bond is approximately 3.38 years. The correct answer is option b.
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Suppose that the weekly profit, in dollars, of producing and selling x cars is P (x) = negative 0.007 x cubed - 0.2 x ^2 + 1000 x - 1100,and currently 60 cars are produced and sold weekly. Use P (60) and the marginal profit to estimate the weekly profit of producing and selling 62 cars. Round to the nearest dollar.
Answer:
The weekly profit "P" of producing and selling "x" cars, is given by the expression \(P(x)= -0.007x^3-0.2x^2+1000x-1100\).If the amount of cars produced and sold are x=60, then the profit linked to those 60 cars will be given by \(P(60)= -0.007(60)^3-0.2(60)^2+1,000(60)-1,100\), where the amount of cars "x" has been replaced by 60. This equals \(P(60)=56,668\). Marginal profit is defined as the change in profits when the amount of cars produced and sold change in a unit. Matematically, it equals the derivative of P(x) in terms of x: \(\frac{\partial P(x)}{\partial x}= -0.021x^2-0.4x+1,000\) . If the amount of cars produced and sold change in two units, then the marginal profit (or additional profit) obtained by producing and selling these two additional cars is \(-0.021(2)^2-0.4(2)+1,000\) ≈ \(1,000\).Then, producing and selling 62 cars would produce a benefit of \(\$56,668+\$1,000= \$57,668\).Consider a project that requires an initial investment of $502, pays $101 one year from today (at t = 1), pays $207 two years from today (at t = 2), and pays $357 three years from today (at t = 3). Assume these amounts are meant to capture cash flows that actually take place more frequently throughout the year (such as weekly). Rounded an accurate to three decimal places, what is the payback period for this project? (Example: if we had a much longer-term project of nine years, and you found the payback period was 7.2345 years...your answer would be entered as 7.235.).
The payback period can be calculated as (2 years + ($551 / $357)) = 2.633 years, rounded to three decimal places.
The payback period, we need to determine the time it takes for the cumulative cash flows to equal or exceed the initial investment of $502. We start by subtracting the cash flows from the initial investment until the cumulative cash flows become positive or zero.
In this case, after one year (at t = 1), the cumulative cash flow is $101 - $502 = -$401. By the end of the second year (at t = 2), the cumulative cash flow is -$401 + $207 = -$194. Finally, at the end of the third year (at t = 3), the cumulative cash flow is -$194 + $357 = $163.
Since the cumulative cash flow becomes positive at the end of the third year, we can say that the payback period is between two and three years. To determine the exact payback period, we interpolate based on the cash flow amounts and timing.
The cash flow of $357 occurs at t = 3, which is three years from the start. The difference between the cumulative cash flow at the end of the second year (-$194) and the cumulative cash flow at the end of the third year ($163) is $357 - (-$194) = $551.
The payback period can be calculated as (2 years + ($551 / $357)) = 2.633 years, rounded to three decimal places.
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1. Job that helps you earn money to pay for college
 
                                                Answer:
work - study
Explanation:
Answer:
work ..... study
Explanation:
The economic growth demonstrated by this recruitment letter was primarily a result of —.
The economic growth in the recruitment letter was demonstrated as a result of industrial production.
What is economic growth?A stable uplift in the economic conditions, in comparison to the previous economic period(s), is regarded as an economic growth. It is driven by many external factors.
In the recruitment letter, it was found that the increase in the industrial productivity led to extreme economic growth in the United States of America.
Hence, the reasons for the economic growth have been aforementioned.
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how are cash inflows and outflows related to the company's primary business classified?
The amount of money a company receives (inflows) from its primary business of producing and selling finished goods or rendering services, along with any outflows (such as payments for expenses), is referred to as cash flow from operating activities.
Cash flows from operations also include: sales proceeds in cash. Operating activities, investing activities, and financing activities make up the three categories of cash flows. money-related noncurrent asset activities are included in investing.
The relationship between cash inflows and outflows. Money coming into a business is known as cash inflow, and it may come from sales, investments, or financing. The opposite of a cash outflow is a cash inflow, which is money entering a business.
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Firms that follow variable-cost pricing Multiple Choice sell their products at lower net prices abroad than in the domestic market. ensure that no unit of a similar product is different from any other unit in terms of cost. tend to have high variable costs relative to fixed costs. often do so to maximize revenue by matching demand with a limited supply. ensure that each unit bears its full share of the total fixed and variable cost.
Answer:
Sell their products at lower net prices abroad than in the domestic market
Explanation:
Variable costing is a product costing method where only the variable manufacturing cost like the cost of direct materials ,labor and the variable manufacturing overhead are factored into the cost of production. This does not consider a complete cost like the absorption method of costing and as a result , the final overall cost is lower,
Using variable cost males it possible to sell products at lower net prices abroad compared to the domestics market as the tax laws of various country requires absorption method , hence it is not captures using variable costing.
Olympia Autos Inc. merged with its competitor Vaca Autos Inc. This allowed Olympia Autos to use its technological competencies along with Vaca Autos' marketing capabilities to capture a larger market share than what the two entities individually held. What does this scenario best illustrate
Answer:
Olympia Autos Inc. and Vaca Autos Inc.
This merger scenario illustrates the power of synergy.
Explanation:
Synergy is achieved with Olympia Autos Inc that has technological competencies, merging with Vaca Autos' marketing capacities. This enable the two entities to achieve more as one than they could have achieved individually. By capturing a larger market share, the two entities have shown that the combination of resources in pursuit of some common objectives is more beneficial than separate efforts.
Is cereal soup or no?
Answer:
no its a candy acid
Explanation:
When the business cycle or economic activity is declining, the economy is said to be in....?
A 
the trough
B 
contraction
C 
expansion
D 
recovery
contraction is to decline the answer is B
Click this link to visit the O*NET page for the Zoologists and Wildlife Biologists career. Scroll down to the Skills section. Note that common skills are listed toward the top, and less common skills are listed toward the bottom. According to O*NET, what are some common work skills for Zoologists and Wildlife Biologists? Check all that apply. active listening equipment maintenance installation science critical thinking
Answer:
1,4,5
Explanation:
just did it on e2020
There are some common work skills for Zoologists and Wildlife Biologists are:
Active listening Installation science Critical thinking. Thus, option (a), (c), and (d) is correct.What is Wildlife?
While humans and domesticated animals are not considered to be considered "wildlife," living things such as birds, animals, insects, and mammals are. Brew, lion, butterfly, etc. are a few examples. Grasslands, forests, deserts, wooded areas, and plains are where you can see wildlife most often.
Active listening, applied science, and critical thinking are common work abilities for Zoologists and Wildlife Biologists. The Zoologists are founded on the skills they learn in nature. There was the based on the skills are the developed in the nature are the Zoologists.
As a result, they are some common work skills for Zoologists and Wildlife Biologists. Therefore, option (a), (c), and (d) is correct.
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Personal mission statement!!
Answer:
defines who you are and identfies your purposes,whether in the office or simply in life. also it it explains how you aim to pursue that purpose and why it matters so much