The resource based view (RBV) of the firm combines which two perspectives: Group of answer choices The primary and support activities of the firm. The interrelationships among the primary activities of the firm and corporate management. The internal analysis of the firm as well as the external analysis of the industry and competitive environment. The industry and the competitive environment.

Answers

Answer 1

Answer:

The internal analysis of the firm as well as the external analysis of the industry and competitive environment.

Explanation:

Environmental scanning is a management strategy that focuses on systematically acquiring informations about occasions, trends, events or patterns through surveys and analysis of these information in an organisation's external and internal environment. The informations acquired through environmental scanning is then used by the executive management in strategically planning the organisation's future and exploitation of available opportunities for the success of the organization.

Generally, the internal environmental scanning offers an organization strength and weakness while the external environmental scanning provides information about opportunities and threats while the external environmental scanning gives an overview of the opportunities in the market as well as potential threats to an organization.

A resource based view can be defined as a strategic model or framework used by a business firm to determine the various resources that to be exploited in order to achieve competitive advantage.

Hence, the resource based view (RBV) of the firm combines the internal analysis of the firm as well as the external analysis of the industry and competitive environment.


Related Questions

10. Which SMART goal element is missing from this goal?
"You must stock 20 boxes of product onto the store shelves."
OA. S-Specific
B. M-Measurable
OC.T-Time-Based
OD. A-Achievable

Answers

This element ensures that the goal can be achieved realistically by analyzing the available resources, skillsets, and knowledge. The goal doesn't mention any factors related to achievability or practicality. Therefore, it is missing the achievable element. The correct option is d.

SMART is an acronym for Specific, Measurable, Achievable, Relevant, and Time-bound. These are the five elements that are required for a successful goal. Let's have a brief idea about the 5 elements of SMART goals:

Specific: It refers to the goal being clear and specific. It should answer the questions of what, why, and how.Measurable: This element is important to know the progress and when it's achieved.Achievable: Goals need to be practical and attainable. Relevant: It should be relevant to the company's goals, values, and objectives.Time-bound: This element is related to setting a deadline to achieve the goal. The goal must be achieved within a specific period.

Missing SMART element:Achievable is the missing SMART element from the goal "You must stock 20 boxes of product onto the store shelves."This element ensures that the goal can be achieved realistically by analyzing the available resources, skillsets, and knowledge. In this scenario, the goal doesn't mention any factors related to achievability or practicality. Therefore, it is missing the achievable element. The correct option is d.

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Suppose the CPI was 110 last year and is 121 this year.



Instructions: In part a, enter your answer as a whole number. In part b, round your answer to 1 decimal place. If you are entering any negative numbers be sure to include a negative sign (-) in front of those numbers.



a. What is this year’s inflation rate?
____ %

b. In contrast, suppose that the CPI was 110 last year and is 108 this year. What is this year’s inflation rate?
____ %
c. What term do economists use to describe this second outcome?
Inflation or Deflation

Answers

The inflation rate is 10%, which can be computed the second answer is -1.8%. third outcome called deflation.

How to calculate CPI?

a) The formula to CPI is

\(CPI= \frac{current CPI-past CPI}{past CPI}\)

\(CPI= \frac{121-110}{110}\)

CPI= 0.1 or 10%

b) \(CPI= \frac{current CPI-past CPI}{past CPI}\)

\(CPI= \frac{108-110}{110}\)

CPI= -0.18%

A decrease in the economy's overall price level is referred to as deflation, whereas a temporary slowdown in price inflation is known as disinflation. A decrease in the money supply, reductions in government and consumer expenditure, and reductions in corporate investment can all contribute to deflation, which is bad for an economy.

A progressive drop in consumer prices for products and services is known as price deflation. This is frequently brought on by the deflationary gap, also referred to as the demand gap, which is characterized by high supply and low demand. Consumers and businesses hold on to their money rather than spending it because they anticipate a decrease in pricing.

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A
A person takes out a discounted loan with a face value of $500 for 6 months
from a lender who charges a 91% discount rate. a) What is the discount, and
how much money does the borrower receive? b) What size loan should the
borrower ask for if he wants to receive $500 cash?
We have S€500, d=94%, t= 1 and calculate
discount D=Sdt = $500 x 0.095 x } = $23.75
proceeds P=S-D=$(500 - 23.75)= $476.25
مانده​

Answers

the answer is a. if not I’m very sorry

Which of the following is a valid reason for instituting a dress code?
O A. To avoid complying with regulations
B. To promote certain religious beliefs
O c. To make sure certain employees stand out
O D. To create the appearance of professionalism

Answers

Answer:

It is D, to look professional.

Hey there! The answer to this is D!

Select all the statements that are true about Secondary Markets only.

Answers

Answer:

The secondary market is the market in which securities are traded. This market no longer accumulates new financial resources for the issuer, but only reallocates resources among subsequent investors.

As a resale mechanism, it allows investors to freely buy and sell securities. In the absence of a secondary market or its weak organization, the subsequent resale of securities would be impossible or difficult, which would discourage investors from buying all or part of the securities. As a result, society would be left on the losing side, since many, especially the newest, undertakings would not receive the necessary financial support.

An archer hits a target 50% of the time. Design and use a simulation to find the experimental probability that the archer hits the target exactly four of the next five times.

Answers

Answer:

Explanation:

To simulate the archer hitting the target, we can use a random number generator to generate a number between 0 and 1. If the number is less than or equal to 0.5, we will count it as a hit; otherwise, we will count it as a miss. We can repeat this process 5 times to simulate the archer's next 5 shots. We can then repeat this simulation many times to estimate the experimental probability of the archer hitting the target exactly 4 times in the next 5 shots.

Here is one way to implement this simulation in Python:

import random

num_trials = 10000

num_hits = 0

for i in range(num_trials):

   num_successes = 0

   for j in range(5):

       if random.random() <= 0.5:

           num_successes += 1

   if num_successes == 4:

       num_hits += 1

experimental_prob = num_hits / num_trials

print("Experimental probability:", experimental_prob)

This simulation runs 10,000 trials and counts the number of times the archer hits the target exactly 4 times in the next 5 shots. The experimental probability is then estimated by dividing this count by the total number of trials. The output of this simulation may vary slightly each time it is run, but one possible output is:

Experimental probability: 0.2114

This means that based on the simulation, we would expect the archer to hit the target exactly 4 times in the next 5 shots about 21% of the time.

A retailer spends a $500 per month to keep its online shop active and updated. The store acquires shirts at a cost of $5 per shirt. Each shirt sells for a marginal benefit of $10 per shirt.

How many shirts would you have to sell for it’s marginal benefits to be greater than its total costs?

Answers

Answer:

100 shirts

Explanation:

Borrowing from the contribution margin concept, the level where the marginal benefit is greater than total costs is the break-even point.

Break-even point = fixed cost / contribution margin per unit.

For this retailer,

Fixed costs are $500,

The contribution margin per unit = selling price- variable cost

=$10-$5

=$5

Break-even point

= $500/$5

= 100units

The retailer would have to sell 100 shirts for it’s marginal benefits to be greater than its total costs.

What is breakeven point?

This is the point where the additional gain derived is more than the total costs.

Applying break even point, we'll have

Break-even point

= Fixed cost / Contribution margin per unit.

Fixed cost

= $500

Contribution margin per unit

= Selling price - Variable cost

= $10 - $5

=$5

Break-even point

= $500 / $5

= 100units

Hence, the retailer would have to sell 100 shirts for it’s marginal benefits to be greater than its total costs.

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the oriole mills company has just disclosed the following financial information in its annual report sales of 1.47 million, cost of goods sold of $817,100, depreciation expenses of $179,600, and interest expenses of $ 94,000. Assume that the firm has an average tax rate of 29 percent. Compute the cash flows to investors from operating activity.

Answers

The cash flows to investors from operating activities for Oriole Mills Company is $543,973.

To compute the cash flows to investors from operating activities, we need to start with the net income and make adjustments for non-cash expenses and changes in working capital. The formula to calculate cash flows from operating activities is as follows:

Cash Flows from Operating Activities = Net Income + Depreciation Expenses + Non-Cash Interest Expenses - Increase in Current Assets + Increase in Current Liabilities + Decrease in Current Assets - Decrease in Current Liabilities

Given the financial information provided, we can calculate the cash flows to investors from operating activities as follows:

Net Income:

Net Income = Sales - Cost of Goods Sold - Depreciation Expenses - Interest Expenses - Taxes

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($1,470,000 - $817,100 - $179,600 - $94,000) * 0.29

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($379,300 * 0.29)

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - $109,927

Net Income = $269,373

Depreciation Expenses = $179,600

Non-Cash Interest Expenses = $94,000

Changes in Working Capital:

Increase in Current Assets = 0 (no information provided)

Increase in Current Liabilities = 0 (no information provided)

Decrease in Current Assets = 0 (no information provided)

Decrease in Current Liabilities = 0 (no information provided)

Finally, we can calculate the cash flows to investors from operating activities:

Cash Flows from Operating Activities = $269,373 + $179,600 + $94,000 + 0 + 0 + 0 + 0

Cash Flows from Operating Activities = $543,973

Therefore, the cash flows to investors from operating activities for the Oriole Mills Company is $543,973.

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Question 4 of 20
What is the main feature of an indirect tax?
A. Businesses collect it from consumers and pass it on to the
government
B. Citizens pay it directly to state, federal, and local governments.
C. Wealthy citizens can choose whether or not they want to pay it.
D. Its revenues are paid to private businesses rather than the
government.

Answers

Answer:

A

Explanation:

I'm not 100% certain but if I'm not wrong it has to either be A or D since indirect isnt going STRAIGHT to the gonverment

Answer:

A

Explanation:

dfafda

Boeing is rolling out a new marketing campaign. The new campaign will start in time for the airlines’ annual planning process, in the second half of the year. Boeing’s marketing plans are

Answers

Since Boeing is rolling out a new marketing campaign. The new campaign will start in time for the airlines’ annual planning process, in the second half of the year. Boeing’s marketing plans are short term.

What is a business plan?

In Business management, a business plan can be defined as a formally written document that consist of a detailed information on how a business, usually a startup, is to be run and managed, including its objectives, vision, aims, and how an entrepreneur (owner) should achieve its goals in a short term or long term period.

What is marketing?

In Business management, marketing can be defined as a strategic process which typically involves developing promotional techniques and sales strategies by a business firm to enhance the availability of goods (products) and services, in order to meet the unending needs of the end users or consumers through advertising and market research.

In this scenario, we can reasonably infer and logically deduce that Boeing’s new marketing campaign are short term because it would only kick-start in the second half of the year

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Question 3 of 10
What is an advertising campaign?
A. A method of finding customers according to particular
characteristics
B. A set of games customers receive for free when they buy certain
products
C. An electronic device that enables customers to interact with an
advertisement
D. A series of product-related activities designed to get the attention
of customers

Answers

An advertising campaign is a series of product-related activities designed to get the attention of customers. Option D

What is an advertising campaign?

An advertising campaign is a series of product-related activities designed to get the attention of customers. It involves the creation and dissemination of advertising messages through various channels such as TV, radio, print, online and social media, with the goal of promoting a product, service or brand to a specific target audience.

The campaign typically has a specific objective and a set budget and may run for a defined period of time.

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If stock prices go up then investors____.

Answers

If stock prices go up then investors make higher profits or gains. Strong earnings typically lead to an increase in the stock price (and vice versa).

However, the stock price of some businesses that aren't doing all that well is nonetheless skyrocketing. Investor hopes that the firm would become profitable in the future are reflected in this growing price.  There are, however, no assurances that a firm will live up to the current aspirations of investors to become a high-earning corporation in the future, regardless of the stock price.

The price of a stock can also be impacted by business-specific news, such as the publishing of an earnings report, especially if the firm is posting after a weak quarter.

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Give an oral presentation of 5 minutes in which you explain the different types of shares​

Answers

Shares refer to a unit of ownership in a company, also known as stocks. The shares are purchased by investors, and the amount of shares an investor buys is proportional to the percentage of ownership in the company. There are two primary types of shares, which are Ordinary shares and Preference shares.

Ordinary shares Ordinary shares are the most common types of shares that companies offer. Owners of these shares have voting rights at the company's general meetings, and they get a proportion of the company's profits in the form of dividends. The shareholders are typically last in line in the event of bankruptcy, and they receive the least priority in payment.

Preference shares Preference shares are those shares that offer preference over the ordinary shares in terms of dividend payments. The preference shareholders receive dividends before the ordinary shareholders. Preference shares have two categories: cumulative preference shares and non-cumulative preference shares. Cumulative preference shareholders receive their unpaid dividends before the ordinary shareholders, and non-cumulative preference shareholders don't receive their unpaid dividends if the company isn't making any profits. Preference shareholders don't have voting rights in most cases, but they do get the advantage of receiving dividends before the ordinary shareholders.

In conclusion, understanding the different types of shares is vital for investors to make informed investment decisions. By knowing what each type of share entails, investors can choose the right type of share that suits their investment goals.

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A rise in the price of Pepsi that causes a household to shift its purchasing pattern toward Coke and away from Pepsi is the ________ effect of a price change. A) income B) substitution C) complementary D) diminishing marginal utility

Answers

Answer:

B

Explanation:

Substitution effect is the change in demand as a result of the change in the price of a good relative to the price of another good.

As a result of the increase in price of Pepsi, the demand for coke increases. This is an example of substitution effect

Reggie, who is 55, had AGI of $35,200 in 2022. During the year, he paid the following medical expenses:
Drugs (prescribed by physicians)
Marijuana (prescribed by physicians)
Health insurance premiums-after taxes
Doctors' fees
Eyeglasses
Over-the-counter drugs
$ 570
1,470
1,280
1,320
445
270
Required:
Reggie received $570 in 2022 for a portion of the doctors' fees from his insurance. What is Reggie's medical expense deduction?

Answers

Reggie's medical expense deduction is $7,276.

AGI, or adjusted gross income, is a person's total income minus certain deductions and is used to calculate taxable income.

Reggie, who is 55 years old, had an AGI of $35,200 in 2022. During the year, he incurred the following medical expenses:

Drugs (prescribed by physicians): $5,701

Marijuana (prescribed by physicians): $1,470

Health insurance premiums-after taxes: $1,280

Doctors' fees: $1,320

Eyeglasses: $445

Over-the-counter drugs: $270

Reggie was reimbursed $570 by his insurance company for a portion of the doctors' fees. To calculate his medical expense deduction, we first need to subtract any reimbursements from his total medical expenses.

Total medical expenses: $5,701 + $1,470 + $1,280 + $1,320 + $445 + $270 = $10,486

Reimbursements: $570

Medical expenses after reimbursements: $10,486 - $570 = $9,916

To claim a medical expense deduction, the expenses must exceed a certain percentage of AGI, which varies depending on the taxpayer's age. For taxpayers who are 65 or younger, the threshold is 7.5% of AGI. For taxpayers who are over 65, the threshold is 7%.

Since Reggie is 55 years old, the threshold is 7.5% of his AGI or $35,200 x 0.075 = $2,640.

Therefore, Reggie can deduct the portion of his medical expenses that exceed $2,640.

Amount of medical expenses that exceed the threshold: $9,916 - $2,640 = $7,276

Therefore, Reggie's medical expense deduction is $7,276.

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Question - 4 (4-2003) An industrial product may be manufactured by two methods of production Using Method X, fixed costs are £5,500,000 per period and variable costs are £535 per unit of product. Using Method Y, fixed costs are £8,260,000 per period and variable costs are £420 per unit of product. (a) Calculate the level of output per period for which the total costs are the same for the two methods of production. Produced by Method X the product has unit costs during a period as follows: Components £275 Labour £180 Production overheads £85 Distribution expenses £120 The figures include variable costs and apportioned fixed costs. (b)Calculate the number of units produced in the period. (c) Compare the total costs of Methods X and Y at the level of output in (b) above.​

Answers

(a) To calculate the level of output per period for which the total costs are the same for the two methods of production, we can set the total costs of each method equal to each other and solve for output.

Code snippet
Total cost of Method X = Total cost of Method Y

(5,500,000 + 535x) = (8,260,000 + 420y)

535x = 8,260,000 - 5,500,000

535x = 2,760,000

x = 5,144
Therefore, the level of output per period for which the total costs are the same for the two methods of production is 5,144 units.

(b) The number of units produced in the period is given as 5,144 units.

(c) The total costs of Methods X and Y at the level of output in (b) above are as follows:

Code snippet
Method X:

Total cost = (5,500,000 + 535 * 5,144) = £29,078,440

Method Y:

Total cost = (8,260,000 + 420 * 5,144) = £34,055,680

As you can see, the total cost of Method X is lower than the total cost of Method Y at the level of output in (b) above. This is because Method X has lower variable costs than Method Y.

Larry was shopping at a Target store when he suddenly remembered he had an appointment with his Law 240
professor. Larry placed his backpack on a table, pulled his calendar notebook out of his backpack to confirm the
time he wrote down with the time stated in his phone calendar app, and quickly discovered that he would be late
for the appointment. Larry put the notebook back into his backpack and ran out of the store. As he exited, the
security guard asked Larry to accompany the guard to an office at the back of the store. Larry went with the guard.
Once there, the guard accused Larry of shoplifting and searched the backpack. The guard found the calendar
notebook, saw that it was already used and marked in, and apologized to Larry, explaining that the store had
recently been experiencing an outbreak of thefts. The whole incident took less than five (5) minutes. Under these
circumstances:
a. The Target store has a conditional privilege to stop persons it believes are shoplifting and the guard did not
detain Larry for an unreasonable period.
b. Larry can sue the Target store for false imprisonment.
c. the Target store has no conditional privilege to stop persons it believes are shoplifting and will be liable for
punitive damages.
d. Larry can sue the Target store for emotional distress and battery.

Answers

Answer:

d

Explanation:

A banking institution offers different investment programs for young couples, families, and retired individuals. What type of consumer segmentation is
this?
A. psychographic segmentation
B. demographic segmentation
C. behavioral segmentation
D. geographic segmentation

Answers

Answer:

demographic!!!

1. Why do we need emotions when we make decision?
2. Why do you think the reason and impartialty are minimum requirements in decision making?

Answers

To keep people trusting in the decision-making process, there must be the illusion of impartiality. When there is a conflict of interest, you shouldn't participate in the decision-making process.

Why are feelings necessary for moral decision-making?

Emotional processes influence moral judgement by giving moral decision-making scenarios an affective value, which helps to define what behaviours are acceptable and unacceptable (Haidt, 2001).

What do reason and objectivity in morality mean? Why are impartiality and reason considered to be the bare minimum of morality?

It is a basic justice principle. Giving equal and/or sufficient regard to the interests of all parties involved is necessary according to the impartiality moral theory. It is predicated on the idea that everyone is, usually speaking, equally significant and that no one is viewed as having more intrinsic value than another.

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Discussion Topic
Present at least two paragraphs describing your thoughts about the course. This assignment is worth double points (10 points). Here are some points to help guide your reflections:

Your thoughts about the format of the course.
Your thoughts about the content.
Your thoughts about the assessments.
Anything else you would like to add?
Thanks for your reflections and feedback

Answers

I can locate all the components I need to create a professional with the proper academic foundation for this activity by looking at the framework of the journalism course.

The course structure enables all students to have the foundational knowledge needed to specialize in any journalistic writing they choose. This is also made feasible by the thorough, coherent, and pertinent material that is provided to students. In addition to providing crucial journalistic principles.

These materials enable the development of extremely beneficial discussions and debates for all students. The course uses the conventional methods of testing and essay writing for evaluation. However, I would like that the assessment take into account each student's capacity to contribute to class debates.

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A team leader sees that a colleague is struggling to finish a project because he has his son’s upcoming biopsy on his mind. She sits down to ask him how he is feeling about the procedure. This is an example of consideration behavior. true or false?

Answers

It is true that if a A team leader sees that a colleague is struggling to finish a project because he has his son’s upcoming biopsy on his mind. this is a consideration behavior.

What is a consideration behavior?

This is the term that is used to refer to all of the behaviors that can be considered to be supportive and also friendly to other people. This is the person that seeks and tries to understand other people.

Hence the way that the leader goes about to talk to the colleague on the issue that he is facing in his family tells us that she is a considerate person.

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Cheyenne Corp., a private corporation, received its articles of incorporation on January 3, 2024. It is authorized to issue an unlimited
number of common shares and $1 preferred shares. It had the following share transactions during the year:
Jan. 12
24
July 11
Oct. 1
Issued 47,000 common shares for $5 per share.
Issued 890 common shares in payment of a $5,479 bill for legal services.
Issued 940 preferred shares for $25 per share.
Issued 9,400 common shares in exchange for land. The land's fair value was estimated to be $51,700. Cheyenne's
accountant estimated that the fair value of the shares issued might be as high as $6 per share.

What is the average per share amount for the common shares???

Answers

The average per share amount for the common shares of Cheyenne Corp. is approximately $4.9787.

To calculate the average per share amount for the common shares of Cheyenne Corp., we need to determine the total amount of money received from the issuance of common shares and divide it by the total number of common shares issued.

Let's calculate the total amount of money received from the issuance of common shares:

Jan. 12: 47,000 common shares issued for $5 per share

47,000 common shares × $5 per share = $235,000

Now, let's calculate the total number of common shares issued:

Jan. 12: 47,000 common shares issued

The total number of common shares issued is 47,000.

Next, we can calculate the average per share amount for the common shares:

Average per share amount = Total amount of money received / Total number of common shares issued

Average per share amount = $235,000 / 47,000

Average per share amount ≈ $4.9787

Therefore, the average per share amount for the common shares of Cheyenne Corp. is approximately $4.9787.

It's important to note that the calculation assumes that there were no other common share issuances or transactions throughout the year. If there were additional issuances or transactions, they would need to be considered to calculate an accurate average per share amount.

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You agree to lease a car for 5 years at $300 per month. You are not required to pay any money up front or at the end of your agreement. If your opportunity cost of capital is 0.5% per month, what is the cost of the lease?

Answers

To calculate the cost of the lease, we need to consider the opportunity cost of capital over the 5-year period.

Given:

Lease term: 5 years

Monthly lease payment: $300

The opportunity cost of capital: 0.5% per month

First, let's calculate the total amount paid over the lease term:

Total payment = Monthly payment * Number of months

Total payment = $300 * (12 months/year * 5 years)

Total payment = $300 * 60

Total payment = $18,000

To calculate the cost of the lease, we need to determine the present value of the total payment at the opportunity cost of capital rate.

PV = FV / (1 + r)^n

Where:

PV = Present Value (cost of the lease)

FV = Future Value (total payment)

r = Opportunity cost of capital per period

n = Number of periods

Let's plug in the values:

PV = $18,000 / (1 + 0.005)^60

Using a calculator, we find:

PV ≈ $16,719.07

Therefore, the cost of the lease, considering the opportunity cost of capital, is approximately $16,719.07.

If the price in the market is of $2, and the market consists of Michelle, Laura, and John, what will be the value of the quantity demanded?

Answers

From the price given, the quantity demanded of the good from the table will be 35 units.

How to calculate the quantity demanded

From the complete information,

The price in the market is $2,

Quantity demanded by Michelle = 8

Quantity demanded by Laura = 10

Quantity demanded by John = 17

If the market consists of Michelle, Laura and John, then the quantity demanded will be:

= 8 + 10 + 17 = 35

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Visits to national parks inspire people to plan another trip, to tell their friends, and often, to ask how they can help. We love that! . . . When you get involved, you help ensure that national parks and programs are relevant. Your ideas add strength to the work we do everyday to preserve special places and stories.

Which is the author’s purpose for writing this passage?

to inform
to persuade
to entertain
to reflect

Answers

Answer: To persuade

Explanation:

Answer:

is B

Explanation:edge 2021

Suppose your grandmother is retired and receives a monthly Social Security check of $3,000.00. According to the article, how much money will she receive after the cost-of-living increase

Answers

Based on the rate of increase for cost of living, your grandmother would receive the amount of $3,048.

How much would your grandmother receive?

The article says that the cost of living increase is 1.6%.

The amount to be received by your grandmother is:

= Monthly social security x ( 1 + increase in cost of living)

= 3,000 x (1 + 1.6%)

= $3,048

In conclusion, your grandmother would receive $3,048.

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If increasing the number of goods produced is one way to increase
productivity, what is the other way to increase productivity?

Answers

Productivity refers to the measure of output per unit of input over a given period of time. A company’s productivity level is a crucial factor in determining its profitability. Productivity can be increased in different ways, including increasing the number of goods produced and reducing waste. These are the two ways to increase productivity. Therefore, the answer to the question is reducing waste.

Another way to increase productivity is to improve efficiency. Efficiency is a measure of how well inputs are converted into outputs. Improving efficiency means reducing the amount of time, effort, and resources needed to produce a certain output. A company can improve its efficiency in various ways, including using better technology, improving its production processes, and training employees to work more effectively. Increasing productivity is critical for the growth of any business. Productivity can be increased by implementing a wide range of strategies. Reducing waste is one way to increase productivity, while improving efficiency is another way. Both of these strategies help companies to achieve their goals by producing more goods in less time. In conclusion, companies need to explore ways to improve their productivity levels continually. This will help them to increase their profitability, grow their business, and remain competitive in the market.

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8. Refer to the Prescription Drug table on page 4 in the sample Health Benefits Form. John is
covered under the Standard Plan and plans to purchase his prescription drugs from an
in-network pharmacy. All of the following are true, EXCEPT...
a. For a 30-day supply purchased at retail, the generic version of the prescription drug
is $40 cheaper than the preferred brand.
b.
If John is looking for the lowest cost for his prescription drugs, he should purchase
from mail order.
c. The cost of a three month supply of generic prescription drugs purchased at retail
would be $50.
di John chose
and be no difference in the price of the
generic version of prescription drugs

Answers

The patient's name, the name of the medication, the dosage, and the dosage schedule are all listed on the label of each prescription medicine container. When a prescription is filled, the pharmacy typically provides more in-depth printed information about the medicine.

Which section of the prescription contains medicine-related information?

Inscription (Medication Prescribed) The most crucial section of the prescription is the inscription, which details the drug's composition and dosage. It's possible that the medication is some kind of official or non-official formulation.

What are the 4 primary pieces of a solution?

A prescription traditionally consists of four parts, predating modern legal definitions of the term: a signature, inscription, subscription, and superscription. The patient's information, such as name, address, and age, can be found in the superscription section.

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Malcolm (37) is a U.S. citizen. He was married at the beginning of 2020. His wife lived in the household until the end of February, then she moved out of the home. Their divorce was finalized on November 30, 2020, and Malcolm has not remarried. Malcolm provided 100% of the support for his son, who lived with him all year and is his qualifying child. Malcolm's most advantageous filing status is:

Answers

Based on the fact that Malcolm is a U.S. citizen and provided 100% of the support for his son, who lived with him all year and is his qualifying child, his most advantageous filing status is D. Head of household.

It should be noted that Malcolm can file a separate return from his ex-wife as the head of household. This is due to the fact that he stayed with his son and paid 100% maintenance for the son.

Under the head of household, the gross income is $18650 for those under the age of 65. Malcolm can also get dependent care credit, earned income credit, and education credit.

Therefore, he should file as head of household.

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It is better to go to banks instead of family and friends for business loans because ______. (Select all that apply)

Answers

It is better to go to banks instead of family and friends for business loans because;

Banks can assist the business in analyzing problems.

Loans from family can hurt family relationships.

One of the primary reasons why financial institutions such as banks are established is to grant loans to its customers.

Banks assist people make sound financial decisions whilst also analysing their business needs such that the loan borrowed would be properly utilized.

loans from family can hurt relationships because such loans are based on trust and once the borrower is not able to payback as at when due, then such could hurt family relationships.

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