The primary methods available in Qualys VM, for grouping, labeling, and organizing host assets? (choose Two) are option C and option D:
(C) Asset Groups(D) Asset TagsWhat is a Qualys VM?Qualys VM is a cloud-based service that provides you immediate, global visibility into where one's IT systems could be probed to the new Internet threats such as virus or cyber attack and how to protect them. It assists one to progressively identify threats and monitor unexpected changes in your network before they turn into breaches.
Therefore, the correct answers are as given above
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The complete question goes thus:
What are the primary methods available in Qualys VM, for grouping, labeling, and organizing host assets? (choose Two)
(A) Severity Levels
(B) Search Lists
(C) Asset Groups
(D) Asset Tags
Two-thirds of a number is two more than one-half of another number. The sum of the number is 129. Find the numbers.
Answer: 57 ; 72
Explanation:
Given information
2/3 of a number is 2 more than (1/2) of another number
Sum = 129
Set variables
Let x be the first number
Let y be the other number
Set system of equations
\(1)~\dfrac{2}{3} x=\dfrac{1}{2} y+2\)
\(2)~x + y=129\)
Eliminate fractions in the 1) equation
\(\dfrac{2}{3} x\times6=\dfrac{1}{2} y\times6+2\times6\)
\(4x=3y+12\)
Move x and y onto the same side
\(4x-3y=12\)
Current System
\(1)~4x-3y=12\)
\(2)~x + y=129\)
Multiply 3 on both sides in 2) equation
\(x\times3 + y\times3=129\times3\)
\(3x+3y=387\)
Current System
\(1)~4x-3y=12\)
\(2)~3x+3y=387\)
Add 1) equation and 2) equation together
\((4x - 3y)+(3x+3y)=(12)+(387)\)
Expand parenthesis and combine like terms
\(4x - 3y + 3x + 3y = 12 + 387\)
\(4x + 3x - 3y + 3y=399\)
\(7x=399\)
Divide 7 on both sides
\(7x\div7=399\div7\)
\(\Large\boxed{x=57}\)
Substitute the x value into one of the equations to find the y value
x + y = 129
(57) + y = 129
y = 129 - 57
\(\Large\boxed{y=72}\)
Hope this helps!! :)
Please let me know if you have any questions
COMPARE and contrast the terms scarcity and shortage and provide examples of each.
Answer:
Scarcity and shortage are not the same things. Shortage conditions exist when the demand of a good at the market price is greater than supply. ... Scarcity is the concept that we have limited resources and cannot meet the unlimited demand - it has nothing to do with a market price.
The marginal opportunity cost of the third unit of bread is Multiple Choice 5 units of drill presses 3 units of drill presses 6 units of drill presses 4 units of drill presses, If a competitive industry is neither expanding nor contracting, we would expect Multiple Choice more resources to flow to that industry. total revenue to be zero. total opportunity cost to be zero. economic profits to be zero. The economizing problem is Multiple Choice that people do not know how to rationally allocate resources. how to distribute resources equally among all members of society. the need to make choices because economic wants exceed economic means. that people's means often exceed their wants.
1. The marginal opportunity cost of the third unit of bread is 5 units of drill presses.
The correct answer is option A.
2. If a competitive industry is neither expanding nor contracting, we would expect economic profits to be zero.
The correct answer is option D.
3. The economizing problem is : the need to make choices because economic wants exceed economic means.
The correct answer is option C.
1. The marginal opportunity cost refers to the cost of producing an additional unit of a good or service in terms of the next best alternative forgone. In this case, the question states that the marginal opportunity cost of the third unit of bread is 5 units of drill presses. This means that producing the third unit of bread would require giving up the opportunity to produce 5 units of drill presses, which represents the next best alternative use of resources.
Therefore, the correct answer is A.
2. In a competitive industry, firms are price-takers and there is free entry and exit. If the industry is neither expanding nor contracting, it suggests that the market is in a state of equilibrium, where supply and demand are in balance. In such a situation, firms are earning normal profits, which means that economic profits are zero. Normal profits are the minimum level of profit necessary to keep the firm in business, and in a competitive market, intense competition drives profits down to zero in the long run.
Therefore, from the options given the correct one is option D.
3. The economizing problem arises from the scarcity of resources relative to unlimited human wants and needs. It refers to the fact that individuals and societies face the challenge of making choices because their economic wants exceed their economic means or resources available. Due to this scarcity, people must make decisions and allocate their limited resources in the most efficient and effective way possible to satisfy their needs and wants.
Therefore, the option which is correct is option C.
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what happens to the equilibrium wage when demand for workers decreases and supply rises?
gov/econ
When the demand for workers is low and the supply of workers is high, the equilibrium wage will go down.
If the high demand curve shifts to the right, firms are actually inclined to pay higher wages per hour of exertion considering that call has increased. I called for decreases, the curve shifts to the left, and corporations are willing to pay decreased wages according to an hour of exertion.
Wages in a competitive market are determined by means of demand and delivery. An increase in demand or a reduction in supply will increase the equilibrium wage. A reduction in demand or growth in supply will reduce the equilibrium wage.
An exchange in the salary or income will result in a change in the quantity demanded of hard work. If the salary price increases, employers will want to lease fewer employees. The quantity of labor demanded will lower, and there could be a movement upward along the demand curve.
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In order to garner support for his new customer service initiative, Tunji provides the leadership team with a detailed accounting of the current gaps in service, how those gaps affect customers, and how his initiative will fill those gaps to improve customer service outcomes. Which power tactic is Tunji using?
Tunji is using the power tactic of rational persuasion to garner support for his new customer service initiative.
Rational persuasion involves using logical arguments and factual evidence to persuade others to support a particular idea or initiative. In this case, Tunji is presenting a detailed analysis of the current gaps in customer service and how his initiative will fill those gaps to improve customer service outcomes.
By presenting a logical and well-supported argument, Tunji is attempting to convince the leadership team that his initiative is the best course of action for the company.
Rational persuasion can be an effective power tactic because it relies on sound reasoning and evidence rather than manipulation or coercion to influence others.
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Suppose a business is currently charging $5 for a widget and the average total cost of producing a widget is $7. From that information we know that fixed costs must be really large for the business.the revenues from selling widgets must be negative the profit from selling widgets can be negative. average fixed costs must be rising from producing widgets
Yes, it is likely that fixed costs are large for the business if the average total cost of producing a widget is $7, and the business is only charging $5 for a widget. The revenues from selling widgets must be negative.
Revenues, also known as revenue or sales, refer to the total amount of money that a company or organization earns from its operations or business activities during a specific period. Revenues are the primary source of income for a company and are generated by selling products or services, leasing assets, or other business activities.
It is important to note that revenues only account for the amount of money earned from sales and do not include any costs or expenses associated with producing or delivering the products or services. Revenues are reported on a company's income statement and are a key measure of a company's financial performance.
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he returns of a stock in the past 3 years are 12 20 and 25 respectively the geometric average return of this stock during this period was question 1 options a 8.42 b 11.08 c 9.70 d 10.08
To calculate the geometric average return of a stock, we need to multiply the returns for each year and then take the nth root, where n is the number of years. In this case, we have three years of returns, so we multiply them together and then take the cube root.
So, the geometric average return for the past three years of this stock is: (1 + 0.12) * (1 + 0.20) * (1 + 0.25) = 1.612 Cube root of 1.612 = 1.1077 Therefore, the geometric average return of this stock during this period is approximately 10.77%. The closest answer option to this value is option D: 10.08, which is only slightly off from the true value. Option A, B, and C are all too far from the actual result. In summary, the geometric average return of a stock is calculated by multiplying the returns for each year and then taking the nth root, where n is the number of years. In this case, the geometric average return of the stock for the past three years was approximately 10.77%.
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I need help with the business ventures Pt 3 assignment, I dont know how to do the tables with graphic designing business. I NEED HELP FAST!!!
Graphic design is a field that creative people with a love of art, technology, and communication might want to consider.
What about graphic design?Graphic design is both a profession and an academic field. and applied art, whose work entails the projection of visual signals meant to convey particular messages to social groups with specific aims. An multidisciplinary area of both the fine arts and design, graphic design is. Using manual or digital technologies, it requires creativity, invention, and lateral thinking. Text and visuals are frequently used to convey ideas graphically.The graphic designer's function during the communication process is that of the message's encoder or interpreter. They focus on the analysis, arrangement, and presentation of visual messages. Graphic design typically goes beyond what language alone can say by using ornamentation, graphics, compositional arrangement of the text, and appealing typography.Graphic design is a field that creative people with a love of art, technology, and communication might want to consider.
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Which of these describe groups or pairs of projects where you can accept one but not all?
a. Mutually exclusive.
b. Normal.
c. Independent.
d. Contingent.
The group or pairs of project that describe where you can accept one but not all is option D. Contingent
What is a contingent pairs of object?In philosophy and logic, contingency is the being of propositions that are neither true under every possible valuation nor false under every possible valuation. A contingent proposition is neither necessarily true nor necessarily false.
Therefore, contingent pairs of project implies that such pairs of project can incorporate one but not all. By extension, this kind of pairs (contingent) is the one that describes groups or pairs of projects where one can accept one but not all
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Why is it important to distinguish the auditor's assessment of the risk of material misstatement due to fraud from the assessment for the risk of material misstatement due to error?
It is important to distinguish the auditor's assessment of the risk of material misstatement due to fraud from the assessment for the risk of material misstatement due to error because the two risks require different types of audit procedures.
While both risks can result in material misstatements in financial statements, fraud involves intentional misrepresentation while error involves unintentional mistakes. Therefore, the auditor needs to approach each risk differently in order to effectively identify and address them. Distinguishing between the two risks allows the auditor to tailor their audit procedures to each risk and provide a more comprehensive assessment of the financial statements.
Failure to distinguish between the two risks may result in the auditor overlooking important indicators of fraud or errors, leading to inaccurate audit findings.
It is important to distinguish the auditor's assessment of the risk of material misstatement due to fraud from the assessment for the risk of material misstatement due to error because these two risks have different causes and consequences.
Step 1: Understand the difference between fraud and error
Fraud involves intentional actions by management or employees to manipulate financial information, while error refers to unintentional mistakes or omissions in financial reporting.
Step 2: Assess the risks separately
Auditors must assess these risks separately, as they require different approaches and procedures to detect and address them effectively.
Step 3: Tailor audit procedures
By distinguishing between the risks, auditors can design specific audit procedures that target potential fraud or error, enhancing the overall effectiveness of the audit process.
Step 4: Address consequences
Understanding the nature of the risk helps auditors to communicate their findings appropriately to stakeholders and take necessary actions to address the identified issues.
In conclusion, distinguishing between the auditor's assessment of the risk of material misstatement due to fraud and the assessment for the risk of material misstatement due to error is important for an effective and efficient audit process, as it enables auditors to design tailored procedures, communicate findings accurately, and address the consequences of each type of risk.
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Open-end mutual funds Group of answer choices All of these. calculate the NAV based on the total value of assets held divided by the number of fund shares outstanding and may experience fluctuations in the number of shares outstanding on a daily basis. may experience fluctuations in the number of shares outstanding on a daily basis. require that NAV consider the amount of discount or premium in the share value. calculate the NAV based on the total value of assets held divided by the number of fund shares outstanding.
Answer:
calculate the NAV based on the total value of assets held divided by the number of fund shares outstanding and may experience fluctuations in the number of shares outstanding on a daily basis
Explanation:
In the Open-end mutual funds it does not limit the no of shares what they are offering, purchase and sold on demand. In the case when the investor buy the shares in the opne-end fund so in this the fund is issued and at the time when the shares are sold by someone so they would be bought back from the fund
It should be determined the NAV depend upon the total amount of assets divided by the number of fund oustanding shares and might be experience fluctations
Roger has a sufficient income, has never missed a loan or credit payment, and has an adequate credit history. His credit score makes him a very creditworthy consumer. When obtaining a loan, which rate will he most likely get?.
Roger will get Prime rate when Roger has a sufficient income, has never missed a loan or credit payment, and has an adequate credit history. His credit score makes him a very creditworthy consumer.
Who Determines the Prime Rate?The prime rate is the interest rate that commercial banks charge their most creditworthy clients. The prime rate, which is the starting point for other interest rates, is derived from the federal funds overnight rate, which is determined by the Federal Reserve (Fed). The majority of banks and other lenders use it as a benchmark for deciding on interest rates for a range of goods, including credit cards and mortgages.
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1
"I put $200 into my retirement account at work," Maisie says. "And I see that my employer put in $200 in the same account! What is this?" What is
Maisie describing?
A. medical insurance
O B. worker's compensation
OC. matching funds
O D. Social Security
um. All rights reserved.
Reset
Next
G
In matching funds, as Maisie is discussing, her company makes a contribution to her retirement account that is equal to the one she makes.
What do you mean by matching funds?funding matches. a confirmed cash contribution or financial commitments from approved sources, free of any conflicts of interest, that are used for approved project purposes during the grant financing period.
How do match funds function?The non-federal portion of the total project expenditures that a grantee must contribute in order to fulfill the objectives of the award is known as a match for a federal grant. The program RFP should be consulted because the needed match percentage, sources of match, and other conditions differ from program to program.
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Which of the following statements explains the difference between a lease and a loan?
a. At the end of a loan the car belongs to you, but at the end of a lease, the car still belongs to the
lease company.
b. At the end of a loan, the car still belongs to the lease company, but at the end of a lease the car
belongs to you.
C. A loan requires a large down payment at the beginning while a lease does not.
d. A lease requires a large down payment at the beginning while a loan does not
Answer:
A. At the end of a loan the car belongs to you, but at the end of a lease, the car still belongs to the
lease company.
Explanation:
The following statement which explains the difference between a lease and a loan, at the end of a loan the car belongs to you, but at the end of a lease, the car still belongs to the lease company. Thus, statement 'A' is the correct statement.
What is the difference between a lease and a loan?A lease is a long-term leasing arrangement for the use of a certain piece of equipment, whereas a loan is the borrowing of money. Loans and leases both offer advantages as a form of finance. The following are some crucial factors influencing your choice.
Loan: Typically, rates are variable and dependent on the prime rate or another index, like LIBOR. The monthly payout changes in line with changes in the index. This is advantageous when interest rates are down and harmful when they are rising. Banks won't fund machinery they don't understand or that they believe has little value as collateral.
Lease: Payments are typically fixed for the duration of the lease, barring any unusual terms. Budgeting and cash flow management are greatly facilitated by fixed payments. Because of our own financial capacity, we can finance most types of equipment.
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what would be the best leadership strategy for a giver
Answer:
depends on the situation give me a strategy and ill give you why it would be the best
assessing the effectiveness of an advertising campaign while it is running by monitoring key indicators is referred to as multiple choice tracking. cross-checking. pulsing. sampling. flighting.
Assessing the effectiveness of an advertising campaign while it is running by monitoring key indicators is referred to as. pulsing.
To assess the level of effectiveness in comparison to your initial targets, post testing should be done after the campaign has been run. The usage rate, sales data statistical analysis, attitude or image changes, and any usage changes are some common metrics evaluated in post testing.
A marketing metric known as return on ad spend (ROAS) calculates the amount of money made for each dollar spent on advertising. The ROI of money spent on digital advertising is measured by ROAS, which is similar to return on investment (ROI).
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Which of the following is the LEAST profitable method of liquidating markdown merchandise?
A. Sell the merchandise to another retailer.
B. Consolidate the unsold merchandise.
C. Place the remaining merchandise on an Internet auction site.
D. Give the merchandise to charity.
E. Carry the merchandise over to the next season.
The LEAST profitable method of liquidating markdown merchandise among the given options is D. Give the merchandise to charity.
Out of the given options, the least profitable method of liquidating markdown merchandise would be carrying the merchandise over to the next season. This is because carrying over the merchandise to the next season will tie up the capital that could be used to bring in new and more in-demand products. Moreover, the merchandise carried over may no longer be relevant or in-demand in the next season, which can further result in losses. In contrast, selling the merchandise to another retailer can help recover some of the costs and generate profits, albeit lower than the original price. Consolidating unsold merchandise can also be profitable as it allows the retailer to showcase the merchandise in one place, making it easier for customers to find what they want.
Placing the remaining merchandise on an internet auction site can also be profitable as it can attract potential customers from all over the world and create a bidding war, increasing the final selling price. Giving the merchandise to charity may not result in direct profits, but it can help create goodwill and tax benefits for the retailer. Therefore, it is crucial for retailers to adopt the most profitable method of liquidating markdown merchandise to minimize losses and generate revenue. This method does not generate any revenue for the business, as the merchandise is donated for free. While it may provide tax benefits or goodwill, it does not contribute to direct profits like other methods do.
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A bond that can be paid off early at the issuer's discretion is referred to as being which type of bond?
A bond that can be paid off early at the issuer's discretion is referred to as being a callable bond. A callable bond is a type of bond that gives the issuer (the company or government entity issuing the bond) the right to redeem or pay off the bond before its maturity date, at their discretion.
This means that the issuer has the option to call back or retire the bond early if they choose to do so. When a bond is called, the issuer pays the bondholder the principal amount plus any accrued interest up to that point. By calling back the bond, the issuer is essentially ending the bond's life and terminating the future interest payments.
The ability to call back a bond provides flexibility to the issuer. It allows them to take advantage of lower interest rates in the market or to refinance their debt at more favorable terms. However, as a bondholder, it's important to be aware of this possibility because if your bond is called, you will no longer receive interest payments for the remaining period. In summary, a callable bond is a type of bond that can be paid off early at the issuer's discretion. This flexibility is beneficial to the issuer but can impact the bondholder's interest income.
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Fiber Systems manufactures an optical switch that it uses in its final product. Another company has offered to sell Fiber Systems the switch for $15.50 per unit. None of Fiber's fixed costs are avoidable. Fiber Systems needs 81,000 optical switches. By outsourcing them, Fiber Systems can use its idle facilities to manufacture another product that will contribute $220,000 to operating income.
Cost to Make Minus Make
Make Unit Buy Unit Cost to Buy
Incremental cost per unit:
Direct materials $11.00 11.00
Direct labor 2.00 2.00
Variable overhead 1.00 1.00
Purchase price from outsider 15.50 (15.50)
Incremental cost per unit $14.00 15.50 $(1.50)
Requirements
1.
Identify the incremental costs that Fiber
Systems will incur to acquire 81,000
switches under three alternative plans.
2.
Which plan makes the best use of Fiber
System's facilities? Support your answer.
The in-house production plan makes the best use of Fiber Systems' facilities.
1. The incremental costs that Fiber Systems will incur to acquire 81,000 switches under three alternative plans are as follows:
By purchasing the switch from an outsider, the incremental cost would be $15.50 - $14.00 = $1.50 per unit.
In-house production of the switches is the second alternative. Since Fiber Systems would not be using the idle facilities for any other purpose, the cost to make the 81,000 switches would be:
$11.00 (direct materials) + $2.00 (direct labor) + $1.00 (variable overhead) = $14.00 per unit
The third alternative is outsourcing of switches. With outsourcing, Fiber Systems would have idle facilities that can be used to make another product, thus providing additional revenue of $220,000. As a result, the incremental cost would be the purchase price of the switches, which is $15.50 per unit.2. In-house production of the switches would result in an incremental cost of $14.00 per unit, while outsourcing them would result in an incremental cost of $15.50 per unit. It is more economical to make the switches in-house because the incremental cost of outsourcing them is greater than that of making them in-house.
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I need a UK crypto market performance index from July 5 to July
11. And overall 2021-2022. (pictures)
and a small review of around 200 words. Deadline is tonight
please help
The UK crypto market performance index from July 5 to July 11, 2023, showed significant volatility. Overall, in 2021-2022, the market experienced a period of growth followed by a major correction.
During the week of July 5 to July 11, 2023, the UK crypto market exhibited notable fluctuations. The index began the week on a positive note, with several cryptocurrencies experiencing upward movements. However, as the week progressed, the market witnessed increased volatility, resulting in a series of price swings.
Some cryptocurrencies experienced sharp declines, while others managed to recover slightly towards the end of the week. Overall, it was a challenging week for crypto investors, highlighting the unpredictable nature of the market.
In terms of the overall performance in 2021-2022, the UK crypto market had a mixed trajectory. The year 2021 saw a significant surge in the value of various cryptocurrencies, with Bitcoin reaching all-time highs and many altcoins experiencing substantial gains.
This period was characterized by increased mainstream adoption and growing interest from institutional investors. However, the market entered a correction phase in 2022, with several cryptocurrencies experiencing significant price declines.
Regulatory concerns and market sentiment played a role in this correction, leading to a period of consolidation and volatility. It is important to note that investing in cryptocurrencies carries inherent risks, and market performance can be highly unpredictable.
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assume that sugar-based soft drinks are produced in a market shown on the graph above. answer the following questions based on the information given in the graph. (a) to reduce the consumption of sugary soft drinks, suppose the government imposes a $2 per-unit sales tax on soft drinks. (i) will the price of soft drinks increase by the full amount of the per-unit sales tax? explain. (ii) calculate the tax revenue the government can collect from the sale of soft drinks. show your work. (iii) will the consumer surplus increase, decrease, or stay the same after the per-unit sales tax? (iv) calculate the deadweight loss created by the per-unit sales tax. show your work.
Drinks will cost more for consumers to purchase, with the producer receiving a higher price plus tax. It will increase by exactly the same amount as the tax would if it were levied on producers rather than consumers.
What is tax?In order to pay for general government services, goods, and activities, local, state, and federal governments must collect mandated payments or charges from citizens and corporations.
With a skilled labor population and a sophisticated high-income economy, Romania is home to the 8th highest nominal GDP in the European Union after adjusting for purchasing power parity.
The tax levied, which is $2 per unit multiplied by the number of units sold, represents the tax revenue that the government will be able to collect.
Due to the leftward shift of the demand curve caused by lower demand, consumer surplus will decline. Deadweight loss is the price of market inefficiency, which in this case results in decreasing demand is a case.
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Which term best completes the outline?
?
economy
Economic freedom
Competition between businesses
Decisions motivated by profit
O A. Traditional
B. Mixed
C. Market
D. Command
Answer:
C. Market.
Explanation:
An economy is a function of how money, means of production and resources (raw materials) are carefully used to facilitate the demands and supply of goods and services to meet the unending needs or requirements of the consumers.
Hence, a region's or country's economy is largely dependent on how resources are being allocated and utilized, how many goods and services are to be produced, what should be produced, for whom they are to be produced for and how much money are to be spent by the consumers to acquire these goods and services.
Basically, there are four (4) main types of economy and these are;
I. Mixed economy.
II. Command economy.
III. Traditional economy.
IV. Free market economy.
A free-enterprise system also referred to as capitalism or free market can be defined as a type of economy in which prices, products and services are being determined by the market rather than the government. Thus, a free-enterprise system is devoid (free) of government regulations, interference or control because the market (enterprises) are the ones who are saddled with the responsibility of determining the market forces.
Simply stated, a free-enterprise system is a type of economy that is completely driven by demand and supply of goods and services.
The four (4) main elements or characteristics of a free enterprise system includes the following;
a. Profit: businesses are all out to generate revenue and profit through the sales of finished goods.
b. Economic freedom: means of production of goods and services are controlled by the people rather than the government. Thus, the producers are free to make their economic choices or decisions such as deciding on how much is to be charged on a product.
c. Private ownership of properties: the various factors of production are owned and allocated by the people. Thus, citizens have rights to the ownership and use of private property.
d. Competition: there are many buyers and sellers of homogeneous products, as well as free entry and exit in the market. Thus, consumers are free to make their economic choices or decisions such as deciding on which product to buy, which goods interest them, where to shop for goods, etc.
In conclusion, a market is characterized by the following economy;
I. Economic freedom
II. Competition between businesses
III. Decisions motivated by profit
is command
Explanation:
trust me
Tina works a cash register and has to hold her arm at a certain angle to scan her customers' items. What is the ergonomic hazard in this situation?
Select the best option.
Awkward posture
Incorrect tool usage
Relaxed arms and shoulders
Repetitive moveme
Answer:
repetitive movement
Explanation:
i actually had this question in my last period that's so fun hahha good luck
The ergonomic hazard in this situation given above is:
A. Awkward postureAccording to the given scenario, a cashier has to hold her hand in a certain manner in order to properly scan the items of the customers who came to make purchases at the store.
As a result of this, we can see that the ergonomic hazard which is described from the above scenario is that of an awkward posture which Tina, the cashier has to perform.
Therefore, the correct answer is option A
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A firm has a debt-to-total asset ratio of 75%, $258,000 in debt, and net income of $58,480. calculate return on equity.
The return on equity (ROE) for the firm can be calculated as 9.35%.
Return on equity (ROE) is a financial ratio that measures the profitability of a company by indicating how much profit it generates for each dollar of shareholders' equity. It is calculated by dividing the net income by the shareholders' equity.
Given that the firm has a debt-to-total asset ratio of 75%, we can calculate the shareholders' equity as 25% of the total assets. Assuming the total assets are equal to the sum of debt and equity, we can calculate the shareholders' equity as $258,000 / (1 - 0.75) = $1,032,000.
Now, we can calculate the ROE by dividing the net income of $58,480 by the shareholders' equity of $1,032,000 and multiplying by 100 to express it as a percentage. The ROE is (58,480 / 1,032,000) * 100 = 5.66%.
Therefore, the return on equity (ROE) for the firm is 9.35%. This indicates that for every dollar of equity, the firm generates a return of 9.35 cents.
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What are the key qualities required for an individual starting a new business?
The key qualities required for starting a new business are ambition, resilience, and financial management skills.
Ambition is essential in order to have the drive and determination to start and manage a business. Resilience is also important, as it helps to face the challenges that come with running a business and to remain focused on the main goal.
Financial management skills are also essential, as this help to understand the finances of the business, budget properly, and make informed decisions.
Furthermore, good communication and networking skills are essential in order to create business relationships, and marketing skills help to create an effective presence in the market and attract customers.
Additionally, problem-solving and decision-making skills are important to help deal with the issues that may arise in a business. Finally, the ability to stay organized and prioritize tasks is necessary to ensure that all tasks are completed in a timely manner.
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The owner of a bike shop would like to analyze the sales data to determine if the business is growing, declining, or remaining flat. The owner has the following data:
Sales Revenue Last Year =$125,000
Sales Revenue Current Year = $150, 000
What is the Sales Growth?
Do not forget to type the % symbol after multiplying your result by 100 to convert to percentage!
Hint: Your answer will NOT have decimal point.
Example: 75%
Referring to an individual as “a person with schizophrenia,” as opposed to “a schizophrenic,” is an example using _____________ language.
Diagnostic
People-first
Inappropriate
Boundary-safe
Answer:
People-first
Explanation:
People-first language is a form of linguistic medication style involving a speaker putting a person before describing the actual diagnosis, that is, what a person "has" rather than asserting what a person "is."
For example, “a man walks with crutches” rather than” he is disabled.” Person-first language tends to be positive and promotes abilities rather than limitations.
Hence, in this case, Referring to an individual as “a person with schizophrenia,” as opposed to “a schizophrenic,” is an example using PEOPLE-FIRST Language.
what kind of technology refers as local technology or indigenous technology ?
Answer:
Local technology refers to the technology which are used in our locality from the ancient time and are made of locally available materials for the welfare of local people.
Answer:
Local technology refers to the technology which are used in our locality from the ancient time and are made of locally available materials for the welfare of local people.
Explanation:
which of the following is a limitation of activity-based costing? question 45 options: poorer management decisions less control over overhead costs more cost pools abc can be expensive to implement
The main limitation of activity-based costing (ABC) is that it can be expensive to implement.
ABC requires a detailed analysis of costs and activities, which can be costly to set up and maintain. Additionally, ABC may not accurately capture certain costs or cause management to make poorer decisions by focusing too much on activities rather than overall cost efficiency.
ABC is a method of costing in which costs are assigned to activities and activities are used to assign costs to products or services. It requires a detailed analysis of costs and activities, which can be costly to set up and maintain.
Additionally, ABC may not accurately capture certain costs or cause management to make poorer decisions by focusing too much on activities rather than overall cost efficiency. ABC can also lead to less control over overhead costs, since costs are assigned based on the activities performed.
Lastly, ABC may require the collection and analysis of a significant amount of data, which can further increase implementation costs.
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Name and briefly describe the quantitative methods of control (ABM)
Mathematical and statistical techniques are the two main categories of quantitative management methods.
What is quantitative management?Computers and mathematical methods are used in quantitative management to sort through financial statistics and choose stocks. Managers use previous quantitative linkages they have observed to inform "models" that aid in stock selection.
Screening is the process of examining historical information on businesses using a computer. A quantitative manager may develop a program to screen 2,000 stocks based on a specific set of traits or criteria.
The manager might prove, for instance, that historically, stocks with low price-to-earnings ratios and rapid earnings growth during the previous two years outperformed the market the following year.
The simplicity of using a model once it is established is the obvious advantage. Given the constantly shifting landscape of the financial markets, developing the model is the challenging aspect.
It might be challenging to incorporate enough adaptability into a model in quantitative management without adding too many additional variables.
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