In a socialist organization family, the governing body decides on economic operations while taking the requirements of the populace into account.
Market-based organizations are structures where economic activity is determined by market forces.
In a socialist organization, the family head determines who gets what, and needs are distributed based on their preferences. In light of the socialist organization family's focus on the welfare of its members, I would support it.
In a Market based organization, the market forces are taken into account by the board of directors when making decisions. Self-interest is the main issue here because many economists think that pursuing one's own interests might advance the national interest. The company, which is market-based, deals with own problems without considering others.
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The shrimp cocktail appetizers for a large dinner party at a fine dining
establishment were stored at the wrong temperature and then served.
Several of the guests became ill. Who is most likely responsible?
А
Garde manger
B
Maître D
Prep cook
D
Patissier
C - Prep Cook is most likely responsible.
Who is most likely responsible?The garde manger is most likely responsible for the shrimp cocktail appetizers being stored at the wrong temperature and then served, resulting in several guests becoming ill.The garde manger is a specialized chef that is responsible for the cold food preparations, such as salads, hors d'oeuvres, and cold buffets. Therefore, it is the garde manger's responsibility to ensure that all food items are stored and served at the proper temperatures, as well as making sure that food is properly prepared and presented.The maître d' is responsible for the overall management of the dining room and ensuring that all the guests are served in a timely and professional manner, while the prep cook is responsible for preparing items such as vegetables, soups, and sauces.The patissier is responsible for baking items such as pies and cakes. In this case, the garde manger is most likely responsible for the shrimp cocktail appetizers being stored at the wrong temperature and then served, resulting in guests becoming ill.To learn more about the Prep Cook is responsible for the shrimp cocktail refer to:
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suppose investors can earn a return of 2.8% per 6 months on a treasury note with 6 months remaining until maturity. the face value of the t-bill is $10,000. what price would you expect a 6-month-maturity treasury bill to sell for?
PV = Parvalue/(1+r)n = $10,000/(1+2.8%) 6=10000.168would you anticipate paying for a 6-month Treasury bill.
US Treasury Notes (T-bills) 1.3 Treasury bills, often known as T-bills, are short-term debt securities issued by the Government of India and are now available in three tenors: 91 day, 182 day, and 364 day. T-bills are money market instruments. Treasury bills are interest-free securities with zero coupon payments.Out of all the debt that the federal government has issued, T-bills have the earliest maturity date. T-bills can be bought in non-competitive and competitive bids in $100 increments. Federal taxes apply to T-bills, but state and local taxes are not. The 1 Year Treasury Rate is currently 4.79%, down from 0.78% last year and 4.64% on the previous market day.
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How can social media help employers during the hiring process? Check all that apply.
Most profiles offer more detailed information than any résumé.
Social media often provides a place for employers to begin their search.
Social media can fill in gaps on résumés or provide additional details.
Some sites can be a platform for recruiters to promote job openings.
Only the most qualified candidates are likely to have a social media presence.
Answer:
b
Explanation:
most reasonable answer
Answer:
b-c-d
Explanation:
Why is communism disappearing?
Hint: (demand market v. Command market)
Answer:
Because of the overpowering status of Capitalism.
Explanation:
In Marxist and Communist Thought or Ideology (sometimes the same thing), there are many different perspectives on the matter. The Classical Marxist thought would say that Communism never truly existed, and cannot be a regime. False regimes have come up under the guise of Communism (but truly monarchies without religion), but they were truly supporters of the Capitalist cause (which isn't as much an unjust cause as it is a necessary cause). Without Capitalism, true Communism would never come around.
Marxist-Leninists might say that they disappeared because of rightist agendas of some members of Communist parties. Or they might say that Communism has not died out, but lives on in places such as DPRK (North Korea) and Venezuela or Cuba.
Who was the world richest men of 2005?
Explanation:
maybe it's William Gates lll
please mark the brainliest
An economy has the following sectors: private households, government, flour producers and bread producers. The government levies a value added tax (VAT) on both flour and bread of 10%. In 2020, flour producers pay their workers $200 and sell 300 kilos of flour to bread makers and 240 kilos of flour to final consumers. The net price for one kilo of flour is $0.5. The bread producers pay their workers $220 and sell 170 kilo bread to domestic consumers. Moreover, 75 kilos of bread are exported (the VAT levied by the government also applies to the exported goods). The net price for one kilo of bread is $2. i) Compute the GDP of the above economy using all three different methods. Are your answers the same for the three possibilities? If yes, explain. [5] ii) Calculate the shares of GDP attributable to labour income, capital income and indirect taxes as a percentage of GDP. [3] b) Consider an imaginary economy called Nachu, whose currency is Ford. The consumption function of Nachu, in the absence of taxes, can be represented as C = 200 + 0.8Y. Investment is autonomous at 300. At this point, there is no government. i) Derive the saving function for Nachu. [2] ii) Calculate the equilibrium level of income using the aggregate expenditure approach (i.e., where Y = C + I). [2] iii) Present the equilibrium situation graphically by using the 45degree line diagram. [3] iv) Calculate the equilibrium level of income using the withdrawal-injections approach. [2] v) On the graph drawn in (iii), present the equilibrium situation graphically by using the withdrawal-injections approach. [2] vi) What is the value of the multiplier in this simple two-sector economy? [1] vii) Out of the blues, a government appears that does two things: (i) it buys goods and services to the value of 150 and (ii) it imposes a 10% tax on income of households a) Derive the consumption function for Nachu. [2] b) Derive the new saving function for Nachu. [2] c) According to the IS - LM model, the impact of a policy depends on how the central bank responds to tax changes. Assuming the goods and financial markets are initially in equilibrium and the PF led Government decides to increase taxes as a way of mitigating the ever-increasing budget deficit. With the help of the IS - LM model, explain how this move will affect the economy when Bank of Zambia responds by holding output constant.
i) To compute the GDP of the economy, we can use three different methods: the production approach, the expenditure approach, and the income approach. Let's calculate the GDP using each method:
Production approach:
GDP = Value of final goods and services produced
For flour producers:
Value of flour sold to bread makers = 300 kilos * $0.5/kilo = $150
Value of flour sold to final consumers = 240 kilos * $0.5/kilo = $120
For bread producers:
Value of bread sold to domestic consumers = 170 kilos * $2/kilo = $340
Value of bread exported = 75 kilos * $2/kilo = $150
GDP = ($150 + $120) + ($340 + $150) = $760
Expenditure approach:
GDP = Consumption + Investment + Government spending + Net exports
Consumption = Value of bread sold to domestic consumers = $340
Investment = 0 (not given in the information)
Government spending = 0 (not given in the information)
Net exports = Value of bread exported - VAT on exported goods
= $150 - 10% of $150 = $150 - $15 = $135
GDP = $340 + $0 + $0 + $135 = $475
Income approach:
GDP = Total factor income (wages + profits + taxes on production - subsidies)
For flour producers:
Wages = $200 (given)
Profits = Value of flour sold to bread makers - wages = $150 - $200 = -$50 (negative because it's a loss)
Taxes on production = 10% of ($150 + $120) = $27
For bread producers:
Wages = $220 (given)
Profits = Value of bread sold to domestic consumers - wages = $340 - $220 = $120
Taxes on production = 10% of ($340 + $150) = $49
GDP = ($200 - $50 + $27) + ($220 + $120 + $49) = $566
The answers are not the same for the three possibilities. The production approach gives a GDP of $760, the expenditure approach gives a GDP of $475, and the income approach gives a GDP of $566.
ii) To calculate the shares of GDP attributable to labor income, capital income, and indirect taxes, we can use the income approach.
Labor income = Wages paid to workers
Capital income = Profits earned by producers
Indirect taxes = Taxes on production
Labor income share = (Labor income / GDP) * 100
Capital income share = (Capital income / GDP) * 100
Indirect taxes share = (Indirect taxes / GDP) * 100
Using the values from the income approach calculations:
Labor income share = (($200 + $220) / $566) * 100 ≈ 73.93%
Capital income share = (($120 + (-$50)) / $566) * 100 ≈ 12.25%
Indirect taxes share = (($27 + $49) / $566) * 100 ≈ 14.82%
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Can I earn by brainly?
Answer:
huh?
Explanation:
Hannah simplified the radical below and wants someone to check her work. Simplify the radical expression completely. √48x²y5z √(16) (3) (x²) (y²) (y²) (y) (z) = 4xy√√/3yz = Original Problem Step 1 Step 2 After looking carefully through her work, is Hannah correct? If yes, explain why. If no, explain why not and give Hannah any advice you may have.
The correct simplification of the given radical expression is 4xy²√(6yz).
no, hannah's simplification of the radical expression is not correct. let's go through the steps and identify the mistakes:
original problem: √48x²y⁵z
step 1: √(16) (3) (x²) (y²) (y²) (y) (z) = 4xy√√/3yz
the first mistake hannah made is in step 1. she correctly broke down 48 into its prime factors as 16 * 3. however, she applied the square root separately to each factor, which is incorrect. the square root should be applied to the entire expression. additionally, she incorrectly simplified the expression under the square root.
step 2: after looking carefully through her work
unfortunately, there is no step 2 provided, so we cannot determine if there are further mistakes in hannah's work.
advice for hannah:
to simplify the given radical expression, we need to identify perfect squares within the expression and take their square roots.
√48x²y⁵z
step 1: break down 48 into its prime factors: 48 = 2 * 2 * 2 * 2 * 3
step 2: group the like terms under the square root:
√(2 * 2 * 2 * 2 * 3 * x² * y⁴ * y * z)
step 3: simplify the perfect squares under the square root:
2 * 2 * x * y² * √(2 * 3 * y * z)
step 4: multiply the numbers outside the square root:
4xy²√(6yz) in summary, hannah's work contained errors in correctly simplifying the radical expression. it is important to apply the square root to the entire expression and identify and simplify perfect squares correctly. the advice for hannah is to carefully review the steps involved in simplifying radical expressions and practice identifying perfect squares.
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A country usually imposes an embargo on another country for economic reasons rather than political reasons.
True or False
Answer:
True
Explanation:
Hopefully this helps.
Answer:
False
Explanation:
Took test
Presentations have become much more common during the last few years, mainly because... o everyone likes to take naps during presentations. O PowerPoint software is ubiquitous. o managers would rather listen to a short, engaging, well-organized presentation than try to read a long, dry, technical report. O no one knows correct grammar anymore, so trying to read a report is too difficult.
Presentations have become much more common during the last few years, mainly because managers would rather listen to a short, engaging, well-organized presentation than try to read a long, dry, technical report.
PowerPoint software is ubiquitous, which has led to its widespread use, and it has certainly contributed to the increase in the number of presentations. Additionally, creating presentations is now much easier than before, thanks to a variety of online tools and resources available to everyone.Presentations offer a more engaging and dynamic way to convey information than simply reading a report.
They can include visuals, animations, and other multimedia elements that help to make the content more memorable and interesting. Moreover, they can be easily customized to suit the specific needs and preferences of the audience, which is particularly important when presenting to different groups of people. Overall, presentations are a great way to communicate ideas and information effectively and efficiently, making them an increasingly popular choice for businesses and organizations of all sizes.
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What is an appropriate response when an interviewer asks what salary you are looking for
during your initial interview? Would the response change if you'd been given an offer?
.Who bears the burden of corporate income tax?
The burden of corporate income tax is a complex and debated topic among economists and policymakers.
There are different perspectives on who ultimately bears the burden of this tax. Here are a few perspectives:
Shareholders and owners: Some argue that the burden of corporate income tax falls primarily on the shareholders and owners of the corporation. They contend that when taxes are imposed on corporate profits, it reduces the after-tax returns that shareholders receive on their investments. This reduction in returns could lead to lower dividends or share prices, ultimately impacting shareholders' wealth.Workers and employees: Another perspective suggests that the burden of corporate income tax can be shifted partially to workers and employees. This argument is based on the notion that if corporations face higher taxes, they may respond by reducing wages, cutting back on employee benefits, or limiting job opportunities to offset the tax costs.Consumers: It is also argued that a portion of the corporate income tax burden can be passed on to consumers in the form of higher prices. If corporations face higher tax costs, they may increase the prices of their goods and services to maintain profitability, which can indirectly affect consumers.Society at large: Some argue that the burden of corporate income tax is distributed across society as a whole. Higher taxes on corporations can impact investment decisions, business growth, and economic competitiveness, which can have broader implications for economic growth, job creation, and overall welfare.It's important to note that the actual burden of corporate income tax is likely to vary based on a variety of factors, including the specific characteristics of the industry, market conditions, and the ability of corporations to adjust their behavior in response to tax changes.
The distributional effects of corporate income tax can be complex and may vary in different contexts and economic conditions.
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Teresa is considering purchasing a home for $220,000 by taking out a loan with an interest rate of 4.3% for 30 years. What would her monthly payment be?
Use the monthly payment formula to calculate the monthly payment for this loan:
M =
M = monthly payment
P = principal
r = interest rate
t = number of years
Answer:
$1,088.144
Explanation:
The applicable formula is as below as derived form annuity concepts.
M = PV × r
1 − (1+r)−n
where p= $220,000
r = 4.3% interest rate per year;
Per month interest rate = 0.043 /12=0.00358
r = 30 year, in months = 30 x 12 =360
Therefore
M= $220,000 x 0.00358
1-(1+0.00358) ^ - 360
M=$220,000 x 0.00358
1 - 0.2762
M = $220,000 x(0.00358 /0.7238
M = $220,000 x 0.00494611
M = $1,088.144
If the marginal propensity to consume is 0.80, the value of the spending multiplier will be ...
If the marginal propensity to consume is 0.80, the value of the spending multiplier will be 5.
The spending multiplier represents the overall impact of a change in autonomous spending on the total output or income of an economy. It measures the change in equilibrium GDP that results from a change in autonomous spending. The formula to calculate the spending multiplier is 1 divided by the marginal propensity to save (MPS). Since the marginal propensity to consume (MPC) is the complement of the MPS (MPC + MPS = 1), if the MPC is 0.80, then the MPS is 0.20.
Therefore, the spending multiplier is 1 divided by 0.20, which equals 5. This means that for every additional unit of autonomous spending, the total output or income in the economy will increase by five units.
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An expense that is the same amount each month.
Fixed Expense
Variable Expense
Monthly Expense
Answer:
Fixed Expense
Explanation:
NoGrowth Industries presently pays an annual dividend of $1.20 per share and it is expected that these dividend payments will continue indefinitely. If NoGrowth's equity cost of capital is 10%, then the value of a share of NoGrowth's stock is closest to
Answer:
Value of share = 12
Explanation:
Below is the calculation to find the value of share:
Value of share = Annual dividend / ( Required return - Growth rate)
Annual dividend = $1.20
Required return = 10%
Growth rate = 0
Now plus the values in the formula:
Value of share = Annual dividend / ( Required return - Growth rate)
Value of share = 1.20 / ( 10% - 0)
Value of share = 1.20 / 0.1
Value of share = 12
which of the following is not a characteristic evaluated in ratio analysis? a.liquidity b.marketability c.profitability d.solvency
B) marketability When analyzing financial statements, analysts use ratio analysis, horizontal analysis, and vertical analysis.
One of the many financial analysis methods that analysts and potential investors use to evaluate various companies in a given industry is the financial ratio analysis, which is used in accounting. The horizontal and vertical analysis techniques are the other methods of analysis.
The process of comparing the relationship (or ratio) between two or more pieces of financial data from a company's financial statements is known as financial ratio analysis. It is primarily used to make accurate comparisons across time and between various businesses or industries.
Which four financial ratios are they?Benefit proportions.Ratios of liquidity.Ratios of solvency.multiples or value ratios.To learn more about financial ratio analysis here:
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Which of these is considered the highest level of management?
A. Supervisor
B. Team member
C. Executive
D. Middle manager
C. The Executive. Hope that helps...
The Executive is considered the highest level of management. Option C is correct.
What is the management?Management may be described as the process of completing the job or activity necessary to achieve an organization's goals in an efficient and effective manner.
The process implies the management functions. This includes organizing, planning, staffing, directing, and controlling. A manager's responsibility is to offer common guidance and direction to individual efforts to achieve organizational goals.
Management contributes to increased corporate efficiency by increasing productivity via effective planning, organizing, controlling, and directing.
Therefore, option A is correct that The Executive is the most senior level of management.
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f there is a shortage of cash, you will have two basic choices to cope with the situation: from a savings or .
When faced with a shortage of cash, you have two primary options to deal with the situation: tapping into your savings or finding alternative ways to generate additional funds.
When you encounter a shortage of cash, one option is to rely on your savings. If you have set aside money for emergencies or unforeseen circumstances, this could be the right time to utilize those funds. By accessing your savings, you can cover immediate expenses and bridge the gap until your cash flow improves. However, it's important to consider the long-term implications of depleting your savings, as it may impact your financial security and future goals. Alternatively, you can explore ways to generate additional funds. This can involve various strategies such as taking on a part-time job, freelancing, selling unwanted possessions, or pursuing alternative income sources. Generating extra income can help alleviate the immediate shortage and provide some financial stability.
Additionally, it can also serve as a proactive step towards building an emergency fund or increasing your overall financial resilience. Ultimately, the choice between using savings or generating additional funds depends on your personal circumstances and preferences. It is advisable to carefully evaluate the pros and cons of each option and consider your long-term financial goals when making this decision.
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what is the expected return for a stock that has a beta of 1.4, if the risk-free rate is 5% and the market rate of return is 10%?
Answer:
% 3.9
Explanation:
how does open book management benefit employees?
Answer: It helps your employees do their job better.
Explanation: Not only that but it will help all people who work there, know what the job is about and know the full meaning and whole of what it is. I hope this helps!
The body eliminates 90% of the alcohol a person consumes through the.
Why is it difficult to increase the nation’s supply of goods and services when everyone has a job?
Trinity Ltd. wants to obtain debt financing to fund its expansion. What are the different sources from which it can raise this fund?
A. common stock and commercial banks
B. common stock and insurance companies
C. stock brokerage firms and insurance companies
D. preferred stock and stock brokerage firms
Answer:
The correct answer is C.) Stock Brokerage Firms and Insurance Companies
Explanation:
Hope this helps :)
companies use the cycle to evaluate and improve performance
Companies use the variance analysis cycle to evaluate and improve performance.
The process begins with setting standard performance measures or benchmarks, which serve as a baseline for evaluating actual results. These standards can include factors such as costs, revenues, and efficiency metrics.
The first step in the cycle is to compare the actual performance with the established standards. This involves calculating the variances, which are the differences between the actual results and the expected outcomes. Variances can be favorable or unfavorable, depending on whether the actual performance is better or worse than the standard.
Next, the company conducts an analysis to determine the causes of the variances. This may involve examining various factors, such as changes in market conditions, production processes, or employee performance. Identifying the reasons behind the variances is crucial for implementing corrective actions and improving future performance.
In conclusion, the variance analysis cycle is a valuable tool for companies to evaluate and improve their performance. It allows businesses to identify areas where they may be underperforming and take corrective measures to ensure they are on track to meet their goals. Regularly conducting variance analysis can lead to continuous improvement and a more competitive position in the market.
The complete question is:
Companies use the (1)/(2) cycle to evaluate and improve performance. (Enter only one word per blank.)
1. variance
2. analysis
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a(n) ____ specifically reserves access to the transaction that locked the object.
Locks in a multi-user or multi-threaded context reserve access to shared resources, such as data objects, only for the transaction that acquired the lock, preventing race conditions and maintaining data consistency.
In a multi-user or multi-threaded context, a lock is a synchronisation technique used to manage access to shared resources, such as data objects. A lock on an object reserves access only to the transaction that obtained the lock on the item. This implies that until the lock is released, no other transaction or process will be able to access or alter the locked object. Depending on the operating system and programming language used, locks can be implemented via a variety of techniques, including semaphores, mutexes, and monitors. In concurrent programming, the proper use of locks is crucial for maintaining data consistency and preventing race situations, which happen when many processes or threads alter the same resource at once.
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Lola-Rose converted her personal residence to rental property in 2021. She purchased the property in 2011 for $300,000 (including acquisition expenses), of which $75,000 was allocable to the land. She made no improvements. On the date of conversion, an appraisal valued the property at $233,000; $58,250 was allocated to the land. Lola-Rose's basis for depreciation is __________.
O $174,750
O $225,000
O $233,000
O $300,000
Lola-Rose's basis for depreciation is $174,750. The correct option is a.
To calculate the basis for depreciation, we need to start with the original cost of the property, which is $300,000. From this, we need to subtract the value of the land, which is $75,000. This gives us a cost basis for the building of $225,000. However, when Lola-Rose converted the property to rental use, she had to adjust the basis to reflect the fair market value of the property at that time. The appraisal valued the property at $233,000, so this becomes the new adjusted basis for the property. To calculate the basis for depreciation, we need to use the lower of the original cost basis or the adjusted basis. In this case, the adjusted basis of $233,000 is lower than the original cost basis of $225,000, so we use the adjusted basis. From this adjusted basis, we need to subtract the value of the land, which is $58,250. This gives us a basis for depreciation of $174,750.Learn more about depreciation: https://brainly.com/question/27971176
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What do economies of scale, the ownership of essential raw materials, and patents have in common?.
The economies of scale, possession of required raw materials and patents are considered entry barriers in the market.
What do you mean by entry barriers?
Entry barriers refers to hurdles that restrict new organizations to enter any market segment. So when any organization decides to enter should check on these obstacles.
There are many barriers faced by organizations to get enter into the market which includes economies of scale, arrangements of funds, the policy of governing structure and so on.
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Users of managerial accounting information include ______. (select all that apply) multiple select question. department managers potential investors internal revenue service the chief financial officer
The user of managerial accounting information includes:
department managersthe chief financial officerWhat is managerial accounting information?Managerial accounting information can be defined as the gathered information which managers use during decision making process.
The users of this information are department manager and the chief financial officer.
Therefore the correct option is A, D.
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True Stories Company sold the rights to a documentary film. They are expecting significant revenue in Year 1. The revenue stream is expected to decrease steadily until it reaches zero in Year 5. Based on this Which depreciation method should be used to most closely match the expense to the revenue stream the asset produces
The best depreciation method for this company is the double-declining-balance
In economics, depreciation occurs when a product gradually loses its value. The most common causes of depreciation are:
The product becomes obsoleteWear and tear of the productThe product's popularity decreasesMoreover, there are different methods to understand this decline in value that include:
Double-declining balanceStraight lineUnits-of-productionThe double-declining balance method implies depreciation is not constant over the years but as years pass the depreciation increases. This method applies to True Stories Company because it is expected the documentary film becomes less and less popular every year, and therefore depreciation is accelerated not constant.
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