Answer:
I believe a memo business proposal or report would capture the managers attention. I believe this is the best choice because it will be detailed it will have all the research and data already done and included in the report. It will also give the audience new information and make them want to take action.
I would effectively include many different social websites, such as face book posting it on the community's web page about the health and wellness event, I would put up a capturing quote and twitter about health and wellness and tweet it. I would have friends and family share a post that I had written up about it, I would do live pod casts about the event and how it could change you and make you healthier. I would also send out emails to local business to see if they would let their customers know about the event.
Attention: Would you like to feel better physically and mentally? Would you just like information on how to get healthier?
Interest. We have a health and wellness community event going on were you can get new information on getting healthier. You may be experiencing physical or mental health issues and just need a helping hand or someone to guide you on were to get started to get the help you need.
Desire. If you desire a healthier happier you and want to feel great inside and out. Maybe you want to gain information for a family or friend on how they can get healthy.
Action. All you have to do is come to this Health and wellness community event and get the information you need to get started.
Explanation: when I was asked this same question for a discussion post in collage this was my reply to it.
A business proposal can be understood as a document written and addressed to potential customers with the aim of completing a commercial agreement.
A proposal or report most likely to catch your manager's attention is one that is well-structured and written in a persuasive and accurate way, where the potential customer can easily see the benefits of completing the business agreement.
It is necessary that the proposal is written in formal and professional language, with a descriptive and easy-to-understand layout.
The internet has enabled greater reach in attracting customers, which represents a great advantage in sending business proposals and, consequently, greater chances of having a deal closed.
Social media, for example, significantly impacted the relationship between companies and consumers, relationships are closer and more direct, and companies need to adapt their processes to generate value to their potential audience to engage and attract new customers.
The AIDA model is a marketing tool that can be very useful for an organization to understand and delineate the conscious and unconscious consumer behaviors in a purchasing process and thus develop an effective strategic strategy to attract and retain customers.
Attention: It is the process that the customer gets to know the brand, and its products and services.Interest: It is the stage where the company begins to capture the consumer's interest in its products and services.Desire: At this stage, the consumer already knows the brand's products and services and the added benefits, which generates the desire to purchase through emotional communication developed with the brand's values.Action: Stage where the consumer is actually motivated to make the purchase, through facilitating stimuli proposed by the brand.Therefore, social platforms, electronic communication and web-based communication boosted business and facilitated communication with a larger base of potential customers.
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Which economic tool would most likely be used as part of a contractionary
monetary policy?
A. Lowering the reserve requirement
O B. Raising interest on reserves
C. Buying treasury securities
D. Reducing the discount rate
SUBMIT
Answer:
O B. Raising interest on reserves
Explanation:
The Federal Reserve expects banks to keep a percentage of customer deposits as reserves. The reserves cater to both the normal and unexpected withdrawals. The Federal Reserve (Fed) also uses reserve requirements as a monetary policy tool.
Interest on reserves is one of the monetary policy tools that the Fed uses regularly. The Fed pays interest on any excess reserves held by the banks. Increasing the interest paid on reserves encourages banks to hold more money. Decreases the interest prompts the banks to lend out more. Contractionary monetary policies are measures aimed at decreasing the money supply in the economy. Increasing interest on reserves increases money held in the banking sectors, thereby slowing down money circulation.
Answer: B. Raising interest on reserves
Explanation:
Just got it right!!!
An investor does not wish to attempt to time the market, so she invests $300 each month into the GEMCO Growth Fund. Over the past 5 months, her purchase prices have been $10, $12, $15, $20, and $25. On the basis of this information, if she were to stop investing at this point and sell her shares 2 months from now when the NAV is $15 per share and the public offering price is $15.79, it would be CORRECT to state that her A) average cost per share was $16.40 B) proceeds were $15.79 per share C) cost basis for tax purposes was $14.71 D) realized loss would be $1.40 per share
Answer:
It would be 4(67)+ 56-
Explanation:
Answer the questions that are provided below pls :)
Answer:
1: $600, $400, $300, $200
2: $37.35, $33.60, $25.00, $5.90, $111.85
3: $488.15, $288.15, $188.15, $88.15
Decision:
The lowest price to charge for a cup of lemonade in order to make a profit of at least $100 is 75 cents.
The best price to charge is 50 cents because it gives you enough for your trip, and enough to pay back the business expenses.
Explanation:
Hope this helps!
the unemployment insurance the opportunity cost of looking for a new job and therefore the job search process
Enhanced unemployment benefits Reduce the opportunity cost of searching for a new job in order to prolong the hiring process.
How long can you stay unemployed before getting a job?Although 10 states offer less weeks and two offer more, most states' workers are eligible for up to 26 weeks of benefits under the standard, publicly financed unemployment compensation program. No state triggers the Extended Benefits (EB) program. Immediately after losing your job, you should get in touch with your state's unemployment insurance program. Typically, the state where you worked is where you should file your claim. Certain details, such the addresses and dates of your previous employment, will be requested of you when you submit a claim.
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in working with families, narrative therapists consider themselves:
Narrative therapists view themselves as partners who collaborate when working with families.
Narrative therapists view themselves as cooperating partners when working with families. According to the authors, poststructuralism is where narrative therapy first appeared. The foundation of narrative therapy is the idea that a person's life and relationships are impacted by the "stories" they write for themselves or those others write for them.
A collaborative and non-pathologizing approach to counselling and community work, narrative therapy places the emphasis on people as the authorities on their own lives. people to not only find their voice but to utilise it for good, assisting them in becoming authorities in their own lives and leading lifestyles that are consistent with their values and ambitions.
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Your company's policy is to receive all office supplies without any changes made from the previous order. This order is referred to as a
The policy of the company is to receive all office supplies without any changes made from the previous order. This order is referred to as a straight rebuy.
What is the policy?A policy is referred to as a set of rules, principles, or frameworks that every employee is restricted to follow. These policies are designed for the growth and fulfillment of the goals of the organization.
A situation when a company purchases the same goods from the same suppliers without making any changes to the previous order. This is called straight rebuy order.
When a company is unhappy with the services of a supplier and changes the pattern of order or changes in the purchase has been made by the procurement team, then this order will be called a modified rebuy.
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How long should a cover letter be? A. Less than one page B. Two pages C. Three pages D. More than four pages Please select the best answer from the choices provided A B C D
Answer: A. Less than one page
Explanation:
if the actual cost is greater than what the cost should have been, the variance is labeled as:_____.
If the actual cost is greater than what the cost should have been, the variance is labeled as unfavorable variance.
When the actual cost expended exceeds the projected amount, there has been an adverse variance. When the actual cost expended is less than the planned amount, there is a positive variance. Unfavorable variance is the term used when the actual expenses exceed the predicted or budgeted expenditures, and it is typically stated with a negative sign.
Cost variation is the discrepancy between the project's estimated cost (or budgeted amount) and the project's actual cost (or the amount spent). A project is under budget when this value is positive, and when it's negative, it's costing you more than you planned.
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on an income statement, expenses, such as professional salaries, utilities, office supplies, rent, and insurance, are called FITB expenses.
It is a false statement that on an income statement, some expenses such as professional salaries, utilities, office supplies, rent, and insurance are called FITB expenses. It is called a general and administrative expenses.
What are general and administrative expenses?In accounting, a general and administrative expenses refers to those expenses unrelated to a specific business unit or function which may be incurred as a benefit to the company as a whole. The G&A expenses are displayed on the income statement below the cost of goods sold.
The portion of this expenses is fixed as they are incurred regardless of the level of production or sales in a given period. On the variable portion, the management will attempt to reduce G&A expenses to the greatest extent possible.
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if the federal reserve increases the money supply, how will the interest rate, the international value of the dollar, and imports be affected?
If the Federal Reserve increases the money supply, the interest rate is likely to decrease as there is more money available for borrowing. The international value of the dollar may also decrease as more dollars flood the market, potentially leading to inflation. Imports may become more expensive as the value of the dollar decreases in relation to other currencies.
If the Federal Reserve increases the money supply, here's how the interest rate, the international value of the dollar, and imports will be affected:
1. Interest Rate: When the Federal Reserve increases the money supply, there is more money available in the economy, which leads to lower interest rates. This happens because banks have more funds to lend, creating a higher supply of loans and reducing the cost of borrowing money.
2. International Value of the Dollar: As the money supply increases and interest rates decrease, the value of the dollar is likely to decrease in international markets. Lower interest rates make the dollar less attractive to foreign investors, leading to a decrease in demand for the dollar and a reduction in its value compared to other currencies.
3. Imports: With a lower value of the dollar, imports become more expensive, as it takes more dollars to purchase goods from other countries. This may lead to a decrease in imports, as consumers and businesses find foreign products more expensive and may choose to buy domestically-produced goods instead.
So, when the Federal Reserve increases the money supply, interest rates will typically decrease, the international value of the dollar will decrease, and imports may also decrease due to the higher cost of foreign goods.
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What is one reason to keep detailed patient records?
• A. To justify a breach of duty when it is called for
•
B. To have proof that the patient consents to treatment
•
C. To share them publicly if the patient becomes problematic
•
D. To help protect against malpractice cases and damages
The one reason to keep detailed patient records is To have proof that the patient consents to treatment. Thus the correct option is B.
In cases of medical negligence, the records of the patient give a precise and understandable description of a patient's medical history, treatments, and progress. This act is evidence that the given treatment is with the consent of the patient.
By serving as a foundation for ongoing assessments, planning, and evaluations of patient's health status, thorough records can guarantee that patients receive the best care available.
Therefore, option B is appropriate
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Please help!! Unit test question 50 pnts!!!! Kyle is applying to be a police officer. In his interview, he describes that he loves watching the news and following current cases. He explains that he is honest, caring, compassionate, and has a very deep sense of integrity. He then explains that he is in excellent physical condition and trains regularly in hand-to-hand combat. He tells them that he is a member of the Police Explorers, a group that trains and rides along with the local police. He also tells them that he graduated at the top of his class and was a state finalist on the mock trial team. Which table accurately lists Kyle’s personal interests, skills, achievements, values, and experiences? A 2-column table with 5 rows. Column 1 has entries Personal interests, Skills, Achievements, Values, Experiences. Column 2 has entries grades and mock trial finalist; physical condition and training; following cases on the news; honest, caring, compassionate, has integrity; Explorers. A 2-column table with 5 rows. Column 1 has entries Personal interests, Skills, Achievements, Values, Experiences. Column 2 has entries following cases on the news; honest, caring, compassionate, has integrity; grades and mock trial finalist; physical condition and training; Explorers. A 2-column table with 5 rows. Column 1 has entries Personal interests, Skills, Achievements, Values, Experiences. Column 2 has entries grades and mock trial finalist; honest, caring, compassionate, has integrity; Explorers; physical condition and training; following cases on the news. A 2-column table with 5 rows. Column 1 has entries Personal interests, Skills, Achievements, Values, Experiences. Column 2 has entries following cases on the news; physical condition and training; grades and mock trial finalist; honest, caring, compassionate, has integrity; Explorers.
The table is A 2-column table with 5 rows. Column 1 has entries Personal interests, Skills, Achievements, Values, Experiences. Column 2 has entries following cases on the news; honest, caring, compassionate, has integrity; grades and mock trial finalist; physical condition and training; Explorers. The correct option is (B).
What do you mean by skills, interest?Passion (or Interests): Do I enjoy engaging in this activity? something that you enjoy doing? Is this an activity I have the talent (or skills) for?
There are three categories of skills: self-management, functional, and specialised knowledge. Functional skills are innate aptitudes or capabilities that are refined through practice and education.
Therefore, the table accurately lists Kyle’s personal interests, skills, achievements, values, and experiences is A 2-column table with 5 rows. Column 1 has entries Personal interests, Skills, Achievements, Values, Experiences. Column 2 has entries following cases on the news; honest, caring, compassionate, has integrity; grades and mock trial finalist; physical condition and training; Explorers.
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You will deposit 14,417 at 10% simple interest rate for 7 years, and then move the amount you would receive to an investment account at 14% compound rate for another 3 years. How much money would you have at the end of the entire period?
The total amount that we will have at the end of the entire period will be the sum of the principal and the interest earned, which will be $24,509.90 + $37,499.13 = $62,008.03.Answer: $62,008.03.
Let us first calculate the interest earned on 14,417 for 7 years at a simple interest rate of 10%.Simple Interest = (P × R × T) / 100Where,P = Principal amountR = Rate of interestT = Time periodIn our case,P = $14,417R = 10%T = 7 yearsSimple Interest = (14,417 × 10 × 7) / 100= $10,092.90We will add the interest earned to the principal to get the amount that we will invest in the investment account, which will be 14,417 + 10,092.90 = $24,509.90.Now, let us calculate the compound interest that we will earn for 3 years at a rate of 14%.Compound Interest = P (1 + r/n)^(n × t)Where,P = Principal amountr = Rate of interestn = Compounding frequencyt = Time periodIn our case,P = $24,509.90r = 14%n = 1t = 3 yearsCompound Interest = 24,509.90(1 + 0.14/1)^(1 × 3)Compound Interest = 24,509.90(1.14)^3Compound Interest = $37,499.13
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Bank's Balance Sheet
Assets Liabilities and Owners' Equity
Reserves $200 Deposits $1,600
Loans $800 Debt $250
Securities $1,000 Capital (owners' equity) $150
Suppose a new customer adds $100 to his account at Northeastern Mutual Bank, which the owners of the bank then use to make $100 worth of new loans. This would increase the loans account anddecrease the account.
This would also bring the leverage ratio from its initial value of to a new value of .
Which of the following is true of the capital requirement? Check all that apply.
Its intended goal is to protect the interests of those who hold equity in the bank.
It specifies a minimum leverage ratio for all banks.
The higher the percentage of assets a bank holds as loans, the higher the capital requiremen
This would increase the loans account and increase the deposits account. The initial value of 13.33 to a new value of 14. The higher the percentage of assets a bank holds as loans, the higher the capital requirement. Thus, option (c) is correct.
What is a Balance Sheet?
The balance sheet and details of reconciled transactions for each account are the two most important reports that the accountant will want.
(a) This would increase the reserves account and increase the deposits account.
(b) The bank leverage ratio refers to its Assets divided by Capital (Owner's equity).
Liabilities should match assets. Therefore, keeping both sides equal by adding $100.
= (Reserves + loans + securities)/Capital
= (200 + 800 + 1,000) / 150
initial value of 13.33
After the $100 was borrowed
= (200 + 800 + 1,000 + 100) /150
new value of 14
(c) The capital requirement increases as the proportion of an institution's assets held as loans rises. Given that loans are made from deposits, the capital requirement is intended to safeguard depositors in the event that loans are defaulted upon.
Hence, the significance of the Balance Sheet is aforementioned.
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Recently when Mosaic Ltd was falling short of funds to meet the floatation costs of its upcoming issue of preference shares, the company raised deposits from Rosaic Ltd. Which had surplus funds. In the context of the above case: Identify and explain the source of finance being discussed above
Answer:
The floatation cost may be defined as the cost that is incurred or earned by any organization or a firm whenever they issue new stocks in the market. Here in the context, Mosaic Ltd is having shortage of money to incur the cost of the upcoming preference shares that they will issue. So they had raised deposits from another firm, Rosaic Ltd which had a surplus amount of fund. The money raised by Mosaic is a kind of security bond or transfer of money to another party for the safe keeping. The other firm i.e Mosaic Ltd. will return the money to Rosaic Ltd. later.
assume a firm closes down in the short run and produces no output. under these conditions:
A Variable cost are zero and fixed cost are positive
B variable cost are zero and fixed cost are zero
C variable cost are positive and fixed cost are positive
D variable costs are positive and fix cost are zero
If a firm closes down in the short run and produces no output, under these conditions, the correct answer is:
A) Variable costs are zero and fixed costs are positive.
This is because variable costs depend on the level of production, so if no output is being produced, there will be no variable costs. However, fixed costs, such as rent, salaries, or utility bills, will still be incurred even if the firm is not producing any output, making them positive.
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4
BU
Why do even the most successful events reach the decline stage?
Ο Α. There are tight budgeting restrictions.
O B.
Nothing tangible is being sold.
O C.
Entertainment always grows stale.
There's always an end date.
D.
There's always an end date even the most successful events reach the decline stage.
What is the secret to an effective budget?Having attainable, measurable, and quantifiable goals is the first step in creating a realistic budget. In this approach, both the forecast and the budget are transformed into useful tools for achieving success.
What makes event budgeting crucial?Budgeting entails creating a properly thought-out strategy for how much money you can spend on a certain activity in any industry. Yet, one of the reasons it's so important for event planning is that it enables planners to establish a goal profit and determine the amount they must earn to break even.
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Asset sales, Usage fees, Brokerage frees, and advertising are all ___?
Types of businesses
sources of business revenue
Subscriptions
All of the above
Answer:
sources of business revenue
Explanation:
Revenue is the money a business gets from its normal trading activities. It is the income a business obtains through the sales of goods and services to customers. Revenue includes discounts received and purchase returns.
The sale of an asset is revenue to a business because it will receive money from the transaction. Usage fees, Brokerage fees, and advertising are money that businesses receive for offering services.
A market supply schedule shows the relationship between
please!!!!!!
Answer: A supply schedule is a table that shows the quantity supplied at different prices in the market. A supply curve shows the relationship between quantity supplied and price on a graph.
Explanation: I HOPED THAT HELPED,!
A real estate development company is considering a deal to develop 1,000 condominium units. This deal largely rests on a __________ that the city’s population will grow by 23% over the next decade.
If a real estate development company is considering a deal to develop 1,000 condominium units. This deal largely rests on a forecast that the city’s population will grow by 23% over the next decade.
What is forecast?Forecast can be defined as the way in which a company or an organization tend to foreseen or predict about a future event that will happen or occur.
Companies or organization can make use of forecast when estimating the event that they want to achieve in the future and companies can as well make use of forecast when making decision as this will help them to plan ahead based on what the company intend to achieve in the future.
Therefore If a real estate development company is considering a deal to develop 1,000 condominium units. This deal largely rests on a forecast that the city’s population will grow by 23% over the next decade.
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Which of the following reduces income inequality, according to a sleuth of economists? a. Raising meal and sales taxes. b. Separating banks from investment firms. c. Raising social security tax rate by 1% or more, and also raising the cap to $400,000. d. Rolling back capital gains taxes to their original levels, to above 30% vs the current below 20% rate. e. Selling more government securities. 1. Raising sales taxes. g. Putting a stop to super PACs. Oh. Increasing national security
According to a slew of economists, raising the social security tax rate by 1% or more and raising the cap to $400,000 is believed to reduce income inequality.
Raising the social security tax rate and increasing the cap on income subject to social security taxes can contribute to reducing income inequality. By doing so, individuals with higher incomes would pay a larger share of their earnings towards social security, which can help redistribute wealth and reduce the income gap between higher-income and lower-income individuals. This approach is based on the principle of progressive taxation, where those who earn more contribute a higher proportion of their income towards social programs and public services.
However, it is important to note that addressing income inequality is a complex issue, and no single measure can completely solve the problem. Other factors, such as education, access to opportunities, and social policies, also play a significant role in reducing income inequality. Additionally, the effectiveness of specific policies may vary depending on the specific context and economic conditions of a country.
It is worth mentioning that the other options listed in the question, such as raising sales taxes, separating banks from investment firms, rolling back capital gains taxes, selling more government securities, putting a stop to super PACs, or increasing national security, may have different effects on income inequality and may be supported or criticized by economists based on their respective analyses and ideologies. These options can have implications for different aspects of the economy and society but may not directly address income inequality in the same way as the targeted approach of raising social security taxes.
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which situation calls for a neutral message rather than a persuasive one? question 34 options: a) one week after you purchased a computer, the company put the same model on sale for $150 off the price you paid. b) the candy you ordered arrived too late to be given as a mother's day present. c) the color of the personalized pencils you ordered is darker than in your previous shipment. d) your computer monitor malfunctioned two days after you purchased it. e) the store charged you $46 instead of the advertised price of $55.
The situation that calls for a neutral message rather than a persuasive one is option (c) - when the color of the personalized pencils you ordered is darker than in your previous shipment.
In a neutral message, the goal is to provide factual information or address a situation without trying to convince or persuade the recipient. In the given options, the situation of receiving personalized pencils in a darker color does not require persuasion. It is a matter of providing feedback or notifying the seller about the discrepancy. The recipient simply needs to be informed of the issue without any attempt to influence their opinion or decision.
Unlike the other options where persuasion might be necessary to address concerns or seek resolution, such as requesting a refund for an overcharged item or seeking compensation for a malfunctioning computer monitor, option (c) deals with a relatively straightforward matter of providing feedback about the color discrepancy. Therefore, a neutral message would be appropriate in this situation.
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What would happen if a state or municipality suddenly lost its tax base? Explain if this would have any impact on it's cost of borrowing funds. Why?
Answer:
Following are the responses to the given question:
Explanation:
The tax base seems to be the amount that is added to both the income tax, that is which tax rate is the percentage of national economy collected as just a tax. Consequently, it is important to find an income tax that understands the tax base.
Whether this amount of tax would pay is not declared or decided if the state or city suddenly loses its local economy.
Impact mostly on the cost of credit
Its cost of debt before tax rebate funds = interest amount on the debt – any reduction in income tax which rose because of deductible profits. The costs of lending are real games calculated in anticipation of tax, however, the difference is DEDUCTIBLE in INTEREST EXPENSES.
This tax rate also increases the cost of lending and gives more income protection.
It's because when taxes become available, the company can save money on tax returns as it ultimately removes some profits.
Conclusion:
However it is lost about the tax base, however, the judgment could not be made afterward the amount to borrow as debt could be evaluated of that "TAX REVENUE OFFSET."
Susan values a pair of blue jeans at $40. If the price is $35, Susan buys the jeans and generates consumer surplus of $5. Suppose a tax is placed on blue jeans that causes the price of blue jeans to rise to $45. Now Susan fails to buy a pair of jeans. This example has demonstrated
When using the High Rate method to pay down debt, which debt do you focus on first after you have made all of your minimum monthly payments? a The card with the lowest interest rate b The card with the highest interest rate c The card with the highest balance d The card with the lowest balance
When using the High-Rate method to pay down debt, you should focus on the debt with the highest interest rate first, after making all of your minimum monthly payments.
What is debt?Debt refers to amount of money that an individual, company, or government owes to another entity. It is a form of borrowing that involves receiving funds from a lender with the expectation of repaying it at a later date with interest. Debt can take many forms, such as loans, credit card balances, mortgages, and bonds. It is typically used to finance investments or expenditures that an entity cannot afford to pay for outright. While debt can be useful in providing financial flexibility and allowing for the realization of long-term goals, it can also be a burden if the borrower is unable to meet the repayment obligations, leading to financial difficulties and potential legal consequences.
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Why do you think it is important to have a diverse number of careers to choose from? How would it affect our global economy if there were only one or two career clusters?
Topic: Trend with seasonal relative ( 30 pts) Problem 2 Forecast the demand for each quarter of the year 2023 using trend and seasonal factors. Demand for the past three years is in the following table:
Calculate the seasonal indices. Seasonal Index = Average demand for a season / Average demand for all quarters.
Once you have calculated the seasonal indices, adjust the quarterly demand figures by multiplying them with the corresponding seasonal indices. This will give you the seasonally adjusted demand.2: Calculate the trend equation.To calculate the trend equation, you can use the least-squares method or any other suitable method.
Once you have calculated the trend equation, you can use it to forecast the trend for the next year.3: Calculate the forecasted demand for 2023.To calculate the forecasted demand for 2023, you will need to multiply the seasonally adjusted demand figures by the trend values.
This will give you the forecasted demand for each quarter of the year 2023.In conclusion, you can forecast the demand for each quarter of the year 2023 using trend and seasonal factors by first calculating the seasonal indices, then calculating the trend equation, and finally calculating the forecasted demand for 2023.
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Name three pros and three cons to being in a team.
Answer:
Explanation:
Pros of being in a team:
As a result of working in a team, individuals are able to pool their knowledge, experience, and resources. as tasks can be completed more efficiently and effectively, This increases productivity, The unique perspectives, skills, and knowledge of each team member are essential when working together. By doing so, new ideas and approaches may be generated that would otherwise not have been considered.In addition to providing emotional support and motivation, team members can provide encouragement and feedback.Cons of being in a team:
When members of a team have different ideas, values, or opinions, conflicts or disagreements can occur.Teamwork requires the team to depend on each other for certain tasks to be completed. Having unresponsive or unavailable team members can be frustrating.In a team, some members may contribute more than others, which can lead to feelings of resentment or frustration. Additionally, some team members may rely too heavily on others, which can lead to a power imbalance.To learn more about the dynamics of TEAM,
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Even though most corporate bonds in the United States make coupon payments semiannually, bonds issued elsewhere often have annual coupon payments. Suppose a German company issues a bond with a par value of €1,000, 15 years to maturity, and a coupon rate of 6.9 percent paid annually. If the yield to maturity is 8 percent, what is the current price of the bond?
Answer:
€905.85
Explanation:
The current price of the bond is its Present Value (PV) this is calculated as follows :
Fv = €1,000
n = 15
Pmt = €1,000 × 6.9% = $69
i = 8%
P/yr = 1
Pv = ?
Using a financial calculator to enter the values as above, the PV is €905.85.
Thus, the current price of the bond is €905.85.
A company's ____________ is the percentage of the total target market for the product that belongs to the company. A. Market saturation B. Market share C. Brand image D. Market information Please select the best answer from the choices provided A B C D.
It should be noted that a company's market share serves as the percentage of the total target market for the product that belongs to the company.
Market share can be regarded as the percentage of the total revenue that is been made in a particular market or in a business.
This serves as the amount of money that the company is able to make off the market.
Therefore, option B us correct because company's market share serves as the percentage of the total target market for the product.
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