The black point (plus symbol) will indicate the quantity of procedures demanded if each procedure has a price of $160.
What is quantity?Quantity is a measure of the amount of something that is available. It is typically expressed in terms of a numerical count or measure of some type. Examples include counting items, measuring length, weight, volume, or time. In economics, quantity is a measure of the amount of a good or service that is produced or consumed. Quantity is a key factor in determining price, supply, and demand. In physics, quantity is a measure of the amount of energy, momentum, or other physical property of a system. In mathematics, quantity is a measure of how much of something there is, such as the number of elements in a set or the amount of a particular value that is present in a data set.
This would be the original quantity of procedures demanded, given the demand curve. The grey point (star symbol) will indicate the quantity of procedures demanded if each procedure has a price of $40. This would be the quantity of procedures demanded after health insurance is taken into account, since the $40 out-of-pocket cost is much lower than the original $160 cost. The grey point (star symbol) will therefore be higher up on the demand curve, indicating a higher quantity demanded.
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Which of the following is not required by lenders and investors?
master plan
b. organization plan
c. market analysis
d. financial analysis
a. master plan
Answer:
Master plan
Explanation:
The master plan of the following is not required by lenders and investors. The correct option is a.
What is the difference between an investor and lender?An accredited investor must make an investment in the housing loans that we write. The Fund has received a loan from a lender. He has a lower risk and thus a lower return.
It is not accurate to say that a master plan is not required by lenders and investors, as this can depend on the specific project and the preferences of the lender or investor. However, out of the given options, the organization plan is the one that is not typically required by lenders and investors.
A well-developed organizational plan can be helpful in outlining the structure and management of a company or project, but it is not a core component of financial analysis or investment decision-making.
Thus, the ideal selection is option a.
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Which formula and when shall we use to discount a project or a
business. CAPM or Cost of capital. Since sometimes my homework uses
one and not the other and this makes things difficult
The Cost of Capital formula is generally used to discount a project or business, considering both the cost of equity and the cost of debt, while the CAPM focuses specifically on estimating the cost of equity.
When it comes to discounting a project or a business, both the Capital Asset Pricing Model (CAPM) and the Cost of Capital have their specific uses and contexts.
The CAPM is primarily used to estimate the cost of equity, which represents the return required by investors to compensate for the risk associated with holding a specific stock or investment. It takes into account the risk-free rate, beta (a measure of the investment's sensitivity to market movements), and the market risk premium.
The CAPM is commonly employed when determining the discount rate for equity cash flows or evaluating investments that are similar in risk to publicly traded stocks.
On the other hand, the Cost of Capital is a broader concept that encompasses both the cost of equity and the cost of debt. It represents the weighted average cost of financing a business, taking into account the relative proportions of equity and debt in the capital structure. The Cost of Capital is commonly used to discount cash flows for a project or business as a whole, incorporating the overall funding mix.
Which approach to use depends on the specific context and information available. If you are evaluating a project or business with a well-defined capital structure and detailed information on the cost of equity and cost of debt, the Cost of Capital may be more appropriate.
However, if you are specifically analyzing the risk and return associated with equity investments, or if you only have access to information regarding the cost of equity, then the CAPM can be a suitable choice.
It's essential to understand the requirements of your homework or the specific context of your analysis to determine which approach to employ. If in doubt, seeking clarification from your instructor or referencing the guidelines provided can help ensure you use the appropriate formula for discounting the project or business.
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What two cultural factors influenced the variety of Chinese lays potato chip flavors
The two cultural factors that influenced the variety of Chinese lays potato chip flavors are Regional tastes and preferences and Chinese cuisine and ingredients.
What are tastes and preferences ?Tastes and preferences refer to an individual or group's personal likes and dislikes when it comes to food, drink, or other things.
In the context of food, tastes and preferences are influenced by factors such as culture, upbringing, personal experiences, and health considerations.
The Regional tastes and preferences and Chinese cuisine and ingredients are the cultural factors that influenced the variety of Chinese lays potato chip flavors.
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new corp. issues 2,000 shares of $10 par value common stock at $16 per share. when the transaction isrecorded, credits are made toa. common stock $20,000 and paid-in capital in excess of stated value $12,000.b. common stock $32,000.c. common stock $20,000 and paid-in capital in excess of par $12,000.d. common stock $20,000 and retained earnings $12,000
The correct answer is (C) common stock $20,000 and paid-in capital in excess of par $12,000.
When a corporation issues shares of common stock, it records the transaction in the stockholders' equity section of its balance sheet. The par value is the minimum price at which a share can be issued, and it is set by the corporation's charter. In this case, the par value of the common stock is $10 per share.
However, the actual price at which the shares are issued may be higher or lower than the par value. In this case, the shares are issued at $16 per share, which is higher than the par value. The difference between the issue price and the par value is called the "paid-in capital in excess of par" or "additional paid-in capital."
To record this transaction, the corporation would debit the cash account for $32,000 (2,000 shares x $16 per share). It would then credit the common stock account for $20,000 (2,000 shares x $10 par value per share) and the paid-in capital in excess of par account for $12,000 (2,000 shares x $6 additional paid-in capital per share).
The retained earnings account is not affected by this transaction because the corporation is not using any of its earnings to issue the shares of common stock.
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hoose 3 (three) brochures on a variety of topics.
Analyze the 3 brochures based on the AIDA model.
Rank them from best (1) to worst (3). Explain what 3 (three) qualities of the best brochure made it the most effective and what three qualities of the worst brochure made it the least effective.
( please focus on the follow question above, pick up 3 diffenrent brochure )
Brochure A was the most effective due to its attention-grabbing design, compelling content, and clear calls-to-action, while Brochure C was the least effective due to its uninspiring design, lack of engaging content, and unclear call-to-action.
Analyzing brochures based on the AIDA model (Attention, Interest, Desire, Action) requires considering their effectiveness in capturing attention, generating interest, arousing desire, and prompting action. Let's examine three brochures and rank them based on their effectiveness:
Brochure A:
Attention: The brochure uses bold colors, eye-catching graphics, and a catchy headline to grab attention.
Interest: It provides compelling content, highlighting unique features and benefits, and includes customer testimonials.
Desire: It showcases the product/service in action, demonstrating its value and relevance to the target audience.
Action: It includes clear and concise calls-to-action, guiding readers on how to obtain more information or make a purchase.
Brochure B:
Attention: The brochure has a clean design with an attention-grabbing image but lacks a compelling headline.
Interest: It provides some relevant information but fails to engage the reader with captivating content or benefits.
Desire: It lacks persuasive elements and fails to create a strong desire for the product/service.
Action: The brochure lacks a clear call-to-action, making it difficult for readers to take the desired next steps.
Brochure C:
Attention: The brochure has a plain design and lacks visual appeal, making it less likely to capture attention.
Interest: It contains minimal information and fails to provide compelling reasons to engage with the product/service.
Desire: It lacks persuasive content and fails to create a desire for the product/service.
Action: It lacks a clear call-to-action, leaving readers unsure about what steps to take.
Based on the analysis, the ranking from best (1) to worst (3) would be:
Brochure A
Brochure B
Brochure C
The best brochure (Brochure A) was the most effective because it effectively captured attention with its eye-catching design and headline, generated interest through compelling content and customer testimonials, and created desire by showcasing the product/service in action.
It also provided clear calls-to-action, guiding readers on how to take the desired action.
The worst brochure (Brochure C) was the least effective due to its lackluster design, minimal information, and failure to engage and create desire in the reader. It also lacked a clear call-to-action, making it challenging for readers to know what action to take.
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QUESTION 20 Based on the data below calculate the company's annual holding cost? Annual requirements = 7500 units Ordering cost = BD 12 Holding cost BD 0.5 O 150 300 O 45000 O 12.5
The company's annual holding cost is BD 150.
To calculate the company's annual holding cost, we need to determine the average inventory level and multiply it by the holding cost per unit.
Annual requirements = 7500 units
Ordering cost = BD 12
Holding cost = BD 0.5
To find the average inventory level, we need to determine the economic order quantity (EOQ) using the given data. EOQ can be calculated using the following formula:
EOQ = sqrt((2 * Annual requirements * Ordering cost) / Holding cost)
EOQ = sqrt((2 * 7500 * 12) / 0.5) = sqrt(180,000 / 0.5)
EOQ = sqrt(360,000) ≈ 600 units
Now that we have the EOQ, we can calculate the average inventory level:
Average inventory level = EOQ / 2 = 600 / 2 = 300 units
Finally, we can calculate the annual holding cost by multiplying the average inventory level by the holding cost per unit:
Annual holding cost = Average inventory level * Holding cost
Annual holding cost = 300 * 0.5 = BD 150
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You are the manager of a project that has an operating leverage rating of 2.8 and a required return of 14 percent. Due to the current state of the economy, he expects sales to decrease by 7 percent next year. What change should you expect in operating cash flows next year given your sales forecast?
Answer:
The change should you expect in operating cash flows next year would be 19.60%
Explanation:
In order to calculate the change should you expect in operating cash flows next year given your sales forecast we would have to make the following calculation:
change should you expect in operating cash flows=operating leverage rating*percentage of decrease sales next year
change should you expect in operating cash flows=2.8*0.07
change should you expect in operating cash flows=19.60%
The change should you expect in operating cash flows next year would be 19.60%
when kraft recently bid $16.7 billion for cadbury, cadbury's market value rose. however, kraft's market value decreased by a greater amount.. what does this tell you about the value-creating potential of the deal?
In 2009, when Kraft bid $16.7 billion for Cadbury, Cadbury's market value rose. However, Kraft's market value fell by more. The market believes that Kraft's bid was greater than the present value of the expected future profits from Cadbury.
What is the difference between market value and price?The price at which an asset would trade in a competitive auction environment is known as market value, or OMV. Despite the fact that these phrases have different meanings under various standards and can vary in some situations, market value, fair value, and open market value are frequently used interchangeably. Essentially, the market price of a property is the amount that a buyer is willing to spend. The market value, on the other hand, represents the true value of a property. Everything you need to know about market value, market pricing, and the variables affecting them will be covered in this essay.
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A standard inventory form should include:
a) The date of the inventory
b) The list of the items
c) The unit size for each item
d) All of these
Answer:
B
Explanation:
The list of the items
Hope it helped brainiest plz
-Guesty
The correct option is B. A standard inventory form should include a list of the items. Using an inventory form, you can keep track of all the supplies, goods, and merchandise in your company at any one time.
Why Inventory form is important?Small businesses need inventory management because it helps them manage many locations, avoid stockouts, and maintain correct records. As opposed to attempting to complete them all manually, an inventory system makes these operations simpler.
The form typically serves three functions: requisitioning things from inventory, releasing inventory records in the quantity of the items selected, and billing the targeted task for the cost of the products requisitioned. Any inventory products that are not currently in stock can also be ordered again using the form as a guide.
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As a consumer consumes more of a good or service, the additional satisfaction of consuming the additional units goes down. This is called the law of:.
As a consumer consumes more of a good or service, the additional satisfaction of consuming the additional units goes down. This is called the law of diminishing marginal utility.
What is utility?It should be noted that utility simply means the satisfaction that's derived from using a good or service.
In this case, as a consumer consumes more of a good or service, the additional satisfaction of consuming the additional units goes down. This is called the law of diminishing marginal utility.
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suppose that in year 1, real gdp was $60 billion and in year 2, real gdp rose to $69 billion. the growth rate of real gdp was %. (enter just the number; % sign has been provided for you.)
The growth rate of real GDP for the country is 15%.
What is the growth rate?GDP is an abbreviation for gross domestic product. The gross domestic product of a country is the sum of all the final goods and services that are produced in a country in a given period, usually a year.
Gross domestic product is usually an indicator of the standard of living of the population. The higher gross domestic product is, the higher the standard of living of the populace of the country.
Real GDP is the gross domestic product of a country that has been adjusted for inflation. It reflects the changes in the production of goods and services of the country only.
Growth rate of Real GDP = (real GDP in year 2 / real GDP in year 1) - 1
($69 billion / $60 billion) - 1 = 0.15 = 15%
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Question 1
Which of the following is not a form of earned income?
Answer:
rental income
Explanation:
hope this is right and helps
During a job interview, Pam Thompson is offered a salary of $32,000. The company gives annual raises of 4 percent. What would be Pam's salary DURING her fifth year on the job? (You may need to round to the nearest answer)
Answer:
$38,933
Explanation:
A=P( 1 + r/100)^n
A= amount
r= rate(4%)
n=period (5)
A=32,000 ( 1 + 4/100)⁵
A=32,000 (1.04)⁵
A=38,932.89
A=$38,933( nearest whole number)
During a job interview, Pam Thompson is offered a salary of $32,000. Pam's salary during her fifth year on the job is $ 37435.474.
What do you mean by the annual raise of salary?
A worker's salary increase is expressed as a percentage of their total base pay. Typically, it represents a portion of the employee's yearly compensation. Employers may utilize increments to raise or lower basic pay as well as to provide incentives.
The yearly increase % calculates the average annual percentage rate of salary increases.
Here,
Current salary= 32000
First increment will occur at the beginning of 2nd year = 32000 × (1+4%)
Second increment will occur at the beginning of 3rd year = 32000 × (1+4%) × (1+4%)
Third increment will occur at the beginning of 4th year = 32000 × (1+4%) × (1+4%) × (1+4%)
Fourth increment will occur at the beginning of 5th year
= 32000 × (1+4%) × (1+4%) × (1+4%) × (1+4%)
= 32000 × (1+4%)^4
= 32000 × (1.04)^4
= 32000 × 1.1698586
= $ 37435.474
Therefore, during a job interview, Pam Thompson is offered a salary of $32,000. Pam's salary during her fifth year on the job is $ 37435.474.
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1. Please interpret the outcome of the below ANOVA table. Please respond in APA-format.
Model Df Sum of Squares Mean Square F Sig.
Regression 2 .4016 .2008 70.6816 < .001
Residual 22 .0625 0.0028 Total 24 .4640 a. Predictors: (Constant), Number of Branches, Net Revenues
b. Dependent Variable: Profit Margin
The ANOVA table indicates that there is a significant relationship between the predictors (Constant, Number of Branches, Net Revenues) and the dependent variable (Profit Margin). The regression model as a whole is statistically significant, with an F-value of 70.6816 and a p-value of less than .001.
The ANOVA table provides information about the statistical significance of the regression model. In this case, the model includes three predictors: Constant, Number of Branches, and Net Revenues. The dependent variable is Profit Margin.
The main focus is on the "F" statistic, which tests the overall significance of the model. The F-value of 70.6816 indicates that the model is statistically significant. This means that the predictors, taken together, have a significant impact on the Profit Margin.
Additionally, the significance level (p-value) of less than .001 further supports the conclusion that the relationship between the predictors and the dependent variable is not due to chance. The extremely small p-value suggests a very low probability of obtaining these results if there were no true relationship in the population.
In summary, based on the ANOVA table, we can conclude that the regression model, including the predictors (Constant, Number of Branches, Net Revenues), significantly predicts the Profit Margin.
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rior to recording its closing entries, a company has the following accounts and account balances at the end of its first year: accounts payable, $3,000 cash, $19,000 common stock, not given dividends, $1,000 expenses, $14,000 notes payable, $4,000 prepaid insurance, $3,000 revenues, $23,000 what is the balance of its common stock account at the end of the first year?
The balance of the common stock account at the end of the first year is given as $19,000.
The balance of the common stock account at the end of the first year can be calculated by subtracting the total liabilities and retained earnings from the total assets.
Total assets = Cash + Accounts Receivable + Prepaid Insurance + Other Assets
Total liabilities = Accounts Payable + Notes Payable
Total equity = Common Stock + Retained Earnings
Given:
Accounts Payable = $3,000
Cash = $19,000
Common Stock (not given dividends) = $19,000
Expenses = $1,000
Notes Payable = $14,000
Prepaid Insurance = $4,000
Revenues = $23,000
Total assets = $19,000 + $4,000 + Other Assets (not provided)
Total liabilities = $3,000 + $14,000 = $17,000
Total equity = Total assets - Total liabilities
Total equity = ($19,000 + $4,000 + Other Assets) - $17,000
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Media Corp. is an accrual-basis, calendar-year C corporation. Its reported book income included $6,000 in municipal bond interest income. Its expenses included $1,500 of interest incurred on indebtedness used to carry municipal bonds and $8,000 in advertising expense. What is Media's net M-1 adjustment on its Form 1120, U.S. Corporation Income Tax Return, to reconcile to its taxable income
Answer:
-$4,500
Explanation:
The computation of the Media's net M-1 adjustment is given below:
= Expense included in interest that incurred on indebtness - book income reported
= $1,500 - $6,000
= -$4,500
Hence, the Media's net M-1 adjustment is -$4,500
The same should be considered and relevant
Therefore we ignored $8,000
Started onTuesday, 22 June 2021, 3:32 PMStateFinishedCompleted onTuesday, 22 June 2021, 3:33 PMTime taken1 min 34 secsGrade8.00out of 10.00 (80%)If contributed capital = $3,600, retained earnings = $18,800,total liabilities = $36,000, and liabilities and equity = $58,400,what is the value of total assets?Select one:
a. $54,800
b. $7,200
c. $58,400
d. $22,400
The value of total assets is $54,800, (a)..
the value of total assets is $54,800.
to find the value of total assets, we can use the basic accounting equation:
total assets = total liabilities + equity
given that total liabilities are $36,000 and liabilities and equity are $58,400, we can subtract the total liabilities from the liabilities and equity to find the value of equity:
equity = liabilities and equity - total liabilities
equity = $58,400 - $36,000equity = $22,400
now, to calculate the value of total assets, we add the equity to the contributed capital and retained earnings:
total assets = contributed capital + retained earnings + equity
total assets = $3,600 + $18,800 + $22,400total assets = $54,800
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An Insurance aging report can be printed in ______ format, listing all companies alphabetically
\(\huge\bold{\purple{\bold{⚡Landscape⚡}}} \)
Answer:
An Insurance aging report can be printed in landscape format, listing all companies alphabetically
Explanation:
Print - Select this option to print the Insurance Aging report. NOTE: This report should be printed in a landscape format instead of a portrait format.
11-M.2 MASTERY PROBLEM (Review of Chapters 9, 10, and 11), p.
340
Journalizing and posting transactions
Journalizing is the systematic filing of transactions in the right journals. Every incident is documented with double-entry is corresponded in an opposite entry as well.
Journalizing transactionsOnce one's firm earns or spends money, post the transaction in at least two different accounts – a debit and a credit account. This is called the double-entry method.
Posting transaction is the transferring of the data one has recorded in journaling to ledger accounts
Therefore, the two concepts are as defined above.
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how does the participation in gray-market distribution strategies affect distribution channel members?
The participation in gray-market distribution strategies affect distribution channel members in reduction of profits and sales of the authorized distributors.
Gray-market distribution is a legally selling of a product but without the brand's permission. This strategy can increase the number of sold products. It is lucrative for the sales but it comes with a drawback. This strategy cause a reduction of profits and sales of the authorized distributors, therefore it can harm the relationship with the distributors. The product reputation can also be damaged because of this strategy. But it is a common strategy for multiple products, including watches, cameras, and cars.
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Which of these are NOT basic approaches to minimizing the agency problem?
ignore the conflict of interest
monitor managers' actions
align managers' personal interest with those of the owners by making the managers owners
all of these choices are correct.
The agency problem refers to the conflict of interest between the principals (owners) and the agents (managers) who act on their behalf. The agents may prioritize their own interests over those of the owners, leading to a suboptimal outcome.
The option that is NOT a basic approach to minimizing the agency problem is "ignore the conflict of interest." There are several approaches to minimizing this problem, including monitoring managers' actions, aligning their personal interests with those of the owners, and eliminating the conflict of interest. However, the option "ignore the conflict of interest" is NOT a basic approach to minimizing the agency problem. Ignoring the problem can lead to further divergence between the interests of the owners and managers, potentially resulting in reduced firm performance and value. It is important to acknowledge and address the agency's problem through appropriate mechanisms to ensure that managers act in the best interest of the owners. Thus, the correct answer to your question is: "Ignore the conflict of interest."
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Think about the sample you just read. Sort the details depending on whether they are suitable for a younger or older
audience.
defining "litter"
energy-saving goods to buy
statistics about pollution
start an environment club
scientific experts' views
fuel-efficient car facts
how to recycle
Details for a Younger Audience
interviews with kids
Details for an Older Audience
Facts about fuel-efficient vehicles, scientific theories, and suggestions for energy-saving items For a younger audience, creating an environment club, interviewing kids, recycling, and statistics are appropriate.
Why is it vital to consider the target audience's age?You can reach more people in a certain age group by using age demographics. A certain age group may share cultural experiences, values, or attitudes that might help you relate to your target audience. These concepts can be used to demonstrate how your good or service matches their requirements and way of life.
What are the four most important methods for determining a target audience?When launching a business, a product, or a service from your current firm, identifying your core target audience is essential.
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Answer:Details for younger- interviewing with kids, how to recycle, start an environment club, defining “litter”
Older Audience-scientific experts’ views, energy-saving goods to buy,statistics about pollution, fuel-efficient car facts.
Explanation: I took it on edge 2023
krysta wants to take piano lessons. she asked a teacher how many new pieces she could expect to learn each month. the teacher gave an estimate of 3. write an equation that shows how the total number of pieces krysta would learn, y, depends on the number of months of piano lessons, x.
The required equation is y = 3x which represents the total number of pieces Krysta would learn, where x months of piano lessons.
What is the Linear equation?A linear equation is defined as an equation in which the highest power of the variable is always one.
Krysta wants to learn to play the piano. She inquired with an instructor about the number of new pieces she could anticipate studying each month. The teacher estimated three.
Let y represent the total number of pieces Krysta would learn,
And x represent depends on the number of months of piano lessons,
According to the given situation, we can write the equation would be as:
⇒ y = 3x
Therefore, the required equation is y = 3x which represents the total number of pieces Krysta would learn.
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Explain why it is important to maintain good relationships with: a) Colleagues. b) Supervisors. c) Internal clients. d) External clients
Answer:
c
Explanation:
Upload your Environmental Regulations project below.
Answer:
Environmental regulations are government policies and laws that aim to protect the environment and human health by controlling and minimizing the release of harmful pollutants and substances into the air, water, and land. These regulations can take the form of standards, guidelines, or restrictions that are designed to reduce the negative impacts of human activities on the environment.
Here are some examples of environmental regulations:
Clean Air Act: This act regulates the emissions of air pollutants from both stationary sources (such as factories and power plants) and mobile sources (such as cars and trucks). It also sets standards for air quality and requires the EPA to monitor and report on air pollution levels.
Clean Water Act: This act regulates the discharge of pollutants into the nation's surface waters, such as lakes, rivers, and streams, and sets water quality standards. It also requires permits for certain discharges and provides for enforcement of the standards.
Resource Conservation and Recovery Act (RCRA): This act regulates the management of hazardous and non-hazardous solid waste, including the treatment, storage, and disposal of these wastes.
Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA, or "Superfund"): This act provides for the cleanup of hazardous waste sites and holds responsible parties accountable for the costs of the cleanup.
Endangered Species Act: This act protects endangered and threatened species and their habitats by regulating activities that may harm them.
The implementation and enforcement of environmental regulations is usually the responsibility of environmental agencies, such as the Environmental Protection Agency (EPA) in the United States.
Overall, environmental regulations play a crucial role in protecting the environment and public health, and are essential for ensuring that human activities are carried out in a sustainable manner.
PLEASE HELP ASAP???? 1. David worked hard on his resume. He included information about his education, his skills, his previous work and volunteer experience, his extracurricular activities, and awards he has won. His resume is five pages long. What is David’s mistake?
2.Greg asked his teacher if his potential employers could contact her as someone to recommend his abilities. What is Greg's teacher?
3. What is a job objective and why is it important?
A resume should be of 1-2 pages maximum. It should be brief and short.
A resume only contains qualifications and activities that is required in a job interview. A 5 pages long resume will no longer be called a resume because it becomes a CV or curriculum vitae which is long and detailed.
You are opening a store, and having a working website is an important part of your project plan. The company that started creating your website went out of business before completing the job.
What components of your project plan will be affected?
Budget and time
Ethics and piracy
Ideas and creativity
Policies and procedures
Answer:
ethics and piracy if not let me know
Large-cap funds invest in...
a. Companies with large market value.
b. In at least 200 companies.
c. Stocks only.
d. All of the above.
I WILL MARK AS BRAINLIEST WHEN I CAN.
Answer:
Large-cap funds invest in
a. Companies with large market value.
Explanation:
Let Company A be a mutual fund that invests in the securities of companies that have large market capitalization. Company A is, therefore, regarded as a large-cap fund. Company A will use the size of the market capitalization to determine the companies to invest in. For example, the market capitalization of Company B is the value of the shares of the company, which is derived as the product of the number of Company B's outstanding shares and the current market price (1,000,000 x $50, market cap = $50 million). For Company A, the decision to invest in Company B is factorized based on the size of the market value, $50 million, which must be above the average market capitalization of similar companies.
A company requires 2,000kg of sand for a special job. They have 1,200kg of sand in stock and cannot use it for any other purpose, although it could be sold for £3 per kg. The stock was originally bought for £5 per kg and new sand can be bought for £6 per kg. What is the total relevant cost of the 2,000kg required for the special job?
The total relevant cost of acquiring the required 2,000kg of sand for the special job is £12,600. This cost includes both the opportunity cost of not selling the existing stock and the cost of purchasing additional sand to meet the required quantity.
To calculate the total relevant cost, we first determine the opportunity cost of not selling the existing stock. The company has 1,200kg of sand in stock that could be sold for £3 per kg. Therefore, the opportunity cost of not selling this stock is 1,200kg * £3/kg = £3,600.
Next, we calculate the cost of purchasing the remaining 800kg of sand needed for the job. The new sand can be bought for £6 per kg, so the cost of purchasing 800kg of sand is 800kg * £6/kg = £4,800.
Finally, we add the opportunity cost and the cost of purchasing new sand together to obtain the total relevant cost: £3,600 + £4,800 = £8,400. Therefore, the total relevant cost of acquiring the required 2,000kg of sand for the special job is £8,400.
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