Standards used to evaluate employee job performance should be clear, specific, measurable, and objective.
Standards to evaluate employee -They should be based on the job description and expectations for the role. The standards should also be communicated to employees in advance so they know what is expected of them. Additionally, standards should be applied consistently across all employees to ensure fairness and avoid bias. Finally, standards should be reviewed regularly to ensure they are still relevant and effective in evaluating job performance.
The Fair Labor Standards Act (FLSA) is a United States law designed to protect workers from certain unfair wage practices. As such, the FLSA establishes various labor regulations related to interstate employment in commerce, including minimum wages, overtime pay requirements, and restrictions on child labor.
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one dozen pencil cost 10 if rhe oencil were sold at 1.50 each ehat percentage profit was made on the pencil
Answer:
huh? im confused i almost had a stroke reading this-
Explanation:
A card issued by a bank that allows users to finance
a purchase.
Credit card
Debit card
Answer: Credit Card
Explanation:
Debit cards allow you to spend money by drawing on funds you’ve deposited at the bank.
Credit cards allow you to borrow money from the card issuer up to a certain limit in order to buy items or withdraw cash.
I hope this helps!
How do budget deficits add to the national debt?
Answer:
They are spending more than what they have in the Federal budget causing the national debt to increase.
Explanation:
A government budget is considered to have a 'deficit' if the amount of money required to pay for all government programs is more than the amount of money that they have in their disposal.
When this situation happen, the government typically have two options. First is to increase the tax rate that the citizens have to pay in order to increase their budget. The second is they can borrow the required difference from another country. This what cause the increase in the national debt.
Price cream cones $4.00 $3.50 $3.00 $2.50 Demand Quantity of ice cream cones Figure 4-1 shows Kendra's demand curve for ice-cream cones. Refer to Figure 4-1. What is the total amount that Kendra is willing to pay for 2 ice cream cones? O $1.50 O $3.00 $5.50 56.50
Kendra is willing to pay a total of $7.50 for 2 ice cream cones.
According to the demand curve in Figure 4-1, when the price of an ice cream cone is $4.00, Kendra is willing to buy 0 cones. When the price is $3.50, she is willing to buy 1 cone. When the price is $3.00, she is willing to buy 2 cones.
Therefore, the most she is willing to pay for 2 cones is $6.00 (when the price is $3.00 per cone). However, since the price for 2 cones is not exactly $3.00 each, we need to look at the next price Kendra is willing to pay for an additional cone.
At a price of $2.50 per cone, Kendra is willing to buy 3 cones. So, if she buys 2 cones at $3.50 each, she still has a willingness to pay of $2.50 for one more cone. Thus, Kendra is willing to pay a total of $7.50 for 2 ice cream cones.
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The Treasury bill rate is \( 4 \% \), and the expected return on the market portfolio is \( 12 \% \). According to the capital asset pricing model: a. What is the risk premium on the market?
To calculate the risk premium on the market using the Capital Asset Pricing Model (CAPM), we subtract the risk-free rate from the expected return on the market portfolio.
Given:
Risk-free rate = 4% (0.04)
Expected return on the market portfolio = 12% (0.12)
Risk premium on the market = Expected return on the market - Risk-free rate
Risk premium on the market = 0.12 - 0.04
Risk premium on the market = 0.08 or 8%
Therefore, the risk premium on the market is 8%.
The correct answer is: a. 8%.
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A disadvantage of using credit is impulse buying
True or False
Answer:
True
Explanation:
Impulse buying is making unplanned or non-budgeted purchases. In impulse purchases, buying decision is based on attraction rather than the need to have the item.
Making payment via a credit card is incurring a debt. One does not need to have money on their account for the payment to go through. It means one can spend money that they do not have on hand or at the bank. A credit card permits one to make payments for goods they had not planned to buy. It can encourage the buying of items that are not required.
Dahlia is an associate at a prestigious law firm. The associates in the firm generally work until at least 7 p.m. or 8 p.m. each day. This is an element of the firm's
According to the situation, Dahlia is attempting to build a connection, or we can say that partner, at one of the prominent law firms, and it is understood in every organization or business that workers work in the office at least 7 or 8 o'clock each evening, so this is one of the firm's social norms.
What exactly are social norms?Companies, among other assets, are well-positioned to achieve social norm change by leveraging their brand credibility, marketing skill, reach, and access to important influencers.
The behavioral norms that are accepted in a group or community. This encompasses what your community or a specific group expects of you as well as what you believe they expect of you.
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An inheritance of $250,000 is to be divided among Chris, Kelly, and Julie in the following manner: Kelly is to receive (3)/(4) of what Chris gets, while Julie gets (1)/(3) of what Chris gets. How much does Kelly receive?
Kelly will receive $90,000.. Let's denote the amount that Chris receives as "x." The sum of the amounts received by all three individuals should add up to the total inheritance of $250,000:
x + (3/4) * x + (1/3) * x = $250,000
To simplify the equation, we can find a common denominator:
(12/12)x + (9/12)x + (4/12)x = $250,000
(25/12)x = $250,000
To isolate x, we can multiply both sides of the equation by (12/25):
x = ($250,000) * (12/25)
x = $120,000
Now that we know the amount Chris receives, we can calculate how much Kelly gets, which is 3/4 of what Chris receives:
Kelly's amount = (3/4) * $120,000
Kelly's amount = $90,000
Therefore, Kelly will receive $90,000.
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Ron Conway, Angel Investor in Silicon Valley What Does an Angel Investor Do?
Discussion: As you view this short clip from Ron Conway, relate specifically back to the chapter material on the "Informal Risk Capital" to compare his comments with our text's discussion of Angel Investors. Does he provide you any additional insights? Relate your thoughts.
Ron Conway, a renowned Angel Investor in Silicon Valley, typically invests early-stage funds in startups. Angel investors are individuals who provide capital for startups in exchange for an equity stake in the company. The main role of angel investors is to provide funding and mentorship to startups in the early stages of their business.
An Angel investor is typically a high net worth individual who is willing to invest their own money in a start-up company. These investors are experienced businesspeople who use their knowledge and skills to help the start-up companies they invest in to succeed. In the video clip, Ron Conway discusses his work as an angel investor in Silicon Valley.
He explains that his role is to provide financial support to startups and to help them grow their businesses. Conway also talks about the importance of having a strong network of mentors and advisors who can provide guidance and support to new entrepreneurs. The discussion in the chapter material on "Informal Risk Capital" emphasizes the importance of angel investors in providing capital for startups.
These investors are often the first ones to provide funding for new businesses, and they play a critical role in helping entrepreneurs get their businesses off the ground. Angel investors typically provide seed funding, which is used to cover the initial costs of starting a business.In conclusion,
Ron Conway's comments provide additional insights into the role of angel investors in Silicon Valley. He emphasizes the importance of providing financial support and mentorship to startups in the early stages of their businesses. His work as an angel investor is consistent with the discussion in the chapter material on "Informal Risk Capital." Angel investors play a crucial role in helping startups get off the ground, and they are an essential part of the startup ecosystem.
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A naturalistic learning style fits a person who enjoys learning through _____.
listening to music
working alone
presenting a summary of a novel
comparing things found in nature
Answer: comparing things found in nature
Explanation:
Naturalistic learning involves the use of natural elements such as animals, plants, natural events and the environment in general to learn about various concepts.
People who would prefer this style of learning prefer to learn outdoors and are usually found comparing things found in nature to other things regardless of if they are indoors or outdoors. The strong attraction they feel to nature allows them to harness this learning style more effectively.
Answer:
comparing things found in nature
Explanation:
i got it right on my test
State the following statements are True or False. State the reason for your answer. Each question
carries 2 marks.
1. Labour intensive production means firms hire more people than any other factor of production. It is the
value (amount) spent that is measured.
Answer:.........
Reason:.....
2. Poor quality means that a firm's prices are higher than the industry average.
Answer:.....
Reason:........
3. Quality means that a product is high-class and one of the best in its industry, such as Rolls Royce cars or
Rolex watches.
Answer:.......
Reason:...
4. The location decision is irreversible.
Answer:.
Reason:..
Answer:
See below
Explanation:
1. True
Labor refers to human efforts in production. A labor-intensive production is when the manufacturing of a product or service relies heavily on labor than the other factors of production. Labor-intensive production is mostly applied in small-scale manufacturing or customized production.
2. False
Poor quality describes a product or a service that does not meet the expected standards. Poor quality is of low quality, one that is not properly made. Poor quality refers to a product or service that is of bad quality. A Poor quality product attracts low prices that are below the industry average.
3. True
Quality means a high degree of excellence. A quality product or service implies the product meets expected standards. Quality products offer excellent service to customers. Consumption of the product gives great satisfaction to the user.
4. False
The location decision can be reversed. A location is a place or area where a business will be set-up. The location decision involves identifying the most appropriate place to establish the business. The location decision is crucial as it can be the difference between success and failure.
Businesses have always re-located from one place to another. If the location chosen is not favorable, a decision can be made to re-locate. Reversing a location decision is expensive and time-consuming.
how does the demand curve faced by a purely monopolistic seller differ from that confronting a purely competitive firm? the demand curve faced by a purely monopolistic seller is
The demand curve facing a pure monopolist is downward sloping whereas that facing the purely competitive firm is horizontal, perfectly elastic demand curve.
A demand curve is the graphical representation of the relationship between the price of a good or service and the quantity demanded for a given period of time. The price is depicted on the left vertical axis, the quantity demanded on the horizontal axis on the curve.
Monopolist refers to the individual or a company that is supreme in the market as it controls the market for a specific good or service. There are no competitors available for such brand in the market.
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Someone in the 15 percent tax bracket can earn 10 percent annually on his investments in a tax-exempt IRA account. What will be the value of a $16,000 investment in 5 years? 10 years? 20 years? You may use Appendix C to answer the questions. Do not round intermediate calculations. Round your answers to the nearest dollar.
Answer:
A. $60,653
B. $98,313
C. $136,217
Explanation:
The formula that is used for calculating the annuity value is as under:
Annuity Value in "n" years = Present Value * (1 - (1 + r)^-n) / r
For 5 years:
Annuity Value in "5" years = $16,000 * (1 - (1 + 10%)^-5) / 10%
= $60,653
For 10 years:
Annuity Value in "10" years = $16,000 * (1 - (1 + 10%)^-10) / 10%
= $98,313
For 20 years:
Annuity Value in "20" years = $16,000 * (1 - (1 + 10%)^-5) / 10%
= $136,217
Congress passes a bill calling for a 5% tax decrease. The president then signs it
a.) the government's monetary policy
b.) government's open. market regulations
c.) the government's tight money policy
d.) the government's fiscal policy
Answer:
d.) the government's fiscal policy
Explanation:
Fiscal policy is the actions of a government to alter spending and taxation to influence economic direction. This implies that fiscal policy tools are the level of government spending and taxation.
Reducing taxes and government spending increases the money supply in the market. The government will consider these actions during recessions to stimulate economic growth. Increasing taxes and decreasing spending reduces money circulation in the economy, thereby regulating economic growth.
Publishers and printing companies are both involved with books, magazines, and newspapers. One type of company is
considered part of the manufacturing section, because it produces the physical product: books, magazines,
newspapers, and so on. What sector does publishing belong to, since it does not produce a tangible product (until
printing transforms it into one)?
O primary, because it makes original content
secondary, because it transforms ideas into physical objects
tertiary, because it provides a service
quaternary, because it involves research
Answer:
quaternary, because it involves research
Explanation:
Business Activities Identify each of the following activities as operating (O), investing (I), or financ-
ing (F):
a. Payment of employee salaries
b. Repayment of a loan
c. Issuance of common stock
d. Purchase of equipment to manufacture a company’s products
e. Sale of merchandise inventory
f. Investment of excess cash in the shares of another company
Investing business activities, which are those that are capitalized over a longer period of time, are frequently saved for the second component of the cash flow statement. The purchase of long-term assets is described in this section as a cash outlay. Another source of funding mentioned is the selling of real estate.
Is the payment of salaries to employees considered a business activity?It is correct that paying salaries and wages would be listed as an operating activity on the statement of cash flows. Paying employees and wages, purchasing supplies, inventory, or utility bills are all examples of operating cash outflows.
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What factor reflects the ‘cost of money’? The ‘cost of money’ is reflected in the
1. Travis Ryan is one of the four cofounders of a skateboard company. The cofounders have decided put down a business plan to obtain funding for their venture. During a recent meeting, Travis said, "I know that we all are really busy, so I'd like to volunteer to put down our business plan. A friend of mine has a house on a lake. If the three of you agree, I'll take my laptop to my friend's house for a couple of days and knock out our business plan. Any objections?" If you were one of Travis's cofounders, what would you say? What alternative approaches to a business plan would you propose and why?2. Kirsten, a friend of yours plans to open a fashion boutique that will sell women's clothing and accessories. She told you that she leafed through several books on how to prepare forecasts and pro forma financial statements but that the books were geared toward existing firms that have several years of historical financial statements on which to base their projections. If Kirsten asked for your advice about how to prepare forecasts for a completely new women's fashion boutique, what would you tell her?
As a cofounder, I would appreciate Travis's offer but suggest that we collectively contribute to the business plan to leverage diverse perspectives and foster shared ownership. I would advise Kirsten to conduct market research, seek guidance from industry experts, and create conservative financial projections for her new fashion boutique.
If I were one of Travis's cofounders, I would respond by expressing my appreciation for his willingness to take the initiative in preparing the business plan. However, I would suggest that we collectively contribute to the development of the plan instead of assigning it solely to Travis. It is crucial for all cofounders to actively participate and provide their insights to ensure a well-rounded and comprehensive business plan. By collaboratively working on the plan, we can incorporate diverse perspectives, leverage individual expertise, and foster a sense of shared ownership. This approach would enhance the plan's quality, increase alignment among cofounders, and promote a stronger foundation for the venture.
If Kirsten asked for advice on preparing forecasts for a new women's fashion boutique, I would suggest a few alternative approaches. First, she could conduct market research to gather information on target customers, competitors, and industry trends. This research would provide valuable insights into potential demand, pricing strategies, and market positioning. Additionally, Kirsten could reach out to industry experts, fashion consultants, or experienced boutique owners for guidance and advice specific to the fashion retail sector. Collaborating with professionals who have relevant experience can help in developing more accurate forecasts and understanding the unique challenges and opportunities of the industry. Lastly, Kirsten could consider creating a conservative financial projection based on initial estimates, keeping in mind the uncertainties associated with a new venture. It is crucial to review and refine the forecasts regularly as the boutique progresses, incorporating real-time data and adjusting strategies accordingly.
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Which of the following does NOT belong on the asset side of a balance sheet?
a) Accounts receivable
b) Expense
c) Cash
d) Inventory
The item that does NOT belong on the asset side of a balance sheet is Expense. The following explanation will provide more insights.
The balance sheet is one of the financial statements of a company that represents its financial condition at a particular point in time. The asset side of the balance sheet is the left side, and it shows what the company owns, whereas the liability and equity side is the right side, and it shows what the company owes to others.Accounts receivable, cash, and inventory are all asset accounts, whereas expense is not. Instead, it is a cost that a company incurs in operating its business. It is not an asset that the company owns or holds. Therefore, the item that does NOT belong on the asset side of a balance sheet is Expense.
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which pair of issues from the bulleted list above (the first four mainly for the business community, the second four mainly for the protestors) could the mayor suggest that the two sides negotiate as an area of common interest? (from the mayor's point of view, in this immediate crisis, this would be a stasis.) select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a reduction of customer traffic to area businesses and first amendment (speech) rights of protesters b inconvenience to business owners and employees getting to work and police harassment c unsanitary condition of public property and lack of public bathroom facilities d unseemliness of large population of homeless tent dwellers and police harassment
Take, for example, the two funda- mental, conflicting dilemmas of a negotiation: the predicament of honesty and the dilemma of have confidence (Kelley, 1966).
The quandary of honesty concerns how trustworthy each birthday celebration must be with the other.
What are the 3 motives negotiations occur?Negotiations show up for countless reasons: (1) to agree on how to share or divide a constrained resource, such as land, or money, or time; (2) to create something new that neither birthday celebration may want to do on his or her own, or (3) to unravel a hassle or dispute between the parties.
What are the principal social factors in negotiation?A negotiator have to apprehend the social context of the negotiation. Negotiation occurs in a context of rules, such as customs, habits, situations, cultural norms, non secular doctrine, laws, and political pressures.
What are the four kinds of dilemma?In LDRS 111 you were added to four one-of-a-kind moral quandary paradigms: fact vs loyalty, short-term vs long-term, person vs community, and justice vs mercy.
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how to get a free psn card
Answer: so how i need to buy credits
Explanation:
assume that in the year 2010, the us nominal gdp was $15 trillion, while the gdp deflator was 200. calculate the us real gdp for 2010. group of answer choices $0.75 trillion $300 trillion $7.5 trillion $30 trillion
Assuming that in the year 2010, the US Nominal GDP was $15 trillion, while the GDP deflator was 200, then, the US Real GDP for 2010 will equals to $7.5 trillion
What is a Real GDP?This refers to an inflation-adjusted measure that reflects the value of all goods and services produced by an economy in a given year which is expressed in base-year prices and often referred to as constant-price GDP, inflation-corrected GDP etc.
To calculate out Real GDP. We are using this formula "Real GDP=Nominal GDP/GDP deflator×100"
Where: Nominal GDP=$15 trillion, GDP deflator=200
Real GDP = $15 trillion/200 × 100
Real GDP = $7.5 trillion
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what important technology has done the most
why do competitive markets work better for life insurance than for income insurance?
Answer:Because insurance market is competitive, when companies become profitable, they start adopting a more lenient underwriting criteria and lower their premiums to grab more market share.
Explanation:
Other insurance companies react by adopting the same policies, to prevent their shares taken away or to increase their market share.
if a monopolist is able to increase the amount of product she sells from 400 to 425 units by lowering the price of that product from $40 to $30, her marginal revenue is:
By reducing the cost of her product from $40 to $30, a monopolist can increase the number of units she sells from 400 to 425, her marginal revenue is: $-130.
By definition, the monopolist will encounter the industry's downward-sloping demand curve. The American Tobacco Company, The Standard Oil Company, and Andrew Carnegie's Steel Company are three of the most well-known American monopolies to date. A monopoly is a type of imperfect competition in which a seller or manufacturer captures the majority of the market because there are no substitutes or competitors.
The following illustrates how the marginal revenue was calculated:
As we know that
Total revenue = Price × Quantity
For 400 units, the total revenue is
= 400 × $40
= $16,000
And for 420, the total revenue is
= 425 × $30
= $12,750
Now the marginal revenue is
= ($12,750 - $16,000) ÷ (425 units - 400 units)
= -$130
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Which activity would most likely damage your credit report?
A. Having several credit cards, but never using them
B. Staying in the same job for several years
C. Not applying for any credit cards
D. Paying all of your bills on time
Answer:
the answer is a
When the opportunity cost associated with increasing the production of one good or service in terms of another is constant at every level of production, then the production possibility frontier is:___________
When the opportunity cost associated with increasing the production of one good or service in terms of another is constant at every level of production, then the production possibility frontier is: Linear.
What is opportunity cost?Opportunity cost is actually known to be the benefits that are forgone or missed by an investor, business, or individual as a result of choosing one alternative over another.
Opportunity costs can easily be overlooked. The benefits may be forgone in opportunity cost as a result of something.
In business, the production possibility frontier (PPF) is actually known to be a curve that shows the possible quantities that can be manufactured of two products if the both products depend on the same resources for their manufacture.
We see here that the options that complete the question is:
A. Hyperbolic
B. Linear
C. Concave
D. Convex.
The answer is that the production possibility frontier will be linear.
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Your grandparents would like to establish a trust fund that will pay you and your heirs $230,000 per year forever with the first payment 10 years from today. If the trust fund earns an annual return of 4.5 percent, how much must your grandparents deposit today?
Answer:
$3,438,289
Explanation:
First we need to calculate the future value of investment after 10 years.
A fix payment for indefinite period of time is a perpetuity payment. It will be value using perpetuity formula
Value of investment after 10 years = Yearly cash flow / interest rate
Value of investment after 10 years = $230,000 / 4.5% = $5,111,111
Now we need to discount this value to calculate the amount of deposit required today.
Present value = Future value x ( 1 + r )^-n
Today's value = $5,111,111 x ( 1 + 4.5% )^-9 = $3,438,289
HELP PLEASE, THIS IS TIMED!!!!!!
Explanation:
I think the answer it's c
Olivia asks several real estate agents to help her sell her house. A buyer is found. At the closing, no agent receives a commission. What type of listing agreement did Olivia make
Answer: Open Listing
Explanation: The seller sold the real estate herself therefore she did not have to pay a commission.