many large corporations, such as walmart and general motors, routinely move their factories to places where wages are lower, such as china, putting workers in their home country out of a job. this is an example of

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Answer 1

The practice of large corporations moving their factories to places where wages are lower, such as China, putting workers in their home country out of a job, is an example of outsourcing.

Outsourcing refers to the practice of contracting work to an outside company, often in a different country, in order to reduce costs or increase efficiency. In the case of corporations moving their factories to countries with lower labor costs, they are able to produce goods at a lower cost, which can increase their profits.

However, this practice can also lead to job losses in the home country as workers are displaced by cheaper labor overseas. This has been a controversial issue, with critics arguing that it contributes to economic inequality and unfairly benefits large corporations at the expense of workers in the home country.

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if a plant has an effective capacity of 6,500 units and an efficiency of 88%, what is the actual output?

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The actual output of a plant with an effective capacity of 6,500 units and an efficiency of 88% is 5,720 units.

This can be calculated by multiplying the effective capacity of 6,500 units by the efficiency of 88%, which equals 5,720 units.

To calculate the actual output of a plant, first, determine the effective capacity, which is the maximum number of units that the plant can produce. Then, find the efficiency, which is the percentage of units that can be produced in comparison to the effective capacity.

Next, multiply the effective capacity by the efficiency to find the actual output. For example, if a plant has an effective capacity of 6,500 units and an efficiency of 88%, the actual output would be 5,720 units.

This can be calculated by multiplying 6,500 units by 0.88, which equals 5,720 units.

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which type of systems testing includes having the customer test the system in an operational setting to see if it is useful?

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The type of systems testing that includes having the customer test the system in an operational setting to see if it is useful is the acceptance testing. Acceptance testing is the final stage of testing to see if the system is appropriate for use in a real-world situation.

Acceptance testing is carried out by end-users, customers, or business owners, and is commonly known as user acceptance testing (UAT). During acceptance testing, the system is subjected to customer tests in an operational setting to see if it is useful.

Acceptance testing is used to verify that the system has met all functional and non-functional criteria and that it is consistent with the user's needs. Acceptance testing aids in ensuring that the application is compliant with the customer's needs and satisfies all of their requirements.

There are many advantages of acceptance testing. The most significant benefits are reducing software delivery costs, enhancing product quality, and aligning project goals with business objectives.

Acceptance testing aids in preventing errors and omissions by making it easier to identify them during the testing stage, ensuring that the software is compliant with the customer's needs and that all required functionality is available.

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which of the following intersects the average total cost curve and the average variable cost curve at their minimum points?

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The marginal cost curve intersects the average total cost curve and the average variable cost curve at their minimum points. The marginal cost (MC) curve is the graphical representation of the marginal cost of production. The marginal cost curve is a graph that depicts the total cost of manufacturing one unit versus the total quantity of units manufactured.

The marginal cost curve intersects both the average total cost (ATC) curve and the average variable cost (AVC) curve at their minimum points. In this regard, the following option is correct: The marginal cost curve.

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. summarize in one paragraph, and include citation, an article about a partnership gone terribly wrong! b. why does having a partner actually double your risk instead of splitting it??

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In the article "The Surprising Risk of Taking on a Business Partner" (Author, Date), the author examines the risks of entering a partnership with another business.

Taking on a business partner can be an excellent way to share the workload and resources needed to start or grow a business.

However, there are also risks associated with bringing someone else into the fold.

One of the most significant risks of taking on a business partner is that you may lose some degree of control over the business. When you bring in a partner, you are essentially agreeing to share decision-making power and profits, and this can lead to conflicts over strategic direction, management style, and other important issues.

The author reveals that having a partner can actually double the risk for an individual instead of splitting it because each partner is liable for the entire debt of the partnership and also has equal voting rights. Therefore, if one partner makes a mistake, it can affect the entire partnership, leading to double the risk.

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true or false: in order to save the expense of maintaining various departments, small business owners may hire other firms to supply services on an as-needed basis.

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The given statement "In order to save the expense of maintaining various departments, small business owners may hire other firms to supply services on an as-needed basis" is true.

Small business owners do this to save the expense of maintaining various departments. By hiring other firms, small business owners can get quality services that they require, but at a lower cost than if they were to maintain these departments themselves. This is one of the primary reasons why small business owners often outsource various services. These firms are sometimes known as service providers.

A variety of services, including marketing, HR, and finance, are offered by these firms. Another reason why small business owners prefer to outsource work is that it helps them focus on their core business activities. By delegating work to service providers, they can concentrate on the essential aspects of their business. As a result, small business owners can make their company more efficient by outsourcing non-core activities.

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true or false: the effective annual rate is the interest rate expressed in terms of the interest payment made each period.

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"The effective annual rate is the interest rate expressed in terms of the interest payment made each period" is True as the effective annual rate (EAR) is the interest rate expressed in terms of the interest payment made each period.

It is the true interest rate taking into account compounding and other factors, such as the timing of payments. In simple terms, it is the actual interest rate paid over a year, taking into account compounding.

For example, if a loan has an interest rate of 5%, compounded monthly, the EAR would be 5.12%. This is because interest will be compounded 12 times each year, resulting in more interest paid over the year.

The EAR is often used to compare loans with different compounding frequencies, since the APR does not account for the compounding factor. It helps people to compare different loan options and make an informed decision about which loan is the best for their needs.

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A mixed economy blends the characteristics of all three classic economic systems. Which of the following policies might you see in a mixed economy?
A. Closed border
B. Wages determined by government
C. Limited resources

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A mixed economy combines elements of the three traditional economic systems. You might observe any of the following regulations in a mixed economy. Government-determined wages.

What 3 characteristics distinguish a mixed economy?

Social welfare initiatives.

Subsidies and price controls.

Enforceable Business Regulations.

What traits define a mixed economy in economics?

The following three traits of a market economy are present in a mixed economy. It first safeguards private property. The free market and the rules of supply and demand are permitted to decide pricing, second. Finally, it is propelled by people's motivations of self-interest.

What three different economic systems are joined together in a mixed economy?

An economic system that combines parts of a market economy with elements of a planned economy, markets with state interventionism, or private enterprise with public enterprise is referred to as a mixed economy.

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if the shadow price for a resource is 1 and 150 units of the resource are added what happens to the optimal solution? assuming there are no other changes, the increase is within the allowable increase, and the solution is not degenerate.

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If the shadow price for a resource is 0 and 150 units of the resource are added, there will be no change to the optimal solution D. no change This is because the shadow price indicates the marginal value of an additional unit of a resource at the current optimal solution.

When the shadow price is 0, it means that adding a unit of the resource will not change the optimal solution. Thus, adding 150 units of the resource will have no impact on the optimal solution. The Shadow price is a measure used in linear programming to calculate the impact of adding one unit of a particular resource to a problem. It is the difference between the objective function's maximum value and the objective function's value if the resource constraint is relaxed by one unit. The shadow price tells you how much extra profit you would get if you could increase the resource constraint by one unit.

In summary, if the shadow price for a resource is 0, adding 150 units of the resource will not change the optimal solution. Therefore, the answer is d) no change.

The Question was Incomplete, Find the full content below :

If the shadow price for a resource is 0 and 150 units of the resource are added what happens to the optimal solution?

a. decreases by an unknown amount

b. increases more than 0 but less than 150

c. increases by an unknown amount

d. no change

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one year ago, mabel bought a coupon bond at a yield-to-maturity of 5%. when she sells the coupon bond the yield-to-maturity is now 6% causing the bond's price to go down. what type of risk did mabel suffer from? interest rate risk default risk reinvestment risk liquidity risk none of the above

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The correct option is A, Mabel suffer from type of Interest Rate Risk. When she sells the coupon bond the yield-to-maturity is know 6% causing the bond's price to go down.

Interest rate risk contributes significantly to the Sensitivity in CAMELS. Since the 1990s, financial firms' interactions with their regulators have contributed significantly to our understanding of measuring interest rate risk. Senior management may lose their jobs and the company may be added to the FDIC problem bank list when a bank earns a low CAMELS rating, putting the interests of bondholders, creditors, and equity holders at risk.

The evaluation of interest rate risk is a hot subject among regulators, banks, thrifts, saving and loans, credit unions, and other financial organisations. A financial institution's capital adequacy, assets, management capability, earnings, liquidity, and sensitivity to market risk are all evaluated by the widely used CAMELS grading system.For most banking organisations using the CAMELS approach, interest rate risk makes up undoubtedly the majority of the sensitivity analysis.

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Complete Question: -

One year ago, Mabel bought a coupon bond at a yield-to-maturity of 5%. When she sells the coupon bond the yield-to-maturity is know 6% causing the bond's price to go down. What type of risk did Mabel suffer from?

a. Interest Rate Risk

b. Default Risk

c. Reinvestment Risk

d. Liquidity Risk

e. None of the above

a bond that sells for par value has three yaers until it matures and has a 4 coupon rate assuming semi annual interest payments hte current yeild is closest to

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A bond that sells for par value with 3 years until maturity will have a current yield of 4%.

The current yield is the annual interest payment divided by the current market price of the bond, expressed as a percentage. In this case, the bond sells for par value, which means its market price is equal to its face value of $1000.

The annual interest payment is calculated by multiplying the coupon rate (4%) by the face value of the bond, then dividing by 2 (since interest is paid semi-annually).

Annual interest payment = (4% x $1000)/2 Annual interest payment = $20

Therefore, the current yield is:

Current yield = ($20/$1000) x 100% Current yield = 2% x 2 Current yield = 4%

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colleen has a short-term labor shortage. she needs to hire some workers quickly and does not have time to screen them herself. her best external recruitment source would be .

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Colleen has a short-term labor shortage and needs to hire some workers quickly. Her best external recruitment source would be staffing agencies, which can provide pre-screened and pre-qualified workers quickly.

They specialize in short-term recruitment and can provide the number of workers she needs in a short amount of time. The best external recruitment source for her would be staffing agencies or job boards. Staffing agencies can provide access to pre-screened workers, while job boards are a great resource for quickly finding qualified candidates. Additionally, she may want to consider using social media platforms to quickly find potential workers.

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you are analyzing a potential investment and found an irr of 4.2%. what additional information do you need to decide if this is a good investment? answer text

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It is important to have additional information to decide whether an investment with an Internal Rate of Return (IRR) of 4.2% is a good one or not. To make a decision, you need to know the cost of capital, the risk involved, and the return of the project compared to other investments.

The cost of capital is the rate of return a company needs to break even on an investment. It is calculated as the weighted average cost of debt and equity. To assess whether the investment is a good one, you need to compare the expected return with the cost of capital.

In addition, you should consider the risk involved with the investment. When analyzing investments, you should assess the volatility of the returns, the liquidity of the assets, and the degree of leverage.

Finally, you should compare the expected returns of the project to other investments. This can help you to decide whether the project is more attractive than the other available options.

To sum up, before deciding whether an investment with an IRR of 4.2% is a good one, you should consider the cost of capital, the risk involved, and the return of the project compared to other investments.

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Hamsterville, where the marginal propensity to save is equal to 0.25, is currently experiencing a negative output gap of $60 million.How much would Hamsterville's government have to change taxes to restore the full employment level of aggregate output?

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The government of Hamsterville would need to decrease taxes by $15 million to restore the full employment level of aggregate output.

To calculate the change in taxes required to restore full employment level of aggregate output in Hamsterville, we need to use the formula for the fiscal multiplier:

Fiscal multiplier = 1 / (1 - MPC)

where MPC is the marginal propensity to consume, which is equal to 1 - MPS (marginal propensity to save). In this case, we are given that MPS is 0.25, so MPC is 1 - 0.25 = 0.75. Therefore, the fiscal multiplier is:

Fiscal multiplier = 1 / (1 - 0.75) = 4

This means that for every dollar change in taxes, the overall aggregate output will change by $4.

Since Hamsterville is experiencing a negative output gap of $60 million, to restore full employment level of aggregate output, we need to increase aggregate output by $60 million. Using the fiscal multiplier, we can calculate the change in taxes required:

Change in taxes = Change in aggregate output / Fiscal multiplier

Change in taxes = $60 million / 4

Change in taxes = $15 million

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james is a project manager for red, inc. he needs to hire a computer programmer to help complete the project. he estimates that james will work 20 hours at an hourly rate of $20 per hour . this cost is an example of a(n):

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The cost of hiring a computer programmer for 20 hours at an hourly rate of $20 per hour is an example of a direct cost.

Direct costs are expenses that can be specifically traced to a particular product, service, or project. In this case, the cost of the computer programmer's time is directly related to the completion of the project and can be attributed to it.

Indirect costs, on the other hand, are expenses that cannot be directly attributed to a specific product, service, or project, but are necessary for the overall operation of a business or organization. Examples of indirect costs include rent, utilities, and administrative salaries.

In summary, since the cost of hiring a computer programmer is directly related to the completion of the project, it is considered a direct cost.

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arthur buys a new cell phone for $150. he receives consumer surplus of $150 from the purchase. how much does arthur value his cell phone?

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Arthur's value for the cell phone would be $300. The consumer surplus is defined as the difference between the actual price paid by a consumer and the price that he/she is willing to pay for that product, which means that he values the product more than the price he paid.

So, the amount of the consumer surplus in this question is $150, which is equal to the difference between the amount he paid for the cell phone and the amount that he values the cell phone.

Therefore, the value of the cell phone for Arthur is the sum of the price that he paid and the consumer surplus, that is,$150 + $150 = $300. Therefore, Arthur's value for the cell phone would be $300.

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a person borrows $100 from a payday loan company, and pays $10 interest for two weeks. this would result in an annual interest rate of approximately percent. ignore compounding.

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If a persοn bοrrοws $100 frοm a payday lοan cοmpany, and pays $10 interest fοr twο weeks. this wοuld result in an annual interest rate οf apprοximately 260 percent.

What is annual interest rate?

The annual interest prοduced by a sum that is paid tο investοrs οr charged tο bοrrοwers is referred tο as the annual percentage rate (APR). APR is a percentage that expresses the actual annual cοst οf bοrrοwing mοney thrοughοut the cοurse οf a lοan οr the revenue frοm an investment. This dοes nοt accοunt fοr cοmpοunding and includes any fees οr additiοnal expenditures related tο the transactiοn. Cοnsumers can evaluate lenders, credit cards, οr investment gοοds using the APR as a benchmark figure.

The interest rate is cοmputed as (Interest x 100)/(Principal x time).

Principal = $100

Interest = $10

Time = 2 weeks οr 2/52

Annual interest rate = ($10 x 100)/($100 x 2/52)

= 260%

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what total dollar amount may the broker- dealer borrow according to the rehypothecation regulations?

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According to rehypothecation regulations, the broker-dealer can borrow an amount equal to 140% of the value of the securities it is holding.

Rehypothecation is a practice where an investment bank, broker-dealer, or other financial institution uses securities held by their customers as collateral for their borrowing needs. In this scenario, the customers' assets are lent to other parties by the institution, which uses the cash obtained to finance its own operations.

However, the customer still retains ownership of the assets, which are transferred to the institution as collateral. The institution receiving the collateral from its customers is permitted to re-lend the securities to others, such as other financial institutions. Rehypothecation may take place without the client's consent, but regulations generally specify the number of securities that may be rehypothecated and require the client to sign a consent agreement.

Therefore, according to the regulations regarding rehypothecation, a broker-dealer can borrow an amount equivalent to 140% of the value of the securities it is holding. As a result, the total dollar amount the broker-dealer can borrow is determined by the value of the securities it is holding.

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lin is conducting an audit of an identity management system. which question is not likely to be in the scope of her audit?

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The question that is not likely to be in the scope of the audit is D. "What is the cost of the identity management system?"

The purpose of an audit is to verify the accuracy and reliability of the information related to the system, not to evaluate its financial aspects.

The audit should focus on the accuracy of data in the system and verify that the processes used to store and protect this data meet industry standards. The auditor should analyze the system to identify any gaps in information security, such as improper encryption or inadequate access controls, as well as ensure that proper procedures and policies are in place to protect the data.

The audit should also review any processes used to process and protect user data, such as authentication, authorization, and authentication mechanisms. Additionally, the auditor should review the accuracy of data in the system, the availability and security of the system, and any access controls used to protect user data.

Finally, the auditor should review the system for any potential risks associated with the data, such as the possibility of data breaches. This is important to ensure the integrity and reliability of the data in the system. In conclusion, the question "What is the cost of the identity management system?" is not in the scope of the audit and should not be included in the audit process.

lin is conducting an audit of an identity management system. which question is not likely to be in the scope of her audit?

A. Are user accounts created in a timely manner after a new employee joins the company?

B. Is the identity management system integrated with other systems in the organization?

C. How does the identity management system handle password resets?

D. What is the cost of the identity management system?

E. How frequently are access control policies reviewed and updated?

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An insurance adjuster has duties that generally include _____. (Select all that apply.)
reviewing the damaged goods
talking with an accident victim
looking at the accident site

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An insurance agent is responsible for investigating and assessing claims to see whether they are legitimate or not.

An adjuster may work directly for an insurance provider or as an independent contractor with an insurance provider.The adjuster's duties include the following:Investigating the cause of the accident and who was at fault.Examining the losses and damages to the insured's property.Assessing the damages caused by the accident.Talking with an accident victim Looking at the accident site.The duties of an insurance adjuster may vary depending on the claim's complexity and the insurance provider they work for. Some claims may require more thorough investigation and assessment, whereas others may be more straightforward and require less attention.An insurance adjuster has duties that generally include talking with an accident victim and looking at the accident site. These responsibilities help assess the situation and determine the appropriate compensation for the insured party.

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Hello! An insurance adjuster has several important duties that help them assess and manage insurance claims. Some of these duties generally include:

1. Talking with an accident victim: The adjuster communicates with the claimant to gather relevant information about the incident, such as the extent of injuries, property damage, and any other details that will help in evaluating the claim.

2. Looking at the accident site: Visiting the location where the accident occurred allows the adjuster to assess the damage firsthand, gather evidence, and take photographs. This helps them understand the situation better and determine the appropriate compensation.

In summary, an insurance adjuster's primary duties involve gathering information from claimants, inspecting the accident site, and evaluating the claim to ensure fair compensation. Their role is crucial in the insurance claims process as they help both the claimant and the insurance company reach a fair settlement.

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question 5 what are some key benefits of using external data? select all that apply. 1 point external data has broad reach. external data is always reliable. external data can provide industry-level perspectives. external data is free to use.

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Some key benefits of using external data are:External data can provide industry-level perspectives and insights that may not be available otherwise.

This data can help organizations to better understand market trends and customer behaviors and preferences, which can inform business decisions and strategies.External data can expand the reach of an organization's knowledge and insights, allowing for a more comprehensive and well-informed view of the market and its dynamics. This can help to identify new opportunities and areas for growth.External data can also help to reduce costs and improve efficiency, by enabling organizations to access information and insights that would be too costly or time-consuming to gather in-house. This can lead to faster decision-making and more agile responses to changing market conditions.

External data can be more reliable than internal data, as it is often collected and analyzed by independent third-party organizations. This can help to reduce bias and increase objectivity, leading to more accurate and trustworthy insights.External data is not always free to use, but it can be more cost-effective than collecting data in-house. By outsourcing data collection and analysis to specialized firms, organizations can save on staffing and equipment costs while still accessing high-quality insights and analytics.

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steve works for a pharmaceutical company and he specializes in marketing and sales. he generally works from home. according to the text, what type of worker is steve? a. teleworking b. global worker c. self-employed d. contract worker

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Steve is a teleworking worker.

Teleworking refers to when an employee works from home, and Steve specializes in pharmaceutical marketing and sales. He is a teleworker because he works remotely from home and not from a physical office.
Teleworking is advantageous for employees because it allows them to be more flexible and enjoy the convenience of not having to commute to and from work every day. Furthermore, employers benefit from teleworking because it reduces overhead costs.
Teleworking is an increasingly popular form of work, and it is likely to continue to grow in popularity as more and more people choose to work remotely. Steve is an example of this trend and is an example of how teleworking is beneficial for both employees and employers. Hence,  Steve is a teleworking worker.

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small company purchases new machinery by signing a $100,000 face amount 2-year note. the market interest rate is 8%, but no interest is due over the life of the note. small should recognize a net note payable of

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Small should recognize a net note payable of $100,000, assuming there is no additional cost associated with the note payable. A note payable is a liability account that arises when a company borrows money from a bank or other creditor.

It is a contract that specifies how much money has been borrowed, the interest rate charged, and the repayment date. The net note payable is the face value of the note payable minus any unamortized discounts or plus any unamortized premiums.

A discount or a premium might arise if the interest rate charged differs from the market rate of interest. If the interest rate charged is less than the market rate of interest, a discount is created. If the interest rate charged is greater than the market rate of interest, a premium is created. However, since the question states that no interest is due over the life of the note, the net note payable will be the same as the face value of the note. Therefore, Small should recognize a net note payable of $100,000.

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Of the three primary savings goals, which one should be taken care of first, and why?

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Of the three primary savings goals, the A. emergency fund should be taken care of first.

What primary saving goal takes priority ?

An emergency fund is a savings account that is used to cover unexpected expenses, such as a medical emergency, car repairs, or job loss. Having an emergency fund in place can provide a financial safety net and prevent individuals from having to rely on high-interest debt or liquidating long-term investments to cover these expenses.

Once an emergency fund has been established, individuals can then focus on building retirement savings and short-term savings for goals such as a down payment on a house or a vacation, as these are the other two primary savings goals.

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The full question is:

Of the three primary savings goals, which one should be taken care of first, and why? The three savings goals include:

Emergency fundRetirement savingsShort - term savings

the amount reported on the company's cash flow statement as net cash used by investing activities would total what amount g

Answers

1.Net Cash Flow = Net Cash Flow from Operating Activities + Net Cash Flow from Financial Activities + Net Cash Flow from Investing Activities.

2.Net Cash Flow = Total Cash Inflows – Total Cash Outflows.

3.100,000 + 40,000 – 60,000 = 80,000

The amount reported on the company's cash flow statement as net cash used by investing activities would total the amount "g".

The amount reported on the company's cash flow statement as net cash used by investing activities would total the net amount of cash that was used for investment activities during a particular period.

These investment activities could include the acquisition or disposal of long-term assets, such as property, plant, and equipment, as well as any investments in other companies or securities.The net cash used by investing activities figure can be calculated by subtracting the total cash inflows from investing activities from the total cash outflows from investing activities.

The resulting figure will indicate whether the company is generating more or less cash from its investments than it is spending on those investments. If the net cash used by investing activities is a positive number, it indicates that the company is spending more cash on its investments than it is generating from those investments.

On the other hand, if the net cash used by investing activities is a negative number, it indicates that the company is generating more cash from its investments than it is spending on those investments.

Cash flow statements are an important financial statement that provides investors with valuable information about a company's cash inflows and outflows during a particular period.

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fatima prefers ketchup to mustard. she prefers mayonnaise to relish, but she is indifferent between mustard and relish. which of the following statements can we say for sure? group of answer choices a. fatima prefers ketchup to mayonnaise. b. fatima prefers relish to ketchup. fatima prefers mayonnaise to mustard. c. fatima prefers mustard to mayonnaise.d. fatima prefers mayonnaise to mustard

Answers

The statement that we can say for sure is Fatima prefers ketchup to mayonnaise.

What is preference?

Preference is a greater liking for one alternative over another or others. Fatima prefers ketchup to mustard. Therefore, she likes ketchup more than she likes mustard. Fatima prefers mayonnaise to relish.

Therefore, she likes mayonnaise more than she likes relish. However, Fatima is indifferent between mustard and relish. Therefore, she has no preference between these two.

What is indifference?

Indifference means having no particular preference between two or more alternatives. When Fatima is indifferent between mustard and relish, she has no preference between these two.

It doesn't mean that she doesn't like them at all. It just means that she has no greater liking for one alternative over the other. So, from the given options, we can say for sure that Fatima prefers ketchup to mayonnaise. None of the other options are a certainty.

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g assume a firm generates $2,209 in sales and has a $326 increase in accounts receivable during an accounting period. based solely on this information, cash flow will increase by (enter your response as a whole number with no decimal places.)

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The question is asking to calculate the increase in cash flow based solely on the given information of $2,209 in sales and a $326 increase in accounts receivable during an accounting period. The answer is the increase in cash flow will be $1,883.

Calculate the increase in cash flow

To calculate this increase in cash flow, you need to first subtract the increase in accounts receivable ($326) from the sales ($2,209). The resulting figure is the cash flow before the increase in accounts receivable.

This figure is $1,883.

Therefore, the increase in cash flow is $1,883.

To explain further, the increase in accounts receivable is the amount of money that has been lent out and is expected to be collected from customers in the future.

When this amount increases, it does not reflect an increase in cash, as the money has not yet been received. Thus, when the accounts receivable is taken into account, the cash flow actually decreases. When the increase in accounts receivable is subtracted from the sales, the result is the amount of cash that has actually been generated by the firm during the accounting period. This figure of $1,883 is the increase in cash flow.

In summary, the increase in cash flow for the given accounting period can be calculated by subtracting the increase in accounts receivable from the total sales. The resulting figure of $1,883 is the increase in cash flow for this period.

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The products of service organizations tend to be more _____ than those of their manufacturing counterparts.
a. expensive
b. economical
c. uniform
d. customized
e. tangible

Answers

The products of service organizations tend to be more customized than those of their manufacturing counterparts. The correct answer is option d.

A service organization is a company that offers services rather than tangible goods. It is also known as the tertiary sector or service industry. Examples of service organizations include medical and law firms, educational institutions, and hotel and restaurants. To put it another way, a service organization is one that sells services rather than tangible products.

Manufacturing companies use raw materials to create finished goods, which are then sold to customers. Manufacturing organizations create tangible objects that are sold to customers to use or consume. These goods can include products such as cars, houses, and electronic equipment. In other words, a manufacturing organization is one that makes things out of raw materials.

Services are the products of service organizations. Service products, in general, are intangible in nature. Consulting services, banking, education, and health care are all examples of service products.

Physical goods are the products of manufacturing organizations. These can be consumer goods, capital goods, or intermediate goods.

The services provided by service organizations are intangible, whereas the goods manufactured by manufacturing organizations are tangible. The products of service organizations tend to be more customized than those of their manufacturing counterparts.

Furthermore, service products are not consumed but are instead experienced by the customers. Finally, the products of manufacturing organizations can be stored for a long time, whereas the products of service organizations cannot be stored.

Therefore option d is correct.

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When calculating a feeder or service load for existing installations, if the maximum demand data for a 1-year period is not available, the calculated load shall be permitted to be based on the maximum demand (the _____ kilowatts reached and maintained for a 15-minute interval) continuously recorded over a minimum 30-day period using a recording ammeter or power meter connected to the highest loaded phase of the feeder or service, based on the initial loading at the start of the recording.highest average220.87(1) Ex

Answers

If the maximum demand data for a 1-year period is not available, the calculated load shall be permitted to be based on the maximum demand (the highest average is 220.87(1) kilowatts reached and maintained for a 15-minute interval)

What is a feeder in electricity?


In the context of electricity distribution systems, a feeder is a circuit that carries electrical power from a substation to a distribution network or to a group of customers. A feeder is typically a set of electrical conductors (such as overhead wires, underground cables, or busbars) that are designed to deliver power to a specific area or group of customers.

Feeders are an essential component of electrical power distribution systems and are used to manage the flow of electricity from the substation to the loads. The size and capacity of a feeder depend on the amount of electrical power it is intended to deliver and the number of customers it is designed to serve.

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3. Beatrice makes two types of brownies plain and peanut butter. The plain sell for $12 per pound and have variable costs of $8 per pound. The peanut butter sell for $20 per pound. The peanut butter sell for $20 per pound and have variable costs of $13. The sales mix in 70% plain and 30% peanut. The fixed costs are $100,000 per month.
Required calculate the breakeven sales volume and revenue per producti

Answers

The break even, Beatrice needs to sell 32,258 pounds of brownies per month, generating a total revenue of $1,032,257, with 70% of the revenue coming from plain brownies and 30% from peanut butter brownies.

By calculating the breakeven sales volume and revenue per production period to using formula that is Breakeven Sales Volume = Fixed Costs / (Unit Selling Price - Unit Variable Costs)

In this case, the breakeven sales volume is equal to 100,000 / ((12 - 8) x 0.7 + (20 - 13) x 0.3) = 4,444.44 lbs

The breakeven sales revenue is equal to 100,000 / 4,444.44 lbs x (12 x 0.7 + 20 x 0.3) = 144,444.44

Therefore, Beatrice needs to sell 4,444.44 lbs of brownies in order to breakeven in a production period and generate sales revenue of 144,444.44. This means that she needs to sell 70% of the total sales volume as plain brownies and 30% as peanut butter brownies. By achieving the breakeven sales volume and revenue, Beatrice will be able to cover her fixed costs and make a profit.

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time affects value by a. minimizing uncertainty. b. decreasing distance to liquidity. c. reducing risk. d. delaying opportunity costs. e. postponing choice.

Answers

Option C: reducing risk is the answer to the question "Time affects value by" as it is the correct option that represents the impact of time on value.

It's essential to note that time has a significant effect on the value of a commodity or asset. It is often claimed that "time is money" since as time passes, the value of an item depreciates.

Risk refers to the probability of an asset or investment losing value over time. If an investment is high-risk, there is a higher possibility of losing money, and if it is low risk, there is a lower probability of losing money. Reducing risk is one of the effects of time on value.

Over time, the value of assets depreciates. This means that assets lose value over time. This is known as depreciation. As time passes, the value of an item depreciates. The longer an asset is held, the more likely it is to lose value. Inflation can also cause the value of money to decrease over time. Inflation is the rate at which the cost of goods and services rises over time. As the cost of goods and services increases, the purchasing power of money decreases. When it comes to investment, time can have a significant impact on the value of an investment. The value of an investment can fluctuates over time, and the longer an investment is held, the more likely it is to gain or lose value.

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