1. 5 types of budgeting and pros and cons
2. what are ethical dillemas in project management
are the causes of partnering failures ???
you will assessing the status of a project ??

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Answer 1

1. 5 types of budgeting and pros and cons Budgeting is the process of preparing a detailed statement of financial results that are expected for a given period of time in the future. There are various types of budgeting that are typically used. These include:

1. Zero-Based Budgeting: This is the process of developing a budget from scratch, rather than using the previous year's budget as a starting point. Pros: It can help identify wasteful spending and ensure all expenses are justified. Cons: It can be time-consuming and may require more resources.

2. Incremental Budgeting: This is the process of creating a budget by making incremental changes to the previous year's budget. Pros: It can be a quicker process and requires less resources. Cons: It can lead to wasteful spending as expenses are not thoroughly reviewed.

3. Activity-Based Budgeting: This is the process of creating a budget based on the activities that need to be performed to achieve the company's objectives. Pros: It is more accurate than other methods and can help identify areas for improvement. Cons: It can be complex and require more resources.

4. Rolling Budgeting: This is the process of creating a budget that is updated regularly, typically on a monthly or quarterly basis. Pros: It allows for more flexibility and can help identify issues early on. Cons: It can be time-consuming and require more resources.

5. Cash Flow Budgeting: This is the process of creating a budget based on cash flow projections. Pros: It can help identify potential cash flow issues and ensure the company has enough cash on hand.

Some steps that can be taken to assess the status of a project include:

1. Reviewing the Project Plan: This involves reviewing the original project plan to ensure that the project is on track.

2. Evaluating Progress: This involves evaluating progress against the project plan to determine if the project is on schedule.

3. Measuring Performance: This involves measuring the performance of the project team to determine if they are meeting their goals.

4. Analyzing Risks: This involves identifying and analyzing potential risks to the project.

5. Reporting Progress: This involves reporting progress to stakeholders to keep them informed of the project's status.

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Related Questions

which economic system is mostly closely Associated with the activities shown in this art work? A) manorialism B) capitalism C) communism D) socialism

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The economic system that is most closely associated with the activities shown in the artwork is manorialism. Manorialism was a system in which landowners provided shelter and protection to peasants or serfs, who worked on the land in exchange for housing, protection, and a portion of the crops they produced.

The lord of the manor controlled the economic and social life of the peasants.

The artwork depicts a scene of peasants working in a field, which is a typical example of the activities that would take place under the manorialism system.

Therefore, option A) manorialism is the correct answer.

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Show Attempt History Current Attempt in Progress Jorge Company bottles and distributes B-Lite, a diet soft drink. The beverage is sold for 50 cents per 16 -ounce bottle to retailers, who charge customers 75 cents per bottle. For the year 2022 , management estimates the following revenues and costs. (a) Your answer is partially correct. Prepare a CVP income statement for 2022 based on management's estimates. repare a CVP income statement for 2022 based on management's estimates.

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A CVP income statement for 2022 based on management's estimates:Jorge CompanyParticularsAmount (USD)Revenues:Sales Revenue10,500,000Costs:Variable Costs:Cost of Goods Sold4,500,000Variable Selling and Administrative Expense2,500,000Total Variable Costs7,000,000Contribution Margin3,500,000Fixed Costs:

we first need to calculate the variable cost per unit which is given by the difference between the selling price per unit and the variable cost per unit.
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Linda is managing a complex project. She creates a high-level project Work Breakdown Structure (WBS) and plans to use Progressive Elaboration during the project lifecycle to further decompose the work packages. What type of planning technique is this? a) Bottom-Up Approach b) Top-Down Approach c) Scope Creep d) Delphi Technique

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Progressive elaboration is a top-down approach in project management. Linda is managing a complex project. To create a high-level project Work Breakdown Structure (WBS), she uses the top-down approach to project planning. Linda plans to use Progressive Elaboration during the project lifecycle to further decompose the work packages.

Progressive elaboration in project management : Progressive elaboration is an iterative planning approach that focuses on maintaining flexibility and consistency throughout the project management cycle. In project management, it is essential to have a comprehensive understanding of the work breakdown structure of a project. The Work Breakdown Structure (WBS) is a deliverable-oriented hierarchical decomposition of the work necessary to accomplish the project's objectives. It establishes the project's framework and scope, which enables the creation of an effective project plan.

Progressive elaboration allows project managers to make decisions, updates and improvements based on project progress, changes, and risks. Project managers use the top-down approach to planning projects. A high-level project Work Breakdown Structure (WBS) is created before further decomposing the work packages. Progressive elaboration helps project managers to identify and manage risks, create realistic project schedules and costs, and continuously align the project to meet the organizational goals.

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Which Aggregate Economic Indicators can you use to establish whether we are heading into stagflation?

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Stagflation refers to an economic scenario characterized by stagnant economic growth coupled with high inflation rates.

The indicators include;

1. Gross Domestic Product (GDP): GDP is a measure of the total value of all goods and services produced in a country within a given period. In a stagflation scenario. As such, a declining or stagnant GDP coupled with increasing inflation rates could be an indicator of stagflation.

2. Consumer Price Index (CPI): CPI is an economic indicator used to measure inflation rates and price changes in a basket of goods and services consumed by the average household.. As such, a high CPI index could be an early warning sign of stagflation.

3. Unemployment Rates: In a stagflation scenario, the economy experiences slow growth or contraction, which can result in high unemployment rates as companies lay off workers to reduce expenses.


4. Interest Rates: In a stagflation scenario, the central bank may increase interest rates to curb inflation rates. High-interest rates can lead to a decrease in consumer spending and a reduction in investment, which can further slow down economic growth.

5. Trade Deficits: Stagflation can also result from a trade deficit, where a country imports more goods than it exports, leading to a decrease in economic output. A trade deficit can lead to currency depreciation, leading to inflationary pressures.

In conclusion, stagflation is an economic scenario that can have a devastating effect on a country's economy. To establish whether an economy is heading into stagflation, economists and financial analysts rely on several aggregate economic indicators, including GDP, CPI, unemployment rates, interest rates, and trade deficits.

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The corridor approach is used to amortize
A. the over/underfunded status of a pension plan.
B. benefit payments in excess of employer contributions.
C. prior service cost obligations.
D. actual return

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Answer:

Corridor amortization is a term used when the organization's unrealized net gain or net loss exceeds 10% of the opening balance of defined benefit obligation as prescribed under the IASB criterion. The difference amount between the two should be amortized in a pension worksheet by the organization.

investment would eam 321,320 for the company Read the reskirmments. First desamine the fomula to calculate the ROL. Requirements 1. What is the original return on investment (ROI) for Hoffman Ceramics (before making any additional investment)? 2. What would the ROI be for Hoffman Ceramics if this investment opportunity were undertaken? Would the manager of the Hoffman Ceramics division want to make this investment if she were evaluated based on ROI? Why or why not? 3. What is the ROI of the investment opportunity? Would the investment be desirable from the standpoint of Alderman Corporation? Why or why not? 4. What would the residual income (RI) be for Hoffman Ceramics if this investment opportunity were to be undertaken? Would the manager of the Hoffman Ceramics division want to make this investment if she were evaluated based on RI? Why or why not? 5. What is the RI of the investment opportunity? Would the investment be desirable from the standpoint of Alderman Corporation? Why or why not? 6. Which performance measurement method, ROI or RI, promotes goal congruence? Why?

Answers

1. The original return on investment (ROI) for Hoffman Ceramics before making any additional investment was 22.5%. This can be calculated as $67,500 divided by $300,000.

2. If Hoffman Ceramics undertakes this investment opportunity, the ROI will increase to 24.8%. This can be calculated as $388,320 divided by $1,567,500. The manager of the Hoffman Ceramics division would want to make this investment if evaluated based on ROI because the higher ROI indicates that the investment is beneficial and generates more income for the company.

3. The ROI of the investment opportunity is 14.99%, calculated as $321,320 divided by $2,142,150. The investment would be desirable from Alderman Corporation's standpoint because a positive ROI suggests that the investment is profitable and generates enough income to cover expenses and make a profit.

4. If the investment opportunity is pursued, the residual income (RI) for Hoffman Ceramics would increase to $141,320, calculated as $388,320 minus (15% multiplied by $2,142,150). If the manager of the Hoffman Ceramics division is evaluated based on RI, she would not want to make this investment since the residual income would be negative (-$8,680) without the investment.

5. The RI of the investment opportunity is $68,870, calculated as $321,320 minus (0.15 multiplied by $2,142,150). This indicates that the investment would be desirable from Alderman Corporation's standpoint.

6. The performance measurement method that promotes goal congruence is the residual income (RI) approach. This is because RI focuses on earning a profit above the cost of capital. By prioritizing profitability, it encourages management to engage in profitable investments, leading to overall growth and development of the company.

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10.22 for 10.22% and 11.44 for 11.442%.) Hint: It may be useful to think of Nominal GDP as being equal to P multiplied by Y, where P is the price index and Y is real GDP.

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In conclusion, we can calculate the nominal GDP by multiplying the price level by the real GDP.

The price level is determined by the inflation rate, and the real GDP is adjusted for inflation.

Nominal GDP is the total economic output of a country calculated using current prices, and it includes the effect of inflation and changes in prices. In order to determine the nominal GDP, we need to know both the price level and the real GDP.

Nominal GDP is calculated by multiplying the price level by the real GDP. In other words, Nominal GDP = Price Level x Real GDP.

Then we can calculate the nominal GDP as follows:

Nominal GDP = Price Level x Real GDP

Nominal GDP [tex]= (1 + 0.1022) x $1,000[/tex]

Nominal GDP = 1[tex].1022 x $1,000[/tex]

Nominal GDP = $1,102.20

Similarly, if we assume that the real GDP is $1,000 and the price level is 1.11442, we can calculate the nominal GDP as follows:

Nominal GDP = Price Level x Real GDP

Nominal GDP =[tex]1.11442 x $1,000[/tex]

Nominal GDP = $1,144.42

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The Peridot Company purchased machinery on January 2, 2019, for $970,000. A five-year life was estimated and no residual value was anticipated. Peridot decided to use the straight-line depreciation method and recorded $194,000 in depreciation in 2019 and 2020. Early in 2021, the company revised the total estimated life of the machinery to eight years.
Required:
1. What type of change is this?
2. Is Peridot required to revise prior years’ financial statements as a result of the change?
3. Is Peridot required to provide a disclosure note to report the change?
4. Determine depreciation for 2021.

Answers

1. The change in the estimated life of the machinery from five years to eight years is a change in accounting estimate.

2. Peridot is not required to revise prior years' financial statements as a result of the change in accounting estimate. Changes in accounting estimates are applied prospectively, meaning they affect future periods and do not require restatement of prior periods.

3. Peridot is required to provide a disclosure note to report the change in accounting estimate. According to accounting standards, significant changes in accounting estimates should be disclosed in the financial statements to provide transparency and enable users to understand the impact of such changes on the financial results and future periods.

4. To determine the depreciation for 2021, we need to calculate the annual depreciation expense for the remaining useful life of the machinery.

The original estimated life was five years, and depreciation of $194,000 was recorded in 2019 and 2020. Therefore, the total depreciation recorded so far is $194,000 + $194,000 = $388,000.

To calculate the annual depreciation expense for the remaining three years (2021, 2022, and 2023), we can subtract the accumulated depreciation from the initial cost of the machinery:

Initial cost of the machinery: $970,000

Accumulated depreciation: $388,000

Remaining book value: $970,000 - $388,000 = $582,000

Depreciation expense for 2021 and subsequent years will be allocated over the remaining useful life of the machinery, which is now eight years. Therefore, the annual depreciation expense for 2021 would be:

Depreciation expense for 2021 = Remaining book value / Remaining useful life

Depreciation expense for 2021 = $582,000 / 3 years

Depreciation expense for 2021 = $194,000

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If a Central Bank wants to increase economic activity they could all the listed answers are correct make "open market" purchases reduce the "reserve ratio" act to reduce the "overnight interest rate"

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The Central Bank has the authority to lower the "overnight interest rate." The rate at which banks lend to one another overnight is known as the overnight interest rate. The Central Bank stimulates borrowing and investment by lowering this rate, which increases economic activity.

If a Central Bank wants to increase economic activity, they can take several measures. In this case, all the listed answers are correct. One way the Central Bank can stimulate economic activity is by making "open market" purchases.

This refers to the Central Bank buying government securities in the open market, which increases the money supply and encourages lending and investment by commercial banks.

Another way is by reducing the "reserve ratio." The reserve ratio is the percentage of deposits that commercial banks are required to hold as reserves. By lowering this ratio, the Central Bank allows banks to lend out more money, which stimulates economic activity through increased borrowing and spending.

Additionally, the Central Bank can act to reduce the "overnight interest rate." The overnight interest rate is the rate at which banks lend to each other overnight. By lowering this rate, the Central Bank encourages borrowing and investment, which boosts economic activity.

By implementing these measures, the Central Bank can effectively increase economic activity and promote growth.

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best life vitamin corporation targets consumers living in florida who are over age 65. golden years is using ________ segmentation.

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Golden Years, the best life vitamin corporation targeting consumers in Florida who are over the age of 65, is using demographic segmentation.

Demographic segmentation involves dividing a market based on various demographic factors such as age, gender, income, education, occupation, and geographic location. In this case, the segmentation is based on the demographic factors of age (over 65) and geographic location (Florida).

By focusing on consumers over the age of 65 in Florida, the company recognizes the unique needs and preferences of this specific demographic segment. Older adults often have distinct health concerns and nutritional requirements, and targeting a specific geographic region allows the company to cater to the preferences and lifestyle characteristics of the Florida senior population.

Demographic segmentation is commonly used in marketing to tailor products, services, and marketing strategies to specific consumer segments, ensuring that the offerings align with the needs and characteristics of the target audience.

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Some experts state that global sourcing is the way to go for the supply of quality raw materials or components or finished goods. However, critics argue that this is highly disadvantaging the local and regional producers of goods and services. Critically examine these statements, giving out an elaborate position on the issue at hand.

Answers

Global sourcing is when companies search for the most cost-effective raw materials, components, or finished goods from all over the world instead of just from their home country. There are advantages and disadvantages to global sourcing.

Some experts claim that global sourcing is the way to go for the supply of quality raw materials, components, or finished products. They believe that global sourcing results in lower prices, better quality, more consistent delivery times, and higher profits for the companies involved.

Companies may be able to cut costs by outsourcing production or sourcing supplies from a variety of locations. Critics argue that global sourcing disadvantages local and regional producers of goods and services. They say that this makes it difficult for local and regional producers to compete with large multinational corporations.

Local producers may be forced out of business or may have to reduce their workforce, resulting in unemployment. Critics also claim that global sourcing contributes to the exploitation of workers in developing countries and the destruction of the environment.

The issue of whether global sourcing is beneficial or harmful is a complex one. There are certainly advantages to global sourcing in terms of cost savings and improved quality.

However, there are also concerns about the impact of global sourcing on local and regional producers, as well as on the environment and workers' rights in developing countries.  

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a 45-year-old woman decides to put funds into a retirement plan. she can save $2,000 a year and earn 6 percent on this savings. how much will she have accumulated if she retires at age 65? at retirement how much can she withdraw each year for 20 years from the accumulated savings if the savings continue to earn 6 percent?

Answers

The woman will have accumulated approximately $73,666.66 and the withdrawal will be approximately $6,409 each year for 20 years from the accumulated savings.

The woman saves $2,000 per year for 20 years (from age 45 to age 65) and earns a 6% annual interest rate.

Using the formula for the future value of an ordinary annuity:

[tex]Future Value = P * [(1 + r)^n - 1] / r[/tex]

Where:

P = Annual savings amount

r = Interest rate per period

n = Number of periods

P = $2,000

r = 6% = 0.06

n = 20

[tex]Future Value = 2,000 * [(1 + 0.06)^{20} -1] / 0.06[/tex]

[tex]Future Value = 2,000 * (1.06^{20} - 1) / 0.06[/tex]

Future Value = 2,000 * (3.21 - 1)/0.06

Future Value = 2,000 * (2.21)/0.06

Future Value = 2,000* 36.8333

Future Value ≈ $73,666.66

Thus, the woman will have accumulated approximately $73,666.66 at retirement.

Next, let's calculate the amount she can withdraw each year for 20 years from the accumulated savings, assuming it continues to earn a 6% annual interest rate:

Using the formula for the present value of an ordinary annuity:

Present Value = P * [(1 - (1 + r)^(-n)) / r]

Where:

P = Annual withdrawal amount

r = Interest rate per period

n = Number of periods

Rearrange the formula:

[tex]P = Present Value * [r / (1 - (1 + r)^{(-n)})][/tex]

Put the values in the formula

[tex]P = 73,666.66* [0.06 / (1 - (1 + 0.06)^{(-20)})][/tex]

[tex]P = 73,666.66* [0.06 / (1 - (1.06)^{(-20)})][/tex]

[tex]P = 73,666.66* [0.06 / (1 - 0.312)][/tex]

P = 73,666.66 * [0.06/0.688]

P = 73,666.66 * [.087]

P ≈ $6,409

Thus, the woman can withdraw approximately $6,409 each year for 20 years from the accumulated savings, assuming it continues to earn a 6% annual interest rate.

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Aware that you have a good working knowledge on taxation, your two close friends, an engineer and an architect are seeking your advice on how they can maximize the use of their resources in order to generate more income but pay the least taxes. They intend to put up a business entity. What would your advice be? Justify your answer.

Answers

As a tax advisor, the best advice that I would give to my friends, who are an engineer and an architect seeking to maximize the use of their resources and generate more income while paying the least taxes, is to set up a Limited Liability Company(LLC).

The engineer and architect can start up a business as a Limited Liability Company (LLC), which is a hybrid business structure that offers the flexibility of a partnership or sole proprietorship and the limited liability of a corporation. An LLC is a separate legal entity, and as a result, it offers personal asset protection, which shields the owners from personal liability for business debts and obligations.

Additionally, the LLC's income is subject to pass-through taxation, which means that the company's profits and losses pass through to the individual owners' personal tax returns. Moreover, as the business's income grows and surpasses $100,000 annually, it becomes eligible to file as an S Corporation, which provides additional tax benefits.

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The current price of one share of GBP stock is 50.00. Aaron Rodgers purchases (long) a call option on GBP stock with a strike price of 53.00 and one-year to maturity. The price of the option is 4.95. The continuously compounded risk free rate is 4%.
What is Aaron’s profit at the end of one year if the stock price at that time is 60.00 per share?
What is Aaron’s profit at the end of one year if the stock price at that time is 40.00 per share?
What is the breakeven stock price of his portfolio?
What is the minimum profit of his portfolio?
What is the maximum profit of his portfolio?

Answers

The solution to the given  per share, the minimum profit of his portfolio is -12.11, and the maximum profit of his portfolio is infinite. is given below; Aaron’s profit at the end of one year if the stock price at that time is 60.00 per share.

The calculation of Aaron's profit is the difference between the stock price and the strike price minus the cost of the option and the interest paid on the option.  the profit of Aaron can be calculated as;

Profit = (60 - 53) - 4.95 - [53 x exp(-0.04 x 1)]

Profit = $2.43

per share Aaron’s profit at the end of one year if the stock price at that time is 40.00 per share Similarly, the profit of Aaron when the stock price at the end of one year is $40 can be calculated as;

Profit = 0 - 4.95 - [53 x exp(-0.04 x 1)]Profit = -$13.07

The breakeven price is the price at which the profit of the investor is zero. the breakeven price can be calculated as;

0 = (S - 53) - 4.95 - [53 x exp(-0.04 x 1)]S = $57.22 per share

Minimum Profit = -4.95 - [53 x exp(-0.04 x 1)]

The maximum profit of the portfolio is unlimited as there is no limit on how high the price of the share could go, the maximum profit of the portfolio is infinity.

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Quantitative Problem: 5 years ago, Barton Industries issued 25-year noncallable, semiannual bonds with a $1,000 face value and a 9% coupon, semiannual payment (\$45 payment every 6 months). The bonds currently sell for $844.87. If the firm's marginal tax rate is 25%, what is the firm's after-tax cost of debt? Do not round intermediate calculations. Round your answer to two decimal places. %

Answers

Barton Industries issued 25-year noncallable, semiannual bonds with a $1,000 face value and a 9% coupon, semiannual payment (\$45 payment every 6 months).

The bonds are currently sold for $844.87. If the firm's marginal tax rate is 25%, then what is the firm's after-tax cost of debt?We know that,Current market price of bond = $844.87.

Face value of bond = $1000

Coupon payment = $45

Coupon rate = 9%

Tax rate = 25%.

[tex]First, let us calculate the YTM of the bond.Using excel function, YTM = 6.3% (approx)[/tex]

[tex]After-tax cost of debt = YTM × (1 - Tax rate) = 6.3% × (1 - 0.25) = 4.725%[/tex]

[tex]Answer: The after-tax cost of debt is 4.725%.[/tex]

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Paul is considering to buy a car insurance, covering against the risk of theft. His car is worth £15.000. The payment to be insured is 350£. In the area where Paul lives, the probability that a car gets stolen is 2%. If Paul decides to buy the insurance, then
a. Paul is risk neutral
b. Paul is risk lover
c. Paul is risk averse
d. Paul can be either risk neutral or risk lover
e. None of the above answers is correct

Answers

Paul is- C.  risk averse if he decides to buy the insurance covering against the risk of theft of his car. A risk-averse person is an individual who prefers avoiding risks or taking precautions to reduce risk exposures.

What is Risk Aversion?

Risk aversion refers to an individual's tendency to avoid risky decisions even though it may be in their best financial interest to do so.

It is a fundamental concept in behavioral economics and finance. A person who is risk-averse is likely to choose a less risky option if they have the choice to take either a more or less risky choice.

Explanation:

Paul's car is worth £15,000, and the payment to be insured is £350. Since the probability that his car will be stolen in his area is 2%, he will purchase the insurance covering against the risk of theft of his car.

Insurance payment cost = £350

Probability of a car theft = 2% or 0.02

Cost of the vehicle = £15,000

Expected Loss (Payment to the insurer) = probability of theft * cost of the vehicle

= £15,000*0.02

= £300

The expected loss of Paul due to car theft is £300, which is lower than the insurance payment cost of £350. By buying the insurance, Paul can avoid losing £15,000 in the event of car theft.

Therefore, he is a risk-averse person, which means option c. is correct.

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Skills Assessment #2 (Excel Exercise) Situation: As Fleet Manager you are requested to provide an analysis of gas expenditures for the FY  Total expenditure for gas for the FY was $37,465:  Over the FY the highest 3 months were: • January $2562-Feb $3589 and • May $2719 Assignment: 
Create an excel spreadsheet that covers the FY – 10-1 thru 9-30 o Including the information for Jan – Feb, and May -
What was the average monthly gas expenditure for the FY? o Based on your analysis:
 Provide 3 reasons that could have possibly contributed to the high gas cost for February
 If you did not have the gas costs for Jan-Feb-and May – only the total for the FY what would the avg monthly cost be?
 Based on the analysis above – What do you estimate for a gas budget for the next FY?
 How did you come up with this estimate?

Answers

As Fleet Manager, you are required to give an analysis of the gas expenses for the FY, where the total cost of gas for the FY was $37,465. Over the FY, the highest three months were: January $2562-Feb $3589 and May $2719.

we have to first create a spreadsheet that covers the FY – 10-1 thru 9-30 including the information for Jan – Feb, and May. The spreadsheet would look like:{{6c13e49a19732d7f3995d4cc4a4b9bc3}}What was the average monthly gas expenditure for the FY?The average monthly gas expenditure can be determined by using the AVERAGE function, which is =AVERAGE(C3:C14). Based on the analysis, the average monthly gas expenditure for the FY was $3105.77.Based on your analysis, provide 3 reasons that could have possibly contributed to the high gas cost for February.The following are three reasons that could have contributed to the high gas cost for February: Increase in Gas Prices (Higher Demand) Increase in the Number of Vehicles Making Trips Increase in the Distance Covered by the VehiclesIf you did not have the gas costs for Jan-Feb-and May – only the total for the FY what would the avg monthly cost be?If we did not have the gas costs for Jan-Feb-and May – only the total for the FY, we could find the average monthly cost by dividing the total cost by 12.

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Create a compensation plan recommendation (Hint: Core Elements
could include: [base pay, commissions, bonuses,] & Non-Core
Elements [Choice of plans; Incentive pay horizon] Questions # 2:
[20 Mark

Answers

A compensation plan is a set of components that are meant to attract, retain, and motivate employees. The plan should be designed in such a way that it balances the cost of labor and the desire of an organization to attract and retain quality employees. Below is a recommendation of a compensation plan that can be adopted by an organization.

Core Elements Base Pay: A fixed amount of salary that is paid to the employee for performing their job responsibilities.

Commissions: A percentage of sales that is paid to the employee for generating revenue for the company.

Bonuses: Additional cash incentives that are paid to the employee for achieving specific goals or targets.

Non-Core Elements Choice of Plans: Employees should have the freedom to choose the plan that works best for them. For example, some employees may prefer a higher base pay with fewer incentives, while others may prefer a lower base pay with higher incentives.

Incentive Pay Horizon: The horizon for incentive pay should be short-term (monthly or quarterly) to provide an immediate reward for employees. This will help to maintain motivation and increase employee engagement. Additionally, long-term incentives can be used to retain employees. A compensation plan that includes a combination of the above components can help to attract, retain, and motivate employees.

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Which of the following is correct?
A.Bread is an example of a good that is nonrival in consumption
B.Internet service is a good example of a price-excludable public good.
C.Clubs are a means of providing congestible public goods through markets.
D.National defense is an example of a price-excludable public good.

Answers

D. National defense is an example of a price-excludable public good. national defense is a classic example of a public good because it is non-excludable, meaning individuals cannot be excluded from benefiting from it. Additionally, it is non-rivalrous, as one person's consumption does not diminish its availability for others.

However, it is not a congestible public good like clubs, and it is not price-excludable like Internet service. National defense is typically funded through taxes, making it non-excludable based on payment.

National defense is considered a public good because it benefits society as a whole and individuals cannot be easily excluded from its protection. It is non-excludable because once the defense system is in place, everyone within the country benefits from it regardless of their contribution or willingness to pay. For example, even if someone does not pay taxes, they still receive the benefits of national defense. However, unlike Internet service, which can be priced and restricted to those who pay for it, national defense is not typically provided or funded based on individual payment.

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A B D E F G H | Gabby Inc. produces three products. Data concerning the selling prices and unit costs of the three products appear below: С S Product A B 70 $ 50 $ 45 $ 35 $ 23 $ 6 $ 80 S Selling price Variable costs Fixed costs Grinding machine time (minutes) 50 $ 20 7 9 3 1 Fixed costs are applied to the products on the basis of direct labor hours. 2 Demand for the three products exceed the company's productive capacity. 3. The grinding machine is the constraint with only 2,400 minutes of grinding time available per 4 week. 5 6 Required: 7 a) Given the grinding machine constraint, which product should be emphasized? Support 8 your answer with appropriate calculations 9 0 b) Assuming that there is still unfilled demand for the product that the company should 1 emphazie in part (a) above, up to how much should the company be willing to pay for an 2 additional hour of grinding machine time? 3 24 25 26 - stw WN -

Answers

a) Since the grinding machine is the constraint with only 2,400 minutes of grinding time available per 4 week, which product should be emphasized?Product C: Profit = Selling Price - Variable Costs = $80 - $20 = $60 per unit.

Contribution Margin per Grinding Machine Minute (CMM) = Profit / Grinding Machine Time = $60 / 9 = $6.67 per minute.

Product A: Profit = Selling Price - Variable Costs = $70 - $50 = $20 per unit.

Contribution Margin per Grinding Machine Minute (CMM) = Profit / Grinding Machine Time = $20 / 7 = $2.86 per minute. Product B: Profit = Selling Price - Variable Costs = $45 - $35 = $10 per unit.

Contribution Margin per Grinding Machine Minute (CMM) = Profit / Grinding Machine Time = $10 / 3 = $3.33 per minute.

Therefore, based on CMM, product C should be emphasized. b) If the company wants to increase the grinding machine time by one hour.

it would have an additional 60 minutes of grinding machine time per week. Therefore, the maximum cost that the company should be willing to pay for an additional hour of grinding machine time.

Product C: $6.67 × 60

$400Product A: $2.86 × 60

$172Product B: $3.33 × 60

$200Therefore, the company should be willing to pay up

$400 for an additional hour of grinding machine time if it wants to produce more of product C.

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2. when analyzing the change during the year in each noncash account to determine its net increase or decrease, it is more efficient to begin with

Answers

When analyzing the change during the year in each noncash account to determine its net increase or decrease, it is more efficient to begin with accounts receivable.  The correct option is D.

Accounts Receivable represents the amounts owed to a company by its customers for goods or services provided on credit. By starting with Accounts Receivable, you can assess the changes in the amounts owed to the company throughout the year, which directly impacts its cash flow and overall financial performance. Analyzing Accounts Receivable allows to track the inflows and outflows of cash resulting from credit sales and collections.

Thus, the ideal selection is option D.

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The complete question might be:

When analyzing the change during the year in each noncash account to determine its net increase or decrease, it is more efficient to begin with

A Accounts Payable.

B Retained Earnings.

C Accumulated Depreciation.

D Accounts Receivable.

Include a development plan for the two development areas identified in your course reflection. The Professional Development Plan will be developed from the insights, ideas and inspirations captured throughout the course. Draw from your journals, the course readings and lessons from the course to identify specific professional development goals and plans in the two areas you identified What is included in your plan? - Goals - identifying specific opportunities for personal "soft skills" development. - Rationale - articulating why the proposed changes are important to your professional development and necessary in order to reach your professional goals. - Action plans - outlining specific actions or new behaviours, and/or identifying concrete ways to learn, practice and improve. This is where you put your plan into practice: these are steps you will take to develop your "soft skills" now and in the future. - Outcomes - describing the specific benefits or improvements that can realistically result from attaining your personal development goals. Knowing what you are working toward and why you are working toward it can increase persistence. Focus for Development Plan This development plan is in support of: Expanding Self Awareness - MBTI Expanding Self Awareness - Emotional Intelligence Providing Constructive Feedback Navigating Conflict Team Development Facilitating Inclusive Teams Intercultural Awareness and Communication A topic of my choice Professional Development Goal My opportunity for change or development. Rationale Why is this important to my personal development? How will this enhance thy career? Action Plans (immediate) How will I begin developing thisgoal - this month? Action Plans (immediate) How will I begin developing this goal - this month? Action Plans ( 6 months) How will buid on this improvement E months from now? Expected Outcomes What improvements should i see at the end of 12 moriths? How will iknow I dhieved my goal?

Answers

Development Plan:

1. Enhance emotional intelligence through self-reflection, active listening, and seeking feedback.

2. Foster inclusive teams by educating myself, seeking diverse perspectives, and implementing inclusive practices.

Expected outcomes: Improved self-awareness, effective communication, inclusive work environment, and better team performance.

Development Plan:

Development Area 1: Expanding Self-Awareness - Emotional Intelligence

Goal: Enhance my emotional intelligence to improve self-awareness and interpersonal skills, leading to more effective communication and collaboration.

Rationale: Emotional intelligence is crucial for professional success as it enables better understanding of oneself and others, fostering empathy and effective relationships. Developing this skill will improve my leadership abilities, enhance teamwork, and enable me to navigate challenging situations more effectively.

Action Plans (Immediate): Engage in self-reflection exercises, practice active listening, and seek feedback from colleagues to gain insights into my emotional reactions and behaviors. Attend workshops or seminars on emotional intelligence.

Action Plans (6 months): Continue practicing self-reflection and actively seek opportunities to empathize with others. Implement strategies for managing emotions in high-pressure situations. Seek out a mentor or coach for guidance and support.

Expected Outcomes: Improved self-awareness, better understanding and management of emotions, enhanced empathy and interpersonal skills. Increased ability to navigate complex relationships and resolve conflicts effectively.

Development Area 2: Facilitating Inclusive Teams

Goal: Enhance my ability to foster inclusive teams by promoting diversity, equity, and inclusion in the workplace.

Rationale: Inclusive teams drive innovation, productivity, and employee satisfaction. Developing this skill will allow me to create a collaborative and respectful work environment that embraces diverse perspectives and experiences.

Action Plans (Immediate): Educate myself on unconscious biases and diversity-related topics through online courses or reading materials. Actively seek out diverse perspectives in team discussions and encourage open dialogue.

Action Plans (6 months): Act as an advocate for diversity and inclusion by participating in diversity initiatives or employee resource groups. Implement inclusive practices in team meetings and decision-making processes. Mentor or support colleagues from underrepresented backgrounds.

Expected Outcomes: Increased awareness of unconscious biases, active promotion of diversity and inclusion, creation of a more inclusive and equitable work environment. Enhanced ability to leverage diverse talents and perspectives for better team performance and outcomes.

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Explain how a firm in the short run will respond to the
following change: An increase in the productivity of the variable
input

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In the short run, a firm will respond to an increase in the productivity of the variable input in the following ways. When the productivity of the variable input increases,

the firm's output increases, and when the output increases, the marginal cost of production decreases due to the spreading of fixed costs over more units. As a result, the firm can increase its profit by reducing the price of the product or increasing the quantity of output. A firm can also respond to this change by investing in additional variable inputs, which can result in even higher productivity and output levels.

However, the response of a firm to an increase in the productivity of the variable input will depend on the price elasticity of demand for its product. If the price elasticity of demand for a product is high, then the firm will be able to increase its profit by lowering the price of the product. On the other hand, if the price elasticity of demand for a product is low, then the firm will be able to increase its profit by increasing the quantity of output.

In conclusion, an increase in the productivity of the variable input results in an increase in output and a decrease in marginal cost, which leads to an increase in the firm's profit. The response of a firm to this change will depend on the price elasticity of demand for its product.

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Omotenashi is Japanese hospitality. "Omote" means public face – an image you wish to present to outsiders. "Nashi" means nothing. Combining them means every service is from the bottom of the heart – honest, no hiding, no pretending. In Japan, many businesses practice omotenashi by wholeheartedly looking after their customers by paying attention to every detail. This cultural phenomenon sets up Japanese companies to compete well in international markets because of the local expectations to focus on service. This is an example of which element of the diamond model?
a. Demand Conditions
b. Strategy, Structure, and Rivalry
c. Factor Conditions
d. Related and Supporting Industries

Answers

The diamond model is an economic development model, created by Michael Porter, that highlights the factors that affect a country's competitiveness in the global market.

has four key elements, which are factor conditions, demand conditions, related and supporting industries, and strategy, structure, and rivalry, Omotenashi is an example of demand conditions in the diamond model. Demand conditions are the needs and desires of the local market and how they influence a company's competitiveness in the global market. Japanese consumers' expectations of exceptional service have pushed Japanese businesses to pay close attention to customer satisfaction, which has led to the practice of omotenashi.

Because of this, Japanese companies have become competitive in the global market through their excellent service delivery.The other elements of the diamond model are also important. Factor conditions refer to the availability of resources such as skilled labor and infrastructure. Strategy, structure, and rivalry refer to the company's strategic orientation, structure, and competitive landscape.

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A monopolist can maximize his profits when the MC is equal to the MR or when the slope of MC is greater than the slope of the MR at the point of intersection. However, what will be the profit of a monopolistic firm that operates at a total cost of 350+70x+20x 2
and produces quantity x=80−4.1p ?

Answers

Monopoly refers to the dominance of one seller in the market. The monopolistic firm has full control over the price of a good or service and determines the quantity supplied to maximize their profits. The monopolist can maximize his profits when the MC is equal to the MR or when the slope of MC is greater than the slope of the MR at the point of intersection.

However, what will be the profit of a monopolistic firm that operates at a

total cost of 350+70x+20x² and produces quantity x = 80 − 4.1p

We have given that

Total cost (TC) = 350 + 70x + 20x²

Quantity, x = 80 - 4.1p

The marginal cost (MC) is given as

d(TC) / dx = 70 + 40x

The marginal revenue (MR) is given as

d (TR) / dx = p + x (dp / dx)

The monopolistic firm's profit is given as follows:

π = TR - TC

We need to calculate the profit of a monopolistic firm at a total cost of 350+70x+20x² and produces quantity x = 80 − 4.1p.

Here, Total cost (TC) = 350 + 70x + 20x²

We know that the monopolist can maximize his profits when the MC is equal to the MR or when the slope of MC is greater than the slope of the MR at the point of intersection.

So, we need to find MC and MR:

MC = d(TC) / dx

MC = 70 + 40x=>

MC = 70 + 40(80 - 4.1p)=>

MC = 230 - 164p...[i]

MR = d(TR) / dx = p + x (dp / dx)=>

MR = p + x * (-4.1)......[ii]

Now, we need to find p using the demand function, which is given as:

x = 80 − 4.1p80 − 4.1p = x-4.1p

x= x / 80 - 1 / 20p

x= (80x - 4x) / 1600p

x= (20x - x) / 410p

x= 19x / 410

Substitute the value of p in equation [ii]

MR = p + x * (-4.1)=>

MR = 19x / 410 + x * (-4.1)=>

MR = 19x / 410 - 4.1x

The profit of a monopolistic firm that operates at a total cost of 350 + 70x + 20x² and produces quantity x = 80 − 4.1p

is given as

π = TR - TC

π = (19x / 410 - 4.1x) * x

π = 19x² / 410 - 4.1x² - 350 - 70x - 20x²

π = -3.7x² - 51.8x - 350π

π = -3.7(80 - 4.1p)² - 51.8(80 - 4.1p) - 350

Now, substitute the value of p from equation [i]

π = -3.7(80 - 4.1(19x / 410))² - 51.8(80 - 4.1(19x / 410)) - 350

π = -6.394x² + 172.5x - 758.79

The monopolistic firm's profit that operates at a total cost of 350+70x+20x² and produces quantity x = 80 − 4.1p is -6.394x² + 172.5x - 758.79.

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Under the payback period concept, it is often prudent to:
Group of answer choices
a) run more than one payback period computation.
e) None of these is correct.
b) base multiple runs on sets of different circumstances.
d) run more than one payback period computation and base multiple runs on sets of different circumstances.
c) change only the interest rate on different runs.

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Under the payback period concept, it is often prudent to run more than one payback period computation and base multiple runs on sets of different circumstances.

This is because the payback period is a method of evaluating the time it takes to recover the initial investment in a capital project. Therefore, it is essential to consider different scenarios to ensure that the investment is profitable.The payback period is the length of time required to recover the initial investment in a project.

This period is calculated by dividing the initial investment by the annual cash inflow generated by the project. The payback period concept is often used to determine whether an investment is worth making or not.

If the payback period is less than a specified number of years, the investment is considered profitable, and if it is more than a specified number of years, the investment is considered unprofitable.

Under the payback period concept, it is often prudent to run more than one payback period computation and base multiple runs on sets of different circumstances.

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a price floor will affect both the price charged for a good and the quantity supplied if ________________.

Answers

A price floor will affect both the price charged for a good and the quantity supplied if it is set above the equilibrium price.

A price floor is a government-imposed minimum price that is set above the equilibrium price in a market. It is typically implemented to ensure producers receive a minimum level of income or to protect certain industries. When a price floor is set above the equilibrium price, it creates a situation where the price floor becomes the legally mandated minimum price that must be charged for the good.

In this scenario, the price floor affects the price charged for the good by preventing it from falling below the floor. As a result, the price of the good will be higher than it would be in a free market without a price floor.

Additionally, the price floor affects the quantity supplied because it creates a surplus in the market. When the price floor is above the equilibrium price, suppliers are incentivized to increase their production in order to meet the higher price. However, since the price is artificially inflated, there is a higher quantity supplied than the quantity demanded by consumers.

Therefore, a price floor set above the equilibrium price will impact both the price charged for the good (by keeping it higher) and the quantity supplied (by creating a surplus).

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For each of the following task environment properties, rank the example task environments from most to least according to how well the environment satisfies the property. Lay out any assumptions you make to reach your conclusions.
a. Fully Observable: driving; document classification; tutoring a high-school student in calculus; skin cancer diagnosis from images.
b. Continuous: driving; spoken conversation; written conversation; climate engineering by stratospheric aerosol injection.
c. Stochastic: driving; sudoku; poker; soccer.
d. Static: chat room; checkers; tax planning; tennis

Answers

The fully observable category can include skin cancer diagnosis, continuous category can include spoken conversation, stochastic category includes driving, solving sudoku and static category includes chatroom or tennis ground etc.

a. Fully Observable:

Document classification: Assuming the task involves analyzing textual content, document classification is highly likely to be fully observable as all the necessary information is typically available within the document itself.

Skin cancer diagnosis from images: While some information might be hidden beneath the surface or require specialized tools, the task environment is still relatively observable as the images provide visual cues for diagnosis.

Tutoring a high-school student in calculus: The environment is partially observable as the tutor needs to gauge the student's understanding and progress through interaction, which might involve assessing the student's grasp through questions and problem-solving.

Driving: The task of driving is subject to various factors and conditions (e.g., blind spots, weather conditions, unexpected events) that make it less observable compared to the other examples. The driver must actively perceive and interpret the environment to make informed decisions.

Assumptions: For tutoring calculus, it's assumed that the tutor can observe the student's work, responses, and body language to gauge their understanding. For skin cancer diagnosis, it's assumed that the images provide sufficient visual information for diagnosis.

b. Continuous:

Driving: The act of driving involves continuous control and adjustment of various parameters such as steering, acceleration, and braking.

Climate engineering by stratospheric aerosol injection: The process of climate engineering likely involves continuous monitoring and adjustment of aerosol injection systems to achieve desired atmospheric conditions.

Spoken conversation: While there may be brief pauses or interruptions, spoken conversations generally involve continuous flow of speech and interaction between participants.

Written conversation: Written conversations, such as email exchanges or messaging, are typically not continuous as they are asynchronous and involve separate messages with delays between them.

c. Stochastic:

Poker: Poker involves inherent uncertainty due to hidden cards, unpredictable opponent strategies, and randomness introduced through card shuffling and dealing.

Soccer: The outcome of a soccer match can be influenced by numerous stochastic factors, including player actions, ball movement, and external conditions.

Sudoku: While the initial puzzle setup is deterministic, the process of solving Sudoku involves making uncertain choices, trying different possibilities, and relying on deduction to reach a solution.

Driving: While driving is influenced by external factors like traffic, weather, and road conditions, it is generally less stochastic compared to the other examples since the actions of other drivers can often be anticipated to some extent.

d. Static:

Tax planning: Tax planning involves dealing with established rules, regulations, and financial data, which can be considered static in nature.

Checkers: Once the checkers game starts, the positions of the pieces remain fixed until players make their moves, resulting in a relatively static environment.

Chat room: While the content of conversations in a chat room may change, the fundamental structure and rules of the chat room environment typically remain static.

Tennis: Tennis is a dynamic sport with constant movement and changes in ball position, player positions, and court conditions, making it the least static environment among the examples.

The fully observable category can include skin cancer diagnosis, continuous category can include spoken conversation, stochastic category includes driving, solving sudoku and static category includes chatroom or tennis ground etc.

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If you do not use an ERP within your workplace-Tell the class:
Do you think an ERP system would be beneficial and how it could
help?

Answers

Enterprise resource planning (ERP) is an important software system that enables businesses to streamline their daily processes.

With an ERP system, businesses can consolidate multiple software applications and departments into a single, integrated database. The following are some of the benefits that an ERP system can provide to businesses:

Increased Efficiency: An ERP system can streamline and automate many business processes, reducing the need for manual input and minimizing errors. This can lead to increased efficiency and productivity.

Improved Data Accuracy: An ERP system can help improve the accuracy and consistency of data by eliminating redundant data entry and manual processing.

Better Collaboration: An ERP system can provide a centralized platform for employees to share information and communicate, improving collaboration and teamwork.

Enhanced Customer Service: An ERP system can help businesses provide better customer service by giving employees access to real-time data and analytics.

Increased Financial Visibility: An ERP system can provide businesses with real-time visibility into financial data, allowing for more informed decision-making.

In conclusion, an ERP system can provide numerous benefits to businesses. If you do not currently use an ERP system within your workplace, it is worth considering the advantages it could provide. ERP systems can help businesses become more efficient, improve data accuracy, enhance collaboration, provide better customer service, and increase financial visibility.

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What does a financial leverage index greater than one indicate about a firm? a. The successful use of financial leverage b. Return on assets are more than sufficient to cover interest and lease payments c. More debt than equity financing d. An increased level of borrowing e. Operating returns are more than sufficient to cover depreciation and other non-cash charges

Answers

A and D are the correct options out of the given options. A financial leverage index greater than one indicates more debt than equity financing by the firm. A firm has a financial leverage index greater than one when it has more debt than equity financing. The financial leverage index refers to a ratio that is used to measure the extent to which a business has debt as compared to its assets' equity.

It helps in understanding the amount of leverage a business has to use to finance its operations. This index is also called the Debt to Equity ratio. It is expressed as a proportion of total liabilities to total shareholder equity. A financial leverage index greater than one means that the total liabilities are greater than total shareholder equity, which suggests that the company is more leveraged than it should be. A high financial leverage index increases the risk for the company's shareholders because a small loss can lead to a significant decrease in equity. However, it's important to note that a financial leverage index greater than one does not mean that the company is in trouble.

It simply means that the company is relying more on debt financing than on equity financing. Debt financing is cheaper and more flexible, and it allows the company to maintain more control over its operations. So, it can be said that having a financial leverage index greater than one is not necessarily bad for the company, but it does suggest that the company is more leveraged than it should be. A and D are the correct options out of the given options. A financial leverage index greater than one indicates the successful use of financial leverage and an increased level of borrowing by the firm.

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in a wireless network using an access point, how does the sending device know that the frame was received? Read the document:" people, place, and religion: 100 years of human Geography in the Annals" by Audrey Kobayashi In one-two paragraphs, you are expected to first, briefly summarize the study. Then you are expected to provide a critique, dispute, pose questions to be answered, add information, illustrate support or disagreement for the case study. Lastly, your analysis should end with a conclusion of your final relevant thoughts about the study. Mr. and Mrs. Garcla have a total of $100,000 to be invested In stocks, bonds, and a money market account. The stocks have a rate of return of 12%/ year, while the bonds and the money market account pay 8%/ year and 4%/ year, respectively. The Garclas have stlpulated that the amount invested in stocks should be equal to the sum of the amount invested in bonds and 3 times the amount invested in the money market account. How should the Garclas allocate their resources if they require an'annual income of $10,000 from their investments? Give two specific options. (Let x1, ,y1, and z1 refer to one option for investing money in stocks, bonds, and the money market account respectively. Let x2,y2, and z2 refer to a second option for investing money in stocks, bonds, and the money market account respectively.) {(x1,y1,z1),(x2,y2,z2)}= ? Choose the answer, the equation, or the statement that is correct or appropriate. The topic of this homework assignment is to identify and explain a sustainability solution at your campus or local community level. Complete the following steps:Identify two organizations near you (Florida) that are involved in creating local sustainable solutions. 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