grayson (single) is in the 24 percent tax rate bracket and has sold the following stocks in 2022: note: loss amounts should be indicated by a minus sign. stock date purchased basis date sold amount realized stock a 1/23/1998 $ 7,850 7/22/2022 $ 4,980 stock b 4/10/2022 15,200 9/13/2022 18,970 stock c 8/23/2020 12,250 10/12/2022 17,340 stock d 5/19/2012 5,710 10/12/2022 13,300 stock e 8/20/2022 7,720 11/14/2022 3,800 b. what is grayson's net long-term gain or loss from these transactions?

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Answer 1

Grayson's net long-term gain from these transactions is $9,810. However, it's important to note that this calculation only takes into account the long-term capital gains and losses. Long-term capital gain/loss = ($5,090 + $7,590) - ($2,870) = $9,810


- Stock A: held for more than one year
- Stock B: held for less than one year
- Stock C: held for more than one year
- Stock D: held for more than one year
- Stock E: held for less than one year

Using this information, we can calculate the long-term capital gains or losses for each stock:


- Stock A: $4,980 - $7,850 = -$2,870 (long-term capital loss)
- Stock B: $18,970 - $15,200 = $3,770 (short-term capital gain)
- Stock C: $17,340 - $12,250 = $5,090 (long-term capital gain)
- Stock D: $13,300 - $5,710 = $7,590 (long-term capital gain)
- Stock E: $3,800 - $7,720 = -$3,920 (short-term capital loss)

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Related Questions

The average collection period is calculated as 365 divided by.

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The average collection period is calculated as 365 divided by the accounts receivable turnover ratio.

The turnover ratio for accounts receivable evaluates how rapidly a business receives money from its clients. It is computed by subtracting the average accounts receivable balance from the net credit sales. Once you have the accounts receivable turnover ratio, you can calculate the average collection period by dividing 365 (the number of days in a year) by the turnover ratio. This will give you the number of days it takes for the company to collect payments from its customers on average.

The typical duration of time it takes a business to obtain money from a consumer after a sale is made is known as the average collection period. To calculate the average collection period, you first need to determine the accounts receivable turnover ratio.

Once you have the accounts receivable turnover ratio, you can calculate the average collection period by dividing 365 by the accounts receivable turnover ratio.

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part 1: janet sells a share of harper short at $7.40 per share, and at some future date covers her short position (gets out of his short position) when harper is trading at $11.10. what is janet's profit or loss on the trade? $ -3.70

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Janet's profit on the trade is $-3.70, which means she lost $3.70 on the trade.



Janet sold a share of Harper short at $7.40 per share, indicating her bearish view of the company's stock price. By selling the share, she effectively borrowed it from someone and sold it on the market with the hope of buying it back at a lower price in the future.

At a later date, Janet decided to cover her short position by buying back the share at a higher price of $11.10. This means that she had to buy the share back at a higher price than she had initially sold it for.

To calculate the profit or loss on the trade, we need to subtract the selling price from the buying price.

$11.10 (buying price) - $7.40 (selling price) = $3.70 (loss)

Therefore, Janet's profit on the trade is $-3.70, which means she lost $3.70 on the trade.

In summary, Janet's bearish view of Harper's stock price didn't pan out as the stock price rose, causing her to lose $3.70 on the trade.

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if i wait to turn in an assignment until right before it is due and there are technical difficulties, i will always be given extra time to complete the work.
T/F

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The statement is False. Waiting until the last minute to turn in an assignment is not a good strategy as technical difficulties or other unforeseen circumstances can arise, which may prevent the timely submission of the work.

However, this does not guarantee that the student will always be given extra time to complete the work. In many cases, professors or instructors may have strict policies regarding late assignments or technical difficulties. They may specify the deadline for submission of the work and may not accept late submissions or may only accept them with a penalty, such as a lower grade. Additionally, some instructors may not allow for extra time due to technical difficulties, especially if they feel that the student had enough time to complete the work before the deadline.

Therefore, it is always advisable to plan ahead and submit assignments well before the deadline to avoid any last-minute technical difficulties or other issues. If technical difficulties do arise, the student should communicate with the instructor immediately and seek guidance on how to proceed.

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Why would such markets be important for a country that is hoping to raise the standard of living of its​ residents?

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Emerging markets are important for countries that are hoping to raise the standard of living of their residents for several reasons.

Firstly, emerging markets present opportunities for businesses to expand and invest in new markets, which can create jobs and boost economic growth. This, in turn, can increase wages and salaries for workers, leading to a higher standard of living.

Secondly, emerging markets can also provide access to new resources and technology, which can improve productivity and innovation within the country. This can lead to better products and services being produced, increasing the competitiveness of the country's industries and potentially attracting foreign investment.

Lastly, emerging markets can provide opportunities for international trade, allowing countries to export their goods and services to new markets, increasing revenue and economic growth.

This can create a positive feedback loop, where increased economic activity leads to further investment and growth, ultimately raising the standard of living of the country's residents.

Overall, emerging markets can provide numerous benefits for countries hoping to raise the standard of living of their residents, including increased economic growth, job creation, innovation, and international trade opportunities.

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How much do you need to deposit each month for three years into a savings account that pays 6. 5% apr in order to buy a car that costs $25,000?.

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We, would need to deposit $668.06 each month for three years into a savings account that pays 6.5% APR in order to have enough to buy a car that costs $25,000.

To calculate the amount needed to deposit each month, we can use the formula for future value of an annuity;

[tex]F_{V}[/tex] = [tex]P_{mt}[/tex] x ([tex](1+r)^{n-1}[/tex]) / r

Where; [tex]F_{V}[/tex] = Future value (in this case, the cost of the car which is $25,000)

[tex]P_{mt}[/tex] = Payment

r = Interest rate per period (in this case, 6.5% APR / 12 months = 0.00542 monthly interest rate)

n = Number of periods (in this case, 3 years x 12 months per year = 36 months)

Plugging in the numbers, we get;

25,000 = [tex]P_{mt}[/tex] x ((1 + 0.00542)³⁶⁻¹) / 0.00542

Solving for [tex]P_{mt}[/tex], we get;

[tex]P_{mt}[/tex] = 25,000 x 0.00542 / ((1 + 0.00542)³⁶⁻¹)

[tex]P_{mt}[/tex] = $668.06

Therefore, we would need to deposit $668.06.

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An american computer programer who loses their job when their company relocates to india is ________ unemployed.

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When a firm moves its operations to India, an American computer programmer loses their job and becomes structurally unemployed.

Structural unemployment occurs when there is a mismatch between the skills and qualifications of the workers and the available job opportunities in the market. In the scenario described, the American computer programmer's job loss is due to the relocation of the company to India, which is an example of structural unemployment.

The programmer's skill set and experience may not match the available job opportunities in their local area, resulting in prolonged unemployment. Furthermore, the company's decision to move to India may have been driven by factors such as lower labor costs and access to a larger pool of skilled workers, which are structural factors beyond the programmer's control.

To address structural unemployment, workers may need to acquire new skills or retrain for in-demand jobs. Governments may also implement policies to encourage the growth of industries that match the skills of unemployed workers, provide education and training programs, and support relocation assistance to help workers find new jobs in different regions.

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in january, year 2, a single individual taxpayer inherited stock in a qualified small business under section 1244. the inherited stock had cost the taxpayer's parents $10,000 and was worth $17,000 on the date of death. in june, year 2, the inherited stock was deemed worthless. in july, year 2, the taxpayer sold stock in a large corporation for $10,000. the taxpayer had purchased the stock for $7,000 in december, year 1. what amount of loss can the taxpayer deduct against ordinary income in year 2?

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In this scenario, the taxpayer can deduct a loss of $3,000 against their ordinary income in Year 2.

This is because the Section 1244 stock, which was inherited at a value of $17,000, became worthless in June, resulting in a loss of $17,000. However, in July, the taxpayer sold stock in a large corporation for a gain of $3,000 ($10,000 sale price - $7,000 purchase price). The gain offsets the loss, leaving a deductible loss of $3,000 against ordinary income for Year 2.

The amount of loss the taxpayer can deduct against ordinary income in year 2 would depend on several factors. Firstly, the inherited stock in the qualified small business under section 1244 would be considered a capital loss. Since the stock was deemed worthless in June of year 2, the taxpayer would be able to claim a capital loss deduction on their tax return for the tax year in which the loss occurred.

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which of the following conditions is characteristic of a monopolistically competitive firm in long-run equilibrium?a.P>demand and P = MR b) ATC > demand and MR = MC c) P> MC and demand = ATC d) P > ATC and demand > MR

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The condition that is characteristic of a monopolistically competitive firm in long-run equilibrium is: c) P > MC and demand = ATC.

In a monopolistically competitive market, firms differentiate their products and have some control over the price they charge. In long-run equilibrium, these firms will produce at a level where the price they charge (P) is greater than their marginal cost (MC), but the demand for their product is equal to their average total cost (ATC). This allows them to earn normal profits without incentivizing entry or exit from the market.

Monopolistic competition is a market structure characterized by a large number of firms selling differentiated products. In the long-run, these firms reach an equilibrium where they earn normal profits (zero economic profit) as the demand for their product equals their ATC, and they can't lower their prices due to their differentiation strategy. Additionally, the price they charge is higher than their marginal cost (P > MC), which is a distinguishing feature of monopolistically competitive firms compared to perfectly competitive firms.

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there are several factors that predict when a skimming pricing policy is likely to be most effective, including situations in which.

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Skimming pricing is a strategy that sets a high initial price for a product or service and then gradually lowers it over time.

This approach is commonly used when introducing new products or services. Factors that predict the effectiveness of this pricing policy include inelastic demand, unique product features, limited competition, a strong brand reputation, and a target market consisting of early adopters or customers willing to pay a premium for the latest technology or innovation.

When customers are not very price-sensitive, have limited options, or value a company's reputation and unique features, they are more likely to be willing to pay a premium price for the product or service, making skimming pricing effective.

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Which one of the following is an example of a direct cost that might result from a business disruption?A. Damaged reputationB. Lost market shareC. Lost customersD. Facility repair

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Option d: The following is an example of a direct cost that might result from a business disruption is Facility repair.

Prices that can be directly associated with the production of a particular good or service are called direct costs. Services, products, or departments can be cost objects and sources of direct costs. The two main categories of expenses or costs that a company may incur are direct costs and indirect costs. Direct costs are often variable costs. That is, it changes according to production levels, such as inventory levels. Some costs, such as B. Indirect costs, but are more difficult to attribute to specific products. Depreciation and administrative costs are two examples of overhead costs.

Direct costs may include fixed costs, but are usually variable costs. For example, factory rents may be closely related to manufacturing locations. Rent is normally considered an expense. However, companies sometimes associate fixed costs with the number of units produced at a particular facility.

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btn incorporated reports operating expenses of $27,000. its comparative balance sheet shows that accrued liabilities decreased $6,000 and prepaid expenses increased $2,000. compute cash used in operating activities using the direct method.

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To compute cash used in operating activities using the direct method, we need to adjust net income for changes in non-cash items such as accruals and prepayments.

First, we need to subtract the decrease in accrued liabilities of $6,000 from operating expenses of $27,000, giving us $21,000. Then, we need to add the increase in prepaid expenses of $2,000, giving us a total of $23,000. Therefore, cash used in operating activities using the direct method is $23,000. This indicates that the company used $23,000 in cash to pay for operating expenses, including the decrease in accrued liabilities and the increase in prepaid expenses. This information can be useful for analyzing the company's cash flow and financial health, and can help investors make informed decisions about whether to invest in the company or not.

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you are interviewing for the role of human resources manager for a network hardware design and manufacturing firm. over the last year, the firm has lost a number of high-level executives who left the firm to go to work for competitors. during the course of your interview, you are asked what measures you would put in place to reduce the potential loss of trade secrets from executives leaving the firm. how would you respond? can you provide examples.

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As a human resources manager for a network hardware design and manufacturing firm, it is crucial to have measures in place to reduce the potential loss of trade secrets from executives leaving the firm. Here are some measures that I would put in place:

1. Non-disclosure agreements (NDAs): NDAs are legal contracts that prohibit employees from disclosing confidential information. I would ensure that all high-level executives sign an NDA to protect the company's intellectual property.
2. Exit interviews: Conducting exit interviews with departing executives can help identify potential risks and address any concerns they may have. It also provides an opportunity to remind them of their obligations under the NDA.
3. Employee education and training: Educating employees on the importance of protecting the company's trade secrets and providing training on how to do so can help minimize the risk of confidential information leaving the firm.
4. Restricting access to sensitive information: Limiting access to sensitive information to only those employees who need it can reduce the likelihood of trade secrets being leaked.
5. Monitoring and tracking: Implementing monitoring and tracking systems to detect any unusual activity or access to confidential information can help identify potential breaches and allow for prompt action to be taken.

Overall, implementing a combination of these measures can help reduce the potential loss of trade secrets from departing executives and protect the company's intellectual property.

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use this info to answer the next five questions return on stock a (%) return on market (%) 2011 -10 -5.0 2012 5.5 8.5 2013 9.1 5.9 2014 -2.5 -4.3 beta ? ? expected return ? ? question 7 (1 point) what are the betas of stock a and market?

Answers

Answer:

The beta of stock A cannot be determined with the given information.

Beta is a measure of systematic risk that compares the volatility of a stock's returns to the overall market's returns. It is calculated by regressing the returns of the stock against the returns of the market. In this case, we have the returns of stock A and the returns of the market, but we do not have the covariance between the two, which is needed to calculate beta.

Therefore, we cannot determine the beta of stock A with the given information.

Your department is extremely busy today processing a high volume of mail and your crew is struggling to keep up with the pace. You observe a few coworkers are taking personal calls on their cell phones and not handling their share of the workload.
What would you most and least likely do?

Answers

Possible actions that could be taken in this situation include:

Speaking directly to the coworkers taking personal calls and reminding them of the workload and the importance of everyone doing their share.Alerting the team leader or manager to the issue and asking for their support in addressing it.Dividing up the workload more evenly among the team members, taking into account any individual strengths or weaknesses.Offering to help out those who are struggling to keep up with the workload.

The most likely action would be to speak directly to the coworkers and remind them of their responsibilities. The least likely action would be to ignore the problem and hope that it resolves itself.

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Complete Question:

What are some possible actions that could be taken in a situation where a department is extremely busy processing a high volume of mail, and some coworkers are taking personal calls on their cell phones and not handling their share of the workload? What would be the most and least likely actions to be taken in this situation?

In Stackelberg competition between two identical firms, O a. the leader anticipates the follower's response to his quantity and hence has a first-mover advantage. Ob. both firms use their competitor's best response function to derive their optimal strategy. the follower has a second-mover advantage, because he already knows his competitors strategy and can c. therefore achieve higher profits. Od. it does not matter for a firm if it is leader or follower.

Answers

In Stackelberg competition, there are two identical firms competing with each other. The correct option is B.

The leader in this competition is the firm that first sets its quantity or price, and the follower follows the leader's strategy. This means that the leader has a first-mover advantage because it can anticipate the follower's response to its strategy.

Both firms use their competitor's best response function to derive their optimal strategy. The follower, in this case, has a second-mover advantage because it already knows the leader's strategy and can adjust its own strategy to achieve higher profits. This means that the follower has the opportunity to make better decisions based on the information it has.

Therefore, the answer to the question is option B - both firms use their competitor's best response function to derive their optimal strategy, and the follower has a second-mover advantage. It is not true that it does not matter if a firm is a leader or follower. In Stackelberg competition, being a leader or follower can have a significant impact on a firm's profits.

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this life insurance is used to pay off certain debts, such as auto loans, in the event that you die before the debts are paid in full. which of the following is typically not the best buy for the amount of protection offered? a.group life b. term c.credit life d. endowmen life d. adjustablelife

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The life insurance policy that is typically not the best buy for the amount of protection offered is credit life.

Credit life insurance is a type of policy that pays off a borrower's debt in the event of their death. It is specifically designed to cover a single debt, such as a mortgage or auto loan. However, credit life insurance policies tend to be more expensive than other types of life insurance policies, such as term life insurance.

Additionally, credit life insurance policies may have limited coverage amounts and may not provide the same level of flexibility as other types of policies.

Therefore, if you are looking for life insurance to pay off certain debts in the event of your death, it is typically best to consider other options, such as term life insurance. Term life insurance policies tend to be more affordable and flexible, making them a better overall value for the amount of protection offered.

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T/F: "a project's irr is independent of the firm's cost of capital. in other words, a project's irr doesn't change with a change in the firm's cost of capital."

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The statement is False. A project's internal rate of return (IRR) is dependent on the firm's cost of capital. The IRR represents the rate at which the project's cash inflows equal its cash outflows.

The rate of return refers to the percentage increase or decrease in the value of an investment over a specified period of time. It is an important metric used by investors to measure the profitability of an investment and to compare different investment opportunities.

A high rate of return indicates that the investment has generated a significant profit, while a low rate of return suggests that the investment has underperformed. Investors use the rate of return to evaluate the performance of their investment portfolios and to make informed investment decisions.

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when is social loafing more likely to occur? multiple choice in tasks with high interdependence in smaller rather than larger teams when the task is boring and not interesting when employees believe the team's objective is important

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Social loafing is more likely to occur in tasks with high interdependence in smaller teams, especially when the task is not interesting.

However, it is less likely to occur when employees believe that the team's objective is important. This is because individuals tend to feel a greater sense of responsibility towards the team's goals and are more motivated to contribute their efforts towards achieving them. So, the answer to your question is a long answer that includes all these terms: social, interesting, and multiple-choice.


Social loafing is more likely to occur when the task is boring and not interesting. In such situations, individuals may not feel as engaged or motivated to contribute their best efforts, leading to social loafing within the team.

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The city of santa barbara, california, is reportedly close to declaring what a public nuisance?.

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Santa Barbara is almost ready to open its one and only Chick-fil-A location. A "public nuisance" because to the lengthy drive-thru lines that frequently result in cars backed up onto the street for hours at a time with hungry customers inside.

Because Santa Barbara forbade the development of new drive-through establishments more than 40 years ago, drive-throughs are uncommon there. Santa Barbara is almost ready to open its one and only Chick-fil-A location.a "public nuisance" because to the lengthy drive-thru lines that frequently result in cars backed up onto the street for hours at a time with hungry customers inside.

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lihue, inc., applies fixed overhead at the rate of $2.20 per unit. budgeted fixed overhead was $770,000. this month 345,000 units were produced, and actual overhead was $760,000. required:a. what are the fixed overhead price and production volume variances for lihue?b. what was budgeted production for the month?

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lihue, inc., applies fixed overhead at the rate of $2.20 price per unit. budgeted fixed overhead was $770,000. Use the formulas below to determine the variations in the fixed overhead price and production volume.

1. Determine the fixed overhead applied: Fixed Overhead Rate x Actual Units Produced = Applied Fixed Overhead

The total applied fixed overhead is $191,216 ($6.80 x 28,120 units).

2. Determine the Variance in Fixed Overhead Price:

Fixed overhead price variation is determined by dividing the applied fixed overhead by the actual fixed overhead. For example, $191,216 minus $192,100 is -$884 (unfavourable).

3. Determine the budgeted units manufactured:

Budgeted Fixed Overhead / Fixed Overhead Rate equals Budgeted Units Produced.

29,000 units were produced from the budgeted $197,200 ($6.80).4. Determine the Variance in Fixed Overhead Production Volume: Actual Units Produced - Budgeted Units Produced x Fixed Overhead Rate: Fixed Overhead Production Volume Variance

Variance in Fixed Overhead Production Volume = (28,120 - 29,000) x $6.80 = -$5,984 (Unfavourable)

Therefore, the production volume variance for Coe Parts is -$5,984 (unfavourable) and the fixed overhead price variance is -$884 (unfavourable).

b. In step 3, we already performed the calculation necessary to determine the monthly budgeted production. The monthly manufacturing target was 29,000 units.

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bengal company provides the following unit sales forecast for the next three months: july august september sales units 4,300 5,000 4,860 the company wants to end each month with ending finished goods inventory equal to 30% of the next month's sales. finished goods inventory on june 30 is 1,290 units. the budgeted production units for july are:

Answers

The budgeted production units for July are 5,770 units.

To determine the budgeted production units for July, we need to first calculate the desired ending finished goods inventory for each of the next three months. Using the given information, we can calculate the following:

- Desired ending inventory for August: 30% of September sales = 0.3 x 4,860 = 1,458 units
- Desired ending inventory for July: 30% of August sales = 0.3 x 5,000 = 1,500 units

To calculate the desired ending inventory for June, we need to work backwards. Since we know the actual ending inventory for June was 1,290 units, we can use the same formula to calculate the June sales:

- Actual ending inventory for June: 1,290 units
- Desired ending inventory for July: 30% of August sales = 1,500 units
- Sales in June: Desired ending inventory for July / (1 + 0.3) = 1,500 / 1.3 = 1,154 units

Now that we know the sales in June, we can calculate the production units for July:

- Sales in July: 4,300 units
- Production units for July: Sales in July + Desired ending inventory for August - Actual ending inventory for June = 4,300 + 1,458 - 1,290 = 4,468 units

However, we need to round up to the nearest hundred, so the budgeted production units for July are 5,700 units.

The budgeted production units for July are 5,770 units, rounded up to the nearest hundred.

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FILL IN THE BLANK. A pair of shoes is given _____ when it is shipped from a factory to a department store.

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A pair of shoes is given pricing when it is shipped from a factory to a department store. In a tiny town, there are two shoe stores. A pair of running shoes is being offered by store A for $39.50.

Most likely, this retailer is selling running shoes for less than it would cost to produce them in order to put the competing shoe store out of business or at the very least, to deter them from carrying the same running shoe.

Most likely, this retailer is selling running shoes for less than it would cost to produce them in order to put the competing shoe store out of business or at the very least, to deter them from carrying the same running shoe. Marybeth's devotion to Great Shoes is an illustration of brand loyalty. Retail loyalty is the deliberate choice to purchase a specific product from a single retailer. Marybeth could have looked for the shoes at other retailers and could have paid less for them, but she has a strong loyalty to Great Shoes.

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which of the following is true about the standard error of estimate? multiple choice it is calculated using the regression mean square. it can be negative. it is a measure of the accuracy of the prediction. it is based on squared vertical deviations between y and x.

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The true statement about the standard error of estimate is that it is a measure of the accuracy of the prediction.

the standard error of the estimate is a statistical measure that indicates how accurately the regression equation predicts the response variable. It is calculated as the square root of the mean squared error and is based on the difference between the predicted and actual values of the response variable. The standard error of estimate cannot be negative and is typically reported in the same units as the response variable. Therefore, the correct option among the multiple choices is that the standard error of estimate is a measure of the accuracy of the prediction.
The standard error of estimate is used to assess the accuracy of predictions made using a regression model. It indicates the average difference between the actual observed values and the predicted values from the model. It is not calculated using the regression mean square, cannot be negative, and is based on squared vertical deviations between the observed values (Y) and the predicted values (Y'), not between Y and X.

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today, only a small percentage of companies in the u.s. monitor the email of their employees when using company systems. question 31 options: 1) true 2) false

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The majority of American businesses do not now check their employees' emails sent through company networks. This statement is true.

According to a 2018 survey by the Society for Human Resource Management (SHRM), about 36% of organizations in the U.S. monitor their employees' email and other electronic communication. This is a significant percentage, indicating that a considerable number of companies are monitoring their employees' online activity.

On the other hand, a more recent survey conducted by the same organization in 2020 found that the percentage of companies monitoring employees' email had decreased slightly, to 28%. This suggests that there may be a trend towards fewer companies monitoring email.

It is worth noting that there may be differences in monitoring practices between different industries and types of companies. For example, some industries, such as finance and healthcare, may be more likely to monitor email due to regulatory requirements and privacy concerns.

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which of the following are characteristics of a oligopoly? choose all that apply. group of answer choices the firm produces different goods or services. the firm's demand curve is perfectly elastic. the firm produces identical goods or services. the firm determines the price to charge its buyers. there are high barriers to entry or exit.

Answers

The characteristics of an oligopoly are that the firm produces identical goods or services, the firm determines the price to charge its buyers, and there are high barriers to entry or exit. An oligopoly is a market structure where a few large firms dominate the market. The firms in an oligopoly typically produce identical goods or services and have significant control over the market price.

This means that the firm determines the price to charge its buyers. Additionally, oligopolies often have high barriers to entry or exit, making it difficult for new firms to enter the market and compete with existing firms. The firm's demand curve may not be perfectly elastic, as this would suggest that the firm is a price taker and has no control over the market price. However, the firm may have some pricing power, allowing it to set prices above the marginal cost of production.

In an oligopoly, firms produce identical or very similar goods or services. This is because there are only a few dominant firms in the market, and they often produce standardized products to maintain market power. The firm determines the price to charge its buyers in an oligopoly because the few dominant firms in the market have significant influence over pricing. They can engage in strategic pricing, such as price fixing or predatory pricing, to maintain their market power and influence consumer demand. There are high barriers to entry or exit in an oligopoly. These barriers can include significant start-up costs, access to key resources, or government regulations.

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Although open market operations and discount loans both change the monetary base, the fed has:.

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Although open market operations  and discount loans both change the monetary base, the Federal Reserve (the Fed) has distinct reasons and mechanisms for using each tool.

Open market operations involve the buying and selling of government securities in the open market, primarily affecting the federal funds rate. This tool is used to regulate the overall money supply and is the Fed's primary method for implementing monetary policy. On the other hand, discount loans are provided to commercial banks and other depository institutions, altering the discount rate, which is the interest rate charged by the Fed. These loans act as a safety net for banks facing short-term liquidity issues and help maintain stability in the banking system.  while both open market operations and discount loans impact the monetary base, the Fed utilizes them for different purposes: open market operations for managing the overall money supply and implementing monetary policy, and discount loans for assisting banks with short-term liquidity needs and ensuring the stability of the financial system.

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____is the official export credit agency of the united states and is a valuable tool for small businesses because it does not require a minimum transaction limit.

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The official export credit agency of the United States is the Export-Import Bank (EXIM) and it is a valuable tool for small businesses. Because it does not require a minimum transaction limit. EXIM provides financing and insurance solutions to support American businesses in exporting their products and services globally.


The official export credit agency of the United States is the Export-Import Bank (EXIM). It is a valuable tool for small businesses because it does not require a minimum transaction limit, enabling them to participate in global export activities.

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which area of the economy has seen increases in union membership since the early 1970s?

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Since the early 1970s, the area of the economy that has seen increases in union membership is the public sector.

This includes employees working for government organizations, such as teachers, healthcare workers, and public safety officers. In contrast, private sector union membership has generally declined during this period.

What is union membership?

Unions help to reduce wage disparities for women and people of color. Union members benefit from improved workplace safety protections, more generous paid time off policies, and a greater sense of security while defending their legal rights at work when compared to non-union employees.

Is it good to be a member of union?

Your cherished benefits, like reasonable pay raises, cost-effective health insurance, job security, and a regular schedule, are secured by a contract that was drafted and defended by management and union members. better working conditions, free from retaliation worries.

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at the heart of any successful sales force is a means of selecting effective representatives. which of the following statements are true about zifty?

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It is important for Zifty to have a strong and effective sales force in order to succeed. While the specific statements being referred to are unclear, it is evident that sales and effective communication are key components of Zifty's success.

At the heart of any successful sales force is a means of selecting effective representatives. When it comes to Zifty, an online platform that allows customers to order food and other products from local businesses, it is important to have a team of representatives who can effectively promote the company's services and attract new customers. So, which of the following statements are true about Zifty?
Without knowing the specific statements being referred to, it is difficult to provide a definitive answer. However, based on the general knowledge of Zifty, it is possible to make some assumptions. Firstly, Zifty is a company that relies heavily on sales to succeed. The company's revenue is generated through commissions earned on orders placed through its platform. Therefore, having an effective sales force is crucial to the company's success.
Secondly, Zifty is a platform that connects customers with local businesses. This means that the company's representatives must be knowledgeable about the businesses they are promoting and must be able to effectively communicate the benefits of using Zifty to customers.
In terms of selecting effective representatives, Zifty may use a variety of methods. This could include assessing the candidate's sales experience, communication skills, and knowledge of the local market. Additionally, Zifty may provide training to its representatives to ensure they have the skills and knowledge required to promote the company effectively.

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FILL IN THE BLANK. A ________ shows the capacity required at each work center based on planned and released orders for each time period of the plan.

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A capacity plan shows the capacity required at each work center based on planned and released orders for each time period of the plan.

Capacity planning is a process of determining the amount of production capacity a company needs to meet its current and future demand. The capacity plan provides a detailed view of the required capacity at each work center or machine, based on the production schedule and order releases.

The capacity plan is an important tool for manufacturers, as it helps to ensure that they have enough production capacity to meet customer demand while minimizing waste and inefficiencies. By understanding the required capacity for each work center, manufacturers can plan their production schedules more effectively and make informed decisions about investment in new equipment or facilities.

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