it is a good practice to have from time to time a special technical sprint that consists only of tasks removing the technical debt without implementing any new functionality. t/f

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Answer 1

True, it is a good practice to have dedicated sprints for addressing technical debt without implementing new functionality to improve code quality and maintainability.

Is it a good practice to have special technical sprints dedicated to addressing technical debt without implementing new functionality?

True. It is a good practice to have special technical sprints dedicated to addressing technical debt without implementing new functionality. Technical debt refers to the accumulated backlog of software development tasks that need to be addressed to improve the quality, maintainability, and efficiency of the codebase.

Having dedicated sprints solely focused on addressing technical debt allows the development team to allocate time and resources specifically for refactoring, code optimization, improving test coverage, eliminating vulnerabilities, and enhancing overall code quality.

By prioritizing technical debt reduction, the team can mitigate potential risks, improve system stability, and create a solid foundation for future development.

These technical debt sprints help prevent the accumulation of further debt, which can impede productivity and hinder the ability to deliver new features efficiently.

By periodically dedicating time to address technical debt, the team ensures the long-term maintainability and sustainability of the software, reducing the likelihood of encountering issues and making future development efforts more streamlined.

Overall, incorporating special technical sprints focused on eliminating technical debt demonstrates a proactive approach to software development, promoting code quality, and enhancing the overall health of the project.

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the yield-to-maturity of a firm's bond is 8.5%. the firm has a beta of 1.3 and a tax rate of 34%. the market risk premium is 8.4% and the risk-free rate is 3.8%. what is the firm's wacc if the firm has a capital structure that is 40% debt financed and the remaining equity financed?

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The firm's weighted average cost of capital (WACC) is 6.58%.

The WACC is the weighted average of the cost of debt and the cost of equity, where the weights are the proportion of debt and equity in the firm's capital structure. To calculate the cost of debt, we use the yield-to-maturity of the firm's bond, adjusted for taxes:

Cost of debt = yield-to-maturity x (1 - tax rate)

Cost of debt = 8.5% x (1 - 0.34)

Cost of debt = 5.61%

To calculate the cost of equity, we use the Capital Asset Pricing Model (CAPM), which relates the expected return on equity to the market risk premium, the risk-free rate, and the firm's beta:

Cost of equity = risk-free rate + beta x market risk premium

Cost of equity = 3.8% + 1.3 x 8.4%

Cost of equity = 14.60%

Next, we calculate the WACC using the weights of debt and equity in the firm's capital structure:

WACC = (proportion of debt x cost of debt) + (proportion of equity x cost of equity)

WACC = (0.4 x 5.61%) + (0.6 x 14.60%)

WACC = 2.24% + 8.76%

WACC = 6.58%

Therefore, the firm's WACC is 6.58%.

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of the 3.0 million workers displaced from their jobs between 2015 and 2017, by 2018 most multiple choice were still unemployed. were employed in new jobs, with nearly all workers earning less than before. had dropped out of the labor force. were employed in new jobs, with about half the workers earning more than before.

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By 2018, most of the 3.0 million workers who were displaced from their jobs between 2015 and 2017 were employed in new jobs.

Nearly all of these workers were earning less than they were before, indicating that the quality of their new jobs may have been lower than their previous employment. Additionally, some workers had dropped out of the labor force entirely. About half of the workers who were employed in new jobs were earning more than before, which suggests that there were still some opportunities for upward mobility for these workers.

During this period, many workers experienced job displacement, but by 2018, a significant number of them found new employment opportunities. It's important to note that the earnings of these workers were not uniform - approximately half of them were earning more than they did in their previous jobs, while the other half might have experienced a decrease in their earnings. This illustrates the dynamic nature of the labor market and how workers adapt to changes in the economy.

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real estate asset market prices are determined by:group of answer choicesmonthly supplyvacancy and absorption ratesopportunity cost of capital, growth expectations, and risknone of the answers

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Real estate asset market prices are determined by a combination of factors, including the opportunity cost of capital, growth expectations, and risk. The opportunity cost of capital refers to the potential returns from alternative investments that could be made with the same amount of money.

In the context of real estate, investors compare the expected returns from investing in property to other investment opportunities, such as stocks or bonds. Higher opportunity costs of capital can lead to lower real estate prices, as investors seek higher returns elsewhere.

Growth expectations play a significant role in determining real estate prices as well. Investors consider the potential for appreciation in property values, which may be influenced by factors such as population growth, economic development, and infrastructure improvements. Higher growth expectations can result in higher property prices, as investors anticipate increased demand for real estate assets.Risk is another crucial factor in determining real estate prices. Various risks associated with property ownership, such as natural disasters, regulatory changes, or market fluctuations, can impact the perceived value of real estate assets. Higher perceived risks can lead to lower property prices, as investors may require a greater potential return to compensate for the increased uncertainty.In addition to these factors, vacancy and absorption rates can also influence real estate prices. Vacancy rates refer to the percentage of available properties that are unoccupied, while absorption rates measure the rate at which vacant properties are occupied or "absorbed" by the market. Overall, real estate asset market prices are determined by a combination of factors, including the opportunity cost of capital, growth expectations, risk, vacancy rates, and absorption rates. Understanding these elements can help investors make informed decisions when investing in real estate assets.

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skymont company wants an ending inventory each month equal to 25% of that month's cost of goods sold. cost of goods sold for february is projected at $90,000. ending inventory at the end of january was $18,000. based on this information, purchases for february would be:multiple choice

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The purchases for February would be $67,500.
To calculate the purchases for February, we need to first determine the desired ending inventory for the month. As per the given information, Skymont Company wants the ending inventory to be equal to 25% of the month's cost of goods sold.

Therefore, the desired ending inventory for February can be calculated as:
25% of cost of goods sold for February = 0.25 x $90,000 = $22,500

Next, we need to calculate the cost of goods available for sale in February, which would be the sum of the January ending inventory and the purchases made during February.

Cost of goods available for sale = ending inventory in January + purchases in February
Cost of goods available for sale = $18,000 + purchases in February

Now, we can use the following formula to calculate the purchases for February:

Purchases = Cost of goods sold + ending inventory - Beginning inventory
where,
Beginning inventory = ending inventory in January = $18,000
Cost of goods sold = projected cost of goods sold for February = $90,000
Ending inventory = desired ending inventory for February = $22,500

Substituting the values in the formula, we get:

Purchases = $90,000 + $22,500 - $18,000
Purchases = $94,500

Therefore, the purchases for February would be $94,500.

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if the colgate-palmolive company were to develop a replacement chart, the chart would show

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Answer:

If Colgate-Palmolive were to develop a replacement chart, the specific content of the chart would depend on their specific goals and objectives.

Explanation:

However, here are some potential elements that could be included in a replacement chart for the company:

1. Product Portfolio: The chart could display the existing product lines and categories offered by Colgate-Palmolive, such as oral care products, personal care products, home care products, and pet nutrition.

2. Market Segments: It could illustrate the various target markets and customer segments that Colgate-Palmolive serves, including demographics, psychographics, and geographic regions.

3. Sales Performance: The chart might present sales figures and growth rates for different product lines or market segments, indicating the company's performance over a specific time period.

4. Competitive Analysis: It could include a comparison of Colgate-Palmolive's market position, market share, and financial performance relative to its competitors in the industry.

5. Research and Development: The chart might highlight the company's investments in research and development, showcasing new product innovations, technological advancements, and sustainability initiatives.

6. Distribution Channels: It could depict the distribution network utilized by Colgate-Palmolive, including retail partnerships, e-commerce platforms, and any strategic alliances or joint ventures.

7. Marketing Strategies: The chart might outline the marketing and advertising strategies employed by the company, including brand positioning, promotional campaigns, and digital marketing efforts.

8. Financial Metrics: It could provide key financial indicators, such as revenue, profitability, return on investment, and market capitalization, giving an overview of the company's financial health.

9. Sustainability Initiatives: The chart might showcase Colgate-Palmolive's commitment to sustainability, including eco-friendly packaging, responsible sourcing of ingredients, and social impact programs.

10. Future Outlook: It could present the company's strategic goals, expansion plans, and anticipated market trends, providing insights into Colgate-Palmolive's vision for the future.

These are just some examples of what a replacement chart for Colgate-Palmolive could include. The actual content would depend on the company's specific priorities and the information they wish to communicate.

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the range of activity within which a linear cost function is valid is called the

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Relevant Range.

The relevant range is the range of activity levels in which a company expects to operate, and it is the range where the cost function is valid. It is important to note that a linear cost function assumes a constant rate of change in costs, which means that it is only valid within a certain range of activity levels.

If the activity level falls outside of the relevant range, the linear cost function may not be accurate, and the costs may vary at a different rate than what was assumed by the function. This is why it is important for companies to understand their relevant range and adjust their cost functions accordingly to ensure that they are making informed decisions about their costs and pricing.
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the ultimate source of the supply of loanable funds (credit) is the desire of economic agents to group of answer choices invest. consume. spend. dissave. save.

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The ultimate source of the supply of loanable funds (credit) is **saving**.

Savings represent the portion of income that is not consumed or spent by individuals, businesses, or governments, but rather is set aside to be invested or lent out. These savings are then made available to borrowers, who use them to finance investment projects or other spending needs. The supply of loanable funds, therefore, is derived from the desire of economic agents to save a portion of their income rather than spend it all. This supply of loanable funds is then intermediated through financial markets, such as banks and other lending institutions, to match borrowers with savers.

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when using the cash payback technique, the payback period is expressed in terms of

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The payback period when using the cash payback technique is expressed in terms of the number of years it takes for a company to recoup its initial investment.

This technique is often used as a quick and easy way to assess the profitability and risk of a project. It involves dividing the initial investment by the expected annual cash flows from the project until the investment is fully recovered. The resulting number represents the number of years it will take for the company to recoup its initial investment.

The shorter the payback period, the better the project is considered to be, as it indicates a quicker return on investment.

However, this technique does not take into account the time value of money or the long-term profitability of a project beyond the payback period. Therefore, it should be used in conjunction with other financial analysis tools to make informed investment decisions.

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Cash payback technique expresses payback period in terms of the time required for the initial investment to be recovered through cash inflows.

The cash payback technique is a popular tool used to evaluate the feasibility of an investment project. It involves calculating the payback period, which represents the length of time required for the initial investment to be recovered through cash inflows. The payback period is expressed in terms of years or months, and it helps investors assess the risk and profitability of a project.

A shorter payback period indicates that the investment will be recovered more quickly, whereas a longer payback period suggests that the investment is riskier and may not generate sufficient returns. The cash payback technique is particularly useful for small businesses or investors who have limited resources and want to ensure that their investment decisions are sound and profitable in the long run.

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Sharon is selected as the captain of her school's softball team because of her excellent playing skills. However, she has not displayed good team management skills and has not been very cooperative with her teammates. These fact are ignored while making her the captain. Which of the following biases is illustrated in this instance? The fundamental attribution error The assumed-similarity bias The self-serving bias The halo effect.

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The halo effect.Positive traits or qualities of a person influencing judgments and perceptions of their other attributes.

The corona impact is represented in this example. The corona impact alludes to a mental inclination where a singular's general impression of an individual impacts their assessment of explicit qualities or capacities of that individual.

For this situation, Sharon's incredible playing abilities have made a positive impression of her, prompting the suspicion that she would likewise have great group the executives abilities and be helpful with her partners.

The choice to make Sharon the skipper disregarding her absence of group the executives abilities and participation can be credited to the radiance impact.

The positive corona made by her outstanding playing abilities eclipsed different parts of her way of behaving and prompted an excessively sure assessment of her general capacities.

The corona impact can prompt one-sided navigation, as it neglects significant data and spotlights exclusively on a solitary positive trait or impression.

In this present circumstance, it forestalled a complete assessment of Sharon's reasonableness for the captaincy job, possibly affecting the group's exhibition and elements.

It is critical to know about the radiance impact and make progress toward a more adjusted evaluation, considering numerous elements and taking into account the particular necessities of a specific job or undertaking.

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why might pollution from a paper mill be an example of a market failure?

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Pollution from a paper mill can be considered as an example of a market failure for various reasons. The cost of pollution is not reflected in the price of the paper products, which leads to an overproduction of paper and an underinvestment in pollution control.

The paper mill may not be held accountable for the negative externalities they cause to the environment, wildlife, and human health. The consumers of paper products may not be aware of the environmental impact of their consumption choices, which means that the demand for sustainable alternatives may not be adequately reflected in the market.

The regulatory framework may not be stringent enough to regulate the pollution emitted by the paper mill or to enforce penalties for non-compliance. Therefore, the market fails to allocate resources efficiently, and the negative externalities of the paper mill's pollution are not internalized by the market participants. As a result, society suffers from environmental degradation and health problems, which are not fully accounted for in the market's pricing mechanism.

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Pollution from a paper mill may be an example of a market failure because the mill does not pay for the costs of environmental damage caused by its production.

Market failure occurs when the price of a good or service does not reflect the true costs and benefits of producing or consuming it. In the case of a paper mill, the production process may release pollutants into the air and water, causing environmental damage. However, the cost of this damage is not reflected in the price of the paper produced by the mill. As a result, the mill may overproduce paper, as they do not pay for the costs of the pollution they create.

This can lead to negative externalities, such as harm to human health and the environment, that are not accounted for in the market. This is why pollution from a paper mill can be seen as an example of a market failure.

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ebook question content area break-even analysis the junior league of yadkinville, california, collected recipes from members and published a cookbook entitled food for everyone. the book will sell for $18 per copy. the chairwoman of the cookbook development committee estimated that the club needed to sell 2,000 books to break even on its $4,000 investment. what is the variable cost per unit assumed in the junior league's analysis?

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A break-even analysis is a financial calculation that helps a business determine the minimum amount of sales required to cover all of its costs. In other words, it helps the business determine when it will start making a profit.

In the case of the Junior League of Yadkinville, California, they published a cookbook entitled Food for Everyone, which they plan to sell for $18 per copy. The chairwoman of the cookbook development committee estimated that the club needed to sell 2,000 books to break even on its $4,000 investment.

To calculate the variable cost per unit assumed in the Junior League's analysis, we need to first understand the different types of costs involved in producing and selling the cookbook. Variable costs are costs that vary depending on the number of units produced or sold. Examples of variable costs include the cost of ingredients, printing costs, and shipping costs.

Assuming that the Junior League has already accounted for its fixed costs (such as the cost of developing the cookbook), we can use the following formula to calculate the variable cost per unit:

Variable cost per unit = (Total cost - Fixed cost) / Number of units sold

In this case, the Junior League needs to sell 2,000 books to break even on its $4,000 investment. Assuming that all of the $18 per copy goes towards revenue, the total revenue from selling 2,000 books would be $36,000.

Using the break-even formula, we can solve for the variable cost per unit:

Variable cost per unit = ($36,000 - $4,000) / 2,000 = $16

Therefore, the variable cost per unit assumed in the Junior League's analysis is $16. This means that for every book sold, $16 goes towards covering the variable costs, while the remaining $2 goes towards covering the fixed costs and generating a profit.

It's important to note that this is just an assumption made by the Junior League. The actual variable cost per unit may be higher or lower depending on the actual costs involved in producing and selling the cookbook. The Junior League should continue to monitor its costs and adjust its pricing strategy accordingly to ensure that it remains profitable.

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"In-substance defeasance" is a term used to refer to an arrangement whereby
a. a company legally extinguishes debt before its due date
b. a company gets another company to cover its payments due on long-term debt
c. a governmental unit issues debt instruments to corporations
d. a company provides for the future repayment of a long-term debt by placing purchased securities in an irrevocable trust

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In-substance defeasance is an arrangement in which a company provides for the future repayment of a long-term debt by placing purchased securities in an irrevocable trust.

This arrangement effectively releases the company from the obligation to make future interest and principal payments on the debt, as the securities held in the trust generate sufficient cash flow to cover these payments.

In-substance defeasance is a common strategy used by companies to reduce their debt obligations and improve their financial flexibility. By purchasing securities with cash or other assets and placing them in a trust, the company can effectively extinguish its debt obligation, as the securities generate cash flow that can be used to pay interest and principal on the debt.

This arrangement is typically used for long-term debt, such as bonds or other fixed-income securities, and can be a useful tool for companies seeking to reduce their debt levels or improve their credit ratings. However, in order to qualify as in-substance defeasance, the arrangement must meet certain accounting and legal requirements, which can vary depending on the jurisdiction and the nature of the debt being defeated.

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peavey enterprises purchased a depreciable asset for $22,000 on april 1, year 1. the asset will be depreciated using the straight-line method over its four-year useful life. assuming the asset's salvage value is $2,000, what will be the amount of accumulated depreciation on this asset on december 31, year 3? $5,000 $15,000 $15,125 $20,000 $13,750

Answers

The amount of accumulated depreciation on the asset on December 31st, Year 3 is $15,000. Option 2 is Correct.

The following formula can be used to determine the asset's total depreciation as of December 31st, Year 3:

1. Calculate the depreciable cost of the asset: $22,000 - $2,000 = $20,000

2. Calculate the annual depreciation expense: depreciable cost / useful life = $20,000 / 4 years = $5,000 per year

3. Calculate the accumulated depreciation as of December 31st, Year 3: $5,000 x 3 years = $15,000

Therefore, the asset has $15,000 in accrued depreciation as of December 31, Year 3. Choice 2 is the right one.

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Correct Question:

peavey enterprises purchased a depreciable asset for $22,000 on april 1, year 1. the asset will be depreciated using the straight-line method over its four-year useful life. assuming the asset's salvage value is $2,000, what will be the amount of accumulated depreciation on this asset on december 31, year 3?

1. $5,000

2. $15,000

3. $15,125

4. $20,000

5. $13,750

the declaration of a cash dividend does not create an obligation for the corporation.
T/F

Answers

False, the declaration of a cash dividend does create an obligation for the corporation.

The declaration of a cash dividend does create an obligation for the corporation to pay the dividend to its shareholders on the specified payment date. The declaration of a cash dividend is a formal announcement made by a corporation's board of directors that indicates the amount, record date, and payment date of the dividend. Once the declaration is made, the corporation is legally obligated to pay the dividend to its shareholders who are recorded on the dividend record date. Failure to pay the declared dividend could result in legal action being taken against the corporation by its shareholders. Therefore, the declaration of a cash dividend creates a liability for the corporation, which is recorded on the balance sheet under "dividends payable."

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Just like financial planning, career planning is a lifelong process that includes setting short, intermediate and long term goals.

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Career planning is indeed a lifelong process that involves setting goals at different stages of one's professional life. Short-term goals may include gaining specific skills or knowledge, networking with colleagues or mentors, or achieving a promotion or raise.

Intermediate goals may involve taking on new responsibilities, gaining leadership experience, or earning a certification or degree. Long-term goals may include achieving a specific career position, starting a business, or transitioning to a new industry or field.

Similar to financial planning, effective career planning requires a willingness to regularly assess progress towards goals, adjust plans as necessary, and seek out new opportunities for growth and development.

It also involves considering personal values, interests, and strengths to ensure that career goals align with one's overall life vision. By taking a proactive approach to career planning, individuals can create a fulfilling and successful professional life that aligns with their personal goals and aspirations.

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why is it wise to segregate duties related to accounts receivable and cash handling?

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Segregating duties related to accounts receivable and cash handling is an essential practice in any business or organization. It helps prevent fraud, errors, and misappropriation of funds.

In a typical business scenario, the accounts receivable team is responsible for recording and managing customer invoices, credit memos, and payments.

On the other hand, the cash handling team is responsible for collecting, recording, and depositing cash and checks received from customers.If these two duties are performed by the same person, it creates an opportunity for fraud and theft. For instance, an employee responsible for collecting cash from customers can easily manipulate the accounting records by not recording all the cash transactions. Similarly, an employee responsible for recording cash transactions can easily steal cash from the business.Therefore, it is wise to segregate these duties and ensure that no one employee has complete control over accounts receivable and cash handling. By separating these responsibilities, it becomes easier to detect errors, prevent fraud, and ensure accuracy in accounting records. In conclusion, segregation of duties related to accounts receivable and cash handling is crucial for maintaining the integrity of financial reporting and minimizing the risk of financial loss.

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What are supposed to go in the blanks?

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The blanks can be completed this way:

GDP is the dollar amount of the final goods and services produced within a country's national border in a given period of time.

How to complete the blank

To complete the blank space, we first have a clue that the entire sentence is about the gross domestic product and its definition.

The gross domestic product of a country is the number of goods and services purchased by a consumer in a given period of time. The given period of time might be quarterly, or any other window adopted by the country.

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the miller company earned $117,000 of revenue on account during year 1. there was no beginning balance in the accounts receivable and allowance accounts. during year 1, miller collected $79,000 of cash from its receivables accounts. the company estimates that it will be unable to collect 3% of its sales on account. what is the amount of uncollectible accounts expense that will be recognized on the year 1 income statement?

Answers

The amount of uncollectible accounts expense that will be recognized on the year 1 income statement is $540.

To calculate the uncollectible accounts expense, we need to estimate the ending balance of the accounts receivable and allowance accounts. Since there was no beginning balance in these accounts, the ending balance will be equal to the total revenue on account earned during the year, which is $117,000. We then multiply this ending balance by the estimated percentage of uncollectible accounts, which is 3%, to get the estimated amount of uncollectible accounts, which is $3,510.

To get the uncollectible accounts expense for the year, we need to adjust the allowance for uncollectible accounts account to its estimated balance. Since there was no beginning balance in the allowance account, we need to increase it by the estimated uncollectible accounts of $3,510. The journal entry to record this would be a debit to uncollectible accounts expense for $3,510 and a credit to the allowance for uncollectible accounts account for $3,510.

Finally, we can calculate the uncollectible accounts expense that will be recognized on the income statement by subtracting the ending balance in the allowance for uncollectible accounts account from the estimated amount of uncollectible accounts, which is $3,510 - $2,970 = $540. Therefore, the amount of uncollectible accounts expense that will be recognized on the year 1 income statement is $540.

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Which of the following services provides the lowest level of assurance on a financial statement?
A) A review.
B) An audit.
C) Neither service provides assurance on financial statements.
D) Each service provides the same level of assurance on financial statements.

Answers

The service that provides the lowest level of assurance on a financial statement is a review (option A). An audit (option B) provides a higher level of assurance than a review.

A review provides the lowest level of assurance on a financial statement when compared to an audit. While both services evaluate the accuracy of financial statements, a review involves limited procedures such as analytical procedures and inquiries of management, whereas an audit requires more extensive testing and verification procedures to provide a higher level of assurance.

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a build-up leveraged buyout involves a. constructing a larger enterprise to be taken public via an ipo. b. acquiring businesses that occupy a higher level in the market channel. c. a longer time horizon than a bust-up leveraged buyout. d. developing the business to make it an attractive takeover target.

Answers

A build-up leveraged buyout involves acquiring businesses that occupy a higher level in the market channel.

In this type of LBO, a private equity firm acquires a platform company with the goal of using it as a base for additional acquisitions in related or complementary businesses. The goal is to create a larger, more diversified company that can be sold or taken public at a higher valuation. The build-up LBO strategy usually involves a longer time horizon than a bust-up LBO, which involves breaking up a company and selling off its parts. The acquired businesses are typically integrated into the platform company, which is then managed with the goal of improving operations and increasing value for a future exit

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Which of the following is a point of view that has most likely eroded character in business?
A) Innovation and aggressive development of markets should be rewarded.
B) Respect must be earned, not mandated.
C) Corporations exist to maximize shareholder value.
D) Integrity may not show immediate results but will eventually return to you.
E) Teamwork is a core value of successful companies.

Answers

The point of view that has most likely eroded character in business is option C) Corporations exist to maximize shareholder value. This perspective has led to unethical practices such as prioritizing short-term profits over long-term sustainability and disregarding the well-being of employees and the community.

It can also lead to a lack of accountability and transparency, as the focus is solely on pleasing shareholders rather than acting in the best interest of all stakeholders.
Your answer: C) Corporations exist to maximize shareholder value.

This point of view has most likely eroded character in business because it prioritizes profit maximization over other important values, such as ethical conduct, employee well-being, and social responsibility. By focusing solely on shareholder value, businesses may overlook the long-term consequences of their actions and compromise their integrity.

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mia kaminsky wants to attend riverside community college. she will need to have $25,000 six years from today. how much does mia need to deposit in the bank today that pays % compounded semiannually so she can attend college?

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Mia needs to deposit $17,474.13 in the bank today that pays 5% compounded semiannually to have $25,000 six years from today.

To find out how much Mia needs to deposit in the bank today to have $25,000 six years from today, we will use the formula for compound interest:
A = P(1 + r/n)^(nt)
Where:
A = the future value of the investment ($25,000 in this case)
P = the present value or the amount that Mia needs to deposit today
r = the annual interest rate (not given in the question)
n = the number of times the interest is compounded per year (semiannually in this case, which means n = 2)
t = the number of years until the investment matures (6 years in this case)
We can rearrange this formula to solve for P:
P = A / (1 + r/n)^(nt)
Now we need to find out the annual interest rate that the bank pays. This information is not given in the question, so we will make an assumption and use a rate of 5%. Since the interest is compounded semiannually, the effective annual interest rate is:
r = (1 + 0.05/2)^2 - 1 = 0.050625 or 5.0625%
We can now substitute the values into the formula:
P = $25,000 / (1 + 0.050625/2)^(2*6)
P = $25,000 / (1.0253125)^12
P = $17,474.13

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which one of the following would you judge to be the best example of circulation?

Answers

Circulation refers to the movement or flow of a substance, such as blood, air, or water, within a closed system or a specific area.

Some common examples of circulation include:
1. Blood circulation in the human body, where the heart pumps blood to transport oxygen, nutrients, and waste products to and from cells.
2. Atmospheric circulation, which involves the movement of air masses due to temperature differences, leading to the redistribution of heat across the Earth.
3. Ocean circulation, where ocean currents distribute heat, maintain water temperature and regulate climate.

Please review the options you have and compare them to these examples to determine the best example of circulation.

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a company must disclose any change in its inventory costing method in its financial statements. T/F

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True. According to Generally Accepted Accounting Principles (GAAP), a company must disclose any changes in accounting policies or inventory costing methods in its financial statements.

A company is indeed required to disclose any change in its inventory costing method in its financial statements. The inventory costing method represents a significant accounting policy that affects the valuation of a company's inventory and the cost of goods sold. Any change in the inventory costing method can have a material impact on the financial statements, including the reported values of inventory, cost of goods sold, gross profit, and net income.

Disclosure requirements for changes in accounting policies are governed by accounting standards, such as the Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS), depending on the jurisdiction. When a company changes its inventory costing method, it is considered a change in accounting policy, and the nature and impact of the change need to be disclosed in the financial statements.

The disclosure typically includes information about the nature of the change, the reasons for the change, the specific impact on financial statement line items, and any adjustments made to comparative periods. This ensures transparency and helps users of the financial statements to understand and analyze the effects of the change on the company's financial performance and position.

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Leaders, as opposed to strictly managers, are involved in which one of the following activities? Multiple Choice • Paperwork • Planning • Vision • Regulations

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Leaders, as opposed to strictly managers, are involved in vision activities, option c.

While managers are typically responsible for paperwork, planning, and regulations, leaders are distinguished by their ability to provide a vision or direction for an organization or team. They inspire and motivate others by setting goals, defining the purpose, and guiding the overall strategy. Visionary leaders have a long-term perspective and can articulate a compelling vision that inspires and guides others toward a shared goal.

Therefore, the correct option is c. Vision.

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a corporation has 10 equity partners, interested in a buy sell arrangement. they would like to fund the agreement with term life insurance, and are comparing the cross purchase and entity (no stock) methods. all observations are correct except: a.basis step up for surviving partners with cross purchase b.entity method administratively easier c.no basis step up for surviving partners with entity method d.fewer policies required for a cross purchase

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One observation that is not correct is option C, which states that there is no basis step up for surviving partners with the entity method.

When considering a buy sell arrangement, a corporation with 10 equity partners may opt to fund the agreement with term life insurance. Two methods that can be used are the cross purchase and entity (no stock) methods.

While both methods have their pros and cons, one must understand the differences between the two to make an informed decision. The basis step up is a tax provision that allows the surviving partner to adjust the cost basis of their newly acquired shares to reflect the fair market value of the shares at the time of the deceased partner's death. This helps in reducing the capital gains taxes that the surviving partner may incur upon selling the shares in the future. On the other hand, the cross purchase method has a basis step up for surviving partners, as stated in option A. This method is administratively more complex, as it requires each partner to purchase life insurance policies on each other partner, resulting in the need for more policies (option D). The entity method, as stated in option B, is administratively easier as it only requires the corporation to purchase life insurance policies on each partner. However, there is no basis step up for the surviving partners. In conclusion, when deciding between the cross purchase and entity methods for a buy sell arrangement, corporations must weigh the pros and cons of each method, including the number of policies required, administrative ease, and the basis step up for surviving partners.

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an excessive amount of body weight that may come from muscle, bones, and adipose tissue is known as

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An excessive amount of body weight that may come from muscle, bones, and adipose tissue is known as obesity.

Obesity is a medical condition characterized by an excessive accumulation of body fat, often due to an energy imbalance where the intake of calories exceeds the amount of calories expended through physical activity and metabolism. It is commonly measured using the Body Mass Index (BMI), which takes into account an individual's height and weight. A BMI of 30 or higher is typically considered obese.

Obesity can have serious health consequences, increasing the risk of developing conditions such as type 2 diabetes, hypertension, cardiovascular diseases, and certain types of cancer. It is important to maintain a healthy weight through a balanced diet and regular physical activity, as well as addressing any underlying medical or psychological factors contributing to weight gain.

Prevention and treatment of obesity often involve lifestyle modifications, including changes to dietary habits, increased physical activity, and sometimes, medications or surgical interventions.

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lucy and ricky sign a lease agreement that gives their landlords, fred and ethel, the right to enter their apartment to conduct inspections or make necessary repairs, as long as reasonable notice is given. what provision specifies this?

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The provision that specifies the right of Lucy and Ricky's landlords, Fred and Ethel, to enter their apartment for inspections or repairs with reasonable notice is typically called the "right of entry" or "access provision" in a lease agreement.

Lease agreements often include a provision that outlines the rights and responsibilities of both the tenants and the landlords. In this case, the provision granting Fred and Ethel the right to enter Lucy and Ricky's apartment is commonly referred to as the "right of entry" or "access provision." This provision allows the landlords to enter the premises for purposes such as inspections, repairs, or maintenance.

However, it typically requires that the landlords provide reasonable notice to the tenants before entering the apartment. This provision helps establish clear guidelines and expectations regarding the landlords' access to the rented property.

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9. During the selling process, you assess the needs of the customer by asking questions that get the customer to provide details about what they want or need. These
questions are typically not answered with a "yes" or "no".
O A. Open-Ended questions
O B. Fast questions
O C. Short questions
OD. Easy questions

Answers

You determine the customer's demands during the selling process by posing questions that compel the respondent to disclose specifics. Option (C) is hence the appropriate response.

Starting a small business teaches you quickly that you must satisfy client demand in order to stay in business. The patterns in that demand may appear mysterious at first, but if you get familiar with the concepts in customer's demands theory, you can predict client behavior process  with accuracy. This idea, which was created by numerous thinkers over a long period of time, aids in anticipating consumer responses to adjustments in the way you sell your goods and services.

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a marketing mix should be an ever-changing combination of variables to achieve success.T/F

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TRUE. a marketing mix should be an ever-changing combination of variables to achieve success.

A marketing mix should be an ever-changing combination of variables to achieve success. The marketing mix consists of the four Ps: product, price, promotion, and place. These variables should be adjusted to reflect changes in the market, customer needs and preferences, and other environmental factors. For example, a company may need to adjust its product offerings to meet changing customer needs, such as by introducing new features or functionality. Similarly, pricing strategies may need to be adjusted to reflect changes in competition, supply and demand, and other market conditions. Promotional tactics should also be adjusted to reflect changes in customer behavior and preferences, as well as changes in the media landscape. Finally, the distribution strategy should be adjusted to ensure that products are available in the right place at the right time. By regularly reviewing and adjusting the marketing mix, companies can ensure that they are effectively reaching and satisfying their target customers and achieving business success.

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