planning represents the final response of the organization when faced with any interruption of its critical operations.
T/f

Answers

Answer 1

The statement is False. Planning is a proactive process that involves identifying potential risks, developing strategies to mitigate those risks, and preparing to respond effectively in the event of an interruption of critical operations.

It is not the final response of the organization, but rather the first step in ensuring the continuity of operations in the face of unexpected events or disruptions. Effective planning is critical for organizations to minimize the impact of disruptions and quickly resume critical operations. It involves developing a comprehensive business continuity plan that outlines the procedures and protocols for responding to different types of disruptions, such as natural disasters, cyber attacks, or supply chain disruptions.

The business continuity plan should include detailed contingency plans, such as backup systems, alternative supply sources, and emergency response procedures.

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Related Questions

which of the following best describes the purpose of an intermediate error event?
Multiple Choice
Interrupts the normal flow of the process
Alerts users to control risks
Waits for external messages
Directs a sequence to repeat

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The purpose of an intermediate error event is to interrupt the normal flow of the process.

An intermediate error event in a process model is used to interrupt the normal flow of the process when an error occurs. This type of event is triggered when a specific error condition is met, such as an unexpected exception or an invalid input. It then initiates a new flow of the process to handle the error, such as a corrective action or an exception handling routine. The purpose of an intermediate error event is to ensure that errors are properly handled in a process, preventing them from causing further problems or disruptions.

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Most corporations in the S&P 500 index buy back their own stock, and, as a whole, S&P500 corporations return more cash to the market via stock buy backs than via dividend distributions.
a. true
b. false

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The answer to this question is "a. true". In recent years, stock buybacks have become a popular way for companies to return cash to their shareholders. The S&P 500 is a market-capitalization-weighted index that includes 500 large-cap American companies.

Many of these companies have been using their profits to buy back their own stock, which reduces the number of outstanding shares and increases the value of the remaining shares. According to data from S&P Dow Jones Indices, S&P 500 companies spent a record $806 billion on stock buybacks in 2018. This amount was more than double the $384 billion they paid out in dividends.There are several reasons why companies choose to buy back their own stock rather than paying out dividends. One reason is that buybacks can be more tax-efficient for shareholders, especially if the company has a high dividend tax rate. Another reason is that buybacks can signal to investors that the company has confidence in its future earnings and growth prospects. However, some critics argue that buybacks can be short-sighted and can divert resources away from long-term investments and employee compensation. Overall, it is important for investors to consider a company's buyback history and strategy before making investment decisions.

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for next year, roberts, inc., has budgeted sales of 19,000 units, targeted ending finished goods inventory of 1,750 units, and beginning finished goods inventory of 1,250 units. all other inventories are zero. how many units should be produced next year?

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Roberts, Inc. should produce 19,500 units next year to meet its budgeted sales target of 19,000 units.

To determine the number of units that should be produced next year, we need to take into account the desired ending finished goods inventory and the beginning finished goods inventory.

First, we calculate the total units needed to meet the budgeted sales and desired ending inventory:

Total units needed = Budgeted sales + Desired ending finished goods inventory

Total units needed = 19,000 + 1,750

Total units needed = 20,750

Then, we subtract the beginning finished goods inventory to determine the production requirements:

Production requirements = Total units needed - Beginning finished goods inventory

Production requirements = 20,750 - 1,250

Production requirements = 19,500

Therefore, Roberts, Inc. should produce 19,500 units next year to meet its budgeted sales target of 19,000 units and maintain a desired ending finished goods inventory of 1,750 units, while starting with a beginning finished goods inventory of 1,250 units.

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what is not one of the most common methods by which offenders fraudulently use stolen cards or checks? question 1 options: the passing and cashing of worthless checks the alteration of money orders the card-not-present purchase method the denial of receiving a legitimate purchase

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The method that is not commonly used by offenders to fraudulently use stolen cards or checks is the denial of receiving a legitimate purchase.

The passing and cashing of worthless checks, the alteration of money orders, and the card-not-present purchase method are some of the most common methods used by offenders to commit fraud.

These methods involve using stolen or forged checks or cards to make purchases or obtain cash, often without the knowledge or consent of the legitimate account holder. It is important to be vigilant and monitor your accounts regularly to detect any suspicious activity and report it immediately to prevent further fraudulent activity.
The option that is not one of the most common methods by which offenders fraudulently use stolen cards or checks is: the denial of receiving a legitimate purchase. The other options, such as passing and cashing worthless checks, altering money orders, and card-not-present purchase methods, are all commonly used by criminals to commit fraud with stolen financial instruments.

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effective marketing research involves listening to customers, employees, shareholders, and other stakeholders.T/F

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Listening to customers, employees, shareholders, and other stakeholders is an essential component of efficient marketing research. This statement is true.

Effective marketing research involves gathering information from a variety of sources, including customers, employees, shareholders, and other stakeholders. This information can provide valuable insights into consumer preferences, product development, brand perception, and other important marketing considerations.

Listening to customers is perhaps the most critical aspect of marketing research. Customer feedback can reveal important insights about product features, pricing, advertising, and distribution channels. It can also help identify emerging trends and changing consumer preferences.

In addition to customers, marketing research should also involve input from employees, who can provide valuable insights into product development, marketing strategies, and customer service. Shareholders and other stakeholders can provide feedback on company performance, financials, and brand reputation, which can help inform marketing decisions.

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when a company purchases materials for use in the production process, the cost of those materials is recorded in what accounts?

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When a company purchases materials for use in the production process, the cost of those materials is recorded in the inventory account until they are used or sold. The inventory account is a current asset account on the balance sheet that reflects the cost of the goods held for sale or use in the production process.

There are different inventory accounting methods that a company can use to record the cost of materials, including First-In, First-Out (FIFO), Last-In, First-Out (LIFO), and Average Cost methods. The method chosen can have a significant impact on the cost of goods sold, gross profit, and inventory value reported in the financial statements.

When the materials are used in the production process, the cost is transferred from the inventory account to the cost of goods sold (COGS) account on the income statement. COGS represents the direct costs incurred in producing the goods sold during the period and is subtracted from revenue to calculate gross profit. Therefore, accurate recording of inventory and cost of goods sold is important for the company to manage its profitability and financial performance effectively.

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Suppose a bank has $2,500,000 in checkable deposits and the required reserve ratio is 20%. Also, the bank is currently holding $700,000 in total reserves. As a result, this bank can increase the money supply by

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This bank may raise the available funds by $1,000,000.

We must apply the reserve requirement formula in order to calculate the possible growth in the money supply:

Required Reserves = Checkable Deposits x Required Reserve Ratio

The necessary reserves under these circumstances would be:

0.20 x $2,500,000 = $500,000

Currently, the bank has $700,000 in total reserves, which is $200,000 more than what is needed. Excess reserves are this additional $200,000 in cash.

The possible growth in the money supply may then be calculated using the money multiplier formula:

Money Multiplier is equal to 1 / the required reserve ratio.

Multiplier of Money = 1 / 0.20 = 5

Excess Reserves x Money Multiplier = Potential Increase in Money Supply

Potential Increase in Money Supply = $200,000 x 5 = $1,000,000

Therefore, this bank can potentially increase the money supply by $1,000,000.

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When a new utility customer submits a deposit, the enterprise fund journal entry will include: a. credit to customer depositsb. debit to customer depositsc. debit to sales of waterd. credit to sales of water

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The enterprise fund journal entry will add a debit to customer deposits whenever a new utility customer submits a deposit. Here option B is the correct answer.

When a new utility customer submits a deposit, the enterprise fund journal entry should include a debit to customer deposits and a credit to cash. This entry reflects the increase in assets (cash) and the corresponding liability (customer deposits) resulting from the deposit received.

Customer deposits are considered a liability because the utility company owes the money back to the customer at a later time, usually when the customer closes their account or terminates their service. Therefore, a debit to customer deposits increases the liability account on the balance sheet.

In contrast, sales of water are recorded when the utility company provides water to its customers and bills them for it. The revenue generated from sales of water is recognized as earned revenue and is credited to the revenue account on the income statement. Therefore, neither option c nor d would be appropriate entries for a customer deposit.

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___ is the situation in which no solution to the linear programming problem satisfies all the cơnstraints. Optimality Divisibility Infeasibility Unboundedness

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Infeasibility is the situation in which no solution to the linear programming problem satisfies all the constraints.

In a linear programming problem, we aim to optimize an objective function (such as maximizing profit or minimizing cost) subject to certain constraints (such as available resources or limitations). When a problem is infeasible, it means that there is no feasible solution that satisfies all these constraints simultaneously. Infeasibility can occur for various reasons, such as conflicting constraints, overly restrictive conditions, or errors in the formulation of the problem.

It is important to carefully analyze the problem and constraints to identify and resolve infeasibility issues. On the other hand, optimality refers to the best possible solution that satisfies all constraints, while unboundedness indicates that the objective function can be improved indefinitely without violating any constraints. Divisibility, in the context of linear programming, implies that the solutions can be divided into smaller parts without affecting the overall outcome.

In summary, infeasibility is a situation in linear programming where no solution can satisfy all constraints, making it impossible to find an optimal solution. Identifying and resolving infeasibility issues is essential for successful linear programming problem-solving. The correct option is infeasibility.

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you deposit $10,100 annually into a life insurance fund for the next 10 years, at which time you plan to retire. instead of a lump sum, you wish to receive annuities for the next 20 years. what is the annual payment you expect to receive beginning in year 11 if you assume an interest rate of 7 percent for the whole time period? (do not round intermediate calculations. round your answer to 2 decimal places. (e.g., 32.16))

Answers

To calculate the annual payment you can expect to receive beginning in year 11 from your life insurance fund, you need to use the formula for the present value of an annuity. This formula calculates the total value of a series of equal payments received over a certain period of time, discounted back to their present value using a specified interest rate.

In this case, you will receive annuities for 20 years starting in year 11, which means you will receive a total of 20 payments. The annual payment amount can be calculated by first finding the present value of these payments, which is the amount you would need to have in your account at the beginning of year 11 in order to make these payments for the next 20 years.

To calculate the present value of the annuity, you can use the following formula:

PV = C * [1 - (1 + r)^(-n)] / r

where PV is the present value of the annuity, C is the annual payment amount, r is the interest rate, and n is the number of payments (in this case, 20).

Substituting the values given in the question, we get:

PV = C * [1 - (1 + 0.07)^(-20)] / 0.07
PV = C * [1 - 0.161]
PV = C * 0.839

Now we need to solve for C by dividing both sides by 0.839:

C = PV / 0.839
C = $10,100 * [1 - (1 + 0.07)^(-20)] / (0.07 * 0.839)
C = $10,100 * 9.818
C = $99,181.80

Therefore, you can expect to receive an annual payment of $99,181.80 from your life insurance fund beginning in year 11, assuming an interest rate of 7 percent for the entire time period.

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you have been promised a payment of $250,000 in the future. in which case is the present value of this payment highest?

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The answer  is that the present value of the $250,000 payment is highest when the discount rate is lowest.

The present value of a payment is highest when the discount rate is lowest. The discount rate is the rate at which future cash flows are discounted back to the present. Therefore, the main answer to the question is that the present value of the $250,000 payment is highest when the discount rate is lowest.

A lower discount rate means that the future payment is worth more in today's dollars. This is because the lower discount rate reduces the rate at which future cash flows are discounted back to the present. As a result, the present value of the payment is higher when the discount rate is lower.

To further illustrate, consider the following scenarios:

- Scenario 1: The discount rate is 10%. In this case, the present value of the $250,000 payment is $150,000.
- Scenario 2: The discount rate is 5%. In this case, the present value of the $250,000 payment is $196,132.
- Scenario 3: The discount rate is 2%. In this case, the present value of the $250,000 payment is $231,404.

As you can see, the present value of the payment increases as the discount rate decreases. Therefore, the main answer to the question is that the present value of the $250,000 payment is highest when the discount rate is lowest.



The present value of a future payment represents the value of that payment today. This is because the value of money changes over time due to factors such as inflation, interest rates, and other economic factors. In order to determine the present value of a future payment, it is necessary to discount the future cash flow back to the present using a discount rate.

The discount rate is a measure of the opportunity cost of capital, or the rate of return that an investor could earn on an investment with similar risk. A higher discount rate implies a higher opportunity cost of capital, meaning that the investor could earn a higher rate of return on an alternative investment. Conversely, a lower discount rate implies a lower opportunity cost of capital, meaning that the investor could earn a lower rate of return on an alternative investment.

Therefore, the present value of a payment is highest when the discount rate is lowest. This is because a lower discount rate implies a lower opportunity cost of capital, which reduces the rate at which future cash flows are discounted back to the present. As a result, the present value of the payment is higher when the discount rate is lower.

To illustrate this concept, consider the following scenarios:

- Scenario 1: The discount rate is 10%. In this case, the present value of the $250,000 payment is $150,000. This means that if you were offered $150,000 today, it would be worth the same as receiving $250,000 in the future when the discount rate is 10%.
- Scenario 2: The discount rate is 5%. In this case, the present value of the $250,000 payment is $196,132. This means that if you were offered $196,132 today, it would be worth the same as receiving $250,000 in the future when the discount rate is 5%.
- Scenario 3: The discount rate is 2%. In this case, the present value of the $250,000 payment is $231,404. This means that if you were offered $231,404 today, it would be worth the same as receiving $250,000 in the future when the discount rate is 2%.

As you can see, the present value of the payment increases as the discount rate decreases. This is because a lower discount rate implies a lower opportunity cost of capital, which reduces the rate at which future cash flows are discounted back to the present.

Therefore, the answer to the question is that the present value of the $250,000 payment is highest when the discount rate is lowest.

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Quantitative investors necessarily use complex mathematical models to make investing decisions.
A. True
B. False

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A. True Quantitative investors rely heavily on mathematical models to identify patterns and signals in market data.

These models use statistical techniques, algorithms, and other mathematical tools to analyze large sets of data and make predictions about future market movements. These models are often quite complex and require significant expertise in mathematics and computer programming to develop and implement. Quantitative investors believe that these models can provide a more systematic and objective approach to investing than traditional methods that rely on intuition and subjective judgment.

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during its first year of operations, silverman company paid $10,740 for direct materials and $11,300 for production workers' wages. lease payments and utilities on the production facilities amounted to $10,300 while general, selling, and administrative expenses totaled $3,200. the company produced 7,700 units and sold 4,800 units at a price of $6.70 a unit. what is the amount of gross margin for the first year? multiple choice $12,180 $12,000 $10,120 $32,160

Answers

the amount of gross margin for the first year is $10,120.

To find the amount of gross margin for the first year, we first need to calculate the cost of goods sold (COGS) using the given information. COGS is the total cost of all the products that were sold during the year.
The formula to calculate COGS is:
COGS = Beginning Inventory + Purchases - Ending Inventory
Since it's the first year of operations, we can assume that there was no beginning inventory. Therefore, the COGS formula simplifies to:
COGS = Direct Materials + Production Workers' Wages
COGS = $10,740 + $11,300
COGS = $22,040
Now, to calculate the gross margin, we can use the following formula:
Gross Margin = Total Sales - COGS
Total Sales = Units Sold x Price per Unit
Total Sales = 4,800 x $6.70
Total Sales = $32,160
Therefore,
Gross Margin = $32,160 - $22,040
Gross Margin = $10,120
Hence, the amount of gross margin for the first year is $10,120.
Therefore, the correct answer is: $10,120.

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kooky cookies corporation purchased the crazy cookie company. although this was initially an acquisition, the merging of these two businesses was a

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kooky cookies corporation purchased the crazy cookie company. although this was initially an acquisition, the merging of these two businesses was a merger.

A merger is a business combination in which two companies come together and become one entity, with one company typically absorbing the other. In this case, Kooky Cookies Corporation and Crazy Cookie Company merged to form a single entity, rather than Kooky Cookies Corporation simply purchasing Crazy Cookie Company and keeping it as a separate subsidiary.

Mergers can occur for a variety of reasons, such as to increase market share, expand into new markets, or achieve cost savings through economies of scale. The specific reasons for the merger of Kooky Cookies Corporation and Crazy Cookie Company are not provided, but it can be inferred that the two companies saw benefits in merging their businesses together.

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True/False :Manager of a software company should promote productivity and sacrifice quality and ethical approach a little bit if needed, because software engineering is a balancing act.

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False. The manager of a software company should not promote productivity at the cost of sacrificing quality and ethical approach. In fact, it is the responsibility of the manager to ensure that the company produces quality software that meets the ethical standards.

Software engineering is indeed a balancing act, and the manager must balance productivity, quality, and ethics to ensure the success of the company.

Sacrificing quality and ethical approach in the pursuit of productivity can lead to serious consequences, such as loss of reputation, customer dissatisfaction, and legal issues. Quality and ethics should always be at the forefront of software development, and the manager must ensure that the team understands this.

Furthermore, promoting productivity at the cost of quality and ethics can actually be counterproductive in the long run. Poor quality software can result in increased costs due to maintenance and bug fixes, while unethical practices can harm the company's reputation and drive away potential customers.

In conclusion, while software engineering is indeed a balancing act, the manager of a software company should prioritize quality and ethical approach over productivity to ensure the long-term success of the company.

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when a company reissues shares at higher price than the cost to previously purchase the treasury stock, it records a .

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When a company reissues shares at a higher price than the cost to previously purchase the treasury stock, it records a gain.

This gain is calculated as the difference between the sale price of the reissued shares and the cost at which the company originally acquired the treasury stock. The gain is recorded on the company's income statement as a non-operating item, typically under the heading of "other income" or "gain on sale of investments."

It's worth noting that the opposite scenario, where the company reissues shares at a lower price than the cost to purchase the treasury stock, would result in a loss, which would also be recorded as a non-operating item on the income statement.

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gasb statement no. 34 requires that the reporting for general fixed assets should include group of answer choices a general fixed assets will be included only in the government-wide financial statements b reporting general fixed assets as a major fund c report general fixed assets as a component unit d the use of account groups

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Gasb Statement No. 34 requires that the reporting for general fixed assets should include reporting general fixed assets as a component unit.

This means that the financial statements should include information about the fixed assets of any component unit that is fiscally dependent on the government. The component unit may be reported separately or consolidated with the primary government.

The purpose of this requirement is to provide users of the financial statements with a more complete picture of the assets and liabilities of the government and its related entities.

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question 44 if inflation expectations rise, the short-run phillips curve shifts a. left, so that at any inflation rate output is higher in the short run than before. b. left, so that at any inflation rate output is lower in the short run than before. c. right, so that at any inflation rate output is higher in the short run than before. d. right, so that at any inflation rate output is lower in the short run than before.

Answers

If inflation expectations rise, the short-run Phillips curve shifts right, so that at any inflation rate output is higher in the short run than before.

C is the correct answer.

The Phillips curve change is believed to be caused by two variables, according to economists. Supply shocks, like the Oil Crisis in the middle of the 1970s, which is how stagflation originally entered our lexicon, are the first factor. Changes in people's expectations of inflation make up the second factor.

Employers and employees predict inflation to increase at a certain rate in the coming months and years. The current inflation rate is directly impacted by future inflation expectations. An increase in predicted inflation alters the short-run Phillips curve and makes workers want greater salaries.

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The GDP per capita in Malaysia is substantially higher today than it was 40 years ago fromUSO 392.04 in 1970 to USO 10874.73 in 2015. What does this tell us, and what does it not tell us, about the well-being of Malaysian? Discuss.

Answers

The increase in GDP per capita in Malaysia from USO 392.04 in 1970 to USO 10874.73 in 2015 is indicative of a significant improvement in the economic performance of the country. This increase suggests that the country has experienced strong economic growth, which in turn, has led to an improvement in the living standards of the people of Malaysia.

However, GDP per capita alone is not enough to provide a complete picture of the well-being of the Malaysian population. While GDP is a good measure of economic activity, it does not capture important aspects of social welfare such as income inequality, access to healthcare, education, and other essential public services. Therefore, it is essential to consider other indicators such as the Human Development Index (HDI) to gain a comprehensive understanding of the well-being of the people of Malaysia.

Additionally, it is crucial to note that the benefits of economic growth may not be evenly distributed across the population. The increase in GDP per capita does not necessarily mean that everyone in Malaysia has experienced an improvement in their living standards. It is possible that some segments of the population have benefited more than others, leading to income inequality and disparities in access to essential services.

In conclusion, while the increase in GDP per capita in Malaysia over the past 40 years suggests a positive trend in the country's economic development, it is necessary to examine other indicators to gain a complete understanding of the well-being of the Malaysian population.

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it takes electricity to run the motor on the refrigerator. if your cost of electricity is 14 cents per kilowatt*hour, how much does it cost (in cents - do not enter units) to cool your lunch down?

Answers

Without knowing the wattage of the motor or the amount of time it takes to cool your lunch down, it is impossible to calculate the exact cost.

However, we can estimate based on average wattage and time. Let's assume the motor is 100 watts and it takes 5 minutes to cool your lunch down. This would use 0.0833 kilowatt-hours of electricity. Multiply this by the cost of electricity, which is 14 cents per kilowatt-hour, and the estimated cost to cool your lunch down would be approximately 1.17 cents.
To determine the cost in cents to cool your lunch down using a refrigerator, we need to know the power consumption of the refrigerator in kilowatts and the time it takes to cool your lunch. Since these values are not provided in the question, I cannot provide an exact cost. However, I can explain the process:

1. Find the power consumption of the refrigerator in kilowatts (kW).
2. Determine the time it takes to cool your lunch down in hours.
3. Multiply the power consumption (in kW) by the time (in hours) to find the energy consumed in kilowatt-hours (kWh).
4. Multiply the energy consumed (in kWh) by the cost of electricity (14 cents per kWh).

The result will be the cost in cents to cool your lunch down using a refrigerator.

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How did Britain's private property protection guarantee help it industrially?

Answers

Britain's private property protection guarantee played a significant role in its industrial development.

The guarantee ensured that entrepreneurs had the right to keep their profits, which provided a strong incentive for them to invest in new technologies, production methods, and machinery. As a result, the country experienced a wave of innovation, which led to increased efficiency, productivity, and output. Entrepreneurs were able to build factories and machinery, knowing that their investments would be secure and profitable.

Additionally, the private property protection guarantee facilitated the establishment of a modern legal system, which allowed businesses to settle disputes, enforce contracts, and operate with confidence. This environment of stability and security created a favorable climate for economic growth and industrialization in Britain.

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the firm does not export its product. a us firm produces goods for which substitute goods are produced in all countries. appreciation of the dollar should

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The fact that a US firm produces goods for which substitute goods are produced in all countries means that there is a high level of competition in the market.


Now, if there is an appreciation of the dollar, it means that the value of the dollar has increased compared to other currencies. This can have a significant impact on the firm's operations. First, it can make the firm's products more expensive for foreign buyers, which can result in a decrease in demand for the product.

On the other hand, if the firm relies on imported raw materials or components, an appreciation of the dollar can benefit the firm. This is because it can reduce the cost of these inputs, making the firm's production process more cost-effective. However, if the firm does not rely on imports, this benefit may not be realized.

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what are network effects? be able to list/identify examples of products that are subject to network effects.

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Network effects refer to the phenomenon where the value of a product or service increases as more people use it. In simpler terms, it is the idea that the more people that use a product, the more valuable it becomes. This is because each additional user adds value to the product by creating more opportunities for interaction and exchange.

These apps are more useful when more people use them, as they allow for easier communication and exchange of information between individuals.
These platforms become more valuable as more buyers and sellers use them, as they allow for greater selection and competition.

Overall, network effects play a significant role in the success and growth of many products and services in today's digital economy.

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which of the following forms of business organization is generally believed to have an easier ability to raise capital and transfer ownership?

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The form of business organization that is generally believed to have an easier ability to raise capital and transfer ownership is the corporation.

Corporations have the advantage of being able to sell stocks to the public, allowing them to raise large amounts of capital. In addition, ownership of a corporation is transferable through the buying and selling of stocks, making it easier for shareholders to sell their ownership stake if they wish to do so.

On the other hand, sole proprietorships and partnerships have limited ability to raise capital and transfer ownership, as they rely on personal funds or loans from banks or other sources, and transferring ownership can be more complex due to the lack of a stock market. Overall, the corporation is often considered the most favorable form of business organization for companies looking to raise capital and provide liquidity for shareholders.

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if the united states imposes a quota on the importing of apparel produced in china, which of the following is true regarding the market for foreign-currency exchange?

Answers

American businesses would have to pay in foreign currency to import clothing from other nations if the United States imposes a quota on the import of clothing made in China. This could increase demand for foreign currency exchange.

As the demand for foreign currency rises, this might also cause a change in the exchange rate between the US dollar and other currencies.

If the US places a limit on the import of clothing made in China, there would probably be less demand for Chinese Yuan (CNY) and less US Dollar (USD) supply on the foreign exchange market.

This is because there would be less of a requirement for interactions between Chinese exporters and US buyers.

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which feasibility determines whether the company can develop or otherwise acquire the hardware, software, and communications components needed to solve the business problem?

Answers

The feasibility that determines whether the company can develop or otherwise acquire the hardware, software, and communications components needed to solve the business problem is Technical Feasibility.

What is Technical Feasibility?

Technical Feasibility serves as the assessment focuses  which can be carried out byua company oir an organization to analyse the technical resources available to the organization

It should be noted that this helps organizations in the process of knopwing whether the technical resources can serve the company through the the technical team  into working systems.

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assume there are no leakages from the banking system and that all commercial banks are fully loaned up. the required reserve ratio is 16%. if the fed sells $5 million worth of government securities to the public, the change in the money supply will be

Answers

The money supply will change by $3.2 million if the Fed sells $5 million worth of government securities to the general public. Here option C is the correct answer.

When the Federal Reserve (the Fed) sells $5 million worth of government securities to the public, it essentially reduces the amount of reserves available to banks. Since the required reserve ratio is 16%, this means that banks must hold at least 16% of their deposits in reserves.

Assuming that all commercial banks are fully loaned up, this means that there are no excess reserves available for lending. When the Fed sells $5 million worth of government securities to the public, the reserves available to banks will decrease by $5 million. However, since banks are fully loaned up and cannot lend out more, the decrease in reserves will lead to a decrease in the money supply.

To understand how much the money supply will decrease, we need to use the money multiplier formula. The money multiplier is the inverse of the required reserve ratio, which is 1/0.16 or 6.25. This means that for every $1 in reserves, banks can create $6.25 in the money supply.

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Complete question:

Assume there are no leakages from the banking system and that all commercial banks are fully loaned up. the required reserve ratio is 16%. if the fed sells $5 million worth of government securities to the public, the change in the money supply will be

A) The money supply will decrease by $5 million

B) The money supply will increase by $5 million

C) The money supply will decrease by $3.2 million

D) The money supply will increase by $3.2 million

Peters and Chong are partners and share equally in income or loss. Peters' current capital balance is $140,000 and Chong's is $130,000. Peters and Chong agree to accept Aaron with a 30% interest in the partnership. Aaron invests $98,000 in the partnership. The balances in Peters's and Chong's capital accounts after admission of the new partner equal:
Peters $140,000; Chong $130,000.
Peters $146,200; Chong $136,200.
Peters $145,000; Chong $135,000.
Peters $133,800; Chong $123,800.
Peters $166,027; Chong $156,027.

Answers

After the admission of Aaron with a 30% interest, the total capital balance of the partnership will be: So the answer is Peters $268,800; Chong $258,800.

Let After the admission of Aaron with a 30% interest, the total capital balance of the partnership will be

$140,000 (Peters) + $130,000 (Chong) + $98,000 (Aaron) = $368,000

Aaron's 30% interest in the partnership is worth:

0.30 × $368,000 = $110,400

This means that the remaining $257,600 will be divided equally between Peters and Chong:

$257,600 ÷ 2 = $128,800

Therefore, the new capital balances for Peters and Chong will be:

Peters: $140,000 + $128,800 = $268,800

Chong: $130,000 + $128,800 = $258,800

So the answer is Peters $268,800; Chong $258,800.

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Calculate value of a perpetuity with even annual cash flows of $24,000 with 5% discount rate.

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The value of the perpetuity is $480,000.

A perpetuity is a financial instrument that makes regular payments of a fixed amount indefinitely. In other words, it is an investment that generates a constant stream of income for an infinite period of time. The value of a perpetuity can be calculated using the formula PV = C/r, where PV is the present value of the perpetuity, C is the annual cash flow, and r is the discount rate. In this case, the value of the perpetuity with even annual cash flows of $24,000 and a discount rate of 5% can be calculated as follows: PV = C/r PV = $24,000/0.05 PV = $480,000. This means that if you invest $480,000 today at a 5% discount rate, you will receive an annual cash flow of $24,000 indefinitely. It is important to note that the value of the perpetuity is sensitive to changes in the discount rate. If the discount rate were to increase, the present value of the perpetuity would decrease, and vice versa.

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The money price of a pizza is $12 per pizza and the money price of a taco is $2 per taco. The relative price of a pizza is Select one: O a. $12 per pizza. O b. 6 tacos per pizza. O c. 1/6 pizza per taco. O d. $24 per pizza.

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The relative price of a pizza is 6 tacos per pizza, or 1/6 pizza per taco.

Relative price is the price of one good in terms of another good. In this case, the relative price of a pizza is how many tacos you could trade for a pizza.

To find the relative price of a pizza in tacos, we need to divide the money price of a pizza by the money price of a taco:

Relative price of a pizza = (money price of a pizza) / (money price of a taco)

Relative price of a pizza = $12 / $2

Relative price of a pizza = 6 tacos per pizza

So, the relative price of a pizza is 6 tacos per pizza, or 1/6 pizza per taco.

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