The agreement that ended the era of fixed exchange rates for the major economies was called the?
A. Smithsonian Agreement II.
B. Bretton Woods Agreement.
C. Louvre Accord.
D. Smithsonian Agreement I.

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Answer 1

The correct answer is D, Smithsonian Agreement I. This agreement was signed in December 1971 and effectively ended the Bretton Woods system of fixed exchange rates. Under the Bretton Woods system, the value of currencies was tied to the US dollar, which in turn was tied to gold.

However, this system became untenable as the US faced mounting deficits and a growing trade imbalance. The Smithsonian Agreement allowed for greater flexibility in exchange rates, with countries being able to adjust their currencies by up to 2.25% against the US dollar. This agreement marked a significant shift towards floating exchange rates and paved the way for the modern global monetary system. Since then, exchange rates have been determined by market forces, with intervening only in exceptional circumstances. The move towards floating exchange rates has had a profound impact on the global economy, making it easier for countries to adjust to economic shocks and enabling the growth of international trade and investment. Today, there are more than 180 currencies in circulation, reflecting the diversity of the global economy and the importance of exchange rates in modern economies.

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Related Questions

a rapid increase in the number of workers, other things the same, is likely in the short term to

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Other Effects being equal, a rapid-fire increase in the number of workers is likely to raise real GDP in the short term while dwindling real GDP per person.

A thorough proportion of U.S. fiscal action. The value of the final goods and services produced in the United States is measured by GDP, which doesn't include the value of the intermediate goods and services used in their product.

The four phases of the business cycle alter the GDP growth rate peak, trough, expansion, and compression In an extending frugality, the Gross domestic product development rate will be positive since associations are developing and making positions for further noteworthy effectiveness.

A country's gross domestic product( GDP) generally rises when domestic directors vend further goods and services to other nations than domestic consumers buy from other nations. A country is said to have a trade fat when this happens.

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a project requires an investment of $2,500 and has a net present value of $430. if the internal rate of return is 10%, what is the profitability index for the project?multiple choice 0.252.330.701.17

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The profitability index for the project is 1.17.

To calculate the profitability index (PI), we use the formula:

PI = Present Value of Cash Flows / Initial Investment

We are given the net present value (NPV) of the project, which means the present value of cash inflows is $430 higher than the present value of cash outflows. Therefore, the present value of cash inflows is:

PV of Inflows = Initial Investment + NPV
PV of Inflows = $2,500 + $430
PV of Inflows = $2,930

Now we can calculate the PI:

PI = PV of Inflows / Initial Investment
PI = $2,930 / $2,500
PI = 1.172

The correct answer is 1.172, meaning that for every dollar invested, the project will return $1.172 in present value of cash inflows. To find the profitability index for a project with an investment of $2,500, a net present value of $430, and an internal rate of return of 10%, follow these steps:

1. Calculate the profitability index using the formula: Profitability Index (PI) = (Net Present Value + Initial Investment) / Initial Investment

2. Plug in the given values: PI = ($430 + $2,500) / $2,500

3. Calculate the result: PI = $2,930 / $2,500 = 1.17

The profitability index for the project is 1.17.

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Data on the natural rate of unemployment and actual employment are provided in the table below. Natural rate of unemployment 5% Actual unemployment 8%
Based on these numbers, the amount of cyclical unemployment in the economy is positive. negative. zero

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The natural rate of unemployment represents the rate of unemployment that exists when the economy is operating at its full potential. The actual unemployment rate, on the other hand, is the current rate of unemployment in the economy.

When the actual unemployment rate is higher than the natural rate of unemployment, it suggests that there is cyclical unemployment in the economy. This is because the economy is not operating at its full potential, leading to job losses and a rise in unemployment.

In this case, the natural rate of unemployment is 5% and the actual unemployment rate is 8%. Therefore, the amount of cyclical unemployment in the economy is positive. This means that there are more people unemployed than what would be expected if the economy was operating at its full potential.

Cyclical unemployment can be caused by a variety of factors such as a recession, a decline in demand, or a decrease in production. It is important for policymakers to monitor the unemployment rate and take actions to reduce cyclical unemployment to ensure a healthy and stable economy.

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The amount of cyclical unemployment in the economy can be determined by comparing the actual unemployment rate with the natural rate of unemployment.

The natural rate of unemployment is the rate of unemployment that exists when the economy is operating at its full potential and is not experiencing any cyclical unemployment. In the given scenario, the natural rate of unemployment is 5%.

On the other hand, the actual unemployment rate is the percentage of the labor force that is unemployed and actively seeking employment. In this case, the actual unemployment rate is 8%.

To calculate the amount of cyclical unemployment, we need to subtract the natural rate of unemployment from the actual unemployment rate.

8% - 5% = 3%

Therefore, the amount of cyclical unemployment in the economy is positive, indicating that there are more people unemployed than what would be expected in a fully functioning economy.

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Edge Corp., a calendar-year C corporation, had a net operating loss and zero tax liability for its Year 3 tax year. To avoid the penalty for underpayment of estimated taxes, Edge could compute its first-quarter Year 4 estimated income tax payment using:
A) the annualized income method.
B) the preceding-year method.
C) both the annualized income method and the preceding-year method.
D) neither the annualized income method nor the preceding-year method.

Answers

To avoid the penalty for underpayment of estimated taxes, Edge Corp. can compute its first-quarter Year 4 estimated income tax payment using the: B) preceding-year method.

The preceding-year method allows a corporation to base its estimated tax payments for the current year on the tax liability from the previous year. If Edge Corp. had zero tax liability in Year 3, it can use this amount as the basis for its first-quarter Year 4 estimated income tax payment.

The annualized income method, option A, is used when a corporation's income is unevenly distributed throughout the year. Since Edge Corp. had a net operating loss and zero tax liability in Year 3, it may not have the necessary income to utilize the annualized income method for the first-quarter Year 4 estimated tax payment.

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If aggregate demand just increased, which of the following may have caused the increase? O A. an increase in government purchases OB. an increase in imports O C . an increase in the interest rate OD. an increase in the price level

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If aggregate demand just increased, it could be due to an increase in government purchases, which would increase the total demand for goods and services in an economy.

Another possibility is an increase in exports, which would increase the foreign demand for goods and services produced in the economy and boost aggregate demand. However, an increase in imports would have the opposite effect on aggregate demand, as it would mean that more of the total demand for goods and services is met by foreign producers rather than domestic producers.

An increase in the interest rate, on the other hand, would typically lead to a decrease in aggregate demand, as higher interest rates make borrowing more expensive and reduce the incentive for consumers and businesses to spend and invest. Finally, an increase in the price level would also decrease aggregate demand, as higher prices would reduce the purchasing power of consumers and lead to a decrease in the total quantity demanded of goods and services.

Overall, the factors that contribute to changes in aggregate demand can be complex and multifaceted and can vary depending on the specific economic conditions and policies in a given country.

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tom wants to ensure his new house is landscaped well. what are some things he may need to consider when planning for landscaping costs for his home?

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Landscaping costs depend on the location and size of the house.

Tom will need to consider the following factors when planning for landscaping costs for his home:

Size and shape of the property: Larger properties need more landscaping than smaller properties. Topography of the property: If the property is located on a steep slope, retaining walls may be necessary. These walls help keep soil in place, thus preventing erosion and soil movement.

Soil condition: The type of soil in the property is another factor to consider. Some plants thrive in certain types of soil while others do not. Adding compost and other soil amendments to improve soil fertility can significantly increase the cost of landscaping.

Purpose of the landscaping: The purpose of the landscaping also affects the cost. If the goal is to create a functional outdoor space, like a patio or a deck, then the cost can be higher. If the focus is on adding aesthetic appeal, then the cost can be lower.

Seasonal factors: The cost of landscaping can vary depending on the season. Some plants are only available during specific seasons, and the cost of labor and materials can be higher during peak seasons.

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according to cost-benefit analysis, a government project should be undertaken as long as the _____ A. Voters approve the project. B. Benefits exceed the opportunity costs. C. Opportunity costs exceed the welfare benefits. D. Benefits equal the costs.

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According to cost-benefit analysis, a government project should be undertaken as long as the benefits exceed the opportunity costs, option B.

This means that the project will create more value for society than the resources (such as money, time, and labor) used to implement it. Ultimately, the goal of cost-benefit analysis is to ensure that government projects maximize their positive impact while minimizing their negative effects.

Therefore, the correct option B. Benefits exceed the opportunity costs

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under the replacement depreciation method, the amount paid for new or replacement assets is recorded as

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Under the replacement depreciation method, the amount paid for new or replacement assets is recorded as the cost of the asset.

The replacement depreciation method is used to calculate the depreciation of an asset that is replaced periodically. In this method, the cost of the new or replacement asset is recorded as the cost of the asset. This is done because the new asset replaces the old asset and provides the same level of service. The depreciation on the old asset is calculated as normal and when the old asset is replaced, the cost of the new asset is added to the cost of the old asset, and the total cost is used to calculate depreciation.

This method is used when it is more efficient to replace the asset periodically than to repair it. It is commonly used for assets such as machinery, vehicles, and equipment that have a limited lifespan and are subject to wear and tear.

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which types of it initiatives directly address specific business needs? (multiple) strategic initiatives local initiatives architectural initiatives fundamental initiatives urgent initiatives

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The types of IT initiatives that directly address specific business needs are strategic initiatives, local initiatives, architectural initiatives, fundamental initiatives, and urgent initiatives.

IT (Information Technology) initiatives are projects that involve technological solutions to business problems. These initiatives can address specific business needs and help in achieving the organization's goals and objectives. The different types of IT initiatives are as follows:

Strategic initiatives: These are long-term initiatives that align with the organization's strategic goals. They are designed to improve the company's competitive position, revenue, and profitability.

Local initiatives: These initiatives are specific to a particular department or business unit within an organization. They aim to meet specific business needs and improve the efficiency of business processes.

Architectural initiatives: These initiatives are designed to improve the organization's technology infrastructure. They involve upgrading the hardware and software used by the organization and implementing new technologies that support business processes.

Fundamental initiatives: These initiatives aim to improve the basic operations of the organization, such as reducing costs, improving quality, and increasing productivity.

Urgent initiatives: These initiatives are initiated in response to an emergency or crisis. They aim to solve an immediate problem or address a pressing issue that requires urgent attention.

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technical analysis is unable to generate abnormal returns under which form(s) of the efficient markets hypothesis?

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According to the efficient markets hypothesis (EMH), technical analysis is unable to generate abnormal returns under the strong form of the EMH.

The strong form states that all information, including insider information, is already reflected in stock prices, making it impossible for any investor to consistently earn abnormal returns through any form of analysis, including technical analysis. However, proponents of technical analysis argue that the weak and semi-strong forms of the EMH still leave room for the use of technical analysis to generate abnormal returns. The weak form of the EMH implies that past stock prices and technical indicators may be useful in predicting future prices, while the semi-strong form suggests that technical analysis may be useful in identifying mispricing caused by new public information.

The strong form of the EMH assumes that stock prices reflect all available information, including both public and private information, making it impossible to generate abnormal returns using any type of analysis, including technical analysis. Under the strong form, even insiders cannot earn abnormal returns by using their private information as this information is already reflected in the stock price.

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According to the efficient markets hypothesis, technical analysis is unable to generate abnormal returns in any form.

This hypothesis suggests that financial markets are highly efficient, which means that all available information is already reflected in the price of a security. Therefore, any attempt to use technical analysis to predict future prices and generate abnormal returns is futile. This is because the market is able to quickly incorporate new information, making it difficult for any individual or group to consistently outperform the market. In summary, the efficient markets hypothesis suggests that technical analysis is not a reliable tool for generating abnormal returns in any form.

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All of the following are influential factors in general election competitiveness EXCEPT.A) the presence of incumbencyB) the strength of incumbencyC) party competitionD) number of candidatesE) level of office

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All following are influential factors in general election competitiveness except number of candidates, option D.

In a general election, all or the majority of the candidates for a certain political body are usually chosen. These are distinct from by-elections (when only one electorate participates in the election) and often held for a country's, state's, or territory's principal legislative body.

A general election is, in the majority of systems, a regularly scheduled election in which the president or prime minister, as well as "a class" or all of the legislators, are chosen simultaneously. On occasion, general election dates may coincide with elections taking place in other administrative regions, such a municipal election.

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the baldwin company currently has the following balances on their balance sheet: total liabilities $121,000 common stock $44,939 retained earnings $33,201 suppose next year the baldwin company generates $36,500 in net profit and pays $15,000 in dividends and total liabilities and common stock remain unchanged. what must their total assets be next year?

Answers

The total assets of the Baldwin Company next year must be $220,640.

To find the total assets of the Baldwin Company next year, we need to use the accounting equation: Assets = Liabilities + Shareholders' Equity. We know that the total liabilities and common stock remain unchanged, so: Liabilities = $121,000Common Stock = $44,939We can find the retained earnings by adding the net profit and subtracting the dividends: Retained Earnings = $33,201 + $36,500 - $15,000 = $54,701Shareholders' Equity = Common Stock + Retained Earnings Shareholders' Equity = $44,939 + $54,701 = $99,640.

Now we can use the accounting equation to find the total assets:Assets = Liabilities + Shareholders' EquityAssets = $121,000 + $99,640 = $220,640Therefore, the total assets of the Baldwin Company next year must be $220,640.

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the higher the quality a provider is perceived to have by the marketplace, the more likely the demand for that provider would be: select one: a. price elastic. b. price inelastic. c. sensitive. d. insensitive.

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The higher the quality a provider is perceived to have, the more likely the demand for that provider would be price inelastic.

When a provider is perceived to have high quality by the marketplace, consumers tend to prioritize the quality of the product or service over the price. In such cases, the demand is considered price inelastic, meaning that changes in price have a relatively smaller effect on the quantity demanded. When the demand is price inelastic, consumers are less sensitive to price changes and are willing to pay higher prices for the product or service due to the perceived value and quality.

On the other hand, if the demand was price elastic, it would mean that consumers would be more sensitive to price changes, and the quantity demanded would change significantly with changes in price. However, for high-quality providers, the focus is primarily on the value and quality of the offering rather than the price.

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Alecia is selling her products on Amazon, using her own resources to fulfill orders. Which of the following best describes Alecia?
A seller leveraging Merchant Fulfilled Network
A vendor leveraging Amazon retail
A seller leveraging Fulfillment by Amazon
A vendor leveraging Fulfillment by Amazon

Answers

Alecia is a seller leveraging Merchant Fulfilled Network.

Alecia is a seller leveraging Merchant Fulfilled Network.

This means that she is using her own resources, such as inventory and shipping, to fulfill orders on Amazon.

While she is utilizing the Amazon platform to sell her products, she is not using Amazon's fulfillment services, such as Fulfillment by Amazon (FBA).

Therefore, she is not a vendor leveraging Amazon retail or FBA.

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if your product selling price is $10 and the reseller discount (or revenue fee) is 10%, what is your revenue per product?

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If your product selling price is $10 and the reseller discount (or revenue fee) is 10%, then your revenue per product would be:  $9.

When a company sells a product to a reseller, the reseller typically charges a markup or a markup fee, which is a percentage of the product's selling price. This markup fee is typically added to the product's selling price to generate revenue for the reseller.

The monthly theory is a pricing model used in the travel industry to set the price of vacation packages. The theory assumes that customers are willing to pay a premium for the convenience of having all the components of their vacation package (flights, hotel, rental car, etc.) booked together, rather than having to book each component separately.

Revenue per product = Selling price - Reseller discount

= 10−0.1

=9

Therefore, your revenue per product would be $9.  

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suppose a company's most recent free cash flow (i.e., yesterday's free cash flow) was $100 million and is expected to grow at a constant rate of 5 percent. if the company's weighted average cost of capital is 15 percent, what is the current value of operations? a. $913 million b. $1,000 million $1,050 million d. $1,500 million e. $2,000 million 3.

Answers

The current value of operations is $1,000 million. Option b is correct.

To calculate the current value of operations, we can use the free cash flow valuation model, which is the discounted cash flow (DCF) approach. The formula is as follows:

Current Value of Operations = FCF / (WACC - Growth Rate)

Given:

Free Cash Flow (FCF) = $100 million

Growth Rate = 5%

Weighted Average Cost of Capital (WACC) = 15%

Current Value of Operations = $100 million / (0.15 - 0.05)

Current Value of Operations = $100 million / 0.10

Current Value of Operations = $1,000 million

Therefore, the current value of operations is b. $1,000 million.

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Which of the following is the most appropriate opening for an adjustment message granting a claim?
a. First, please allow us to sincerely apologize for any inconvenience this unfortunate situation has caused.
b. Enclosed is authorization for you to take your smartphone to your local dealer for repair.
c. Although you purchased your smartphone "as is," we might be willing to make an exception in your case.
d. Thank you for your letter of September 14 in which you detailed the problems you are experiencing with your smartphone.

Answers

The most appropriate opening for an adjustment message granting a claim would be option A: "First, please allow us to sincerely apologize for any inconvenience this unfortunate situation has caused."

This opening acknowledges the customer's negative experience and demonstrates empathy. It sets a tone of concern and care for the customer's experience. Option B is not appropriate as it is simply providing authorization for repair, but does not address the customer's experience or provide any empathy.

Option C may also be inappropriate as it suggests that the company is not obligated to provide an exception and is hesitant to do so.

Option D also does not provide empathy or acknowledge the customer's negative experience, instead, it focuses on the details of the customer's letter. It is important to start with empathy and then proceed to the details of the adjustment or claim resolution.

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hector decides to open a store in dallas, texas. texas has a free enterprise system. what kind of store can hector open?

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Hector has a range of options when it comes to opening a store in Dallas, Texas, thanks to the state's free enterprise system. The free enterprise system is a type of economic system that allows individuals and businesses to make their own decisions regarding the production and distribution of goods and services.

In Texas, this means that there are few restrictions on the types of businesses that can be opened, as long as they comply with state and federal laws. Some potential options for Hector include opening a retail store, a restaurant, or a service-based business. The retail store could specialize in clothing, electronics, or any other product that consumers in Dallas might be interested in purchasing. A restaurant could offer any type of cuisine, from Tex-Mex to Italian to Chinese. A service-based business could include anything from a hair salon to a consulting firm. Ultimately, the type of store that Hector decides to open will depend on his interests, skills, and financial resources. However, the free enterprise system in Texas ensures that he has plenty of options and the ability to pursue his entrepreneurial dreams.

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The Real Estate Settlement Procedures Act (RESPA) prohibits all of the following EXCEPT A) kickbacks paid to brokers B) referral fees paid to brokers C) mandatory use of a title insurance company D) disclosure of closing costs prior to the closing,

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The Real Estate Settlement Procedures Act (RESPA) prohibits option C) mandatory use of a title insurance company.RESPA is a federal law that was enacted to protect consumers who are buying or refinancing a home.

It requires lenders to provide borrowers with certain disclosures about the costs of the loan and settlement process, and it prohibits certain practices that can increase the cost of settlement services.RESPA prohibits kickbacks and referral fees paid to brokers or other settlement service providers, as these practices can lead to higher costs for consumers. Additionally, RESPA requires lenders to provide borrowers with a Good Faith Estimate (GFE) of closing costs, which should help borrowers to compare costs among different lenders and settlement service providers.However, RESPA does not prohibit the mandatory use of a title insurance company. Lenders may require borrowers to obtain title insurance as a condition of the loan, but they are required to disclose the cost of this insurance on the GFE and the HUD-1 Settlement Statement, which is provided to borrowers at closing.

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after two or three years of making loan payments on a new car, the balance owed is greater than the value of the car, which is a situation referred to as upside-down. group of answer choices true false

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The given statement is true because After two or three years of making loan payments on a new car, it is common for the balance owed on the car loan to be greater than the value of the car.

There are several factors that contribute to this situation. Firstly, new cars typically experience rapid depreciation in their early years of ownership. As soon as a car is driven off the lot, its value begins to decline. However, the loan balance takes longer to decrease due to interest and the amortization schedule.

Additionally, if a large down payment was not made or if the loan term is long, it can further contribute to being upside-down on the car loan. High interest rates, fees, and negative equity carried over from a previous car loan can also exacerbate the situation.

Being upside-down on a car loan can have financial implications. If the car is sold or involved in an accident, the insurance payout may not be sufficient to cover the remaining loan balance, leaving the borrower responsible for the difference.

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in the goal, how is cash flow affected by the throughput, inventory, and customer response time

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In the book "The Goal," cash flow is affected by throughput, inventory, and customer response time as follows:

1. Throughput: Throughput is the rate at which a system generates money through sales. An increase in throughput directly contributes to a higher cash flow.

To improve throughput, focus on optimizing the production process, eliminating bottlenecks, and increasing efficiency.

Steps to increase throughput:
a. Identify bottlenecks and address them
b. Increase efficiency in the production process
c. Improve the quality of the product to reduce returns and increase sales

2. Inventory: Inventory is the money invested in materials and goods that have not yet been sold. Excess inventory ties up cash, making it unavailable for other uses, and can negatively impact cash flow. Reducing inventory can improve cash flow by freeing up resources to be used elsewhere in the business.

Steps to reduce inventory:
a. Implement just-in-time inventory management
b. Optimize production schedules
c. Accurately forecast demand to avoid overproduction

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To develop the flexible budget, management takes all of the following steps except
a identify the activity index and the relevant range of activity.
b variable costs and determine the budgeted variable cost per unit.
c fixed costs and determine the budgeted fixed cost per unit.
d All of these options are steps in developing the flexible budget.

Answers

The correct answer to the question is option d. All of the given options are steps in developing the flexible budget.

Developing a flexible budget is crucial for any organization as it allows them to adjust to changes in their activity level, whether it's an increase or decrease. It also provides a more accurate forecast of the company's financial position. Firstly, the management needs to identify the activity index and the relevant range of activity. This step involves determining the level of output, sales, or any other activity that affects the company's costs. It is crucial to identify the activity index because it helps in estimating the budgeted costs for a particular activity level. Secondly, variable costs need to be determined and the budgeted variable cost per unit. Variable costs are expenses that vary with changes in the level of activity. This step helps in determining the budgeted costs for the variable expenses, which helps the company to adjust its expenses accordingly. Thirdly, fixed costs need to be determined, and the budgeted fixed cost per unit. Fixed costs are expenses that remain the same regardless of changes in the level of activity. This step helps in determining the budgeted costs for fixed expenses, which helps the company to plan and allocate resources accordingly. Finally, after determining the variable and fixed costs, a flexible budget is prepared that outlines the expected costs at different levels of activity. This step allows the management to adjust their expenses and revenue targets as per the changing activity level.

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what should you avoid doing when creating your online profile for potential employers?a. including links to videos you have created.b. enabling privacy settings on social media sites.c. using humor or informal names.d. adding photos of yourself.

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When creating your online profile for potential employers, you should avoid using humor or informal names. Option c is correct,

Using humor or informal names in your online profile may not present a professional image to potential employers. It's important to maintain a level of professionalism and present yourself in a serious and appropriate manner.

Using a professional and formal tone in your profile helps establish credibility and demonstrates that you take your online presence seriously. It is recommended to use your real name and present yourself in a manner that aligns with the professional image you want to convey to potential employers.

Therefore, c is correct.

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alpha company bought inventory from omega company, fob shipping point. on december 31, the last day of the accounting year, the goods were on a truck owned by theta, inc., exactly half-way between alpha and omega. which company should include these goods in its december 31 inventory? multiple choice question. alpha and omega should each include half of the goods in inventory theta alpha omega

Answers

In this scenario, the ownership of the goods depends on the terms of the FOB shipping point. According to FOB shipping point terms, the ownership of the goods transfers from the seller (Omega Company) to the buyer (Alpha Company) when the goods are loaded onto the truck.

Therefore, Alpha Company should include these goods in its December 31 inventory, regardless of where the goods are located on that date. It is important for companies to keep accurate records of their inventory as it is a significant asset and affects the financial statements. The inventory balance is reported on the balance sheet and impacts the cost of goods sold (COGS) on the income statement. Inaccurate inventory records can result in misstated financial statements and ultimately lead to financial consequences. To properly account for inventory, companies should establish inventory management systems that accurately track the inflow and outflow of goods. These systems can include periodic physical counts, inventory valuation methods, and inventory control policies. By maintaining accurate inventory records, companies can make informed business decisions, monitor stock levels, and avoid overstocking or understocking of products.

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the first step, and a key element, in the decision-making process is to: group of answer choices consult a specialist. select the best alternative. clearly define the problem. develop objectives.

Answers

This step is essential because it helps to identify the root cause of the issue, gather relevant information, and set clear objectives for the decision-making process.

By defining the problem clearly, you can also avoid confusion and ensure that everyone involved is on the same page. Objectives are also crucial as they provide a roadmap for the decision-making process, helping you to evaluate alternatives and choose the best one that aligns with your goals. Therefore, clearly defining the problem and developing objectives are key elements in making informed and effective decisions.
The first step, and a key element, in the decision-making process is to clearly define the problem. This step involves understanding the issue and breaking it down into manageable parts. The objectives are then developed to address these specific elements. This approach ensures that the decision-making process is focused and efficient, ultimately leading to the selection of the best alternative to achieve the desired outcomes.

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2. Select the best definition of compound interest.
a. Compound interest is earning interest on the original amount you deposited.
b. Compound interest is earning interest on the original amount you deposited plus
any interest earned.
c. Compound interest is the amount of interest you are charged on your bank
account each month.
d. Compound interest is earning a fixed dollar amount on your bank account each
month.

Answers

b. Compound interest is earning interest on the original amount you deposited plus any interest earned.

what workplace document describes the manner in which an organization will comply with the osha bloodborne pathogens standard?

Answers

The document that describes the manner in which an organization will comply with the OSHA Bloodborne Pathogens Standard is called the Exposure Control Plan.

The Exposure Control Plan is a written document that outlines the procedures and practices an organization must follow to minimize the risk of exposure to bloodborne pathogens in the workplace. It includes details on the measures the organization will take to prevent exposure, such as providing personal protective equipment, training employees on safe work practices, and implementing engineering controls to reduce exposure. The Exposure Control Plan also includes protocols for dealing with exposure incidents, such as how to report an incident, the steps to take after exposure, and the medical follow-up procedures for affected employees.
The Exposure Control Plan is a critical component of the OSHA Bloodborne Pathogens Standard, which was created to protect workers from the hazards associated with bloodborne pathogens. The standard applies to any employee who may come into contact with blood or other potentially infectious materials in the workplace. Employers are required to develop and implement an Exposure Control Plan to comply with the standard and protect their employees.

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a blogger writes a post about how bad thier experience was with a business customer service team. what type of earned media mention is this?

Answers

The type of earned media mention that the blogger's post would fall under is negative earned media.

Earned media refers to any media mention, coverage, or attention that a brand or business receives through unpaid means, such as through word-of-mouth, social media, press coverage, or blogger reviews.

Negative earned media, in particular, refers to any mention or coverage that portrays a business or brand in a negative light, such as a critical blog post or negative customer review.
In the case of the blogger's post about their bad experience with a business's customer service team, this would fall under negative earned media.

The blogger's post is likely to be shared and circulated among their readers and social media followers, potentially reaching a wider audience and damaging the business's reputation.

Negative earned media can be particularly harmful to businesses as it can undermine their credibility, reputation, and customer loyalty.

Therefore, businesses need to be mindful of negative earned media and work to address any issues or complaints promptly and effectively.

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Which of the following channel structures would be best suited for ballpoint ink pen? A. Producer
B. wholesaler-
C. retailer-
D. consumer.

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The best channel structure for a ballpoint ink pen would be through retailers.

Retailers are the most suitable channel for products that are widely consumed, have low unit prices, and require high inventory turnover. Ballpoint ink pens are a widely used product, and consumers are likely to purchase them frequently.

Retailers offer convenient locations for customers to purchase pens and typically have a wider range of products than wholesalers or producers. Moreover, retailers can leverage their marketing and advertising efforts to increase brand awareness and promote the benefits of the pens, thus stimulating demand.

Wholesalers are more suitable for products that are high-priced, have low inventory turnover, and are purchased in large quantities, such as industrial products or raw materials.

On the other hand, producers may opt for direct marketing or sales through their website or other online channels for certain products, but this may not be the best option for ballpoint ink pens as they are low-priced and widely available.

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pricing and output determination under an oligopoly is more complicated than pricing and output determinations in other industries. the primary reason for the complication is the:

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Pricing and output determination under an oligopoly is indeed more complicated than in other industries. The primary reason for this complication is the interdependence among firms.

In an oligopoly, a few large firms dominate the market, and each firm's decisions significantly impact the others.

This interdependence makes it difficult for firms to independently set prices and output levels, as they must anticipate and react to their competitors' actions.

Strategic decision-making and game theory play crucial roles in determining outcomes, often leading to complex pricing strategies and a lack of predictability in the market.

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