What minimum pilot certification is required for operation within Class B airspace?

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Answer 1

B class All pilots flying in a Class B airspace area must obtain ATC clearance from the ATC facility with jurisdiction over that area.

Unless otherwise authorised by ATC, all aircraft operating in Class B airspace must have the operating transponder and automatic altitude reporting equipment specified in 14 CFR part 91, section 91.215(a), as well as an operable two-way radio capable of communicating with ATC on appropriate frequencies. Student, sport, and recreational pilots may enter specific Class B airspaces after receiving training and an instructor's endorsement. Even with the endorsement, students are not permitted at certain Class B airports. A 4096-code transponder, an encoding altimeter, and a VOR or TACAN receiver are all required.

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Related Questions

paid $40,000 cash to replace a motor on equipment that extends its useful life by four years. paid $200 cash per truck for the cost of their annual tune-ups. paid $175 for the monthly cost of replacement filters on an air-conditioning system. completed an addition to a building for $225,000 cash. 1. classify the above transactions as either a revenue expenditure or a capital expenditure. 2. prepare the journal entries to record the four transactions from part 1.

Answers

Paid $40,000 cash to replace a motor on equipment and addition to the building for $225,000 cash is a capital expenditure, whereas, $200 cash per truck and  $175 for the monthly cost of replacement filters is a revenue expenditure.

Revenue expenditures ar short expenses employed in this amount or generally inside one year. Revenue expenditures embrace the expenses needed to fulfill the continuing operational prices of running a business, and therefore ar primarily identical as operative expenses (OPEX).

Capital expenditure (CapEx) is cash that's spent to accumulate, repair, update, or improve a set company quality, like a building, business, or instrumentation. A CapEx is totally different from an everyday business, that falls below the expense class.

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on january 1, year 1, parker company issued bonds with a face value of $63,000, a stated rate of interest of 12 percent, and a five-year term to maturity. interest is payable in cash on december 31 of each year. the effective rate of interest was 14 percent at the time the bonds were issued. the bonds sold for $58,674. parker used the effective interest rate method to amortize the bond discount.requireda. prepare an amortization table.b. what item(s) in the table would appear on the year 4 balance sheet?c. what item(s) in the table would appear on the year 4 income statement?d. what item(s) in the table would appear on the year 4 statement of cash flows?

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The face value of bonds= 57,000$, if the face value of $63,000, a stated rate of interest of 12 percent, and a five-year term to maturity.

What is a simple definition of an interest rate?

The sum that the lender demands from the borrower in addition to the principal amount is known as the interest rate. Regarding the recipient, a person who deposits money in a bank or other financial institution also makes extra money due to the time worth of money, which is known as interest earned by the depositor.

With an example, what is interest rate?

The rate indicates the precise amount of interest that a borrower will either earn or pay on a loan. A $100 loan at a nominal interest rate of 6%, for instance, would result in interest charges of $6 ($100 X 0.06). to the to the to the to the to the o Preps. Paradfo If the debt was increased to $1,000, the borrower would continue to pay 6%.

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As a business strategy, the strategy behind "dumping" is to _____

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As a business strategy, the strategy behind "dumping" is to earn more profit and exhaust stock domestically.

What is the dumping strategy?

Dumping is the policy of exporters to sell goods abroad at lower prices than domestically and is one of the obstacles to international trade.

Dumping is intended to gain as much profit as possible from commodities sold in foreign markets. In addition, dumping still has 2 other objectives, namely:

- Deplete the stock of goods and get more profit.

- Dumping is also used as a strategy to expand market share. The number of consumers will increase when a product is sold cheaply. So this practice is often used to increase the number of consumers and expand its market reach.

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in buying an existing business, the prospective buyer should ask questions about the operation of the business. which of the following would be an inappropriate question to ask?

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When purchasing an established firm, you should know everything about the company and why the owner is selling since it may alter your mind or help you make future decisions. The correct answer was "E," because all of the questions are not only appropriate, but also required.

What Is a Prospective Buyer List?

A prospective buyer list is a list established by investment bankers, mergers and acquisitions advisors, or business brokers after they have been hired by the owner of a company to oversee the business's sales process.

In general, a prospective buyer is any possible buyer who would be a good fit for the purchase of a firm being promoted in a sell-side transaction. A potential buyer is one of the purchasers on a prospective buying list in the field of M&A.

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The following is an example of an instruction written in which computer language? 10110000A) Assembly languageB) JavaC) machine languageD) C#

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10110000 can be regarded as an example of an instruction written in the machine language of the computer. Therefore, the option C holds true.

The machine language can be referred to or considered as the language which is used specifically in the applications of computer and computer networks. Moreover, the machine language is based on binary codes, as it is the language that can be understood by the computer and the machines related thereto. Additionally, the machine language does not include any codes other 1 and 0.

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poka-yoke)* is not an example of poka-yoke. (*discuss briefly why not.) a. processing of returned items b. tray-return stands and trash bins at the exit of a fast-food restaurant c. entering a customer's eye color at the start of transaction d. height bars at amusement rides

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Poka-Yoke is not an example of height bars at amusement rides.

What is Poka-Yoke?

Poka-Yoke was initially utilized in the 1960s by Shigeo Shingo, an industrial engineer of Toyota (poh-kah yoh-keh). Shingo also created and codified Zero Quality Control, which combines source inspection for defect avoidance with Poka-Yoke methods for prospective problem rectification.

Actually, the name was baka-yoke, which means "fool-proofing," but it was changed because of the term's demeaning and disparaging connotation. Poka-Yoke means "mistake-proofing" or "avoiding (yokeru) unintended mishaps" in the literal sense (poka).

By ensuring the right conditions are in place before a process step is carried out, Poka-Yoke prevents mistakes from ever occurring. When this isn't possible, Poka-Yoke assumes the role of a detective, tracking down issues and solving them right away.

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a company's classified balance sheet shows current assets of $8,650 and current liabilities of $6,000. what is the company's current ratio?

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The current  ratio of the company equals 1.44

The current ratio is a measure of a company's liquidity, or its ability to pay short-term obligations. The current ratio is calculated by dividing a company's current assets by its current liabilities. In this case, the current ratio is calculated by dividing $8,650 in current assets by $6,000 in current liabilities, which equals 1.44.

The current ratio is a measure of a company's short-term liquidity. It helps investors and creditors assess a company's ability to pay its short-term debts. A higher current ratio indicates a stronger liquidity position, while a lower current ratio indicates a weaker liquidity position.

Generally, a ratio of 1.2 or higher is considered to be good, while a ratio lower than 1.0 indicates that the company may not be able to pay its short-term obligations. Therefore, the company in this example has a good current ratio of 1.44.

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the free cash flow to the firm is reported as $275 million. the interest expense to the firm is $60 million. if the tax rate is 35% and the net debt of the firm increased by $33 million, what is the free cash flow to the equity holders of the firm?

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The amount left over after capital expenditures are taken into account is referred to as free cash flow. The overall cost incurred to acquire and maintain assets is referred to as a capital expenditure.

What is cash flow formula?

Cash is king, as every small business owner is aware, but many run into issues at some point. In fact, 60% of small businesses have reported having trouble with cash flow, and 72% of those report that it has interfered with their daily operations.

So how can we monitor the money coming in and going out of your company, What resources can you employ to make sure your company has enough money to expand and grow, not just to survive? What measures will be required of lenders and investors?

The essential formulas that small business entrepreneurs require are listed below. The difference between all of the company's cash inflows and cash withdrawals over a specific time period is known as net cash flow. It's a crucial sign of a business's financial stability.

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Which of the following is a characteristic of oligopoly? (i) A market situation with only a few buyers (ii) A market situation with only a few sellers
(iii) A market situation with only one seller (iv) Government control overprice.

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Oligopoly is a market structure in which there are only a few sellers. Small numbers of businesses that are aware of their interdependence in terms of price and output policies define an oligopoly as a market.

What economic oligopoly traits are present?

High entry barriers, the capacity to determine prices, company interdependence, maximised revenue, product differentiation, and non-price competition are some features of oligopoly.

What trait(s) of the following apply to an oligopoly?

It has the following traits: A significant portion of industry output is produced by just a few big companies. A downward sloping demand curve affects every company. Large-scale non-price rivalry is a common feature of the sector.

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job order costing and process costing are question 3 options: cost flow systems inventory tracking systems pricing systems cost accounting systems

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Cost accounting has to do with how much it costs to produce a thing. It aids businesses in cost management, planning, and decision-making that increases cost effectiveness.

What is job order costing?

Cost accounting systems include job-order costing and process costing. The cost of goods or services offered is calculated using job order costing. Contrarily, process costing is used to calculate a product's cost at each stage of production.

Accounting that tracks costs and receipts by "job" and facilitates uniform reporting of profitability by work is known as "job costing." An accounting system must enable the assignment of job numbers to specific expenditures and revenue items in order to support job costing.

Job order costing is a method of costing in which the costs of every product or job are traceable. Process costing is a costing method where costs are calculated based on the number of equivalent units generated when a product is mass produced.

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banks typically come under financial stress because of a. the money multiplier effect b. a widespread decline in the value of their assets c. diversification of loan assets d. higher interest rates

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Banks typically come under financial stress because of a widespread decline in the value of their assets.

Finance is the examination and area of money, forex and capital belongings. it's miles associated with, but no longer synonymous with economics, the observe of production, distribution, and intake of money, belongings, goods and services (the field of monetary economics bridges the two). Finance sports take vicinity in monetary systems at numerous scopes, as a consequence the sphere may be roughly divided into non-public, corporate, and public finance.  In a monetary system, assets are sold, sold, or traded as monetary gadgets, which includes currencies, loans, bonds, stocks, shares, alternatives, futures, and so on.

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an mnet 414 student must decide whether to pay for auto insurance on a monthly or an annual basis. if paid annually the upfront annual cost is $2750. if paid monthly, $250 to be paid at the start of each month. what is the ror for buying the insurance on annual basis expressed as annual effective rat

Answers

The student would get higher rate of returns if auto insurance is paid on monthly basis.

How to decide monthly or annual payment of insurance is best?

Let’s list the given information first,

Annual cost of insurance = $2750

Monthly cost of insurance = $250

So, the total annual premium, if paid monthly = Monthly cost of insurance x 12 (months/yr)

= 250 x 12 = $ 3000

The effective annual rate (rate of return) is calculated using the following formula:

AER =  [tex](1 + \frac{i}{n}) ^{2}[/tex] - 1

I = Nominal rate/ Insurance paid (in this case)

n = Number of compounding periods (here, 12 months)

According to this concept, the effective annual rate increases when the number of compounding periods increases.  Hence, the rate of returns would be increase when payment is done in the following order.

Semi-annual < Quarterly < Monthly <Daily

Therefore, if the student is to pay auto insurance on a monthly basis, he is bound to get higher rate of returns.

What is Effective annual interest rate?

When the benefits of compounding over time are considered, the effective annual interest rate is the actual returns on a any interest-paying investment. It also indicates the actual percentage rate of interest owed on a loan, credit card, or other debt.

It is also known as the yearly equivalent rate, the effective interest rate, or the effective rate (AER).

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Prepare entries to record the following: a. Issued 1,000 shares of $10 par common stock at $59 for cash. If an amount box does not require an entry, leave blank or enter "0". b. Issued 1,400 shares of $10 par common stock in exchange for equipment with a fair market price of $60,000. If an amount box does not require an entry, leave it blank or enter "0" c. Purchased 100 shares of treasury stock at $32 d. Sold the 100 shares of treasury stock purchased in (c) at $42. If an amount box does not require an entry, leave it blank or enter "0"

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The journal entries for each transaction are:

a) Cash                                      $59,000

              Outstanding shares                                   $10,000

              Gain on sales of outstanding shares        $49,000

b) Equipment                            $60,000

             Outstanding shares                                     $14,000

             Gain on exchange of oustanding shares   $46,000

c) Treasury stock                      $3,200

             Cash                                                              $3,200

d) Cash                                      $4,200

             Treasury stock                                             $3,200

             Gain on sale of treasury stock                   $1,000

Let's discuss the journal entries for every transaction:

a. Issue of 1,000 shares of $10 par common stock at $59 for cash.

Cash                                      $59,000

        Outstanding shares (1,000 X $10 par)            $10,000

        Gain on sales of outstanding shares              $49,000

b. Issue of 1,400 shares of $10 par common stock for equipment with a fair market price of $60,000

Equipment                            $60,000

             Outstanding shares (1,400 x $10 par)         $14,000

             Gain on exchange of oustanding shares   $46,000

c. Purchased 100 treasury stock at $32, We assume this transaction is done in cash

Treasury stock                     $3,200

             Cash                                                              $3,200

d. Sold the 100 treasury stock purchased in (c) at $42

Cash                                      $4,200

             Treasury stock (100 x $32)                         $3,200

             Gain on sale of treasury stock                   $1,000

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oil services corp. reports the following eps data in its annual annual report (in million except per share data). net income $3,654 earnings per share: basic $1.56 diluted $1.54 weighted average shares outstanding: basic 2,344 how many weighted average shares were dilutive during the year?

Answers

Weighted average shares were dilutive during the year is 14 million.

Basic earnings per share = Net income / weighted average shares

= 1827/1172

= 1.55887

Net income / Diluted = 1827/1.54 = 1186

Diluted shares = 1186 - 1172

= 14 million

The weighted average number of shares is calculated by taking the number of shares outstanding and multiplying the portion of the reporting period covered by those shares for each portion and finally adding up the total.

Simply put, averaging means buying more shares when the price falls in order to reduce the total cost of holding.

The shares with the lowest price are sold first, regardless of the holding period. Stocks with long holding periods are sold first, starting with those with the lowest cost.

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A debit is used to record an increase in all of the following accounts except: Multiple Choice Supplies Cash Accounts Payable Owner's Withdrawals Prepaid Insurance

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An increase in accounts payable is not included in debit.

Define accounts payable.

Money owing by a corporation to its suppliers and listed as a liability on the balance sheet is known as accounts payable. It differs from liabilities for notes payable, which are obligations made by formal legal instrument documents. Accounts payable (AP) refers to the short-term debt and liability on a balance sheet that a company owes to its suppliers and vendors who have given the company credit for goods or services.

A current liability account called accounts payable is used to track any owed-money to other people. Banks, businesses, or even a person you borrowed money from could be considered third parties. Accounts payable frequently refers to the acquisition of goods or services from other businesses.

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which economic sectors have benefited from government subsidies? correct answer(s) agriculture press space to open security press space to open transportation press space to open technology

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Agriculture press space to open economic sectors have benefited from government subsidies. Government subsidies aid an industry by covering a portion of the cost of a products or service's production through the provision of tax credits.

Reimbursements, as well as by covering a portion of the cost a customer would incur when buying a thing or service. Obtainable products Subsidies can assist in bringing down the cost of items produced by companies so that customers can continue to afford them, which can foster economic growth. Controlling inflation: The government can provide subsidies to help offset changes in production costs and make sure that consumer prices stay low and reasonable.

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different levels of planning in supply chain operations management include: group of answer choices general and detailed planning. strategic, tactical, and operational planning. long-term and short-term planning. logistical, operational, and procurement planning. answer: b

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Different levels of planning in supply chain operations management include strategic, tactical, and operational planning.

In the corporate world, supply chain can be taken for granted. Realizing that the supply chain is the cornerstone of any operation or business is crucial. Supply chain management is divided into three levels: strategic, tactical, and operational. Together, these levels handle all the choices necessary to timely deliver high-quality goods to clients at the lowest possible cost while generating the most possible income.

Examining the three levels of supply chain management the strategic level, the operational level, and the tactical level will help you better grasp the many stages of supply chain management and how they affect one another.

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suppose that nora just purchased and consumed two products: pepsi and doritos. nora's marginal utility from the last bag of doritos she ate was 30, and the marginal utility from the last pepsi she consumed was 10. if the price of doritos was $2.25 and nora is at a consumer optimum, what is the price of pepsi? (give your answer to two decimals.) $

Answers

The price for the given case of pepsi is $0.75.

What is marginal utility?

Marginal utility is the enjoyment a consumer gains from having one more unit of a good or service. Economists utilize the idea of marginal utility to estimate the quantity of a good that customers will buy. Although marginal utility tends to decline with consumption, depending on the product consumed, it may or may not ever approach zero.

Marginal Utility of Doritos [tex](MU_D)=30[/tex]

Marginal Utility of Pepsi [tex](M U_P)=10[/tex]

Price of Doritos [tex](P_D)= 2.25[/tex]

Price of Pepsi [tex](P_p)= ?[/tex]

Since consumer is at optimum level so

[tex]\frac{MU_D}{P_D} =\frac{MU_P}{P_D}[/tex]

[tex]\frac{30}{2.25} =\frac{10}{P_P}[/tex]

[tex]P_P =\frac{22.5}{30}[/tex]

[tex]P_P = $0.75[/tex]

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Which of the following is not generally considered to be a resource (factor of production)? O A. A small business owner. OB. A copper mine. OC. A bond issued by the Chrysler Corporation. OD. A college professor.

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the correct answer of the given question is option c which is A bond issued by the Chrysler Corporation.

One of the "Big Three" American automakers, Stellantis North America (officially FCA US and formerly Chrysler (/kraslr/))[2][3] has its headquarters in Auburn Hills, Michigan. It is a branch of the international automaker Stellantis in the United States. Stellantis North America sells automobiles under the Dodge, Jeep, and Ram nameplates in addition to the Chrysler brand. It also includes SRT, its performance automobile division, and Mopar, its automotive parts and accessories company.

Walter Chrysler created the original Chrysler Corporation in 1925 using the Maxwell Motor Company's leftovers. It was bought by Daimler-Benz, which changed its name to DaimlerChrysler in 1998.

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Which of the following does not rely on managerial decisions involving accurate product costing? a. emphasis of a product line b. product price c. product constraints Od. product mix

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Product constraints do not rely on managerial decisions involving accurate product costing.

What are the three major types of constraints?

Anything that keeps you from moving closer to your product goal is a constraint, according to the definition. It can take many different forms, so it's impossible to create a comprehensive list of all the limits. Depending on its objectives, setting, target audience, technology, geographic location, etc., each product may have a different set of limitations.

Project managers need to be aware of the three main constraints: time, scope, and money. The three limitations or the project management triangle are common names for them. Constraints on a design are restrictions on a design. These include restrictions that are placed on you and over which you have no influence as well as restrictions you place on yourself to enhance a design.

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Make an assumption about the relationship between coverage limit and premium. explain your thinking.

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You pay insurance companies premiums in exchange for coverage. As a result, consider "insurance price" instead of "insurance premium." Depending on the coverage, you normally pay premiums monthly, semiannually, or annually.

Define coverage limit and premium.

The largest amount your insurer will settle a claim for in accordance with the conditions of your policy is referred to as your insurance cap or limit, also known as your coverage amount. Most insurance agreements, including those for auto and house, provide a variety of coverage categories with specific coverage limits.

The insurance premium is the sum of money an individual or business pays to purchase an insurance policy. For the coverage of life, auto, house, and health insurance, premiums are paid.

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what is dependent demand? question 8 options: a) it originates from the external customer. b) there is a deep bill of material. c) the finished products are mostly services (rather than goods). d) the item has several children. e) the demand for one item is related to the demand for another item

Answers

Dependent demand is option A. it originates from the external customer. As the consumers increase the dependent demand increases.

Dependent demand for is the demand for issue parts, uncooked materials, or sub-assemblies. This call for does no longer arise until there's demand for a figure object, which is typically a product.

Call for is impartial if it's far unrelated to call for for every other products or services. demand relies if it's far derived from the call for for another services or products. independent call for needs to be forecast; however, necessities for structured demand for are calculated from the impartial items.

Established call for. impartial demand is the demand for a completed proper, together with a car, even as dependent demand is the demand for a element a part of a finished properly, including the tires on a vehicle. based call for is derived from the demand for a finished correct.

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Transactions with lenders (borrowing and repaying cash) and stockholders (selling company stock and paying dividends

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Financing activities: Deals with creditors (loans and repayment of funds) and stockholders (sale of company stock and payment of dividends).

Transactions between a business and its lenders and owners to obtain or repay resources are referred to as financing operations. In other words, financial activities finance the business, pay back loans, and give owners a profit. Offering and buying back equity are examples of financing activity. Transactions involving debt, stock, and dividends are considered financing activities. The cash flow from financing section includes information on debt and equity financing, which varies depending on the capital structures, dividend practices, and debt conditions that particular organizations may have. Examples of financing activities include issuing bonds and shares, taking out loans, paying off debt, repurchasing shares, etc. Analysts and investors view a company's capital structure as a key barometer of its financial health because it is immediately impacted by these actions.

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jones corporation reported current assets of $184,000 and current liabilities of $127,500 on its most recent balance sheet. the current assets consisted of $63,800 cash; $45,700 accounts receivable; and $74,500 of inventory. the acid-test (quick) ratio is:

Answers

Quick Assets = Cash $62,800 + Accounts Receivable $44,200 = $107,000

$107,000/$134,000 = 0.80

The acid-test (quick) ratio is0.80:1.

The quick ratio, also referred to as the acid-test ratio, examines information from a company's balance sheet to determine whether it has enough short-term assets to pay its short-term liabilities.

If a corporation has current liabilities that are due but cannot be paid immediately, or accounts receivable that take longer than usual to be collected, the acid-test ratio may not be a good indicator of the firm's financial health. Current assets that are difficult to dispose rapidly, such inventory, are disregarded by the acid-test ratio.

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the country of cedarland does not trade with any other country. its gdp is $17 billion. its government purchases $5 billion worth of goods and services each year and collects $6 billion in taxes. private saving in cedarland is $5 billion. for cedarland, investment is a. $7 billion and consumption is $6 billion. b. $6 billion and consumption is $6 billion. c. $6 billion and consumption is $7 billion. d. $7 billion and consumption is $7 billion.

Answers

Investment in Cedarland is $6 billion.

Consumption expenditure in Cedarland is $6 billion. Thus the correct option is option B.

The GDP of the country is $17 billion.  

The tax revenue to the government is $6 billion.

The government purchases are equal to $5 billion.  

Private saving is equal to $5 billion.  

Thus, the government saving will be equal to  

= Tax revenue - Government spending

= $6 billion - $5 billion

= $1 billion

The national saving is equal to  

= Private saving of the country + Government saving

= $5 billion + $1 billion

= $6 billion

In a closed economy, we know that the national savings is equal to  investment expenditure.

So investment expenditure in Cedarland is $6 billion.

In a closed economy the GDP is Consumption + Investment Expenditure + Government Expenditure.

$17 billion = C + I + G

$17 billion = C + $6 billion + $5 billion

C = $17 billion - $11 billion

C = $6 billion  

Thus, the Consumption expenditure in Cedarland is $6 billion.

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forecasted results are generally less accurate than the actual results and the most accurate forecasting is done by combining both implicit and explicit techniques. group of answer choices true false

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The statement is True. Forecasted results are generally less accurate than the actual results and the most accurate forecasting is done by combining both implicit and explicit techniques.

Despite the fact that both are used, the Forecasted is the preferred shape. The forecast is an abnormal verb, meaning that it's beyond bureaucracy don't observe the overall rule of including ed to the bottom. There are masses of different verbs which might be unchanged in past disturbing paperwork.

If you're seeking comfort from the wintry weather blahs, looking at what's forecasted as new spring fashions for men can help. It consists of historic and projected statistics approximately the organization's profits, balances, and forecasted income for the beyond and destiny 5 years.

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Find a formula for the nth term in this
arithmetic sequence:
a1 = 7, a2 = 4, a3 = 1, a4 = -2, ...
an=[?]n+[]

Answers

A formula for the nth term in this arithmetic sequence include the following: aₙ = 10 - 3n or aₙ = -3n + 10.

How to calculate an arithmetic sequence?

Mathematically, the nth term of an arithmetic sequence can be calculated by using this expression:

aₙ =  a₁ + (n - 1)d

Where:

d is the common difference.a₁ is the first term of an arithmetic sequence.n is the total number of terms.

Next, we would determine the common difference for this arithmetic sequence by using the following mathematical expression:

Common difference = a₂ - a₁ = a₃ - a₂

Common difference = 4 - 7

Common difference = -3

Substituting the given parameters into the formula for the nth term of an arithmetic sequence, we have;

aₙ = a₁ + (n - 1)d

aₙ = 7 + (n - 1)(-3)

aₙ = 7 - 3n + 3

aₙ = 10 - 3n or aₙ = -3n + 10

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a marketing manager wants to use a search ads campaign to capture the consideration of customers who are searching online for camping equipment. what's a key benefit of a well-managed search ads campaign?

Answers

A key benefit of a well-managed search ads campaign is improved visibility and reach. By targeting relevant keywords and creating relevant ads, the marketing manager can ensure that their campaign is seen by potential customers who are actively looking for camping equipment.

This increases the chances of the customer clicking on the ad and engaging with the brand, which can lead to improved brand awareness and potential sales. Additionally, search ads campaigns can be highly targeted and cost-effective, allowing the marketing manager to maximize ROI while reaching their desired audience. ROI is a measure of the profitability of an investment. It can be calculated by dividing the net gain of an investment by the amount of money initially invested.

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describe the agricultural policy that helped china move into the industrial age and improve its economy.

Answers

Great Leap Forward, in Chinese history, the campaign undertaken by the Chinese communists between 1958 and early 1960 to organize its vast population, especially in large-scale rural communes, to meet China's industrial and agricultural problems.

Foreign crops including potatoes, corn, peanuts, and sweet potatoes were imported and planted as a result of more frequent interactions between China and other nations. The wider variety of cash crops were successfully accommodated into the intercropping and rotational farming regimes, raising food output even higher. Agrarian reform in China was the first step in its economic transformation. Between 1978 and 1983, agricultural reforms overcame recurrent food shortages suffered since the 1950s by effectively converting communal farming to household-based farming and producing record-breaking growth in grain and meat output. Beginning in 1958 and ending in 1961, Mao Zedong and the Chinese Communist Party implemented the Great Leap Forward, a five-year economic programme. The country's agriculture industry was to be modernised following communist economic principles.

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Trying to figure out the most efficient way to perform a job is a goal of
a. Forbes.
b. the Hawthorne effect.
c. Maslow's hierarchy.
d. scientific management.
e. behavioral management.

Answers

Trying to figure out the most efficient way to perform a job is a goal of scientific management. The correct answer is option D.

What is scientific management?

Scientific management defines working based on standardized techniques and tools and with the help of specialized personnel so as to increase the quantity as well as the quality of the product and the same time decreasing the costs. Scientific management is also known as Taylorism.

Scientific management can be summarized in four main principles, those are:

Using scientific methods to determine and standardize the one best way of doing a job.A clear division of tasks and responsibilities.High pay for high-performing employees.A hierarchy of authority and strict surveillance of employees.

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