Which question applies predictive thinking to a public policy solution?

What criteria should be used to judge the efficacy of the solution?
What reasons might people have for failing to comply with the new policy?
Which policy idea has the best chance at meeting all identified criteria?
Which organizations and individuals can best help identify policy solutions?

Answers

Answer 1

Correct option is B, question applies predictive thinking to a public policy solution is "What reasons might people have for failing to comply with the new policy?"

What is Public Policy?

Senator John Smith is running for reelection in the United States Senate. He will debate Jane Doe, the person running against him for the Senate, tonight. Public policy, or the goals a government sets for the health, welfare, and safety of its citizens and the steps it takes to achieve those goals, is the subject of the discussion tonight. Domestic policy and international policy are the two broad categories into which public policy created and carried out by the United States can be divided. Let's look more closely.

Several essential characteristics of public policy include:

A need for attention-requiring issues or problems leads to the creation of policy.

The government's policy is what it decides to do (actually) or not do (implicitly) in relation to a specific topic or problem.

A policy could be a law, a regulation, or the collection of all the laws and regulations that apply to a specific problem or topic.

The "public" is represented while making policy.

A goal or desired state, such as the resolution of an issue, is the focus of policy.

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Related Questions

It is known in a pharmacological experiment that rats fed with a particular diet over a certain period gain an average of 40 gms in weight. A new diet was tried on a sample of 20 rats yielding a weight gain of 43 gms with a variance of 7 gms2 . (3 pts.) a) Calculate the 99 % CI for the true mean weight. b) Test the hypothesis that the new diet is an improvement assuming normality. Use 1 % LOS​

Answers

A. The 99% CI for the true mean weight gain on the new diet is (40.364, 45.636).

B. We cannot conclude that the new diet is an improvement.

How do you calculate the confidence Interval (CI)?

To calculate the 99% confidence interval (CI) for the true mean weight gain of the rats on the new diet, we can use the formula for the CI of the mean:

CI = sample mean +/- t-value * standard error

Where t-value is the critical value from the t-distribution for the desired confidence level (in this case, 99%) and the degrees of freedom (df), and standard error is the standard deviation of the sampling distribution of the mean, which is calculated as the sample standard deviation divided by the square root of the sample size:

SE = sample standard deviation / sqrt(sample size)

For a sample size of 20, the degrees of freedom (df) are 19. Using a t-table or a t-distribution calculator, we can find that the critical t-value for a 99% CI and df = 19 is 3.251.

Plugging these values into the formula above, we get:

CI = 43 +/- 3.251 * (7 / sqrt(20))

= 43 +/- 2.636

The 99% CI for the true mean weight gain on the new diet is (40.364, 45.636).

How can one test the hypothesis on the new diet?

To test the hypothesis that the new diet is an improvement, we can use a one-sample t-test. The null hypothesis is that there is no difference between the mean weight gain on the new diet and the known mean weight gain of 40 gms, while the alternative hypothesis is that the mean weight gain on the new diet is greater than 40 gms.

We can use the t-test formula:

t = (sample mean - null mean) / (standard error)

Plugging in the values from the problem, we get:

t = (43 - 40) / (7 / sqrt(20)) = 3 / 1.698 = 1.773

Using a t-table or a t-distribution calculator, we can find that the critical t-value for a one-tailed test with alpha = 0.01 (1% LOS) and df = 19 is 2.861.

Since our calculated t-value of 1.773 is not greater than the critical t-value of 2.861, we do not have sufficient evidence to reject the null hypothesis.

Therefore, we cannot conclude that the new diet is an improvement.

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If actual fixed manufacturing overhead was $55,000 and there was a $1,400 unfavorable spending variance and a $1,000 unfavorable volume variance, budgeted fixed manufacturing overhead must have been

Answers

The budgeted factory-overhead rate =[tex]55001.4[/tex]

The budgeted factory-overhead rate is generally calculated by dividing Budgeted Factory Costs by Budgeted Hours or Budgeted Direct Labor Hours

The budgeted factory-overhead rate =FC+VC/T

[tex]= $55,000 +$1,400/$1,000=55001.4[/tex]

The manufacturing overhead cost to produce one unit is calculated by dividing the total manufacturing overhead by the number of units produced. The manufacturing overhead budget variance is the difference between the actual amount of fixed manufacturing overhead and the estimated amount (the amount budgeted when setting the overhead rate prior to the start of the year). By dividing the $50,000 total production overhead by the 10,000 units produced, $5 results.

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Losses from ________ exposure generally reduce taxable income in the year they are realized. ________ exposure losses may reduce taxes over a series of years.
A) accounting; Operating
B) operating; Transaction
C) transaction; Operating
D) transaction; Accounting

Answers

Taxable income is often reduced in the year when transaction exposure losses are recognized. Over several years, operations exposure losses may lower taxes.

How much money is subject to taxation?

The gross income cutoff for reporting taxes ranges from $12,550 to $28,500 for the 2022 tax year, depending on your aged, filing status, and dependents. If you earn $400 or so more in self-employment, you must record your earnings and submit taxes.

How can I tell if the money I make is taxable?

Salaries, wages, bonuses, and other compensation are all included in the taxable income, which also includes unpaid and investment income. This sum will also be used to calculate your tax due.

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Income Statement with Variances Alvarado Company produces a product that requires 3.0 standard pounds per unit at a standard price of $6.00 per pound. The company used 23,900 pounds to produce 8,000 units, which were purchased at $6.20 per pound. Each unit requires 7.5 standard direct labor hours per unit at a standard hourly rate of $22.50 per hour. For the 8,000 units produced, 60,200 hours were needed and employees were paid an hourly rate of $21.95 per hour. The company uses a standard variable overhead cost per unit of $1.45 per direct labor hour. Actual variable factory overhead was $85,900. The company uses a standard fixed overhead cost per unit of $2.00 per direct labor hour at 55,000 hours, which is 100% of normal capacity. Prepare an income statement through gross profit for Alvarado Company for the month ended March 31. Assume Alvarado sold 8,000 units at $250 per unit. For those boxes in which you must enter subtractive or negative numbers use a minus sign. If an amount box does not require an entry, leave it blank. Alvarado Company Income Statement Through Gross Profit For the Month Ended March 31

Answers

The preparation of an income statement through gross profit for Alvarado Company for the month ended March 31 is as follows:

Alvarado Company

Income Statement Through Gross Profit

For the Month Ended March 31

Sales                                       $2,000,000

Cost of goods sold at standard 1,701,000

Gross profit-at standard          $299,000

Variances from standard cost:

Direct materials price               $4,780 Favorable

Direct materials quantity             -600 Unfavorable

Direct labor rate                        33,110 Favorable

Direct labor time                      -4,500 Unfavorable

Factory overhead controllable -1,100 Unfavorable

Factory overhead volume     -10,000 Unfavorable

Net variances from standard costs  = $21,690 Favorable

Actual gross profit =  $320,690

What is cost variance?

Cost variance is the difference computed after subtracting the budgeted cost from the actual cost.  It is made up of the price variance and quantity variance.

The cost variance is favorable when the budgeted or standard cost is more than the actual cost, and vice versa.

                                             Standard   Actual

Pounds per unit                        3.0        2.9875 (23,900/8,000)

Direct Materials                     24,000    23,900 pounds

Material price per pound       $6.00     $6.20

Direct materials cost          $144,000   $148,180

Direct labor hours per unit      7.5        7.525 (60,200 ÷ 8,000)

Hourly rate                          $22.50       $21.95

Variable overhead cost        $1.45       $1.4269 ($85,900 ÷ 60,200)

Total variable overhead   $87,290    $85,900

Fixed overhead cost            $2.00

Fixed overhead direct hours 55,000   60,200

Total fixed overhead costs  $110,000  $

Sales revenue = $2,000,000 ($250 x 8,000)

Variances from standard cost:

Direct materials price    $4,780 ($6.00 - $6.20 x 23,900)

Direct materials quantity  -600 (24,000 - 23,900 x $6)

Direct labor rate             33,110 ($22.50 - $21.95 x 60,200)

Direct labor time           -4,500 [(60,000 - 60,200) x $22.50]

Factory overhead controllable -1,100 ($1.45 x 60,000 - $85,900)

Factory overhead volume -10,000 [(55,000 - 60,000) x $2]

Net variances from standard costs  = $21,690

Gross profit = $320,690 ($299,000 + $21,690)

Cost of goods sold:

Direct materials          $144,000 ($6.00 x 24,000)

Direct labor               1,350,000 ($22.50 x 60,000)

Variable overhead        87,000 (60,000 x $1,45)

Fixed overhead           120,000 (60,000 x $2)        

Cost of goods sold $1,701,000

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Which of the following steps of the strategy development process for exports involves establishing relationships with potential local distributors?
A) identification of a potential market
B) match market needs to the company's abilities
C) initiation of meetings
D) commitment of resources

Answers

The process of identifying a potential market entails conducting market research and analyzing the findings. The correct response to the question is option (A).

Define a strategy development process?

Strategy development is the process of examining and identifying strategic possibilities, selecting the most promising ones, and determining how resources will be allocated within the business to achieve objectives.

A strategic plan in place might make it possible to monitor your progress toward your goals. When departments and teams are aware of the overall business plan, their progress can have a direct impact on the success of your company, leading to a top-down approach to tracking key performance indicators (KPIs).

The four stages of strategic management are conceptualization, execution, evaluation, and adjustment.

The following seven essential elements should be included in every strategic plan: a vision, mission, SWOT analysis, list of core values, goals, objectives, and action plans.

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Under the ethical standards of the profession, which of the following investments in a client is NOT considered to be a direct financial interest?
a. An investment held through a non-client regulated mutual fund
b. An investment held through a non-client investment club
c. An investment held in a blind trust
d. An investment held by the trustee of a trust

Answers

a. An investment held through a non-client regulated mutual fund is the following investments in a client is NOT considered to be a direct financial interest.

An funding is an asset or object acquired with the aim of producing profits or appreciation. Appreciation refers to an increase in the price of an asset over time. while an person purchases a great as an investment, the rationale isn't always to devour the good but rather to apply it within the destiny to create wealth. An investment is an asset or item gathered with the aim of generating profits or recognition. In an financial outlook, an investment is the acquisition of goods that are not fed on today however are used within the destiny to generate wealth.

Investments are commonly bucketed into three major categories: shares, bonds and coins equivalents. there are numerous distinct sorts of investments inside every bucket. right here are six types of investments you would possibly remember for long-time period growth, and what you need to realize approximately each.

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Which of the following statement(s) is (are) true about reporting held to maturity securities?
I. Investments in debt securities that are classified as held to maturity are reported at amortized cost.
II. Interest revenue on debt securities that are classified as held to maturity are recognized as other comprehensive income.
III. The market value of investments in debt securities that are classified as held to maturity must be disclosed.
a.
I and II
b.
I and III
c.
I, II, and III
d.
I only
e.
II and III

Answers

Only i) & ii) are true about reporting held to maturity securities.

What are securities with a maturity?

kept to Debt securities purchased with the intention of holding them till maturity are known as maturity securities. The cost of this kind of protection is shown on a company's financial accounts as an amortized cost. It is often accounted for as a debt security with a specific maturity date.

When may securities held till maturity be sold?

Either the corporation can sell the bonds before they mature when it will benefit from doing so, or it can hang onto them for the full ten years until they mature. Bonds kept until maturity will be included as an asset in the company's balance sheet under the heading "Held to Maturity Securities."

A debt security, what about maturity?

The term used to classify debt instruments is determined by the maturity date. Long-term securities mature after three years, medium-term securities after one to three years, and short-term securities after less than a year.

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If a government wants to efficiently reduce a widespread negative externality like air pollution, it must know the costs of pollution abatement of the Individual polluters. However, this Information is difficult to obtain directly. Tradeable emissions permits are one way to solve the asymmetric Information problem affecting pollution abatement efforts. Fill in the blanks to explain how this is possible. a. Because the permits are tradeable, firms with (Click to select) Vabatement costs will sell some of their permits to firms with (Click to select) Vabatement costs. b. Now consider that even after a firm has sold Its permits, It must still reduce its pollution output. Since those who sell their permits would have (Click to select) Vabatement costs, the negative externality is reduced at (Click to select) possible cost to society.

Answers

a) lower & Higher

A firm with lower MAC will always prefer to sell permits to firm with higher MAC, because  lower MAC firm can abate the additional pollution unit at lower cost relatively

b) ​​​​​​lowest & Lowest

This way with trading of permits , the Externality could be dealt at lowest cost.

What is pollution?

Pollution is the introduction of contaminants into the natural environment that cause harmful changes. Pollution can take the form of matter (solid, liquid, gas) or energy (radioactivity, heat, sound, light, etc.). Contaminants, which are the constituents of environmental pollution, are not only foreign substances/energy, but also naturally occurring pollutants. Pollution can be caused by natural phenomena, but the term pollution generally means that pollutants have man-made sources. H. Sources produced by human activity. Pollution is often classified as point source pollution or non-point source pollution. In 2015, pollution killed 9 million people worldwide (1 in 6). This remained unchanged for him in 2019, with little substantive progress against pollution. His three-quarters of previous deaths were due to air pollution.

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roger sold his lawnmower to his neighbor carrie. when carrie took the lawnmower home it exploded and carrie was injured. carrie can sue roger for breach of the implied warranty of merchantability.

Answers

Carrie can sue roger for breach of the implied warranty of merchantability: When she took it home and plugged it in, the refrigerator burst into flames. The seller in this case is in breach of the implied warranty of merchantability.

In each sale among a merchant and a patron, there exists an implied assurance of merchantability. which means that the goods sold can be in shape for his or her normal use. as an instance, if you buy a golf club from a golf keep, there is an implied assurance in the sale that the golfing membership will carry out as it turned into designed to.

Merchantability. The implied assurance of merchantability way the goods are merchantable and agree to an affordable customer's expectations. most purchaser products have an implied guarantee of merchantability. This assurance makes the assumption that a great or product works for its meant reason.

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An employer interviews a job candidate for 15 minutes. On the basis of this interview, the employer decides that the candidate will perform well in the job, so he hires her. This is a case of a: A) sound decision because the employer is making use of available information. B) sound decision because the employer is employing base rates. C) potential error because the employer is assuming that a small sample of information is representative of job performance. D) potential error because the employer is relying on schema-based reasoning rather than deduction.

Answers

This is a case of a potential error because the employer is assuming that a small sample of information is representative of job performance.

An employer is a person, business, or other entity that hires workers and compensates them for their labour. Employees are those who are paid to perform labour. Employers provide workers a job. When an employee is paid hourly, one speaks of wages, and when he or she is given a set amount each pay period, one speaks of salary. Although salaries are often not increased for working above the minimum required, wages are paid for all hours worked, including overtime.

Employers can range from private individuals hiring a babysitter to governments and corporations that may employ thousands of people. Governments are often the greatest single employers in western nations, while the majority of the labour force is employed by small and medium-sized private firms.

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Answer:

a

Explanation:

there is alot that happens in that 15 minutes and they are basically evaluating you based on the skills and abilities that you described in your resume. this is the employer using deduction based on the information given and the information needed.

"a firm is expected to pay a dividend of $3 in the upcoming year. dividends are expected to grow at the rate of 8% per year. the risk-free rate of return is 5%, and the expected return on the market portfolio is 17%. the stock has a beta of 0.75. using the constant-growth ddm, the intrinsic value of the stock is ."

Answers

In the world of finance, an asset's intrinsic value typically refers to a value determined using skewed assumptions. For instance, the intrinsic value of an option is determined by the underlying instrument's

intrinsic value present market value, but it disregards time value of money and any future variations. A call option, for instance, has an inherent value of USD 0.20 if the strike price is USD 1.00 and the price of the underlying is USD 1.20. This is so that the owner of the call option can purchase the underlying stock at a price of 1.00 and sell it for the stock's current market value of 1.20. The present ("intrinsic") worth of the asset is the amount that makes them a profit of 0.20 as a result.

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At the equilibrium real interest rate in the open-economy macroeconomic model, the equilibrium quantity of loanable funds equalsa. net capital outflow.b. domestic investment.c. foreign currency supplied.d. national saving.

Answers

At the equilibrium real interest rate in the open-economy macroeconomic model, the equilibrium quantity of loanable funds equals national saving. So, option (d) will be the relevant answer.

Give a brief account on open economy.

A type of economy known as a "open economy" is one in which entities from other countries trade goods in addition to those produced domestically (goods and services). Technology transfers, managerial exchanges, and the exchange of a wide range of goods and services are all examples of trade. There are some exceptions that cannot be traded, such as a country's railway services, which cannot be exchanged for the service with another nation.

In contrast, a closed economy prohibits foreign trade and financial transactions. Exporting is the process of offering goods or services to customers in another nation. Importing is the process of acquiring products or services from a foreign nation. International trade refers to both importing and exporting.

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a. when does a trade deficit occur? multiple choice 1 debits to the current account exceed the credits. credits to the financial account exceed the debits. the balance of payments is negative. credits to the current account exceed the debits. b. which of the following statements concerning a trade deficit is true? multiple choice 2 imports exceed exports. the federal government holds a significant debt balance. net exports are positive. the domestic currency has appreciated.

Answers

A alternate deficit occurs when a us of a imports more than it exports.

What is alternate deficit?

A trade deficit or a bad trade balance is when a usa buys extra products and services in phrases of cost than it exports. A exchange surplus or advantageous alternate balance occurs when a u . s . exports extra merchandise and offerings than it imports.

The average alternate deficit matters however now not for what it says about trade. If we add up all the bilateral alternate balances with other countries, we get the nation's standard exchange stability — the difference between the fee of all United States exports and imports

Overall, greater tariffs can be expected to decrease exchange and income, but with a negligible influence on the change deficit.

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financial modeling professionals are expected to perform many tasks. which of the following is not typically a task as part of the financial modeling process?

Answers

Analysis of financial transactions and models is unusual in the process.

What is Financial modelling?

A financial model is just a spreadsheet, often created in Microsoft Excel, that projects the future financial performance of a company. The projection entails the preparation of a financial statements, income statement, statement of cash flows and supporting schedules and is often based on the company's previous performance and predictions about the future.

To anticipate a company's future performance, financial modeling integrates accounting, finance, and business indicators. To properly predict a company's future financial performance is the basic objective of financial modeling. Modeling may be helpful for valuing businesses and deciding whether to raise financing, expand organically, or buy other businesses.

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time to experation 6 months standard deviation 50% per year excersice price 50 stock price 50 interest rate 35 dividend 0

Answers

The value of call options is $7.34. An agreement between a buyer and a seller to buy a specific stock at a specific price up until a specified expiration date is known as a call option. The right to exercise the call and buy the stocks belongs to the call's buyer, not the other way around.

Stock price = $50. Exercise price = $50. Time to expiration = 6 month.  interest rate = 3%. Standard deviation = 50%. Dividend yield = 0.

An agreement between a buyer and a seller to buy a specific stock at a specific price up until a specified expiration date is known as a call option. The right to exercise the call and buy the stocks belongs to the call's buyer, not the other way around. For instance, a single call option may grant the buyer the ability to purchase 100 shares of Apple stock for $100 up to the option's expiration date, which could be three months from now. The strike prices and expiration dates available to traders are numerous.

Given information’

[tex]S_{0}[/tex] = $50 = stock price

X = 50 = exercise price

r = 3% = rate

σ = 50% = standard deviation

T = 6 months = time

Calculation of the value of call options

Formula for

[tex](d_{1} ) = In (S_{0} / X) + (r -δ+ σ^{2} /2)T / σ\sqrt{2}\\\\(d_{1} ) = In( 50 / 50) + (.03 – δ+ (.5^{2} / 2) x .5 / .5\sqrt{2} \\= 0.2192[/tex]

Then

[tex]N(d_{1} ) = 0.5868\\d_{2} = d1 - σ\sqrt{T} = -0.1344\\[/tex]

And

[tex]N(d_{2} ) = 0.4466\\\\C = S_{0} e^{-rt} N(d_{1} ) – Xe^{-rt} N(d_{2} )[/tex]

$7.34

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a new documentation project is just getting started by a writing team. the client for the team's most recent project complained that the finished product frequently switched between active and passive voice and that the heading designs lacked visual coherence. which of the following is the best strategy the team can use to prevent these issues on the current project?

Answers

To prevent the issues such as frequent switching between active and passive voice, lack of visual coherence in the heading designs, the writer team can create a style sheet on the current project.

Visual coherence is the compatibility and synced composition in a test or any project where the elements are bound together in a similar manner of color, shape, image, lines of sight, theme, etc. Being coherent in simple terms can be called as being well-planned.

A style sheet can be defined as the mini-guidebook personally designed for a specific project or book that describes about the complete choices for how the book should be written and designed. It includes the writing format, choice of colors, font size, etc.

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The management of Dakota Industries obtained the following information about the performance of a major investment project.
Revenues= $200,000
Average of Operating Assets= $300,000
Net Operating Assets= $30,000
Desired ROI= 10%
The Project's residual income was?

Answers

Residual income = Net operating income - (Average operating income x Desired return on investment) Net operating income = ROI × Average operating assets , 0.01 × 300,000 = 30,000, Residual income = 30,000 -(200,000 x 0.01) = 28000

RI, or residual income, can refer to a variety of things depending on the situation. When examining corporate finance, residual income is any surplus that an investment makes in comparison to the capital's opportunity cost. However, in the context of equity valuation, residual income is the net income after taking into account all of the opportunity costs incurred by stockholders in order to generate that income.

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CFP Board's Practice Standards are intended to:1. Assure that the practice of financial planning by CFP® professionals are based on established norms of practice.2. Enhance the value of the financial planning process.3. Advance professionalism and financial planning.4. All the above

Answers

The CFP Board's Practice Standards have the intent to assure that practices are based on established norms among others so 4. All the above.

What is the purpose of CFP Board's Practice Standards ?

To be certified, or formally acknowledged by the board as qualified to provide financial advise, all certified financial planners must abide by the professional standards or guidelines that they impose. Six professional criteria that the Board mandates all qualified financial advisors adhere to will be covered.

The Code and Standards of the CFP Board advance financial planning as a distinct and valued profession while also benefiting and safeguarding the general public. The integrity of the CFP marks depends on the CFP certification requirement of adherence to the Code and Standards. If the Code and Standards are broken, a CFP practitioner may face sanctions.

They are therefore meant to enhance the financial planning process and its value, as well as to advance the professionalism by which financial planning is carried out.

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Trading internationally by using money appears easy and almost effortless, but the fact is there is a very complex banking system that makes it happen.
a) True
b) False

Answers

The statement that Trading internationally by using money appears easy and almost effortless, but the fact is there is a very complex banking system that makes it happen is True.

What is International trade?

International trade  can be described as the purchase  as well as the sale of goods and services by companies in different countries whereby the Consumer goods, raw materials, food,  as well as machinery all are bought and sold in the international marketplace.

It should be noted that it requires  very complex banking system, because it is been done between different companies, however International trade do involves the exchange of capital,  and services across international borders or territories  as a result of the need or want of goods or services however in most  countries, such trade represents a significant share of gross domestic product.

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Retailers expect suppliers to make frequent delivery of merchandise that includes a mix of different products in small quantities in what is called a:
Question 1 options:
a)
partial truckload.
b)
mixed truckload.
c)
partial pallet.
d)
mixed pallet.

Answers

Retailers anticipate that providers should make successive conveyance of product that remembers a blend of various items for little amounts in what is known as a: partial pallet.

What are Retailers expect from suppliers?

Item quality is the first concern when retailers survey new items, followed intently by cost/edge and item development.

A retailer gives verities of administrations to makers and brokers by sharing clients' data for example their preferences about the item.

As a provider, they are most keen on the ability and limit of the indebted individuals to pay their presently developing commitments.

To get stores planned, constructed, redesigned, and kept up with on time and on spending plan, it is exceptionally basic to work more brilliantly than your rivals and stays associated with the 3 center components of compelling retailing - Individuals, Cycle, and Innovation.

Retailers anticipate that providers should make successive conveyance of product that remembers a blend of various items for little amounts in what is known as a: partial pallet.

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hich of the following are typical causes for ethical issues in the global economy? group of answer choices lack of, or inadequate, regulation extreme asymmetries in power and/or capabilities complex (often not transparent) systems such as supply chain and product life cycles ineffective or corrupt governments all of the above

Answers

The answer is E i.e. All of the above. Typical causes for ethical issues in the global economy are -

A. Lack of, or inadequate, regulation

B. Extreme asymmetries in power and/or capabilities

C. Complex (often not transparent) systems such as supply chain and product life cycles

D. Ineffective or corrupt governments

As businesses extend internationally, they should not just grasp an association's main goal, vision, objectives, approaches and systems yet additionally should consider the lawful and moral issues engaged with worldwide business. At the point when organizations plan their drawn out venture into an unfamiliar climate, they should handle serious moral and moral difficulties while settling on choices to make their development a triumph.

Some of the most common ethical issues in international business include outsourcing, working standards and conditions, workplace diversity and equal opportunity, child labor and human rights. Business pioneers should likewise think about religion, legislative issues, ecological worries and, surprisingly, the potential for pay off and debasement during worldwide market extension. Organizations exchanging globally are supposed to follow federal and state safety regulations, environmental laws, fiscal and monetary reporting statutes and civil rights laws.

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Complete Question is - Which of the following are typical causes for ethical issues in the global economy? group of answer choices are:
A. Lack of, or inadequate, regulation

B. Extreme asymmetries in power and/or capabilities

C. Complex (often not transparent) systems such as supply chain and product life cycles

D. Ineffective or corrupt governments

E. All of the above

A key function of a bank is
A) to be an intermediary between savers and borrowers.
B) own assets in the real estate market.
C) create demand deposits for customers.

Answers

The correct option is A, the key function of the bank is to be an  intermediary between savers and borrowers.

It should be noted that banks that are financial intermediaries that generate earnings when they allow the transfer of money from savers to borrowers by paying savers a smaller return than they demand from borrowers. This earning is their charges for the service rendered.

Financial intermediaries are the institutions they have been put in place like a building society, bank, or unit-trust company, which are charged with the responsibility of holding funds from the lenders so that loans will be made available to people that wants to borrow.

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all of the following are formal approaches to value except: a. cost approach b. data approach c. income approach d. development approach

Answers

Use the sales reduction b. data approach to debit the income for the entire amount in order to record a discounted payment by the client to the seller.

The purpose of money payment?

Payment is really the exchange of cash, commodities, or labor for a pre-agreed quantity of respectable goods from all parties. Along with cash, cheques, wire transfers, bank cards, card payments, and cryptocurrency, the exchange of commodities may be used as payment.

What are the 5 terms of payment?

There are five basic ways to just get paid in foreign trade, ranked from much secure to least secure: cash in advance, letter of credit, official collect and draft, open institution, and consignment. Naturally, the most secure.

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a tort is a civil injury designed to provide a remedy (damages) for injury to a protected interest. there are three general categories of torts: negligence, strict liability, and intentional torts

Answers

A tort is a civil injury designed to provide compensation for injury to a legally protected, tangible or intangible, interest.

what is tangible?A tangible asset is anything that can be physically touched, moved, seen, weighed, measured, or lifted.Cars, printed books, clothes, tools, flowers, furniture, or DVDs are just a few of the many examples of tangible goods.An object is tangible if it can be touched and has an actual physical presence. Some definitions of tangible items may include a description that the property can be seen, but this description can also be used to describe items that cannot be touched (e.g. You can see your digital currency balance on the monitor).Tangible assets are typically physical objects (such as equipment or inventory), while intangible assets are intangible and valuable assets  (such as brands). Tangible and intangible assets have value and can be bought and sold. It is easier to judge the value of  tangible assets than  intangible assets.

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Margot Company purchases land, building and equipment for a single purchase price. Margot should account for the purchase as a ______ purchase.

Answers

When Margot Company purchases land, building and equipment for a single purchase price, Margot should account for the purchase as a  lump sum purchase.

What is a lump sum?

When multiple assets are bought for one price, this is known as a lump-sum buy. The purchase money is divided among the numerous acquired assets according to their fair market values, and each asset must be recorded separately as a fixed asset in the accounting records. When property is bought and the purchase price includes both the land and the structures, this circumstance most frequently occurs.

A Lump-Sum Purchase Example

Property is purchased for $1,000,000 by a buyer. A building on the property is worth $800,000, and the land has a market value of $250,000. The lump-sum purchase price is allocated to these assets according to the following formula:

Land: (($250,000/($250,000+$800,000)) x $1,000,000 = $238,095

Building: ($1,000,000 x (($800,000/$250,000+$800,000)) = $761,905

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What is the U.S. trade policy?; When did America start free trade?; Why has the government generally supported free trade policies since the end of World War II?; When did the U.S. start international trade?

Answers

Since the stop of world conflict II, U.S. trade policies has focused on fostering an open, guidelines-based totally international trading gadget, liberalizing markets by using reducing trade and funding limitations via negotiations and agreements, and enforcing exchange commitments and associated laws.

The USA commenced bilateral change negotiations with Canada greater than 30 years in the past, ensuing within the U.S.-Canada free exchange agreement, which entered into pressure on January 1, 1989.

For the reason that world conflict II, U.S. alternate coverage has normally sought to develop U.S. monetary boom and competitiveness by way of: (1) decreasing global exchange and funding barriers; (2) fostering an open, transparent, and nondiscriminatory rules- based trading machine, along with through the arena alternate enterprise (WTO)

The primary international unfastened trade settlement, the Cobden-Chevalier Treaty, changed into finalized in 1860 between the UK and France, prepared by way of Richard Cobden and Michel Chevalier; it sparked off successive agreements among other countries in Europe.

Exchange coverage is the set of agreements, regulations, and practices via a government that have an effect on exchange with foreign nations. each nation determines its personal standards for buying and selling, which includes its tariffs, subsidies, and guidelines.

Trade coverage can be described as dreams, regulations, requirements, and policies that are involved in the change between countries. these guidelines are unique to a specific u . s . and are fashioned via its public officers.

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A survey will be sent to dog owners to investigate their opinions on multiple topics. Which of the following questions on the survey is most likely to contribute to question-wording bias?
answer choices
How many dogs do you own?
Should responsible dog owners purchase pet insurance?
How much money do you spend on dog food each year?
How many times did you take your dogs to a vet last year?
Does your dog sleep in your bed on a regular basis?

Answers

I own five dogs. If you own several pets, your out-of-pocket expenses may become significant if you don't have insurance. Costs for lower-quality dog food often vary from $30 to $75. Dogs age more quickly than humans do, therefore yearly checkups are essential to their wellbeing and disease prevention. Dogs do indeed frequently sleep in beds.

Consider pet insurance if you own a pet. Pet insurance could still save you thousands of dollars if your pet becomes sick or hurt, Pet insurance could still save you thousands of dollars if your pet becomes sick or hurt, even if you think you have enough money to pay for vet bills. Without insurance, your out-of-pocket expenses may rise quickly, particularly if you have several dogs. Costs for lower-quality dog food often vary from $30 to $75. Given that a bag of dog food costs, on average, $50 per month, you should save aside around $600 per year. On the other hand, premium dog foods can cost anywhere between $150 and $300. Generally speaking, healthy adult dogs should go to the vet around once a year for exams, vaccines, and other preventative treatment. Dogs age more quickly than people do, thus every year.

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The government of Eastlandia uses measures of monetary aggregates similar to those used by the United States, and the central bank of Eastlandia imposes a required reserve ratio of 10%. Given the following information, answer the questions below. Bank deposits at the central bank = $200 million Currency held by public = $150 million Currency in bank vaults = $100 million Checkable bank deposit = $500 million Traveler´s checks = $10 million a) What is M1? b) What is the monetary base? c) Are the commercial banks holding excess reserves?

Answers

The checkable bank deposits can increase by $2,500 million.

(a) Calculate M1 -

M1 = Currency held by public + Checkable bank deposits + Traveller’s checks

   = $150 million + $500 million + $10 million

   = $660 million

(b) Calculate the Monetary base:-

Monetary base = Bank deposits at the central bank + Currency in bank vaults + Currency held by public

                       = $200 million + $100 million + $150 million

                       = $450 million

(c) Required reserves = CD * RR

                                  = $500 million * 0.10

                                  = $50 million

Excess reserves = Total reserves - Required reserves

Excess reserves = Bank deposits at the central bank + Currency in bank vaults - Required reserves

Excess reserves = $200 million + $100 million - $50 million

                          = $250 million

(d) Yes, the commercial banks can increase checkable bank deposits.

Calculate the increase in checkable bank deposits -

Increase = Excess reserves * (1/reserve ratio)

Increase = $250 million * (1/0.10)

Increase = $2,500 million

Thus,

The checkable bank deposits can increase by $2,500 million.

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This project will require an investment of $20,000 in new equipment. Under the new tax law, the equipment is eligible for 100% bonus deprecation at t = 0, so it will be fully depreciated at the time of purchase. The equipment will have no salvage value at the end of the project’s four-year life. Garida pays a constant tax rate of 25%, and it has a weighted average cost of capital (WACC) of 11%. Determine what the project’s net present value (NPV) would be under the new tax law.

Answers

NVP stands for "net-present value," which is a financial calculation used to determine the current value of a future stream of cash flow.

What does Current value mean?

The current market value of an item, investment, or asset is its current market value. It is the amount of money that could be received if the item or asset were sold right now. The current value can fluctuate over time due to market conditions, supply and demand, and other factors.

What does Investment mean?

The process of putting money into assets or activities with the expectation of receiving a financial return is known as investing. It usually entails purchasing assets such as stocks, bonds, mutual funds, real estate, or other assets in order to generate income or capital gains.

The project’se (NPV) would be under the new tax law  would be:

NPV = -$20,000 + $20,000(1-0.25)(1.11)^-1 + $20,000(1-0.25)(1.11)^-2 + $20,000(1-0.25)(1.11)^-3 + $20,000(1-0.25)(1.11)^-4

= $53,579

Thus according to the correct question option B. $53,579 is the correct answer.

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gomez runs a small pottery firm. he hires one helper at $11,000 per year, pays annual rent of $6,000 for his shop, and spends $22,000 per year on materials. he has $40,000 of his own funds invested in equipment (pottery wheels, kilns, and so forth) that could earn him $4,500 per year if alternatively invested. he has been offered $17,000 per year to work as a potter for a competitor. he estimates his entrepreneurial talents are worth $3,500 per year. total annual revenue from pottery sales is $70,000.

Answers

For a poetry farm, the capital gain is $70,000 while the economic profit is $6,000.

Why does accounting profit exist?

The owner's profit, or company profit, is what is meant by accounting profit. This profit may be obtained by totaling all business income and deducting specified costs from the total. The explicit cost in this context refers to expenses spent in the course of operating the firm, such as rent paid, labor costs paid, materials acquired, etc.

Briefing:

Accounting costs = Helper cost + Annual rent + materials = $(11,000 + 6,000 + 22,000) = $39,000

Accounting profit = Revenue - Accounting cost = $(70,000 - 39,000) = $31,000

Implicit costs = Interest from savings foregone + earning from alternative job + entrepreneurial talent

= $(4,500 + 17,000 + 3,500) = $25,000

Economic profit = Accounting profit - Implicit costs = $(31,000 - 25,000) = $6,000

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