A US investor owns stocks of some Chinese companies. When the investor receives dividends sent from China to the US, the transaction should belong to which account and which sub-account of the Balance of Payments?

Answers

Answer 1

The transaction of a US investor receiving dividends from Chinese groups belongs to the contemporary account of the Balance of Payments, especially the sub-account of "Income."

When a US investor gets dividends from Chinese corporations, the transaction belongs to the cutting-edge account of the Balance of Payments, especially the sub-account of "Income." The Balance of Payments is a document of all monetary transactions between residents of 1 u. S . A . And the rest of the sector.

Dividends obtained from overseas investments are classified as earnings, representing the go back at the investor's possession of foreign assets. As such, it is recorded as a credit score entry in the contemporary account, indicating an influx of earnings from overseas.

This transaction displays the profits generated with the aid of the investor's possession of stocks in Chinese organizations and contributes to the general balance of bills between the US and China.

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Related Questions

PLEASE

I recently got a new phone and now it won't give me notifications for reminders. I've tried everything and I'm screwed. What are some ideas for rembering stuff throughout the day? For instance, I need to talk to my bio teacher tomorrow about an assignment but I'll forget since I don't have reminders. What are some methods that work other than shoving a post-it down my pocket?​

Answers

Answer:

you can make an agend or put noted on your fridge

Explanation:

What is something that is done every year to account for your income, taxes, and other amounts?.

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One annual activity that individuals and businesses need to undertake to account for their income, taxes, and other amounts is the process of filing an annual tax return.

A tax return is a form or set of forms that individuals and businesses are required to complete and submit to the tax authorities, such as the Internal Revenue Service (IRS) in the United States, to report their income, calculate their tax liability, and claim any deductions, credits, or exemptions they are eligible for.

Filing a tax return allows individuals and businesses to provide a comprehensive overview of their financial activities during the year. This includes reporting various sources of income, such as wages, self-employment income, investment income, and rental income, as well as any deductions or expenses that can be claimed to reduce their taxable income.

The tax return also serves as a means for individuals and businesses to fulfill their legal obligations regarding the payment of taxes. Based on the information provided in the tax return, the tax authorities determine the amount of tax owed or any tax refunds that may be due.

Additionally, the tax return may involve reporting other amounts and information, such as capital gains or losses, retirement contributions, healthcare coverage, and credits for education, child care, or energy-efficient investments, depending on the tax laws and regulations in the specific jurisdiction.

Filing an annual tax return is a critical process to ensure compliance with tax laws, accurately account for income and deductions, and fulfill financial obligations to the tax authorities.

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why is foreign government overship of U.S. debt not currently a huge concern among many economists?
a. It could lead to eventual foreign control of our economy and policies, which would encourage economic growth in the future.
b. The amount of debt held by foreigners is substantially less than the money the United States owes itself.
c. The United States has a proven track record of negotiating debt-forgiveness deals, so it is unlikely that the debt will have to be paid back.
d. Foreign ownership of U.S. debt drives interest rates up, which is good for savers in the United States.
e. Foreign countries would bail out the United Sta

Answers

Foreign government ownership of U.S. debt is not currently a huge concern among many economists because the amount of debt held by foreigners is substantially less than the money the United States owes itself. The correct option is b) The amount of debt held by foreigners is substantially less than the money the United States owes itself.

While the total amount of U.S. debt held by foreign countries is significant, it represents a relatively small proportion of the overall debt. Additionally, the United States has a proven track record of negotiating debt-forgiveness deals, so it is unlikely that the debt will have to be paid back in full.

Secondly, foreign ownership of U.S. debt drives interest rates up, which is good for savers in the United States. Higher interest rates mean higher returns on savings accounts and other investments. This can help to stimulate the economy and encourage growth.

Finally, while foreign countries could theoretically bail out the United States if it were to default on its debt, this is unlikely to happen. Most countries have their own debt issues to contend with, and it is not in their best interests to prop up the U.S. economy indefinitely.

Overall, while foreign government ownership of U.S. debt is not without its risks, it is currently viewed as a manageable concern by most economists. The United States has a strong economy and a history of responsible fiscal policy, which should help to mitigate the risks associated with foreign ownership of its debt. hence The correct option is b)

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which of these managerial actions is a concurrent mechanism that should deter employee theft

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One of the concurrent mechanisms that should deter employee theft is implementing strong internal controls.

What are  internal controls?

Internal controls are procedures and policies put in place by management to safeguard company assets and prevent fraudulent activity.

These controls can include segregation of duties, regular audits, and monitoring employee behavior.

By having a system of checks and balances, employees are less likely to attempt theft as the risk of getting caught is high. Additionally, management can use incentives and promotions to reward employees who exhibit ethical behavior and report suspicious activity.

This can create a culture of honesty and integrity within the organization, further deterring employee theft.

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Help anybody I’m trying to solve this

Help anybody Im trying to solve this

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The break-even point is the point where the profit is equal to .

Therefore to find the break-even point equates the profit function to be equal to 0.

P(x)=300x−25x²

300x−25x²=0

300x/x=25x²/x

300=25x

300/25=x

x=12Units

The break-even point is the point at which total revenue is equal to total cost. At this point, the profit is zero.

What is break-even point?

Breakeven points (BEPs) can be used in a wide range of situations. For example, the breakeven point in a property is the amount of money that the homeowner would need to generate from a sale to exactly offset the net purchase price, which includes closing costs, taxes, fees, insurance, and mortgage interest—as well as costs associated with maintenance and home improvements. At that price, the homeowner would break even, meaning he would not make or lose any money. BEPs are also used by traders to determine what price a security must reach in order to cover all costs associated with a trade, such as taxes, commissions, management fees, and so on.

A company's breakeven point is calculated similarly by taking fixed costs and dividing them by the percentage of gross profit margin.

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How many work cycles should be timed to estimate the average cycle time to within 2 percent of the sample mean with a confidence of \( 98.0 \) percent if a pilot study yielded these times (minutes): 4

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The average cycle time within 2% of the sample mean with 98% confidence, you need to time at least 151 work cycles.

To determine the number of work cycles required, you need to consider the desired level of confidence, the acceptable margin of error, and the variability in the data. In this case, the confidence level is 98.0% and the desired margin of error is 2%.

To estimate the required sample size, you can use a formula based on the confidence level, margin of error, and standard deviation of the data. However, since the pilot study data provided only consists of a single time (4 minutes), we don't have the necessary information to calculate the standard deviation.

To proceed, you would typically need a larger sample size or additional information about the standard deviation. Without that, it's not possible to provide an accurate estimate of the number of work cycles required.

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which one of the following is recommended advice for conducting an effective interview?

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To conduct an effective interview, it is recommended to ensure that you ask open-ended questions, avoid leading questions, and actively listen to the interviewee. Additionally, it is advised to remain objective, refrain from making assumptions, and maintain a professional demeanor.

The answer to the question is: Ensure that you ask open-ended questions, avoid leading questions, and actively listen to the interviewee.The following are some of the recommended advice for conducting an effective interview:1. Prepare beforehand: Plan your questions ahead of time.2. Put the candidate at ease: Greet them warmly and make small talk before you start asking the interview questions. This will make them feel at ease, allowing you to get a more accurate reading of their personality and behavior.3. Ask open-ended questions: These questions prompt the interviewee to give a more detailed response than yes or no. They are more revealing and enable you to evaluate their skills and work experiences.4. Avoid leading questions: Leading questions, unlike open-ended questions, are ones that suggest or imply the answer. It is critical to avoid asking leading questions to receive a truthful response.5. Listen actively: Pay close attention to the interviewee's responses. Give them your undivided attention, making eye contact, and jotting down notes when necessary. This will show that you respect them, and it will enable you to comprehend them better.

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One value of uing ______ material i that they are uually well-recognized, which may help to boot ale

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The answer is Trademark. One value of using Trademark material is that they are usually well-recognized, which may help to boost sales.

Another benefit of using Trademark is that they can help you build your brand. This can be useful if the brand is well-known and people know about it. Additionally, it can help increase the likelihood that someone will buy from you because they know your brand and the products it relates to.

Trademarks can help increase sales by helping you build a strong, recognizable brand. This can help customers use your product or service with confidence and can lead to increased profits for your business.

Question:

One value of using _____ material is that they are usually well-recognized, which may help to boost sales.

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Gertrude takes out a $5,500 subsidized Stafford loan, which must be paid back in ten years. Gertrude will graduate four years after taking out the loan. If the loan has an interest rate of 6. 8%, compounded monthly, and Gertrude makes monthly payments, how much interest will she pay by the time the loan is repaid? Round all dollar values to the nearest cent. A. $4,462. 40 b. $1,213. 28 c. $1,713. 69 d. $2,094. 80.

Answers

The interest is the amount of payment that is given by the borrower to the lender of money, it is the excess amount that is paid for the use of money.

The amount of interest that Gertrude would pay is $2,908 to repay the total amount of the loan.

What is interest?

Interest is the monetary charge for acquiring money, and it is mostly shown as a percentage, such as an annual percentage rate (APR).

Interest is the excess amount that is paid by the lender to use his money on a certain percentage, and it is repaid with the amount of principal.

Computation of Interest:

Given that,

Principal(P) = $5,550,

Interest Rate(i) = 6.8%,

\(\text{i} = \dfrac{6.8}{12\times100}\\\\\text{i} =0.005667\)

Number of monthly Installments(n)= 10×12 = 120.

Here, we apply the formula of E.M.I (Equated Monthly Installment):

\(\text{E.M.I.}= \dfrac{P\times i\times (1+i)^n}{(1+i)^n-1}\\\\\\\text{E.M.I.}=\dfrac{\$5,500\times 0.005667\times (1+0.005667)^1^2^0}{(1+0.005667)^1^2^0-1}\\\\\\\text{E.M.I.}=\$63.29\)

Here, the total installments of the loan are 120,

then the amount of total payment would be:

\(120\times\$63.29= \$7,594\)

Then, the amount of interest that is paid on the loan would be:

\(\text{Amount -Principal}= \text{Interest}\\\\\$7,594.28-\$5,500= \$2,094.28\\\\\\\text{Interest}= \$2,094.28\)

Therefore, the total amount of interest that Gertrude has to pay is $2,097.28.

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a) Find the ROR for cash flows of -$15,000 in year 0 and +$2,408 each year in years 1-7. b) what is the Payback period (PBP) for the cash flows

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a) The ROR for the cash flows of -$15,000 in year 0 and +$2,408 is 12.37%. b) The Payback period (PBP) for the cash flows is 6.23 years.

a) The ROR (Rate of Return) for the given cash flows can be found by using the formula:

ROR = (Total Cash Flows - Initial Investment) / Initial Investment

In this case, the total cash flows are $2,408 * 7 = $16,856 and the initial investment is -$15,000.

So, the ROR would be:

ROR = ($16,856 - $15,000) / $15,000 = $1,856 / $15,000 = 0.1237 or 12.37%

b) The Payback Period (PBP) is the amount of time it takes for an investment to recover its initial cost. It can be found by dividing the initial investment by the annual cash flow.

In this case, the initial investment is -$15,000 and the annual cash flow is $2,408.

So, the PBP would be:

PBP = $15,000 / $2,408 = 6.23 years

Therefore, the Payback Period for the given cash flows is 6.23 years.

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What are indicators that a firm is an agent rather than a principal?

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A principal is an individual, partnership, or corporation that appoints or authorizes another individual, partnership, or corporation to conduct business on its behalf, whereas an agent is an individual, partnership, or corporation that conducts business on behalf of a principal or acts on its behalf.

Therefore, if a firm is serving as an agent, then it is carrying out business activities on behalf of another firm. To identify whether a firm is an agent or principal, the following indicators can be observed:The scope of control: If the firm has a limited degree of control over its operations, it is more likely to be an agent than a principal. The level of control a firm has over its operations depends on the terms of the agreement it has with its principal.

The nature of transactions: If a firm engages in transactions that benefit its principal rather than itself, it is more likely to be an agent than a principal. The firm may engage in activities that generate profits for its principal, but it will not benefit directly from those activities.The risk-bearing capacity: If the firm bears a limited degree of risk, it is more likely to be an agent than a principal.

In contrast, if the agent has unlimited liability, it is more likely to be a principal.The level of investment: If the firm has made a significant investment, it is more likely to be a principal than an agent. An agent typically does not invest in the principal's business, but a principal will invest in its own business.The nature of the relationship: If the relationship between the firm and the principal is ongoing, it is more likely to be a principal than an agent.

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barber charges $20 per haircut. The total cost for running his home-based business is $4,000 per month, which includes his salary of $3,000 per month. The minimum number of haircuts he must do to cover all of these expenses and his salary is 200 per month. The barber wants to increase his salary to $4,000 per month, making his total monthly expenses $5,000. What is the minimum price he must charge for each of the 200 haircuts so he can cover this increased salary? Question 5 options: $25 $30 $15 $20

Answers

The minimum price that the barber must charge to increase his salary to $4,000 for each of the 200 haircuts is A. $25.

Data and Calculations:

Charge per haircut = $20

Total cost per month = $4,000

Monthly salary = $3,000

Other costs per month = $1,000 ($4,000 - $3,000)

Minimum number of haircuts per month = 200

Expected monthly salary per month = $4,000

Total new monthly expenses = $5,000

Minimum price to charge per haircut = $25 ($5,000/200)

Thus, the minimum price that the barber must charge to increase his salary to $4,000 without increasing the number of haircuts is $25.

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Answer: 25$ is the correct answer

Explanation: I took the test

20. Analyzing market research is usually done by identifying________ making comparisons and developing________​

Answers

Answer:

Define your research objective. The first step in the market research process

Explanation:

is to define your research objectives. ...

Develop your research questions. ...

Gather your research. ...

Interpret your findings. ...

Draw conclusions and make decisions.

a business activity that's central to the nature of an enterprise, such as selling a product, is a(n)

Answers

A transaction is a business activity that is essential to the operation of an enterprise, like the sale of a good.

What does a commercial transaction mean?

An agreement between a buyer and a seller constitutes a transaction. In a transaction, the seller exchanges cash for the provision of goods, services, or other financial assets.

What purpose does a transaction serve?

Data is turned into information that has significance through transactions. Static data is hardly ever helpful to business. Continuous data updates are provided by a good transaction processing system, which also gathers and organizes the data into valuable information before delivering it in a legible fashion.

How significant is a company transaction in everyday operations?

Business dealings will have an impact on the company's finances. A long-term service contract might be as complicated as a business transaction, or it can be as simple as a cash purchase. The following requirements must be met for a transaction to qualify as a commercial transaction: The deal can be valued financially.

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food companies truly seem to be listening to customers who want healthy fast-food that is preservative, chemical, and antibiotic free. they are adjusting the _______ element of the marketing mix to meet customer needs.

Answers

Answer:

product

Explanation:

Food companies truly seem to be listening to customers who want healthy fast-food that is preservative, chemical, and antibiotic free. they are adjusting the product element of the marketing mix to meet customer needs.

The features of a product includes quality level, brand name, styling, and packaging. They always influence sales of produce.

Products of companies often contains components which the consumer uses when evaluating alternatives.

Conclusively, The components are the market, the problem, the solution, and the product itself

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What does a management accountant need to do before he or she can take the exam to become a certified management accountant?

A. complete 60 hours of graduate coursework

B. Have two hours of professional experience

C. Complete 30 hours of graduate coursework

D. Have five years of professional experience

Answers

The answer is either A or C

Answer:

Have Two Years of professional experience

Explanation:

looked it up

the evidence suggests that recent technological change group of answer choices permanently increased the natural rate of unemployment. is different from past technological change, in that it has no impact on productivity. has increased productivity in the service sector only. has increased productivity in the manufacturing sector only. has increased the wage gap between skilled and unskilled workers.

Answers

Growth in output is a function of productivity. is widening salary disparity between unskilled and skilled workers.

Examples of increased productivity?

An assembly line and equipment, for instance, are used by employees to create finished cars. Both labor and capital are represented by the workforce. Each employee needs to be able to provide more output if productivity is to rise. Labor productivity growth is the term used to describe this.

Why does productivity increase?

When the same quantity of product is produced with fewer inputs or with the same number of inputs, productivity increases.

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we had a discussion on the theory of efficiency wages. Which one of the following statements is NOT consistent or NOT related to the theory of efficiency wages? 2. Firms may find it profitable to pay above-equilibrium wages. b. Higher wages attract a more competent pool of workers. e Paying higher wages enhances workers to adopt healthier lifestyles, enhancing their productivity d. Sometimes, firms voluntarily choose to pay wages higher than the equilibrium wages. 0. Higher wages cause workers to shirk more of their responsibilities 1. Paying higher wages can reduce a firm's training costs.

Answers

The theory of efficiency wages suggests that firms may find it profitable to pay wages that are higher than the equilibrium wage rate. This is because higher wages can attract more competent workers and enhance their productivity.

In addition, paying higher wages can motivate workers to adopt healthier lifestyles, which can further enhance their productivity. Moreover, sometimes firms voluntarily choose to pay higher wages because they believe that it will increase worker motivation and reduce employee turnover.

However, the statement that higher wages cause workers to shirk more of their responsibilities is not consistent with the theory of efficiency wages. This is because efficiency wages are meant to motivate workers to be more productive and to take on more responsibilities. If higher wages actually caused workers to shirk their responsibilities, then the theory of efficiency wages would not hold true.

Furthermore, paying higher wages can reduce a firm's training costs because it can attract workers who are already skilled and experienced. This means that the firm may not have to invest as much in training new employees, which can save the firm both time and money. In summary, the theory of efficiency wages suggests that paying above-equilibrium wages can be beneficial for both firms and workers, as it can increase productivity, reduce turnover, and save training costs.

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Which two of the following are long-term sources, of finance?
A- Interest rates
B- Venture capital
C- Trade credit
D- Share capital
E- Start up costs​

Answers

Answer:

the answer is B and D

What are two common security threats that it personnel encounter in businesses on a regular basis?.

Answers

Here are the two common cyber threats that IT personnel encounter in businesses on a regular basis are:

Viruses and worms

What is Viruses and worms ?

Viruses and worms are malicious software programs (malware) aimed at destroying an organization's systems, data and network. A computer virus is a malicious code that replicates by copying itself to another program, system or host file. It remains dormant until someone knowingly or inadvertently activates it, spreading the infection without the knowledge or permission of a user or system administration.

A computer worm is a self-replicating program that doesn't have to copy itself to a host program or require human interaction to spread. Its main function is to infect other computers while remaining active on the infected system. Worms often spread using parts of an operating system that are automatic and invisible to the user. Once a worm enters a system, it immediately starts replicating itself, infecting computers and networks that aren't adequately protected.

Preventing viruses and worms

To reduce the risk of these types of information security threats caused by viruses or worms, companies should install antivirus and antimalware software on all their systems and networked devices and keep that software up to date. In addition, organizations must train users not to download attachments or click on links in emails from unknown senders and to avoid downloading free software from untrusted websites. Users should also be very cautious when they use P2P file sharing services and they shouldn't click on ads, particularly ads from unfamiliar brands and websites.

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What is the volume of a box that is 3 m long, 0.5 m high, and 2 m wide?

Answers

the answer is three! you simply multiply all three together!

write a query to list out the names of customers, order statuses and a count of the number of orders they have in the different order statuses.

Answers

A query to list out the names of customers, order statuses and a count of the number of orders they have in the different order statuses can be constructed using the following SQL statements SELECT Customers.name, Orders.status, COUNT(Orders.id) AS order_count FROM Customers JOIN Orders ON Customers. id = Orders.customer_idGROUP BY Customers. name, Orders.status.


The above query will retrieve the name of the customer, order status, and the number of orders they have in each status. It uses the `COUNT()` function to count the number of orders and `GROUP BY` clause to group the result set by customer and status.The JOINclause is used to join the Customers and Orders tables using the `customer_id` field. This will allow us to get the name of the customer who placed the order.

We then use the GROUP BY clause to group the results by customer name and order status. This will ensure that the query returns a row for each customer and status combination, with the order count for that combination.The result set will include all customers in the Customers table, including those who have not placed any orders.

If you want to include only customers who have placed at least one order, you can add the HAVING clause to the query as follows SELECT Customers.name, Orders.status, COUNT(Orders.id) AS order_countFROM CustomersJOIN Orders ON Customers.id = Orders.customer_idGROUP BY Customers.name, Orders.statusHAVING COUNT.


This will ensure that only customers with at least one order are included in the result set.

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Chin-Sun purchased an antique cabinet as an investment for $30,000 a few years ago. On January 15 of this year, she sold the cabinet to an art museum for $120,000 in an installment sale. She received a down payment of $12,000 and a note requiring monthly principal payments (to begin in March of this year) of $5,000. What amount of gain must Chin-Sun recognize for the current year

Answers

Chin-Sun received a down payment of $12,000 and monthly principal payments of $5,000 from March to December. The amount of gain she receives for the current year is $32,000

Gain is a positive difference between money in and money out.

Gain = selling price - buying cost

We can put Chin-Sun transactions in table below:

                                               Credit                Debit

Initial balance                                                 30,000

(bought antique cabinet)

Down payment                       12,000

Installment (10 x $5,000)       50,000                      

(March - December)

Total                                        62,000            30,000

Hence, for the current year, the amount of gain is:

Gain = 62,000 - 30,000 = $32,000

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Bob is interested in examining the relationship between the number of bedrooms in a home and its selling price. After downloading a valid data set from the internet, he calculates the correlation. The correlation value he calculates is only
0.05
. What does Bob conclude? Bob gives up on his research because
r=.05
means there is no relationship of any kind between bedrooms and selling price. Bob continues his research because even though there is no linear relationship here, there could be a different relationship.

Answers

The correlation coefficient is calculated with the aid of figuring out the covariance of the variables and dividing that range by the product of these variables' popular deviations.

What does correlation measure?

Correlation is a measure of affiliation that assessments whether or not a relationship exists between two variables. It suggests both the energy of the affiliation and its route (direct or inverse). The Pearson product-moment correlation coefficient, written as r, can describe a linear relationship between two variables.

Correlation is a statistical tool that suggests the association between two variables. Regression, on the other hand, evaluates the relationship between an impartial and a based variable.

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Esther primary reason for starting her own business is her desire to make her own schedule. Esther is looking forward to the ______________________ she hopes to have as entrepreneur.

(a) Tax breaks and deductions

(b) Advance technology

(c) Flexibility and independence

(d) Personal commitment​

Answers

C flexibility and independence

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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The advantage of peer rating of performance is that It works well when the tasks are independent of each other There is no bias of any kind towards the ratee They know the performance standards expect

Answers

Peer rating is an effective and valuable tool for evaluating performance, and can help to promote teamwork and collaboration, while ensuring that performance standards are met.

Peer rating is an effective method of evaluating the performance of a person. It is based on the evaluation of a person's peers, who work with him or her on a regular basis. One of the main advantages of peer rating is that it works well when the tasks are independent of each other. This is because it allows peers to assess each other's performance without any bias or interference from outside sources.

It is also an effective way of ensuring that the performance standards expected of a person are met. This is because peers are typically more familiar with the work that needs to be done, and can provide valuable feedback on how well a person is performing.

Another advantage of peer rating is that it helps to promote teamwork and collaboration. When people work together, they are more likely to share ideas and information, and to help each other when needed. This can lead to improved performance overall, as people learn from each other and build on each other's strengths.

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UNIT - V (a) Discuss any two types of depreciation methods. or (b) Explain the application of payback period with its limitations.

Answers

There are several types of depreciation methods, some of which are straight-line depreciation and reducing balance depreciation. Straight-line depreciation:This is the most often used method of calculating depreciation. This method involves the same amount of depreciation being charged to the asset every year.

It calculates the annual depreciation rate as a percentage of the cost of the asset. Reducing balance depreciation:This is a more complex method that takes into account the value of an asset at the beginning of each accounting period. Depreciation is calculated as a percentage of the asset's carrying value at the beginning of the accounting period.

This method results in greater depreciation charges in the early years of an asset's life and smaller charges in the later years. The payback period method measures the amount of time it takes to recover an initial investment. The payback period is the time it takes for a project to generate enough cash flow to recover the cost of the initial investment.

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Suppose X ~ N(2,10) and Y ~ N(4,8) and X, Y are independent random variables. What is the distribution of W=2X+Y? What are the mean and variance of W?

Answers

The distribution of W is a Normal distribution since W is a linear combination of two independent Normal random variables X and Y. The mean of W is 2(2)+4=8 and the variance is 2^2(10) + 8 = 28.

Therefore, W ~ N(8, 28) is the answer.

Variability is measured by the variance. The average of the squared deviations from the mean is used to calculate it. The degree of spread in your data set is indicated by variance. The variance is greater in respect to the mean the more dispersed the data.The difference between the means is the mean of a difference. The sum of the variances determines the variance of a sum. A difference's variance is the total of its variances.

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A company issues 7%, 8-year bonds with a par value of $110,000 on January 1 at a price of $118,359, when the market rate of interest was 6%. The bonds pay
Interest semiannually. The amount of each semiannual interest payment is:

Answers

Answer:

Explanation:

a price of $118,359, when the market

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