"
The idea that things a communicator connects to transfer some of
their characteristics to that speaker is called what?
The Pareto effect
Parkinson’s law
The McGurk effect
The halo effect

Answers

Answer 1

The idea that things a communicator connects to transfer some of their characteristics to that speaker is called the halo effect.

The halo effect is a cognitive bias where our overall impression of a person or object influences our judgments about specific traits or qualities associated with them. It suggests that if we perceive someone or something positively in one aspect, we are more likely to perceive them positively in other unrelated aspects as well. For example, if we find someone physically attractive, we may also assume they possess other positive qualities like intelligence or kindness. The halo effect can shape our perceptions and judgments in various social and communication contexts.

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Related Questions

Choosing which types of assets you will invest in is known as
O A. a long-term strategy
O B. diversification
O C. cash investment
O D. asset allocation
SUBMIT

Choosing which types of assets you will invest in is known asO A. a long-term strategyO B. diversificationO

Answers

Answer:

Asset allocation

Explanation:

A certificate of deposit offers a nominal interest rate of 3.5 percent annually.
If inflation is 1.5 percent, what is the real rate of return?
A. 1 percent
B. 1.75 percent
C. 2.5 percent
D. 2 percent

Answers

Answer: "2 percent"

Explanation:

Just took the test, ANSWER is DEFINITELY "2 percent"

The real rate of return is 2%. Thus the correct option is (D).

What is real rate of return?

The real rate of return refers to the return which is got after the deduction of the taxes and inflation.

For the calculation of real rate of return formula is used. So the formula for real rate of return is as follows:

Real rate of return = 1+N/1+i -1

In which N is the nominal rate and i is the inflation rate. A certificate of deposits provide the interest rate of 3.5% annually and inflation is 1.5%

Thus N is 0.035 and inflation (i) is 0.015.

So the real rate of return is:-

R = 1+N/1+i -1

R = 1+ 0.035/1+0.015 -1

R = 1.035/1.015 -1

R = 1.0197 -1

R = 0.0197

0.0197*100= 1.97~ 2%

Thus the real rate of return is 2%. The correct option is (D).

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problems facing the private security industry include all of the following except

Answers

Lack of regulation is not a problem facing the private security industry.

Although many other challenges exist, such as low pay and inadequate training, a lack of regulation is not among them. In fact, the private security industry is heavily regulated by various government agencies, both at the federal and state level. These regulations cover areas such as licensing, training, and conduct standards. Lack of regulation is not a problem facing the private security industry. However, enforcement of these regulations can sometimes be lax, leading to further problems within the industry. Although many other challenges exist, such as low pay and inadequate training,

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Gross domestic product (GDP) may be calculated as the sum of ______. Multiple choice question. exports and imports only consumer spending, investment spending, government transfer payments, and exports minus imports consumer spending, investment spending, government purchases of goods and services, and exports consumer spending, investment spending, government purchases of goods and services, and net exports

Answers

Answer:

consumer spending, investment spending, government purchases of goods and services, and net exports.

Explanation:

The Gross Domestic Products (GDP) is a measure of the total market value of all finished goods and services made within a country during a specific period.

Simply stated, GDP is a measure of the total income of all individuals in an economy and the total expenses incurred on the economy's output of goods and services in a particular country.

Gross domestic product (GDP) may be calculated as the sum of consumer spending, investment spending, government purchases of goods and services, and net exports (exports minus imports).

Basically, the four (4) major expenditure categories of GDP are consumption (C), investment (I), government purchases (G), and net exports (N).

International trade organizations promote free trade by encouraging countries to:__.
a. maintain their tariffs. b. establish their trade quotas. c. limit their protectionism policies. d. develop their products.

Answers

Answer:

a

Explanation:

edge 2023

International trade organizations promote free trade by encouraging countries to maintain their tariffs. Thus the correct option is A.

What is trade?

Trade refers to the exchange of goods and services with money to perform an economic exchange. When this trade takes place across borders it is called international trade.

To lower or remove tariffs and other trade obstacles, International trade organizations encourage nations  which may make it simpler for nations to export and import products and services. This is how they promote free trade.

Additionally, these organizations offer technical support and other forms of aid to help countries take part in international trade more successfully.

Therefore, option A maintaining their tariffs is appropriate.

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match the term with the definition​

match the term with the definition

Answers

Answer:

BELOW

Explanation:

Accounting - 1

Accounting records - 4

Accounting system - 3

Business entity - 2

HOPE THIS HELPED

Complete the following sentence with the options listed below.
A _________ is a person who _______ a public good that others _________.
O free rider; pays for; use
O payer; enjoys; pay for
O nonexcludable payer; purchases; determine to be nonrivairous
O free rider; enjoys; pay for
O Ione rider; enjoys; pay for

Answers

A free rider is a person who enjoys a public good that others pay for.

What is a free rider?

Anyone who enjoys something without putting up any effort or paying for it is considered a free rider. Free riders, then, are people who make use of things without paying for them.

What does a free rider look like?

requesting contributions Consumer donations made voluntarily may compensate again for free riders. For instance, soliciting donations in a museum or garden. The donation sums would assist in paying for the garden/museum even if there were still free riders.

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Which aspect of writing business reports relates to the component of credibility known as competence?.

Answers

Providing facts that help decision makers' aspect of writing business reports relates to the component of credibility known as competence.

Competence is the capacity to perform an action successfully. You have the ability to complete a task or job successfully. The knowledge and abilities required to solve a quadratic equation are examples of competence. Alternately, it could include the considerably more extensive and varied sets of talents required to run a multinational organization.

The objective and subjective aspects of a source's or message's plausibility are included in credibility. The concept of "Ethos" is concerned with the speaker's persona.

Trustworthiness and expertise, which both have objective and subjective components, are the two main components of credibility. Although established reliability is an objective criterion, trustworthiness is primarily based on subjective criteria.

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you work 20 hours a week at $7.25 hour. how much would i make in a week?

Answers

Answer:

145 dollars a week.

Explanation:

Money you earn for an hour's work = $7.25

Money you will earn per week , if you work for 20 hours each week :-

\(\texttt{= 20 × 7.25}\)

\(\texttt{= 145}\)

Therefore , each week you would earn :-

\( = $ 145\)

Read the first four paragraphs (1-4) of the above comprehension passage and write a summary.
Your summary should be one-third (1/3) of the original text.
Our current educational system focuses on preparing today’s youth to get good jobs by developing scholastic skills. Their lives will revolve around their wages. Many will study further to become engineers, scientists, cooks, police officers, artists, writers, and so on. These professional skills allow them to enter the workforce and work for money. But there is a big difference between your profession and your business. Often, I ask people, "What is your business?" And they will say, "Oh, I’m a banker." Then I ask them if they own the bank. And they usually respond, "No, I work there." In that instance, they have confused their profession with their business. Their profession may be a banker, but they still need their own business.
2. A problem with school is that you often become what you study. So, if you study cooking, you become a chef. If you study the law, you become an attorney, and a study of auto mechanics makes you a mechanic. a. The mistake in becoming what you study is that too many people forget to mind their own business. They spend their lives minding someone else’s business and making that person rich. To become financially secure, a person needs to mind their own business. Your business revolves around your asset column, not your income column. The number-one rule is to know the difference between an asset and a liability, and to buy assets. The rich focus on their asset columns, while everyone else focuses on their income statements.
3. That is why we hear so often: "I need a raise." "If only I had a promotion." "I am going back to school to get more training so I can get a better job." "I am going to work overtime." "Maybe I can get a second job." The primary reason the majority of the poor and middle class are fiscally conservative—which means, "I can’t afford to take risks"— is that they have no financial foundation. b. They have to cling to their jobs and play it safe. When downsizing became the "in" thing to do, millions of workers found out their largest so-called asset, their home, was eating them alive. Their "asset" was costing them money every month. Their car, another "asset," was eating them alive. The golf clubs in the garage that cost $1,000 were not worth $1,000 anymore. Without job security, they had nothing to fall back on. What they thought were assets could not help them survive in a time of financial crisis.
4. I assume most of us have filled out a credit application to buy a house or a car. It’s always interesting to look at the "net-worth" section because of what accepted banking and accounting practices allow a person to count as assets. One day when I wanted a loan, my financial position did not look too good. So, I added my new golf clubs, my art collection, books, electronics, Armani suits, wristwatches, shoes, and other personal belongings to boost the number in the asset column. But I was turned down from getting the loan because I had too much investment in renting houses. The loan committee didn’t like that I made so much money from rent. They wanted to know why I did not have a normal job with a salary. They did not question the Armani suits, golf clubs, or art collection. Life is sometimes tough when you do not fit the standard profile.

Answers

The current educational system focuses on preparing youth for jobs, but it's important to differentiate between a profession and a business .

people become what they study and spend their lives working for someone else, neglecting their own business.

Financial security lies in building assets, not just relying on income. The poor and middle class struggle due to lack of financial foundation, often clinging to jobs for security. Possessions like homes and cars can become liabilities rather than assets. Traditional net-worth calculations may not account for unconventional sources of wealth, leading to difficulties in obtaining loans.

The first four paragraphs highlight the distinction between a profession and a business. While the educational system aims to equip individuals with scholastic skills for good jobs, it's crucial to understand that a profession alone might not guarantee financial independence. Many people mistakenly confuse their profession, such as being a banker, with owning a business. Financial security comes from minding one's own business and focusing on building assets rather than solely relying on income.

The second paragraph emphasizes that becoming what one studies can lead to a narrow focus on someone else's business, which often enriches others rather than oneself. To achieve financial stability, individuals need to pay attention to their own asset column. Differentiating between assets and liabilities becomes crucial. The wealthy prioritize growing their asset columns, while those who concentrate solely on their income statements struggle to achieve financial success.

The third paragraph delves into the reasons why the poor and middle class tend to be fiscally conservative and risk-averse. Lacking a strong financial foundation, they become dependent on their jobs for stability and are reluctant to take risks. Economic downturns expose the vulnerability of their so-called assets, such as homes and cars, which turn out to be burdens rather than sources of financial security.

The fourth paragraph illustrates a personal experience related to net-worth calculations and loan applications. It highlights the disparity between accepted accounting practices and unconventional wealth sources. While personal belongings like art collections, golf clubs, and expensive suits were not questioned, the committee focused on the applicant's rental property investments instead of a traditional job with a salary. This experience serves as an example of the challenges faced when deviating from the standard profile.

Overall, the passage emphasizes the importance of minding one's own business, building assets, and understanding the difference between assets and liabilities. It sheds light on the struggles faced by those without a solid financial foundation and challenges traditional notions of wealth evaluation.

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What will happen if you do not pay off your credit card balance each month?

Answers

If you do not pay your credit card invoice in any respect, you may likely get charged a late fee, lose your grace period, and need to pay interest at a penalty fee. Your credit rating may even pass down if you fall a minimum of 30 days behind on a credit score card bill fee.

Wearing a balance does not assist your credit score score, so it is always excellent to pay your balance in complete each month.

The effect of now not paying in full every month depends on how huge of stability you're wearing as compared to your credit restrictions.

Leaving stability will not assist your credit card ratings—it will just price you cash inside the shape of the interest. Wearing excessive stability for your credit cards has a bad impact on rankings as it will increase your credit utilization ratio.

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A $20 bill features which of the following on the reverse?
A. US Treasury
B. White House
C. US. Capital
D. Independence Hal

Answers

Answer:

B. White House

Explanation:

A portrait of the White house is the main feature visible at the reverse of a $20 bill. The bill has security features, but the White house Image is dominant. At the front, a portrait of the 7th US president Andrew Jackson is visible

Vail Resorts, Inc. is an American mountain resort company headquartered in Broomfield, Colorado. Vail Resorts, Inc., operates a downhill ski area near Snomass, CO. An all-day adult lift ticket can be purchased for $85. Adult customers also can buy a season pass that entitles the pass holder to ski any day during the season. The season typically runs from December 1 to April 30. Vail Resorts, Inc. expects its season pass holders to use their passes equally throughout the season. Vail Resorts, Inc's fiscal year ends on December 31. On November 6, 2024, James Smith purchased a season pass for $445.

Answers

Based on the information provided, James Smith purchased a season pass from Vail Resorts, Inc. on November 6, 2024, for $445. The season typically runs from December 1 to April 30.

The season pass allows James Smith to ski any day during the season, which means he can enjoy skiing at the Snomass downhill ski area operated by Vail Resorts, Inc. without having to purchase a separate lift ticket each time. The cost of an all-day adult lift ticket, for non-season pass holders, is $85.

Since James Smith has purchased a season pass, he has already paid $445 upfront and is not required to purchase lift tickets for each visit. The season pass provides him with unrestricted access to the ski area for the entire season. This allows him the flexibility to ski whenever he wants within the operating dates of December 1 to April 30.

It's worth noting that the season pass is generally expected to be used equally throughout the season. This means that James Smith can make use of his pass multiple times, spreading his visits across the entire duration of the season as desired.

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Green & Company is considering investing in a robotics manufacturing line. Installation of the line will cost an estimated $15.7 million. This amount must be paid immediately even though construction will take three years to complete (years 0,1 , and 2). Year 3 will be spent testing the production line and, hence, it will not yield any positive cash flows. If the operation is very successful, the company can expect after-tax cash savings of $10.7 million per year in each of years 4 through 7 . After reviewing the use of these systems with the management of other companies, Green's controller has concluded that the operation will most probably result in annual savings of $7.9 million per year for each of years 4 through 7. However, it is entirely possible that the savings could be as low as $3.7 million per year for each of years 4 through 7. The company uses a 12 percent discount rate. Use Exhibit A.8. Required: Compute the NPV under the three scenarios. Note: Round PV factor to 3 decimal places. Enter your answers in thousands of dollars, rounded to the nearest whole number. Negative amounts should be indicated by a minus sign.

Answers

To compute the net present value (NPV) under the three scenarios, we need to discount the cash flows associated with the robotics manufacturing line at a rate of 12 percent. The scenarios involve different levels of annual savings in years 4 through 7.

Scenario 1: After-tax cash savings of $10.7 million per year (best-case scenario)

Using the PV factor from Exhibit A.8 for years 4-7 (4.111), we can calculate the present value of the cash savings as follows:

PV = $10.7 million × 4.111 = $44.07 million

Scenario 2: Annual savings of $7.9 million per year (most probable scenario)

Using the same PV factor, we calculate the present value of the cash savings:

PV = $7.9 million × 4.111 = $32.43 million

Scenario 3: Annual savings of $3.7 million per year (worst-case scenario)

Again, using the PV factor, we calculate the present value:

PV = $3.7 million × 4.111 = $15.22 million

To calculate the NPV, we subtract the initial cost of $15.7 million from each scenario's present value:

NPV for Scenario 1 = $44.07 million - $15.7 million = $28.37 million

NPV for Scenario 2 = $32.43 million - $15.7 million = $16.73 million

NPV for Scenario 3 = $15.22 million - $15.7 million = -$0.48 million

The NPV represents the expected profitability of the investment in the robotics manufacturing line. In this case, Scenario 1 has the highest NPV, indicating the most favorable outcome. Scenario 2 still shows positive profitability but at a lower level, while Scenario 3 results in a negative NPV, suggesting potential losses. The decision to proceed with the investment should consider these NPV results and other relevant factors, such as risk tolerance and strategic considerations.

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can result in powerful competitive advantages. a. customers b. profits c. synergy d. suppliers e. tangible resources

Answers

The correct option is the letter E: tangible resources can result in powerful competitive advantages.

Tangible resources refer to any physical asset that can be quantified, including machinery, real estate, supplies, and inventory. An organization's tangible resources can be the basis of its competitive advantage.

A competitive advantage is a feature or quality of a product, service, location, or organization that allows it to outperform competitors. A powerful competitive advantage can arise from a variety of factors, including innovative products, superior service, cost-effectiveness, or brand recognition.

A company's tangible resources can give it an edge in the market by making it more efficient, more productive, or more responsive to customer needs. Tangible resources such as advanced technology, manufacturing equipment, or efficient logistics systems can lead to lower costs, faster delivery times, and better-quality products. This can, in turn, give the company an advantage over competitors who lack similar resources. Therefore, tangible resources can result in powerful competitive advantages.

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How can I make my emotional connection genuine?

Answers

There are immediate ways to improve emotional intimacy:

Become strategically vulnerable to gain their trust. Give your partner daily affirmations and compliments.Prioritize sexual gratification.Make an effort to escape from the routine.

Emotional connection is a sense of connection and intimacy between two people that goes beyond mere physical attraction, shared pleasure, superficial conversation, or even intellectual similarity. Instead, you feel connected on a deeper soul level.

Once the main obstacles have been overcome you can begin to rebuild lost emotional connections. Emotional connections are complex and subjective, but they bring a lot to the relationship table. No relationship can begin as a simple friendship without building a strong bond.

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Which of the following is a reason to use a full-service investment firm instead of a discount investment firm

Answers

It’s a full service one

The reason to use a full-service investment firm instead of a discount investment firm is because of years of experience and guidance.

Full-service investment firm

A full-service investment firm is a type of firm or a broker which provides the best and authentic services to its clients.

They are licensed firm that offers a variety of services to the client in a transparent and fair manner.

Some of the services are retirement planning, investments and savings, tax tips and advice, researches, etc.

These firms offer proper guidance to their clients and have years of experience in the field.

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Which of the following is a reason to use a full-service investment firm instead of a discount investment

Problem 15-33 (Algorithmic) Kolkmeyer Manufacturing Company is considering adding two machines to its manufacturing operation. This addition will bring the number of machines to ten. The president of Kolkmeyer asked for a study of the need to add a second employee to the repalr operation. The arrival rate is 0.07 machines per hour for each machine, and the service rate for each individual assigned to the repair operation is 0.6 machines per hour. a. Compute the operating characteristics if the company retains the single-employee repair operation. If required, round your answers to four decimal places. P 0 = t 2 = L= W G = hours W= haurs

Answers

the operational parameters for Kolkmeyer Manufacturing Company's single-employee repair operation: P0: The likelihood that there are no machines waiting to be repaired. t2: The typical length of time a machine waits to be repaired. L: The typical number of machines waiting to be repaired.

WG: The average amount of time (including both queue and service time) that a machine spends in the system.W: The amount of time on average that a machine waits in queue before being serviced. Using the M/M/1 queuing system formulas: P0 is equal to 1 minus (/), where / is the service rate and / is the arrival rate. t2 = P0 / (μ * (1 - P0)) L = λ * t2 WG = t2 + (1/μ) W = λ * WG Given: Arrival Each machine is clocked at a rate of () = 0.07 machines per hour. 0.6 machines per hour is the service rate. The arrival rate changes to 0.07 * 10 = 0.7 machines per hour due to the presence of ten machines. When these values are entered into the formulas: P0 = 1 - (0.7 / 0.6) ≈ 0.1667 t2 = 0.1667 / (0.6 * (1 - 0.1667)) ≈ 0.2381 L = 0.7 * 0.2381 ≈ 0.1667 WG = 0.2381 + (1 / 0.6) ≈ 2.9056 W = 0.7 * 2.9056 ≈ 2.0339 As a result, the single-employee repair operation's operational characteristics are as follows: P0 = 0.1667; t2 = 0.2381 0.1667 machines for L 2.9056 WG hours

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Butler International Limited is evaluating a project in Erewhon. The project will create the following cash flows:
Year Cash Flow
0 –$ 1,260,000 1 435,000 2 500,000 3 395,000 4 350,000 All cash flows will occur in Erewhon and are expressed in dollars. In an attempt to improve its economy, the Erewhonian government has declared that all cash flows created by a foreign company are "blocked" and must be reinvested with the government for one year. The reinvestment rate for these funds is 3 percent.
If the company uses a required return of 12 percent on this project, what are the NPV and IRR of the project? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your final answers to 2 decimal places, e.g., 32.16. Enter your IRR answer as a percent.)
NPV $ IRR %

Answers

The NPV of the project is $23,091.91, and the IRR is 12.38%.

To calculate the NPV, we first adjust the cash flows for reinvestment with the government. Multiply the cash flows for years 1 to 3 by the reinvestment rate (1+3%) and discount them by the required return (12%):


Year 1: (435,000 * 1.03) / (1.12) = $399,691.07


Year 2: (500,000 * 1.03) / (1.12)² = $403,493.35


Year 3: (395,000 * 1.03) / (1.12)³ = $290,675.54


Year 4: 350,000 / (1.12)^4 = $225,731.95


Then, subtract the initial investment and sum the adjusted cash flows to find the NPV:
NPV = -1,260,000 + 399,691.07 + 403,493.35 + 290,675.54 + 225,731.95 = $23,091.91

To find the IRR, use an IRR calculator or a financial software with the adjusted cash flows as input. The IRR is approximately 12.38%.

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[TRUE or FALSE] entrepreneurs and their employees both earn higher financial income than similar individuals working in wage positions.

Answers

Entrepreneurs typically work longer hours and are more at danger of losing their income than wage earners. They also make 4% to 15% less money annually.

Who are entrepreneurs?

In general, business owners put in more hours, run a bigger risk of losing their income, and earn 4% to 15% less annually than salaried employees.

An entrepreneur is someone who has an idea and works to build a decent product or service that customers will buy, as well as a business to support them in their endeavour. Due to the fact that individuals bear the majority of the risk and responsibility for their new business, entrepreneurs are seen as visionaries or innovators.

First employed in the fourteenth century, the word entreprendre meaning "to do something" or "to undertake." By the sixteenth century, the term "entrepreneur" applied to a person who started a business.

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name 3 elastic materials . ​

Answers

Answer:

rubber ,nitrile rubber ,urethane rubber

Answer:

rubber, plastic, and ethylene vinyl

Explanation:

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burke's corner currently sells blue jeans and t-shirts. management is considering adding fleece tops to its inventory to provide a cooler weather option. the tops would sell for $49 each with expected sales of 4,500 tops annually. by adding the fleece tops, management feels the firm will sell an additional 305 pairs of jeans at $61 a pair and 440 fewer t-shirts at $22 each. the variable cost per unit is $32 on the jeans, $12 on the t-shirts, and $27 on the fleece tops. with the new item, the depreciation expense is $29,000 a year and the fixed costs are $78,000 annually. the tax rate is 40 percent. what is the project's operating cash flow? multiple choice $32,147 $16,253 $26,867 $21,533 $21,778

Answers

The value generated by the sale of fleece tops

Sales (3600*49) = 176400

Less Variable Cost (3600 x 21) equals 129600

100800 is the total value of fleece tops.

The value generated by Additional Jean Sales

Sales (220*59) = 12980

Less Variable Cost = 7920 (220*36)

Value Lost from Lower T-Shirt Sales (-350*18) = -6300 Total Value from Fleece Tops = 5060

-3150 less variable cost (-350*9)

Value from fleece tops as a whole: -3150

Operating Cash Flow for Projects = (100800 + 5060 - 3150) - 62000*(1-.34) + 27000*.34

Operating Cash Flow for Projects = 36048.60 or 36049

Operating Cash Flow = 36048.60 or 36049 (when rounding off to 0 decimal places)

a) From the total value of sales of fleece tops, jeans, and t-shirts, fixed costs will be subtracted.

b) Depreciation will be re-added to the free cash flow calculation after the tax adjustment has been made.

Operating cash flow is a measure of the amount of money made by a company's regular business operations (OCF). Operating cash flow indicates whether a company can generate enough positive cash flow to support and expand its operations; if not, it may require outside financing for capital growth.

Operating cash flow can be displayed on a cash flow statement both directly and indirectly.

The indirect method begins with the net income on the income statement and then subtracts non-cash items to arrive at the cash base amount. The direct method tracks all transactions in a period on a cash basis and reports actual cash inflows and outflows on the cash flow statement.

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In 2010, Georgia went from 13 to 14 representatives. Find the percent of increase in the number of representatives.

Answers

Answer:

Percent change in number of representative = 7.7 % (approx.)

Explanation:

Given:

Number of old representatives = 13

Number of new representatives = 14

Find:

Percent  change in number of representative

Computation:

Percent change in number of representative = [Number of new representatives-Number of old representatives]Number of old representatives

Percent change in number of representative = [14-13]/13

Percent change in number of representative = 7.6923

Percent change in number of representative = 7.7 % (approx.)

what are rfid tags used for​

Answers

Answer:

RFID tags are a type of tracking system that uses radio frequency to search, identify, track, and communicate with items and people. Essentially, RFID tags are smart labels that can store a range of information from serial numbers, to a short description, and even pages of data.

true or false, Military spending changed a great deal in the 1970s.

Answers

Answer:

false

Explanation:

A static budget: multiple choice is based on a range of activity. presents a clear measure of performance when planned activity differs from actual activity. is based totally on prior year's costs.

Answers

A static budget is a budget that is made for the future and is based on the prior year's cost.

         A static budget is a budget that uses predicted amounts for a given period of time before the period is begun. The unique feature of a static budget is that it does not change even if there are changes in revenue and expenses. A  static budget is used as a tool to gauge the performance of a business over time.

         A static budget is a very helpful budget for businesses whose demand does not change much. So it is a base-case budget used by accountants and finance leaders used as a roadmap. This type of budget helps the organization meet its goals most efficiently. This is also used as a good cash management tool.

         It helps the organization to check that it does not increase beyond the cost of its budget. It also helps to monitor sales volume against their expectations. As the static budget is used in monitoring business performance, they are used regularly in variance analysis and reporting.

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diane purchased her house and had it assembled before it was moved to her lot. she purchased a a. condominium b. cooperative housing c. manufactured home d. single-family dwelling e. townhouse

Answers

Diane purchased a manufactured home as her house was already assembled and ready to use when it was moved to her lot. No further assembling or construction was required on her house.

The correct answer is option c. Manufactured home.

Manufactured housing is a sort of prefabricated house that is primarily put together in factories before being delivered to use. To ensure the initial and ongoing transportability of the home, manufactured homes are constructed as dwelling units with a minimum square footage of 320.

Some of the several types of manufactured homes are mobile homes, modular homes, pre-cut homes, and panelized homes. The modular home, which is constructed room by room with premium materials, is one of many styles of manufactured homes.

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Saskatewan Can Company manufactures recyclable soft-drink cans. A unit of production is a case of 12 dozen cans. The following standards have been set by the production-engineering staff and the controller.Direct Labor: Direct Material:Quantity, 0.29 hour Quantity, 8 kilogramsRate, $14.50 per hour Price, $0.68 per kilogramActual material purchases amounted to 412,800 kilograms at $0.70 per kilogram. Actual costs incurred in the production of 48,000 units were as follows:Direct labor: $228,096 for 15,360 hoursDirect material: $273,840 for 391,200 kilogramsPrepare the following journal entries. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Do not round intermediate calculations.)1. Record the purchase of direct material on account and the direct-material purchase price variance.2. Record the addition of direct-material cost to work-in-process inventory and the direct-material quantity variance.3. Record the addition of direct-labor cost to work-in-process inventory and the direct-labor variances.4. Record the closing of the direct-material and direct-labor variances to cost of goods sold.

Answers

Journal entry for the purchase of direct material on account and the direct-material purchase price variance:

Accounts Receivable (or Accounts Payable) [Amount of direct material purchased at actual price]

Direct Material Price Variance [Difference between standard price and actual price per kilogram of direct material]

Direct Material [Amount of direct material purchased at standard price]

Journal entry for the addition of direct-material cost to work-in-process inventory and the direct-material quantity variance:

Work-in-Process Inventory [Standard price of direct material per kilogram multiplied by standard quantity allowed for actual production]

Direct Material Quantity Variance [Difference between standard quantity allowed for actual production and actual quantity used of direct material]

Direct Material [Standard price of direct material per kilogram multiplied by actual quantity used of direct material]

Journal entry for the addition of direct-labor cost to work-in-process inventory and the direct-labor variances:

Work-in-Process Inventory [Standard labor rate per hour multiplied by standard hours allowed for actual production]

Direct Labor Rate Variance [Difference between standard labor rate per hour and actual labor rate per hour multiplied by actual hours worked]

Direct Labor Efficiency Variance [Difference between standard hours allowed for actual production and actual hours worked multiplied by standard labor rate per hour]

Direct Labor [Actual labor rate per hour multiplied by actual hours worked]

Journal entry for the closing of the direct-material and direct-labor variances to cost of goods sold:

Cost of Goods Sold [Total of direct-material and direct-labor variances]

Direct Material Price Variance [Direct-material purchase price variance]

Direct Material Quantity Variance [Direct-material quantity variance]

Direct Labor Rate Variance [Direct-labor rate variance]

Direct Labor Efficiency Variance [Direct-labor efficiency variance]

Note: The above journal entries are just illustrative and may need to be adjusted based on the specific accounts and amounts involved in the given scenario. It is recommended to consult with a qualified accountant or financial professional for accurate and complete recording of accounting transactions.

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what posting reference will be found in the prepaid insurance account?

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The posting reference that will be found in the prepaid insurance account is the journal entry number.

A prepaid insurance account is an asset account that represents the amount of insurance premiums that have been paid in advance. These premiums are considered an asset because they provide future benefits to the company.

When a journal entry is made to record the payment of insurance premiums, the prepaid insurance account is debited and the cash account is credited. The journal entry number is then recorded in the posting reference column of the prepaid insurance account to indicate that the entry has been posted to the account.

For example, if a company pays $1,200 for a one-year insurance policy and records the transaction with journal entry number 5, the posting reference in the prepaid insurance account will be "5." This indicates that the $1,200 debit to the prepaid insurance account was recorded as part of journal entry number 5.

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the most common retrospective reimbursement method is fee-for-service. group of answer choices true false

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The statement is "true." The most common retrospective reimbursement method is fee-for-service.

Fee-for-service is indeed the most common retrospective reimbursement method in healthcare. Retrospective reimbursement refers to the payment system where providers are reimbursed based on the services they have rendered to patients.

In a fee-for-service reimbursement model, healthcare providers receive payment for each specific service or procedure they deliver to patients. The reimbursement amount is typically determined by a pre-set fee schedule or a negotiated rate between the provider and the payer, such as an insurance company or government program.

This reimbursement method has been prevalent in healthcare for many years. It allows providers to bill and be paid for each individual service provided, allowing for flexibility in determining the payment amount based on the complexity and quantity of services rendered. Fee-for-service reimbursement is commonly used in various healthcare settings, including hospitals, clinics, and private practices.

However, it's worth noting that healthcare reimbursement models have been evolving in recent years, with an increased emphasis on value-based care and alternative payment models. These models focus on quality, outcomes, and cost-effectiveness, aiming to shift away from the volume-based fee-for-service approach. Nonetheless, fee-for-service remains the most widely used retrospective reimbursement method in healthcare.

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