An enterprise resource planning (ERP) software most likely to be used in the category of business. Therefore, option (D) is correct.
An Enterprise resource planning (ERP) software focuses on management and integration of various business processes, such as accounting, finance, inventory management, human resources, and customer relationship management, among others.
It is commonly used by businesses of all sizes and in various industries to improve operational efficiency, reduce costs, and increase productivity. Therefore, an ERP software is most likely used in the business category.
Thus, the ideal option is (D).
Learn more about Enterprise resource planning (ERP) software here:
https://brainly.com/question/30399897
#SPJ1
Management, can anyone help me?
I think it is C I looked up some stuff and they all add up to C
If you could franchise a business - what business would you choose? (2-3 sentences)
Answer:
I would choose the Franchise Dunkin Donuts since many people get hungry in the morning. And since plenty of people work in the day times. It would be a mastermind full proof plan of sweet success.
Explanation: In Russia dog does not eat your homework, I do.
why is the earth round why not a square or a triangle
Answer:
because science.
Explanation:
a square shaped earth would be cool tho
the potential loss of intellectual capital is a concern related to outsourcing. (True or False)
True. The potential loss of intellectual capital is a valid concern related to outsourcing.
When a company outsources certain functions or processes to external vendors or partners, there is a risk of losing the knowledge, expertise, and intellectual property associated with those activities. This loss of intellectual capital can occur when key employees or teams responsible for critical tasks are transferred to the outsourcing provider, leading to a potential drain of valuable knowledge and experience from the organization.
It is important for companies to carefully manage and mitigate this risk through proper documentation, knowledge transfer processes, and contractual agreements to protect their intellectual capital when engaging in outsourcing arrangements.
To learn more about outsourcing, click here: brainly.com/question/26574501
#SPJ11
Oscar received his credit report and sees that his VantageScore is 400. Which factor could be the cause?
a
He filed for bankruptcy 15 years ago.
b
He has five credits cards with high balances.
c
He has a low debt-to-credit ratio.
d
He has applied for his first loan in his life.
Answer:
b. He has five credits cards with high balances.
Explanation:
A VantageScore is a credit score model that shows the probability that someone will pay the loans. A 400 VantageScore is very poor and people can get this score for different situations like bankruptcies as they will appear in your report for up to 10 years, having high utilization rates on your credit card and missing payments. According to this, the answer is that the factor that could be the cause is: he has five credits cards with high balances because he would have a high utilization rate which hurts the credit score.
The other options are not right because a bankruptcy appears in the report for up to 10 years, a low debt to credit ratio shows that you use your credit in a responsible form and it won't hurt your credit acore. Also, if someone doesn't have a credit history, there is no score because there is no data to define that.
Why is communism disappearing?
Answer:
communism is disappering Because of the overpowering status of Capitalism.
Explanation:
Most entrepreneurs have similar characteristics, true or false?
Answer:
true
Explanation:
I entreprent for my mom lol
1.In the scenario where the Central Bank creates policies which increase the money supply but the aggregate demand is unchanged, is created by following what type of monetary policy?
An expansionary policy.
A contractionary policy.
A balanced policy.
2.Quantitative easing undertaken after 2008 is different from traditional central bank intervention in that it focused on
purchasing long-term government securities to encourage long-term capital projects and ease mortgage conditions.
purchasing "toxic assets" and restoring credit to the private sector.
raising private bank’s revenues and therefore encouraging investment.
An expansionary policy. In this scenario, the Central Bank is increasing the money supply, which is a characteristic of expansionary monetary policy.
The purpose of expansionary policy is to stimulate economic growth by encouraging spending and investment through lower interest rates and increased liquidity in the economy. However, if the aggregate demand remains unchanged, it suggests that the increased money supply is not translating into increased spending or investment by consumers and businesses. Quantitative easing undertaken after 2008 focused on purchasing "toxic assets" and restoring credit to the private sector.
Unlike traditional central bank intervention, which primarily involves adjusting interest rates, quantitative easing (QE) implemented after the 2008 financial crisis involved the central bank purchasing "toxic assets" from financial institutions. These assets included mortgage-backed securities and other troubled assets. The goal was to provide liquidity to financial institutions, restore confidence in the banking system, and ease credit conditions for businesses and consumers. By purchasing these assets, the central bank aimed to stimulate lending, stabilize financial markets, and encourage economic recovery.
Learn more about Central Bank here:
https://brainly.com/question/33035403
#SPJ11
Which of the following must be
certified by the FAA to be hired at
airports?
A. Air-traffic controllers
B. CB radio operators
C. Police Dispatchers
That will be Air - traffic controllers
mark brainliest pls
melinda earned $50,000 and paid taxes of $12,500. she would have paid $35 on the next $100 she made. compute her average and marginal tax brackets.
Melinda earned $50,000 and paid taxes of $12,500. If she would have paid $35 on the next $100 she made, we can determine her average and marginal tax brackets as follows:A. Average Tax Bracket Average tax bracket is the percentage of your income that you pay in taxes. It is determined by dividing the total amount of taxes paid by the total income earned.
The formula for computing the average tax bracket is given as:Average Tax Bracket = Total Tax Paid / Total Income Earned * 100. Since Melinda earned $50,000 and paid taxes of $12,500, her average tax bracket can be determined as follows:Average Tax Bracket = Total Tax Paid / Total Income Earned * 100 Average Tax Bracket = 12,500 / 50,000 * 100 Average Tax Bracket = 25%Thus, Melinda's average tax bracket is 25%.B. Marginal Tax Bracket. The marginal tax bracket is the percentage of tax that is paid on the next dollar of income earned. It is the tax rate that is applied to the next dollar of income earned. The marginal tax bracket is determined by looking at the tax bracket chart and determining the tax rate for the next dollar of income earned.Since Melinda would have paid $35 on the next $100 she made, we can determine her marginal tax bracket as follows:Marginal Tax Bracket = Tax Paid on Next Dollar / Increase in Income * 100 Marginal Tax Bracket = 35 / 100 * 100 Marginal Tax Bracket = 35%Thus, Melinda's marginal tax bracket is 35%.
To know more about marginal tax brackets visit:
https://brainly.com/question/5771472
#SPJ11
A garden apartment that is at the bottom of a 10-step stairway is for lease. A person with a disability that makes it impossible to use stairs asks to see the unit; the landlord
A)
should advise the prospective tenant of the need for an expensive accommodation that the landlord is unwilling to make.
B)
should install a motorized seat for the stairway before showing the unit to the prospective tenant.
C)
should show the prospective tenant the access to the unit and let the tenant decide whether to proceed with the rental.
D)
should let the prospective tenant know that the unit is unsuitable.
The garden apartment at top of 10 flights of stairs is for rent Option A must show future tenant access to the unit and let the tenant decide whether to continue renting.
Option A should alert prospective tenants of the need for expensive accommodations that the landlord is unwilling to provide.
Garden apartments are so named because they usually have access to a backyard patio or garden, making them ideal for families with children or pets or those with green fingers. According to StreetEasy, garden apartments are usually on the ground floor or partially underground and are often one-bedroom units.
learn About garden apartments here
https://brainly.com/question/29666162
#SPJ4
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
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.
learn more about managers here
https://brainly.com/question/32150882
#SPJ11
the company "Hives for Live" is both a ____ and a _______ organization at the same time
The company "Hives for Live" is both a partnership of Turco and a Reese organization at the same time. By definition, a partnership business consists of two or more individuals who pool their resources to create a company and agree to split the risks, rewards, and losses.
Law firms, medical groups, real estate investment firms, and accountancy groups are typical instances of partnership company. The simplest form of joint ownership for two or more people is a partnership. Limited partnerships (LP) and limited time liability partnerships are the two most prevalent types of partnerships (LLP). The three various forms of partnership are as follows: Partnership in general. collaboration with a limit.
To learn more about company, click here.
https://brainly.com/question/18596476?
#SPJ1
Why is a brand important to a business?
Which time-series model below assumes that demand in the next period will be equal to the most recent period's demand? A) naive approach B) moving average approach C) weighted moving average approach D) exponential smoothing approach E) regression model
The time-series model below assumes that demand in the next period will be equal to the most recent period's demand is a naive approach. Thus the correct option is A.
What is demand?When the willingness of an individual to buy any product is increased it gives rise to the demand. This willingness will shift with a change in the price or quality.
Using the previous era to make recommendations for the future is required by the naive approach of forecasting. Assuming that future demand will be identical to that of the previous period's demand makes the nave approach the most straightforward forecasting technique.
Therefore, option A is appropriate.
Learn more about demand, here:
https://brainly.com/question/10489478
#SPJ1
Explain the concept of market and market identification.
Identify communications channels used in sales promotion.
Explain types of advertising media.
Describe effective advertising layouts.
Write copy for advertisements.
Copywriting for advertisements should be concise and to the point, utilize descriptive language, use active voice, include an attention-grabbing headline, and provide a clear call-to-action.
What is Copywriting?Copywriting is the practice of crafting words and phrases in order to create promotional materials that are designed to sell products or services. It requires a great deal of creativity and an ability to write in an engaging and persuasive manner. Copywriting involves researching, understanding the target audience, creating attention-grabbing headlines and crafting persuasive copy to persuade readers to take action. It is an essential part of the marketing process and can be used to effectively reach potential customers and increase sales. Copywriters use a variety of techniques to create effective copy, such as using powerful words, creating vivid imagery, and making use of persuasive language. Copywriters must be able to understand the needs of their target audience, create compelling headlines and body copy, and be able to effectively target the right people. In addition, copywriters must be able to measure the success of their copy and make adjustments based on the results.
To learn more about Copywriting
https://brainly.com/question/14019544
#SPJ1
Sarah's dog had purebred puppies that she decided to sell on www.puppyfind.com. She ships them using an airline. If a puppy dies, to
whom is the carrier liable?
O It is liable to Sarah's enterprise, her sole proprietorship.
O It is liable to the third party, the buyer.
O It is liable to Sarah, the principal
O Both the first and second answers only.
If a puppy dies, then the airline carrier is liable. The transportation provider is in charge of providing accommodations for the animals while on a trip.
The airline carrier is liable for the puppy's death. Since the airline carrier did not maintain the proper temperature in the cargo space, which they were supposed to do, they are the ones who are responsible for the death of the puppy.
Sarah, as the seller, is not liable as she fulfilled her responsibility by selling a healthy puppy. The buyer is also not liable for the puppy's death as they were not responsible for the transportation of the puppy. Therefore, the airline carrier is the party responsible for the puppy's death.
Learn more about carrier liable here:
https://brainly.com/question/26487452
#SPJ6
Probably the full options are:
The airline carrier is liable.The buyer is liable.In an open economy, savings can come from all of the following EXCEPT: government sources. domestic sources. foreign purees. consumption.
In an open economy, savings can come from various sources such as domestic sources, foreign purchases, and government sources. However, savings cannot come from consumption as consumption is an act of spending money on goods and services, and not saving it.
Domestic sources of savings refer to the savings generated by individuals, households, and businesses within the country's borders. These savings can be in the form of bank deposits, investments, and other financial assets. Foreign purchases or foreign savings refer to the savings generated by foreign investors and individuals. These savings can be in the form of investments in domestic businesses or government bonds. Government sources of savings refer to the savings generated by the government through taxation, borrowing, and other revenue-generating activities. These savings can be used to finance government spending, pay off debts, and invest in the country's infrastructure. In conclusion, while savings can come from domestic and foreign sources, as well as from the government, it cannot come from consumption. Consumption is the act of spending money and is not related to savings in any way.
Learn more about consumption here
https://brainly.com/question/30623688
#SPJ11
none of these strategies suggest transferring your medical debt onto a credit card or taking out a short-term loan to cover the costs. why do you suppose that’s the case?
Because the interest rate in both case is higher than your medical debt's interest rate.
What is interest rate?An interest rate informs you of how much borrowing will cost you and how much saving will pay off.
Therefore, the interest rate is the amount you pay for borrowing money and is expressed as a percentage of the total loan amount if you are a borrower. For a loan of a particular size, the higher the percentage, the more you must repay.
If you save money, you can find out how much will be deposited into your account as a percentage of your savings by looking at the savings rate. For a given size deposit, your account will receive more money if the savings rate is higher.
Learn more about interest rate
https://brainly.com/question/25720319
#SPJ1
LETS DEBATE AB ABORTION.
Answer:
i dont like the idea of them but if you must get one to survive then do it
Explanation:
A customer buys 100 shares of ABC stock, which is now trading at $63. The customer wants to create a dividend supplement to the position. He should: A buy a call B buy a put C sell a call D sell a put
Answer:
sell a call
Explanation:
He should sell a call because he wanted to create a dividend supplement to the position.
What is selling a call?This involves a call sellers who have an obligation to sell the underlying stock at the strike price and have a short call position.
Hence, as he wants to create a dividend supplement to the position, then, the best option is to sell a call.
Therefore, the Option C is correct.
Read more about call selling
brainly.com/question/25603919
#SPJ2
Create a cash flow statement for your own finances. Why are cash flow statements useful in managing money?
Answer: Cash flow statements are useful in managing money because cash flow keeps track of the outflows and inflows of cash in an organized manner. Cash flow is the main operation that helps companies as well to see whether or not their investments are creating enough income.
Assuming the balance of cash on january 1, 2024, equals $5,400, calculate the balance of cash on december 31, 2024
Calculating the balance of cash on December 31, 2024, requires an understanding of the factors that affect cash inflows and outflows during the year.
Revenues and Expenses: The revenue generated by a business and the expenses incurred during the year can impact the cash balance. If revenues are greater than expenses, then the business will have a positive cash flow, whereas if expenses are greater than revenues, then the business will have a negative cash flow.
Capital Expenditures: Capital expenditures refer to investments in long-term assets such as property, plant, and equipment. These investments can impact the cash balance since they require a cash outflow at the time of purchase.
Financing Activities: Financing activities refer to transactions related to the company's financing, such as issuing stock, paying dividends, or borrowing money. These activities can either increase or decrease the cash balance depending on whether the company is raising money or making payments.
Given that the starting cash balance is $5,400 on January 1, 2024, it is necessary to consider the above factors to determine the balance of cash on December 31, 2024. Let's assume that the business generates $200,000 in revenue and incurs $150,000 in expenses during the year. The difference between revenue and expenses, which is $50,000, is referred to as net income. Assuming the business has no capital expenditures, the net income will be the cash inflow, which means the cash balance will increase by $50,000 to $55,400 on December 31, 2024.
However, if the business had capital expenditures of $30,000, the cash outflow would be $30,000, which would reduce the cash balance to $25,400. Alternatively, if the business borrowed $20,000 during the year, the cash inflow would be $20,000, which would increase the cash balance to $25,400 + $20,000 = $45,400. Finally, if the business paid dividends of $10,000 during the year, the cash outflow would be $10,000, which would reduce the cash balance to $45,400 - $10,000 = $35,400.
In conclusion, the balance of cash on December 31, 2024, is influenced by various factors, including revenues and expenses, capital expenditures, and financing activities. Therefore, to determine the cash balance on a specific date, it is necessary to consider all of these factors and make appropriate adjustments to the starting balance of cash.
learn more about cash inflows here
https://brainly.com/question/10714011
#SPJ4
The percentage of total workers who are out of work but seeking jobs and
willing to work is known as the
_______ rate.
Answer:
its either labor force participation rate or unemployment rate.
since he is still seeking a job, this leads me to believe that it is the labor force one, but to get the labor force participation rate you need the employed and the unemployed.
Explanation:
Question 7 of 70
What Remarketing audiences cannot be defined by default?
Users who played a video on a website
Users who visited a specific page on a website
Users who speak a particular language
Users who visited a physical store
The remarketing audiences that cannot be defined by default are users who visited a physical store. Therefore, the correct option is option 4.
The reason is that online remarketing tools typically track user behavior and interactions on a website or app, but they cannot automatically track offline activities such as visiting a physical store. Hence, they do not have access to this information by default and it cannot track offline behavior.
Therefore, if you want to create remarketing audiences based on these criteria, you need to manually upload the data to these tools to track and collect the necessary information. In contrast, the other options involve online user behaviors that can be tracked and defined by default for remarketing purposes. Hence, the correct answer is option 4: Users who visited a physical store.
Learn more about Remarketing:
https://brainly.com/question/28411855
#SPJ11
an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
An advantage of the balanced scorecard framework is the ability to automate the flow of information on __________, so that executives are kept fully informed about business performance.
Answer:
key performance indicators.
Explanation:
Please give the brainliest
At January 1, 2021, Canaday Corporation had outstanding the following securities:
600 million common shares
20 million 6% cumulative preferred shares, $50 par
6.4% convertible bonds, $2,000 million face amount, convertible into 80 million common shares
The following additional information is available:
On September 1, 2021, Canaday sold 72 million additional shares of common stock.
Incentive stock options to purchase 60 million shares of common stock after July 1, 2020, at $12 per share, were outstanding at the beginning and end of 2021. The average market price of Canaday's common stock was $18 per share during 2021.
Canaday's net income for the year ended December 31, 2021, was $1,476 million. The effective income tax rate was 25%.
1. & 2. Calculate basic and the diluted earnings per common share for the year ended December 31, 2021
The basic earnings per common share for the year ended December 31, 2021, is $1.50, and the diluted earnings per common share is $1.37.
How were the basic and diluted earnings per common share calculated for the year ended December 31, 2021?
The basic earnings per common share for Canaday Corporation in 2021 can be calculated by dividing the net income ($1,476 million) by the weighted average number of common shares outstanding.
The weighted average is determined by considering the common shares outstanding at the beginning of the year (600 million) and the additional shares sold during the year (72 million). Thus, the basic earnings per common share is $1.50.
To calculate the diluted earnings per common share, we need to consider the impact of potential dilutive securities, such as the convertible bonds and the incentive stock options. The convertible bonds, with a face amount of $2,000 million, can be converted into 80 million common shares.
The incentive stock options give the right to purchase 60 million common shares at $12 per share. Since the average market price of Canaday's common stock was $18 per share during 2021, the stock options are considered dilutive.
To calculate the diluted earnings per common share, we adjust the weighted average number of common shares outstanding by adding the potential shares from the convertible bonds and the stock options. The diluted earnings per common share for Canaday Corporation in 2021 is $1.37.
Learn more about common share
brainly.com/question/14504712
#SPJ11
Postal service shows the national identity of country. Justify.
Dawn's bridal boutique is having a sale on evening dresses. The increase in consumer surplus comes from the benefit of the lower prices to Question 43 options: only existing customers who now get lower prices on the gowns they were already planning to purchase. only new customers who enter the market because of the lower prices. both existing customers who now get lower prices on the gowns they were already planning to purchase and new customers who enter the market because of the lower prices. Consumer surplus does not increase; it decreases.
Answer:
both existing customers who now get lower prices on the gowns they were already planning to purchase and new customers who enter the market because of the lower prices.
Explanation:
Consumer surplus is the difference between the willingness to pay of a consumer and the price of the good.
Consumer surplus = willingness to pay – price of the good
Let assume that the price before the sale and after the sale is $1000 and $800. The willingness to pay of customer A is $1500 and for customer b is $900
consumer surplus of customer A before sale = 1500 - 1000 = 500
consumer surplus of customer A after sale = 1500 - 800 = 700
consumer surplus of customer B before sale = 0
consumer surplus of customer B after sale = 900 - 800 = 100
consumer surplus of both customers increase