One perspective on expertise is that deliberate practice, in addition to motivation, is required to become an expert.
Deliberate practice refers to a specific type of focused and structured practice aimed at improving performance. It involves setting specific goals, receiving feedback, and making adjustments based on that feedback.
While motivation is essential in driving individuals to pursue expertise, deliberate practice is considered a critical component in the development of true expertise.
Deliberate practice goes beyond simple repetition and involves engaging in challenging tasks that push the individual to continuously improve their skills.
It enables people to hone their abilities, learn from errors, and achieve gradual advancements over time. People can acquire the skills, knowledge, and problem-solving techniques that set professionals in their particular industries apart through deliberate practise.
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A company, Glenn Corp., is expected to generate cash flows of $45,000 for each of the next 20 years. Determine the present value of the firm at a discount rate of 10%
To determine the present value of the firm, we need to use the discounted cash flow method. This involves calculating the present value of each cash flow and then summing them up. Given that Glenn Corp. is expected to generate cash flows of $45,000 for the next 20 years, we can use the following formula to calculate the present value of each cash flow:
PV = CF/(1+r)^n, where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of years.
Using the above formula, we can calculate the present value of the cash flows as follows:
PV1 = $45,000/(1+0.10)^1 = $40,909.09
PV2 = $45,000/(1+0.10)^2 = $37,172.62
PV3 = $45,000/(1+0.10)^3 = $33,793.29
.
.
.
PV20 = $45,000/(1+0.10)^20 = $7,610.44
Summing up all the present values of the cash flows, we get the present value of the firm:
PV = PV1 + PV2 + PV3 + ... + PV20
PV = $40,909.09 + $37,172.62 + $33,793.29 + ... + $7,610.44
PV = $531,180.80
Therefore, the present value of the firm at a discount rate of 10% is $531,180.80.
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The present value of the firm is $409,832.80 at a discount rate of 10%.
The present value of the firm can be calculated using the formula for the present value of an annuity.
Step 1: Identify the cash flows and the discount rate.
Cash flow = $45,000 per year
Number of years = 20
Discount rate = 10%
Step 2: Calculate the present value factor.
Using the formula for the present value factor of an annuity:
PV Factor = (1 - (1 + r)^-n) / r
Where:
r = discount rate
n = number of years
PV Factor = (1 - (1 + 0.10)^-20) / 0.10
PV Factor = 9.1296
Step 3: Calculate the present value of the cash flows.
Using the formula for the present value of an annuity:
Present Value = Cash flow x PV Factor
Present Value = $45,000 x 9.1296
Present Value = $409,832.80
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Ultimately concern over BP's ______ is pushing many investors to sell the company's stock.
A. business model
B. future cash flow
C. management
D. none of the above
(B.) future cash flow, In the end, worries over BP's future cash flow are causing many investors to liquidate their shares in the corporation.
Inflation and return are taken into consideration as it compares the present worth of money now to the present value of money in the future. A price is produced by the net present value (NPV) of a series of cash flows using inputs of cash flows and a discount rate or discount curve. Planning your financial flow is crucial since you need money in the bank to pay your payments. A method of valuation known as discounted cash flow (DCF) is used to estimate the value of an investment based on its expected return in the future, or future cash flows. DCF makes it easier to determine the current value of an investment based on expected future returns.
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In the immediate postwar period, many European governments adopted a theory of economics that advocated for government intervention to stabilize the economy while still allowing free market capitalism. What is this economic theory called?
mcq options:
Neoliberalism
Communism
Keynesianism
Laissez-faire
In the immediate postwar period, many European governments adopted a theory of economics that advocated for government intervention to stabilize the economy while still allowing free market capitalism. This economic theory is called Keynesianism.
Keynesianism is an economic theory that focuses on government intervention in the economy. This theory advocates for government intervention in the economy to ensure that it runs smoothly. The economy can be stabilised by the government through public spending, taxation, and monetary policy. Keynesianism was created by John Maynard Keynes, a British economist, in the 1930s. Keynesianism's main goal is to keep unemployment and inflation rates low while increasing economic growth. The economic theory also holds that the government should invest in public infrastructure and social programs to increase employment and stimulate the economy.
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Which of the following is least likely to help you choose an academic major? A. your guidance counselor B. An intership C. An intrest invitory D. The measure your friend chooses
The following has the lowest likelihood of assisting you in selecting an academic major is your friend's choice of action. Therefore, choice (D) is the appropriate one.
The academic major to which a first-year student formally commits is called their major. An undergraduate degree is awarded to students who successfully complete all of the major-required courses. When referring to the academic field undertaken by a graduate student or postgraduate student in a master's or doctorate assisting program, the term major (also known as concentration, particularly at private colleges) is occasionally used administratively.
Completing a mix of mandatory and optional courses in the subject of choice is often necessary to declare a major. From program to program, a student's freedom to select courses varies.
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Answer:
D. The major your friend chooses
Explanation:
Identify two simplifying assumptions associated with discounted cash flow methods of making capital budgeting decisions.
The idea that all cash flows happen at the end of a period is one. Another is the prompt reinvestment of all cash inflows at a rate of return equal to the discount rate.
What is capital budgeting?
A business uses capital budgeting to decide which planned fixed asset purchases it should approve and which it should reject. Each proposed fixed asset investment is given a quantitative assessment through this procedure, providing a sound foundation on which to base a decision. In corporate finance, capital budgeting and investment evaluation refer to the planning process used to assess whether a business should make long-term investments in new or replacement machinery.
The term "discounted cash flow" (DCF) refers to a method of valuation that calculates an investment's value based on its anticipated future cash flows. Using estimates of how much money an investment will make in the future, DCF analysis seeks to evaluate the value of an investment today.
The idea that all cash flows happen at the end of a period is one. Another is the prompt reinvestment of all cash inflows at a rate of return equal to the discount rate.
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The Renaissance was an age of growing confidence in Group of answer choices the powers of human reason and individuality industrial technologies the government the old ways of the Catholic church\
The Renaissance was an age of growing confidence in the powers of human reason and individuality. During this period, which spanned roughly from the 14th to the 17th century, there was a renewed interest in classical learning, art, and science.
Scholars and thinkers of the Renaissance placed great emphasis on the potential of human beings to explore and understand the world through reason, observation, and critical thinking.
This shift in thinking marked a departure from the medieval worldview, which heavily relied on religious authority and tradition. While the influence of the Catholic Church was still significant during the Renaissance, there was an increasing emphasis on humanism and secular pursuits. Intellectuals of the time sought to reconcile classical knowledge with Christian teachings and placed a greater emphasis on the potential of human beings to shape their own destinies through the application of reason and individual effort.
Although the Renaissance also witnessed advancements in industrial technologies, such as printing press and navigation tools, and changes in governance structures, the core characteristic of the period was the growing confidence in human reason and individuality. This intellectual and cultural movement laid the groundwork for the subsequent Enlightenment period, which further advanced these ideals and fostered the development of modern science, philosophy, and political thought.
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How do companies research potential new markets? Choose a global company who has a record of successful new market entry and explain why it has had this success, and consider also the reasons for any failures.
Explanation:
Companies search for potential new markets by collecting consumer data to understand their opinions, wants and needs, and then being able to enter a new market with a safe and effective strategy to generate profits and successes. Data collection occurs in the form of primary and secondary research. The primary research takes place directly with the consumer, it can be carried out in the form of focus groups, which is a direct analysis of the market demand researched by the consumer.
As for secondary research, information is received through third parties, such as online sites, trade associations, etc., which give an idea of market behavior.
IKEA in China is an example of a global company that entered a different market in the form of strategic adaptation to meet the needs of the Chinese, through ideas and concepts aimed at this public.
Help answer these two questions pleaseee
1. Across the course, you've learned about many other desktop publishing software programs besides PowerPoint. Identify at least two other technologies available for desktop publishing (the software can be presentation-based, word processing, spreadsheet software.etc.). What are some common features across PowerPoint and these other programs?
2. What are 2 differences that could be expected in how an employee would speak to other staff members in a truly flat organizational structure compared to a hierarchical structure?
Answer:
1.
At least two other technologies available for desktop publishing:
Microsoft WordMicrosoft ExcelMicrosoft PublisherCommon features across PowerPoint and the above programs:
These programs are all part of the Microsoft 365 (formerly Microsoft Office) suite of software tools. They are available for both personal and professional use. All programs use a subscription model. They are designed to be compatible across Microsoft's entire product line and allow for instant collaboration among multiple registered users.
2.
Two differences in how an employee might speak to other staff members in a flat organizational structure versus a hierarchical structure:
Less expectation of formality: speech would likely be delivered in a more casual manner and tone among many staff membersAn increase in dialogue: a reduction or elimination of middle management necessitates increased collaboration among staffColumbia Bank & Trust has just given you a $20,000 term loan to pay for a new concrete mixer. The loan requires five equal annual end-of-the-year payments. If the loan provides the bank with a 12 percent return, what will be your annual payments?
Answer:
$5,548.19
Explanation:
According to the scenario, computation of the given data are as follows,
Principal payment (p)= $20,000
Rate of interest (r) = 12%
Time period (t) = 5
So, we can calculate the annual payment by using following formula,
Annual payment = [p×r×\((1+r)^{t}\)] ÷ [ \((1+r)^{t}\)-1]
By putting the value, we get
= [$20,000×0.12 \((1+0.12)^{5}\)] ÷ [\((1+0.12)^{5}\)-1]
By solving the equation, we get
= $5,548.19
Hence, the annual payment will be $5,548.19.
What accounts are inventory invoices placed into?
Inventory invoices are usually placed into one of the following accounts in an accounting system:
Inventory Account: This account is used to track the cost of goods that a business has in stock. The inventory invoices are recorded as a debit in this account.
1. Purchases Account: This account is used to track the cost of goods purchased by a business. The inventory invoices are recorded as a credit in this account.
2. Cost of Goods Sold (COGS) Account: This account is used to track the cost of goods sold by a business. The inventory invoices are recorded as a debit in this account when the goods are sold.
3. Accounts Payable Account: This account is used to track the amount owed to suppliers for goods purchased on credit. The inventory invoices are recorded as a debit in this account until they are paid.
4. The specific accounts that inventory invoices are placed into may vary depending on the accounting system and the business's accounting policies. It's important to consult with an accountant or financial advisor to determine the most appropriate accounts to use for your business.
Explain how a problem-solving strategy is similar to deductive reasoning.
Answer:Simmetry
Explanation: it is always directly proportional with the answer. I s all about cause and effect!
why all choices are economic choices?
Answer:
All choices are economic choices because with every choice we make, we are (sometimes subconsciously) analyzing the costs and benefits of our options. Our choices are guided by self-interest and every choice we make involves some kind of cost, whether it be time or money or something else.
does anybody know this \
Mark the statement that is NOT true.
The president is also known as the chief executive.
The executive department is divided into 15 divisions.
The executive branch mainly enforces federal laws.
The president is also known as the chief of state.
The "Beltway mentality" is a desired goal of every presidential administration.
Answer:
False
the first one, option A
The executives at Dizzy & Sons Corp. are developing strategic plans to address plausible future situations like rise in the prices of cotton and synthetic fabrics by 20 percent, appreciation in the value of the dollar, increase in the cost of labor by 30 percent, and increase in demand for the company’s products. By doing so, the company will be well prepared with its planned responses if any of these situations occurs in the future. Thus, Dizzy & Sons Corp. is employing ________ as the approach to the development of strategy.
Answer:
scenario planning strategy
Explanation:
In simple words, Scenario planning helps to identify your essential uncertainty and to establish realistic situations in attempt to address the implications as well as the answers to be provided to every one of those. If you know what might also happen, you're more able to live with whatever is going to occur. One approach to build potential events is to identify and determine patterns that are more likely to emerge and which are more relevant to the progress of the enterprise.
Poor housekeeping exposes workers to several types of hazards from the answer options below select the hazards which relate to poor housekeeping
Trips, slips, and falls Fire and explosion hazards, Exposure to hazardous materials and substances, Blocked or obstructed access to emergency equipment and exits, Increased risk of accidents and injuries due to cluttered workspaces.
What are these points?
Poor housekeeping can lead to several types of hazards in the workplace. Here are some examples:
Slips, trips, and falls: Poor housekeeping can result in cluttered workspaces, obstructed walkways, and wet or slippery floors, which increase the risk of slip, trip, and fall accidents.
Fire hazards: Accumulation of combustible materials, such as papers, cardboard, and chemical waste, can create fire hazards. Poor housekeeping can also lead to blocked exits, preventing workers from escaping in case of a fire.
Exposure to harmful substances: If hazardous materials are not stored properly or spills are not cleaned up promptly, workers can be exposed to harmful substances.
Injuries from falling objects: Poorly stacked materials or cluttered workspaces can cause objects to fall and injure workers.
Overall, maintaining good housekeeping practices is essential to minimize workplace hazards and create a safe working environment for all employees.
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complete question:
What types of hazards can be related to poor housekeeping?
Compute the level of on balance volume (OBV) for the 3-day period shown in the table, for a stock (see table below) if the beginning level of OBV is 51,800 and the stock closed yesterday at$25.01. Does the movement in OBV appear to confirm the rising trend in prices? Explain.The OBV for day 1 is __?The OBV for day 2 is __?The OBV for day 3 is __?Day Closing price Trading volume (shares)1 $27.21 73,3002 $25.83 40,7003 $28.98 123,000
To compute the OBV for each day, we need to compare the closing price to the previous day's closing price. If the current day's closing price is higher, we add the trading volume to the previous day's OBV. If the current day's closing price is lower, we subtract the trading volume from the previous day's OBV.
Day 1: The OBV for day 1 is 51,800 since this is the beginning level of OBV.
Day 2: The closing price on day 2 is $25.83, which is lower than the closing price on day 1. Therefore, we subtract the trading volume of 40,700 shares from the previous day's OBV of 51,800. The OBV for day 2 is 11,100.
Day 3: The closing price on day 3 is $28.98, which is higher than the closing price on day 2. Therefore, we add the trading volume of 123,000 shares to the previous day's OBV of 11,100. The OBV for day 3 is 134,100.
The movement in OBV appears to confirm the rising trend in prices since the OBV is increasing along with the price. This suggests that there is buying pressure and investors are bullish on the stock.
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Please help. Calculate weekly labour cost!. Easy
Weekly labor cost per unit = total weekly labor cost/ total units
60,000. / 2000 = 30
Answer: £ 30 per unit
Question 14 of 20
Why might health care costs be less of a concern for a British company than
an American company?
A. America has stronger laws that regulate health care.
B. American companies do not provide health care to employees.
C. Britain allows its citizens to seek foreign treatment.
D. Britain has a system providing free universal health care.
Answer:
A
Explanation:
America has strong laws regulate health care
Answer:
its D - Britain has a system providing free universal health care.
Explanation:
what are some ways you can make tax season a little easier?
It will be less stressful the earlier you begin. Collect all of your tax-related documents, such as W-forms, receipts, and bank statements.
What is Tax?
A tax is a mandatory financial charge or another sort of levy that is placed on a taxpayer (an individual or legal entity) by a governing body to pay for government expenses and other public expenditures (regional, municipal, or federal), the right amount of tax at the right time, as well as obtaining the proper tax allowances and tax reliefs, are all aspects of tax compliance, which also pertains to policy initiatives and individual behavior.Economically speaking, taxation transfers money from individuals or companies to the government.This can either have positive (known as the fiscal multiplier) or negative (known as the fiscal multiplier) consequences on economic growth and economic wellbeing (known as excess burden of taxation).To learn more about Tax refer to:
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Pete is trying to get a loan. He has a credit score of 480. How is Pete’s lender likely to view this credit score?
Pete is responsible and will pay the loan back on time.
Pete is responsible but will not pay the loan back on time.
Pete is irresponsible but will pay the loan back on time.
Pete is irresponsible and will not pay the loan back on time.
im mad at brainly so ima mark the best answer brainiest
Answer:
Pete is irresponsible and will not pay the loan back on time
Explanation:
Credit scores range from 300 to 850. In general, borrowers are categorized according to their credit scores as below
A score between 300- 629... bad
630-689 ... fair
680-719 ...good
720- 850... excellent
Pete has a bad credit score as per the above classification. He surely has a bad history when it comes to repaying loans. Lenders will consider him a high-risk borrower likely to default on his loan repayment.
Answer:
The correct answer is D. Pete is irresponsible and will not pay the loan back on time
Explanation:
That is the most likely way Pete's lender will view his credit score
Hopefully this helps :3 sorry if wrong :( Plz mark brainiest if correct :D Your bootiful/handsome! Have a great day luv <3 (I know Im like almost a year later but yayyyyyyy- Hopefully you passed your quiz/test :D)
-Bee~
entperise opportunities
Explanation:
A business opportunity (or bizopp) involves sale or lease of any product, service, equipment, etc. ... The licensor or seller of a business opportunity usually declares that it will secure or assist the buyer in finding a suitable location or provide the product to the purchaser-licensee.
hope this helps you.
How much will the peruvian government spend on servicing.
Answer:
4,000 m
Explanation:
4,000 million Peruvian sol
The Peruvian government spends on servicing is 4000 million Peruvian Sol.
What kind of government does Peru belong to?
The Republic of Peru is a united country and a republic with a multi-party democratically elected president. The current government was established by the Peruvian Constitution of 1993. The government is made up of three branches, namely the executive, the judiciary, and the judiciary.
Was Peru a dictatorship?The Military Revolutionary Government was the military dictator who ruled Peru from 1968 to 1980 after a successful coup d'état by the Peruvian Armed Forces.
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two years ago, maxwell purchased a computer (five-year property) for use in his business at a cost of $12,000. cost recovery deductions total $7,392. the computer was sold for $6,000. what is the amount of cost recovery deductions, if any, that must be recaptured? a) $1,392 b) $6,000 c) $0 d) $7,392
If maxwell purchased a used pickup truck at a cost of $12,000 and sales taxes of $1392 ,first-year cost recovery deduction that maxwell can claim is: $1339.2
First step is to find the cost of asset using this formula
Cost of asset = Purchase price + sales tax
Cost of asset =12000+1392
Cost of asset = 13,392
Now let find the first-year cost recovery deduction that Maxwell can claim
First-year cost recovery deduction = ( Cost of asset /Five-year property) × 6/12
First-year cost recovery deduction = ($13,392 / 5 years) × 6/12
First-year cost recovery deduction = $1,339.2
Cost recovery is the capacity of organizations to recuperate (deduct) the expenses of their ventures. It assumes a significant part in characterizing a business' duty base and can influence speculation choices. At the point when organizations can't completely deduct capital consumptions, they save on capital, which decreases laborer's efficiency and wages.
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jt engineering issued bonds with detachable common stock warrants. at the time of issue, the warrants had a known market value, but the bonds did not. the sum of the fair value of the warrants and the face amount of the bonds exceeds the cash proceeds. how should this excess be reported?
This extra be reported as a reduction on bonds payable.
The required details for bonds in given paragraph
Bonds are issued through governments and agencies after they need to elevate money. By shopping for a bond, you are giving the provider a mortgage, and they comply with pay you returned the face fee of the mortgage on a particular date, and to pay you periodic interest bills alongside the way, generally two times a year. Unlike stocks, bonds issued through businesses provide you with no possession rights. So you do not always enjoy the business enterprise's growth, however you might not see as a great deal effect whilst the business enterprise isn't always doing as well, either—as lengthy because it nevertheless has the sources to live modern-day on its loans.
Bonds, then, provide you with 2 capability blessings while you preserve them as a part of your portfolio: They provide you with a movement of income, and that they offset a number of the volatility you may see from proudly owning stocks.
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what best defines form
Answer:
the shape and structure of something as distinguished from its material the building's massive form.
1. what is meant by ‘mass customisation’ and why is this so beneficial? 2. what are the key differences between direct marketing by email or sms and direct marketing by post?
Mass customization refers to the process of delivering products or services that are tailored to the specific needs and preferences of individual customers, while still maintaining the efficiency and scalability of mass production. This means that businesses are able to offer a wide range of customized options to their customers at a reasonable cost.
This approach is beneficial because it allows companies to provide personalized experiences to their customers, which can increase customer loyalty and satisfaction. It also enables businesses to differentiate themselves from competitors and improve their market position. The key differences between direct marketing by email or SMS and direct marketing by post lie in their respective delivery channels and audience targeting. They are also more measurable, with the ability to track open rates, click-through rates, and conversion rates.
On the other hand, direct marketing by post may be more effective for targeting specific segments of the population, such as older consumers who are less likely to use digital channels. Additionally, direct mail can offer a more tactile and personalized experience, with the use of creative materials and direct mail pieces tailored to individual customers. However, direct mail can be more costly and time-consuming to produce and deliver.
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Mass customisation refers to the process of producing goods or services tailored to individual customer preferences while maintaining the efficiency and affordability of mass production.
This approach is beneficial as it allows companies to meet diverse customer needs, enhance customer satisfaction, and gain a competitive edge in the market.
Regarding direct marketing, there are key differences between email/SMS and postal methods. Email and SMS marketing offer advantages such as lower costs, faster delivery, and easier performance tracking. However, they may face issues with spam filters or lack of personal touch. Direct marketing by post, on the other hand, incurs higher costs and slower delivery times but can provide a more tangible and personalized experience for the recipient, potentially leading to higher engagement rates. Both methods have their own merits, and companies must choose the most suitable approach based on their target audience and marketing objectives.
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question modemultiple choice questionwhich component of the marketing plan allows a company to understand information about its current business and then make strategic decisions about how to best move forward?multiple choice question.executive summaryfinancialsfeedbackmission statementsituation analysis
Product, pricing, promotion, and site are the four primary themes included in the marketing section of a company strategy.
The four Ps are a "marketing mix" that includes four crucial elements for selling a good or service: product, pricing, place, and promotion. When businesses create marketing plans and strategies to reach their target audience, they frequently consider the four Ps.
The marketing plan outlines the approach a company will take to advertise its items to customers. The strategy identifies the target market, the value proposition of the brand or product, the campaigns to be launched, and the metrics to be used to assess the performance of marketing initiatives.
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Suppose General Electric payed its line workers $12 per hour
The relevant answers with regard to real wages are as follows:
A) $10.08
B) 10.89
C) 19.05. See explanation below.
What is the computation justifying the above results?[A]
Recall that Real Wages are computed as follows;
Real Wages = (Nominal Wage/CPI in the Given Year) x CPI in the base year
12 = (N/84) x 100
= 10.08
[B]
The formula for real wage still stands:
Hence,
12 x 1.08 = (N/84) x 100
= 10.89
One thing to keep in mind is that the percentage rise in real wages is always equal to the percentage increase in nominal wages. The same may be demonstrated with other values.
[C]
It is to be noted that the real wage is pegged at $12 which is same from the prior year.
Hence, percentage increase = 0
But because $12 is Nominal in the incumbent year,
[(12 - 10.08)/10.08] x 100
= 92/10.08
= 19.05
What is real wages?Real wages are earnings adjusted for inflation, or pay expressed in terms of the quantity of goods and services that may be purchased. In contrast to nominal wages or unadjusted wages, this word is used.
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Full Question:
Suppose General Electric paid its line workers $12 per hour in 2015 when the Consumer Price Index was 100. Suppose that deflation occurred and the aggregate price level fell to 84 in 2016. Instructions: Round your answers to two decimal places. a. GE needed to pay its workers $ in 2016 in order to keep the real wage fixed at $12. b. GE needed to pay its workers $ in 2016 if it wanted to increase the real wage by 8 percent. c. If GE kept the wage fixed at $12 per hour in 2016, in real terms, its workers got a % increase in wages.
which of the follwoing gaap cash flow classes exhibits net changes in cash flows with a u shaped pattern over the life cycle of the firm when plotted over time for a typical retail operation?
inveting or financing or opening or none
The GAAP cash flow class that exhibits net changes in cash flows with a u-shaped pattern over the life cycle of a typical retail operation when plotted over time is the investing cash flow class.
This is because a retail operation typically requires a significant amount of initial investment in fixed assets such as property, plant, and equipment, which results in negative cash flow in the early stages. As the business grows and matures, it generates positive cash flows from operations, which are then reinvested in the business to support further growth, resulting in negative cash flows again. Finally, as the business stabilizes, it generates positive cash flows from operations that exceed the amount required for reinvestment, resulting in positive cash flow from investing activities. Therefore, investing cash flows for a typical retail operation exhibit a u-shaped pattern over time.
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Whenever a new product is arrived, the stock needs to be updated. This requirement is an example for non functional requirement. State true or false.
The statement "Whenever a new product is arrived, the stock needs to be updated" is an example of a functional requirement, not a non-functional requirement.
Functional requirements describe the specific features and functionalities that a system or product must have in order to meet the needs of its users. In this case, the requirement states that when a new product arrives, the stock needs to be updated. This is a specific action that needs to be performed by the system, which is a functional requirement.
On the other hand, non-functional requirements describe the qualities and characteristics of a system or product, such as performance, security, usability, and reliability. These requirements focus on how the system should behave or perform, rather than what it should do.
An example of a non-functional requirement for this scenario could be the system's performance requirement, such as ensuring that the stock update process completes within a certain timeframe, or that the system can handle a certain number of product updates per second.
To summarize, the statement provided is an example of a functional requirement, not a non-functional requirement.
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False. The requirement described is an example of a functional requirement, not a non-functional requirement.
The statement is an example of a functional requirement, not a non-functional requirement. Functional requirements define what the system or product should do and specify the features, behavior, and functionality of the system. In this case, the requirement states that the stock needs to be updated whenever a new product arrives, which is a specific action the system should perform.
Non-functional requirements, on the other hand, define the qualities or characteristics of the system, rather than its specific functionality. They describe how the system should behave, perform, or operate. Examples of non-functional requirements include performance, security, usability, scalability, reliability, and maintainability, among others.
A functional requirement defines what a system should do, while a non-functional requirement defines how the system should perform. In this case, the requirement states that the stock needs to be updated whenever a new product arrives. This is directly related to the functionality of the system and therefore falls under the category of functional requirements.
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