Hal suggested this change because it should avoid an argument about whether the scale is interval or ordinal.
1) The change is classified as maturation. 2) How consumers shop for TurboTax is similar to how banking customers might first shop for a bank or financial institution and how they might shop in subsequent years. When the majority of customers are first looking for a financial institution or tax preparation software they will treat it as a good, and in subsequent years they are likely to treat it as a good because of potential switching costs. The answer is convenience. 3) Classifying the questions on a survey as nominal, ordinal, interval, or ratio informs the researcher about the statistics that can be used on the data. 4) Rather than use word labels (e.g., strongly disagree, disagree, neutral, agree, strongly agree) for response options on a Likert style survey question, Hal suggested that the endpoints could be labeled and numbers be used. For example, the response options might be strongly Disagree=1, 2, 3, 4, and Strongly Agree=5. Hal suggested this change because it should avoid an argument about whether the scale is interval or ordinal.
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Identify key player (e. G. , cutomer group, upplier companie, major organization) that Apple deal with in it operation
Apple's key players in its operations include customers, suppliers, and major organizations such as governments and telecommunications companies.
In terms of customers, Apple has a diverse range of consumers, from individuals to large businesses. Apple's primary suppliers are companies that provide components for its products, including manufacturers of hardware components, software and content creators. Apple also has relationships with major organizations, including governments, which regulate the tech industry and telecommunications companies, which provide infrastructure for its products.
Apple's collaborations and partnerships with these key players play a significant role in the company's ability to innovate and bring new products to market. To maintain positive relationships with these stakeholders, Apple must continually meet the expectations and needs of its customers, suppliers and major organizations while balancing its own business objectives and priorities.
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The question seems to be incomplete, but I suppose the question was:
"Identify key players (e.g., customer group, supplier companies, major organizations) that Apple deal with in its operation."
A rising GDP and a falling unemployment rate are most likely indicators that an economy is in which phase of the business cycle?
answer: expansion
A rising GDP and a falling unemployment rate are most likely indicators that an economy is in the expansion phase of the business cycle.
During the expansion phase, the economy experiences an increase in economic activity and employment opportunities, resulting in a rise in GDP and a decline in unemployment rate. This phase is typically characterized by increased consumer and business spending, rising stock prices, and increasing confidence in the economy. The expansion phase is usually followed by the peak, recession, and trough phases in the business cycle.
The business cycle refers to the fluctuation of economic activity in an economy over time. It is typically characterized by alternating periods of expansion and contraction, with the peak, recession, and trough phases in between. Various factors contribute to the business cycle, including consumer spending, business investment, and government policies.
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To have a more positive metaverse experience, it's important to __________________________.
A. check in with yourself to find the right balance
B. interact with everyone in the same experience
C. exit before someone starts connecting with you
D. continue as long as possible without taking a break
Interacting with everyone in a similar experience is crucial for a more fulfilling metaverse experience. As a result, choice (B) is the proper response.
What is metaverse?In science fiction and futuristic literature, the metaverse is a fictitious version of the Internet that is a single, all-encompassing virtual environment made possible by the usage of virtual reality (VR) and augmented reality (AR) devices. A metaverse is a collection of 3D virtual environments that are mostly utilized for social interaction.
The words "meta" and "universe" were combined to create the phrase "metaverse," which first appeared in the science fiction book Snow Crash in 1992.
Hence, option (B) is accurate.
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If a society moves from a period of time with significant unemployment to a time with full employment, its production possibilities frontier will 1 point A. shift leftward. B. Shift rightward. C. Not shift because the society moves from one point on the frontier to a point inside the frontier. D. Not shift because the society moves from a point inside the frontier to a point on the frontier. E. Not shift because the society moves from a point on the frontier to a point outside the frontier.
Answer:
D
Explanation:
The Production possibilities frontiers is a curve that shows the various combination of two goods a company can produce when all its resources are fully utilised.
The PPC is concave to the origin. This means that as more quantities of a product is produced, the fewer resources it has available to produce another good. As a result, less of the other product would be produced. So, the opportunity cost of producing a good increase as more and more of that good is produced.
Point outside the curve or to the right of the curve means that the production level is not attainable given the level of resources
Points inside the production possibilities curve means that the nations resources are not being fully utilised
Factors that cause the PPF to shift
1. changes in technology.
2. changes in available resources.
3. changes in the labour force.
Due to the significant unemployment , production would occur at a point inside the curve. When the firm moves to full employment, production would take place on the curve
How do bonds earn income
Answer:
The owner of the bond receives interest payments, known as the coupon, throughout the life of a bond, at the interest rate that was determined when it was issued.
Explanation:
They are debt obligations, meaning that the investor loans a sum of money (the principal) to a company or a government for a set period of time, and in return receives a series of interest payments (the yield).
(10) Acme is considering expanding their remote packaging facility. After-tax cash flows (ATCF) for their primary alternative are presented in the table below. If the general price inflation rate (f) is estimated to be 4.3% per year during the 6-year analysis period, what is the real-dollar ATCF that is equivalent to the actual-dollar ATCF on 4th year? The base time period is year zero (b=0). End of Year ATCF (A$) 0 -380,000 70,000 120,000 120,000 180,000 180,000 180,000 1 2 3 4 (a) 108863 (b) 106761 (c) 260761 (d) 152102
We must account for the general price inflation rate (f) across the analysis period in order to determine the real-dollar after-tax cash flow (ATCF) that is equivalent to the actual-dollar ATCF in the fourth year.
First, let's determine the fourth year's cumulative inflation factor (IF): IF = (1 + f)^4 = (1 + 0.043)^4 = 1.184243 The real-dollar equivalent is then calculated by dividing the actual-dollar ATCF in the fourth year by the cumulative inflation factor: Actual-dollar ATCF / IF = Real-dollar ATCF Real-dollar ATCF equals 180,000 / 1.184243 152,102 As a result, the actual-dollar ATCF in the fourth year is about similar to $152,102 in real dollars. The right response is (d) 152,102.
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a woman sells her home for $450 000. she had purchased it for $300 000 and has lived there for 3 years. how much will she owe to IRS due to the gain on the sale?
Answer: $0
Explanation:
As a single homeowner, you are allowed to sell your house and get a $250,000 exemption on capital gains tax so long as you had stayed in the house for 2 years or more out of the last 5 years.
The woman in question has stayed in her home for 3 years when she sold it so she qualifies for the exemption.
Her capital gain is:
= Selling price - cost price
= 450,000 - 300,000
= $150,000
This is less than the exemption of $250,000 so the woman will be totally exempted from capital gains tax.
No amount will be gained by the woman
The amount that every house owner is exempted to gain is $250,000
The woman sold her house for $450,000
She purchased the house for $300,000
The gain can be calculated as follows;
$450,000-$300,000
= $150,000
This amount is less than $250,000 hence there is no gain
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caitlyin is saving to buy a house. she plans to deposit $10,000 into her account today and 1 year from now, and then $18,000 both 2 and 3 years from now. the savings account will pay 1% interest. how much money will she have after her last deposit?
After her last deposit, Caitlyn will have $46,000 in her savings account. This includes the $10,000, $18,000, and $18,000 deposits plus 1% interest earned on these deposits.
1. Calculate the interest earned on the first deposit of $10,000 after 1 year:
Interest earned = $10,000 x 1% = $1002. Calculate the total balance after the first deposit of $10,000 plus the interest earned after 1 year:
Total balance = $10,000 + $100 = $10,1003. Calculate the interest earned on the second deposit of $18,000 after 2 years:
Interest earned = $18,000 x 1% = $1804. Calculate the total balance after the first and second deposits plus the interest earned after 2 years:
Total balance = $10,100 + $18,000 + $180 = $28,2805. Calculate the interest earned on the third deposit of $18,000 after 3 years:
Interest earned = $18,000 x 1% = $1806. Calculate the total balance after the first, second, and third deposits plus the interest earned after 3 years:
Total balance = $28,280 + $18,000 + $180 = $46,4607. Round the total balance to the nearest dollar:
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capital and drawings are classified as
Answer:
Since the capital account and owner's equity accounts are expected to have credit balances, the drawing account (having a debit balance) is considered to be a contra account. In addition, the drawing account is a temporary account since its balance is closed to the capital account at the end of each accounting year.
Explanation:
Please Mark me brainliest
Indicate the point where a monopoly will set its price.
Answer:
A monopoly will set its price at the point where marginal cost and marginal revenue intersects or meet (MC = MR).
Explanation:
A monopoly is a market structure which is typically characterized by a single-seller who sells a unique product in the market by dominance. Thus, it is a market structure wherein the seller has no competitor because he is solely responsible for the sale of unique products without close substitutes. Any individual that deals with the sales of unique products in a monopolistic market is generally referred to as a monopolist.
For example, a public power company that serves as the only power utility (electricity) provider to the public.
Generally, a monopoly will set its price at the point where marginal cost and marginal revenue intersects or meet (MC = MR). This is simply because a monopoly would derive the maximum profit at the point where MC = MR.
Answer:
The dot where green and red meet.
Explanation:
Why is it important for consumers to know the difference between a want and a need
Answer: So they don't waste their money on things they don't need.
Explanation: If consumers don't know the difference between a want and a need they will make poor decisions so it is highly important to distinguish the two.
swan textiles inc. produces and sells a decorative pillow for $97.50 per unit. in the first month of operation, 2,300 units were produced and 1,900 units were sold. actual fixed costs are the same as the amount budgeted for the month. the fixed cost budget is based on the production of 2,300 units. other information for the month includes: variable manufacturing costs $22.00 per unit variable marketing costs $7.00 per unit fixed manufacturing costs $16 per unit administrative expenses, all fixed $20.00 per unit ending inventories: direct materials 0 wip 0 finished goods 400 units what is the contribution margin using variable costing?
The contribution margin using variable costing can be calculated by subtracting the total variable costs from the sales revenue.
To calculate the contribution margin using variable costing, we need to determine the total variable costs and subtract them from the total sales revenue.
Total variable manufacturing costs = Variable manufacturing costs per unit * Number of units produced
Total variable manufacturing costs = $22.00 * 2,300 units
Total variable marketing costs = Variable marketing costs per unit * Number of units sold
Total variable marketing costs = $7.00 * 1,900 units
Total variable costs = Total variable manufacturing costs + Total variable marketing costs
Contribution margin = Sales revenue - Total variable costs
Sales revenue = Selling price per unit * Number of units sold
Given:
Selling price per unit = $97.50
Number of units sold = 1,900
Now, let's calculate the contribution margin:
Total variable manufacturing costs = $22.00 * 2,300 = $50,600
Total variable marketing costs = $7.00 * 1,900 = $13,300
Total variable costs = $50,600 + $13,300
Sales revenue = $97.50 * 1,900
Contribution margin = Sales revenue - Total variable costs
Therefore, the contribution margin using variable costing can be calculated by subtracting the total variable costs from the sales revenue.
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most stock exchanges today use electronic trading
What are customer needs?
Answer:
A customer need is a need that motivates a customer to purchase a product or service.
HELP PLEASE
Companies create a division of labor among employees in order to:
O A. reduce the opportunity cost for hiring new employees.
O B. make it easier to shift employees between different jobs.
O C. allow each employee to perform one task at a high level.
O D. gain access to more human and physical capital.
Answer:
D
Explanation:
companies do this so everyone is more proficient with their bodies and their work
To determine a credit score, debt, available credit and total assets are all part of the
calculation. It is important to have the ability to calculate total assets to improve a credit
score. The Smith family has a net worth of $100,000 and liabilities equaling $67,000, what is
the amount of their assets?
$100,000
O $67.000
O $33,000
O $167,000
Answer:
Net assets of smith family = $167,000
Explanation:
Given:
Net worth of smith family = $100,000
Net liabilities of smith family = $67,000
Find:
Net assets of smith family
Computation:
Net assets = Net worth + Net liabilities
Net assets of smith family = Net worth of smith family + Net liabilities of smith family
Net assets of smith family = $100,000 + $67,000
Net assets of smith family = $167,000
Haughton company uses a job costing system for its production costs and a predetermined factory overhead rate based on direct labor costs to apply factory overhead to all jobs. During the month of july, the firm processed three jobs: x13, x14, and x15, of which x13 was started in june.
How do you do the buss it challenge
Answer:
buss it. .
Explanation:
just buss it :)
The following table shows the actual demand observed over the last 11 years: This exercise contains only parts b,c, and d. b) Using the 3 -year moving average, provide the forecast from periods 4 through 12 (round your responses fo one decimai place). c) Using the 3-year weighted moving average with weights 0.15,0.35, and 0.50, using 0.50 for the most recent period, provide the forecast from periods 4 through 12 (round your responses to two decimal places). d) Mean absolute deviation for the forecast developed using the 3-year moving average is 2.14 and for the 3-year weighted moving therage is 2.33. Based on this information, the better forecast is achieved using the approach
b) The table showing actual demand observed over the last 11 years is not given in the question and it is required to use the 3-year moving average method to provide the forecast from periods 4 through 12.
Forecast for period 4 = (0.15 x Actual demand for period 1) + (0.35 x Actual demand for period 2) + (0.50 x Actual demand for period 3)Forecast for period 5 = (0.15 x Actual demand for period 2) + (0.35 x Actual demand for period 3) + (0.50 x Forecast for period 4)Similarly, we can calculate the forecast for periods 6 through 12. We can round the responses to two decimal places. d) Mean absolute deviation (MAD) is a measure of forecast accuracy that measures the average deviation of the forecasts from the actual values.
We have been given the MAD for the forecast developed using the 3-year moving average as 2.14 and for the 3-year weighted moving average as 2.33. The smaller the MAD, the better the forecast. Therefore, the better forecast is achieved using the approach of 3-year moving average as it has a smaller MAD value of 2.14 compared to 3-year weighted moving average which has a MAD value of 2.33.
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You estimate an index model for Stock A using the market excess return. The estimate beta is 1.4. The standard deviation of market return is 5% and the standard deviation of Stock A's return is 8%. What is the R-squared of Stock A using this single index model.
A) 50%
B) 76.6%
C) 87.5%
D) 100%
E) None of the above
The correct answer is option B) 76.6%.
In finance, the R-squared value tells us how much of a security's variance may be accounted for by the market's variance. R-squared values are typically between 0 and 1, with values closer to 1 indicating that the security's returns can be predicted more reliably using the market index.
According to the given information: Beta = 1.4, Standard deviation of market return = 5%
Standard deviation of stock A's return = 8%
Using the formula below, we can calculate the R-squared value for stock A.R2 = (Beta)2 * (standard deviation of market return / standard deviation of stock A's return) 2R2 = (1.4)2 * (0.05 / 0.08)2R2 = 0.961 or 96.1%
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_____ is an important part of the interview process. it allows you to consider how you did in the interview, examining your strong and weak points. a. active listening b. self-evaluation c. networking d. empathizing please select the best answer from the choices provided a b c d
Self-evaluation is an important part of the interview process. it allows you to consider how you did in the interview. Hence, option B. self-evaluation.
What is an interview?An interview is a well-formed dialogue where one participant asks questions, and the other provides answers. In common parlance, the word "interview" refers to a one-on-one conversation between an interviewer and an interviewee.
Therefore, self-evaluation is the correct answer.
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what is stakeholders
Answer:
A stakeholder is a party that has an interest in a company and can either affect or be affected by the business.
Hope this helped you!
Explanation:
Which expense category will most likely be changed to allow money for the purchase of a car? savings Which expense category will most likely be changed to allow money for the purchase of a car?
savings
groceries
utilities
entertainmentgroceries utilities entertainment
Answer:
D. entertainment
Which statement describes the effect of taxes on a traditional 401(k) retirement account?
A.
A traditional 401(k) is tax exempt because the income earned isn't taxed until the money is withdrawn.
B.
A traditional 401(k) is a taxable account because the income earned is taxed when it is contributed.
C.
A traditional 401(k) is tax deferred because the income earned isn't taxed until the money is withdrawn.
D.
A traditional 401(k) is tax exempt because the income earned is never taxed.
Answer:
C.
A traditional 401(k) is tax deferred because the income earned isn't taxed until the money is withdrawn.
Explanation:
There are two types of 401 k plans: traditional 401k and Roth 401k plans. The difference is the way there are taxed.
The traditional 401k plan is an employer-sponsored retirement scheme. The employer withholds the employee contributions and remits the funds to the employee's 401k savings account. The amount deducted as the employee contribution is not subject to taxation at that point. Contributions to 401k plans reduce the employee's taxable income.
The amounts saved in a 401k plan are invested and generate income. Employees are not expected to pay taxes on the income generated every financial period. All taxes are deferred until the time of withdrawal.
Answer:
C. A traditional 401(k) is tax deferred because the income earned isn’t taxed until the money is withdrawn.
Explanation:
PLATO
What organizational & technical failures led to the data breach
at Equifax? (Please put where you got your sources from, thank
you!)
The organizational and technical failures that led to the Equifax data breach in 2017 have been extensively discussed and investigated. Sources such as the U.S. House of Representatives Committee on Oversight and Government Reform Report highlight the key failures.
These include the company's failure to patch a known vulnerability in a timely manner, inadequate security practices such as weak passwords and lack of encryption, poor communication and response to the breach, insufficient monitoring and detection systems, and issues with executive leadership and governance.
These failures collectively allowed hackers to exploit vulnerabilities, gain unauthorized access to sensitive data, and compromised the personal information of millions of individuals.
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The trade deficit is associated with capital imports into the united states that help raise domestic investment. True or false?.
This is TRUE. It is accurate to say that the U.S. trade deficit is linked to capital imports that encourage domestic investment.
A trade imbalance exists when a country imports more than it exports. In reality, imports of consumer goods are what lead to trade imbalances.
Essentially, a declining currency value raises domestic investment and the price of imports into a trade deficit situation. As a consequence, customers buy more items made locally and consume fewer imported ones.
The price of exports is lowered as a result of devaluing the value of its currency, which also boosts its productivity and competitiveness in international markets. Trade imbalances' or trade deficits' effects on business, border safety, and the economy will fluctuate over time.
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PLEASE HELP WILL MARK AS BRAINLIEST ITS URGENT
Setting up equipment, placing purchase orders, and arranging shipments to customers are all examples of
Setting up equipment, placing purchase orders, and arranging shipments to customers are all examples of: Batch Level activities.
What is Batch Level activities?Batch Level activities are activities that are incurred when a batch of product or goods are produced.
This Batch -level activities are:
Setting up equipmentPurchase ordersArranging shipments to client etcInconclusion Setting up equipment, placing purchase orders, and arranging shipments to customers are all examples of: Batch Level activities.
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Explain Jodi's self esteem throughout Tall Girl? Movie
Answer:
Poor
Explanation:
Jodi is very self-concious about her height. She thinks that it makes her different than other "normal" people among her peers, or even inferior to more feminine, smaller girls.
Answer:
Explanation:
'Tall Girl' Review: A Ridiculous Take on the Teenage Self-Love Narrative ... This week, we gave our group of interns a challenge: pick a movie from ... narrates Jodi (Ava Michelle) as she towers over a high school hallway in Tall Girl. ... Pain is relative, but Tall Girl treats Jodi's height as if it were the end-all,
What is the sociological imagination? Define and explain it, and then use it to discuss one of the following aspects of the COVID-19 pandemicaccess to / refusal to take the COVID vaccinethe influence of disinformation on attitudes towards COVIDsocial distancing / mask-wearing normsthe strength of Omicron and its subvariants and how it has made other efforts to stop the spread of COVID more difficultwhy some groups are at a much higher risk of COVID sickness or death than othersExamine how the subject you chose from both a public / societal context and a personal / individual context.
The sociological imagination is a concept developed by sociologist C. Wright Mills.
It refers to the ability to understand and analyze the relationship between personal experiences and the broader social and historical context in which they occur. It involves thinking critically about how individual experiences are shaped by larger social structures, such as institutions, culture, and historical events.
In the context of the COVID-19 pandemic, the sociological imagination can be applied to various aspects. For example, when examining access to or refusal to take the COVID vaccine, the sociological imagination helps us understand that individual decisions are influenced by factors such as social norms, trust in institutions, and historical experiences with healthcare.
Similarly, when considering the influence of disinformation on attitudes towards COVID, the sociological imagination allows us to recognize that individual beliefs are shaped by social networks, media consumption, and existing ideologies.
When discussing social distancing and mask-wearing norms, the sociological imagination helps us understand how these practices are influenced by cultural norms, political ideologies, and collective responsibility.
Regarding the strength of Omicron and its subvariants, the sociological imagination enables us to analyze how the response to the virus is influenced by government policies, healthcare infrastructure, and global inequalities in access to resources.
Lastly, when examining why some groups are at a higher risk of COVID sickness or death, the sociological imagination helps us understand that individual health outcomes are shaped by social determinants such as socioeconomic status, race, and access to healthcare.
In summary, the sociological imagination provides a framework for understanding the interplay between individual experiences and broader social forces in the context of the COVID-19 pandemic. It allows us to analyze these aspects from both a public/societal context and a personal/individual context, shedding light on the complex dynamics at play.
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