An analyst should c) gather related data on a small scale and request additional time to find more complete data and d) perform the analysis by finding and using proxy data from other datasets.
An analyst collects, analyses, and applies complicated data to create actionable steps that enhance processes and optimize outcomes. An analyst's day-to-day responsibilities include assessing corporate and client needs, reviewing and analyzing robust data, and looking for trends or opportunities for improvement.
They must then communicate this information to stakeholders and apply it to improve the efficiency and efficacy of a service, product, or system. Many sectors use analysts to monitor the outcomes of current business operations or to assist in the development of new ones.
Data collection might include acquiring information from both internal and external sources. Internal data sources can range from customer purchasing habits to critical corporate operations information.
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Correct question:
What should an analyst do if they do not have the data needed to meet a business objective? Select all that apply.
-Continue with the analysis using data from less reliable sources.
-Create and use hypothetical data that aligns with analysis predictions.
-Gather related data on a small scale and request additional time to find more complete data.
-Perform the analysis by finding and using proxy data from other datasets
Would you rather become a firefighter or a police officer?
Describe how complying with the Australian Packaging Covenant
voluntary code of practice could affect the way a company does
business.
Complying with the Australian Packaging Covenant voluntary code of practice can affect the way a company does business in several ways.
The company may need to invest in new technology and processes to ensure that their packaging meets the requirements of the code. This could lead to increased costs for the company in the short term. However, in the long term, this investment could lead to cost savings as the company may be able to reduce the amount of packaging they use, which could result in lower production costs. Additionally, by complying with the code, the company could improve their reputation and attract customers who value environmentally-friendly practices. This could lead to increased sales and profitability for the company.
Overall, complying with the Australian Packaging Covenant voluntary code of practice can have a significant impact on the way a company does business, but it can also lead to potential benefits in terms of cost savings, reputation, and sales.
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Which of the following are signs of a person being in credit distress?
A. Writing a check to make debt repayment
B. Making all debt repayments in full
C. Only making minimum payments on credit cards each month
D. Paying-off an automobile loan 12 months early
Only making minimum payments on credit cards each month.
What's a distressed borrower?A distressed borrower is a borrower who is unable to completely repay their debt on time, due to economic difficulties. A distressed borrower can be both someone or an enterprise whose profits fall because of unexpected circumstances.
What takes place in monetary distress?Monetary misery is a condition wherein an agency or man or woman can not generate sufficient revenues or profits, making it unable to fulfill or pay its monetary obligations. That is generally because of high fixed costs, a big diploma of illiquid property, or sales sensitive to financial downturns.
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In which market would a producer sell bicycles to consumers?
In the markets for goods and services, a producer would sell his bike for purchase by customers.
What is the market for goods and services?Consumers buy consumables on the products and services market, and firms sell their commodities there. The market encompasses physical stores, the Internet, and any other location where consumers can exchange products and services.
The trading of finished goods takes place here. Businesses receive payment from customers in exchange for goods. The consumer gives money to the business in a flow. In contrast to this, enterprises can buy the materials they need on the factor market to make an item.
The rule of supply and demand governs how much is produced and at what price in the market for products and services.
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need help What were Law’s plans?
Answer:
Law created a private national bank and issued paper money, based on the wealth of the French government, in the hopes to pull France out of debt.
-BBBM
MNO Co. received a $2,000 bill for maintenance to be paid next month. How should this transaction be recorded? Select one: O a. Increase prepaid expense; decrease cash O b. Increase accounts payable; increase expense c. Decrease cash; increase expense d. Decrease cash; decrease accounts payable New O O
The correct way to record the transaction would be: c. Decrease cash; increase expense
When the company receives a bill for maintenance that is to be paid next month, it means the company has incurred an expense but has not yet paid it. Therefore, the transaction should be recorded by decreasing the cash account (as the company will pay the bill later) and increasing the expense account (as the maintenance expense has been incurred).
Option a, "Increase prepaid expense; decrease cash," is not appropriate because prepaid expense refers to expenses paid in advance, whereas in this case, the payment will be made in the future.
Option b, "Increase accounts payable; increase expense," is also not correct because accounts payable is a liability account used to record unpaid bills or invoices. However, in this scenario, the company has received a bill but has not yet entered into a liability or accounts payable situation.
Option d, "Decrease cash; decrease accounts payable," is incorrect because the company has not yet paid the bill, so there is no reduction in accounts payable.
Therefore, the correct choice is c. Decrease cash; increase expense.
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Bought a motor van by cheque would result in
A. Increase in motor van and decrease in bank
B. Decrease in motor van and increase in bank
C. Increase in motor van and increase in capital
D. Increase in motor van and decrease in capital
Answer:
The answer is B.
Hope this helps!
Answer:
B one is correct
Explanation:
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if bank of carter has a required reserve ratio of 40% and an individual makes a $100,000 in deposit, how much of this deposit can the bank turn around and lend out to borrowers? group of answer choices $100,000 $20,000 $80,000 $40,000 $60,000
When the Bank of Carter has a required reserve ratio of 40% and an individual makes a $100,000 deposit, then $40,000 of this deposit can the bank turn around and lend out to borrowers.
A reserve ratio is the percentage of deposits that a bank must hold in reserves and may not lend out. The reserve ratio is the portion of deposits that banks must have on hand as cash. Bank of Carter has a required reserve ratio of 40%, which implies that they have to hold 40% of their deposits in reserve.
When a bank receives a deposit, it has two alternatives for the money. One option is to hold the funds in reserves, while the other is to lend them out to other consumers. The bank must keep $40,000 (40% of the $100,000 deposit) in reserves and can only lend out the remaining $60,000 ($100,000 - $40,000) to borrowers.
The correct answer is option D, $40,000.
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Do you agree or disagree with the argument that crime seriousness and prior criminal record are not necessarily legally relevant variables? What are some other variables that should be taken into account? What do you feel are the most important factors that should be used when sentencing?
I agree to this argument.
Arguments that the severity of the offence and the defendant's prior criminal record are not inherently legally pertinent variables are frequently brought up in discussions about the equity and efficacy of sentencing.
Socioeconomic origin, mental health, and personal history contribute to a deeper understanding of the underlying causes of criminal behaviour and the potential for rehabilitation.
Important factors include the willingness to participate in rehabilitation programmes, the availability of support networks, and the likelihood of successful reintegration into society.
The appropriate sentence may be determined by weighing factors such as the nature of the offence, the likelihood of recidivism, and the need to protect society.
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Which one of the following is generally classified as a current liability? ca intangible assets. be. prepaid insurance. accounts receivable. t. accounts payable.
A current liability is generally classified as accounts payable.
What is meant by current liabilities?All liabilities of the company that must be settled in cash within the fiscal year or the operating cycle of a specific company, whichever is longer, are commonly referred to as current liabilities in accounting.
A balance sheet's current liabilities column lists the debts that must be repaid by a corporation within a year. Contrary to current assets, which are frequently utilized to pay for them, these debts are not liquid.
A company's short-term financial commitments that are due in a year or within a typical operational cycle are known as current liabilities. An organization's operational cycle, also known as the cash conversion cycle, is the period of time it takes to buy inventory and turn that inventory into cash through sales.
Therefore, the correct answer is option d. accounts payable.
The complete question is:
Which one of the following is generally classified as a current liability?
a. intangible assets
b. prepaid insurance
c. accounts receivable.
d. accounts payable.
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Should a new business venture have a formal mission statement? Why or why not? What downside or risks might there be without one?
Mission statement is a crucial component of any new business venture. It helps define the purpose and goals of the company, differentiate it from competitors, and provide a sense of direction and focus.
A formal mission statement is an essential component of any successful business venture, regardless of its size or industry. First and foremost, a mission statement helps define the purpose of the business and its overall goals.
This, in turn, provides a clear sense of direction for the company, allowing it to make decisions that align with its mission and values. Without a mission statement, a new business venture may lack focus and direction, leading to confusion and potentially costly mistakes.
Moreover, a mission statement can help differentiate a new business venture from its competitors. It can highlight what makes the business unique and communicate its values to potential customers, investors, and employees.
This can be particularly important in crowded or competitive markets, where a strong mission statement can help a business stand out from the crowd.
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1. foreign exchange market equilibrium under flexible and fixed er a. draw the market for foreign exchange (s and d) and show the equilibrium exchange rate and the equilibrium quantity of € traded. the supply of foreign exchange is derived from the supply of export of macs and the demand for foreign exchange is derived from the demand for import of volkswagen the equilibrium exchange rate is e$/€
The equilibrium exchange rate and quantity of € traded in the foreign exchange market are determined by supply and demand under flexible rates, while fixed rates are determined by a government-set exchange rate.
To illustrate the market for foreign exchange equilibrium under flexible and fixed exchange rates, we need to consider the supply and demand for foreign exchange. Here's a breakdown of each scenario:
1. Flexible Exchange Rate:
- Draw the foreign exchange market diagram with the quantity of € traded on the horizontal axis and the exchange rate (e$/€) on the vertical axis.
- The supply of foreign exchange (€) is derived from the supply of exports of Macs. It slopes upward, indicating a positive relationship between the exchange rate and the quantity supplied.
- The demand for foreign exchange (€) is derived from the demand for imports of Volkswagen. It slopes downward, indicating a negative relationship between the exchange rate and the quantity demanded.
- The equilibrium exchange rate (e$/€) and quantity of € traded occur where the supply and demand curves intersect. Label this point as the equilibrium.
2. Fixed Exchange Rate:
- Draw the foreign exchange market diagram as described above.
- In a fixed exchange rate system, the exchange rate is fixed and controlled by the government or central bank. This means that the exchange rate is not determined by market forces.
- In this case, draw a horizontal line representing the fixed exchange rate (e.g., e$/€ = 1.2) on the graph.
- The equilibrium quantity of € traded will be determined by the fixed exchange rate, as the exchange rate is not flexible in this scenario.
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Rather than forcing customers to select vehicles already on the lot, some automobile manufacturers today allow customers to select features on company web sites before the car is manufactured. These customized orders are sent to the manufacturing assembly lines. Within days, custom-feature vehicles are shipped to a dealer closest to the customer. This is an example of Question 9 options: Individual production Mass customization Mass production Niche customization
The example described is an instance of mass customization. Mass customization is a production strategy that allows for the creation of customized products at a large scale, with minimal additional costs for each customized item.
In the case of automobile manufacturers, this means that they are able to offer customized features to their customers without significantly increasing the cost of production.This production strategy is made possible by advancements in technology, such as computer-aided design and manufacturing, as well as improvements in supply chain management and logistics. By leveraging these tools and processes, manufacturers are able to offer a wide range of customizable features to customers, while still maintaining efficient and cost-effective production.One of the key benefits of mass customization is that it allows companies to meet the individual needs and preferences of their customers, without sacrificing efficiency or profitability. Customers are able to select the features and options that best meet their needs, rather than being limited to the options that are available on the lot. This can lead to greater customer satisfaction, as well as increased sales and brand loyalty.
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A student needs to take a test. She has her paper, pencil, eraser, and a backup pencil.
What is she missing to take the test?
Answer:
A drink
Explanation:
Which company was formerly known as the computing-tabulating-recording company? ibm.
The company formerly known as the computing-tabulating-recording company was IBM.
Who founded IBM?
CTR company was replaced by IBM in the year 1889 and was founded by Herman Hollerith at the end of the 1800s.
IBM was incorporated as a computing-tabulating-recording company in the year 1911.
It was a merger of three minor entities namely, a computing company, tabulating company, and a recording company that was engaged in the manufacturing of punch-card tabulators and various other products.
Therefore, IBM was formerly known as a computing-tabulating-recording company (CTR).
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Skill acquisition plans include goals, objectives, ______Data collection procedures may also include information about completion criteria and reversal criteria. ____________, and data collection.
Information on completion criteria and reversal criteria may be included in a skill acquisition plan that outlines goals, objectives, materials, and data gathering techniques. Evidences and data collection.
What is data collection?
Data collection is the process of obtaining, observing, measuring, and evaluating data from various sources as part of a research project.
Develop skills through a skill acquisition strategy. It is a written plan that outlines the objectives, aims, and resources required for instruction. Procedures for collecting data may also be evidences that they are needed for data collection.
As a result, materials and evidence options in the blank.
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1. Some bacteria are helpful to the body and:
a. cause cavities
b. die quickly outside other living cells
c. help the digestive system function properly
d. give you energy
2. Germs produce toxins in the body that can make you:
a. sneeze a lot
b. cough
c. have diarrhea
d. all of the above
3.List three ways to keep germs from spreading.
4. Describe the proper way to wash hands.
5. Describe what the immune system does for the body.
6. An antigen:
a. is an unknown substance that infects the body
b. is a protein that attaches itself to germs to get rid of them
c. destroys germs in the body
d. is a type of immunity you are born with
7. True or false: Vaccinations help to provide us with adaptive immunity, which is immunity that develops as we are exposed to diseases. T F
8. White blood cells help to:
a. infect the body
b. provide passive immunity
c. destroy infections
d. weaken your immune system
9. A specialized protein that recognizes invaders to the body and attaches to them is called:
a. an antigen
b. an antibody
c. a complement
d. a T cell
10. True or false: It’s OK not to wash my hands after using the bathroom at home because it's cleaner than a public restroom. T F
Answer:
I messaged you the asnwer.
Explanation:
Which of the following are characteristics of a scarce resource?
Choose 1 answer:
Choose 1 answer:
(Choice A)
A
The supply of the resource exceeds the demand of the resource.
(Choice B)
B
There is a fixed quantity of the resource available but no demand for it.
(Choice C)
C
There is a demand for that resource with limited supply.
(Choice D)
D
There is limited supply of a resource with no demand for that resource.
(Choice E)
E
The resource has unlimited supply and limited demand.
There is a demand for that resource with limited supply are characteristics of a scarce resource. When the demand for a natural resource exceeds the supply, resource scarcity results, which causes the stock of those resources to decrease.
As a result of rising costs that make the demand resource less accessible to those who are least well-off, this might result in unsustainable supply growth and an increase in inequality. When there aren't enough resources to meet everyone's needs, there is scarce resource. Oil is among the most well-known instances of how resource scarcity affects the United States. Local gas prices will surely climb when oil prices around the world do.
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The smaller the GDP, the larger the economy.
Answer:
Real gross domestic product is an inflation-adjusted measure
price levels and provides a more accurate figure of economic growth
This means that if inflation is positive, real GDP will be lower than nominal, and vice versa
With respect to forwarding messages to new recipients, or adding new recipients to a reply message, which of these is not correct?
If one has received a message, it is acceptable to add new recipients or forward it without consultation, because one "owns" that email.
The statement "If one has received a message, it is acceptable to add new recipients or forward it without consultation, because one 'owns' that email" is not entirely accurate.
While one may own a copy of an email, forwarding or sharing that email with others without their consent could still be considered a violation of privacy or confidentiality, depending on the context and the relationship between the sender and the recipients.
In general, it is important to consider the sensitivity of the information being communicated and the expectations of the recipients before forwarding or sharing an email with others. If the email contains sensitive or confidential information, it may be appropriate to seek the consent of all recipients before forwarding it. Additionally, if the relationship between the sender and the recipients is professional or personal, it may be more appropriate to consult with them before forwarding or sharing the email.
Therefore, while it is generally acceptable to forward or share an email with others, it is important to consider the context and the expectations of the recipients to ensure that one is acting in an appropriate and respectful manner.
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Suppose an investment that promises to pay $10,000 in one year is offered for sale for $9,500. Your interest rate is 5%. Should you invest?
Yes, you should invest in this case. The present value of the investment is $9,523.81, which is greater than the cost of the investment.
This means that you are getting a good deal on the investment, as you are paying less than the present value of the future cash flows.
The present value of an investment is the value of the investment today, taking into account the time value of money. The time value of money means that a dollar today is worth more than a dollar in the future, due to the fact that you can earn interest on the dollar today.
In this case, the present value of the investment is calculated as follows:
Present Value = Future Value / (1 + Interest Rate)^Time
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Present Value = $10,000 / (1 + 0.05)^1
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Present Value = $9,523.81
As you can see, the present value of the investment is $9,523.81, which is greater than the cost of the investment.
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one of the basic frameworks used to describe how environments affect organizations is:_____.
Complexity and change in the environment. Homeostasis is the adaptation of an organism's internal or external processes to environmental change.
Environmental change and complexity serve as the fundamental basis for describing how environments impact organisations. This framework takes into account the numerous aspects of the outside environment that can have an effect on an organisation , including economic, technological, political, and social aspects. The framework emphasises how adaptability and flexibility are essential for firms to respond to changes in their environment and keep a competitive edge. The impact that a group can have on a person or organisation is described as influence group pressure, in contrast. This has an effect on how companies behave and make decisions, but it is not the same as the environmental change and complexity framework.
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what is meant by added value
Answer:
Added value is that value which helps us to find or prove the given equation or question.
with the following data, compute the net futa tax. gross futa tax due $ 6,750 credit against futa (assume applicable) $3,100 group of answer choices $7,000 $3,650 $6,750 $3,100
The amount an employer is required to pay for the FUTA tax after considering the available credit Option B. $3,650.
To compute the net FUTA (Federal Unemployment Tax Act) tax, you need to consider the gross FUTA tax due and the credit against FUTA. Based on the data provided, the gross FUTA tax due is $6,750, and the credit against FUTA is $3,100.
To find the net FUTA tax, simply subtract the credit against FUTA from the gross FUTA tax due:
Net FUTA tax = Gross FUTA tax due - Credit against FUTA
Net FUTA tax = $6,750 - $3,100
Net FUTA tax = $3,650
Thus, the correct answer is $3,650. This represents the amount an employer is required to pay for the FUTA tax after considering the available credit. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
with the following data, compute the net futa tax. gross futa tax due $ 6,750 credit against futa (assume applicable) $3,100 group of answer choices
A. $7,000
B. $3,650
C. $6,750
D. $3,100
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The price of mangoes is currently $5.00 per pound. At this price, producers are supplying 4,000 pounds of mangoes. Point C on the graph shows the current equilibrium price and quantity. To which point will the equilibrium shift if the demand increases suddenly because of a non-price determinan
t of demand?
Answer:
yes
Explanation:
Answer:
Point "B"
Explanation:
The following rule of thumb is to follow your equilibrium point. D2 "Demand Curve 2" and S1 "Supply Curve 1" illustrates how demand increases because of a non-price determinant.
A judge requires Harry to make a payment to Sally. The judge says that Harry can pay her either $10,000 today or $12,000 two years from today. Of the following interest rates, which is the highest one at which Harry would be better off paying the money today?
a. 11 percent
b. 6 percent
c. 4 percent
d. 9 percent
Answer:
d. 9 percent
Explanation:
After 2 years the value of $10,000 at present time =
$10,000 * (1 + x / 100)^2 = $12,000
(1 + x / 100)^2 = 12,00 / 10,000
(1 + x / 100)^2 = 1.2
The square root of 1.2 is 1.0954
(1 + x / 100) = 1.0954
x = 9.54
9%( Approximately.)
use an optimization model to determine the best course of action for your real estate company, using the following assumptions: you wish to maximize the net present value of profit over the next eight quarters. assume 6% irr, compounding quarterly. (so 1.5% per quarter) in each neighborhood in which they open an office, they will achieve a baseline of 5.5% market penetration, and earn a 5% commission on sales. for every .1% the commission you charge decreases, your market penetration will increase by .15%, (down to a minimum penetration of 4% or a maximum of 6%) you must pay rent and utilities in each office you open each month. determine the average cost per gross square foot of commercial real estate in your neighborhood for the last year (in nyc historical). [when determining this value, you should exclude properties where gross square feet or sale price is unknown.] each month you will pay 1.5% of this for rent and utilities for each square foot of office space you rent. you must rent at least 250 square feet of office space, plus 125 for each employee you hire. you may hire up to 3 employees. each employee you hire costs a yearly salary $65,000 including benefits, and increases your market penetration by .5%. your monthly operating budget is $15,000. you may add other assumption you deem realistic so long you provide the explanation in your report.
The best course of action for the real estate company is to open offices in neighborhoods with higher market penetration and lower commercial real estate costs, hire up to 3 employees, and set commission rates to achieve maximum net present value of profit over the next 8 quarters while staying within the monthly operating budget of $15,000.
To optimize net present value of profit, the real estate company should analyze market penetration, commission rates, and real estate costs in each neighborhood to determine which locations will yield the highest profit.
The company should also hire up to 3 employees to increase market penetration while staying within the operating budget. The commission rate should be set to maximize profit while also taking into account the relationship between commission rates and market penetration.
The company should aim to rent office space in neighborhoods with low commercial real estate costs and high market penetration, and adjust the office space size to meet the minimum requirements while minimizing costs.
Finally, the company should regularly monitor and adjust its strategy to adapt to changing market conditions.
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A debt-free firm has net income of $71,600, taxes of $31,500, and depreciation of $11,000. what is the net cash flow?
A debt-free firm has a net income of $71,600, taxes of $31,500, and depreciation of $11,000 so the net cash flow is $78400
Depreciation refers to two aspects of the same concept: first, the actual decrease in the fair value of the asset, such as the decrease in the value of plant equipment each year as it is used. and depreciation, and secondly, the allocation on the statement of the historical cost of the asset over the useful life of the asset (allocation according to the principle of attachment).
Thus, depreciation is the decrease in value of an asset and the method used to reallocate or "depreciate" the cost of a tangible asset (such as equipment) over its useful life. its use. Companies depreciate long-lived assets for accounting and tax purposes.
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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.
The budget for a project designated $2000 for work performed and till this point in time, has spent $5000. If the budget had included $7000 for the work scheduled on the project, what is the value of the cost variance (CV)
Cost variance (CV) is the earned value minus the actual value.
Cost variance (CV), also called price range variance, is the difference between the actual price and the budgeted fee, or what you anticipated to spend versus what you definitely spent. This system enables mission managers to discern if they may be over or under budget.
The fee variance is defined as the 'difference between an earned fee and actual prices. (CV = EV – AC)' (PMI, 2004, p. 357) sometimes this component is expressed because of the distinction between the budgeted fee of work accomplished and the actual cost of paintings done.
Effective cost variances are favorable indicating that paintings were completed underneath finances. Early destructive price variances are a sturdy indicator of capability agreement overruns. price variance often lags behind schedule variance and not like timetable variance no longer improve because the settlement nears the finishing touch.
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