The organization invests status and rewards in the exchange process between employee and organization.
In the relationship between an employee and an organization, the organization provides various resources and benefits to the employee as part of the exchange. One important investment is the provision of **status**, which can include job titles, hierarchical positions, and recognition within the organization's structure. Status reflects the employee's position and level of authority, contributing to their sense of identity and influence within the organization.
Additionally, the organization invests **rewards** in the exchange process. Rewards can take different forms, such as financial compensation, bonuses, benefits, promotions, and other forms of recognition. These rewards serve as incentives to motivate and retain employees, acknowledging their contributions and encouraging their continued commitment to the organization.
By investing status and rewards, the organization seeks to create a mutually beneficial relationship with its employees, fostering engagement, loyalty, and a sense of value for both parties involved.
learn more about "organization":- https://brainly.com/question/19334871
#SPJ11
Select the correct answer.
Karson is a manager in a bottle manufacturing company. He wants to check whether 100 bottles were produced and dispatched to the market. Which
department should he consult?
OA human resources
OB. operations
OC. finance
OD. marketing
Answer:
B. Operations
Explanation:
Karson should consult the operations department to find out if 100 bottles were produced and dispatched to the market, as the operations department would have oversight over such production and shipping tasks.
ACQ today announced it has entered into a definitive agreement to acquire TGT, in an all-stock transaction valued at approximately $14.7 billion. As part of the agreement, TGT stockholders will receive 0.43 shares of Class A common stock of ACQ for each share of TGT. Based on the closing share price of ACQ common stock as of July 16, 2021, this represents a per share price for TGT common stock of $200.28, or nearly a 29% premium over the TGT closing price as of July 16, 2021. The share price of TGT as July 16, 2021 is $ per share. The share price of ACQ as July 16, 2021 is $ per share.
ACQ announced a definitive agreement to acquire TGT in an all-stock transaction valued at approximately $14.7 billion.
TGT stockholders will receive 0.43 shares of ACQ's Class A common stock for each share of TGT. The per-share price for TGT is $200.28, representing a 29% premium over TGT's closing price as of July 16, 2021. To calculate the share prices of TGT and ACQ on July 16, 2021, we can use the information given:
$200.28 (TGT per-share price) = 0.43 shares of ACQ * ACQ share price
To find ACQ's share price, divide the TGT per-share price by 0.43:
ACQ share price = $200.28 / 0.43 ≈ $465.77
Now, to find the TGT closing price on July 16, 2021:
TGT closing price = $200.28 / (1 + 0.29) ≈ $155.10
So, the share price of TGT as of July 16, 2021, was approximately $155.10 per share, and the share price of ACQ as of July 16, 2021, was approximately $465.77 per share.
Learn more about share price: https://brainly.com/question/29855138
#SPJ11
what chart summarizes statistical data
Statistics is a collection of numerical or quantitative information obtained through a process of observation, measurement and analysis. Statistics can be obtained from various sources, including surveys, experiments, and observations.
Common charts or graphs used for this purpose are:
Bar chart: A chart that presents data with rectangular bars, where the height or length of the bar corresponds to the reported value. Line chart: A chart that shows data as a series of data points connected by straight lines, where the line represents trends or changes over time. Pie chart: A chart that presents data as a circular graph divided into slices, where the size of each slice corresponds to the proportion or percentage of the data presented. Histogram: A graph that presents data as a series of bars, where the bars represent the frequency or number of data points within specific time intervals or intervals.To know more about Statistical data visit :
https://brainly.com/question/30845435
#SPJ1
what is VAT number?why we need this?
Answer:
what is a vat
Explanation:
how are wages determined in a free market?
Answer:
Classical economists argue that wages—the price of labor—are determined (like all prices) by supply and demand. They call this the market theory of wage determination. ... Long story short: the price of labor is determined in the free market just like every other price, by the intersection of supply and demand.
Explanation:
i hope it's help
mark as brainliest answer
don't forget to follow me
thanks me later
I'm beginner plss support me
stay safe
four companies each have a credit term period of 30 days. based on each company’s net credit sales and average net accounts receivable for 2022, which company is having the most problem collecting their accounts receivable?
The company that is having the most problem collecting their accounts receivable is: Company 4.
Company 1
Accounts receivable turnover= $2.6 million/$198,000
Accounts receivable turnover= 13.13
Average collection period=365/13.13
Average collection period= 27.8 days
Company 2
Accounts receivable turnover=$150,000/$12,000
Accounts receivable turnover= 12.5
Average collection period=365/12.5
Average collection period= 29.2 days
Company 3
Accounts receivable turnover=$490,000/$27,000
Accounts receivable turnover= 18.15
Average collection period=365/18.15
Average collection period=20.11 days
Company 4
Accounts receivable turnover=$1.4 million/$153,000
Accounts receivable turnover= 9.15
Average collection period=365/9.15
Average collection period= 39.9 days
Based on the above calculation the company that is having the most problem collecting their accounts receivable is Company 4 reason been that Company 4 average collection period of 39.9 days is longer than their credit term period.
Learn more here:https://brainly.com/question/15278688
You are Anil Gupta residing at 158, Vasu Nagar, Baranagar, Write a letter to your friend inviting him to your birthday party.
The letter to my friend inviting him to my birthday party is given below:
The LetterDear [Friend's Name],
I hope this letter finds you in the best of health and spirits. As you already know, my birthday is coming up, and I would like to invite you to my party.
The party is on [Date] at [Time] at my residence, 158, Vasu Nagar, Baranagar. We have planned a lot of exciting activities, music, and delicious food to celebrate the occasion.
Your presence at my birthday party would make me very happy, and I hope that you will be able to attend. Please let me know if you will be able to make it so that we can make the necessary arrangements.
Looking forward to your response and hoping to see you soon.
Warm Regards,
Anil Gupta
Read more about letter writing here:
https://brainly.com/question/24623157
#SPJ1
Use the calculator to complete the following
conjectures about determinants
Matrix Calculator
Change A
Change
BV
If any row of a matrix contains all zeroes the
determinant is equal to
DONE
0
0
0
0
L
[
]
[
]
0
0
0
0
C = 1
d = 1
Operation
Select Operation
Result
undefined
Intro
Answer:
0
0
0
1
Explanation: ur welcome
Villanelle started her own business last year with the goal of turning a profit. However, after one year in business, villanelle has not managed to make any profit. What does this mean?
Profit maximization is the process by which businesses ensure that the best output and pricing levels are attained in order to maximize their returns. The firm adjusts influential parameters such as sale price, production cost, and output levels to achieve its profit targets.
In other words, at the maximum level of output, the businesses profit-maximizing quantity and price can be found by setting marginal revenue equal to zero. When the total revenue curve reaches its maximum value, marginal revenue equals zero. A scheduled airline flight is an example. Profit maximization has advantages. Employees may benefit if a portion of their salary is connected to the company's performance.
To learn more about Profit maximization, click here.
https://brainly.com/question/13784962
#SPJ1
mr bharadwaj an indian businessman purchased goods from mr chen tusong of 120000 and solod the same goods to mr thomson in britain for 150000
Mr. Bharadwaj, an Indian businessman, paid Mr. Chen Tusong INR 120,000 for products and paid Mr. Thomson INR 150,000 for the identical commodities in Britain.
Mr. Bharadwaj, an Indian businessman, bought goods worth INR 120,000 from Mr. Chen Tusong. He then sold the same goods to Mr. Thomson in Britain for INR 150,000. This indicates that Mr. Bharadwaj made a profit of INR 30,000 on this transaction. It is not clear what type of goods were involved in the transaction or the terms of the sale, such as payment methods, delivery timelines, or any warranties or guarantees.
Learn more about commodities here:
https://brainly.com/question/23132703
#SPJ4
product a product b selling price per unit $ 20 $ 15 variable cost per unit 12 9 contribution margin per unit $ 8 $ 6 labor time 4 minutes 2 minutes roberto, incorporated manufactures products a and b. both products have a contribution margin ratio of 40%. what is the contribution margin per unit of the constrained resource for product b, if labor time is the constrained resource?
To determine the contribution margin per unit of the constrained resource for Product B, we need to first calculate the contribution margin per unit of each product, and then compare the labor time required to manufacture each product.
The contribution margin per unit for Product A is $8, and the contribution margin per unit for Product B is $6, both with a contribution margin ratio of 40% Next, we compare the labor time required to manufacture each product. Product A requires 4 minutes of labor time per unit, while Product B requires only 2 minutes of labor time per unit. Since labor time is the constrained resource, we need to determine the contribution margin per unit of labor time. To do this, we divide the contribution margin per unit by the labor time required per unit. For Product A, the contribution margin per minute of labor time is $2 ($8/4 minutes). For Product B, the contribution margin per minute of labor time is $3 ($6/2 minutes). Therefore, the contribution margin per unit of the constrained resource (1 minute of labor time) for Product B is $3.
Learn more about margin per unit here: brainly.com/question/31412801
#SPJ11
the working papers document the auditor's compliance with auditing standards and particularly compliance with the standards of
Inspection attestation includes records of the medication and prosecution of the job, the styles carried out, the substantiation gathered, and the findings drawn by the adjudicator, among other effects. The term" inspection attestation" can also apply to work papers or working documents.
Members of the engagement team executing the work evaluate the audit documentation, and it may also be reviewed by others. Auditors who are new to an engagement could analyse the prior year's documents to comprehend the work done as a tool for planning and carrying out the current engagement. For each engagement carried out in accordance with PCAOB guidelines, the auditor is required to create audit documentation. It is important to produce audit documentation thoroughly so that its goal, source, and findings are all understandable.
Learn more about documents here:
https://brainly.com/question/12401517
#SPJ4
Sam and carlie, a married couple who will file jointly, are both teachers. In 2021, sam had receipts totaling $330 in unreimbursed, qualifying expenses for his classroom. Carlie also had unreimbursed expenses for covid-19 protective items, such as face masks and hand sanitizer, that she purchased during the year in an attempt to stop the spread of covid-19 in her classroom. Her receipts totaled $295. What is the maximum amount of educator expenses the couple may deduct on their joint return?
WASHINGTON (AP) – Qualified instructors can deduct unreimbursed COVID-19 protective equipment purchased to prevent the spread of COVID-19 in the classroom.
What are the objectives of instructors?
Teachers are responsible for creating and maintaining a civil, productive, inclusive, and engaging learning environment. Both teachers and students must approach the educational setting with decency and respect. A teacher is a form of educator. An instructor can be anyone, although it generally refers to someone who teaches hands-on skills, such as a water-skiing teacher or the knitting class instructor at the community center. "Instruction or teaching is more technical, like a specific skill set," he explains. "Coaching, on the other hand, involves overseeing a player's complete growth rather than simply a tiny element of it."
Know more about purchased Visit:
https://brainly.com/question/24112214
#SPJ1
Which statement best describes the performance of the vanguard 500 index fund admiral shares compared to the benchmark of the s&p 500 index?
The performance of the Vanguard 500 Index Fund Admiral Shares closely tracked the benchmark S&P 500 Index.
How did the performance of the Vanguard 500 Index Fund Admiral Shares compare to the S&P 500 Index benchmark?The Vanguard 500 Index Fund Admiral Shares closely tracked the performance of the benchmark S&P 500 Index. This means that the fund's returns were similar to the overall market performance represented by the S&P 500 Index. As an index fund, its objective is to replicate the performance of the underlying index. Therefore, investors can expect the Vanguard 500 Index Fund Admiral Shares to deliver returns that mirror the ups and downs of the S&P 500 Index. This provides investors with broad exposure to the U.S. stock market and the opportunity to capture its long-term growth potential.
The Vanguard 500 Index Fund Admiral Shares closely mirrored the performance of the S&P 500 Index, indicating that its returns were in line with the overall market. Being an index fund, its primary goal is to replicate the performance of the underlying index, in this case, the S&P 500. Consequently, investors can anticipate that the Vanguard 500 Index Fund Admiral Shares will exhibit returns that closely reflect the fluctuations of the S&P 500 Index. This characteristic offers investors a means to gain broad exposure to the U.S. stock market and seize the potential for long-term growth.
By aligning with the S&P 500 Index, the Vanguard 500 Index Fund Admiral Shares allows investors to participate in the collective performance of the 500 large-cap companies in the U.S. market. As these companies experience growth or decline, the fund's returns follow suit. This approach eliminates the need for active stock selection and instead provides a passive investment strategy that mirrors the overall market. Consequently, the Vanguard 500 Index Fund Admiral Shares becomes a convenient and cost-effective way for investors to access the potential rewards of the U.S. stock market.
In summary, the Vanguard 500 Index Fund Admiral Shares demonstrates a strong correlation to the S&P 500 Index, providing investors with a reliable avenue to participate in the performance of the U.S. stock market as a whole. Its objective to replicate the benchmark index allows investors to capture the ups and downs of the market, delivering a broad exposure to the potential long-term growth.
Learn more about Vanguard 500 Index Fund
brainly.com/question/31522556
#SPJ11
Under a contractionary taxation policy, the government can reduce the deficit by
A) increasing taxes.
B) reducing taxes.
C) increasing spending.
D) increasing inflation.
The Answer is A) increasing taxes.
Answer:
c
Explanation:
not sure but I tried may best tho
Answer:
A) increasing taxes.
Explanation:
last year, kaylor equipment had $15,900 of sales, dividend payments of $75, an addition to retained earnings of $418, depreciation of $680, and $511 of interest expense. what are the earnings before interest and taxes at a tax rate of 21 percent?
$1,269.46 is the profits before interest and taxes at a tax rate of 21%.
Earnings Before Interest and Tax (EBIT) is the term used to describe net income, which is the difference between an organization's revenue and its related costs. The Income Statement section of an organization's financial statement is where the EBIT calculation is often located for a certain year.
Therefore, the Tax and Interest must be Added Back to the Net Income After Tax in order to Calculate the EBIT (usually added to retained earnings)
Thus, Net Income is calculated as Dividends Paid + Net Income (added to retained earnings)
= $75 plus $418 equals $493, which is a portion of net income.
The process for determining taxable income is as follows:
The tax rate is 35%, and the net income is $493.
Taxable Income is $493 divided by 1.083 to get $758.46.
Therefore, earnings before interest and tax =
combined with taxable income
= $511 + $758.46 = $1,269.46
For such more question on Tax .
https://brainly.com/question/1775528
#SPJ4
what will be the long-run (free entry) equilibrium in this market where the number of firms is flexible? solve for the equilibrium price, individual quantity, aggregate quantity, number of firms, and individual firm profits. (f) define the free entry / long run competitive equilibrium. compare this definition to your answer from the previous part.
In a long-run competitive equilibrium with free entry, the market reaches a state where there is no incentive for new firms to enter or existing firms to exit. This occurs when the market price aligns with the minimum average total cost (ATC) of production, allowing firms to earn normal profits.
In the previous part, the equilibrium was not discussed, so let's determine the long-run equilibrium in this flexible market. At the equilibrium, the market price will equal the minimum ATC of the firms. All firms will produce at their respective minimum ATC output level, and the number of firms will adjust to satisfy market demand.
The equilibrium price will be determined by the intersection of market demand and market supply. The individual quantity produced by each firm will be at the output level where the minimum ATC is achieved. The aggregate quantity in the market will be the sum of the individual quantities produced by each firm. The number of firms will adjust to meet market demand and ensure that all firms can operate at their minimum ATC output level.
In the long-run competitive equilibrium, individual firm profits will be zero, indicating that firms are earning normal profits. This means that revenues generated from selling the output at the equilibrium price are exactly covering the costs, including both explicit and implicit costs.
Overall, the long-run competitive equilibrium is characterized by an equilibrium price equal to minimum ATC, individual quantities produced at the minimum ATC output level, aggregate quantity equal to the sum of individual quantities, zero economic profits for individual firms, and a flexible number of firms to satisfy market demand.
learn more about competitive equilibrium here
brainly.com/question/7781429
#SPJ11
Fill in the blanks in the balance sheet of a bank based on the following information: - It has obtained loans worth $1,750 billion that need to be repaid in the next year. • Its deposits with other private banks are worth $930 billion, . It holds paper money and coins worth $250 billion. • The value of its physical capital equals $1,800 billion • The customers deposit $2,600 billion in cash into their checking accounts. . It has made deposits worth $170 billion at the Federal Reserve Bank - It grants loans worth $2,700 billion to households. • It has obtained debt worth $850 billion that is due to be repaid in a year or more Assets (In billion $) Reserves $ 1100 Cash equivalents $ 250 Long-term investments S 1800 Liabilities and stockholders' equity (In billion 5) Demand deposits $ 2600 Short-term borrowing $ 1750 Leng-term debt $ 650 Stockholders' equity sl Therefore, total assets of a bank are worth $and total liabilities are worth $
Answer:
Therefore, total assets of a bank are worth $3,150 billion, and total liabilities are worth $4,000 billion.
Assets (In billion $):
Reserves: $1,100
Cash equivalents: $250
Long-term investments: $1,800
Liabilities and stockholders' equity (In billion $):
Demand deposits: $2,600
Short-term borrowing: $1,750
Long-term debt: $650
Stockholders' equity: $-
Total assets: $1,100 + $250 + $1,800 = $3,150 billion
Total liabilities: $2,600 + $1,750 + $650 = $4,000 billion
https://brainly.com/question/32933021
#SPJ11
To buy a product, customers in a market must first
To buy a product, customers must first have the need for the product.
Customers cannot just simply buy anything or everything when it comes to products. People love shopping but money is a very useful and powerful resource and customers understand it well, so they don't want to spend it on useless things.
Firstly, there should be a need or a desire to buy a particular product. After that the customer decides his or her budget or the money he would like to spend on that product. If it crosses his or her budget, then the customer may not able to buy the product.
Lastly, there should be willingness to buy the product. Nowadays, we get impressed by big brands, malls and stores giving us immense discounts for even our daily needs. That is how knowingly or unknowingly, we tend to shop more.
To know more about Customers here
https://brainly.com/question/14530604
#SPJ1
What are the three basic levels of food service employees?
A
Beginning, intermediate, and advanced
B
Entry, skilled, and supervisory
с
Novice, trainee, and professional
D
Assistant, apprentice, and master
Answer:
entry,skilled, and supervisory
Explanation:
these job categories are entry level
The three basic levels of food service employees are: B
Entry, skilled, and supervisory.
The Entry-level is the lowest level, requiring no little education or training. Those at this level mainly engage in serving the customers, cleaning dishes, and undertaking some other menial jobs within the food-service chain.
Above the entry-level is the skilled-level. Skilled-level employees include chefs, bakers, and other culinary specialists, who require some years of training and education to be certified as qualified professionals.
The last in the basic level of food service employees are those who supervise both the entry-level and skilled-level personnel. At this level, supervisors require managerial attributes, soft skills, and leadership to maintain the relationships between the lower-level employees and the senior (strategic) managers.
Thus, there are three basic levels of food service employees starting with entry, skilled, and supervisory levels.
Learn more about food service employees here: https://brainly.com/question/8460551
The gas division of Power-U-Up plans to introduce a new gas delivery system based on the following accounting information. Fixed costs per period are $10 236; variable cost per unit is $178; selling price per unit is $215; and capacity per period is 450 units. Compute the break-even point as a percent of capacity (round to one decimal place and don't use a percent sign, eg 12.34)
This means that the gas division needs to sell approximately 69.1% of its production capacity in order to cover all costs and reach the break-even point.
To calculate the break-even point as a percent of capacity, we need to determine the number of units that need to be sold to cover the fixed costs. The fixed costs per period are given as $10,236.The contribution margin per unit is calculated by subtracting the variable cost per unit from the selling price per unit. In this case, the contribution margin per unit is $215 - $178.
To find the break-even point in units, we divide the fixed costs per period by the contribution margin per unit. This gives us the number of units that need to be sold to cover the fixed costs.Finally, to calculate the break-even point as a percent of capacity, we divide the break-even point in units by the capacity per period and multiply by 100 to express it as a percentage.
By performing the necessary calculations, we find that the break-even point as a percent of capacity is 69.1%. This means that the gas division of Power-U-Up needs to sell approximately 69.1% of its production capacity to cover all costs and reach the break-even point.
Learn more about production here:
https://brainly.com/question/31859289
#SPJ11
the cost of common stock equity may be measured using either the constant growth valuation model or the capital asset pricing model. T/F
The statement is true because both the constant growth valuation model and the capital asset pricing model can be used to measure the cost of common stock equity.
The constant growth valuation model, also known as the Gordon Growth Model or the Dividend Discount Model, calculates the cost of equity based on the expected future dividends, the growth rate of dividends, and the current stock price.
On the other hand, the Capital Asset Pricing Model (CAPM) measures the cost of equity by considering the risk-free rate, the stock's beta (which represents the sensitivity of the stock's returns to the market's returns), and the expected market return.
Both models help investors evaluate the cost of common stock equity and make informed decisions about investing in a particular stock.
Learn more about common stock https://brainly.com/question/11453024
#SPJ11
risks related to the project deliverables governance for implementing deliverables stakeholders' expectations project budget and timeline
There are several risks related to project deliverables governance, implementing deliverables, stakeholders' expectations, project budget, and timeline.
Here are some common risks associated with each aspect:
Project Deliverables:
a. Inadequate definition and scope of deliverables, leading to unclear objectives and outcomes.
b. Poor quality deliverables due to inadequate planning, lack of resources, or inadequate quality control processes.
Implementing Deliverables:
a. Lack of proper project management practices, leading to inefficient execution and potential project failure.
b. Inadequate communication and coordination among team members, resulting in delays or misalignment in implementing deliverables.
Stakeholders' Expectations:
a. Misalignment between stakeholders' expectations and project objectives, resulting in dissatisfaction or conflicts.
b. Lack of stakeholder engagement and communication, leading to misunderstandings and unmet expectations.
Project Budget:
a. Inaccurate estimation of project costs, leading to budget overruns and financial constraints.
b. Unforeseen expenses or cost escalations during project execution, impacting the overall budget.
Project Timeline:
a. Unrealistic project timelines or inadequate scheduling, leading to delays and missed deadlines.
b. Dependencies and constraints that impact the project timeline, such as external factors, resource availability, or technical dependencies.
To learn more about several risks
https://brainly.com/question/32714665
#SPJ11
Today, music in the western world focuses on the pentatonic and whole-tone scales.
True or False.
Answer:
False
Explanation:
You have $110,000 to invest. You choose to put $160,000 into the market by borrowing $50,000.
a. If the risk-free interest rate is 4% and the market expected return is 11% what is the expected return of your investment?
b. If the market volatility is 10%, what is the volatility of your investment?
The expected return of investment is 9.68% and the volatility of investment is 7.6%.
a. Expected return of investment:
The expected return of investment can be calculated using the formula:
Expected return = Risk-free rate + Beta * (Market return – Risk-free rate)
Here, Beta = (Amount invested in the market / Total amount invested)
Beta = (160,000 / 210,000)
Beta = 0.76
Expected return = 4% + 0.76 * (11% – 4%)
Expected return = 9.68%
Therefore, the expected return of investment is 9.68%.
b. Volatility of investment:
The volatility of investment can be calculated using the formula:
Volatility of investment = Beta * Market volatility
Here, Beta = 0.76
Market volatility = 10%
Volatility of investment = 0.76 * 10%
Volatility of investment = 7.6%
Therefore, the volatility of investment is 7.6%.
To know more about investment visit:
https://brainly.com/question/32453941
#SPJ11
I need help bruh. Prereading activities include A. concept mapping B. discussion C. Questioning D. all of these
Answer:
D
All of these
Explanation:
The Wall Street Journal reported that 33% of taxpayers with adjusted gross incomes between $30,000 and $60,000 itemized deductions on their federal income tax return. The mean amount of deductions for this population of taxpayers was $16,677. Assume that the standard deviation is σ = $2,683. Use z-table.
a. What is the probability that a sample of taxpayers from this income group who have itemized deductions will show a sample mean within $192 of the population mean for each of the following sample sizes: 30, 50, 100, and 400? Round your answers to four decimals. n=30 ( ) n=50 ( ) n=100 ( ) n=400 ( )
b. What is the advantage of a larger sample size when attempting to estimate the population mean? Round your answers to four decimals. A larger sample- Select your answer-, the probability that the sample mean will be within a specified distance of the population mean. In the automobile insurance example, the probability of being within +/-192 of M ranges from ( ) for a sample of size 30 to ( ) for a sample of size 400.
Given data:The Wall Street Journal reported that 33% of taxpayers with adjusted gross incomes between $30,000 and $60,000 itemized deductions on their federal income tax return. The mean amount of deductions for this population of taxpayers was $16,677. Assume that the standard deviation is σ = $2,683. Use z-table.a
) Probability that a sample of taxpayers from this income group who have itemized deductions will show a sample mean within $192 of the population mean for each of the following sample sizes: 30, 50, 100, and 400.Sample size, n = 30Population mean, μ = $16,677Sample standard deviation, σ = $2,683The standard error of the mean is given by: $SE=\frac{\sigma}{\sqrt{n}}$Substituting the values, we get:$SE=\frac{2683}{\sqrt{30}} = 490.67$The z-score is given by:$z=\frac{\bar{x}-\mu}{SE}$The probability of a sample mean being within $192 of population mean is equivalent to finding the area under the standard normal curve between the limits z = -0.392 and z = 0.392 using z-table.Therefore, the probability of sample mean within $192 of the population mean for n=30 is shown as follows:$P(−0.392 < z < 0.392)= 0.3090 − 0.0918=0.2172$Sample size, n = 50The standard error of the mean is given by: $SE=\frac{\sigma}{\sqrt{n}}$Substituting the values, we get:$SE=\frac{2683}{\sqrt{50}} = 379.41$The z-score is given by:$z=\frac{\bar{x}-\mu}{SE}$The probability of a sample mean being within $192 of population mean is equivalent to finding the area under the standard normal curve between the limits z = -0.506 and z = 0.506 using z-table.Therefore, the probability of sample mean within $192 of the population mean for n=50 is shown as follows:$P(−0.506 < z < 0.506)= 0.3121 − 0.0871=0.2250$Sample size, n = 100The standard error of the mean is given by: $SE=\frac{\sigma}{\sqrt{n}}$Substituting the values, we get:$SE=\frac{2683}{\sqrt{100}} = 268.30$The z-score is given by:$z=\frac{\bar{x}-\mu}{SE}$
The probability of a sample mean being within $192 of population mean is equivalent to finding the area under the standard normal curve between the limits z = -0.716 and z = 0.716 using z-table.Therefore, the probability of sample mean within $192 of the population mean for n=100 is shown as follows:$P(−0.716 < z < 0.716)= 0.3078 − 0.0921=0.2157$Sample size, n = 400The standard error of the mean is given by: $SE=\frac{\sigma}{\sqrt{n}}$Substituting the values, we get:$SE=\frac{2683}{\sqrt{400}} = 134.15$The z-score is given by:$z=\frac{\bar{x}-\mu}{SE}$The probability of a sample mean being within $192 of population mean is equivalent to finding the area under the standard normal curve between the limits z = -1.433 and z = 1.433 using z-table.Therefore, the probability of sample mean within $192 of the population mean for n=400 is shown as follows:$P(−1.433 < z < 1.433)= 0.4215 − 0.0786=0.3429$b) Advantage of a larger sample size when attempting to estimate the population meanThe advantage of a larger sample size when attempting to estimate the population mean is that it increases the accuracy of the estimate of the population mean by increasing the sample size of the population.A larger sample- the probability that the sample mean will be within a specified distance of the population mean. In the automobile insurance example, the probability of being within +/-192 of M ranges from 0.2172 for a sample of size 30 to 0.3429 for a sample of size 400.
To know more about standard deviation, visit:
https://brainly.com/question/13498201
#SPJ11
Sam is purchasing 800 shares of rpt, inc. , stock at a price per share of $24. 50. What is the minimum amount the federal reserve will require sam to pay in cash for this purchase?
The minimum amount which the federal reserve will require sam to pay in cash for the particular purchase will be 9,800$.
A bank's reserves are calculated by multiplying the reserve ratio by the sum of its deposited funds. For instance, if a bank's required reserve is 10%, multiply $500 million in deposits by 0.10. The bank must have a $50 million minimum reserve.
Owning stock in a Federal Reserve bank is different from owning publicly traded stock, though. You cannot trade or sell stock. Holding this stock has no effect on the relevant Federal Reserve bank; instead, member banks receive an annual dividend of 6% on their stock.
Sam is paying $24.50 per share for 800 shares of rpt, Inc. stock. Consequently, the Federal Reserve will need a minimum cash payment
= 0.50×800×24.50.
=9,800$
Learn to know more about the federal reserve system at
https://brainly.com/question/382312
#SPJ4
On September 3, 2018, Able, a single individual, purchased § 1244 stock in Red Corporation from his friend Al for $60,000. On December 31, 2018, the stock was worth $85,000. On August 15, 2019, Able was notified that the stock was worthless. How should Able report this item on his 2019 tax return?
He should ask them why it was worthless then after a while of thinking maybe have and idea on how to use it again
in regard to resource leveling, why are noncritical path activities generally the first to be delayed?
Noncritical path activities are generally the first to be delayed in resource leveling because they have more flexibility in terms of their start and finish times compared to critical path activities.
Resource leveling is a technique used in project management to address resource constraints and optimize resource utilization. The critical path represents the sequence of activities that determine the project's overall duration. These activities have zero or very little flexibility in terms of their start and finish times, and any delay in critical path activities will directly impact the project's completion time. On the other hand, noncritical path activities have some slack or float, meaning they can be delayed without affecting the project's overall duration. By delaying noncritical path activities, project managers can better allocate scarce resources to critical path activities and ensure that critical tasks are completed on time. Delaying noncritical path activities allows for better resource utilization and avoids overloading resources when they are already stretched thin. It helps to balance resource allocation and ensure that critical activities receive the necessary attention and resources to meet project deadlines.
Learn more about activities here:
https://brainly.com/question/33390148
#SPJ11