1. Set Clear Goals: Before the team can plan an event, they need to know what the desired outcome is. Trenton should provide the group with a clear set of objectives they need to achieve in order to plan the event successfully.
What is an event?2. Assign Roles: To ensure everyone is on the same page and working towards the same goal, Trenton should assign roles to each member of the group. This will help keep everyone organized and focused on their tasks.
3. Establish Deadlines: Establishing deadlines for tasks will help ensure the team is making progress and staying on track. These deadlines should be realistic but also set a challenge for the team to meet.
4. Foster Open Communication: Open communication is essential for any team to succeed. Trenton should encourage the team to ask questions and provide feedback to ensure everyone is on the same page. He should also create a safe space for members to share ideas without fear of criticism.
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TRUE OR FALSE
16. Bond price will move parallel with the yield to maturity.
17. Mutual funds are market intermediaries.
18. The relation between stocks, returns and index is called beta.
19. Purchasing power is part of the systematic risk.
20. Bondholders incur certain risks when investing in bonds are current yield, yield to maturity, and interest rate.
The statements 16, 18, 19 regarding bond prices, relation between stocks and purchasing power are all False. Whereas statement 17 and 20 regarding mutual funds and bondholders are True.
16. False: Bond prices and yields to maturity move in opposite directions. When bond yields rise, bond prices fall, and vice versa. This inverse relationship is known as interest rate risk.
17. True: Mutual funds are indeed market intermediaries. They pool money from multiple investors and invest in a diversified portfolio of securities such as stocks, bonds, or other assets, according to the fund's investment objectives.
18. False: The relation between stocks, returns, and index is not called beta. Beta is a measure of systematic risk or volatility of a stock or portfolio in relation to the overall market. It indicates how much the stock's returns are expected to move relative to the market returns. The relationship between stocks, returns, and index is generally referred to as market performance or correlation.
19. False: Purchasing power risk is not part of systematic risk but rather a form of inflation risk. Systematic risk refers to the risk inherent in the entire market or a particular sector, affecting all investments to some degree. Purchasing power risk relates to the potential loss of value in money or investments due to inflation.
20. True: Bondholders do face certain risks when investing in bonds, and some of these risks include current yield, yield to maturity, and interest rate risk. Current yield is the bond's annual interest payment divided by its current market price. Yield to maturity is the total return anticipated if the bond is held until it matures. Interest rate risk is the risk that changes in interest rates will affect bond prices and yields.
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Which investment has the least amount of default risk?
A)
junk bonds
B)
common stocks
c)
corporate bonds
D)
US Treasury bonds
Answer:
D....U.S. Treasury Bonds!
During Year 2, Chico Company earned $1,950 of cash revenue, paid $1,600 of cash expenses, and paid a $150 cash dividend to its stockholders. Based on this information alone, which of the following statements is not true?
a. Net income amounted to $350.
b. Total assets increased by $200.
c. Cash inflow from operating activities was $350.
d. Cash inflow from operating activities was $200.
Answer:d--Cash inflow from operating activities was $200
Explanation:
Net income= Cash Revenue -Cash Expenses
$1950 - $,1600 = $350
Total assets increase= Cash Revenue -Cash Expenses -Dividends
1950-1600 -150= $200
Cash inflow from operating activities=Cash Revenue -Cash Expenses
$1950 - $,1600 = $350
therefore the statement that is not true = d--Cash inflow from operating activities was $200
The United States imports sugar from several nations. If the NAFTA agreement caused the United States to import sugar only from Canada, even though it cost more to do so, it would be an example of
a. dumping.
b. trade diversion.
c. trade creation.
d. retaliatory trade action.
e. a political union.
If the NAFTA agreement caused the United States to import sugar only from Canada, even though it cost more to do so, it would be an example of (C)trade diversion.
When a country imports items from a higher-cost source rather than a lower-cost source, this is known as trade diversion. Even though it could be more expensive than sugar from other countries, in the hypothetical situation, the United States would exclusively buy sugar from Canada owing to the NAFTA agreement. This would be an example of trade diversion. This is because, even while it would not be the most cost-effective move, the deal might provide Canada a trade advantage, making sugar imports from Canada more alluring for the United States. Due to missing out on cheaper sugar imports from other nations, the United States may see an increase in total expenditures.
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oday’s managers are moving from a controller role to an enabler role. their goal is to provide support and learning opportunities, coach, and guide their employees. andy and scott discuss their approach at barcelona as one that is empowering. "this is your restaurant," andy tells new managers. scott says, "i think you’re limiting your ability to get better," when you tell managers what to do.
Remove an item from an unhappy customer's bill,Change menu prices on seafood dishes due to increased market prices,Seek approval from Scott to run an advertisement in a local newspaper announcing new, extended hours for your location,Hire an additional bartender to meet the demand of increased "happy hour" business
Since ancient times, the phrases "happy hour" and "hour" have been used to describe enjoyable periods. Shakespeare's King Henry V quotes him as saying, "Therefore, my lords, omit no cheerful hour/That may assist our adventure" in act I, scene 2. However, it is more modern to use the term "happy hour" to describe a set time for amusement.The United States Navy is one potential source for the term "happy hour," which refers to a set time for amusement. On board the USS Arkansas, "semi-weekly smokes" were organized by a group of housewives known as the "Happy Hour Social" in the beginning of 1913. The term "happy hours," "happy hour club," or "happy hour social club,"
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A dividend yield of 10% says that, for each dollar we invest, we get _____cents in dividends.
A dividend yield of 10% says that, for each dollar we invest, we get $100 cents in dividends.
When investing in stocks, one of the ways to earn a return on your investment is through dividends. A dividend is a portion of a company's profits that is paid out to its shareholders. The dividend yield is a measure of how much a company pays out in dividends relative to its stock price. In this response, we will explain how to calculate the amount of dividends you can expect to receive based on a given dividend yield.
Detailed explanation:
The dividend yield is expressed as a percentage and is calculated by dividing the annual dividend paid per share by the current market price per share. For example, if a company pays an annual dividend of $1 per share and its current stock price is $10 per share, the dividend yield would be 10% ($1 ÷ $10).
To calculate the amount of dividends you can expect to receive based on a given dividend yield, you need to know how much money you are planning to invest. Let's say you plan to invest $1,000 in a company with a dividend yield of 10%. To calculate how much you can expect to receive in dividends, you would follow these steps:
Convert the dividend yield from a percentage to a decimal by dividing by 100. In this case, the dividend yield is 10%, so the decimal equivalent is 0.10.
Multiply the amount you plan to invest by the decimal equivalent of the dividend yield. In this case, $1,000 x 0.10 = $100.
Therefore, if you invest $1,000 in a company with a dividend yield of 10%, you can expect to receive $100 in dividends.
It's important to note that dividend yields can change over time based on a variety of factors, including changes in a company's profits and changes in its stock price. Additionally, not all companies pay dividends, and some may pay a lower or higher dividend yield than others. When making investment decisions, it's important to consider all of these factors and to do thorough research before investing in any company.
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Which is a possible positive consequence of bankruptcy?
OA. Costly filing fees
O B. Lowered credit score
C. Removal or consolidation of debt
O D. Job loss
Answer: C
Explanation:just took the test
If bank with leverage of 8 to 1 increases its assets by adding $1 to capital for every $1 added to assets:
a. leverage increases.
b. leverage decreases.
c. leverage stays constant.
d. the answer cannot be determined from the information in the question.
If a bank with a leverage of 8 to 1 increases its assets by adding $1 to capital for every $1 added to assets: leverage decreases. Thus, option B is the correct option.
Leverage falls if an 8:1 bank raises assets by increasing capital by $1 for every $1 growth in assets. Deleveraging is the process through which a business or person tries to reduce their overall financial leverage. Deleveraging, then, is the elimination of debt and the polar opposite of leverage.
Paying up any outstanding debts and commitments on an entity's balance sheet right away is the quickest approach to deleveraging. If unable to do so, the business or person may be at an elevated risk of default. Deleveraging aims to lower the proportion of a company's balance sheet that is supported by liabilities.
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Kevin, a real estate broker, sold a property and received a 6-1/2% commission. Kevin gave the listings broker 30% of the commission, or $3,575. What was the selling price of the property?
Answer:
the selling price of the property is $183,333
Explanation:
The computation of the selling price of the property is as follows:
= (Price ÷ commission percentage) ÷ ( commission percentage)
= ($3,575 ÷ 30%) ÷ (6.5%)
= $183,333.
Hence, the selling price of the property is $183,333
We simply applied the above formula so that the correct value could come
How does exercising help you become more creative? A. It helps you to be less rigid in your thinking. B. It helps you to be open-minded. C. It increases your ability to think on your feet. D. It reduces stress.
Answer: It reduces stress
Explanation:
PLEASE HELP (20 POINTS)
What are regulators in the construction industry responsible for?
Making and enforcing rules and codes
Choosing where businesses can operate
Reviewing tax returns and collecting taxes
Making employment laws
Answer:Its A
Explanation: Just did the test :)
Which of the following is one of the main benefits that FDI provides to the home country?Multiple ChoiceThe home country's balance of payments benefits from the inward flow of foreign earnings.FDI benefits the home country by substituting domestic production.FDI increases employment in the home country in the short run.The balance of payments position improves from the initial capital outflow required to finance the FDI.The demand for exports from the home country will reduce in the long run.
The inflow of foreign earnings helps the home country's payment balance to improve. (A) is the correct answer.
When complete control of the foreign subsidiary is not required, licensing is a good option for entering a foreign market. According to the free market viewpoint, international manufacturing should be divvied up among countries based on comparative advantage theory.
The amount of FDI conducted more than a certain amount of time is referred to as the flow of FDI (normally a year).
In accordance with the eclectic paradigm, location-specific advantages play a significant role in explaining the rationale for and direction of investments from abroad. Greenfield investment entails establishing a new business in a foreign country.
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Cvp analysis looks at how _ is affected by sales price per unit, variable costs per unit, volume, and fixed costs.
The main thing which the cvp analysis uses to check the sales price per unit and variable costs per unit are affected is the:
Changes in costWhat is CVP Analysis?This refers to the cost-volume-profit analysis which is taken to find out how the changes in cost and volume can have a direct impact on the operating costs.
With this in mind, we can see that the changes in cost is the main factor which is used by the companies for cvp analysis to make sure that their operating costs do not arbitrarily change.
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Answer:
income or profit
Explanation:
The price of a Honda Accord
a. and the price of a Honda Accord divided by the price of a Honda Civic are both real variables
b. and the price of a Honda Accord divided by the price of Honda Civic are both nominal variables.
c. is a real variable, and the price of a Honda Accord divided by a Honda Civic is a nominal variable.
d. is a nominal variable and the price of a Honda Accord divided by the price of a Honda Civic is a real variable.
Answer:
d. is a nominal variable and the price of a Honda Accord divided by the price of a Honda Civic is a real variable.
Explanation:
In domain of economics, nominal varable are value that can be measured in terms of it's monetary value of the price that exist at that particular period of time. For instance blood type and genotype.
real value on the other hand is been measured based on goods/services, it's is the value even when inflation has set in.
The ____ phase in the business cycle is a period when the level of business activity declines and gdp falls.
The trough phase in the business cycle is a period when the level of business activity declines and gdp falls.
TroughThe trough is the fourth phase of the business cycle. The declining GDP begins to decrease its rate of negative change, eventually turning positive again. The economy begins a transition from the contraction phase to the expansion phase.
Therefore, the phase in the business cycle wherein the level of business activity declines and GDP falls is trough.
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Which group within the structure of the Federal Reserve System is charged with facilitating check collection and electronic funds transfers?
A. U.S. Treasury agents
B. Board of Governors
C. Federal Reserve Banks
D. Federal Open Market Committee
The group within the structure of the Federal Reserve System is charged with facilitating check collection and electronic funds transfers is Federal Reserve Banks.
What is the Federal Reserve Banks?
Facilitating check collection and electronic funds transfers is one of the important functions of the Federal Reserve Banks, which are part of the Federal Reserve System. These banks act as intermediaries between financial institutions and help to clear checks and process electronic funds transfers.
This function is essential to the smooth functioning of the financial system and the economy as a whole. The other options listed - U.S. Treasury agents, Board of Governors, and Federal Open Market Committee - have different roles and responsibilities within the Federal Reserve System.
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Daycare Comes to Northville
Northville, a medium-sized city in the midwestern part of the United States, has experienced a significant change in the composition of its municipal work force of 1,800 employees. Approximately 35 percent of the city employees are now female. In a recent survey of city employees, over 40 percent have said that "affordable day care for children" was important to them. Meanwhile Director of the Office of Personnel Mary Lux has become increasingly convinced that the lack of affordable day care is one of the main reasons for absenteeism and lateness among city employees. Mayor Petula Spark, some of the members of the city council, and the leader of the major city employees’ union, Denardo Legato, all agree that something should be done. The question they are trying to answer is, what should it be?
Mayor Spark is in favor of doing something, in principle, but she is not in favor of incurring a major new expense, given the many legitimate claims on the city’s already strained budget. She has told Legato, who is negotiating the day care program on behalf of the city employees. "We’ll give you space and utilities for a year at no cost. It is up to you to come up with a suitable day care center that conforms to state and federal law." Several regulatory mandates and non-discrimination laws fall into this category. The only requirements specific to day care centers are that (a) they be licensed and inspected once a year, (b) all new day care workers take part in a three day state-certified training program and (c) the child/day care giver ratio be no greater than 8 to 1. The annual inspection fee is $300. The total cost of the three-day training program is estimated to be $250 per employee.
Mary Lux is responsible for planning the details of the day care program for the children of city employees. With Mr. Legato’s approval, Ms. Lux has negotiated an arrangement with a local non-profit agency that is already providing day care services in the Northville metropolitan area.
Tiny Tots has three locations: the contract with the City Northville would be a fourth center. The Director of Tiny Tots, Klara Nemet, is enthusiastic about the prospects of a new center specifically for city employees. While discussing the proposed arrangements with Ms. Lux, Ms. Nemet requested $3,000 per month to compensate her for the administration costs associated with the Northville location.
The additional details of the contract are as follows:
-The day care center will be open 20 days every month. Parents pay a monthly fee of $350 per month.
-Based on projected demand, it is expected that the day care center will open in January 2017 with 150 children. Ms. Nemet has been successful in negotiating a ratio of 6 children to 1 day care worker for the first year of operation.
-Day care workers earn $17.00 per hour. They work from 9 to 5 and get paid for 8 hours. Tiny Tots also must pay 7 percent of their salaries in the form of a Social Security contribution, along with 8 percent for unemployment benefits. Each day care worker receives $400 per month for health insurance. The city will have to cover these costs for the employees who work at the facility for the children of city employees. It does not have to cover the Social Security, unemployment, or health benefits for Ms. Nemet since Tiny Tots, Inc. is doing so on the basis of her total compensation.
-Children get a snack and lunch. The food cost is $10.00 per child per day. The cost of supplies is $5 per child per day. The City of Northville has purchased certain equipment (such as cots and desks) for the first 150 children. However, these costs are estimated to be $50 per child as the enrollment at the day care center goes up. For the first four months, it is expected that the number of children will grow by 1.5 percent, beginning in February 2019.
-Beginning June 2019, the monthly growth is expected to be 1 percent.
-The City of Northville is "donating" space and utilities.
-Mr. Legato says that the union will contribute to the cost of the city’s new day care center by providing $15.00 per child per day for the children of union members. It is estimated that 75 percent of the children will be children of union members.
-The state will provide an annual grant of $300,000.
Businesses routinely use freelance editors, graphic designers, data entry specialists, and other professionals.
Which company has the highest global ranking?For instance, although Apple has the largest market value, the largest company worldwide in terms of sales is American multinational retailer Walmart. Below is a list of the top 10 firms in the world according to current value as of 2 April 2022.
Which company is the wealthiest?With a turnover of 600 million dollars, Walmart took the first spot as among top 100 global firms, followed by Aramco of Saudi Arabia. Wal is the largest employer in the world, employing more than 2.3 million people globally.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Identify the two most important of the five forces factors that are affecting the pc market, why?.
Threat of substitutes and Threat of new entrants are the two most important of the five forces factors that are affecting the pc market.
Threat of substitutes:
The risk of alternative products has increased for the personal computing sector. Since consumers now have great options in the shape of portable devices like big-screen smart phones and tablets that may give the same functionality but without the need to carry a bulky laptop, the demand for PCs has decreased as a result of the proliferation of mobile technology.
Threat of new competitors:
There are various reasons why the threat of new competitors in the personal computing sector is very low. A new player's entry into the personal computing market is hindered by a number of requirements in addition to the high amount of expenditure needed to establish a brand.
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Which of the following are examples of career clusters? Select all that.apply
Answer:
governmental and public admiration and real estate
Explanation:
Answer:zcvn
Explanation:
Select the correct answer.
At which stage of problem solving should you discuss the problem with colleagues?
B. evaluating the information
C. gathering information
D. making a choice
E. taking action
Plato/Edmentum
Answer:
E or D
Explanation:
D because it doesn't hurt to get a second opinion and see what your colleagues think
E Because your actions or decisions when it comes to a business can affect your colleagues.
Applications of can help marketers determine which television shows current and potential customers watch,
allowing marketers to determine the value of advertising on a particular show.
O A. Big Data
B. customer relationship management (CRM)
OC. one-to-one marketing
OD. search engine optimization (SEO)
E. data mining
Mr. Johnson received $1,750 on his paycheck for two weeks. He got $275 taken out of his check for taxes and $125 for his health insurance. The amount he had left is defined as his Mr. Johnson received $1,750 on his paycheck for two weeks. He got $275 taken out of his check for taxes and $125 for his health insurance. The amount he had left is defined as his Net income Property tax Income tax Gross income
Mr. Johnson received $1,750 on his paycheck for two weeks.The amount he had left is defined as Net income.
Option A is correct.
How does net profit compare to net income?Simply put, profit is the revenue that remains after expenses are deducted; Depending on the types of costs that are deducted from revenue, it exists on multiple levels. A single number, net income—also known as net profit—represents a particular kind of profit. The well-known bottom line on a financial statement is net income.
How is net income figured out?The gross salary less any deductions, such as professional tax, pension, income tax, etc., is the net salary. whereas gross includes all benefits like a medical allowance, a transportation allowance, and a house rent allowance, among others
Question incomplete:Mr. Johnson received $1,750 on his paycheck for two weeks. He got $275 taken out of his check for taxes and $125 for his health insurance. The amount he had left is defined as his Mr. Johnson received $1,750 on his paycheck for two weeks. He got $275 taken out of his check for taxes and $125 for his health insurance. The amount he had left is defined as his
A. Net income
B. Property tax
C. Income tax
D. Gross income
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An annual report promotes an open
line of ____
for all those
invested in a company.
A. capital
B. liability
C. communication
Answer:
I woulod say c
Explanation:
it makes the most sense
Which of the following statements about investing is TRUE?
1. Investing is a guaranteed way to make money.
2. Investing is best for short-term financial goals.
3. Investing is riskier than putting money in a savings accounts.
4. On average, putting money in a savings account earns a higher return than investing money in the stock market.
Answer:
3. Investing is riskier than putting money in a savings accounts.
Explanation:
Investing involves putting money in profits generating ventures. It is risky because the money invested may be lost should the venture make losses instead of profits. Investments activities include buying of shares and other marketable securities or starting and operating a business. Should the business or investment do well, the returns or profits can be attractive.
Saving is putting money aside for future consumption. Saving may be done through savings accounts that as safe and secure. Money saved is risk-free. The possibility of losing it is very minimal. Because money saved is kept safe, it does not generate much income for the owner.
Middle managers frequently are caught in a power squeeze. This conflict takes the form of:a.equal versus equal conflictb.high versus low conflictc.role conflictd.resource dependency conflict
role conflict Middle managers often find themselves caught in a power squeeze due to role conflict.
Role conflict occurs when individuals face competing or conflicting expectations and demands from different sources within an organization.
Middle managers typically serve as intermediaries between top-level executives and lower-level employees. They have responsibilities to both levels of the organization and are expected to balance the goals and objectives set by senior management with the needs and concerns of the employees they supervise.
This power squeeze arises because middle managers may experience conflicting demands and pressures from different directions. They may face pressure from upper management to implement certain strategies, policies, or initiatives, while also dealing with the realities and challenges faced by employees on the ground. This can create a dilemma where middle managers are caught between meeting the expectations of top management and supporting their subordinates.
The conflict arises from the inherent power imbalance in the organizational hierarchy. Middle managers have limited decision-making authority and are often dependent on senior management for resources, guidance, and support. At the same time, they are responsible for overseeing and managing the work of lower-level employees who rely on them for leadership and support.
This power squeeze can create tension, as middle managers may feel torn between different loyalties and pressures. They may experience challenges in balancing the expectations of both senior management and employees, leading to role conflict and difficulties in navigating their position within the organization.
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he higher the fixed asset turnover, the a.more efficiently a company is using its intangible assets in generating sales b.less efficiently a company is using its fixed assets in generating sales c.more efficiently a company is using its current assets in generating sales d.more efficiently a company is using its fixed assets in generating sales
The higher the fixed asset turnover, the b.less efficiently a company is using its fixed assets in generating sales.
Fixed assets turnover=net sales/average net fixed assets.
An advanced fixed asset development rate indicates that a company has effectively used investments in fixed means to induce sales. The more advanced the asset development rate, the better the company is performing, since advanced rates indicate that the company is generating further profit per bone of means. The asset development rate tends to be more advanced for companies in certain sectors than in others.
While an advanced fixed asset development rate is generally better, if the fixed asset development rate is too high, also the business establishment is likely operating over capacity and needs to either increase its asset base( factory, property, outfit) to support its deals or reduce its capacity.
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Which structures are found in all early vertebrate embryos?
select all that apply
a) leg, flipper or wing bones
b) tail
c) primitive lungs
d) gill slits
The structures found in all early vertebrate embryos are the tail and gill slits.
In the early stages of vertebrate development, certain structures are present that are common to all vertebrate embryos. The tail is a characteristic feature found in early vertebrate embryos, which later develops into the tailbone or coccyx in humans. The tail is important for various functions, including balance and locomotion. Additionally, gill slits are also present in early vertebrate embryos.
These gill slits are openings in the pharynx that allow water to pass through and facilitate respiration in aquatic organisms. While gill slits may not persist in all vertebrates throughout their entire lifespan, they are present during the early embryonic stages.
Option B (tail) and Option D (gill slits) are the correct answers.
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McKenna offers to sell Lori her collection of hand-painted European tiles. Before Lori has a chance to accept, McKenna says, "Sorry, I changed my mind. I’m not going to sell the tiles." McKenna has just made:
Answer:give the person above this brainlyest :)
Explanation:
Teams have better communication than other workers because they get to
a. Know each other better
b. Attend commurication seminars
C. Earn extra benetits packages
d. Use better telephones