C. Scrum Master
The Scrum Master is responsible for facilitating the Sprint Retrospective at the end of every Sprint, which allows the team to reflect on their successes and failures from the previous Sprint. During the Sprint Retrospective, the Scrum Master should encourage the team to openly discuss what went well and what didn't, allowing them to identify areas for improvement.
The Scrum Master should ask questions to help the team focus on how the process can be improved, in order to ensure that the team is able to meet their goals in the next Sprint. The Scrum Master should also provide guidance and structure to ensure that the team is able to come to a conclusion that everyone can agree upon. This will ensure that the team is able to deliver quality results in the next Sprint.
Know more about Sprint Retrospective here:-
https://brainly.com/question/10582279#
#SPJ11
1. Should a cover letter be a lengthy document?
2. What should be the “tone” of an informal thank you letter?
1. It actually depends; but usually it's like a three paragraph essay
2. The tone of an informal thank you letter is something like saying 'thank you so much' and a compliment sentence, like 'You are the best!'
Hope this helps! Have a great day!
A country's currency is backed by a gold standard. However, gold production has declined and will not recover. Which action would protect the value of the country's currency in the long run?
1.) Borrow more gold
2.) Print more currency
3.) Move to fiat currency
4.) Take no action
The action taken to protect the value of the currency of the country in the longer periods by shifting towards creating fiat money.
The Third option is correct.
What is gold standard?Gold standard is a kind of standard commenced in the US country where the value of currency decided in respect of gold.
When the production of gold has minimized and there is no chance for being it to be recovered, then the country should move its focus on creating fiat money. A fiat money is the one of a kind which does not requires any physical property for deciding its worth.
Therefore, the third option is correct.
Learn more about the fiat money in the related link:
https://brainly.com/question/2415692
#SPJ2
find the value of an investment after four years on $6,000 made quarterly at 8% for (a) an ordinary annuity and (b) an annuity due. (round your answers to the nearest cent.)
The ordinary annuity is $111,835 and the annuity due is $114,072.
What is annuity due?An immediate payment is required at the start of each period for an annuity to be considered due. Rent is a typical example of an annuity due payment since landlords frequently want payment at the beginning of each month rather than after the tenant has had a full month of use of the apartment. An annuity due calls for payments to be made at the start rather than the end of each annuity term. A person's receipt of annuity due payments is an asset under the law. The person making the annuity payment, meantime, is subject to a legal obligation that calls for recurring payments. Utilizing present value calculations, one can achieve this.
To learn more about annuity due, visit:
https://brainly.com/question/1870035
#SPJ4
what effect will the aquisition of treasury stock have on stockholders equity and earnings per share
Acquisition of treasury stock reduces the number of outstanding shares and increases earnings per share, but it does not affect total stockholders' equity.
When a company acquires treasury stock, it buys back its own shares of stock from the market. This leads to a reduction in the number of outstanding shares of the company, which causes an increase in earnings per share (EPS) because earnings are divided among fewer shares. However, the acquisition of treasury stock does not affect total stockholders' equity because treasury stock is not considered an asset of the company.
The purchase of treasury stock reduces the total number of outstanding shares, thus increasing the EPS. Treasury stock is a contra-equity account and it is deducted from the stockholders' equity section of the balance sheet. However, the acquisition of treasury stock does not affect the total stockholders' equity. Therefore, it reduces the total shareholders' equity but increases earnings per share.
To know more about the treasury stock visit:
https://brainly.com/question/28392297
#SPJ11
NEED TO KNOW ASAP!!!! Which borrower has the best credit?
Answer:
I think it is Michael but am not sure
if the issuer wanted to be assured of the best chance of getting a aaa rating on the securitization, what could they do?
If the issuer wanted to be assured of the best chance of getting a AAA rating on the securitization, they could make semi-annual interest payments or repay the principal amount when due.
The highest rating that any of the main credit rating agencies may give to an issuer's bonds is AAA. Because its issuers are easily able to pay financial obligations and have the lowest default risk, AAA-rated bonds have a high level of creditworthiness.
Since bonds with a AAA rating are thought to have the lowest default risk, they often have the lowest yields among bonds with comparable maturities (lower risk = lower return).
When a bond issuer does to pay its debts on time, whether it be principle repayment or semi-annual interest payments, this is referred to as "defaulting." Government debt and corporate bonds are assigned AAA ratings.
To know more about AAA rating:
https://brainly.com/question/16815239
#SPJ4
What is a sales forecast?
A. A prediction of what other businesses will make similar products
B. A prediction of how many customers a business will have visit its
store
C. A prediction as to the volume of sales that a business expects to
make in the upcoming future
A sales forecast is A prediction as to the volume of sales that a business expects to make in the upcoming future. Thus the correct option is C.
What is the objective of the sales Forecast?A sales forecast is a projection of the engagements that will go through the selling process and is a statement of anticipated sales revenue that expresses how much your organization anticipates selling within a specific time frame.
Making well-informed choices about the management of the firm, including decisions about staffing and inventory, new product lines, and prospective marketing initiatives, is aided by sales predictions.
By the use of sales forecasting, firms can more correctly predict their expenses and revenue. Time and money wasted on unsuitable candidates or customers must be reduced for better prospecting.
Therefore, option C is appropriate.
Learn more about sales forecast, here:
https://brainly.com/question/15576475
#SPJ5
5-year treasury bonds yield 4.0%. the inflation premium (ip) is 1.9%, and the maturity risk premium (mrp) on 5-year t-bonds is 0.4%. there is no liquidity premium on these bonds. what is the real risk-free rate, r*? group of answer choices 1.65% 1.46% 1.70% 1.41% 1.51%
Option C is the correct answer. Risk- free return will be 1.70%.
Nominal Interest rate can be calculated by the below formula:
Nominal Interest Rate (R) = Real Risk-free Rate (R*) + Inflation Premium (IP) + Default Risk Premium (DRP) + Liquidity Premium (LP)
Real Risk-free Rate (R*) = Nominal Interest Rate (R) - Inflation Premium (IP) - Default Risk Premium (DRP) - Liquidity Premium (LP)
Calculate the values for the above formula:
Nominal Interest Rate (R) = 4.0%
Inflation Premium (IP) = 1.9%
Maturity Risk Premium (MRP) = 0.4%
Liquidity Premium (LP) = 0
Default Risk Premium (DRP) = MRP + LP
MRP = market price of the share
LP = liquidity premium
DRP = 0.4% + 0
DRP = 0.4%
Substituting the above values in the formula for R*
Real Risk-free Rate (R*) = 4.0% - 1.9% - 0.4% - 0%
Real Risk-free Rate (R*) = 1.7%
Nominal Interest Rate can be calculated by adding real risk free return, inflation Premium and default risk premium and liquidity premium. By subtracting Inflation, default, liquidity premium from nominal interest rate risk free interest rate can be calculated, which is done above.
Therefore, the value of the real risk-free rate (R*) is 1.7%.
Option C is the correct answer.
Learn more about risk free return https://brainly.com/question/13506997
#SPJ11
True or False : only managers and business executives need strong communication skills.
It is false that only managers and business executives need strong communication skills.
The interchange of information, intention, and emotion constitutes effective communication. It entails clearly communicating a message and gaining confirmation from your target audience that the message has been heard and comprehended.
A key component of effective communication is acknowledging people in a way that makes them feel heard and understood.
The advantages of communication improvement are numerous. Managing relationships with your team, customers, and stakeholders requires effective communication. Relationships can be ruined by poor communication, which may also lead to lost sales and a damaged reputation.
To know more about communication skills:
https://brainly.com/question/29468743
#SPJ4
Why is it important for a human resource manager to carefully maintain
employee records?
Answer:
Certain records require employee privacy to be protected. Not maintaining and following best practices for employee record keeping leaves you vulnerable to defending yourself against lawsuits, labor investigations or audits.
Explanation:
Which document is used to verify the legal ownership of property, show any liens against the property, and describe any easements or CC&Rs?
a. Closing Statement
b. Homeowners' Association Statement
c. Preliminary Title Report
d. Transfer Disclosure Statement
The document used to verify the legal ownership of property, show any liens against the property, and describe any easements or CC&Rs is the Preliminary Title Report (c).
A Preliminary Title Report is a document provided by a title company during the process of purchasing or refinancing a property. It contains crucial information about the property's title, which includes the following:
1. Legal ownership: The report lists the current owner(s) of the property, ensuring that the seller has the right to sell or transfer the property.
2. Liens: The report shows any outstanding liens against the property, such as mortgages, tax liens, or mechanic's liens. These liens need to be addressed before the property can be transferred to the buyer.
3. Easements and CC&Rs: The report describes any easements that may affect the property, such as utility access, as well as any Covenants, Conditions, and Restrictions (CC&Rs) that may apply to the property, such as homeowners' association rules and regulations.
In contrast, a Closing Statement (a) is a document that itemizes the financial details of a real estate transaction, such as purchase price, taxes, and fees.
A Homeowners' Association Statement (b) provides information about the rules, fees, and financial obligations related to a specific homeowners' association.
A Transfer Disclosure Statement (d) is a document that discloses known defects and other pertinent information about a property from the seller to the buyer.
To know more about Preliminary Title Report refer here
https://brainly.com/question/28288098#
#SPJ11
What is meant by monopolistic competition market in economics give examples?
When numerous businesses provide competing goods or services that are comparable but not exact alternatives, monopolistic competition develops.
When numerous businesses provide competing goods or services that are comparable but not exact alternatives, monopolistic competition develops. Clothing and hair salons are two examples of sectors with monopolistic competition. An illustration of a monopolistically competitive market is the restaurant sector, which is present nationwide. Most places have a large number of businesses, all of which are unique, and entry is simple. Each product has a number of comparable alternatives that are offered by various businesses, including other eateries and fast-food joints.
To learn more about monopolistic, click here.
brainly.com/question/29763908
#SPJ4
you want to make sure the basic, 'happy path' where a user searches for, selects, and purchases a product is working properly. what type of test is the best choice?
Canary releases (or canary launches or canary deploys) allow developers to test features incrementally with a small group of users.
Feature toggles in software development provide an alternative way to manage multiple feature branches in your source code. Conditions in code enable or disable functionality at runtime. In an agile setting, switches are used in production to enable functionality for some or all users as needed. So the feature toggle makes it easier to share often. Advanced rollout strategies such as canary rollouts and A/B testing are easy to work with. Notable feature switching services include ConfigCat, Flagsmith, and Split.io.
Feature toggles support continuous delivery even when new releases are not continuously deployed in production. This feature will be merged into the main branch before completion. This version is deployed once in a test environment and can be tested with the feature turned on using a switch. Shorter software integration cycles and ready-to-use versions can be delivered.
His third application of this technique is to allow developers to release versions of their products with unfinished features. These unfinished features are hidden (toggled), so they are not visible in the UI. Merging features in and out of the production branch is less complicated, so many small incremental software versions can be used.
Know more about test here:
https://brainly.com/question/27848116
#SPJ4
What is the Bessemer process and how did it lead to a monopoly?
The Bessemer process was a method for producing steel on a large scale, invented by Henry Bessemer in the mid-19th century.
The Bessemer process involved blowing air through molten iron, removing impurities and creating a stronger, more malleable product. The Bessemer process led to the creation of a steel industry that could produce large quantities of steel cheaply and quickly, revolutionizing manufacturing, construction, and transportation. Andrew Carnegie's company, Carnegie Steel, quickly dominated the industry, using vertical integration to control every aspect of the steel-making process, from mining to transportation to production.
This led to a monopoly in the steel industry, where Carnegie controlled the market and drove out competition through aggressive pricing and business tactics.
To learn more about Bessemer process, visit here
https://brainly.com/question/20818749
#SPJ4
Many financial service firms, IT firms, and health care companies are among the most active when it comes to________, which occurs when value chain activities are taken care of outside the home country of the firm.
Many financial service firms, IT firms, and health care companies are among the most active when it comes to Offshore outsourcing, which occurs when value chain activities are taken care of outside the home country of the firm.
What is Offshore Outsourcing?Offshore outsourcing is an act of hiring an external organization to run some business operation in another country.
Most financial firms, IT firms, and even health care companies are active when it comes to offshore outsourcing. They employ the services of another organization outside the country to run some operations.
Learn more about Offshore Outsourcing here:
https://brainly.com/question/6851085
#SPJ1
12.2 richman co. purchased equipment 3 years ago. the company's required rate of return is 12%, and the net present value of the project was $(900). annual cost savings were: $10,000 for year 1; $8,000 for year 2; and $6,000 for year 3. the amount of the initial investment was
The amount of the initial investment was $20,156.10.
To calculate the initial investment, we need to use the formula for net present value:
NPV = -Initial Investment + PV of Cash Inflows
Where NPV is given as $(900), the required rate of return is 12%, and the cash inflows are the annual cost savings for the next three years. We can use a financial calculator or spreadsheet software to calculate the PV of each cash inflow and then add them up.
PV of Year 1 Cash Inflow = $10,000 / (1 + 0.12)^1 = $8,928.57
PV of Year 2 Cash Inflow = $8,000 / (1 + 0.12)^2 = $6,080.59
PV of Year 3 Cash Inflow = $6,000 / (1 + 0.12)^3 = $4,246.94
Adding up the present values of the cash inflows, we get:
PV of Cash Inflows = $8,928.57 + $6,080.59 + $4,246.94 = $19,256.10
Substituting the values into the NPV formula, we get:
$(900) = -Initial Investment + $19,256.10
Solving for the initial investment, we get:
Initial Investment = $19,256.10 + $900 = $20,156.10
Learn more about investment at https://brainly.com/question/29547577
#SPJ11
all work are dignified and equal. justify
Answer:
I hope that is helpful for you.
How do Business Owners quantify the value of PI Objectives?
a) By estimating return on investment
b) By assigning Story points
c) By assigning business value
d) By totaling the Epic budget
The Business Owners quantify the value of PI Objectives by: assigning business value. Option C
What is meant by PI Objectives?Program Increment (PI) Objectives are a list of the technical and business objectives that an Agile Team or train plans to accomplish in the upcoming Program Increment (PI). Teams develop PI objectives during PI Planning, which are the tasks they want to complete in the forthcoming Program Increment (PI)
SMART objectives for a PI are those that are time-bound, relevant, specified, measurable, and achievable. Teams and stakeholders may more easily see how work is fulfilling business objectives when features are linked to PI objectives within the same platform.
Business owners assign this during the PI planning meeting. The values that business owners assign range from 1 (the lowest) to 10 (the greatest). The importance or level of urgency with which the objectives must be met is determined by these values.
Read more on PI objectives here: https://brainly.com/question/28180001
#SPJ1
How much y’all think I’m worth?
Y’all think ima great dancer?
Who follows me
Answer:
What????..............
If you were marketing a product to a particular target market and you only knew the demographic characteristics, what product benefits (WIIFM, or “What’s in it for me?”) would you highlight in your marketing
The product benefits to be highlighted in the marketing based on demographic characteristics are
beneficial to particular agebeneficial to particular working classbeneficial to particular gender etcWhat is the demographic segmentation?In marketing, this refers to the segmenting of customers according to gender, age, ethnicity, family size, religion etc.
The use of demographic segmentation in marketing helps to provide the needs and want to consumers based on the demograph gathered from them.
Read more about demographic segmentation
brainly.com/question/15595503
#SPJ1
social ______ relates to a business's impact on society.
Social responsibility relates to a business's impact on society. It encompasses the ethical and philanthropic actions a company takes to contribute positively to the well-being of its stakeholders and the larger community.
Social responsibility involves considering the interests of various stakeholders, such as employees, customers, suppliers, and the environment, beyond solely pursuing profit. It includes initiatives like corporate philanthropy, ethical sourcing, sustainable practices, and community engagement.
Businesses that prioritize social responsibility aim to address social and environmental challenges, promote fairness, and create shared value. Such efforts can enhance reputation, attract socially conscious consumers, and foster long-term sustainability.
Overall, social responsibility is a crucial aspect of business that recognizes the broader impact and responsibilities of organizations in society.
To know more about business's refer here:
https://brainly.com/question/32332727
#SPJ11
Which of the following accounts would normally have a credit balance and appear in the balance sheet?
A. Dividends.
B. Salary expense.
C. Revenue.
D. Uneamed revenue.
E. Accounts receivable.
The account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
The following information is relevant:
The dividend contains the normal debit balance and the same is to be shown under the stockholder equity statement.The salary expense is to be shown under the income statement and contains a normal debit balance.The revenue is to be shown under the income statement & contains a normal credit balance.Unearned revenue is a liability account and contains a normal credit balance. Also, it is to be shown under the balance sheet.The account receivable is an asset account & it contains a normal debit balance. Also, it is to be shown under the balance sheet.Therefore we can conclude that the account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
Learn more about the balance sheet here: brainly.com/question/22988522
which manager designs the product in a business
Answer:
Product Design Management (PDM)Explanation:
Product Design Management (PDM) is one of the most important elements in the successful business of designing innovative products for production.Evidence supporting the high moral-hazard costs associated with unemployment insurance (UI) could include the following EXCEPT:
a) More layoffs among partially-rated firms
b) Workers finding higher quality jobs when employment resumes
c) Higher UI benefits associated with longer duration of unemployment
d) States with more generous UI benefits having higher unemployment rates
Evidence supporting the high moral-hazard costs associated with unemployment insurance (UI) includes options a, c, and d. Option b, on the other hand, suggests that workers find higher quality jobs when employment resumes, which does not support the high moral-hazard costs associated with UI.
Moral hazard refers to the idea that individuals may engage in riskier behavior when they are protected from some of the negative consequences of that behavior. In the case of UI, this could mean that workers may be more likely to engage in behaviors that increase their chances of becoming unemployed, such as quitting a job without having another lined up, or not putting as much effort into finding a new job while receiving UI benefits.
Option A suggests that firms may be more likely to lay off workers if they know that those workers will be able to receive UI benefits. This could increase the number of layoffs, which would be a negative consequence of the moral hazard associated with UI. Option c suggests that the longer workers are able to receive UI benefits, the less motivated they may be to find a new job, which could prolong their unemployment. Option d suggests that states that offer more generous UI benefits may have higher unemployment rates, potentially indicating that UI is encouraging more people to remain unemployed for longer periods of time.
Option b, however, suggests that workers may actually find higher-quality jobs when they resume employment. This would be a positive outcome and would not support the idea of high moral-hazard costs associated with UI.
Learn more about unemployment insurance: https://brainly.com/question/31953415
#SPJ11
Can you outsmart me test? I will give you 20 brainly points!
Answer:
Yes I can outsmart you :)
Explanation:
Which Finance career pathway includes helping people create and manage budgets and calculate taxes?
A: Business Financial Management
B: Banking Services
C: Financial and Investment Planning
D: Insurance Services
Answer:
b
:)
Explanation:
Answer:
The Answer is C
Explanation:
Im sure its C
With relevant examples, interrogate the concept of corporate planning.
Corporate planning refers to the process of formulating, implementing, and monitoring company strategies and plans to achieve corporate objectives. It is a long-term approach that evaluates a company's current position and future goals. A corporation's survival and success rely heavily on effective corporate planning.
Explanation:
Corporate planning is critical because it establishes the company's direction and provides a framework for decision-making. It aids in the achievement of the company's objectives by providing guidance, focus, and clarity. The company's mission, vision, and values are essential components of corporate planning.
- Corporate planning refers to the process of formulating, implementing, and monitoring company strategies and plans to achieve corporate objectives.
- It is critical because it establishes the company's direction and provides a framework for decision-making.
- The company's mission, vision, and values are essential components of corporate planning.
Examples:
1. A company may use corporate planning to expand its operations into a new market by developing a marketing strategy that takes into account market demand, competition, and consumer preferences.
2. A company may engage in corporate planning to improve its financial performance by devising strategies to increase revenue, reduce costs, and improve profitability. For example, it may choose to invest in new technology or reduce employee turnover to achieve its goals.
3. Corporate planning may be utilized to manage risks by developing contingency plans to respond to unanticipated events such as economic downturns or natural disasters.
The company's mission, vision, and values are essential components of corporate planning. A company may use corporate planning to expand its operations into a new market, improve financial performance, or manage risks. Effective corporate planning aids in the achievement of company objectives by providing guidance, focus, and clarity. Therefore, companies must engage in corporate planning to remain competitive and achieve long-term success.
To know more about planning visit:
https://brainly.com/question/30522410
#SPJ11
Insurance sales, tax preparation, personal financial advising, and investment fund management are careers in which workers can be self-employed. Which careers have the highest and lowest self-employment rates?
Insurance sales has the highest rates, and tax preparation has the lowest rates.
Personal financial advising has the highest rates, and investment fund management has the lowest rates.
Investment fund management has the highest rates, and insurance sales has the lowest rates.
Tax preparation has the highest rates, and personal financial advising has the lowest rates.
Answer:
Its B got it right on the test
Explanation:
The careers that have the highest and lowest employment rates are the personal financial advising a the has the investment fund management. Hence the option B is correct.
Want is an insurance sale?An insurance sale is a type of sale that is done by the salesman who is an employee of the insurance company and his job is to advise to sell the insurance policies and thus is responsible for the point of financial advisory. It is thus necessary to rely on the advice of the salesman.
Find out more information about the insurance sales:
brainly.com/question/13879368
Write down two or three ways you compare yourself to others.
PLEASE HELP IT DUE TODAY
What are stakeholders from Monopolistic competition, oligopoly, and monopoly?
Explanation:
Monopolistic competition
Monopolistic competition, many seller that differentiated products - products that differ slightly but sever similar purpose. By making consumer aware of product difference, seller exert some control over price.
Oligopoly
In an oligopoly, a few sellers supply sizable portion of products in the market. They exert some control over price, but because their products are similar, when one company lowers prices, the others follow .
Monopoly
In a monopoly, there is only one seller in the market. The market could be a geographical area, such as a city or a regional area, and does not necessarily have to be añ entire country. The single seller is able to control prices
Mark me as brilliant answer