Labor charges that cannot be easily traced to a job are considered direct labor cost. So the correct option is (b).
What is Direct labor cost?
Wages paid to employees directly related to producing goods or rendering customer services are referred to as direct labor costs. The overall direct labor cost exceeds wages paid by a significant amount. It also includes any payroll taxes related to those salaries, as well as the cost of any additional corporate benefits such as medical, life, and workers' compensation insurance that are paid for by the employer. If staff work on a variety of different items, this might be a significant task.
Therefore correct answer is (b).
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What sum deposited today at 7?% compounded annually for 18 years will provide the same amount as $1800 deposited at the end of each year for 18 years at 9?% compounded annually?What sum would have to be deposited today at 7?% interest compounded?annually?The answer is $ 21,995.24. This is the correct answer, as it shows in the picture. How do you get this answer?? Please show how you got it!
The sum that needs to be deposited today at 7% interest compounded annually to provide the same amount as $1800 deposited at the end of each year for 18 years at 9% compounded annually is $8,248.64.
To solve this problem, we need to use the concept of present value and future value of money. We can calculate the present value of the $1800 deposited at the end of each year for 18 years using the formula:
PV = PMT x (1 - (1 + r)^-n) / r
where PV is the present value, PMT is the payment made each year, r is the interest rate per period, and n is the number of periods.
Substituting the values given, we get:
PV = 1800 x (1 - (1 + 0.09)^-18) / 0.09
PV = 1800 x (1 - 0.166) / 0.09
PV = $15,760.12
So the amount that needs to be deposited today at 9% interest compounded annually to get the same amount as $1800 deposited at the end of each year for 18 years at 9% compounded annually is $14,216.10.
To calculate the sum that needs to be deposited today at 7% interest compounded annually, we can use the formula:
PV = FV / (1 + r)^n
where FV is the future value, r is the interest rate per period, and n is the number of periods.
Substituting the values given, we get:
PV = FV / (1 + 0.07)^18
PV = FV / 4.572
FV = PV x 4.572
FV = $8,248.64
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amber is the director of marketing at her company. what best describes her role?
Formal role is the best describes her role. As amber is the director of marketing at her company.
What is Formal role?Formal roles are the externally visible, unambiguously assigned positions that are associated with particular duties and are frequently assigned in accordance with each person's position or aptitude. Members of a team will regularly do unofficial tasks that are more dependent on their personalities than on their knowledge or position.
These are a part of your formal duties as, for example, a trustee, team leader, volunteer at a charity store, or fundraiser because they are a part of your job description. Consider the "formal" component to be what you generally do or what you believe is needed of you if you didn't use employment or volunteer experience as your example.
Thus, it is Formal role.
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I really need to feed my dog guys please PLEASE!
anyone has cashapp? even 1 dollar would help.
cashapp- $dripxmarle2 PLEASE GUYS
Answer:
sorry I don't have any money but if your dog is hungry you shouldn't be asking for money on a homework app..
Vertical disintegration occurs when a company: a. uses its capital resources to purchase its competitor. b. takes advantage of another company it does business with after the other company has made a substantial investment in assets to meet the needs of the company. c. decides to exit industries to its core industry. d. decides to acquire its suppliers and distributors. e. decides to sell its business model to another company.
Answer:
b. takes advantage of another company it does business with after the other company has made a substantial investment in assets to meet the needs of the company.
Explanation:
Vertical disintegration occurs when a company takes advantage of another company it does business with after the other company has made a substantial investment in assets to meet the needs of the company.
A common or popular example of vertical disintegration is Hollywood because it comprises of specialized business firms that are saddled with the responsibility of performing specific tasks or services such as creating movie trailers, posters, editing, sound effects, special effects, lighting, etc.
Generally, vertical disintegration help business firms or organizations to share risk associated with doing business among themselves.
time is limeted
Which of the following steps should you take after attending a college fair?
A. Take a break from dealing with colleges for two weeks.
B. Call every college that was represented at the college fair.
C. Make a decision about which college to attend that night.
D. Continue to research colleges on your own.
Answer:
D
Explanation:
The steps that can be taken after the college fair is to continue researching colleges on your own. Therefore, Option D is correct.
What is research?Research can be defined as "creative and methodical activity done to improve the body of knowledge."
It entails gathering, organizing, and analyzing data in order to improve understanding of a subject or problem.
Therefore, The steps that can be taken after the college fair is to continue researching colleges on your own. Option D is correct.
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Formulas for comparing sale ties and buying power in a city
Answer:
Buying Power = Cash / Initial Margin Percentage
Explanation:
Buying power represents the actual will of the consumer to purchase goods. It is the sum of money which is available to the consumer in a city for purchase of goods and services. The consumer utility can be driven by purchasing power. It determines the ability of the people in a city or country to invest in the country's Gross Domestic Product.
One column of numbers consists of 28,42, and 14. When the digits of the numbers are added together, the result is 2+8+3+2+1+4+4=21, and when the digits of 21 are then added together, the end result is 2+1=3. If the same process is performed on the numbers in a second column, what can be concluded?
Answer:
D. If the end result from the second column is not 3, then the sum of the numbers in the first column is not equal to the sum of the numbers in the second column.
Explanation:
From the list of given options (see the comment section for options a - d), option (d) is correct.
To answer this question, we need to analyze each of the options
For (a):
The sum of numbers in both columns may be equal even if they are different.
Take for instance, the numbers in the second column is: 82, 42 and 14.
We have:
\(8+2+4+2+1+4=21\)
\(2 + 1 = 3\)
So, (a) is incorrect
For (b):
As shown in (a) above,
If both column contain the same numbers, then definitely the end result will be the same. So option (b) is incorrect and impossible
For (c):
This is not true.
In the first column, we have the sum of the first process to be 21 which ends up giving 3 (i.e. 2 + 1 = 3).
The result of the second column can be 12 which also gives 3 i.e. 1 + 2 = 3 (and 12 is not equal to 21)
So, (c) is also incorrect
For (d):
This is the only true option
If the end result is not three, then the results of the first process is not the same for both columns.
Answer:
If the end result from the second column is not 3 then the sum of the numbers in the first column is not equal to the sum of the numbers in the second colemn
Explanation:
For me it was B but read very closly
on september 1, ziegler corporation had 55,000 shares of $5 par value common stock, and $165,000 of retained earnings. on that date, when the market price of the stock is $15 per share, the corporation issues a 2-for-1 stock split. the general journal entry to record this transaction is:
The general journal entry to record this transaction is None. No transactions will be recorded.
74,000 common shares at $5 a piece stock
profits kept of $222,000
Corporation had 55,000 shares of $5 par value common stock, and $165,000 of retained earnings.
A company splits its shares two for one.
This transaction's general journal entry will be NONE. For this transaction, there is no journal entry. The 2-for-1 stock split will only be noted in a memo item.
No entry is made because the overall dollar amount stays the same.
A memorandum entry is a brief statement that is both entered into the general journal and a general ledger account. There is no debit or credit amount.
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Elora Inc. owns equipment that it purchased on January 1, 2019, for $100,000. The machine has a ten-year useful life and no residual value. The straight-line depreciation is being used. The company uses the revaluation model to account for its property, plant, and equipment every two years. On the revaluation date, at December 31,2020 , the machine has a fair value of
$
88,000. Required: Using the revaluation model, prepare the entr(ies) to adjust the asset's carrying amount to fair value. You can use either the asset adjustment method or the proportionate method.
Elora Inc. needs to adjust the carrying amount of its equipment to its fair value using the revaluation model. Given that the fair value of the machine on December 31, 2020, is $88,000, we will prepare the necessary entries to reflect this adjustment.
The revaluation model allows for the adjustment of an asset's carrying amount to its fair value, thereby providing more relevant information to the users of financial statements. In this case, the machine's carrying amount on December 31, 2020, is $100,000 (cost) minus the accumulated depreciation for two years, which would be $20,000 (straight-line depreciation of $10,000 per year for two years).
To adjust the carrying amount of the machine to its fair value, we need to increase or decrease the asset's value and update the accumulated depreciation accordingly. As the fair value of the machine is less than its carrying amount, we will decrease the carrying amount by the difference between the fair value and the original cost. The journal entry to adjust the carrying amount would be as follows:
Debit: Accumulated Depreciation - Equipment $20,000
Credit: Revaluation Surplus $12,000
Credit: Equipment $8,000
The debit to the Accumulated Depreciation account reduces its balance to reflect the adjustment, while the credits to the Revaluation Surplus and Equipment accounts decrease the carrying amount of the machine to its fair value of $88,000.
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In 18th century, what was the main reason of slow down of Indian Foreign Trade
Answer:
Introduction to India’s Foreign Trade:
Even being a typical poor underdeveloped country, India’s foreign trade was in a prosperous state during the period under review. In terms of volume of trade and the range of commodities entering into trading list, India was better placed compared to other contemporary underdeveloped countries. But that must not be viewed as an indicator of prosperity. Above all, her pattern of trade was definitely different from those of other underdeveloped countries.
India’s composition of trade (i.e., pattern of imports and exports) before 1813 included manufactured goods as well as primary articles in export list and metals and luxury products in the import list. But such pattern of trade was supplanted by the import of manufactured goods and exports of agricultural raw materials and food grains during much of the nineteenth and twentieth century. This must not be the sign of prosperity or cause for jubilation.
Explanation:
Rather, this situation generated much heat and controversy because, instead of being an engine of growth, foreign trade, as engineered by the British Government, exacerbated economic exploitation. It hampered the process of industrialization. It brought untold misery to the masses. Most importantly, of course partly the backwardness of Indian industry and agriculture is ‘the effect of its external trade which moulded into shape the productive mechanism of the country.’
To understand the nature of the controversy it will be fruitful to tell something about the history of India’s foreign trade during 1757 and 1947. The growth of foreign trade during the two centuries can be divided into following unequal periods: 1757 to 1813, 1814 to 1857, 1858 to 1914, and from 1915 to 1947.
The first period—the early years of the British East India Company (EIC)—is known as the ‘age of mercantilism’. During the period under consideration trade statistics is not available. However, some sort of institutional changes in trade took place during this period.
In the mid-18th century, Indian foreign trade was mainly conducted by the English, Dutch, French, and Portuguese traders and merchants. But the revolution of 1757 strengthened the supremacy of the British EIC. In the process, the EIC monopolized trade and ousted the other merchants and traders.
What government agency seeks to protect consumers and promote
competition?
O A. FTC
B. ITA
C. FDA
D. IRS
Help asap please
Answer:
A : the FTC
Explanation:
can i have brainliest pls
ok bye bye thank you
Do you agree that our society is more of a melting pot where our cultures
influence and change one another, or are we more of a tossed salad where
different cultures coexist but remain independent from one another? How
does this affect the job of a marketer or advertiser?
Answer:
I do agree that society is a melting pot because in almost all societies cultures mix. One example of this is the mestizo, people of European and Indian descent who mix both of their cultures in art and or architecture to show how they mix in real life.
Explanation:
What factors should a person consider when accepting a job?
1. location
2. pay
3. contents of job
4. working conditions
Question :Which statement best describes displacement? Check all that apply
Answer:2 , 3 5
Answer:
2
Explanation:
thats my guess
Suppose you have a portfolio made up of 25% Stock A, 35% Stock B, and 40% Stock C. Stock A has an expected return of 15% and a beta of 2.1, Stock B has an expected return of 12% and a beta of 1.7, and Stock C has an expected return of 5% and a beta of 0.5. What is the expected return and beta of your portfolio? LO4 O E[rp]=9.95%,βp=1.32
O E[rp]=8.54%,βp=1.35
O E[rp]=10.12%,βp=1.19
O E[rp]=8.25%,βp=1.08
Option (A) E[rp]=9.95%,βp=1.32 is correct.
Portfolio return is calculated by multiplying the expected return of each asset in the portfolio by the proportion of the portfolio invested in that asset. Portfolio beta is calculated by multiplying the beta of each asset in the portfolio by the proportion of the portfolio invested in that asset.
Using the given information:
Expected return of Stock A = 15%
Beta of Stock A = 2.1
Expected return of Stock B = 12%
Beta of Stock B = 1.7
Expected return of Stock C = 5%
Beta of Stock C = 0.5
Portfolio made up of 25%
Stock A, 35% Stock B, and 40% Stock C.
So, the expected return of the portfolio (E[rm]) can be calculated as:
E[rm] = (0.25 * 0.15) + (0.35 * 0.12) + (0.4 * 0.05
E[rm] = 0.0375 + 0.042 + 0.02
E[rm] = 0.0995 or 9.95%
Therefore, the expected return of the portfolio is 9.95%.
To calculate portfolio beta, the following formula can be used:
Portfolio beta = (Proportion invested in Stock A x Beta of Stock A) + (Proportion invested in Stock B x Beta of Stock B) + (Proportion invested in Stock C x Beta of Stock C)
Portfolio beta = (0.25 x 2.1) + (0.35 x 1.7) + (0.4 x 0.5)
Portfolio beta = 0.525 + 0.595 + 0.2
Portfolio beta = 1.32
Therefore, the expected return and beta of the portfolio are
E[rp]=9.95% and βp=1.32, respectively.
Option (A) E[rp]=9.95%,βp=1.32 is correct.
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The agreement ratio between people diagnosed as having a disorder and their relatives is defined as the _____ rate.
The agreement ratio between people diagnosed as having a disorder and their relatives is defined as the concordance rate.
What is concordance rate?Concordance rate is the likelihood or tendency that people that are blood related or people who shared the same heredity gene will be diagnosed with the same disorder or disease.
Example if a mother or father has diagnosed of having a disease such as cancer as cancer can be inherit their is the probability of the child to as well be diagnosed with same disease reason being that they shared the same gene or traits with their parents.
Inconclusion the agreement ratio between people diagnosed as having a disorder and their relatives is defined as the concordance rate.
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Which of the following is true when workers specialize in the production of one good
A) there is increased competition among the producers of similar goods
B) The quantity of output produced by the worker increases
C) The satisfaction of the worker increases
D) The cost of producing the good increases
The statement that is true when workers specialize in the production of one good is: A) there is increased competition among the producers of similar goods.
What is specialization?Specialization means to be an expertise when it comes to production of goods and service.
When employee are specialize in the production of goods it tend to lead to more competition between manufacturer that produce similar products.
Therefore the correct option is A.
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Elmo Enterprises is a ‘no-growth’ company whose EBIT is expected to remain constant at $2,600,000 per year in the future. All net income is paid out as dividends and Elmo can borrow at a constant kd 9% (i.e. regardless of the level of debt). If the firm sells debt, it uses all the proceeds to buy back ordinary shares, leaving the value of the firm’s assets constant. If no debt is used, the required return on equity is ks 13% . Unless otherwise stated, in what follows the assumptions of the original Modigliani-Miller model (1958) hold. (a) Firstly assume there are no taxes. (i) What is the value of the firm? (ii) What will be the value of the firm’s equity if it has $10,000,000 of debt?
The value of the firm is $20,000,000 and the value of its equity will be $10,000,000.
Under the assumptions of the Modigliani-Miller model, the value of the firm can be determined using the formula:
Given:
Value of the Firm = EBIT / ks
EBIT = $2,600,000
ks = 13%
(i) Worth of the Firm = $2,600,000/0.13
Worth of the Firm = $20,000,000
Thusly, the value of the firm is $20,000,000.
(ii) In the event that the firm has $10,000,000 of debt, the worth of the value can be determined as the contrast between the worth of the firm and how much obligation:
Value of Equity = Value of the Firm - Debt
Value of Equity = $20,000,000 - $10,000,000
Value of Equity = $10,000,000
Therefore, if the firm has $10,000,000 of debt, the value of its equity will be $10,000,000.
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(i) The value of the firm is $20,000,000.
(ii) The value of the firm's equity with $10,000,000 of debt is $10,000,000.
To calculate the value of the firm and the value of the firm's equity, we can use the Modigliani-Miller model under the assumption of no taxes. Let's calculate them step by step:
(i) Value of the firm:
According to the Modigliani-Miller model, the value of the firm is equal to the present value of its expected earnings before interest and taxes (EBIT), discounted at the firm's cost of equity.
Value of the firm = EBIT / ks
where EBIT = $2,600,000 (constant) and ks = 13% (cost of equity).
Value of the firm = 2,600,000 / 0.13
Value of the firm = $20,000,000
Therefore, the value of the firm is $20,000,000.
(ii) Value of the firm's equity with $10,000,000 of debt:
To calculate the value of the firm's equity, we need to subtract the value of debt from the value of the firm.
Value of equity = Value of the firm - Value of debt
Value of debt = $10,000,000
Value of equity = $20,000,000 - $10,000,000
Value of equity = $10,000,000
Therefore, the value of the firm's equity with $10,000,000 of debt is $10,000,000.
In summary:
(i) The value of the firm is $20,000,000.
(ii) The value of the firm's equity with $10,000,000 of debt is $10,000,000.
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Suppose the budget constraint is given by 200P + 50S = 400, where P is pizza and S is spinach. If the prices of S and P increase by 10% each then the budget curve will shift to the
A) Right with the same slope
B) left with the same slope
C) Right but the slope will be different than before
D) Left but the slope will be different than before
The price range curve has shifted to left with the same slope the same, therefore option B) left with the same slope is correct
The budget constraint is given with the aid of the equation 200P + 50S = 400. If the prices of P and S growth by 10% each, the new budget constraint can be written as:
220P + 55S = 400
We can simplify this equation by means of dividing both sides via five:
44P + 11S = 80
Evaluating this equation to the unique budget constraint, we will see that the intercept has reduced from 400 to 80, and the coefficients of P and S have both decreased with the aid of 10%.
Because of this the price range curve has shifted to the left but the slope remains the same.
Thus, Option B) left with the same slope is valid that's because the price range curve has shifted to the left with the same slope.
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What is a mechanism used to put a plan into action
what does the insurance term indemnity refer to
When an insurer pays a policyholder compensation for a covered loss or injury, the term indemnity is used.
The payment an insurer makes to a policyholder in the event of a covered loss or damage is referred to as indemnity. The goal of this compensation is to put the policyholder back in the same financial situation as before the loss occurred. According to this principle, the insured organization or a private individual must receive compensation so that the loss won't have an impact on their financial situation.
According to this principle, an individual/organization which is seeking insurance shouldn't be able to profit from the resulting loss. For example, if Laptops and computers are destroyed by office fires, thus the insurance provider would only pay out for the equipment's value rather than for a brand-new computer/laptop because doing so would indicate that the insured person or firm profited from the fire's effects.
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Why is it called Chick-Fil-A when a Fil-A (filet) is normally cooked with beef???
if expected inflation is constant, then when the nominal interest rate falls, the real interest rate group of answer choices falls by more than the change in the nominal interest rate. falls by the change in the nominal interest rate. rises by the change in the nominal interest rate. rises by more than the change in the nominal interest rate.
Expected inflation refers to the rate at which the general price level of goods and services is expected to increase over a period of time, for example, a year.
Real interest rate is the nominal interest rate adjusted for inflation, hence real interest rate = nominal interest rate - inflation rate. When expected inflation is constant, and the nominal interest rate falls, then the real interest rate will rise by more than the change in the nominal interest rate, as the inflation rate will remain constant while the nominal interest rate falls.
The real interest rate is important as it reflects the actual cost of borrowing, as it takes into account the impact of inflation. If the real interest rate is low, it can encourage consumers and businesses to borrow more, which can in turn lead to an increase in economic activity.
In conclusion, it can be deduced that when expected inflation is constant, and the nominal interest rate falls, the real interest rate will rise by more than the change in the nominal interest rate.
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Which of the following is a technological trend affecting consumer behavior?
O A. Using mobile devices
B. Having reference groups
O C. Meeting affiliation needs
O D. Evaluating purchases
Answer:using mobile devices
Explanation:
distinguish between supermarket and hypermarket (five points each)
Answer:
A Supermarket is a large store, but a Hypermarket is much bigger than a Supermarket. Hypermarkets store a higher number of FMCG products than a Supermarket.
A Rubis petrol station in Papine has hired a Utech graduate, Derval Watts to bring some order to the chaos that existed in the ordering and inventory control of lubricants. Derval called the finance department and was told that for the purpose of his analysis, the appropriate holding cost for lubricants is 24% per year. The demand per month is 208 cases. At a cost of $6.32 per case, the cost for ordering the lubricants is estimated to be $83 per order. Lead time is 5 days and petrol station is opened every day except Christmas day. a) How many cases of lubricants do you recommend that Derval orders every time he places an order. b) Determine the estimated holding cost; and ordering cost 4 c) Would it be true to say it takes Derval approximately 76 days between orders. Justify your answer d) How many orders will Derval have placed each year e) Determine the re-order point f) What can Derval expect his Total Annual cost to be
Answer:
Explanation:a) To determine the optimal order quantity, we can use the economic order quantity (EOQ) formula:
EOQ = sqrt((2 * demand * ordering cost) / holding cost)
EOQ = sqrt((2 * 208 * $83) / 0.24) ≈ 165 cases
Therefore, Derval should order approximately 165 cases of lubricants every time he places an order.
b) The estimated holding cost can be calculated using the formula:
Holding Cost = (EOQ / 2) * holding cost per case
Holding Cost = (165 / 2) * ($6.32 * 0.24) ≈ $119.23
The ordering cost is given as $83 per order.
c) No, it would not be true to say it takes Derval approximately 76 days between orders. To calculate the time between orders, we need to consider the lead time and the number of days the petrol station is open:
Days between orders = (EOQ / demand) * (lead time + 1) / (days open per month)
Days between orders = (165 / 208) * (5 + 1) / (30 - 1) ≈ 3.51 days
So, it takes Derval approximately 3.51 days between orders, not 76 days.
d) The number of orders Derval will have placed each year can be calculated by dividing the number of working days in a year by the days between orders:
Number of orders = 365 / (Days between orders)
Number of orders = 365 / 3.51 ≈ 104 orders
Therefore, Derval will place approximately 104 orders per year.
e) The reorder point is the level of inventory at which a new order should be placed. It can be calculated as:
Reorder Point = (demand * lead time) / (days open per month)
Reorder Point = (208 * 5) / (30 - 1) ≈ 35.86 cases
So, the reorder point is approximately 35.86 cases.
f) The total annual cost can be calculated by summing the ordering cost, holding cost, and the cost of purchasing the lubricants:
Total Annual Cost = (ordering cost * number of orders) + holding cost + (demand * cost per case)
Total Annual Cost = ($83 * 104) + $119.23 + (208 * $6.32)
Total Annual Cost ≈ $8,632.32
Therefore, Derval can expect his total annual cost to be approximately $8,632.32.
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Who is not a potential barrier when implementing a marketing plan? a Employees b Functional groups within the company c Customers d Marketing department
When it comes to implementing a marketing plan, there are several factors that may act as potential barriers. These obstacles can come in the form of both internal and external factors.
In this case, we are to identify which among the options provided is not a potential barrier when implementing a marketing plan. The options are Employees, Functional groups within the company, Customers, and Marketing department.
Among these options, the customer is not a potential barrier when implementing a marketing plan. The reason being that the customer is the target of the marketing plan. The success of the plan is largely dependent on the customer response. Therefore, it is important to identify the customer's needs and requirements when developing a marketing plan.
On the other hand, employees, functional groups within the company, and marketing departments may act as potential barriers to the implementation of a marketing plan. For instance, employees may lack the necessary skills and knowledge required for the marketing plan. In such a case, it is important to conduct training and development programs to enhance their skills.
Functional groups within the company, on the other hand, may have different priorities, goals, and objectives from the marketing plan. It is important to align these goals with the marketing plan to ensure the success of the plan. Lastly, the marketing department may face challenges in terms of budget, resources, and support from other departments. It is important to have a clear plan and budget for the marketing plan to ensure that the marketing department has the necessary resources and support.
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Why would you expect real GDP per capita in California and Pennsylvania to exhibit convergence but not in California and Baja California, a state of Mexico that borders the United States? A.California and Pennsylvania have different levels of federal government stability. B.California and Pennsylvania have different levels of real GDP, so they will eventually converge. C.California and Baja California are both parts of the United States. D.California and Pennsylvania share the same federal government and have similar factors that affect growth, making it easier for them to converge
We expect real GDP per capita in California and Pennsylvania to exhibit convergence because California and Pennsylvania share the same federal government and have similar factors that affect growth, making it easier for them to converge. (D)
Convergence refers to the tendency for economies with similar levels of development to grow at similar rates over time. This can be seen in the real GDP per capita of California and Pennsylvania, which are both part of the United States and share the same federal government. As a result, they have similar factors that affect economic growth, such as access to resources, infrastructure, and regulations. This makes it easier for them to converge over time, as they are likely to experience similar rates of growth.
In contrast, California and Baja California are not part of the same country and do not share the same federal government. Baja California is part of Mexico, which has different economic conditions and factors that affect growth. As a result, it is less likely that the real GDP per capita of California and Baja California will exhibit convergence, as they are subject to different economic conditions and factors that affect growth.
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Anyone know how to work powerpoint?
why do employers perfer employees with a good work ethic
Employers prefer employees with a good work ethic because they are reliable, productive, positive, professional, and motivated.
Employers like employees with good work ethics because they contribute to a positive work environment and help them get the job done efficiently and effectively. A good work ethic is characterized by a set of values and behaviors deemed important in the workplace, including: B. Reliability, punctuality, responsibility, dedication and professionalism.
Here are some reasons why employers prefer highly motivated employees:
Reliability: Employers want to know that their employees show up on time, complete tasks on time, and meet their obligations. Engaged employees are dependable and trustworthy, helping build trust between employers and employees.
Productivity: Employees with good work ethics are motivated to do their best and work hard to achieve their goals. This leads to increased productivity and better quality of work, benefiting both employees and employers.
Positive attitude: Employees with high work ethic tend to have a positive attitude and are more likely to be her team's players. They are happy to help their colleagues with additional responsibilities and go the extra mile to make sure their work is done well.
Professionalism: Employees with good work ethics are professional in their relationships with others and help create a positive work environment. maintain
Promotion: Employees with good work ethics are more likely to be recognized for their contributions and may be considered for promotion and other advancement opportunities. This will improve job satisfaction and income over time.
These qualities contribute to a positive work environment and help to ensure that work is completed efficiently and effectively.
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