Answer: The layer that is not included in the model of business-driven convergence is enterprise services i.e, option A
Explanation:
The model of business-driven convergence includes three layers, which are communications infrastructure, network infrastructure, and applications. Enterprise services are not a part of this model.
To know more about business-driven convergence, refer to this link: https://brainly.com/question/31748303
The answer to your question is D. Application is not one of the four layers in the model of business-driven convergence.
The model of business-driven convergence is a framework that helps organizations to align their business and IT strategies. It is composed of four layers, each of which plays a crucial role in achieving this alignment.
Know more about the infrastructure
https://brainly.com/question/31146495
#SPJ11
a newspaper reports that in an urban area the average price of new homes had decreased, but the number of new homes sold had increased. this situation would best be explained by a(n) . . . . .
This situation would best be explained by a decrease in demand.
What is a demand? Needed and sought after by many, tickets for their concerts are always in great demand. Our city needs good plumbers. Common synonyms for demand include demand, exactness and demand. All of these words mean to request or demand something as justified or necessary, but request implies determination and tenacity, often making requests that are seen as commands. means the right to do recognized payment of a debt. As more buyers are available in the market, aggregate demand increases.For example, if more people were able to buy yachts, the market size and demand for yachts would increase. If fewer people can afford to buy a yacht, the market and demand will decrease.To learn more about demand from the given link :
https://brainly.com/question/14456267
#SPJ4
the length of time for which a business summarizes its financial information and reports its financial performance.
The length of time for which a business summarizes its financial information and reports its financial performance is called a fiscal period.
What is a fiscal period?A fiscal period or fiscal year can be defined as a 12-month period in which a business entity will account for all transactions dealing with that particular company. The 12-month period does not necessarily coincide with the calendar year or January 1st to December 31st. The fiscal period concept is used by companies since it is easier to calculate the financials if the company financials is similar to the natural business cycle of the company.
Fiscal periods are a type of classification record, which states that they exist in a hierarchy.
Learn more about fiscal, here:
https://brainly.com/question/11567873
#SPJ1
Why do some employers forbid employees to use instant messaging (im) and texting?.
B) Some employers consider IM and texting distractions therefore employers forbid employees to use instant messaging (im) and texting.
Which of the following is the best recommendation for texting or instant chatting at work?Make sure to proofread your messages and use good grammar and spelling. To be more effective, combine your personal and business relationships into one contact list.
Instant messaging differs from text messaging in that it doesn't rely on the cellular phone service provided by your carrier to send messages. Instead, it makes use of any internet connection together with a messaging software. Data or Wi-Fi connections are both acceptable. Like MMS, instant messaging also includes multimedia, including photographs and videos.
A) Because texting is virtually and definitely cheaper than a fax or a phone call.
C) Because a text and an e-mail are virtually instantaneous and it cannot be argued that either one or the other are faster/slower.
D) is wrong because such federal regulation does not exist.
To know more about instant messaging (im) and texting, refer:
https://brainly.com/question/9425825
#SPJ4
savon was suprised to learn that when his business grew and he needed to order more raw materials, the costs of materias and units production were less per item, this demonstrates the concept of
Based on the fact that Savon's business saw less individual costs as the company grew, this is the concept of Economies of Scale.
What is Economies of scale?
It is a phenomenon that is observed when a company grows larger and becomes more efficient.
It is noted that the more goods are produced, the less the individual costs of these goods because the costs will be spread out over more goods than before.
In conclusion, this is economies of scale.
Find out more on economies of scale at https://brainly.com/question/972118.
When a company’s resources are valuable, rare, imperfectly imitable, and nonsubstitutable, it has a:________
When a company’s resources are valuable, rare, imperfectly imitable, and non substitutable, it has a Sustainable Competitive Advantage.
Sustainable competitive advantages are a set of those assets, characteristics, or capabilities which allow an organization to meet the customer needs better than its competition can.
Sustainable competitive advantages are difficult to make duplicate or replicate.
The competitive advantage is what we, our company, or our department does better than anyone else. The sustainable part refers to the ability to continue doing those things long-term.
And if a person can have more than one advantage, and one can also develop advantages. However, one don’t have to possess them all now.
To know more about competitive advantage here:
https://brainly.com/question/5647002
#SPJ4
The previous graph you constructed should show that net exports from Japan would be negative if the price of yen increased to a high enough level,
such as an amount greater than $10 per 1,000 yen. If you convert this price into the form typically quoted in the newspaper, this price corresponds to_____yen per dollar.
Answer:
0.1 yen per dollar? if i got it wrong sorry
Explanation:
Since 10 divided by 1000 would be 0.1 yen wait is it the other way around?
During the taking of its physical inventory on December 31,2008, Genesis company incorrectly counted its inventory as $126,000 instead of the correct amount of $135,000.
Explanation:
Given:
Wrong inventory needed = $126,000
Right inventory need to recorded = $135,000
Correct amount need to record = 135,000 - 126,000
Correct amount need to record = $9,000
Journal entry
Purchase A/c dr 9,000
To Credit or cash A/c 9,0000
the partnership agreement of j. patel and s. moon reflects differences in service and capital contributions as follows: (1) annual salary allowances of $50,000 to patel and $30,000 to moon; and (2) equal share of any remaining balance of income or loss. in the first year, the partnership makes $100,000. the income allocated to patel would be $
the income allocated to patel would be $ 60000 at an annual salary allowances of $50,000 and $30,000 to moon.
given data,
annual salary allowances = $50,000
Remaining income = $10,000
total income = $50,000 + $10,000
= $ 60000
Salary Allowances are any financial compensation that a company provides to employees in excess of the base wage for meeting expenses. The additional financial advantage granted to an employee over and above their monthly wage is known as an allowance. Salary is defined as the money an employee receives in cash, kind, or in the form of a benefit from their company. What do allowances mean? In addition to wages, a company may provide an employee an allowance on a regular basis. As an illustration, consider tiffin allowance, transportation allowance, uniform allowance, etc. Allowances come in three different flavours. Included in these three categories of allowances are non-taxable, partially taxable, and taxable amounts.
learn more about Salary Allowances here
https://brainly.com/question/15650227
#SPJ4
Question
In the Newsela article “Health Benefits of Reading, Writing, Are Not Just for Patients," how does the author develop the central ideas that empathy is important to mental health and that reading and writing help foster empathy?
A, by relating first-hand experiences of people who have developed stronger empathy
B, by relating first-hand experiences of people who have developed stronger empathy
C, by implying that people who can use their imaginations creatively typically treat other people nicely
D, by implying that people who can use their imaginations creatively typically treat other people nicely
Answer:
dos so56 divid4 respuest 89
Pqs reported equipment tk. 50,000 and tk. 35,000 respectively as on december 31, 2020, and december 31, 2019. the corresponding accumulated depreciation was tk. 12,000 and tk. 8,000. during 2020, pqs sold a piece of equipment for tk. 5,000 (associated accumulated depreciation was tk. 3,000) resulting in a loss of tk. 2,000. determine the following amounts for 2020. (a) depreciation expense. (b) equipment purchase.
The following amounts (Depreciation Expense and Equipment Purchase) for 2020 reported by Pqs are:
a) Depreciation Expense for the year is tk. 7,000.
b) Equipment Purchase for the year is tk. 25,000.
How is the depreciation Expense determined?The depreciation expense is the difference between the current year's accumulated depreciation and last year's accumulated depreciation.
The above holds when there is no disposal. However, with disposal, the value of the accumulated depreciation for the sold item should be factored into the computation.
Data and Calculations:December 31, 2020 December 31, 2019
Equipment tk. 50,000 tk. 35,000
Accumulated Depreciation tk. 12,000 tk. 8,000
Sale of equipment during 2020 = tk. 5,000
Accumulated Depreciation of sold equipment = tk. 3,000
Loss from the sale of the equipment = tk. 2,000
Cost of equipment = tk. 10,000 (5,000 + 3,000 + 2,000)
Increase in Accumulated Depreciation (Depreciation Expense) = tk. 7,000 (12,000 - 8,000 + 3,000)
Equipment purchase = tk. 25,000 (50,000 - 35,000 + 10,000)
Thus, the Depreciation Expense for the year is tk. 7,000 while the Equipment Purchase for the year is tk. 25,000.
Learn more about depreciation and accumulated depreciation at https://brainly.com/question/1287985
#SPJ1
Double coincidence of wants is avoided if money is used as a:
A. medium of exchange.
B. measure of value.
C. standard of deferred payment.
D. store of value
Double coincidence of wants is avoided if money is used as a medium of exchange. Correct option is A).
Money serves as a medium of exchange, enabling transactions to occur without the need for a double coincidence of wants. In a barter system, where goods and services are directly exchanged, both parties must have what the other desires, creating a double coincidence of wants. However, when money is introduced, it becomes a universally accepted medium of exchange, simplifying transactions and eliminating the need for direct bartering.
Money as a medium of exchange facilitates trade by acting as a commonly recognized medium for buying and selling goods and services. It serves as an intermediary in transactions, allowing individuals to exchange their goods or services for money, which can then be used to acquire other desired goods or services from different parties.
Learn more about exchange here:
https://brainly.com/question/30461560
#SPJ11
Assume the economy is operating at P1Y2.
Which of the following would cause a shift to bring the economy to P3Yf?
Real wages fall.
Productivity increases.
Personal income taxes increase.
Transfer payments decrease.
A major hurricane hits the southeastern United States.
The decrease in aggregate demand would also reduce productivity and lead to a decrease in output and employment.
What is employment?Employment is an agreement between two parties, usually based on a contract, where work is exchanged for compensation, such as wages, salary, or commission. Employment is typically for a fixed period of time, and the employer usually has the right to dismiss an employee for a legitimate reason. Employment typically involves an exchange of services, knowledge, skills and experience for remuneration. Employment can be either full-time, part-time, or casual, depending on the type of job and the agreement between the employer and the employee.
A major hurricane hitting the southeastern United States would cause a shift to bring the economy to P3Yf as it would reduce aggregate demand in the affected areas, resulting in a decrease in consumption and investment spending. This would lead to a contraction in output and employment, resulting in a decrease in real wages, a decrease in transfer payments, and an increase in personal income taxes.
To learn more about employment
https://brainly.com/question/29318513
#SPJ1
Solve applications in business and economics using integrals. If the marginal cost of producing x units is is given by C'(x) = 8x, find the total cost of producing the first 20 units
The total cost of producing the first 20 units is $1600. we need to integrate the marginal cost function C'(x) = 8x with respect to x.
The integral of C'(x) gives us the total cost function C(x). Integrating 8x with respect to x gives us:
C(x) = ∫8x dx = \(4x^2\) + C
Where C is the constant of integration.
To determine the value of C, we can use the information that the total cost of producing 0 units is $0 (assuming no fixed costs). Substituting x = 0 and C = 0 into the total cost function:
C(0) = \(4(0)^2\) + C
0 = 0 + C
C = 0
Now we have the total cost function:
C(x) = \(4x^2\)
To find the total cost of producing the first 20 units, we substitute x = 20 into the total cost function:
C(20) = \(4(20)^2\) = 1600
Learn more about integrals in business and economics here:
https://brainly.com/question/30094702
#SPJ11
Which money market security is defined as short-term funds transferred between financial institutions, often for no more than one day
Answer: Federal Funds
Explanation:
The Fed requires that some financial institutions keep a certain proportion of their deposits with the Fed called a reserve requirement. Sometimes, on a daily basis, some financial institutions may not be able to meet up with this requirement whilst other exceed it.
When this happens, those with the excess can return lend those who don't have enough. This is called Federal funds and usually lasts for no more than one day.
What economic system is “prices by the government”?
there is a project with the following cash flows : year cash flow 0 −$ 29,300 1 8,600 2 8,500 3 7,900 4 6,700 what is the payback period?
The payback period for this project is approximately 3.64 years.
To calculate the payback period of a project, we need to determine the amount of time it takes for the cumulative cash inflows to equal the initial investment (cash outflow). In this case, the initial investment is -$29,300, and the cash inflows for each year are $8,600, $8,500, $7,900, and $6,700 for years 1, 2, 3, and 4, respectively.
We can calculate the cumulative cash inflows for each year as follows:
Year 0: -$29,300
Year 1: -$29,300 + $8,600 = -$20,700
Year 2: -$20,700 + $8,500 = -$12,200
Year 3: -$12,200 + $7,900 = -$4,300
Year 4: -$4,300 + $6,700 = $2,400
The payback period is the time it takes for the cumulative cash inflows to equal the initial investment. In this case, the cumulative cash inflows reach -$29,300 at the end of Year 3 and turn positive in Year 4. Therefore, the payback period is 3 years plus the fraction of the fourth year required to recover the initial investment, which is:
Payback period = 3 + ($4,300 / $6,700)
Payback period = 3.64 years (rounded to two decimal places).
Learn more about investment here:
https://brainly.com/question/15105766
#SPJ11
Explain the present value concept by completing the following sentence:
A person can use the present value concept to calculate how much money he has to invest (today, tomorrow) in order to have a specific sum of money in the (present, future).
A person can use the present value concept to calculate how much money they need to invest today in order to have a specific sum of money in the future.
The present value is the current value of a future sum of money, taking into account the time value of money and the potential earning power of that money if it were invested.
The present value concept assumes that money has a time value, meaning that the value of money changes over time due to factors such as inflation and the potential for investment returns. Therefore, money that will be received in the future is worth less than the same amount of money received today.
To calculate the present value, a person must know the future sum of money they want to receive, the time period in which they want to receive it, and the expected rate of return on their investment. By discounting the future sum of money back to its present value, using an appropriate discount rate, a person can determine how much money they need to invest today to reach their future financial goal.
To learn more about present value
https://brainly.com/question/17322936
#SPJ4
HELP PLEASE If in response to an increase in investment of $5 billion, equilibrium output rises by a total of $20 billion, then the marginal propensity to consume is
A) .8
B) .75
C) .7
D) .6
E) .85
Answer:
Pretty sure its B
Explanation:
lets say you have 20 take away 75% of 20 and your left with 5. every 5 Billion is 25%
Answer:
0.75 took the test
Explanation:
Recent research by financial economists has found that the reward for beta ______ was less than predicted by the CAPM when they applied the model to the _____ world data
Recent research by financial economists has found that the reward for beta risk was less than predicted by the Capital Asset Pricing Model (CAPM) when they applied the model to the real-world data.
The CAPM is a widely used model in finance that suggests that the expected return on an asset is proportional to its beta, which measures its sensitivity to market movements. According to the CAPM, higher beta assets should command higher expected returns to compensate investors for the additional risk they bear.
However, empirical studies have shown that the actual returns of stocks with high betas have been lower than what the CAPM would predict. This discrepancy suggests that other factors beyond beta influence stock returns and that the CAPM may not fully capture the complexities of real-world markets. Researchers have identified various factors such as size, value, momentum, and profitability, among others, that can explain the differences in returns and provide a more accurate understanding of asset pricing.
In summary, recent research has found that the reward for beta risk was lower than expected when applying the CAPM to real-world data, indicating the presence of additional factors influencing asset returns.
To learn more about economists
https://brainly.com/question/17996535
#SPJ11
It is a poor investment to have a certain amount of money set aside for emergencies.T F
Answer: Having a certain amount of money set aside for emergencies is not a bad investment.
Explanation: An emergency fund is an essential component of personal financial management. While an emergency fund may appear to be a passive investment, its purpose is to provide financial security and protection against unforeseen circumstances. Individuals can lessen the impact of unexpected expenses such as medical bills, car repairs, or job loss by setting aside a specific amount of money for emergencies.
To begin with, an emergency fund serves as a safety net, allowing people to avoid going into debt or relying on high-interest loans when faced with unexpected financial burdens. It provides financial stability and peace of mind by providing a financial cushion to fall back on in times of crisis.
Having an emergency fund can also help you achieve your long-term financial goals. Individuals who keep emergency funds on hand can continue to focus on other financial goals, such as saving for retirement, education, or investments, without fear of depleting their savings in the event of an unforeseen event.
To learn more about poor investment,
https://brainly.com/question/30081607
invest for who you are and more advice for millennials
Answer:
Preach
Explanation:
Happy Harry Hoskins and Crabby Cynthia Crowders are organizing Red Lodge Metals Unlimited, Inc., to undertake a high risk gold mining venture in Canada. Mr. Hoskins and Ms. Crowders tentatively plan to request authorization for 400,000,000 shares of common stock to be sold to the general public. Mr. Hoskins and Ms. Crowders have decided to establish par value at $0.03 per share in order to appeal to a wide variety of potential investors. They believe that investors would be more willing to invest in a company if investors received a large quantity of shares for what might appear to be a "bargain" price. Discussion: Are Mr. Hoskins and Ms. Crowders acting ethically?
The ethicality of Mr. Hoskins and Ms. Crowders' actions depends on their adherence to regulations, disclosure of accurate information, and ensuring transparency in the stock offering process.
On one hand, their intention to appeal to a wide range of potential investors by offering a seemingly low-priced stock could be seen as a strategic marketing move to attract more investment.
They believe that this approach would make investors perceive the shares as a "bargain" and thus be more inclined to invest. From a business perspective, this strategy might be considered a shrewd and legal tactic to maximize their chances of raising capital for their high-risk gold mining venture.
However, from an ethical standpoint, there are concerns to be addressed. Setting a par value significantly lower than the actual value of the shares could be seen as misleading or deceptive to potential investors.
It may create an impression of undervaluation, potentially leading to investors making uninformed decisions based on an inaccurate perception of the shares' worth.
Ethical business practices typically involve transparency and providing accurate information to investors, allowing them to make informed decisions.
Ultimately, the ethicality of Mr. Hoskins and Ms. Crowders' actions depends on their adherence to regulatory requirements, disclosure of accurate information, and their intent in setting the low par value.
They should ensure that investors are not misled or deceived and that the overall communication and conduct surrounding the stock offering are transparent and fair.
To learn more about ethicality
https://brainly.com/question/13969108
#SPJ11
Santiago company incurs annual fixed costs of $66,000. variable costs for santiago's product are $34 per unit, and the sales price is $50 per unit. santiago desires to earn an annual profit of $34,000. required use the contribution margin ratio approach to determine the sales volume in dollars and units required to earn the desired profit.
Answer: 6250
Explanation:
From the question, we are informed that Santiago company incurs annual fixed costs of $66,000. variable costs for santiago's product are $34 per unit, and the sales price is $50 per unit. santiago desires to earn an annual profit of $34,000.
The contribution margin ratio approach to determine the sales volume in dollars and units required to earn the desired profit for thus:
Contribution margin ratio = (Sales price - Variable cost)/Sales price
= (50-34)/50
= 16/50
= 0.32
Sales = (66,000 + 34,000)/0.32
= 100,000/0.32
= 312,500
Sales volume in units will be sales divided by price. This will be:
= 312,500/50
= 6250
The Sales volume in dollars and units required by Santiago Company to earn the desired profit of $34,000 annually are $312,500 and 6,250 units, respectively.
Data and Calculations:
Fixed costs = $66,000
Variable cost per unit = $34
Sales price per unit = $50
Contribution margin per unit = $16 ($50 - $34)
Contribution ratio = 32% ($16/$50 x 100)
Target profit = $34,000
Sales volume to earn target profit = (Fixed costs + Target Profit)/Contribution margin per unit
= ($66,000 + $34,000)/$16
= 6,250 units
Sales value to earn target profit = (Fixed costs + Target Profit)/Contribution ratio
= ($66,000 + $34,000)/32%
= $312,500
Learn more: https://brainly.com/question/24170559
______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
Danica is a sales professional who is assigned accounts after first sales are closed. Her job is to remain in contact with the customers, develop their business relationships, and look for new sales opportunities from the needs of those customers. Which type of sales professional is Danica?
Question 2 options:
missionary seller
technical seller
sales farmer
sales hunter
Danica is a technical seller.
What is a technical seller?
The Technical Sales Representative will act as a liaison between the company deals platoon and guests, furnishing information, service, conservation, and repairs related to bought equipment. As a specialized deals representative, it's important to have interpersonal chops, problem-working chops, product knowledge, the capability to accept rejection, and the capability to work with a deals platoon. Specialized deals directors have some of the loftiest paid specialized deals jobs; according to Payscale, these directors earned a normal of$,000 and a normal of$,150 in 2022, and educated professionals in this part earned a normal of roughly$,000. Specialized salesmen must ask questions in order to determine those requirements. For illustration, a computer salesman might ask what a client intends to do with the computer. However, the salesman knows that he should try to vend an important computer If the client plans to use the computer for videotape editing.
To learn more about technical seller click on the given link:
https://brainly.com/question/29346244
#SPJ1
Chilton, Inc. sold 12.400 units last year for $20 each. Variable costs per unit were $2.00 for direct materials, $3.10 for direct labor, and $3.00 for variable overhead. Fixed costs were $60,100 in manufacturing overhead and $40,700 in nonmanufacturing costs. a. What is the total contribution margin? (Round your intermediate calculations to 2 decimal places.) Total Contribution Margin 12 b. What is the unit contribution margin? (Round your answer to 2 decimal places.) Unit Contribution Margin c. What is the contribution margin ratio? (Round your intermediate calculations and final answer to 2 decimal places.) Contribution Margin Ratio % d. If sales increase by 2,180 units, by how much will profits increase? (Round your intermediate calculation to 2 decimal places and final answer to the nearest dollar amount.) Profits Increase
a. Total contribution margin: $161,200. (Explanation: Subtract total variable costs from total sales revenue.)
b. Unit contribution margin: $11.20. (Explanation: Divide total contribution margin by the number of units sold.)
c. Contribution margin ratio: 64.92%. (Explanation: Divide total contribution margin by total sales revenue and multiply by 100.)
d. Profit increase: $24,416. (Explanation: Multiply the increase in units sold by the unit contribution margin.)
Total contribution margin:
a. The total contribution margin is calculated by subtracting the total variable costs from the total sales revenue. In this case, the total contribution margin is $161,200.
b. The unit contribution margin is determined by dividing the total contribution margin by the number of units sold. It provides the amount of contribution per unit. The unit contribution margin is calculated to be $11.20.
c. The contribution margin ratio is found by dividing the total contribution margin by the total sales revenue and multiplying by 100 to express it as a percentage. The contribution margin ratio is 64.92%.
d. To calculate the increase in profits resulting from a sales increase, we multiply the increase in units sold by the unit contribution margin. In this case, if sales increase by 2,180 units, the profit will increase by $24,416.
Chilton, Inc. has a total contribution margin of $161,200, which represents the amount available to cover fixed costs and contribute to profits. The unit contribution margin is $11.20, indicating the contribution per unit sold. The contribution margin ratio of 64.92% shows the proportion of sales revenue available as contribution. Finally, if sales increase by 2,180 units, the profit will increase by $24,416.
Learn more about margin here;
brainly.com/question/31478292
#SPJ11
Question 2 (1 point)
Huda wants to buy soda. A 12-pack costs $9.50. She knows that with the local sales
tax of $2.00, the total should be $11.50. However, when she gets to the checkout,
the total is now $13.00. Which type of tax is Huda MOST likely paying that would
explain the extra $1.50?
estate
excise
inheritance
O income
Question 3 (1 point)
Answer:
$2:00,o income $ 1:50 huda soda most type that tax 3)1 point )
What is money that a borrower owes a lender?
credit
O debt
O income
O loan
Answer: loan.
Explanation:
All of the following are eligible investments in a traditional IRA except
A) platinum bullion.
B) limited partnerships.
C) collectibles.
D) shares of a municipal bond fund.
Answer:
C) collectibles
Explanation:
g) Recovery schedule is a: i. A schedule prepared by the contractor to recover lost costs. ii. A schedule prepared by the owner and given to the contractor to make adjustments in the work plan. iii. A schedule prepared by the contractor after the project had fallen behind with adjustments that expedite the remainder of the project to ensure a timely finish. iv. None of the above.
Answer: iii. A schedule prepared by the contractor after the project had fallen behind with adjustments that expedite the remainder of the project to ensure a timely finish
Explanation:
The recovery schedule is a method of recovering time by the contractor. Just like the progress schedule, it should be noted that the recovery schedule is the responsibility of a contactor.
Therefore, it is a schedule prepared by the contractor after the project had fallen behind with adjustments that expedite the remainder of the project to ensure a timely finish.