elizabeth has not been given the same training as george and thomas in her firm even though they are all programmer iii status and came into the firm at the same time. this is an example of .

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Answer 1

Elizabeth has not been given the same training as George and Thomas in her firm even though they are all Programmer III status and came into the firm at the same time. This is an example of unfair treatment or discrimination.

Unfair treatment or discrimination is the unfair and unequal treatment of people based on different characteristics such as gender, race, age, religion, or sexual orientation. Unfair treatment may also include denying someone equal opportunities, benefits, or privileges at work because of their characteristics or traits.According to the situation provided, Elizabeth is not receiving the same training and development opportunities as her colleagues, George and Thomas, who have similar job titles and work experience as hers.

This situation is a perfect example of discrimination and unfair treatment. Discrimination is against the law and can result in serious consequences for an organization, including loss of productivity and reputation, legal consequences, and loss of staff morale.

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Related Questions

A firm has a higher quick (or acid test) ratio than the industry average, which implies
A. the firm has a higher P/E ratio than other firms in the industry.
B. the firm is more likely to avoid insolvency in the short run than other firms in the industry.
C. the firm may be less profitable than other firms in the industry.
D. the firm has a higher P/E ratio than other firms in the industry, and the firm is more likely to avoid insolvency in the short run
than other firms in the industry.
E. the firm is more likely to avoid insolvency in the short run than other firms in the industry, and the firm may be less profitable
than other firms in the industry.

Answers

The correct option is B. The firm is more likely to avoid insolvency in the short run than other firms in the industry. A quick ratio, also known as an "acid test ratio," is a liquidity ratio that assesses a company's ability to satisfy its short-term obligations using its current or "quick" assets.

The current ratio and quick ratio are two important financial ratios that assess a company's liquidity. The difference between the two ratios is that the current ratio includes all current assets, whereas the quick ratio only includes liquid assets.

A quick ratio that is greater than one is deemed acceptable. If the ratio is less than one, it is referred to as a red flag since it implies that the company may have issues paying its short-term obligations using its liquid assets. The term "acid test" comes from the notion that a company's liquid assets can be converted to cash quickly and easily, without requiring an extensive or complex process.

Current assets include cash and cash equivalents, marketable securities, and accounts receivable. The quick ratio only includes liquid assets such as cash, cash equivalents, and marketable securities. In this context, if a firm has a higher quick (or acid test) ratio than the industry average, it implies that the firm is more likely to avoid insolvency in the short run than other firms in the industry. So, option B is correct.

Here are the other options and their explanations:

A. The firm has a higher P/E ratio than other firms in the industry. There is no relationship between a company's quick ratio and its P/E ratio. Hence, this option is incorrect.

C. The firm may be less profitable than other firms in the industry. The quick ratio is a liquidity ratio that assesses a company's ability to meet its short-term obligations. As a result, it has nothing to do with the profitability of the company. Hence, this option is incorrect.

D. The firm has a higher P/E ratio than other firms in the industry, and the firm is more likely to avoid insolvency in the short run than other firms in the industry. There is no relationship between a company's Q/E ratio and its P/E ratio. Hence, this option is incorrect.

E. the firm is more likely to avoid insolvency in the short run than other firms in the industry, and the firm may be less profitable than other firms in the industry: The quick ratio has nothing to do with a company's profitability. So, this option is incorrect.

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your parents are buying a house for $187,500. they have a good credit rating, are making a 20% down payment, and expect to pay $1,575/month. the interest rate for the mortgage is 4.65%. how much interest is paid at the end of the second month? be sure to include the following in your response: the answer to the original question the mathematical steps for solving the problem demonstrating mathematical reasoning

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The answer to the original question the mathematical steps for solving the problem demonstrating mathematical reasoning on interest is "$590.16"


To calculate the interest paid at the end of the second month, we need to find the outstanding balance at the end of the first month and the end of the second month.

Using the information provided, here are the calculations:$187,500 (Purchase price)$37,500 (20% down payment)$150,000 (Amount financed)$1,575 (Monthly payment)$38,520 (First-year interest based on 4.65% interest rate)$1,601.00 (First-month interest = (4.65%/12) x $150,000 = $587.50. The interest is then added to the balance)$973.08 (First-month principal = $1,575.00 – $587.50.

This is the amount that will be applied to the balance)$149,026.92 (First-month outstanding balance = $150,000.00 - $973.08)$1,583.72 (Second-month interest = (4.65%/12) x $149,026.92 = $582.56. The interest is then added to the balance)$963.44 (Second-month principal = $1,575.00 – $582.56.

This is the amount that will be applied to the balance)$148,063.48 (Second-month outstanding balance = $149,026.92 - $963.44)The second month’s interest is $582.56.

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Independence Corporation needs to replace some of the assets used in its trade or business and is contemplating the following exchanges: Determine whether each exchange qualfies as a like-kind exchange. Lu-Kind Exchange a Asset Olven Up by Independence Office building in Chicago, IL Large warehouse on 2 acres Office building in Green Bay, WI used in the business b Ansat Rocolved by Independence Piece of land in Toronto, Canada Small warehouse on 22 acres Apartment complex in Newport Beach, CA, that will be held as an investment Qualios Qualifies

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The following exchanges qualify as like-kind exchanges:

a) Asset Given Up: Office building in Chicago, IL

Asset Received: Office building in Green Bay, WI used in the business

b) Asset Given Up: Large warehouse on 2 acres

Asset Received: Small warehouse on 22 acres

The exchange involving the office buildings and the exchange involving the warehouses meet the criteria for like-kind exchanges.

Like-kind exchanges refer to transactions in which assets of similar nature or character are exchanged for one another without triggering immediate tax consequences. In such exchanges, the property being given up (relinquished property) and the property received (replacement property) must qualify as like-kind, meaning they are of the same nature or class.

The purpose of like-kind exchanges is to allow taxpayers to defer the recognition of capital gains or losses that would otherwise be triggered by the sale or disposition of the property. These exchanges are governed by specific rules and regulations outlined by the tax authorities.

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suppose that the mpc is equal to 0.75 what was the size of the change in government purchases of goods and services that resulkted in the increase in real gdp in 200 million

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The size of the change in government purchases of goods and services that resulted in the increase in real GDP is $800$ million.

Suppose that the MPC is equal to 0.75, the size of the change in government purchases of goods and services that resulted in the increase in real GDP is $800$ million .

How is the change in GDP calculated? To calculate the change in GDP, use the formula below:ΔY = (1/MPS) × ΔGWhere,ΔY represents the change in GDP.ΔG represents the change in government purchases of goods and services .MPS represents the marginal propensity to save. According to the problem, MPC (marginal propensity to consume) is given as $0.75$.

The MPS (marginal propensity to save) can be calculated as: MPS = $1-$ MPC= $1-$ $0.75$ = $0.25$Therefore, using the above formula:ΔY = (1/MPS) × ΔG = (1/$0.25$) × $200$ million= $4 × 200$ million = $800$ million.

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Positioning relies on the communication of one or more sources of value to customers in a way that the customer can easily make the connection between the ________.
Select one:
a. way the 4Ps of the marketing mix work with one another
b. customer's needs and wants and what the product has to offer
c. cost of the product and the quality
d. product and its advertising
e. salesperson and the customer at a personal level
Strategic fit means there is a good match of a target market to the firm's culture and resource capabilities.
Select one:
True
False
A marketing manager using VALS is interested in ________ segmentation.
Select one:
a. occupational
b. educational
c. geodemographic
d. geographic
e. psychographic
HerboCare, a company that sells herbal soaps, has failed to increase its sales, as consumers could not understand how soaps made by HerboCare were different or better than other herbal soaps available in the market. In this scenario, HerboCare is suffering from the positioning error of ________.
Select one:
a. underpositioning
b. confused positioning
c. doubtful positioning
d. overpositioning
e. repositioning
________ segmentation recognizes that there may be a number of consistent needs and wants demonstrated by consumers based on what type of job they have.
Select one:
a. Gender
b. Occupational
c. Educational
d. Social
e. Age

Answers

1. Positioning relies on the communication of one or more sources of value to customers in a way that the customer can easily make the connection between the customer's needs and wants and what the product has to offer.
2. False. Strategic fit means there is a good match of a target market to the firm's culture and resource capabilities.
3. Psychographic segmentation recognizes that there may be a number of consistent needs and wants to be demonstrated by consumers based on what type of job they have.
4. HerboCare is suffering from the positioning error of confused positioning.

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on the first day of january, builders company borrowed $1,000 on a one-year note payable bearing interest at 3% per year. the note specifies that principal and interest must be paid in full at the end of the one-year period. on june 30, the adjusted trial balance will show interest payable of

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The interest on the note is calculated for the whole year but the interest expense is calculated only for the period from January 1st to June 30th, which is half of the year, i.e. six months is $15.

What is the interest payable?

On the first day of January, Builders Company borrowed $1,000 on a one-year note payable bearing interest at 3% per year. To calculate the interest payable on June 30, follow these steps:

1. Determine the annual interest: $1,000 (principal) × 0.03 (interest rate) = $30.

2. Calculate the interest for six months (January to June): $30 (annual interest) × (6 months / 12 months) = $15.

The adjusted trial balance will show an interest payable of $15 on June 30.

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Which of the following would be effective methods of implementing the new strategy for your business fraternity? Check all that apply.
_Create a strategic plan that outlines the steps necessary to achieve the goals. Present the plan at the next chapter meeting.
_Announce a new project at the chapter meeting and act as project manager for the activity.
_Invite leadership from local companies to attend your weekly meetings to speak about and provide training on various business topics.
_Ask chapter members to volunteer as project managers and task them with soliciting project opportunities from local businesses.
_Announce the new strategy to the chapter at your weekly meeting. If members are receptive, step back and allow members to seek out projects to work on.

Answers

Make a strategic strategy outlining the steps required to accomplish the goals. At the following chapter meeting, present the plan. Ask local business leaders to speak at your weekly meetings and offer training on various business themes.

What is the strategy's technique?

Almost identical to the phrase "tactic," strategy. Example Example A) What strategies do you employ. A technique is a way or aptitude for completing a certain task.

What does it mean to carry out a plan?

The implementation of a strategic plan created by a company or organisation in an effort to fulfil organisational goals is referred to as strategy execution. It includes regular structures, operational goals, and processes that position people in charge of particular responsibilities in an organisation for success.

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The purchase of bonds by the Federal Reserve Will have the greatest effect on real gross domestic product if which of the following situations exists in the economy?

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The purchase of bonds by the Federal Reserve Will have the greatest effect on a real gross domestic product if the economy is experiencing a liquidity trap.

What is a liquidity trap? A liquidity trap is a condition in which, despite the fact that nominal interest rates are near zero, savings remain strong and monetary policy becomes ineffective in spurring economic growth and reducing unemployment. As a result, monetary policy may be unable to stimulate aggregate demand, which can lead to deflationary spirals and stagnant economies. The Federal Reserve's bond-buying strategy could be one approach to addressing a liquidity trap. The purchase of bonds by the Federal Reserve will have the greatest effect on real gross domestic product if the economy is experiencing a liquidity trap.

When the Fed buys bonds, they inject money into the economy, which raises the money supply and lowers interest rates. By lowering interest rates, they can encourage investment and spending, which can increase economic activity and GDP. However, if the economy is not in a liquidity trap, the impact of bond purchases on GDP may be less significant. Therefore, the purchase of bonds by the Federal Reserve will have the greatest effect on a real gross domestic product if the economy is experiencing a liquidity trap.

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which are costs directly associated with recruiting and training a new employee? multiple select question. pay for trainers lowered productivity overhead costs recruiting co

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The cost directly associated with recruiting and training a new employee to replace one who is dissatisfied and leaves include:

Dollars for hours spent trainingLoss of intellectual propertyDecreased productivity

Recruitment is the act of attracting and enlisting new employees for the organization. It necessitates developing a system for a targeted pool of candidates and generating their interest in the position. The candidates can come from any number of sources, including social media, job fairs, job boards, and personal connections, as well as from the company's own applicant tracking system or human resources data. Recruitment must be a continuous process, with the goal of attracting the best-qualified people at all times.

Training is the process of imparting the skills and knowledge required to perform a particular job. Training can be performed in a variety of settings and styles, including online training, job shadowing, and one-on-one coaching. Training programs may be organized by external training providers or in-house trainers. Training programs can be beneficial to employees and employers, assisting in the development of skills, increasing employee satisfaction, and increasing the company's productivity.

Your question is incomplete. The completed version should be as follows:

Which of the following are cost directly associated with recruiting and training a new employee to replace one who is dissatisfied and leaves?

-Loss of intellectual property-Decreased productivity-Dollars for hours spent training

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bids for treasury bonds specify a price that the bidder is willing to pay and a dollar amount of securities to be purchased. a. non-negotiable b. competitive c. negotiable d. noncompetitive

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Bids for treasury bonds specify a price that the bidder is willing to pay and a dollar amount of securities to be purchased competitive. The correct answer is the B option.

Treasury bonds are sold at a competitive auction, which means that all bidders will be able to see all of the other bids placed in the auction, and the securities will be awarded to the highest bidder.
Bids for treasury bonds specify a price that the bidder is willing to pay and a dollar amount of securities to be purchased is done under competitive bidding.

Competitive bidding is a solicitation process for determining the best value for money for the goods or services being offered.

It issues two types of securities:

Treasury Bills (T-Bills) Treasury Bonds (T-Bonds)

The former is the only form of the bid where the price is not pre-specified. The latter guarantees that the bidder will obtain the security as long as the auction's average yield is lower than the Treasury bill’s rate.

Therefore, option b is correct and competitive.

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If explicit costs equal $157,000, implicit costs equal $95,000, and accounting profit equals $23,000, it follows that total revenue equals conomic profit equals ____a. 75,000; 517,000 b. 5180,000; -$72,000 c. $68,000; $25,000 d. 5118,000; -572,000 e. There is not enough information given to answer this question

Answers

The total revenue equals $180,000 and the economic profit equals -$72,000.

What is Accounting?

Accounting is the process of identifying, measuring, recording, and communicating financial information about a business or organization to various stakeholders, including management, investors, creditors, and government agencies. Accounting provides information about the financial performance and position of the entity, and helps stakeholders make informed decisions about investing, lending, or managing the business. The main functions of accounting include financial reporting, bookkeeping, auditing, tax compliance, and financial analysis. Accounting information is typically presented in financial statements such as the balance sheet, income statement, and cash flow statement.

Accounting profit can be calculated as: Total revenue - Explicit costs

$23,000 = Total revenue - $157,000

Total revenue = $180,000

Economic profit equals total revenue minus total cost, where total cost equals explicit costs plus implicit costs:

Economic profit = Total revenue - Total cost

Economic profit = Total revenue - (Explicit costs + Implicit costs)

Economic profit = $180,000 - ($157,000 + $95,000)

Economic profit = $180,000 - $252,000

Economic profit = -$72,000.

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the net working capital of a firm will decrease if there is: group of answer choices an increase in inventory. a decrease in accounts receivable. an increase in the checking account balance. a decrease in fixed assets. a decrease in accounts payable.

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The net working capital of a firm will decrease if there is a decrease in accounts payable.

Net working capital is defined as the difference between a company's current assets (cash, accounts receivable, inventory) and its current liabilities (accounts payable). When accounts payable decrease, the company's total current liabilities decrease and thus, the net working capital is reduced.

To illustrate, if a company has $500 in cash, $200 in accounts receivable, and $100 in inventory, and its current liabilities are $300 in accounts payable, the company's net working capital would be $400 ($500 + $200 + $100 - $300).

If accounts payable decreased to $200, the net working capital would decrease to $300 ($500 + $200 + $100 - $200).

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in activity-based costing, the consumption of overhead resources is caused by blank . multiple choice question. an activity overhead direct labor material purchases

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In activity-based costing, the consumption of overhead resources is caused by activities. It is intended to give a more accurate picture of the real cost of a product or service by including both direct and indirect costs.

What is activity-based costing?

Activity-based costing (ABC) is a method of accounting that focuses on identifying activities that consume resources and assigning costs to those activities based on how much of the resource they consume. In ABC, the consumption of overhead resources is caused by activities. Overhead resources refer to indirect costs that cannot be directly traced to a particular product or service, such as rent, utilities, and insurance. Activity-based costing is a useful tool for businesses because it helps them understand the true cost of producing a product or service. By breaking down costs by activity, they can identify areas where they can reduce costs, improve efficiency, and increase profitability.

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Answer: an activity

Explanation:

suppose that the demand curve for x is horizontal and that the supply curve for x is typically shaped. suppose a tax of​ $t/unit is placed on trades in this​ market, and that the tax is collected from demanders. the economic price incidence of this tax will

Answers

In a market where the demand curve is horizontal and the supply curve is typically shaped, a tax of ​$t/unit collected from demanders will result in the entire burden of the tax being borne by the demanders.

This is because the demand curve is perfectly elastic, meaning that any increase in price due to the tax will cause demand to drop to zero, and the entire tax burden will be passed on to the demanders.

The economic price incidence of this tax will result in an increase in the price paid by demanders by the amount of the tax. As a result, the quantity demanded will fall to zero, and the quantity supplied will remain the same. The producer will not bear any burden of the tax since the supply curve is typically shaped and cannot absorb the tax without decreasing the quantity supplied. Therefore, the entire burden of the tax falls on the demanders in the form of a higher price for the product.

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In preparing a company's statement of cash flows for the most recent year, the following information is available:Loss on the sale of equipment $14,000Purchase of equipment $225,000Proceeds from the sale of equipment $106,000Repayment of outstanding bonds $87,000Purchase of treasury stock $25,000Issuance of common stock $96,000Purchase of land $115,000Increase in accounts receivable during the year $33,000Decrease in accounts payable during the year $75,000Payment of cash dividends $35,000Net cash flows from investing activities for the year were:a) $234,000$234,000 of net cash used.b) $120,000$120,000 of net cash provided.c) $340,000$340,000 of net cash used.d) $259,000$259,000 of net cash used.e) $280,000$280,000 of net cash provided.

Answers

The correct answer is d) $259,000 of net cash used.

The cash flows from investing activities for the year were: Loss on the sale of equipment ($14,000); Purchase of equipment ($225,000); Proceeds from the sale of equipment ($106,000); Repayment of outstanding bonds ($87,000); Purchase of treasury stock ($25,000); Issuance of common stock ($96,000); Purchase of land ($115,000).

The net cash flow from investing activities for the year is calculated by subtracting the total cash outflows from the total cash inflows, which is ($14,000 + $225,000 + $25,000 + $115,000) - ($106,000 + $87,000 + $96,000) = $259,000. Therefore, the net cash used from investing activities for the year is $259,000.

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Spam (junk e-mail) is a major annoyance for many people who use the internet. However spammers sometimes have to send thousands of messages to get just one response that pays money. Given this information:

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"Spam (junk e-mail) is a major annoyance for many people who use the internet. However spammers sometimes have to send thousands of messages to get just one response that pays money. Given this information: spamming can be profitable even with a very low number of buyers because the marginal cost of sending spam is virtually zero."

Spamming can be a profitable business for spammers even though it is a major annoyance for internet users. This is because spammers typically send thousands of messages in the hope of getting just one response that pays money. Despite the low response rate, the marginal cost of sending spam is virtually zero, meaning that it costs very little to send each additional message once the initial infrastructure is in place.

This allows spammers to reach a large audience with relatively little effort and expense, making it possible for even a small number of buyers to generate a profit.

This question should be provided as:

Spam (junk e-mail) is a major annoyance for many people who use the internet. However spammers sometimes have to send thousands of messages to get just one response that pays money. Given this information:_________.

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There are three firms in an economy: A, B, and C. Firm A buys $350 worth of goods from firm B and $150 worth of goods from firm C, and produces 250 units of output, which it sells at $4 per unit. Firm B buys $200 worth of goods from firm A and nothing from firm C, and produces 250 units of output, which it sells at $6 per unit. Firm C buys $300 worth of goods from firm A and $100 worth of goods from firm B. It produces output worth $800. All other products are sold to consumers. Instructions: Round your answers to the nearest whole dollar amount. a) Calculate GDP. GDP = $ b) If a value-added tax (a tax on the total value added by each firm) of 15 percent is introduced, how much revenue will the government get? Revenue $ c) How much would government get if it introduced a 15 percent income tax? Revenue $ d) How much would government get if it introduced a 15 percent sales tax on final output? Instructions: Round your answer to the nearest whole dollar amount. $

Answers

In order to calculate GDP, we need to sum up the value of goods produced by all three firms. The value of the goods produced by each firm is equal to the price of their goods multiplied by the number of units produced. The government would receive revenue equal to 15 percent of $1,000 + 15 percent of $1,500 + 15 percent of $800, or $450.


Firm A produces 250 units of output worth $4 per unit, giving them a value of 250 x $4 = $1,000. Firm B produces 250 units of output worth $6 per unit, giving them a value of 250 x $6 = $1,500. Firm C produces output worth $800.

Therefore, the GDP of the economy is equal to the sum of the value of the goods produced by each firm, or $1,000 + $1,500 + $800 = $3,300.

If a value-added tax (VAT) of 15 percent is introduced, then the government would get revenue equal to 15 percent of the total value added by each firm. Firm A adds $1,000, Firm B adds $1,500, and Firm C adds $800, so the government would receive revenue equal to 15 percent of $1,000 + 15 percent of $1,500 + 15 percent of $800, or $450.

If the government introduces a 15 percent income tax, then the government would receive revenue equal to 15 percent of the total income of each firm. Firm A has income of $1,000, Firm B has income of $1,500, and Firm C has income of $800, so the government would receive revenue equal to 15 percent of $1,000 + 15 percent of $1,500 + 15 percent of $800, or $450.

If the government introduces a 15 percent sales tax on final output, then the government would receive revenue equal to 15 percent of the total output of each firm. Firm A produces 250 units of output worth $4 per unit, giving them a value of 250 x $4 = $1,000. Firm B produces 250 units of output worth $6 per unit, giving them a value of 250 x $6 = $1,500. Firm C produces output worth $800.

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Between 1929 and 1932, U.S. gross domestic production fell bya. one-quarter.b. one-third.c. two-thirds.d. one-half.

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Between 1929 and 1932, U.S. gross domestic production fell by one-third. The answer is OPTION B.

However, the downturn significantly worsened in late 1929 and persisted until early 1933. Real output and prices both dropped sharply. The United States saw a 47 percent fall in industrial production during the downturn's height and a 30 percent decline in real gross domestic product (GDP).

GNP data show that between 1929 and 1932, company production fell sharply and consistently. 1932 saw the greatest rate of unemployment at 23.5 percent. The New York Stock Exchange's stocks lost 50% of their value in ten weeks in 1929, signaling the start of the Great Depression. The answer is OPTION B.

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a given rate of growth may be driven by a high rate of capital accumulation and/or a high rate of technological progress. does the source of growth matter for assessing the growth prospects of an economy?

Answers

Yes, the source of growth matters for assessing the growth prospects of an economy. A high rate of capital accumulation and/or technological progress can lead to higher economic growth, but the sustainability of that growth depends on the source.

The two sources of growth are capital accumulation and technological progress. Capital accumulation refers to an increase in the stock of physical and human capital of an economy. On the other hand, technological progress refers to the development of new technology or an improvement in the existing one that leads to the production of goods and services using fewer resources.

Both capital accumulation and technological progress are essential for economic growth. However, the impact of these sources of growth varies with time and the level of economic development. At a low level of development, capital accumulation plays a more significant role in economic growth. The increase in the stock of physical and human capital leads to increased productivity, and the economy grows faster. As the level of development increases, the impact of capital accumulation declines, and technological progress becomes more critical.

Technological progress increases productivity by enabling the production of goods and services with fewer resources. In conclusion, the source of growth matters in assessing the growth prospects of an economy. Capital accumulation and technological progress are both essential for economic growth, but the impact of these sources of growth varies with time and the level of economic development.

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Katlyn needs to invest $5,318 today in order for her savings account to be worth $8,000 stx years from now. Which one of the following terms refers to the $5,3187 O Future vaiuae? O compound veluse O complex velue O Presint value O Factor value

Answers

The term that refers to the $5,3187 is Present value (PV). Option D is the correct answer.

Present value (PV) is the value on a given date of a future payment or series of future payments discounted to reflect the time value of money and other factors such as investment risk. Present value calculations are commonly used in finance and economics to determine the value of investments, such as bonds or stocks, or to determine the present value of an investment's future cash flows.

Basically, present value is used to calculate how much money needs to be invested today in order to achieve a desired future amount. In the given question, Katlyn needs to invest $5,318 today to be worth $8,000 six years from now. Thus, $5,318 is the present value (PV) in this scenario. So, the option D is the correct answer.

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Suppose the world price of aluminum falls significantly. The demand for labor among aluminum-producing firms in Pittsburgh willdemand for labor among airplane manufacturing firms in Washington, which use aluminum as an input, willThe temporaryunemployment that results from sectoral shifts such as the ones describes above is best categorized asunemployment.Suppose the government wants to reduce this type of unemployment. Which of the following policies would help achieve this goal? Check all thatapply.o. Increasing the benefits offered to unemployed workers through the government's unemployment insurance programo. Improving a widely used job-search website so that it matches workers to job vacancies more effectivelyo. Establishing government-run employment agencies to connect unemployed workers to job vacanciesThe

Answers

The government can take several steps to reduce the temporary unemployment caused by sectoral shifts. Increasing the benefits offered to unemployed workers through the government's unemployment insurance program would provide a financial cushion to those who have lost their jobs as a result of the sectoral shifts, helping them to maintain their standard of living and search for new employment opportunities.

Improving a widely used job-search website so that it matches workers to job vacancies more effectively would also help reduce temporary unemployment by connecting job seekers to employers more quickly and efficiently.

Lastly, establishing government-run employment agencies to connect unemployed workers to job vacancies would create a centralized employment hub, allowing those affected by sectoral shifts to quickly and easily access job listings. In sum, these policies would help to reduce temporary unemployment caused by sectoral shifts.

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implementing activity-based costing . multiple select question. requires substantial resources should be done by a cross-functional team requires taking employees away from other tasks should be done using existing, historical data that can be verified

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Implementing activity-based costing is a complex process that requires substantial resources. It should be done by a cross-functional team made up of individuals from different departments who can provide different perspectives. This team should take into account the cost of taking employees away from their other tasks and the impact this will have on the organization.


Activity-based costing should be done using existing, historical data that can be verified and validated. The team should be able to compare the data with actual performance and identify any discrepancies. This comparison should help the team determine the best way to allocate resources and assess the cost of various activities.


The team should also consider the cost of any additional resources that may be required to successfully implement activity-based costing. They should also review current processes and procedures to ensure that they are properly aligned with the goals of activity-based costing. Finally, the team should create a timeline for implementing the new system and measure progress against the timeline.

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c. the directors of the two hospitals are negotiating unifying the maternity wards of the two hospitals. they believe this will help reduce the number of new mothers staying in the unified ward. how many new mothers would be staying, on average, in the unified ward? (assume that the average number of births and the length of stay of the new mothers will not change.) (round your intermediate calculations to 4 decimal places and final answer to 1 decimal place.)

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The required answer is 0.5 new mothers will be staying on average in the unified ward after unifying.

To calculate the number of new mothers staying on average in the unified ward, we have to follow the given steps:

Step 1: Calculate the total number of new mothers in both hospitals before unifying.

Step 2: Calculate the average number of new mothers in both hospitals before unifying.

Step 3: Calculate the total number of new mothers in the unified ward after unifying.

Step 4: Calculate the average number of new mothers in the unified ward after unifying.

Given data:

Length of stay of new mothers = 2 days

Total number of births in both hospitals = 40 + 60 = 100

Let's calculate the total number of new mothers in both hospitals before unifying:

= 40 + 60

= 100

As per the given information, it is stated that the average length of stay of new mothers is 2 days, and it is also mentioned that the length of stay of new mothers will not change.

So, the total number of mothers in the unified ward would be:

Total number of mothers in the unified ward = Total number of mothers in both hospitals before unifying = 100

Now, let's calculate the average number of new mothers in the unified ward after unifying.

Average number of new mothers in the unified ward after unifying = Total number of new mothers in the unified ward after unifying / Total number of days stayed by all new mothers in the unified ward after unifying

We know, the total number of new mothers in the unified ward after unifying is 100.

The total number of days stayed by all new mothers in the unified ward after unifying would be:

Total number of days stayed by all new mothers in the unified ward after unifying = Total number of new mothers in both hospitals before unifying x Length of stay of new mothers

= 100 x 2

= 200

Now, putting the values in the formula we get,

Average number of new mothers in the unified ward after unifying = 100 / 200

= 0.5

The required answer is 0.5 new mothers will be staying on average in the unified ward after unifying.

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Miguel ofers to sell Nisha 100 laptops at $50 each. Nisha ponders over the offer but mails her acceptabnce that evening to Miguel. Before her acceptance reaches Miguel, Mignuel finds another buyer who is willing to pay $70.00 each for the laptops. Miguel sends a revocation mail the next day to cancel his intiial offer to to Nisha, but a storm has hit the city causing the mail services to halt temporariily. Which of the following satements is true about this stiuation? A) as per the miror image rule, Nisha cannot sue Miguel for revoking his initial offer b) Miguel can use the doctrine of the promissory estoppel to defend his right to find and sell his laptops to another buyer c) As per the mailbox rule, Miguel cannot revolke his initial offer to Nisha as she had accepted his offer d) Nisha cannot sue Miguel as the deposited asseptance does not create a binding contract despite Miguel's revocation. e) Nisha cannot sue Miguel as the storm prevents Miguel from mailing his revocation.

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In the following question, among the conditions given, the correct option is Answer: Option B) "Miguel can use the doctrine of the promissory estoppel to defend his right to find and sell his laptops to another buyer"

Promissory estoppel is a legal concept that binds one party to its promise when it has made a promise to another party who relied on it. In this case, Miguel made an offer to Nisha to sell 100 laptops for $50 each. But, before the acceptance of the offer by Nisha, Miguel found another buyer who was willing to pay $70 each for the laptops. So, he revoked his initial offer to Nisha.

However, the revocation mail did not reach Nisha because the mail services were temporarily halted due to the storm. Meanwhile, Nisha mailed her acceptance of the offer to Miguel. Now, the question arises about the validity of the offer and the acceptance.The doctrine of the promissory estoppel states that if one party makes a promise to another party and that promise is relied upon by the latter, then the promisor is prevented from revoking the promise. In this case, Nisha relied on Miguel's offer to buy the laptops at $50 each.

She accepted the offer and mailed the acceptance to Miguel. But, Miguel revoked his offer before the acceptance of the offer by Nisha. So, Nisha cannot sue Miguel as he has revoked his offer.However, Miguel can use the doctrine of the promissory estoppel to defend his right to find and sell his laptops to another buyer. Therefore, Option B is correct.

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Henry is willing to pay 45 cents, and Janine is willing to pay 55 cents, for 1 pound of bananas. When the price of bananas falls from 50 cents a pound to 46 cents a pound, Henry experiences an increase in consumer surplus, but Janine does not.
Janine experiences an increase in consumer surplus, but Henry does not.
both Janine and Henry experience an increase in consumer surplus neither
Janine nor Henry experiences an increase in consumer surplus.

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Both Janine and Henry experience an increase in consumer surplus when the price of bananas falls from 50 cents a pound to 46 cents a pound.

Consumer surplus refers to the difference between the price that a consumer is willing to pay for a good or service and the actual price that they pay. It is a measure of the benefit that the consumer receives from the purchase of a good or service. Henry and Janine are both willing to pay different prices for 1 pound of bananas. Henry is willing to pay 45 cents, while Janine is willing to pay 55 cents. When the price of bananas falls from 50 cents a pound to 46 cents a pound, both Henry and Janine experience an increase in consumer surplus. This is because the actual price that they pay is now lower than the price that they were willing to pay. Henry experiences an increase in consumer surplus because he is now paying only 46 cents for a pound of bananas, which is less than his willingness to pay of 45 cents. Janine experiences an increase in consumer surplus because she is now paying only 46 cents for a pound of bananas, which is less than her willingness to pay of 55 cents.Therefore, both Janine and Henry experience an increase in consumer surplus

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socioeconomic diversity requires that managers be sensitive and responsive to .multiple choice question.women and minoritiesthose who once lived in povertythose with very high incomesthose who are not as well off as others

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Socioeconomic diversity in an organization is important because it can reflect the reality of the society in which the company operates. As such, managers must be sensitive to the needs and concerns of all team members, including those from different socioeconomic backgrounds.

This may involve answering multiple-choice questions that address issues related to socioeconomic diversity, such as what policies can be implemented to promote equal opportunity and skills development for employees from diverse socioeconomic backgrounds. In addition, managers can take steps to ensure that company policies do not discriminate against individuals based on their socioeconomic background.

In conclusion, managers should be aware of socioeconomic diversity in their organization and should take steps to ensure that all team members have equal opportunities and are treated fairly and with respect, regardless of their socioeconomic background. This can improve employee morale and satisfaction, which in turn can have a positive impact on productivity and the overall success of the company.

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it is harder to predict which companies stocks will outperform the market in the next year than it is to determine which companies are better run

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The statement "It is harder to predict which companies' stocks will outperform the market in the next year than it is to determine which companies are better run" is TRUE.

That statement is true because the stock market is highly unpredictable, and it is challenging to determine which stocks will perform better than others in the future. On the other hand, it is comparatively easier to determine which companies are better run.

This can be achieved by looking at the company's management and leadership, its financial health, its strategic planning, its customer base, its market positioning, and many other factors. In conclusion, predicting the stock market's performance is a challenging task, and it is always associated with a certain level of uncertainty. Determining which companies are better run, however, is a relatively easier task as it is based on concrete information and can be assessed by analyzing various parameters.

Your question is incomplete. The complete version should be:

It is harder to predict which companies' stocks will outperform the market in the next year than it is to determine which companies are better run. True or false?

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isaac created the sycadoolee, a toy that makes a cool clicking sound when it is squeezed and released. people bought the product as quickly as he could produce it for about six months, and then sales dropped to nearly nothing. because it was very popular for only a short period, this is an example of a(n) product.

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What happened to Isaac above is an example of a fad product, which is a product that experiences a sudden surge in popularity followed by a rapid decline in demand.

A fad product is a product that is very popular for a short period of time, then falls out of popularity quickly. Fad products are often a product of mass culture or trends and are driven by the desire to be part of the latest trend.

The sycadoolee is an example of a fad product because it had a sudden surge in popularity when it was first introduced, with people buying it as quickly as Isaac could produce it for about six months. After that, sales dropped to almost nothing. This suggests that people had stopped being interested in it and were looking for something new and trendy.

Fad products are often popular for a short period of time because they lack any real staying power or lasting value. They are often based on novelty or are seen as a way to make a quick profit. Once people realize that there isn't much value or benefit to the product, they lose interest and look for something else. Fad products are often associated with the consumer goods industry, such as fashion, toys, and gadgets.

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which of the following are required to compute the present value of a known future amount? (select all that apply.)multiple select question.market valuedatenumber of compounding periodsfuture valueinterest rate

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To compute the present value of a known future amount, the following inputs are required:

B) Number of compounding periodsC) Future valueD) Interest rate

To calculate the present value of a known future amount, three inputs are required: future value, interest rate, and the number of compounding periods. The present value calculation determines the worth of a future amount today based on the expected interest rate and the number of periods. Market value and date are not required inputs for the calculation of present value.

Therefore, the correct options are:

Future valueInterest rateNumber of compounding periods

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how can too much risk affect your investing experience?

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Too much risk can affect your investing experience in a number of ways.

Firstly, if you invest too much money in a risky investment, you may lose a significant amount of your investment capital. This can lead to financial hardship and may impact your ability to invest in other areas. Secondly, investing in risky investments can be stressful and time-consuming. You may find yourself constantly monitoring the market and worrying about the performance of your investments. This can be particularly difficult if you are investing for the long term.

Thirdly, taking on too much risk can lead to poor decision-making. If you are constantly worried about the performance of your investments, you may be tempted to make impulsive decisions that are not in your best interest. This can lead to further losses and can damage your overall investment strategy. Finally, too much risk can lead to emotional exhaustion. If you are constantly stressed and worried about your investments, it can take a toll on your mental and emotional well-being. This can make it difficult to stay focused and motivated, which can further impact your investing experience.

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