It is important for coaches to teach ethical behavior in sport because athletes can transfer a basic code of ethics to other areas of life. (The correct answer is option C)
In sports, athletes have an opportunity to learn ethical behavior. As they learn sportsmanship, athletes become aware of the significance of fairness, respect, and honesty. Ethical values that are taught to athletes in sport may benefit them throughout their life, including in education, career, and family relationships. Athletes who learn ethical behavior in sport are better equipped to deal with moral issues in life. Therefore the correct answer is C.
Coaches must create a culture of integrity and trust, teaching ethical behavior, building character, and encouraging ethical decision-making. For this reason, coaches must prioritize the development of their athletes' moral and ethical values. Coaches must teach athletes to be honest, fair, and respectful of others, as well as to strive for excellence and be accountable for their actions.
Additionally, coaches can be a model for ethical behavior. They can demonstrate the values of teamwork, honesty, and respect through their actions and words. Athletes learn a lot about the standards of behavior from their coaches, so it's essential for coaches to be role models for their athletes.
In conclusion, coaches play a vital role in teaching ethical behavior to athletes. They must establish a culture of integrity and trust, encourage ethical decision-making, and prioritize the development of their athletes' moral and ethical values. Athletes who learn ethical behavior in sports are better equipped to deal with moral issues in life.
Your question is incomplete as it misses the option letter, the complete question is:
It is important for coaches to teach ethical behavior in sport because:
A. models for ethical behavior are not always available for athletes
B. sport participation does not always provide an opportunity for athletes to learn ethical behavior
C. athletes can transfer a basic code of ethics to other areas of life
D. the competitive environment does not provide opportunities to learn moral and ethical behavior
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Suppose a price ceiling is set by the government below the market equilibrium price. Which of the following will result? a. The demand curve will shift to the left. b. The quantity demanded will exceed the quantity supplied. c. The quantity supplied will exceed the quantity demanded. d. There will be a surplus.
If the government sets a price ceiling below the equilibrium price, the quantity demanded will exceed the quantity supplied, and there will be a shortage. Thus, option (b) is the correct answer.
What is a price ceiling? A price ceiling is a maximum price that can be legally charged for a commodity or service. It is normally introduced to alleviate the plight of consumers who may be paying more than they can afford for a good or service. A price ceiling is intended to promote fair pricing and make essential items more accessible to lower-income households. A price ceiling has the opposite effect of a price floor, which is a minimum price that can be charged for a commodity or service. Equilibrium price: It is the market price at which the quantity of a commodity demanded by consumers equals the quantity supplied by producers. The price at which supply and demand for a product is equal is known as the equilibrium price. It can also be described as the intersection of the supply and demand curves for a product. At the equilibrium price, the amount supplied equals the amount demanded, resulting in no surplus or deficit.
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Calculate the annual growth rate of nominal GDP in the following examples: Nominal GDP in 1930: $97 billion. Nominal GDP in 1931: $84 billion. Nominal GDP in 1931: $84 billion. Nominal GDP in 1932: $68 billion. Nominal GDP in 2000: $9,744 billion. Nominal GDP in 2001: $10,151 billion.
The annual growth rate of nominal GDP in the given examples are -13.4%, -19.05%, and 4.17% for 1931, 1932, and 2001, respectively.
To calculate the annual growth rate of nominal GDP, we can use the following formula:
Annual growth rate = ((GDP in the current year / GDP in the previous year)^(1 / Number of years)) - 1
For the first example:
GDP in 1930 = $97 billionGDP in 1931 = $84 billionAnnual growth rate = (($84 billion / $97 billion)^(1/1)) - 1
Annual growth rate = -0.134
Hence, the annual growth rate of nominal GDP in 1931 is -13.4%.
For the second example:
GDP in 1931 = $84 billionGDP in 1932 = $68 billionAnnual growth rate = (($68 billion / $84 billion)^(1/1)) - 1
Annual growth rate = -0.1905
Hence, the annual growth rate of nominal GDP in 1932 is -19.05%.
For the third example:
GDP in 2000 = $9,744 billionGDP in 2001 = $10,151 billionAnnual growth rate = (($10,151 billion / $9,744 billion)^(1/1)) - 1
Annual growth rate = 0.0417
Hence, the annual growth rate of nominal GDP in 2001 is 4.17%.
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credit can be great to have. in some situations, having credit can even help you achieve some financial goals, but only as long as you ____________. consumer loans can be part of your credit management program. identify characteristics of a consumer loan in the following list. check all that apply. a. used for a one-time transaction for a specific purpose b. used to pay for comparatively expensive and infrequent purchases c. has no specified repayment plan except periodically due minimum payments d. has a specific repayment schedule for a defined period of time and a defined amount
The following are some of the characteristics of a consumer loan:
A. Used for a one-time transaction for a specific purpose.Used to pay for comparatively expensive and infrequent purchases.
D. Has a specific repayment schedule for a defined period of time and a defined amount.
The characteristics of a consumer loan:To have credit can be great, but it should be managed well. In some cases, it can even assist in attaining financial goals. It is important to have a well-structured plan when it comes to managing credit.
It is also critical to comprehend the various types of credit, including consumer loans. Consumer loans can be part of your credit management program, and they come in a variety of types.
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if a firm in an oligopoly worries that by holding down its output, it may be taken advantage of by other firms who will raise their output(s) and achieve higher profits, the firm is said to be facing
If a firm in an oligopoly market structure worries that holding down its output may lead to higher output and profits for other firms, it is said to be facing a prisoner's dilemma.
This situation arises because each firm has an incentive to act in its own self-interest, which often leads to a suboptimal outcome for all firms in the market. In the case of the oligopoly, if one firm increases its output, it may attract more customers and gain a larger market share, but this may also encourage other firms to follow suit and lead to a downward spiral of price competition and lower profits for all firms.
Therefore, firms in an oligopoly must carefully consider the potential benefits and risks of their actions and try to coordinate their behavior to achieve a more mutually beneficial outcome.
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in the keynesian aggregate-expenditure model, the simple spending multiplier can be best calculated by dividing in the keynesian aggregate-expenditure model, the simple spending multiplier can be best calculated by A. dividing the change in real gross domestic product by the initial change in spending. B. one by one plus the marginal propensity to consume. C. the initial change in spending by the change in real gross domestic product (gdp). D. one by one minus the marginal propensity to save.
In the Keynesian aggregate expenditure model, the simple spending multiplier can be best calculated by dividing "the initial change in spending by the change in real gross domestic product" (GDP). Option (C) is the correct answer.
What is Keynesian Aggregate-Expenditure Model? The Keynesian Aggregate-Expenditure model is a method that is used to determine the equilibrium level of income in the economy. It is based on the idea that the level of output is determined by the level of aggregate expenditure. Aggregate expenditure refers to the total amount of spending that is made in the economy by households, businesses, and the government. Keynesian Model and the Simple Spending MultiplierThe Simple Spending Multiplier is used to estimate the total impact of changes in spending on the overall economy.
It is determined by dividing the change in output by the change in spending. In the Keynesian model, the Simple Spending Multiplier is calculated by dividing the initial change in spending by the change in real GDP. This multiplier helps to estimate the total impact of changes in spending on the overall economy. The higher the multiplier, the greater the impact of a change in spending on the overall economy.
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A(n) __________ is one in which the businesses involved neither compete nor are related as customer and supplier in any given line of commerce.
A) arbitration merger
B) horizontal pricing arrangement
C) vertical pricing arrangement
D) conglomerate merger
E) vertical merger
A conglomerate merger is one in which the businesses involved neither compete nor are related as customer and supplier in any given line of commerce. The correct answer is option d.
What is a conglomerate merger?A conglomerate merger is a type of merger between companies that operate in unrelated industries or have different lines of business. In other words, it's a merger between two companies that are engaged in completely different types of business activities.
For example, if a company that produces electronic goods merges with a company that manufactures furniture, it would be considered a conglomerate merger. The purpose of a conglomerate merger is usually to diversify the operations of the combined company and reduce the risk associated with a single industry or business line.
Conglomerate mergers can be either pure or mixed. A pure conglomerate merger is when two companies that have no common business interests or markets merge. A mixed conglomerate merger, on the other hand, is when two companies with some common business interests or markets merge, but also have significant differences in their operations.
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Suppose that you were the CEO of Comcast. After having the Justice Department recommend against your bid for a merger with Time-Warner, which of the following actions might you take to make your company more profitable? O a. Start a new Web-based TV service, that allows people to stream television shows for $15 a month. O b. Start offering super fast, 100 Mbps Gigabit-Internet service to customers in selected locations. O c. Bid on the rights to low-frequency airwaves so that the company can build up its wireless services. d. Attempt to merge with a different cable company, like Charter.
Starting to provide clients in specific places with extremely fast 100 Mbps Gigabit-Internet service would be the ideal way to increase the company's profitability.
1 gigabit equals how many Mbps?Up to 1 Gigabit per second (Gbps), or 1,000 megabits per second, of data can be transmitted using gigabit Internet service (Mbps).
What kind of internet speed is 100 Mbps?If your download speed is 100 Mbps, you can simultaneously stream ultra-HD video to four different devices or download an HD movie in five minutes. You may easily stream ultra-HD video to up to 4 devices at once if you have a broadband internet connection with download speeds of 100 Mbps.
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An individual who goes short in a futures position Multiple Choice commits to delivering the underlying commodity at contract maturity To 0 0 0 commits to purchasing the underlying commodity at contract maturity has the right to deliver the underlying commodity at contract maturity has the right to purchase the underlying commodity at contract maturity
A person who shorts a futures trade agrees to buy the underlying commodity when the contract matures. The second option is the right response.
How do futures contracts function?Futures are a type of derivative financial contract that binds the parties to exchange an item at a fixed price and future date. Regardless of the market price on the day of expiration, the buyer or seller must acquire or sell the asset at the predetermined price.
What does future contract mean in plain English?A futures service is defined as an agreement between two parties to buy and sell a certain asset in a predetermined amount and at a specified price at a future date. Description the cost and shipping.
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pa7-3 (algo) calculating and interpreting the inventory turnover ratio and days to sell [lo 7-5] thomas tones incorporated was founded with the mission of filling every home with music. the company reported the following amounts in its financial statements (in millions): 20182017 net sales$ 5,800$ 5,860 cost of goods sold4,7004,600 beginning inventory560460 ending inventory630560 required: determine the inventory turnover ratio and average days to sell inventory for 2018 and 2017. (use 365 days in a year. round your intermediate and final answers to 1 decimal place.)
Inventory Turnover Ratio = Net Sales/Average Inventory
2018
Inventory Turnover Ratio = 5,800/((560+630)/2) = 11.1
Average Days to Sell Inventory = 365/11.1 = 32.8
2017
Inventory Turnover Ratio = 5,860/((460+560)/2) = 13.9
Average Days to Sell Inventory = 365/13.9 = 26.2
The inventory turnover ratio measures how many times a company’s inventory is sold and replaced over a period of time. The higher the ratio, the faster the company is selling its inventory. For Thomas Tones Inc., the inventory turnover ratio decreased from 13.9 in 2017 to 11.1 in 2018.
This indicates that the company had a slower inventory turnover in 2018. Additionally, the average days to sell inventory also increased from 26.2 days in 2017 to 32.8 days in 2018. This indicates that it took the company almost one week longer to sell its inventory in 2018. These results may be indicative of a decrease in sales or an increase in inventory. To get a better understanding of the company’s performance, a further analysis of the sales and inventory data would be necessary.
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True or False? research shows that most managers vary between two or three decision-making styles, and that decision-making styles vary across occupations, job level, and countries.
True. Research shows that most managers vary between two or three decision-making styles, and that decision-making styles vary across occupations, job level, and countries.
A decision-making style is the manner in which an individual or a group of people make decisions. It is the process of choosing from among alternative courses of action to arrive at a decision. It's a critical component of the decision-making process, and it's an essential element of an effective management strategy.Research shows that most managers tend to vary between two or three decision-making styles. There are various decision-making styles that managers use, but these are the most prevalent. Autocratic, democratic, and laissez-faire are the three most popular decision-making styles used by managers. Autocratic decision-making is characterized by a leader who makes all decisions without consulting the team or employees. In a democratic decision-making style, the leader seeks input from the team before making a decision, and a consensus is reached before the decision is made.Laissez-faire decision-making is the third most popular style, and it is characterized by a leader who delegates decision-making authority to the team members. This type of decision-making style is suitable for teams that are highly skilled and self-sufficient. These decision-making styles can vary across occupations, job level, and countries. Some countries may prefer autocratic decision-making styles, while others may prefer democratic decision-making styles.
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Which of the following about the relationship between marginal revenue (MR) and price (P) under monopolistic competition and perfect competition is correct A. Monopolistic Competition - MR
P Perfect Competition - MR = P O E. Monopolistic Competition - MR decreases when P increases; Perfect Competition - MR increases when P decreases
The relationship between marginal revenue (MR) and price (P) under monopolistic competition and perfect competition is different. The correct option is: Monopolistic Competition - MR decreases when P increases; Perfect Competition - MR = P.
Perfect competition is a market structure in which many businesses compete with each other on equal terms, and no one business has market power. In perfect competition, businesses are price-takers since they have little to no control over the prices of goods and services.
Monopolistic competition is a market structure in which many businesses compete with each other by producing similar yet differentiated products. Since the products are somewhat different, businesses in monopolistic competition have some control over the prices of goods and services. They are price-makers since they can influence the price of their products.
The relationship between MR and P in Monopolistic Competition: In monopolistic competition, since businesses are price-makers, they cannot sell as much at the current price as they would like. They can lower the price and sell more or raise the price and sell less. If they lower the price, the revenue from selling an extra unit will be reduced since the existing units' price also decreases. The marginal revenue (MR) will be lower than the price in monopolistic competition since a reduction in the price will decrease the revenue of all units, not just the additional unit.
Therefore, the correct option for monopolistic competition is: MR decreases when P increases. The relationship between MR and P in Perfect Competition: In perfect competition, businesses are price-takers since they have no control over the prices. They have to accept the price in the market. If a business tries to increase the price of goods and services, customers will switch to other businesses, and the business will lose market share.
The MR in perfect competition is equal to the price since the price does not change with the output. Therefore, the correct option for perfect competition is: MR = P.
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True/False Questions
1) A product strategy involves becoming a product expert and configuring value-added solutions.
2) A solution is a mutually shared answer to a recognized customer problem.
3) With fewer products being introduced in the marketplace today, it is easier for customers to decide what to buy and who to buy it from.
4) The product selection process is often referred to as "product configuration."
5) Quotation management software enables firms to prepare written proposals that comply with federal RFP guidelines.
6) Decision-making authority in the area of pricing gives the salesperson more responsibility but less power because firms profit from all sales.
7) Before teaming up with another company, the strategic alliance buyer should learn about the firm the salesperson represents.
8) Salespeople who can develop a sales proposal that contains specific information about the return on investment are more likely to get a favorable response from key decision makers.
True a real product strategy entails becoming an expert on the product and setting up value-added solutions.
What entails setting up value-added solutions and becoming a product expert?Creating value-added solutions and becoming a product specialist are both components of a product strategy. A mutually agreed-upon response to a known client issue constitutes a solution. Customers may choose what to purchase and where to acquire it more easily now that fewer products are being launched to the market.
What phases comprise a product strategy?The four distinct stages of the product life cycle are introduction, growth, maturity, and decline. The marketing position of the product changes with each step. To try to extend the life span of your products at each step, you can employ a variety of marketing techniques.
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The FCC recommends that firms conduct market __________t , Incorrect Unavailable to eliminate possible bias related to judgments about some population segments as they identify their target audience for advertising.executingevaluatingresearch
The Federal Communications Commission (FCC) recommends that firms conduct market research to eliminate possible bias related to judgments about some population segments when they identify their target audience for advertising.
Market research is the process of gathering, analyzing, and interpreting information to better understand a target market and identify the potential success of a product or service. Market research typically involves conducting surveys, interviews, and focus groups with potential customers in order to understand their preferences and needs. It can also involve collecting data from secondary sources such as market reports and industry publications.
The main goal of market research is to identify customer needs and preferences that can be used to inform marketing strategies and product design. Market research can help companies better understand their target audiences, assess the potential for product success, and refine marketing strategies. Through market research, companies can develop an in-depth understanding of their customers’ attitudes, values, and opinions. This understanding can then be used to create products and services that better meet the needs of their target audience.
Market research is a critical component of the marketing process, as it allows companies to get feedback from potential customers and gain an understanding of how they view the company and its products or services. Without market research, companies may not be able to accurately identify customer needs and develop effective marketing strategies. By conducting market research, companies can also identify emerging trends and changes in customer needs, preferences, and opinions, allowing them to stay ahead of the competition and maximize their success.
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the following selected transactions apply to tiffany jewelers company for november and december year 1. november was the first month of operations. sales tax is collected at the time of sale but is not paid to the state sales tax agency until the following month. cash sales for november year 1 were $55,000, plus sales tax of 8 percent. tiffany jewelers company paid the november sales tax to the state agency on december 10, year 1. cash sales for december year 1 were $110,000, plus sales tax of 8 percent. required: use a horizontal financial statements model to show how each event affects the balance sheet, income statement, and statement of cash flows. more specifically, record the amounts of the events into the model.
The company's December financial statements show $110,000 in sales revenue and $8,800 in sales tax payable.
For the Balance Sheet, the cash sales of $55,000 plus the 8% sales tax of $4,400 in November are recorded as revenue.
On the asset side, the sales tax of $4,400 is recorded as deferred revenue.
For the Income Statement, the cash sales of $55,000 plus the 8% sales tax of $4,400 in November are recorded as revenue.
The 8% sales tax of $4,400 is recorded as an expense.
For the Statement of Cash Flows, the cash sales of $55,000 in November are recorded as an increase in cash.
When Tiffany Jewelers Company paid the November sales tax of $4,400 to the state agency on December 10, Year 1, it is recorded as an outflow of cash.
Cash sales for December Year 1 were $110,000, plus a sales tax of 8%.
For the Balance Sheet, the cash sales of $110,000 plus the 8% sales tax of $8,800 in December are recorded as revenue. On the asset side, the sales tax of $8,800 is recorded as deferred revenue.
For the Income Statement, the cash sales of $110,000 plus the 8% sales tax of $8,800 in December are recorded as revenue. The 8% sales tax of $8,800 is recorded as an expense.
For the Statement of Cash Flows, the cash sales of $110,000 in December are recorded as an increase in cash.
There are no cash outflows since the December sales tax is not paid until the following month. Since sales tax is collected in December but not paid to the state agency until January, sales tax payable increases by $8,800 at the end of December.
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A manager at HG plc (which manufactures plasma televisions) has developed a new computerised system which will help the inventory control of finished units at HG's warehouse. She believes that this will reduce the time taken to ship these goods by around 25%. Which ONE of the following primary activities with HG's value chain will the new system be directly improving?
Inbound logistics
Operations
Outbound logistics
Infrastructure
The new computerised system developed by the manager at HG plc will improve the inbound logistics activity of the value chain. Inbound logistics is the process of receiving, storing, and distributing the materials and products needed to create a product or service.
By improving this process, HG will be able to reduce the time taken to ship their finished units. This could be achieved by automating the process of tracking inventories, which will eliminate manual labor and errors, and allow HG to quickly and accurately respond to customer orders.
Additionally, the new system could also be used to improve the accuracy of forecasting, enabling HG to plan for future orders and optimize their supply chain. By improving the inbound logistics process, HG will be able to reduce their shipping times by around 25%.
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What are two methods for calculating elasticity of demand?
The two methods for calculating the elasticity of demand are "the point-price elasticity of demand" and "the arc elasticity of demand".
Point-price elasticity of demand is a measure of the responsiveness of demand to changes in the price of a particular product. It is calculated by dividing the percentage change in quantity demanded by the percentage change in price.
Arc elasticity of demand is a measure of the responsiveness of demand to changes in the prices of two or more products. It is calculated by dividing the percentage change in the total quantity demanded of all products by the percentage change in the average price of all products.
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salespeople who can develop a sales proposal that contains specific information about the return on investment are more likely to get a favorable response from key decision makers. (true or false)
In the following question, among the given options, the statement is said to be "Salespeople who can develop a sales proposal that contains specific information about the return on investment are more likely to get a favourable response from key decision-makers" true.
The correct option is True. What is a sales proposal? A sales proposal is a written document that aims to persuade prospective clients to purchase a product or service from a company. This proposal is submitted to prospective clients to offer them a product or service that is tailored to their specific needs. Salespeople must provide a sales proposal that contains specific information on the return on investment to persuade key decision-makers to approve the proposal.ROI is a ratio between the net profit and the cost of investment, and it is frequently utilized to assess an investment's efficiency or profitability.
It measures how much money an investment will produce about the initial investment. Return on investment, as we all know, is crucial to any investor or company. As a result, offering a sales proposal that includes the ROI will assist key decision-makers in making an informed decision that will benefit the company, resulting in a favourable response.
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an electronic office product contains 5000 electronic components. assume that the probability that each component operates without failure during the useful life of the product is 0.998, and assume that the components fail independently. approximate the probability that 10 or more of the original 5000 components fail during the useful life of the product using normal distribution.
The probability that 10 or more of the original 5000 components fail during the useful life of the product can be approximated using a normal distribution.
Using a binomial distribution, the probability that 10 or fewer components fail is 0.99. To calculate the probability that 10 or more components fail, subtract 0.99 from 1, giving a probability of 0.01.
Therefore, the probability that 10 or more of the original 5000 components fail during the useful life of the product is approximately 0.01.
To approximate the probability that 10 or more components fail, a normal distribution can be used. Using the normal approximation, the probability of 10 or more components failing can be calculated as 1 minus the cumulative probability of 10 or fewer components failing.
This probability can be found by subtracting the cumulative probability of 10 or fewer components failing from 1. This gives an approximate probability that 10 or more of the original 5000 components fail during the useful life of the product of 0.01.
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Which of the following is NOT a factor that affects the price a company charges for a life insurancepolicy?A. The company's cost of doing business.B. The return on its investments.C. The mortality rate it expects among its policy holders.D. The policy features.E. All of these affect the price.
The factor that does NOT affect the price a company charges for a life insurance policy is option D. policy features.
Life insurance is a contract between an insurance policyholder and an insurance provider in which the provider assures a death benefit to named beneficiaries upon the death of the policyholder, in exchange for regular premiums. Life insurance is intended to offer peace of mind in the event of the policyholder's death to their beneficiaries.
The following factors affect the price that a company charges for a life insurance policy:
1. The company's cost of doing business.2. The return on its investments.3. The mortality rate it expects among its policyholders.4. The policy features.The policy features such as policy loan availability, payout amounts, the scope of coverage, and so on, have an impact on the price of a life insurance policy. Policyholders can often customize their policy features to fit their specific requirements or budget, but these customizations can affect the cost of the policy. However, among the given options, policy features are the factors that do not impact the price that a company charges for a life insurance policy. Therefore, the correct option is D.
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which of the following tasks should the cash disbursements clerk not perform? a. review the supporting documents for completeness and accuracy b. approve the liability c. mark the supporting documents paid d. prepare checks
The task that the cash disbursements clerk should not perform is to approve the liability. Alternative b. is correct.
What is the role of a cash disbursements clerk?A cash disbursements clerk's job includes preparing payments and making sure that supporting documents are completed and accurate. They're in charge of marking supporting documents as "paid" and preparing checks. They're also in charge of paying bills and debts, as well as keeping track of receipts and payments.
Is not the responsibility of a cash disbursements clerk to approve the liability. Liability authorization is usually the responsibility of upper-level management. The clerk's role is to prepare payments and ensure that supporting documents are accurate and complete.
In conclusion, alternative b. approve the liability is correct.
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When all companies and their managers in a society behave in a socially responsible way, business increases, quality of life increases, and
a. a climate of caring will pervade.
b. lawlessness all but ceases to exist.
c. people look after their own interests.
d. small business starts increase.
When all companies and their managers in a society behave in a socially responsible way, business increases, quality of life increases, and "a climate of caring will pervade". Option A is the correct answer.
When companies and their managers behave in a socially responsible way, they contribute to creating a positive and supportive climate in the society. Socially responsible behavior can include actions such as promoting environmental sustainability, treating employees fairly, giving back to the community, and ensuring ethical business practices.
When companies prioritize these values, they can inspire others to do the same, creating a ripple effect that can lead to a more caring and compassionate society. In turn, this can lead to increased well-being and quality of life for all members of the community.
Therefore, option A is the correct asnwer.
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Find the equivalent taxable yield of the municipal bond for tax brackets of zero, 10%, 20%, and 30%, if it offers a yield of 4%. (Round your answers to 2 decimal places.)
Tax Brackets
a. Zero ..................... %
b. 10% ..................... %
c. 20% ..................... %
d. 30% ..................... %
a. Zero ............................ 4.00%
b. 10% ............................ 3.60%
c. 20% ............................ 3.20%
d. 30% ............................ 2.80%
Given that a municipal bond offers a yield of 4%. We need to find the equivalent taxable yield of the municipal bond for tax brackets of zero, 10%, 20%, and 30%.Let the equivalent taxable yield of the municipal bond for tax brackets of zero, 10%, 20%, and 30% be x, y, z, and w, respectively.
Municipal bond offers a yield of 4%For tax bracket 0%, the equivalent taxable yield of the municipal bond is given byx = Municipal bond yield = 4%Taxable equivalent yield = Municipal bond yield/(1- Tax rate) = 4%/(1 - 0%) = 4%For tax bracket 10%, the equivalent taxable yield of the municipal bond is given byy = Municipal bond yield = 4%Taxable equivalent yield = Municipal bond yield/(1- Tax rate) = 4%/(1 - 10%) = 4.44% (rounded to two decimal places)
For tax bracket 20%, the equivalent taxable yield of the municipal bond is given byz = Municipal bond yield = 4%Taxable equivalent yield = Municipal bond yield/(1- Tax rate) = 4%/(1 - 20%) = 5% (rounded to two decimal places)For tax bracket 30%, the equivalent taxable yield of the municipal bond is given by w = Municipal bond yield = 4%Taxable equivalent yield = Municipal bond yield/(1- Tax rate) = 4%/(1 - 30%) = 5.71% (rounded to two decimal places)
Hence, the equivalent taxable yield of the municipal bond for tax brackets of zero, 10%, 20%, and 30% are 4%, 4.44%, 5% and 5.71%, respectively.
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4. Case 4: (Offers not accepted?) Mr. Peters wrote to Mr. King, offering his car for sale for $2000. At the same time, Mr. King sent Mr. Peters a letter, offering to buy his car for $1000. King took no further action. Two days later, Mr. Peters sold the car to Mr. Best for $ 2500. Mr. King took Mr. Peters to court, saying that there was a contract. What was the likely outcome of the case?
In this case, Mr. Peters made an offer to sell his car to Mr. King for $2000, while Mr. King made a counteroffer to buy the same car for $1000.
What is a counteroffer?A counteroffer is a response given by a recipient of an initial offer, which proposes different terms or conditions than those initially proposed. It is a negotiation tactic used in various contexts, such as business deals, salary negotiations, real estate transactions, and more. The counteroffer typically contains changes or amendments to the original offer, which may include adjustments to the price, delivery terms, payment schedule, or other aspects of the agreement. The recipient of the counteroffer can accept the changes proposed, reject them, or respond with a counter-counteroffer. The negotiation process continues until both parties reach an agreement or decide to walk away from the negotiation. Counteroffers are a normal and expected part of the negotiation process, and they provide an opportunity for both parties to explore different options and find common ground.
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confusion corp is expected to pay a dividend of $2 in the upcoming year. the risk-free rate of return is 4%, and the expected return on the market portfolio is 14%. the beta of confusion corp's stock is 1.25. if confusion's intrinsic value is $21.00 today, what must be its growth rate? group of answer choices 4% 0.0% 7% 6% 10%
If confusion's intrinsic value is $21.00 today, its growth rate must be 6%.
The dividend discount model is a method used to estimate the intrinsic value of a stock by calculating the present value of expected future dividends.
We can use the dividend discount model to solve for the growth rate:
$21.00 = $2 / (0.14 - g) * (1 - 1 / (1 + 0.04)^1.25)
Solving for g, we get:
g = 6%
Therefore, the required growth rate for Confusion Corp's stock to have an intrinsic value of $21.00 today is 6%.
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only property that passes from the deceased spouse to the surviving spouse is eligible for the marital deduction. which of the following will not qualify for the estate tax marital deduction?
The estate tax marital deduction refers to a benefit for a surviving spouse who is a U.S. citizen. When a spouse dies, the surviving spouse can inherit some or all of the property that the deceased spouse owned.
The marital deduction is an exception to the usual rule that assets transferred to another person are subject to estate tax. This deduction allows for the transfer of unlimited assets from one spouse to the surviving spouse without incurring estate tax. However, not all property is eligible for the marital deduction. For instance, the following assets do not qualify for the estate tax marital deduction:
Gifts to someone other than the surviving spouse.
Trusts that are not revocable.
Survivorship property.
Community property.
Therefore, the survivorship property will not qualify for the estate tax marital deduction. Survivorship property passes directly to the surviving spouse outside of probate, but it is not considered a marital asset for tax purposes.
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what is the correct chronological order in which piaget’s cognitive stages appear
The correct chronological order in which Piaget’s cognitive stages appear is given below: Sensorimotor stage, Preoperational stage, Concrete operational stage, and Formal operational stage.
Jean Piaget was a Swiss psychologist who developed the cognitive development theory. Piaget’s cognitive development theory explains how a child constructs mental models of the world. Piaget proposed that a child goes through four major stages of cognitive development. The stages are the sensorimotor stage, preoperational stage, concrete operational stage, and formal operational stage.
The correct chronological order in which Piaget’s cognitive stages appear is given below:
Sensorimotor stage, The sensorimotor stage is the first stage of cognitive development proposed by Piaget. It occurs during the first two years of life. During this stage, infants develop the coordination of their senses and motor skills. The main achievement of this stage is the understanding of object permanence.Preoperational stage, The preoperational stage occurs between the ages of 2 and 7. During this stage, children can think about things symbolically. However, their thinking is still limited, egocentric, and intuitive. Children in this stage lack the concept of conservation.Concrete operational stageThe concrete operational stage occurs between the ages of 7 and 12. During this stage, children become more logical and organized in their thinking. They develop the concept of conservation, classification, and cause-effect reasoning.Formal operational stage, The formal operational stage begins at the age of 12 and continues into adulthood. During this stage, people develop the ability to think abstractly and logically. They become capable of hypothetical and deductive reasoning. This stage involves the development of complex mental models and the ability to think about abstract concepts.The correct chronological order in which Piaget’s cognitive stages appear is Sensorimotor stage, Preoperational stage, Concrete operational stage, and Formal operational stage.
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Elaina and Allen just purchased a home using a deed of trust. Which of the following is most likely true about their home loan?
A) A trustee will hold title until the loan is paid.
B) Their transaction is secured with a mortgage as well.
C) The lender will hold the mortgage, while a trustee will hold the deed of trust until their loan is paid off.
D) The lender will hold the title until the loan is paid off.
As Elaina and Allen purchased a home using a deed of trust, the one that is most likely true about their home loan is: the lender will hold the mortgage, while a trustee will hold the deed of trust until their loan is paid off. (option C)
A deed of trust is a legal document used in some states to secure a real estate loan. It involves three parties: the borrower, the lender, and a trustee.
The trustee holds the legal title to the property until the loan is paid off. The borrower retains possession of the property and has the right to use it, but the lender has the right to foreclose on the property if the borrower fails to repay the loan.
The trustee can also foreclose on the property if the borrower defaults. Unlike a mortgage, which involves only two parties (borrower and lender) and uses the property as collateral, a deed of trust involves a third-party trustee who holds the legal title to the property.
Therefore, the correct answer is option C.
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bertone's office supplies has decided to branch out from its existing stores. it plans to start sending out a catalog, and also to sell its products online. bertone's is adopting
Bertone's Office Supplies has decided to branch out from its existing stores by starting to send out a catalog and selling products online. Bertone's is adopting a multi-channel approach.
What is multi-channel?A multi-channel approach refers to the use of several methods to sell and promote a company's goods and services. The term "multichannel" refers to the various channels or mediums via which a company offers products to customers or target audiences.
The multichannel marketing model is widely used across a variety of industries. It refers to the use of several marketing channels and promotional methods to increase a company's visibility and reach among consumers. Therefore, Bertone's is adopting a multichannel marketing approach by adding new channels like the catalog and online sales in addition to its existing stores.
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what is the present value of $3,025 per year, at a discount rate of 9 percent, if the first payment is received 10 years from now and the last payment is received 24 years from today?
Answer:
The present value of $3,025 per year, at a discount rate of 9 percent, if the first payment is received 10 years from now and the last payment is received 24 years from today is $20,559.78.
Step-by-step Explanation:
To calculate the present value of an annuity, the following formula is used:
[tex]PV = (C / r) x (1 - (1 + r)^-n)[/tex]
Where PV is the present value of the annuity. C is the regular payment received. r is the interest rate per period of time.n is the total number of payments to be received.
Let's put the given values in the above formula, we get:
[tex]PV = ($3,025 / 0.09) x (1 - (1 + 0.09)^-15)[/tex]
[tex]PV = $33,611.11 x (1 - (1.09)^-15)[/tex]
[tex]PV = $20,559.78[/tex]
Therefore, the present value of $3,025 per year, at a discount rate of 9 percent, if the first payment is received 10 years from now and the last payment is received 24 years from today is $20,559.78.
when mario, general manager of taco bell, decided to inform his employees about the information from the higher ups, then make his taco bell locations central hubs for training, he was demonstrating both the informational and decisional roles of being a manager. true or false
True. Mario, as a general manager, exhibited both the informational role by sharing information from higher-ups and the decisional role by making the Taco Bell locations central hubs for training.
True. As a general manager, Mario performed the informational position by providing essential information from higher-ups to his employees, which is a critical aspect of successful communication and decision-making within a company.
Furthermore, he displayed a decisional role by taking the initiative to create his Taco Bell location's training centres. This position entails making decisions that impact the company's path as well as dealing with problems that arise within the business. Mario successfully managed his employees and contributed to the company's success by assuming both positions.
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