the degree to which an employee believes it is meaningful to engage in work is partially determined by access to sufficient resources to work effectively. group of answer choicesA. TrueB. False

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Answer 1

The given statement, "the degree to which an employee believes it is meaningful to engage in work is partially determined by access to sufficient resources to work effectively", is true because having sufficient resources can increase an employee's ability to perform their job effectively

Also to feel a sense of purpose and accomplishment in their work. The resources that employees have access to can affect their motivation levels and sense of fulfillment in the workplace.

What is work motivation?

Work motivation is a process that includes a variety of factors, such as internal or external drives, incentives, and rewards. The concept of work motivation is all about why people choose to work and what factors influence their engagement in the workplace. Resources, such as tools, equipment, and adequate time, are crucial to ensuring that employees are able to perform their jobs effectively.

These resources enable employees to be productive and efficient, which can contribute to their sense of job satisfaction and meaning. Therefore, access to sufficient resources can positively influence an employee's motivation to engage in work.

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the announcement of a dividend increase by a growth company may have what impact? group of answer choices increase in price due to expectation of increased cash flow. drop in price from higher shareholder scrutiny. increase in price due to enhanced growth rate. drop in price due to lower perceived growth opportunities.

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The announcement of a dividend increase by a growth company may have the impact of an increase in price due to the expectation of increased cash flow. Hence option A. is correct.

What is Dividend?

Dividend is defined as the amount of profit that the company distributes to its shareholders, out of the total profits earned by the company.

Dividends can either be cash or stock dividends. It is usually paid out in proportion to the number of shares held by the shareholders. The payment of dividends is not an obligation, but rather it is up to the discretion of the management of the company.

Dividends are announced at the end of the financial year of the company, and they are paid out after approval from the shareholders.

When a company announces an increase in dividend, it indicates that the company is profitable and has strong cash flow. This is viewed positively by the investors, and as a result, the price of the company's shares may increase.

Hence, an increase in dividend may be seen as a sign of growth opportunities. Therefore, option A. increase in price due to expectation of increased cash flow is correct.

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market basket analysis is a useful and entertaining way to explain data mining to a technologically less savvy audience, but it has little business significance.A. True B. False

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The given statement, "Market basket analysis is a useful and entertaining way to explain data mining to a technologically less savvy audience, but it has little business significance," is false (F) because market basket analysis  has great business significance.

Market basket analysis is a data mining technique that examines shopping baskets to uncover relationships between the items customers purchase together, and it has great business significance. Market basket analysis is a useful and entertaining way to explain data mining to a technologically less savvy audience, but it has business significance.

What is market basket analysis?

Market Basket Analysis (MBA) is a data mining method that helps you find relationships between the items that people buy together. The procedure looks at customer transactions to discover patterns. Knowing what items people purchase together can assist stores in developing intelligent cross-selling techniques. This will aid in the maximization of profits.

MBA can assist a firm in identifying relationships among items that customers purchase. This provides additional product insights, which may lead to new product ideas or development. It aids in the design of new store layouts and the adjustment of existing ones. MBA may aid in the analysis of the effectiveness of specific marketing and promotional campaigns.

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the third party who checks annual financial statements to ensure that they are prepared according to gaap and verifies that the information reported is reliable is the:

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The third party who checks annual financial statements to ensure that they are prepared according to GAAP and verifies that the information reported is reliable is the auditor.

What is GAAP?

GAAP is an abbreviation for "generally accepted accounting principles." It is a collection of commonly followed accounting rules and procedures. The purpose of GAAP is to ensure that financial reporting is accurate and consistent across businesses. It is intended to make financial statements useful to a broad range of users who rely on them to make decisions.

Who is an auditor?

An auditor is a specialist who examines the financial records of a company. They may work for the company, or they may be employed by an outside accounting firm. They assess financial records to guarantee that they are precise and follow the GAAP.

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fick psychological services, inc., closes its temporary accounts once each year on december 31. the company recently issued the following income statement as part of its annual report. Fick's statement of retained earnings indicates that a $8,000 cash dividend was declared and paid during the current year. a. Prepare the necessary closing entries on December 31 of the current year. b. If Fick's Retained earnings account had a $90,000 balance on at the beginning of the current year, at what amount should Retained Earnings be reported in the firm's year-end balance sheet dated December 31?

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The balance to be reported was $82,000 in the company's December 31 year-end balance sheet.

To close the temporary accounts, the necessary entries on December 31 of the current year would be:

Debit Retained Earnings for $8,000Credit Dividends for $8,000

Retained earnings are usually held by the company as a provident fund or business development fund. 

If Fick's Retained Earnings account had a $90,000 balance at the beginning of the current year, then its balance should be reported as $82,000 in the firm's year-end balance sheet dated December 31. This is because the $8,000 dividend was declared and paid out during the current year.

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The total, or market, curve for a specific resource shows the various total amounts of the resource that firms will purchase or hire at various resource prices, other things equal is called___

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The total, or market, curve for a specific resource shows the various total amounts of the resource that firms will purchase or hire at various resource prices, other things equal. This phenomenon is known as the "law of demand". The law of demand states that as the price of a resource increases, the quantity demanded for that resource will decrease and vice versa. As the price of the resource decreases, the quantity demanded for the resource will increase. This relationship between price and quantity is represented in the total, or market, curve.

The total, or market, curve is a downward sloping curve. This indicates that as the price of a resource increases, the total quantity of the resource that firms will purchase or hire will decrease. Conversely, as the price of a resource decreases, the total quantity of the resource that firms will purchase or hire will increase. This is due to the fact that firms are more likely to purchase or hire a greater quantity of a resource if the price of that resource is lower.

The total, or market, curve is an important concept in economics and is used to demonstrate the relationship between price and quantity of a resource. This curve is an important tool for understanding how the demand for a resource is affected by changes in price.

when students use the comprehended association to generate a new or novel product, they are engaging in?

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When students use the comprehended association to generate a new or novel product, they are engaging in creativity.

Creativity is the process of generating new and useful ideas, concepts, or solutions that are relevant to a particular problem or situation. It is the ability to think outside the box, to see things from a different perspective, and to come up with innovative solutions to complex problems.

There are several techniques that individuals can use to stimulate creativity, one of which is comprehended association. Comprehended association involves generating novel or original ideas by combining or synthesizing existing ideas, concepts, or knowledge. By making new connections between existing ideas, comprehended association enables individuals to generate new and innovative solutions to complex problems or challenges.

Thus, when students use the comprehended association to generate a new or novel product, they are engaging in creativity, which is the process of generating new and useful ideas, concepts, or solutions that are relevant to a particular problem or situation.

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The table describes hypothetical employment statistics for a country in a given year. Full-time workers and Labor force Involuntary part-time workers Discouraged workers voluntary part-time workers 188 milliorn 200 milliorn 6 million 4 million Based on the information, what is the unemployment rate? Enter your answer as percentage rounded to one decimal place.

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An employment rate refers to the employment-to-population ratio or, more specifically, the proportion of working-age persons employed in an economy.

The given table describes the hypothetical employment statistics for a country in a given year.

The table shows the following information:

Full-time workers = 188 million

Involuntary part-time workers = 6 million

Discouraged workers = 4 million

Voluntary part-time workers = 200 million

Total Labor Force = Full-time workers + Involuntary part-time workers + Discouraged workers + Voluntary part-time workers

= 188 million + 6 million + 4 million + 200 million= 398 million

Total number of unemployed persons = Involuntary part-time workers + Discouraged workers

= 6 million + 4 million= 10 million

Therefore, the unemployment rate is calculated by the formula:

Unemployment rate = (Number of unemployed persons / Labor force) × 100

Putting the given values in the above formula, we get:

Unemployment rate = (10 million/398 million)  100 = 2.51% (rounded to one decimal place)

Therefore, the unemployment rate is 2.51%.

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If the market prices of publicly traded stocks and bonds rise, while the productive capacity of those assets has not increased, which of the following has occurred? A. Nominal wealth has increased. B. Real wealth has increased. C. Nominal wealth has increased, but real wealth has decreased. D. Tangible wealth must have declined in value.

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The correct option is A) Nominal wealth has increased. If the market prices of publicly traded stocks and bonds rise while the productive capacity of those assets has not increased, the nominal wealth of the holders of those stocks and bonds has increased.

What is nominal wealth?

Nominal wealth refers to the monetary value of an individual's assets. Nominal wealth is calculated by multiplying the number of stocks or bonds a person owns by the market price of each stock or bond.

What is real wealth?

Real wealth refers to the value of a person's assets in relation to the amount of goods and services they can purchase with those assets. Real wealth is measured by the inflation-adjusted value of a person's assets.Inflation can affect both nominal and real wealth. Inflation can cause nominal wealth to rise without any increase in real wealth, which is what happens when the market prices of publicly traded stocks and bonds rise while the productive capacity of those assets has not increased. This is because inflation can increase the market price of stocks and bonds without any corresponding increase in the amount of goods and services that those stocks and bonds can buy.

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mortgage-backed securities are assigned ratings by: a. the mortgage originator. b. the u.s. treasury. c. rating agencies. d. the federal reserve.

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Mortgage-backed securities are assigned ratings by Rating Agencies. The correct option is c.

What are mortgage-backed securities?

Mortgage-backed securities are a kind of asset-backed security that is backed by a pool of mortgages. They're issued by the government-sponsored enterprises Fannie Mae and Freddie Mac, as well as other financial institutions. The objective of mortgage-backed securities is to provide investors with a means to participate in the real estate market without having to own properties themselves. The cash flow from the mortgages in the pool is distributed to the securities owners as payments of interest and principal on a monthly or quarterly basis.

Mortgage-backed securities are assigned ratings by rating agencies. Moody's, Standard & Poor's, and Fitch are examples of such businesses. These rating agencies examine the likelihood of the securities' payments and provide investors with information about the degree of risk involved. Therefore, the correct option is c.

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if a company purchases treasury stock for $6,000 and then reissues it for $5,000, the difference of $1,000 is: if a company purchases treasury stock for $6,000 and then reissues it for $5,000, the difference of $1,000 is: an increase in stockholders' equity a decrease in stockholders' equity treated as a loss on the sale treated as a gain on the sale

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The difference of $1,000 is treated as a gain on the sale.

If a company purchases treasury stock for $6,000 and then reissues it for $5,000, the difference of $1,000 is treated as a gain on the sale. The treasury stock is repurchased by the issuing company from its shareholders. It is not the same as outstanding shares that are held by investors outside of the company.

Treasury stock is a way for companies to return cash to shareholders. They are shares that have been purchased by the company in the past and are now held in its treasury. Therefore, the difference of $1,000 is treated as a gain on the sale.

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laura discovered to her amazement that the skin oil she sold seemed to repel mosquitos. she relabeled the product and began selling it as alternative to brands such as cutter and off. laura's startup is based on a new idea. a. product b. benefit c. market d. technology

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Laura discovered to her amazement that the skin oil she sold seemed to repel mosquitos. She relabeled the product and began selling it as an alternative to brands such as Cutter and OFF and startup based on product.  (A)



Laura's startup is based on a new idea of using her skin oil product as a repellent to mosquitos. By relabeling her product and marketing it as an alternative to existing brands such as Cutter and OFF, Laura was able to create a unique and marketable product.

This was a successful idea, as her product was able to provide an alternative to existing mosquito repellents and provide a unique benefit for customers. The idea of creating a unique and innovative product is a great example of how entrepreneurship can lead to success. (A)

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which of the following coding rules would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and drg for this case? select all that apply.
a. Respiratory failure is always due to an underlying condition.
b. Careful review of the medical record is required for accurate coding and sequencing of respiratory failure.
c. Respiratory failure is always coded as secondary.
e. Respiratory failure may be assigned as the principal diagnosis when it meets the definition and the selection is supported by the alphabetic and tabular listing of ICD-10-CM.
f. The principal diagnosis should be based on physician query to determine whether the pneumonia or the respiratory failure was the reason for the admission.

Answers

The correct answers for coding rules that would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and DRG for this case are options A and C. A is incorrect because respiratory failure is not always due to an underlying condition and C is incorrect because respiratory failure is not always coded as secondary.

Respiratory failure is a condition in which the lungs fail to oxygenate the blood adequately. Respiratory failure is not always caused by underlying conditions. Therefore, this coding rule would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and DRG for this case. Respiratory failure can be coded as the principal diagnosis. As a result, this coding rule would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and DRG for this case.

A careful review of the medical record is required for accurate coding and sequencing of respiratory failure (Answer B), and the principal diagnosis should be based on a physician's query to determine whether pneumonia or respiratory failure was the reason for the admission (Answer F).

Additionally, respiratory failure may be assigned as the principal diagnosis when it meets the definition and the selection is supported by the alphabetic and tabular listing of ICD-10-CM (Answer E).

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True or False, if company a runs an aggressive advertising campaign that tells customers why they should quit doing business with company b and do business with a instead, b will be able to sue a for interference with a prospective advantage.

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If company a run an aggressive advertising campaign that tells customers why they should quit doing business with company b and do business with a instead, b will be able to sue a for interference with a prospective advantage. This statement is true.

Advertising is a communication approach in which a seller or service provider promotes or persuades people to purchase their product or services. Advertisements persuade potential buyers to use your product or service by presenting a message that inspires, educates, and motivates them. The goal of advertising is to create awareness and raise demand for a specific product or service by informing customers about its benefits. The advertising process is intended to reach a target audience and provide them with the information they need to make informed purchase decisions.

A campaign is a strategy for achieving specific business goals or aims that are targeted at a particular market or client base. It's a planned effort to persuade customers to take action, like purchase or use a particular product or service. A campaign can be used to increase sales, improve brand recognition, or introduce new products to the market. A campaign usually includes a set of activities, such as advertisements, public relations, direct mail, and online promotions. They are designed to help achieve a particular goal or objective.

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which indicators do economists use to determine the state of the economy? choose three answers.

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Gross Domestic Product, Unemployment rate and Consumer Price Index are indicators do economists use to determine the state of the economy.

Gross Domestic Product (GDP): GDP measures the total value of goods and services produced within a country over a specific period of time, usually a year or a quarter. It is considered one of the most important indicators of a country's economic health.

Unemployment rate: The unemployment rate measures the percentage of the labor force that is unemployed but actively seeking employment. High unemployment rates are generally indicative of a weak economy.

Consumer Price Index (CPI): The CPI is a measure of the average change in prices of goods and services consumed by households over time. It is used to track inflation and its impact on the economy.

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Reviewing payroll records indicates that employee salaries that are due to be paid on January 3 include $3,575 in wages for the last week of December. There was no previous balance in the Salaries Payable account at that time. Based on the information provided:
As of December 31, what is the amount of salary expense that needs to be accrued?
What account is debited in the adjusting entry?
What account is credited in the adjusting entry?

Answers

As of December 31, the amount of salary expense that needs to be accrued is $3,575. The account that is debited in the adjusting entry is Salary Expense account. The account that is credited in the adjusting entry is Salaries Payable account.

An adjusting entry is a journal entry made at the end of an accounting period to allocate income and expenditure to the period in which it occurred. These entries are created to modify the account balances so that the financial statements reflect accurate amounts. Adjusting entries are used to track revenues and expenses over the accounting period that they are incurred. They are also used to report on financial activities in the future.

In the given scenario, the total amount of salary expenses that need to be accrued as of December 31 is $3,575. The Salaries Payable account had no previous balance before this. Therefore, the Salary Expense account needs to be debited in the adjusting entry. Salaries Payable account needs to be credited in the adjusting entry.

Hence, based on the information provided, $3,575 needs to be accrued as of December 31 as salary expense. The account to be debited in the adjusting entry is Salaries Expense and the account to be credited in the adjusting entry is Salaries Payable.

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Since accounting numbers, such as the allowance for doubtful accounts balance, are based on _____, financial statements are susceptible to management manipulation. (Enter one word per blank.)

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Since accounting numbers, such as the allowance for doubtful accounts balance, are based on estimates, financial statements are susceptible to management manipulation.

What are accounting numbers?

Accounting numbers refer to financial information or numerical data that are derived from an organization's financial statements. Accounting numbers are generated by recording and summarizing an organization's monetary activities. Managers use accounting numbers to determine whether the company is performing effectively and to make sound decisions based on financial evidence.

It is essential for an organization to keep accurate records of its financial activities to generate accurate accounting numbers. These figures will provide a clear picture of the organization's financial position, allowing managers to make informed decisions.

A company's financial statements are susceptible to management manipulation because accounting numbers are based on estimates. The management team can manipulate financial statements to create the illusion of the company's good financial position.

As a result, auditors are needed to review financial statements to ensure they are free of misstatements and to establish the company's actual financial position.

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when considering most goods in most markets we would likely observe that

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When considering most goods in most markets we would likely observe that they are quasi-public goods.

A public good (also known as a social good or communal good) is a non-excludable and non-rivalrous good in economics. Users cannot be denied access to or use of such items for failing to pay for them. Therefore, usage by one individual neither inhibits nor reduces the availability of others.

As a result, the good can be utilised by more than one person at the same time.  This is in contrast to a non-excludable but somewhat rivalrous common good, such as wild fish populations in the ocean.

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in the u.s. economy, the offsetting effects of private saving compared to government borrowing are typically noted as being represented by which of the following ratios?

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In the U.S. economy, the offsetting effects of private saving compared to government borrowing are typically noted as being represented by the following ratios: National savings, Public savings, Capital inflow. In a closed economy, these three quantities must be equal to each other: Y = C + I + G, which means that national savings (S) equals investment (I).

Public savings (T-G) refers to the amount of revenue the government receives minus the amount it spends. The national savings, which is the total amount of savings in the economy, can be broken down into two categories: private savings and public savings.In the United States, the offsetting impacts of private savings compared to government borrowing are typically represented by the national savings, public savings, and capital inflow ratios. These are known as the "twin deficits" in economics. The private savings rate, which is the percentage of income that individuals and households save, has been declining in the United States over the last few decades. This trend has been fueled by a variety of factors, including lower interest rates, rising income inequality, and increased consumer spending. As a result, the government has had to borrow more to finance its spending, which has contributed to the twin deficits.The current account balance is calculated by subtracting imports from exports. The capital inflow is the net amount of foreign investment in the United States. If the United States has a trade deficit, it means that it is importing more than it is exporting, and this implies that the capital inflow must be greater than the public and private savings combined.

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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 real gross domestic product (GDP) if there exists a deflationary gap in the economy.

Deflationary gap refers to a situation where the economy's aggregate demand (AD) is less than the aggregate supply (AS), resulting in declining output levels and rising unemployment. In such a situation, the government can intervene and employ expansionary monetary policy measures to boost the economy's aggregate demand levels. One of the ways to do so is by purchasing government securities (bonds) from the financial markets. It is also known as quantitative easing (QE).The Federal Reserve is responsible for controlling the nation's monetary policy. They regulate the money supply and interest rates in the economy. By purchasing government securities, the Federal Reserve injects money into the economy, increasing the reserves of banks, and thereby boosting lending and spending activity. As a result, the economy's aggregate demand levels rise, leading to higher production and employment levels. This, in turn, causes real GDP to increase, thereby reducing the deflationary gap. The monetary policy of bond purchase helps to stimulate the economy during periods of recession, promote economic growth and employment creation, and increase inflation levels.The Federal Reserve uses this monetary policy as a tool to counteract negative shocks to the economy, such as recession, high unemployment rates, or decreasing prices. By increasing the money supply, the government is stimulating demand and encouraging economic activity. The purchase of bonds helps to create new jobs, stimulate spending, and ultimately lead to an increase in real GDP levels. Hence, it can be concluded that the Federal Reserve's purchase of bonds will have the most significant effect on real GDP if there exists a deflationary gap in the economy.

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Complete question:

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?

(A) The required reserve ratio is high, and the interest rate has a large effect on investment spending.

(B) The required reserve ratio is high, and the interest rate has a small effect on investment spending.

(C) The required reserve ratio is low, and the interest rate has a large effect on investment spending.

(D) The required reserve ratio is low, and the marginal propensity to consume is low.

(E) The marginal propensity to consume is high, and the interest rate has a small effect on investment spending.

2b. Assume the company uses variable costing. Prepare its income statement for the year under variable costing. COOL SKY Variable Costing Income Statement Net income (loss) Required information Exercise 19-9 Income statement under absorption costing and variable costing LO P1, P2 (The following information applies to the questions displayed below.] Cool Sky reports the following costing data on its product for its first year of operations. During this first year, the company produced 40,000 units and sold 32,000 units at a price of $110 per unit. Manufacturing costs Direct materials per unit Direct labor per unit Variable overhead per unit Fixed overhead for the year Selling and administrative costs Variable selling and administrative cost per unit Fixed selling and administrative cost per year $ 42 $ 16 $ 5 $360,000 $ 11 $ 115,000 Exercise 19-9 Part 2b 2b. Assume the company uses variable costing. Prepare its income statement for the year under variable costing.

Answers

An income statement is used for reporting financial performance over an accounting period.  The other two statements are cash flows and balance sheets.  

An income statement is also called a revenue and expense statement.  It mainly focuses on a company's revenues and expenses during a particular period.  It is an important part of a company's performance reports.

Under variable costing, Cool Sky’s Income Statement for the year would be as follows:

Revenue: 32,000 units x $110 = $3,520,000

Cost of Goods Sold: 32,000 units x ($42 + $16 + $5) = $1,440,000

Gross Profit: $3,520,000 - $1,440,000 = $2,080,000

Selling and Administrative Costs: 32,000 units x ($11 + $115,000) = $416,000

Net Income (Loss): $2,080,000 - $416,000 = $1,664,000

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Equity investors in a private company usually plan to realize a return on their investment by selling their stock when that company is acquired by another firm or sold in the public in a public offering....TRUE OR FALSE??????

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This statement is TRUE.

The statement "Equity investors in a private company usually plan to realize a return on their investment by selling their stock when that company is acquired by another firm or sold in the public in a public offering" is TRUE.

What is a Private Company? A privately held company, or simply a private company, is a corporation owned by a relatively small number of shareholders and is not publicly traded on stock exchanges. Private businesses can either be owned by family members or individuals, venture capitalists, or angel investors.

What is an Equity Investor? A person or corporation that invests money in exchange for ownership of a share of the company's equity capital or ownership is known as an equity investor. They have a stake in the company's future earnings and may also have a say in its management choices.

What do Equity Investors in Private Companies Usually Do? Equity investors in private companies typically aim to realize a return on their investment by selling their shares when the company is sold or goes public in an initial public offering (IPO).

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provide one reason that it is important to start putting money away for retirement as early as possible.

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The availability of disposable funds is one of the primary reasons why it is important starting to put money away and star saving for retirement life as soon as possible for an individual.

The disposable funds are heavily dependent on how a person saves or safeguards his or her money. If the saving is started early in life, then the chances of having higher disposable funds early in life are higher, and increase the chances of better retirement savings. Thus, it is influential to start putting away the money that an individual has in his or her life.

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A ________ is a combination of different types of flows through a process. Multiple Choice
- capacity mix
- product mix
- demand matrix
- product matrix

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The correct option is B. Product mix. A product mix is a combination of different types of flows through a process.What is Product Mix?

The collection of all the product lines and items a company has is known as its product mix. It's also known as product range or product assortment. A company's product mix represents the total number of different items that a company has.

Product mix is an important concept in the world of marketing that refers to the collection of various products that a company provides. Product mix is a vital strategic instrument in a company's marketing arsenal. It serves as a comprehensive representation of all the products that a business offers.

Marketers frequently talk about product mix in terms of width, length, depth, and consistency. The product mix is the comprehensive representation of a firm's various product lines and their distinct characteristics, features, and benefits.

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If your purchases of shoes decrease from 11 pairs per year to 9 pairs per year when your income increases from $19,000 to $21,000 a year, then, for you, shoes are considered a(n):
A) normal good.
B) inferior good.
C) complementary good.
D) substitute good.

Answers

If your purchases of shoes decrease from 11 pairs per year to 9 pairs per year when your income increases from $19,000 to $21,000 a year, then, for you, shoes are considered an (B) inferior good.

Inferior goods are products whose consumption is reduced when people's income rises, either because they can no longer afford them or because they prefer higher-quality alternatives.

Inferior goods are products whose consumption decreases as people's incomes rise, as opposed to normal goods.

When the price of an inferior good rises, people may start buying more of it rather than less of it, because it becomes more cost-effective than higher-quality substitutes.

Inferior goods, on the other hand, are those goods that are demanded less when the customer's income rises, indicating a negative connection between the customer's income and the inferior good's price.

As a result, option B is the right choice. Shoes are considered an inferior good, as the customer's income increases from $19,000 to $21,000 per year, the pair of shoes decreases from 11 pairs per year to 9 pairs per year.

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: QS 3-26 (Static) Classifying balance sheet items LO C2 Common categories of a classified balance sheet include Current Assets, Long-Term Investments, Plant Assets, Intangible Assets, Current Liabilities, and Long-Term Liabilities. For each of the following items, Identify the balance sheet category where the item would most likely appear Items 1. Land 2. Nodes payable (due in five years) 3. Accounts receivable 4. Trademarks 5. Accounts payable 6. Equipment 7. Wages payable 8 Cash Batarice Sheet Category Plant assets Long-term liabilities Current assets Current assets Current liabilities Current assets Current assets Current assets

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QS 3-26 (Static) Classifying balance sheet items LO C2

Land - Plant Assets Notes payable (due in five years) - Long-term liabilities Accounts receivable - Current assets Trademarks - Intangible assets Accounts payable - Current liabilities Equipment - Plant Assets Wages payable - Current liabilities Cash - Current assets


Common categories of a classified balance sheet include Current Assets, Long-Term Investments, Plant Assets, Intangible Assets, Current Liabilities, and Long-Term Liabilities.

A long-term investment is an investment in assets for a period of one year or longer with the aim of controlling another company.

Current assets are business assets that can be liquidated for cash. Fixed assets are tangible assets held for the production or supply of goods or services, leased to others, or for administrative purposes. likely to be used over multiple time periods.

Intangible assets are identifiable non-financial assets that have no physical form. These assets are held to produce goods and services or used for other purposes.

Current liabilities include accrued expenses such as bills payable, accounts payable, unearned income, wages payable, taxes payable and interest payable. 

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Which of the following transactions would be reported within the investing activities section of the cash flow statement?
a. The acquisition of treasury stock in exchange for cash.
b. The cash sale of a building at a loss.
c. The sale of a building in exchange for a parcel of land.
d. The exchange of a stock investment in order to retire a long-term debt.

Answers

C.) the sale of a building in exchange for a parcel of land. The sale of a building in exchange for a parcel of land would be reported within the investing activities section of the cash flow statement.

What are the two key components of cash flow? The two key components of cash flow are cash inflows and cash outflows. These components indicate the amount of cash that is coming into and leaving the business, respectively.

Cash inflows are derived from the sale of goods or services, returns on investments, and other income sources.

Cash outflows are the expenses that a company must pay, such as wages, raw materials, and rent. There are three sections in the cash flow statement. These sections include operating activities, investing activities, and financing activities. The investing activities section includes transactions that involve the acquisition or sale of long-term assets, such as land, buildings, equipment, and securities.

The following transactions would be reported in the investing activities section of the cash flow statement:-

Purchases of property, plant, and equipment- Acquisitions of other businesses or subsidiaries- Sales of property, plant, and equipment- Purchases of investments- Sales of investments- Lending money and collecting principal repayments- Collecting payments from the issuance of loans- Purchase and sale of derivatives and hedging activities

Therefore, the sale of a building in exchange for a parcel of land would be reported within the investing activities section of the cash flow statement.

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When goods are shipped ________, title passes to the buyer whenA) FOB Shipping Point; the carrier accepts goods from the seller.B) FOB Destination; the carrier accepts goods from the seller.C) FOB Shipping Point; the carrier accepts goods from the buyer.D) FOB Destination; the seller manufactures the goods.

Answers

When goods are shipped  FOB destination, title passes to the buyer when the carrier accepts goods from the seller. The answer is OPTION B

When the seller ships the product, the buyer acknowledges title to the goods and assumes full risk, which is known as FOB Origin or FOB Shipping Point. If the products are harmed or lost in transportation, the buyer is liable.  

Ownership of the products in a FOB shipping point arrangement passes from the seller to the buyer once they are delivered at the point of origin. Once the products arrive at the shipping site, the buyer assumes all responsibility for them throughout transportation. In contrast, if the destination is FOB, the seller is responsible for delivery. The answer is OPTION B

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which of the statements about the efficient frontier is not correct? multiple choice question. A. the optimal risky portfolio lies on the efficient frontier B. individual assets forming a portfolio may lie above the graph of the efficient frontier, as well as below it C. various constraints may preclude a particular investor from choosing portfolios on the efficient frontier \
D. the efficient frontier is the graph representing a set of portfolios that maximizes expected return at each level of portfolio risk

Answers

One of the statements that is not correct about the efficient frontier is option B which states that individual assets forming a portfolio may lie above the graph of the efficient frontier as well as below it.

What is the efficient frontier?

Efficient Frontier is the line that determines the highest possible return for a specific level of risk or the lowest risk for a given level of return in a portfolio. The efficient frontier comprises a set of portfolios that provide the highest possible returns for the lowest possible risk.The optimal risky portfolio is situated on the efficient frontier. Various constraints can prohibit a particular investor from selecting portfolios on the efficient frontier, as stated in option C. For example, some investors may be unwilling to take on more risk, while others may have limits on the types of assets they can invest in or their allocation percentages.Investment in individual securities, which can lie above or below the efficient frontier, is not optimal. D is the correct answer, as it describes the efficient frontier graphically, as a set of portfolios that maximize the expected return at each level of portfolio risk.Hence, statement B is not correct. The efficient frontier identifies the ideal mix of securities for an investor, whereas the optimal risky portfolio is the one that offers the highest return for the amount of risk the investor is willing to accept.

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television advertising is: multiple select question. desirable but relatively inexpensive seen only by a targeted market desirable but expensive to buy time desirable but costly to produce the ads

Answers

Television advertising is: Desirable but relatively inexpensive; Desirable but expensive to buy time; and Desirable but costly to produce the ads. The correct selections would be A, C and D.

Television advertising typically involves the creation and broadcasting of short advertisements or commercials during commercial breaks within TV programs. These commercials are designed to capture the attention of viewers and persuade them to take a specific action, such as purchasing a product, visiting a website, or supporting a cause.

Thus, the ideal selection is option A, C and D.

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An insured purchased a noncancellable health insurance policy 1 year ago. Which of the following circumstances would NOT be a reason for the insurance company to cancel the policy?The insured is in an accident and incurs a large claimThe insured does not pay the premium.The insured reaches the maximum age limit specified in the policy.Within two years of the application, the insurer discovers a misrepresentation.

Answers

The following circumstance would NOT be a reason for the insurance company to cancel the policy: The insured reaches the maximum age limit specified in the policy. Option (C) is correct answer.

A non-cancellable health insurance policy is an insurance policy that an insurance company can not cancel, adjust or increase premiums except for reasons provided in the policy.

In general, non-cancellable health policies can be purchased for an initial premium that is higher than the premium for cancellable policies. These policies are typically used by people who want to ensure they have access to health insurance at a fixed premium throughout their lifetime.

The non-cancellable feature provides policyholders with peace of mind that their insurance is guaranteed and will not change for the life of the policy. The following reasons may cause an insurance company to cancel or adjust premiums:

Non-payment of premium by the insuredInsured reaches the maximum age limit specified in the policyInsurer discovers a misrepresentation within two years of the applicationThe insured is in an accident and incurs a large claim

In this question, the answer to the question is that the insured reaches the maximum age limit specified in the policy would not be a reason for the insurance company to cancel the policy. Option (C) is correct answer.

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