1) mention the three methods we use to predict supply
2) if you were an HR professional, when would you use each method?
(I.e what is the ideal situation for choosing each one of
them?)
fast and tru

Answers

Answer 1

1. The three methods commonly used to predict supply in the context of workforce planning are:

Trend analysis is a technique for determining patterns and trends in the availability of workers by examining historical data.

Expert judgement is based on the knowledge and judgement of subject matter specialists who work for the organisation.

Workforce modelling: To simulate multiple scenarios and forecast supply, workforce modelling uses mathematical and statistical models.

2. The strategy used will rely on the organization's needs and unique circumstances. The best circumstances for each technique are as follows:

Trend Analysis: When the organization's workforce requirements are comparatively steady and there is a sizable quantity of accurate historical data available, trend analysis is appropriate.

Expert judgement: When there is a lack of historical data or when the company is going through a lot of changes, expert judgement might be useful.

Workforce modelling is the best option when firms need a more exacting and quantitative method to forecast supply.

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Related Questions

Calculate China’s RGDP growth rate in 2006, the growth rate of real GDP per person in 2006 (using the approximation formula), and the approximate number of years it will take for real GDP per person in China to double if the 2006 economic growth and population growth rates are maintained.


China’s RGDP growth rate in 2006 was _______ percent. Round up your answer to the first decimal. China’s growth rate of real GDP per person in 2006 (using the approximation formula) was ______ percent. Round up your answer to the first decimal.


It will take China approximately _______ years to double its real GDP per person. Round up your answer to a full number (no decimals).

Answers

Answer:

China’s RGDP growth rate in 2006 was 8.2% percent. Round up your answer to the first decimal. China’s growth rate of real GDP per person in 2006 (using the approximation formula) was 7.7% percent. Round up your answer to the first decimal.

It will take China approximately 9 years to double its real GDP per person. Round up your answer to a full number (no decimals).

Explanation:

Note: This question is not complete. The complete question is therefore provided before answering the question as follows:

In 2005 China's RGDP was 7,394 billion yuan. In 2006 its RGDP was about 8,000 billion yuan. China's population was 1,306.6 million in 2005 and 1,313.1 million in 2006.

Calculate China's RGDP growth rate in 2006, the growth rate of real GDP per person in 2006 (using the approximation formula), and the approximate number of years it will take for real GDP per person in China to double if the 2006 economic growth and population growth rates are maintained.

China's RGDP growth rate in 2006 was _______ percent. Round up your answer to the first decimal. China's growth rate of real GDP per person in 2006 (using the approximation formula) was ______ percent. Round up your answer to the first decimal.

It will take China approximately _______ years to double its real GDP per person. Round up your answer to a full number (no decimals).

The explanation to the answer is now given as follows:

a. Calculate China’s RGDP growth rate in 2006. Round up your answer to the first decimal.

This can be calculated using the following formula:

China’s RGDP growth rate = (2006 RGDP - 2005 RGDP) / 2005 RGDP = (8,000 - 7,394) / 7,394 = 0.0820, or 8.2%

b. Calculate the growth rate of real GDP per person in 2006. Round up your answer to the first decimal.

This can be calculated using the following formula:

China’s RGDP per person growth rate = (2006 RGDP per person - 2005 RGDP per person) / 2005 RGDP per person ............... (1)

Where;

2006 RGDP per person = 2006 RGDP / 2006 population = 8,000 / 1,313.1 = 6.09245297387861 billion yuan

2005 RGDP per person = 2005 RGDP / 2005 population = 7,394 / 1,306.6 = 5.65896219194857 billion yuan

Substituting the values into equation (1) above, we have:

China’s RGDP per person growth rate = (6.09245297387861 - 5.65896219194857) / 5.65896219194857 = 0.077, or 7.7%

c. The approximate number of years it will take for real GDP per person in China to double if the 2006 economic growth and population growth rates are maintained. Round up your answer to a full number (no decimals).

To calculate this, the rule of 70 is used as follows:

Number of years for Real GDP per person to double = 70 / China’s RGDP per person growth rate = 70 / 7.7 = 9 years

4. A few minutes later you came across some old commercials for the movie The Hunger Games.
Again, you realized that you learned about this type of economy in your economics class. Which type
of economic system best describes the fictional country of Panem? How can you tell?

Answers

The type of economic system that is in place in the fictional country of Panem is a Command economy.

How was Panem a command economy ?

In a command economy, all economic decisions are made at the discretion of the central authority. The land and the means of production are either owned by the state or a group.

Government control, as opposed to private enterprise, according to proponents of command economies, can guarantee a just distribution of goods and services.

Panem was a command economy in the Hunger Games because the government in the Capital controlled all aspects of life in the various districts.

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The EPA requires the use of precise forms called the

Answers

Answer:

The correct answer is The EPA requires the use of precise forms called? It is a requirement for those working with or owners of transporters and generators of waste materials deemed hazardous to acquire an EPA form 8700-22 called the uniform hazardous waste manifest.

Explanation:

i hope this helps 229 999 0523

a bank features a savings account that has an annual percentage rate of 5.1 % with interest compounded monthly. lydia deposits $2,000 into the account. how much money will lydia have in the account in 1 year? answer

Answers

Lydia will have $2,156.41 in the account after 1 year. Using the formula for compound interest:

A = \(P*(1+r/n)^{(n*t)}\)

where:

A = the final amount

P = the principal amount (initial deposit)

r = the annual interest rate (as a decimal)

n = the number of times the interest is compounded per year

t = the time (in years)

In this case, P = $2,000, r = 0.051 (5.1% as a decimal), n = 12 (compounded monthly), and t = 1 year.

So, substituting these values into the formula:

A = \(2000*(1+0.051/12)^{(12*1)}\)

A = $2,156.41 (rounded to the nearest cent)

Therefore, Lydia will have $2,156.41 in the account after 1 year.

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select the correct answer. which action should a job seeker ideally take by the end of an interview? a. present a résumé b. ask job-related questions c. mention names of contacts d. ask for an offer letter

Answers

This action can contribute to a positive impression and increase the chances of being considered for the job.

Asking job-related questions demonstrates that the job seeker has done their research and wants to ensure a good fit between their skills and the job requirements. It also provides an opportunity for the candidate to clarify any doubts or uncertainties they may have about the role or the company.

Examples of job-related questions could include asking about the company culture, the team dynamics, the specific responsibilities of the role, potential growth opportunities, or the company's future plans. These questions not only help the job seeker make an informed decision about the position but also allow them to stand out as an engaged and proactive candidate.

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B. Ask job-related questions. By asking job-related questions, the job seeker demonstrates their interest in the position and shows that they have done their research. It also provides an opportunity for the job seeker to gather important information about the role and the company, helping them make an informed decision if an offer is extended.

By the end of an interview, a job seeker should ideally take the action of asking job-related questions. This is an important step in the interview process as it allows the job seeker to demonstrate their interest in the position and the company. Asking thoughtful and relevant questions shows that the job seeker has done their research and is genuinely interested in learning more about the role. It also provides an opportunity for the job seeker to gather important information that will help them make an informed decision if an offer is extended.

Asking questions about the company's culture, expectations for the role, and potential growth opportunities can showcase the job seeker's proactive engagement and enthusiasm. It also allows the job seeker to assess if the position aligns with their goals and values. Overall, asking job-related questions is a crucial step in leaving a positive impression on the interviewer and furthering the job seeker's understanding of the position and company.

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Briefly explain the laws that apply to the promotion of this product/service.

Answers

Explanation:

Product promotion is the act of advertising a good or service with the goal of increasing sales. Many companies use different techniques to promote their products through a vast array of communication media.

If you are a Japanese producer who sells products in the US, you want a foreign exchange future without going through the futures market. So, you borrow money in dollars with an interest rate of 5% and immediately convert it to yen at a rate of 1 dollar to 100 yen. Then you put the money in a Japanese interest-bearing account with an interest rate of 10%. What is the forward exchange rate in this case?

Answers

Answer:

104.76 yen per dollar

Explanation:

the forward rate = spot rate x [(1 + foreign interest rate) / (1 + domestic interest rate)] = 100 yen x [(1 + 10%) / (1 + 5%)] = 100 yen x (1.1 / 1.05) = 104.76 yen per dollar

Since the interest rate in Japan is higher than the interest rate in the US, investors will start to purchase more yens in order to gain higher interest rates, which will eventually appreciate the yen against the dollar until both interest rates match.

It has been said that short selling is an uncomfortable maneuver for most investors, whereas they are quite comfortable going long. Why should this be so? How can an investor use a stop loss order to limit short selling losses?

Answers

Short selling is the practice of selling borrowed securities in the hope of buying them back at a lower price in the future to make a profit. It is an uncomfortable maneuver for most investors as it involves betting against the market, which can be risky. Going long, on the other hand, involves buying securities with the expectation that their value will increase in the future, which is less risky and more comfortable for investors.

Investors can use a stop loss order to limit short selling losses by placing an order with their broker to automatically sell the short position if it reaches a certain price level. This helps investors to control their losses and minimize their risk.

One of the reasons why short selling is uncomfortable for most investors is because it is counterintuitive. Most investors prefer to buy securities with the hope of making a profit when their value goes up. Short selling, however, involves selling securities with the hope of buying them back at a lower price, which goes against the traditional way of investing.

Short selling can also be risky as the potential losses are unlimited. Unlike buying securities where the losses are limited to the amount invested, short selling losses can be significant if the price of the securities continues to rise. This can cause panic among investors and make short selling uncomfortable.

In conclusion, short selling is an uncomfortable maneuver for most investors due to its counterintuitive nature and the potential for unlimited losses. However, investors can use stop loss orders to limit their losses and minimize their risk.

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Using the information below, compute the cycle efficiency: Days' sales in accounts receivable15days Days' sales in inventory72days Days' payable outstanding35days

Answers

The cycle efficiency based on the given information is 52 days.

The cycle efficiency is a measure of how effectively a company manages its working capital. It is calculated by subtracting the days' payable outstanding from the sum of days' sales in accounts receivable and days' sales in inventory.

In this case, the days' sales in accounts receivable is given as 15 days, the days' sales in inventory is given as 72 days, and the days' payable outstanding is given as 35 days.

To calculate the cycle efficiency, we sum the days' sales in accounts receivable (15 days) and the days' sales in inventory (72 days), which gives us a total of 87 days. Then, we subtract the days' payable outstanding (35 days) from this total.

Cycle efficiency = Days' sales in accounts receivable + Days' sales in inventory - Days' payable outstanding

Cycle efficiency = 87 days - 35 days

Cycle efficiency = 52 days

Therefore, the cycle efficiency based on the given information is 52 days.

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What is the variable cost of a business if its fixed cost is $8900 and its total costs are $14,000?

Answers

The variable cost of the business is $5,100.

How to determine the variable cost

To determine the variable cost of a business, we need to use the formula:

Total cost = Fixed cost + Variable cost

We can rearrange this formula to solve for the variable cost:

Variable cost = Total cost - Fixed cost

Substituting the given values, we get:

Variable cost = $14,000 - $8,900

Variable cost = $5,100

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Answer:

The company's variable cost is $5,100.

Explanation:

Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.

Answers

Answer:

a) Determine which type of cars will be sold at the efficient allocation.

All cars would be sold in a Pareto efficient allocation.

In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.

b) Determine which type of cars will be sold at the market equilibrium.

Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.

Explanation:

the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620

why does saturn have the coldest surface temp?

Answers

Answer:

distance from the Sun

Explanation:

because of Saturn's tilt, the southern and northern hemispheres are heated differently, causing seasonal temperature variation.

what the other person said is correct!!

Candy is trying to decide between two job offers. The compensation package for job A includes a $300 per-month health insurance plan, to which Candy would contribute $95; a $40 per-month life insurance plan; a salary of $65000 per year; and a 5% match on 401(k) contributions. The compensation package for job B includes a $400 per-month health insurance plan, to which Candy would contribute $105; a $50 per-month life insurance plan; a salary of $64000 per year; and a 9% match on 401(k) contributions. Candy plans to contribute $8000 per year to her 401(k) plan, What is the yearly value of health insurance benefit from job A? How about the yearly value of the health insurance benefit from job B?

Answers

Answer:

Job A's health insurance benefit = $2,460 per year

Job B's health insurance benefit = $3,540 per year

Explanation:

we have to calculate the net monthly benefits for each health insurance plan offered to Candy = total insurance plan benefit - candy's contribution.

Then we multiply the monthly benefit by 12 months to find the yearly value.

Job A's health insurance benefit = $300 - $95 = $205 x 12 months = $2,460 per year

Job B's health insurance benefit = $400 - $105 = $295 x 12 months = $3,540 per year

Susan’s medical bill is $2,500 and her co-insurance is 80 percent/20 percent. How much does Susan pay after the deductible?


A. $500

B. $2,000

C. $800

D. $200

Answers

The correct answer is D, $200. This is because Susan would owe $1,600 based on her co-insurance, but she has already paid $500 toward her deductible. Therefore, her out-of-pocket cost would be $1,100 ($1,600 - $500).

Co-insurance is the percentage of medical costs that the patient is responsible for paying after their deductible has been met. In this case, Susan's co-insurance is 80 percent, meaning that she is responsible for paying 80 percent of the total cost of her medical bill.A deductible, on the other hand, is the amount that a patient must pay out of pocket before their insurance coverage kicks in. It is important to note that deductibles and co-insurance are separate from each other, and both may apply to a single medical bill.Now, let's apply this knowledge to Susan's situation. Her medical bill is $2,500, and we do not know if she has met her deductible or not. Assuming that she has met her deductible, we can calculate how much she would owe based on her co-insurance.To do this, we first subtract the deductible amount (if applicable) from the total cost of the medical bill. Let's assume that Susan's deductible is $500. In this case, we would subtract $500 from $2,500 to get $2,000.

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If a company sells two products, and Product A has sales of $40,000 and a contribution margin ratio of 30% while Product B has sales of $60,000 and a contribution margin ratio of 40% then the weighted average contribution margin ratio for the firm as a whole is 36%.
Group of answer choices
True
False

Answers

Answer:

Explanation:

False. To calculate the weighted average contribution margin ratio, we need to consider the sales of each product as well as their respective contribution margin ratios.

The weighted average contribution margin ratio is calculated by multiplying the sales of each product by its contribution margin ratio, summing up these values, and then dividing by the total sales.

In this case:

Product A sales: $40,000

Product A contribution margin ratio: 30%

Product B sales: $60,000

Product B contribution margin ratio: 40%

Total sales: $40,000 + $60,000 = $100,000

Weighted average contribution margin ratio = [(Product A sales * Product A contribution margin ratio) + (Product B sales * Product B contribution margin ratio)] / Total sales

= [(40,000 * 0.30) + (60,000 * 0.40)] / 100,000

= (12,000 + 24,000) / 100,000

= 36,000 / 100,000

= 0.36 or 36%

Therefore, the statement is true. The weighted average contribution margin ratio for the firm as a whole is 36%.

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A decision-making process that managers use to determine how to invest the company’s funds in major capital assets, such as new facilities, equipment, and research and development projects is called.

Answers

A decision-making process that managers use to determine how to invest the company’s funds in major capital assets is capital budgeting.

What is capital budgeting?

It should be noted that capital budgeting simply means the process undertaken by a business to evaluate investments.

In this case, the decision-making process that managers use to determine how to invest the company’s funds in major capital assets is capital budgeting.

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show the vegetable market of nepal in pyramid

Answers

Due to massive increases in agriculture and production area over the last two decades, per capita vegetable consumption has increased to 105 kg from 60 kg. Nepal has reported 3,243,521 vegetable holdings. Vegetable crops are grown on a total of 232,295 hectares of cultivable land.

What is market?A market is a collection of systems, institutions, procedures, social relations, or infrastructures through which parties exchange goods and services. While parties can barter for goods and services, most markets rely on sellers offering their goods or services to buyers in exchange for money. The exchange of goods and services that occurs as a result of buyers and sellers coming into contact with one another, either directly or through mediating agents or institutions, is referred to as a market.A market is defined as the total number of buyers and sellers in the area or region under consideration. The area could be the entire planet, a country, a region, a state, or a city.

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At December 31, 2017, Cord Company's plant asset and accumulated depreciation and amortization accounts had balances as follows:Category Plant Asset Accumulated Depreciation and AmortizationLand $166,000 $-Buildings 1,050,000 319,900Machinery and equipment 675,000 308,500Automobiles and trucks 163,000 91,325Leasehold improvements 198,000 99,000Land improvements - -Depreciation methods and useful lives:Buildings-150% declining balance; 25 years.Machinery and equipment-Straight-line; 10 years.Automobiles and trucks-150% declining balance; 5 years, all acquired after 2014.Leasehold improvements-Straight-line.Land improvements-Straight-line. Depreciation is computed to the nearest month and residual values are immaterial. Transactions during 2018 and other information:a. On January 6, 2018, a plant facility consisting of land and building was acquired from King Corp. in exchange for 16,000 shares of Cord's common stock. On this date, Cord's stock had a fair value of $60 a share. Current assessed values of land and building for property tax purposes are $198,000 and $462,000, respectively.b. On March 25, 2018, new parking lots, streets, and sidewalks at the acquired plant facility were completed at a total cost of $138,000. These expenditures had an estimated useful life of 12 years.c. The leasehold improvements were completed on December 31, 2014, and had an estimated useful life of eight years. The related lease, which would terminate on December 31, 2020, was renewable for an additional four-year term. On April 30, 2018, Cord exercised the renewal option.d. On July 1, 2018, machinery and equipment were purchased at a total invoice cost of $316,000. Additional costs of $11,000 for delivery and $41,000 for installation were incurred.e. On August 30, 2018, Cord purchased a new automobile for $11,600.f. On September 30, 2018, a truck with a cost of $23,100 and a book value of $7,400 on date of sale was sold for $10,600. Depreciation for the nine months ended September 30, 2018, was $1,665.g. On December 20, 2018, a machine with a cost of $12,500 and a book value of $2,750 at the date of disposition was scrapped without cash recovery. Required:1. Prepare a schedule analyzing the changes in each of the plant asset accounts during 2018. Do not analyze changes in accumulated depreciation and amortization.2. For each asset category, prepare a schedule showing depreciation or amortization expense for the year ended December 31, 2018.

Answers

Answer: Total depreciation or amortization expense for the year ended December 31, 2018 = $85,575

Explanation: Schedule Analyzing the Changes in Each of the Plant Asset Accounts during 2018

Category Beginning Balance Acquisitions Disposals Improvements Ending Balance

Land $166,000 $- $- $- $166,000

Buildings $1,050,000 $462,000 $- $- $1,512,000

Machinery and Equipment $675,000 $316,000 $- $- $991,000

Automobiles and Trucks $163,000 $11,600 $10,600 $- $164,000

Leasehold Improvements $198,000 $- $- $- $198,000

Land Improvements $- $138,000 $- $- $138,000

Schedule Showing Depreciation or Amortization Expense for the Year Ended December 31, 2018

Buildings:

Cost: $462,000

Depreciation method: 150% declining balance

Useful life: 25 years

Depreciation rate = (2 / 25) = 8%

Depreciation expense for 2018 = $462,000 x 8% = $36,960

Machinery and Equipment:

Cost: $316,000

Depreciation method: Straight-line

Useful life: 10 years

Depreciation rate = (1 / 10) = 10%

Depreciation expense for 2018 = $316,000 x 10% = $31,600

Automobiles and Trucks:

Cost: $11,600

Depreciation method: 150% declining balance

Useful life: 5 years

Depreciation rate = (2 / 5) = 40%

Depreciation expense for 2018 = $11,600 x 40% = $4,640

Leasehold Improvements:

Cost: $99,000

Depreciation method: Straight-line

Useful life: 8 years

Depreciation rate = (1 / 8) = 12.5%

Depreciation expense for 2018 = $99,000 x 12.5% = $12,375

Total depreciation or amortization expense for the year ended December 31, 2018 = $85,575

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Select all that apply Some disadvantages of relying solely on financial measures include that: (Check all that apply.) Multiple select question. they can encourage managers to focus too heavily on short-term goals. they can encourage managers to focus too heavily on long-term goals. some profitable opportunities may be rejected to keep return on investment high. residual income is not as effective when comparing investment centers of different sizes. they require managers to focus on too many perspectives.

Answers

Answer:

they can encourage managers to focus too heavily on short-term goals.some profitable opportunities may be rejected to keep return on investment high. residual income is not as effective when comparing investment centers of different sizes.

Explanation:

to calculate the expected risk premium on a stock, one must subtract the ________ from the stock’s expected return.
a. variance
b. expected market rate of return
c. risk free rate
d. inflation rate

Answers

The correct answer to the given fill in the blanks question about calculation of risk premium is option c) Risk free rate.

The theoretical rate of return for an investment with no risk is referred to as the risk-free rate of return.

Since all investments involve some level of risk, there is no such thing as a risk-free rate of return in reality.

Subtract the inflation rate from the yield of the Treasury bond that corresponds to the length of your investment to determine the real risk-free rate. Theoretically, an investor expects it to be the minimal return on any investment because they won't take on extra risk unless the possible rate of return is higher. The investor's home market must be taken into account when determining a proxy for the risk-free rate of return in a particular situation, and negative interest rates might make things more difficult.

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A(n) _________ (or neutral fact-finding) can assist parties in a business dispute in which the issues are complex and the third party can then recommend a settlement as an attractive alternative.

Answers

When there are complicated problems involved in a business dispute, parties can benefit from mediation (or unbiased fact-finding), after which the third party can suggest a settlement as an appealing alternative.

What exactly does mediation entail?

In a mediation, the parties meet with a third party who is neutral and objective and who helps them negotiate their disagreements.

What serves as the primary goal of mediation?

Even if the parties to the disagreement are unable to come to an agreement, mediation will frequently "bring out" the true issues and improve communications, leading to a better working relationship.

What constitutes mediation's five steps?Stage 1: Introductory Statements.stage 2. Joint discussions Stage 3: Confidential Conversations.Stage 4: the negotiating phase.Stage 5: Settlement.Is mediation a good decision?

When two parties desire to work together but require outside assistance to solve a current problem, mediation might be compared to relationship counseling. When the connection is particularly important to you, mediation can assist you in resolving a particular problem without harming the partnership as a whole.

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Like E9-1Vertical Analysis - Income StatementRevenue and Expense data for Searle Technologies Co. Are as follows:20Y820Y7Sales$900,000$725,000Cost of goods sold558,000435,000Selling expenses117,000116,000Administrative expenses63,00065,250Income tax expense76,50058,00

Answers

From the given data the net income is $50 by vertical Analysis.

The Gross Profit is calculated by abating the Cost of goods  vended from the Deals  profit. The Operating Profit is calculated by abating the Selling and executive charges from the Gross Profit. Eventually, the Net Income is calculated by abating the Income  duty  expenditure from the Operating Profit. he income statement is a  fiscal statement that reports a company's earnings and charges over a specific period.

 The income statement shows how  important profit a company generated during a particular period, and it's an essential  element of a company's  fiscal statements.   The income statement starts with the  profit generated by a company during the period and subtracts the cost of goods  vended( COGS) to calculate gross profit.   After gross profit, the income statement subtracts operating charges, including selling and  executive charges, to calculate operating profit or earnings before interest and  levies( EBIT).

The income statement is given in figure.

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Like E9-1Vertical Analysis - Income StatementRevenue and Expense data for Searle Technologies Co. Are

Although Zappos has around 900,000 unique products in its warehouse, company executives think there is room for more. Zappos is utilizing ______ for this promotion.

Answers

Answer: email marketing

Explanation:

Email marketing is the act of promoting a business, a product or anything worth promoting or an exchange of mail. This emails are sent to existing and prospective customers either telling them of this new product or promoting existing goods and services. Zappos utilizes email marketing for this promotion.

Putting money into more than one kind of investment at a time is called liquidity. sunken cost. diversification. compound interest.

Answers

Answer:

diversification

Putting money into more than one kind of investment at a time is called diversification.

What is diversification?

Diversification is the process of investing in diverse opportunities so as to reduce non-systemic risks. For example, if a person buys the stock of a health care company, in order to diversify, the person might invest in the stocks of an automobile company.

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When gathering information, which of the following tasks might you need to
perform?
A. Apply standards, such as measures of quality, beauty, usefulness,
or ethics
B. Fill out forms, follow procedures, and apply math and science
C. Study objects, conduct tests, research written materials, and ask
questions
O D. Seek out ideas from others and share your own ideas
SUBMIT

Answers

Answer:

c

Explanation:

study objects, conduct tests, research, and ask questions

Describe a time you had to motivate a co-worker(s) to do something without having formal authority.

Answers

To motivate a co-worker without formal authority, you need to understand their perspective, create a positive work environment, provide clear expectations.

Imagine you are working on a project with a co-worker who is not fully committed to the task. You have noticed that their lack of motivation is affecting the overall progress of the project, and you need them to be more proactive to complete the task on time.

To motivate your co-worker, start by understanding their perspective and what may be causing their lack of motivation. Perhaps they feel overwhelmed, unsure of their role, or not confident in their abilities. Once you have identified the underlying issues, you can address them.

Next, create a positive and encouraging work environment. Recognize and celebrate their successes, no matter how small they may be. This will boost their confidence and encourage them to take on more tasks.

Provide your co-worker with clear instructions and expectations. Make sure they understand the importance of their role in the project and how their contributions will impact the outcome. Encourage them to ask questions, offer feedback, and suggest ideas.

Finally, lead by example. Be proactive and show enthusiasm for the project. Your positive attitude will be contagious, and your co-worker will be more likely to follow your lead.

By doing so, you will help your co-worker feel more engaged, motivated, and committed to the task at hand.

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Why would an insurance company charge an inexpensive copay when considering claims that will likely be hundreds or thousands of dollars?

Answers

Insurance companies charge an inexpensive copay for certain types of medical services to encourage their policyholders to seek preventive care and early treatment, which can help prevent more serious and costly health problems in the future. By covering the cost of these services upfront, insurance companies can reduce the overall cost of healthcare by avoiding more expensive treatments down the line. Additionally, copays can help incentivize policyholders to use in-network providers and services, which can be more cost-effective for both the insurance company and the patient.

Which is an advantage of the sole proprietorship and partnership business models?

Answers

Explanation:

Advantage is profit easy to earn money etc

What is it called when a manager has so much data and information that they cannot make a decision?

Answers

When manager has so much data that they cannot make a decision, it is called as (a) Data rich, information poor.

When a manager has access to a large amount of data, it is assumed that they have all necessary information to make informed decisions.

However, having a lot of data does not necessarily mean that the manager has the right information they need to make good decisions.

In some cases, the data might be irrelevant, outdated, or not properly organized. In other cases, the manager might not have the skills or tools necessary to analyze the data and extract useful insights from it.

The term "Data rich, information poor" means that manager has a lot of data (i.e., they are "data rich") but lacks the information they need to make good decisions (i.e., they are "information poor").

Therefore, the correct option is (a).

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The given question is incomplete, the complete question is

What is it called when a manager has so much data that they cannot make a decision?

(a) Data rich, information poor.

(b) Data rich, content poor.

(c) Data rich, communication poor.

(d) Data rich, intelligence.

Joe's company is looking to make a number of improvements. The firm would like to maximize potential volume and reserved instance (RI) discounts across multiple accounts and also apply service control policies on member accounts. Which service or tool can be used to gain these benefits

Answers

The service or tool that could be used for gaining the benefits should be AWS  Orgs.

The information related to AWS Orgs is as follows:

AWS Organization should be an account management service. In this, there are multiple AWS accounts that should be consolidated for developing and managing. As an organization administrator, the accounts should be developed and the existing accounts should be invited for joining the organization.

Therefore we can conclude that the service or tool that could be used for gaining the benefits should be AWS  Orgs.

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Davidson Manufacturing sold 435.000 units of its product for 574 per unit in 2020. Variable cost per unit is $62, and total fixed costs are $1,940,000, Read the requirements Requirement 1. Calculate (a) contribution margin and (b) operating income (a) Determine the formula used to calculate the contribution margin Contribution margin The contribution marginis Determine the formula sed to calculate the operating income Operating Income Operating incomes Requirement 2. Davidson's current manufacturing process is labor mense Kate Schmidt, Davidson's production manager, has proposed investing in state-of-the-art manufacturing equipment, which will increase the annual and costs to $5,655.000. The variable costs are expected to decrease to $54 per unit. Davidson expects to maintain the same sales volume and selling price next year. How would acceptance of Schmidts proposat affect your answers to (a) and (b) in requirement 19 Recalculate and the proposal is cepted a) The contribution marge would be under Scheidi's proposal 0) Operating income would change to Requirement 3. Should Davidson Schmidt proposal Explain Operating home to income one on should the propos Based on the operating Management would consider the factors before making the final decision. It is that product move song-of-the-art equipment. However, the the company's cost. This wa the composer and is X 1. Calculate (a) contribution margin and (b) operating income. 2. Davidson's current manufacturing process is labor intensive. Kate Schmidt, Davidson's production manager, has proposed investing in state-of-the-art manufacturing equipment, which will increase the annual fixed costs to $5,655,000. The variable costs are expected to decrease to $54 per unit. Davidson expects to maintain the same sales volume and selling price next year. 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