At the peak of the post-war economic boom in 1950s, ______ of America's workers were unionized, and in some occupations their wages were a third higher than their non-union counterparts.

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Answer 1

At the peak of the post-war economic boom in the 1950s, around 30% of America's workers were unionized.

This number was significant as it meant that a large proportion of the workforce had access to collective bargaining power, which allowed them to negotiate better wages, benefits, and working conditions. In some occupations, unionized workers earned up to a third more than their non-union counterparts. This was especially true for manufacturing jobs, where unions were particularly strong. However, the decline of union membership over the years has resulted in a significant decrease in collective bargaining power for workers. As a result, wages and benefits have stagnated or even decreased for many workers, especially in low-wage industries such as retail and hospitality.

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Related Questions

communication travels from lower to higher ranks in the hierarchy of an organization.Multiple ChoiceGrapevineHorizontalUpwardAsynchronous

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Communication that travels from lower to higher ranks in the hierarchy of an organization is referred to as upward communication. So, the correct answer is Upward.

This type of communication allows lower-level employees to communicate with higher-level employees such as managers, supervisors, or executives.

Upward communication is important because it allows employees to share their ideas, concerns, and feedback with higher-ups, providing them with valuable information about what's happening at the ground level. This information can then be used to make informed decisions, improve processes, and address any issues or concerns that may be affecting the organization.

Upward communication can take many forms, including face-to-face meetings, emails, phone calls, or even surveys. It is an essential part of effective communication in any organization and should be encouraged and supported at all levels.

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One disadvantage of an ESOP is that it may place an unnecessary cash flow burden on the plan sponsor in the event of the participant utilizing the Put option (selling the shares back to the company). Group of answer choices True False

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True. One of the disadvantages of an ESOP is that it may create a cash flow burden on the plan sponsor if a participant decides to exercise the Put option.

The Put option allows participants to sell their ESOP shares back to the company, usually at fair market value. If a large number of participants decide to exercise their Put options at the same time, the plan sponsor may have to come up with a significant amount of cash to buy back the shares. This can put a strain on the company's finances and may require the company to take on debt or reduce other expenditures. As a result, it is important for plan sponsors to carefully manage their ESOPs and ensure that they have adequate resources to handle potential Put option exercises. This may involve setting aside funds specifically for this purpose or carefully monitoring the plan's cash flow to ensure that it can handle any potential payouts. Overall, while ESOPs can provide many benefits to both companies and employees, it is important for plan sponsors to be aware of the potential risks and take steps to manage them appropriately.

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REFINANCING RISK. FOR THIS AND THE NEXT TWO QUESTIONS. A financial institution can borrow $100 million for 1 year at 3%. It plans to invest the amount in a 2-year facility which is expected to earn 4.5% per year. Calculate net interest income for the first year. Hint: Watch video for analysis.

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The net interest income for the first year is $1.5 million, assuming no change in interest rates in the second year. To calculate the net interest income for the first year.

We need to take into account the refinancing risk that the financial institution faces. Refinancing risk is the risk that the cost of refinancing a debt will be higher than the current cost of debt. In this case, the financial institution is borrowing $100 million for 1 year at 3%. It plans to invest the amount in a 2-year facility that is expected to earn 4.5% per year. At the end of the first year, it will need to refinance the $100 million for another year at the prevailing interest rate. Assuming that the interest rate for the second year is also 3%, the net interest income for the first year can be calculated as follows: Interest income for the first year = $100 million × 4.5% = $4.5 million Interest expense for the first year = $100 million × 3% = $3 million. Net interest income for the first year = Interest income - Interest expense = $4.5 million - $3 million = $1.5 million. However, if the interest rate for the second year is higher than 3%, the financial institution will face refinancing risk, and its net interest income will be lower than $1.5 million.

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An income property is purchased for $100,000 with $80,000 allocated to the building and $20,000 to the land. The depreciation rate is 10% per year, straight line. The property is sold for $100,000 net at the end of the tenth year. How much did the seller declare as a capital gain in the year of the sale

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The property's adjusted basis at the time of sale is $20,000 ($100,000 - $80,000)

To determine the seller's capital gain in the year of the sale, we first need to calculate the property's adjusted basis. The adjusted basis is the original purchase price minus accumulated depreciation.

The annual depreciation expense is calculated by taking the building's cost ($80,000) and multiplying it by the depreciation rate (10%), resulting in $8,000 of depreciation expense per year. After 10 years, the accumulated depreciation is $80,000 ($8,000 x 10 years).

Since the property was sold for $100,000 net, the seller's capital gain is calculated by subtracting the adjusted basis from the sale price.

$100,000 (sale price) - $20,000 (adjusted basis) = $80,000 capital gain

So the seller would declare a capital gain of $80,000 in the year of the sale.
Hi, I'd be happy to help with your question about an income property. To calculate the capital gain in the year of the sale, we need to consider the purchase price, allocated amounts, depreciation rate, and sale price.

1. Purchase price: $100,000
2. Building allocation: $80,000
3. Land allocation: $20,000
4. Depreciation rate: 10% per year, straight-line
5. Sale price: $100,000

Now, let's calculate the depreciation over the ten-year period:

Depreciation per year = Building allocation x Depreciation rate
= $80,000 x 10%
= $8,000

Total depreciation over ten years = Depreciation per year x 10 years
= $8,000 x 10
= $80,000

Next, we will calculate the adjusted cost basis:

Adjusted cost basis = Purchase price - Total depreciation
= $100,000 - $80,000
= $20,000

Finally, we will determine the capital gain:

Capital gain = Sale price - Adjusted cost basis
= $100,000 - $20,000
= $80,000

The seller declared a capital gain of $80,000 in the year of the sale.

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An employee joined a company in 2010 with a starting salary of $70,000. Every year this employee receives a raise of $1000 plus 5% of the salary of the previous year. (a) Set up a recurrence relation for the salary of this employee n years after 2010. Justify your answer. (b) Using the iterative method, solve the recurrence relation for the salary of this employee n years after 2010. (c) Determine the salary of this employee in 2022.

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(a) The recurrence relation for the salary of this employee n years after 2010 can be represented as follows:

S(n) = S(n-1) + 0.05*S(n-1) + 1000

where S(n) is the salary of the employee in the nth year after 2010. This recurrence relation is justified by the fact that the employee's salary increases by 5% of the previous year's salary plus $1000 every year.

(b) Using the iterative method, we can solve the recurrence relation as follows:

S(0) = 70,000 (the starting salary in 2010)
S(1) = S(0) + 0.05*S(0) + 1000 = 73,500
S(2) = S(1) + 0.05*S(1) + 1000 = 77,225
S(3) = S(2) + 0.05*S(2) + 1000 = 81,186.25
S(4) = S(3) + 0.05*S(3) + 1000 = 85,397.56

And so on, we can continue this process for any number of years after 2010.

(c) To determine the salary of this employee in 2022, we need to find S(12) (since 2022 is 12 years after 2010). Using the iterative method as shown above, we can calculate S(12) as:

S(12) = S(11) + 0.05*S(11) + 1000
S(12) = 141,472.08

Therefore, the salary of this employee in 2022 will be $141,472.08.

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31) As interest rates rise, the expected absolute return of money ________, money's expected return relative to bonds ________.

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As interest rates rise, the expected absolute return of money decreases, and money's expected return relative to bonds also decreases.


Interest rates: When we talk about interest rates, we usually refer to the cost of borrowing money, typically expressed as an annual percentage of the principal amount.

Absolute return: The absolute return is the actual gain or loss an investment experiences over a specific period, irrespective of its comparison to other investments or benchmarks.

Money: In this context, money refers to cash and other short-term, low-risk investments, such as savings accounts and money market funds.

Bonds: Bonds are fixed-income investments that represent loans made by an investor to a borrower, typically corporate or governmental entities. They pay periodic interest and return the principal upon maturity.
Now, let's see how interest rates affect the expected absolute return of money and its expected return relative to bonds:

When interest rates rise, the cost of borrowing increases. This generally leads to a slowdown in economic activity, which in turn affects the overall return on investments.

As interest rates increase, the yield on newly issued bonds also goes up. This makes new bonds more attractive to investors compared to existing bonds and cash investments like savings accounts or money market funds.

Due to higher interest rates, the expected absolute return on money decreases because the potential return on cash and short-term investments is lower compared to the return on new bonds.

Money's expected return relative to bonds also decreases in a rising interest rate environment because bonds offer higher yields and potentially better returns compared to money. Consequently, investors are more likely to allocate their resources towards bonds rather than money.
In conclusion, when interest rates rise, the expected absolute return of money decreases, and money's expected return relative to bonds decreases as well.

This is due to the increased attractiveness of newly issued bonds that offer higher yields, making them more desirable investments compared to cash or short-term low-risk investments.

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If wheat costs four dollars per bushel in the United States and two British pounds per bushel in Great Britain, then in the presence of purchasing-power parity the exchange rate should be

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In the presence of purchasing-power parity, the exchange rate between the United States and Great Britain should be such that the cost of one US dollar in British pounds is equal to the ratio of the price of wheat in the US to the price of wheat in Great Britain. Therefore, the exchange rate should be:

1 US dollar = (4 US dollars per bushel of wheat) / (2 British pounds per bushel of wheat) = 2 British pounds per US dollar.

The exchange rate in the presence of purchasing-power parity (PPP) when wheat costs four dollars per bushel in the United States and two British pounds per bushel in Great Britain, we will follow these steps:

1. Identify the prices of wheat in both countries: $4/bushel in the United States and £2/bushel in Great Britain.
2. Apply the PPP formula: Exchange Rate (dollars/pound) = Price in the United States (dollars) / Price in Great Britain (pounds).

Now, we can calculate the exchange rate:
Exchange Rate (dollars/pound) = $4/bushel / £2/bushel

Exchange Rate (dollars/pound) = 2 dollars/pound

So, in the presence of purchasing-power parity, the exchange rate should be 2 dollars per British pound.

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One of the most difficult areas of marketing decision making is pricing because these decisions are often subject to government regulation and public scrutiny. Group of answer choices True False

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The given statement is true because pricing decisions are one of the most challenging areas of marketing decision making, primarily .

Businesses have to balance the need for profitability and the desire to remain competitive with the need to comply with regulations and consumer expectations.

Government regulations often affect the pricing decisions of businesses, particularly in industries that are heavily regulated, such as healthcare, energy, and telecommunications. These regulations may limit the amount a business can charge for its products or services, or impose price ceilings to protect consumers.

Public scrutiny is another factor that makes pricing decisions challenging. Consumers are more informed and vocal about their expectations, and they can use social media and other platforms to express their dissatisfaction with a business's pricing decisions. This can result in a loss of customers and negative publicity, which can affect the business's bottom line.

In conclusion, pricing decisions are one of the most challenging areas of marketing decision making because they are subject to government regulations and public scrutiny. To make effective pricing decisions, businesses must balance the need for profitability with compliance with regulations and consumer expectations.

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how does the role of the Department of Labor DOL in the economy differ from that of Securities and Exchange

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The role of the Department of Labor (DOL) in the economy is to protect and promote the welfare of workers by enforcing labor laws, setting workplace safety standards, and providing job training programs.

The DOL also collects data on the labor market and produces reports that inform policymakers and the public on employment trends and issues. On the other hand, the Securities and Exchange Commission (SEC) is responsible for regulating the securities markets and protecting investors. The SEC's main role is to enforce federal securities laws, which are designed to ensure that companies provide accurate and complete information to investors, prevent fraud and manipulation in the markets, and promote fair and transparent trading practices.  while both the DOL and SEC play important roles in the economy, their functions differ significantly. The DOL focuses on protecting and promoting the welfare of workers, while the SEC's primary objective is to regulate the securities markets and protect investors.

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The investment strategy that involves paying a lower price for a security based on the expectation that the market is mispricing the issue is:

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The investment strategy that involves paying a lower price for a security based on the expectation that the market is mispricing the issue is known as value investing.

Value investors typically seek out stocks that are undervalued by the market, meaning their price is lower than the company's intrinsic value. They believe that the market overreacts to good and bad news, causing stock prices to fluctuate more than a company's actual value would suggest. Value investors therefore use fundamental analysis to identify companies with strong financials, stable earnings, and a proven track record, which they believe will eventually be recognized by the market and result in a higher stock price. This approach differs from growth investing, which focuses on companies with high growth potential, regardless of their current valuation. Value investing has been popularized by notable investors such as Warren Buffett and Benjamin Graham, and is often associated with a long-term investment horizon. However, it requires patience and discipline to wait for the market to recognize the value in a stock, which may take months or even years.

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Just-in-time relies on ___________ worker skills, meaning the ability of workers to perform many different tasks on many different machines.

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Just-in-time relies on cross-functional worker skills, meaning the ability of workers to perform many different tasks on many different machines. Cross-functional skills enable employees to be versatile and adapt to various roles, contributing to the efficiency and flexibility of the just-in-time production process.

Just-in-time relies on cross-functional worker skills, meaning the ability of workers to perform many different tasks on many different machines. This is because in a just-in-time manufacturing process, the goal is to minimize waste and improve efficiency by producing only what is needed, when it is needed. This requires workers who are able to adapt and work in different areas of the production process, rather than being limited to a specific task or machine. Cross-functional skills are essential for success in a just-in-time system.
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Starbucks has thousands of franchises throughout the world. It enters foreign markets via franchising because Blank______.

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Starbucks enters foreign markets via franchising because it allows for rapid expansion, capitalizes on local market knowledge, and minimizes risks and costs. Franchising enables Starbucks to benefit from the expertise and resources of local partners while maintaining control over its brand and product quality.

By franchising, Starbucks can tap into local entrepreneurs who have a deep understanding of their respective markets. These partners can identify the best locations, negotiate leases, and navigate local regulations, giving Starbucks an advantage in establishing a strong presence in the area. Additionally, local franchisees can adapt to and cater to the specific tastes and preferences of the customers in their region, ensuring the brand's success in diverse markets.

Furthermore, franchising allows Starbucks to minimize the financial risks associated with entering a foreign market. The franchisee typically assumes the majority of the initial investment, including building and operating costs, reducing Starbucks' financial burden. This also enables Starbucks to allocate more resources towards expanding into other markets and focus on its core competencies.

Lastly, franchising helps Starbucks maintain its global brand image while allowing for customization to meet local preferences. The franchise model ensures consistency in quality and customer experience across different countries, while franchisees have the flexibility to adapt the menu and store design according to local tastes and culture.

In conclusion, Starbucks chooses franchising as a mode of entering foreign markets due to the numerous advantages it offers, such as rapid expansion, local market knowledge, minimized risks, and cost savings, while maintaining control over its brand and product quality.

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Trademarks, trade names, patents, and copyrights represent a category of property called: Group of answer choices real property personal property tangible property statutory property none of the other choices

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An asset class known as intellectual property includes trademarks, trade names, patents, and copyrights. none of the alternative options. Option 5 is Correct.

Intellectual property comes in many different forms, including trademarks, patents, and copyrights. Inventions, literary and creative works, designs, and symbols, names, and pictures used in business are all examples of intellectual property (IP).  New ideas, procedures, or scientific discoveries are protected by patents; brands, logos, and catchphrases are protected by trademarks; and unique literary works are protected by copyrights.

Any term, phrase, symbol, design, or combination of these that distinguishes your products or services might be considered a trademark. Customers use it to recognise you in the marketplace and set you apart from your rivals. The terms "trademark" and "service mark" are interchangeable.  Option 5 is Correct.

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Correct Question:

Trademarks, trade names, patents, and copyrights represent a category of property called: Group of answer choices

1. real property

2. personal property

3. tangible property

4. statutory property

5. none of the other choices

Ms. Wallender, your boss, wants to hire a new information technology (IT) worker to redesign the company website. She asks you to prepare a report on IT salaries, so she will know what wages to offer the new IT employee. How should you limit the scope of the problem you are trying to solve

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When preparing a report on IT salaries for the purpose of hiring a new employee, it is important to limit the scope of the problem you are trying to solve. This can be done by

1) One way to do this is by defining the parameters of the position being hired for, such as the required skills, experience, and job duties.

2) By considering the geographic location and industry standards for IT salaries.

3) when preparing the report on IT salaries, it is important to take into account the company's budget and financial constraints.

Defining the parameters of the position being hired for, such as the required skills, experience, and job duties will help to identify the appropriate job titles and corresponding salary ranges to include in the report.
Another way to limit the scope of the problem is by considering the geographic location and industry standards for IT salaries. This will provide a benchmark for what other companies are offering for similar positions in the same area. It is important to keep in mind that salary ranges can vary depending on the location and industry, so it is essential to gather relevant data from reliable sources.
Lastly, when preparing the report on IT salaries, it is important to take into account the company's budget and financial constraints. While it is important to offer competitive wages to attract qualified candidates, it is also important to ensure that the salary range is feasible for the company's financial situation.
In summary, limiting the scope of the problem by defining the position, considering geographic location and industry standards, and taking into account the company's financial constraints are important factors to consider when preparing a report on IT salaries for the purpose of hiring a new employee.

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All of the following are potential problems with line-and-staff organizations except ______. Multiple choice question. overstaffing ambiguous lines of communication duplication of work employee frustration over lack of authority

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Employee frustration over a lack of authority is not a potential problem with line-and-staff organizations. However, overstaffing, ambiguous lines of communication, and duplication of work are all potential problems that can arise in this type of organizational structure. The correct option is employee frustration over lack of authority.

Line-and-staff organizations are structured in a way that creates two types of roles - line and staff. Line roles are responsible for the primary functions of the organization, such as production or sales, while staff roles support these functions. The staff roles provide specialized knowledge and expertise, but they do not have the authority to make decisions.

Therefore, staff roles may not feel frustrated over a lack of authority because it is not within the scope of their job. However, the other options listed in the multiple-choice question are potential problems with line-and-staff organizations. Overstaffing can lead to increased costs and reduced efficiency. Ambiguous lines of communication can cause confusion and mistakes. Duplication of work can lead to wasted time and resources. All of these issues can negatively impact the overall effectiveness of the organization. The correct option is employee frustration over lack of authority.
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When considering consumers' ideal levels of performance on attributes when using a multiattribute attitude model, which attitude index is best

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When considering consumers' ideal levels of performance on attributes in a multiattribute attitude model, the best attitude index to use would be the Importance-Performance Analysis (IPA).

This index allows marketers to assess which attributes are most important to consumers and how well the brand performs on each attribute. By analyzing the IPA, marketers can identify areas where the brand needs to improve to better meet consumer expectations and ultimately enhance brand loyalty.

Overall, the IPA is a useful tool for understanding consumer attitudes and preferences and can help marketers make informed decisions when developing marketing strategies.

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Students learning to solve for missing values through input/output tables which increase the output (or y value) by the same value are laying a foundation to be able to work with which kind of function as they mature in their mathematical knowledge?

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Students learning to solve for missing values through input/output tables which increase the output (or y value) by the same value are laying a foundation to be able to work with linear functions as they mature in their mathematical knowledge.

This is because linear functions follow a consistent pattern of increasing the output by the same amount for each unit increase in the input (or x value). Input/output tables provide a visual representation of this pattern, allowing students to see how the output changes as the input increases.

As students become more comfortable with input/output tables and linear functions, they can begin to apply this knowledge to real-world scenarios, such as analyzing the cost of a cell phone plan based on the number of minutes used. Additionally, understanding linear functions is essential for success in higher-level math courses, such as calculus, which build upon this foundational knowledge. Therefore, mastering input/output tables and linear functions is an important step in a student's mathematical education.

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A firm recently recognized a $20,000 gain on the sale of machinery used in its manufacturing operation. The original cost of the machinery was $170,000 and the accumulated depreciation at the date of sale was $100,000. What amount did the firm receive from the sale

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To calculate the amount the firm received from the sale of machinery, So the firm received $90,000 from the sale of the machinery.

Amount received = Sale price - Book value

The book value of the machinery is the original cost minus the accumulated depreciation, which is:

Book value = Original cost - Accumulated depreciation

Book value = $170,000 - $100,000

Book value = $70,000

The gain on the sale is the difference between the amount received and the book value, which is $20,000 in this case. Therefore, we can rearrange the formula to solve for the amount received:

Amount received = Book value + Gain on sale

Amount received = $70,000 + $20,000

Amount received = $90,000

So the firm received $90,000 from the sale of the machinery.

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France is known to have a relatively inflexible labor market. In February 2000, France instituted a new policy. Any hours worked beyond 35 in a week were considered overtime (previously, the policy was that overtime was over 40 hours per week). What was the likely effect on France's short-run aggregate supply curve

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The change in policy regarding overtime in France is likely to have an effect on the short-run aggregate supply curve. In the short run, the aggregate supply curve is upward sloping, which means that as the price level increases, firms are willing to produce more output.

The change in policy would likely increase the cost of labor for firms that require their employees to work more than 35 hours per week. This increase in the cost of labor would increase the firms' marginal costs, which could shift the short-run aggregate supply curve upward and to the left. This is because the firms would need to increase their prices to cover the additional labor costs, which would result in a decrease in the quantity of goods and services supplied at any given price level.

However, the magnitude and direction of the shift would depend on various factors, such as the elasticity of labor supply and the extent to which firms can pass on the increased costs to consumers in the form of higher prices. Additionally, the long-term effects of the policy change may differ from its short-term effects.

To include the personal assets and transactions of a business's owner in the records and reports of the business would be in conflict with the: Multiple Choice Objectivity principle.

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To include the personal assets and transactions of a business's owner in the records and reports of the business would be in conflict with the: Objectivity principle.

What's objectivity principle

The objectivity principle is one of the fundamental accounting principles that require financial statements and reports to be free from bias, errors, and personal opinions.

Including personal assets and transactions of a business owner in the records and reports of the business would violate this principle as it would introduce a significant amount of subjectivity and personal bias into the financial records of the company.

This could lead to inaccurate reporting, which could affect the decisions of stakeholders such as investors, lenders, and other interested parties.

To maintain objectivity in accounting records and reports, it is crucial to keep personal assets and transactions of the business owner separate from those of the business. 

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Smith Corporation began Year 1 with a difference of $50,000 between inventory valued internally using FIFO and inventory valued using LIFO. At the end of Year 1, this difference increased to $75,000. The journal entry to record this increase would include a

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The increase in the difference between inventory valued using FIFO and LIFO from $50,000 to $75,000 at the end of Year 1 for Smith Corporation needs to be recorded in the accounting system through a journal entry. This entry will adjust the value of the inventory and the Cost of Goods Sold accounts accordingly.

To record this increase, the following journal entry will be made:
Debit: Cost of Goods Sold - $25,000
Credit: Inventory Valuation Reserve - $25,000

The Cost of Goods Sold account is debited to reduce the balance as the value of the inventory has increased, resulting in lower expenses for the company. The Inventory Valuation Reserve account is credited to increase the reserve for the difference between FIFO and LIFO, which will help in adjusting the value of the inventory correctly in the future. This adjustment entry helps in maintaining accurate financial statements and a proper accounting system.

By recognizing and recording the difference between FIFO and LIFO inventory valuation methods, the company can ensure that their financial reports accurately reflect the value of their inventory, which is critical for making informed business decisions.

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In an assurance engagement performed with due professional care (DPC), internal auditors must A. Apply care and skill beyond mere competence and reasonable prudence. B. Use technology-based data analysis. C. Consider the cost and benefits of the consultation. D. Not guarantee that all significant risks are identified.

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The correct answer is A. Apply care and skill beyond mere competence and reasonable prudence.

In an assurance engagement performed with due professional care (DPC), internal auditors are required to apply care and skill beyond mere competence and reasonable prudence. This means that they must exercise a higher level of professional judgment, expertise, and diligence to ensure the accuracy and reliability of their work.

Option B, "Use technology-based data analysis," may be a useful approach in conducting assurance engagements, but it is not specifically related to the requirement of due professional care.

Option C, "Consider the cost and benefits of the consultation," is important in decision-making and resource allocation, but it is not directly related to the requirement of due professional care.

Option D, "Not guarantee that all significant risks are identified," is incorrect. While it is true that auditors cannot provide absolute assurance or guarantee that all risks will be identified, it does not negate their responsibility to identify and assess significant risks to the best of their abilities while exercising due professional care.

Therefore, option A is the most appropriate answer as it reflects the higher level of care and skill expected from internal auditors in assurance engagements.

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A company spends $40 acquiring each customer. Each month, the customer buys services worth $5, which cost the company $4. On an average a customer is expected to stay with the company for five years. What is the CLV in this case assuming zero percent interest rate

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on average, each customer is expected to generate $12,000 in total revenue over their entire lifetime with the company.

To calculate the customer lifetime value (CLV) in this case, we can use the following formula:

CLV = (Customer revenue - Customer costs) x (Contribution margin ratio / Discount rate - Customer retention rate)

Where:

Customer revenue = $5 per month x 12 months x 5 years = $300

Customer costs = $4 per month x 12 months x 5 years = $240

Contribution margin ratio = (Customer revenue - Customer costs) / Customer revenue = ($5 - $4) / $5 = 0.20 or 20%

Discount rate = 0% (as per the question)

Customer retention rate = 1 / 5 years = 0.20 or 20%

Therefore, the CLV for each customer can be calculated as:

CLV = ($300 - $240) x (0.20 / (0% + 0.20)) = $12,000

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If a business is following a focused strategy, then its competitive scope is ________. Multiple Choice Broad market Narrow market Broad range products Broad range of services

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If a business is following a focused strategy, then its competitive scope is narrow market.

A focused strategy is a business strategy that concentrates on serving a particular segment of the market and tailoring its products or services to meet the unique needs of that segment. This approach enables the business to differentiate itself from competitors and become a leader in a specific market niche. To implement a focused strategy, the business must define its target market clearly and develop products or services that cater to that market segment.

The competitive scope of a business refers to the range of products, services, and markets it serves. In the case of a focused strategy, the competitive scope is narrow market, which means that the business focuses on a specific customer group and offers a limited range of products or services to that group. By limiting its scope, the business can better understand its customers' needs and preferences and offer customized solutions that meet those needs. This approach can lead to higher customer satisfaction and loyalty, as well as improved profitability and competitive advantage in the long run.

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A company with authority centralized in a single person, a flat hierarchy, few rules, and low work specialization has a _____.

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A company with authority centralized in a single person, a flat hierarchy, few rules, and low work specialization has a decentralized organizational structure.

A company with authority centralized in a single person, a flat hierarchy, few rules, and low work specialization has a decentralized organizational structure. In such a structure, the power to make decisions and control the company is distributed among the lower levels of management and employees rather than being held by a single individual or a small group of executives.

Decentralization allows for greater autonomy and flexibility in decision-making, which can lead to faster and more responsive action. A flat hierarchy means that there are few levels of management, resulting in a flatter organizational chart. There are fewer rules and procedures in place, making it easier for employees to take action and make decisions without having to go through a lot of bureaucracy.

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The most dependable method used to determine the cost of a commercial in over-the-air and terrestrial broadcasting is known as:

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At a multinational corporation, the most effective type of managers are likely to be because they excel at working through other people and team building. Their primary desire to facilitate collaboration, communication, and cooperation among team members to achieve common goals and objectives.

A multinational corporation (MNC) is a large company that operates in multiple countries and has a global presence. These corporations typically have headquarters in one country and subsidiaries or operations in several other countries. MNCs have a significant impact on the global economy, as they contribute to job creation, innovation, and the exchange of goods and services between countries.

MNCs often have diverse product portfolios and engage in various industries such as technology, automotive, finance, and retail. They leverage their global reach and resources to expand their business operations, seek new markets and customers, and create economies of scale. They also face unique challenges such as managing cultural differences, complying with different legal frameworks, and dealing with political risks.

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A company wants to estimate, at a 95% confidence level, the proportion of all families who own its product. A preliminary sample showed that 30.0% of the families in this sample own this company's product. The sample size that would limit the margin of error to be within 0.045 of the population proportion is:___________

A. 317 B. 399 C. 459 D. 586

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B. 399,To find the sample size needed to limit the margin of error to within 0.045 of the population proportion, we can use the formula: n = (z^2 * p * q) / E^2

where:

- n is the sample size

- z is the z-score for the desired confidence level (95% confidence level corresponds to a z-score of 1.96)

- p is the proportion from the preliminary sample (30.0% or 0.3 in decimal form)

- q is 1 - p

The required margin of error is E, which is 0.045.

Substituting in the values, we get: n = 398.44

To estimate the sample size needed for a 95% confidence level with a margin of error of 0.045, we can use the following formula for sample size calculation: n = (Z^2 * p * (1-p)) / E^2

Where n is the sample size, Z is the z-score (for a 95% confidence level, Z = 1.96), p is the proportion from the preliminary sample (0.30), and E is the margin of error (0.045).

1. Calculate p * (1-p): 0.30 * (1-0.30) = 0.30 * 0.70 = 0.21

2. Multiply Z^2 with the result: 1.96^2 * 0.21 = 3.8416 * 0.21 = 0.807336

3. Divide the result by E^2: 0.807336 / (0.045^2) = 0.807336 / 0.002025 = 398.63

Since the sample size must be a whole number, we round up to 399.

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Suppose New Jersey faces the same statewide demand curve as in Pennsylvania. No interstate wine trade is permitted. Suppose the New Jersey market is perfectly competitive. What is the equilibrium price and quantity

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The equilibrium price of the basic red table wine in New Jersey is $2 per bottle, and the equilibrium quantity is 3,000 bottles. In a perfectly competitive market, the market supply curve is given by the marginal cost (MC) curve.

To find the equilibrium price and quantity in New Jersey, we need to set the market supply equal to the market demand. Since the wholesale cost for the basic red table wine is $2 per bottle, the marginal cost is also $2 per bottle.

The market demand in New Jersey is given by the same demand function as in Pennsylvania: P=5-.001Q. Setting the demand equal to the marginal cost, we have:

5 - 0.001Q = 2

Solving for Q, we get:

Q = (5-2)/0.001 = 3,000

Substituting Q into the demand function, we can find the equilibrium price:

P = 5 - 0.001(3,000) = 2

Therefore, the equilibrium price of the basic red table wine in New Jersey is $2 per bottle, and the equilibrium quantity is 3,000 bottles.

Note that since interstate wine trade is not permitted, the Pennsylvania monopoly will not be affected by the market in New Jersey. However, if Pennsylvania were to allow private retailers to sell wine, it is likely that the monopoly price of the wine would decrease due to increased competition.

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Complete Question:

The Commonwealth of Pennsylvania is the monopoly retailer of wine in the state of PA. Suppose that a basic red table wine has no close substitutes and that the demand function for this wine is P=5-.001Q. Assume the state purchases this wine on the wholesale market for $2 per bottle, and the state-operated liquor stores incur no other expenses to sell this wine.

Neighboring New Jersey and New York allow private retailers to sell wine. Suppose New Jersey faces the same statewide demand curve as in Pennsylvania. No interstate wine trade is permitted. Suppose the New Jersey market is perfectly competitive. What are the equilibrium price and quantity?

Jim, a single individual, was unemployed for a few months during 2021. During 2021, he received $3,600 in unemployment compensation payments. How much of his unemployment compensation payments must be included in gross income

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Jim must include the full amount of his unemployment compensation payments in his gross income for the tax year 2021. This means that the $3,600 he received in unemployment benefits is subject to federal and state income tax.

Unemployment compensation is considered taxable income by the IRS, and recipients are required to report it as such on their tax returns. The full amount of the benefits is generally subject to federal income tax, and depending on the state where Jim lives, he may also owe state income tax on the benefits. It's important to note that unemployment benefits may be subject to income tax withholding, meaning that taxes are automatically deducted from the benefits when they are paid out. If Jim had taxes withheld from his unemployment payments, he may owe less when he files his tax return. However, if he did not have taxes withheld, he may owe additional taxes when he files his return. In summary, Jim must include the full amount of his unemployment compensation payments in his gross income for the tax year 2021 and should consult a tax professional to determine the exact amount of tax owed.

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Texas Instruments has $15 million of outstanding equity and $6 million of bank debt. The bank debt costs 5% per year. The estimated equity beta is 2. If the market risk premium is 5.1% and the risk-free rate is 3%, compute the weighted average cost of capital if the firmʹs tax rate is 30%. (Answer in percent: For 0.05324 answer, 5.324)

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The weighted average cost of capital for Texas Instruments is approximately 10.426%.

First, let's compute the proportions of equity and debt in the firm's capital structure. The total capital is $15 million (equity) + $6 million (debt) = $21 million. The proportions are as follows:
- Equity proportion: $15 million / $21 million = 0.7143
- Debt proportion: $6 million / $21 million = 0.2857

Next, we'll calculate the cost of equity and the after-tax cost of debt:
- Cost of equity: Risk-free rate + (Equity beta * Market risk premium) = 3% + (2 * 5.1%) = 13.2%
- Cost of debt (before-tax): 5%
- After-tax cost of debt: Cost of debt * (1 - Tax rate) = 5% * (1 - 0.3) = 3.5%

Finally, we can compute the WACC by multiplying the proportions by their respective costs and summing the results:
- WACC: (Equity proportion * Cost of equity) + (Debt proportion * After-tax cost of debt) = (0.7143 * 13.2%) + (0.2857 * 3.5%) ≈ 9.4257% + 1.0000% = 10.4257%

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