Answer: Alexander Parkes
Explanation: Parkes patented his discovery as Parkesine in 1862 after realising a solid residue remained after evaporation of the solvent from photographic collodion.
in summarizing the research on the externalities associated with driving cars, a 2007 journal of economic literature article concluded that the optimal corrective tax on gasoline in the united states would be
The best corrective tax on gasoline in the United States would be $2.10 per gallon, according to a 2007 journal of economic literature study that summarised the studies on the externalities related to driving cars.
What is the Journal of Economic Literature?
The American Economic Association publishes the peer-reviewed academic magazine The Journal of Economic Literature, which reviews the economics academic literature. One of the top publications in economics, it was founded in 1963 under the name Journal of Economic Abstracts. It primarily includes essays and reviews of current economic theories because it is a review publication (as opposed to the latest research). Steven Durlauf is the main editor. The AEA stated in January 2022 that David Romer would take over as editor in July 2022.
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during a risk management strategy session, the him director states that policies and procedures must be created to prevent specific opportunities for an adverse outcome, as well as those that will function to diminish any that might not be preventable. this type of strategy is known as a
The HIM director's statement pertains to a risk management strategy that focuses on both preventing adverse outcomes and mitigating those that cannot be prevented.
A "Risk Mitigation Strategy" is the name for this kind of strategy. Organizations can take proactive steps to reduce the possibility and effect of probable negative outcomes by developing policies and procedures that address specific risks. Effective risk management requires the creation and implementation of a strong risk mitigation strategy, which aids companies in identifying, evaluating, and prioritising potential risks as well as creating mitigation plans that effectively lower the chance of harm. By doing this, individuals can make sure that they are better equipped to handle risks and lessen the effects of negative outcomes.
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hardy builders purchased a delivery van for $18,500 with a salvage value of $2,900 on october 1, year 1. it has an estimated useful life of 4 years. using the straight-line method, how much depreciation expense should the company recognize on december 31, year 1?
The depreciation expense for year 1 will be $3900. The total accumulated depreciation of an asset, which also results from historical cost less salvage value, is what is known as the depreciable amount.
Salvage value, which is based on what a company anticipates getting in exchange for the asset after the end of its useful life, is the expected book value of an item after depreciation is complete. The projected salvage value of an asset is therefore a crucial factor in determining a depreciation schedule. The most fundamental depreciation method is often straight line depreciation. Throughout the asset's entire useful life, up until the asset is completely depreciated to its scrap value, it means equal depreciation costs every year. Considering hardy case where a business purchases a machine for $18,500. A salvage value of $2,900 and an operating time of four years are chosen by the corporation. According to these hypotheses, the straight-line method's annual depreciation is calculated as follows: ($18500 cost - $2900 salvage value) / 4 years, or $3900 annually. A 21% depreciation percentage ($3900/$18500) is the consequence.
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suppose you expect to receive $500 in 2 years. with a continuously compounded interest rate of 5%, how much is that amount worth to you today?
$13.88 is that amount worth to you today when you expect to receive $500 in 2 years with a compound interest of 5%.
The given data is as follows:
The amount to be received = $500
Time period (in years) = 2 years
compounded interest rate = 5%
The present value is calculated by using the formula,
Future value = Present value * (1 + rate of interest)^number of years
Here, Future value is also known as the amount to be received.
$500 = Present value * (1+5)^2
$500 = Present value * 36
Present value = 500/36
Present value = $13.88
So, we can conclude that $13.88 is that amount worth to you today when you expect to receive $500 in 2 years at an interest rate of 5%.
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the form of business ownership best suited to raising large amounts of money for expansion is the____
A. sole proprietorship
B. corporation
C. partnership
D. None of the above
The form of business ownership best suited to raising large amounts of money for expansion is the corporation. A corporation is best suited for raising significant amounts of capital and is owned by shareholders who have limited liability. In exchange for shares, the corporation's shareholders donate capital to the company. The answer is OPTION B
Companies raise capital by issuing amounts additional stock shares. The strongest protection from personal liability is provided to owners by corporations, but forming a corporation is more expensive than creating other types of structures. An individual, a business, or a limited liability partnership can all own and manage a sole proprietorship. The company doesn't have any partners.
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Which factors result from the processes and actions of government bodies that influence the decisions and behavior of firms?
Political factors result from the processes and actions of government bodies that influence the decisions and behavior of firms.
The political factors influencing business are much of the time given a ton of significance. A few parts of government strategy can influence business. All organizations should observe the law. Chiefs should find what impending legislations can mean for their exercises.
The political environment can affect business organizations in numerous ways. It could add a gamble variable and lead to a significant misfortune. You ought to comprehend that the political factors have the power to change results. It can likewise influence government approaches at neighborhood to administrative level. Organizations ought to be prepared to manage the neighborhood and international results of governmental issues.
Changes in the public authority strategy make up the political factors. The change can be economic, legal or social. It could likewise be a blend of these factors.
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What are the benefits of retaining profits?
Answer:
Retaining profits can have several benefits for a business, including:
1. Reinvesting in the company: By retaining profits, a business can use the money to invest in new equipment, research and development, marketing, or other areas that can help the company grow and become more profitable in the long run.
2. Paying off debt: Retained earnings can be used to pay off debt or other liabilities, which can help improve the company's financial health and creditworthiness.
3. Providing a cushion for unexpected expenses: By retaining profits, a business can build up a reserve of cash that can be used to cover unexpected expenses, such as a major repair, an economic downturn, or a sudden loss of revenue.
4. Rewarding shareholders: Retained earnings can be used to pay dividends or buy back shares of stock, which can help to reward shareholders and increase the value of the company's stock.
5. Maintaining control: By retaining profits, a business can maintain control over its operations and avoid the need to seek external financing, which may come with strings attached such as covenants, interest rates, or loss of control.
Overall, retaining profits can provide a business with financial stability, flexibility, and the ability to invest in growth opportunities, which can help it achieve long-term success.
Hope it helps!Rudolfo purchased 900 shares of stock for $62. 20 a share and sold them ten months later for $64. 60 a share. The initial margin requirement on this stock is 75 percent and the maintenance margin is 40 percent. Ignoring dividends and costs, what is his holding period return?
The holding peroid return is 33.33%.
Stock price= 62.20(1+25%)= $77.75
HPR= [tex]\frac{(77.25-62.20)}{62.20*75}[/tex]= [tex]\frac{15.65}{46.65} = 0.33333... = 33.33[/tex]%.
Stocks are a sort of security that offers stockholders a share of ownership in an enterprise. shares also are called “equities.”A business enterprise's inventory price reflects investor belief in its capability to earn and grow its profits in the future. If shareholders are glad and the corporation is doing properly, as meditated by way of its share fee, its executives are probable to maintain their jobs and acquire increases in repayment.
A stock is a fashionable time period used to describe the ownership certificates of any agency. A share, alternatively, refers to the stock certificates of a specific business enterprise. keeping a selected organization's proportion makes you a shareholder. Description: shares are of kinds—not unusual and favored. A stroke, once in a while known as a mental attack, happens when something blocks blood delivery to part of the brain or when a blood vessel inside the mind bursts.
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Complete Question:
Rudolfo purchased 900 shares of stock for $62.20 a share six months ago. The initial margin requirement on this stock is 75 percent and the maintenance margin is 40 percent. Rudolfo pays a 3% on his margin loan, what is his holding period return if today when he sells it, stock price rises by 25%? What if the stock price declines by 25%? (note: 3% is annualized effective rate).
constitutional debt limits are imposed on: a self-supporting debt b non-self supporting debt c self-liquidating debt d all of the above
There are constitutional debt ceilings placed on: Debt that is not self-supporting.
option B
Statutory or constitutional debt ceilings are restrictions on the discretionary borrowing power of governments. Particularly, debt ceilings apply in cases when the government has guaranteed financial commitments with its full faith and credit, backed by the authority to tax residents in its territory. Debts that support or pay off themselves are financed by some type of business activity. These problems concern revenue bonds. Constitutional debt ceilings do not apply to them since they cover their own expenses solely from the source of cash that was promised.
The maximum amount of bonds that may be issued and supported by ad valorem taxation power is capped by municipalities. Constitutional restrictions are founded on the notion that laws passed by the representatives of the people have limited authority.
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| Personal Finance |
If you used money from your emergency fund, which is an appropriate next response?
A) Repay your emergency fund by burrowing against credit cards.
B) Continue with the savings plan as is, and your emergency fund will eventually return to its previous balance.
C) Reduce casual spending and increase savings until your emergency fund has been paid back.
D) Borrow the money from your friends to pay the emergency fund back.
If you used money from your emergency fund, which is an appropriate next response: D) Borrow the money from your friends to pay the emergency fund back.
An emergency fund is meant to provide financial support during unexpected events. If you have used the funds from your emergency fund, it is important to repay the amount used in order to have the funds available for future emergencies.
One appropriate response is to reduce casual spending and increase your savings until your emergency fund has been fully repaid. Borrowing from credit cards or friends is not a recommended option as it may lead to additional debt and put you in a worse financial situation.
Therefore the correct option is D.
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is it necessarily inequitable for future generations to face higher taxes as a result of benefits that accrue to those living today?
It depends on a number of factors whether it is inequitable for future generations to face higher taxes as a result of benefits that accrue to those living today.
When it comes to taxes, there are many different opinions on what is fair and equitable. One question that often comes up is whether it is unfair for future generations to pay higher taxes to support benefits that are enjoyed by people today. In other words, is it unfair for current generations to burden future generations with the costs of their actions?
The answer to this question is not straightforward, as there are arguments on both sides. On one hand, some argue that it is unfair to burden future generations with higher taxes, as they had no say in the decisions made by previous generations. This is especially true if those decisions resulted in unsustainable practices or policies that are no longer viable.
It could also be argued that it is unfair to expect future generations to pay for the benefits enjoyed by those in the present, without offering them any similar benefits.
On the other hand, some argue that it is not necessarily unfair for future generations to pay higher taxes if they are benefiting from the policies and practices that are being supported by those taxes.
For example, if current generations invest in education or infrastructure that will benefit future generations, it may be reasonable to expect those future generations to help pay for these investments. Additionally, it could be argued that higher taxes are a way of ensuring that future generations are able to enjoy the same benefits and opportunities as those living today.
In the end, the question of whether it is equitable for future generations to face higher taxes as a result of benefits that accrue to those living today is a complex one that depends on a number of factors. While some may argue that it is unfair, others may see it as a necessary way of ensuring that future generations are able to enjoy the same opportunities and benefits as those living today.
Ultimately, the answer to this question will depend on a variety of social, economic, and political factors, as well as on individual perspectives on what is fair and just.
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what do many ceos believe is the essence of the best companies?
Many CEOs believe that the essence of the best companies lies in their ability to create value for all stakeholders, including customers, employees, shareholders, and the wider community.
This requires a strong sense of purpose, cultural alignment, and a commitment to ethical and sustainable business practices.
Companies that prioritize the well-being of their employees and invest in creating a positive work environment are often more productive, innovative, and successful in the long term. Additionally, companies that prioritize innovation and continuous improvement tend to stay ahead of the competition and grow faster.
Furthermore, companies that engage in responsible and transparent business practices, and have a positive impact on the environment and society, are more likely to earn the trust and loyalty of their customers, employees, and shareholders.
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g. assume that trevino concludes that it can sell 10,000 units of product for $80 each. recall that variable costs are $30 each and fixed costs are $280,000. compute the margin of safety in units and dollars and as a percentage.
When the sales price is $80 per unit, the variable cost is $30 per unit, and the fixed costs are $280,000, then the margin of safety will be,
In Units- $50 per unitIn Dollars- $352,000As a percentage- 44 percentageThe margin of safety in the above situation can be computed using the methods shown below,
Contribution Margin (Unit) = Sales Price – Variable cost
Contribution Margin (Unit) = 80 – 30
Contribution Margin (Unit) = $50
Fixed Cost is $280,000 (given)
Break-even Point in Units will be $80-$30
Contribution per each unit is $50
So, the margin of safety in units will be,
Margin of Safety in Units = Projected Sales – Break-even Sales
Margin of Safety in Units = 10000 – 5600
Margin of Safety in Units = 4400 units
Margin of Safety (Dollars) = Margin of Safety (Units) x Sales Price (Unit)
Margin of Safety (Dollars) = 4,400 units x $80
Margin of Safety (Dollars) = $352,000
Margin of Safety in % = Actual Sales – Break-even Sales
Margin of Safety in % = (10,000-5,600) / 100
Margin of Safety in % = 4400 / 100
Margin of Safety in % = 44%
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donald owns a men's clothing store in an area with many other stores that sell clothing to men, women and children. demand for the clothing he sells is probably question 5 options: time-based inelastic need-based elastic
Donald owns men's clothing store in an area with the many other stores that sell clothing to men, women and children. demand for clothing he sells is probably time-based inelastic.
What is demand?Economics uses the term "demand" to describe a consumer's willingness and desire to purchase products and services at a specific price. Generally speaking, as a product's price rises, so does demand. Due to the fact that demand makes sense and develops naturally throughout the course of practically any day, consumers and businesses are well familiar with the concept. Customers might buy less or possibly nothing at all when prices rise, as they do after a change in season. Demand can often be divided into two categories: market demand and overall demand. A commodity's market demand is the total amount that all of the purchasers in a market are willing to spend on it. Various stocking methods are frequently required to meet demand.
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the future value of an ordinary annuity is greater than the future value of annuity due. assume the period, interest rate, and payments are the same. true false
False.
The future value of an ordinary annuity and the future value of an annuity due are equal when the period, interest rate, and payments are the same.
The date of the payments is the only distinction between a regular annuity and an annuity due. Payments are made at the end of each period in a regular annuity, but at the beginning of each period in an annuity due. However, if the length, interest rate, and payments are the same for both annuities, their future values will be equal. In general, the present value of an annuity component, which considers the interest rate and the number of periods, is multiplied by the periodic payment to determine the future value of an annuity.
The future value of an annuity is calculated using the same method whether it is an ordinary annuity or an annuity due, and the variation in the timing of the payments has no bearing on the ultimate value.
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explain motivational theories of Herzberg, Maslow and Taylor.
Answer:
Herzberg's Two-Factor Theory:Herzberg's Two-Factor Theory, also known as the Motivation-Hygiene Theory, states that there are two types of factors that influence an employee's job satisfaction and motivation: hygiene factors and motivators. Hygiene factors, such as salary, working conditions, and job security, are necessary to prevent dissatisfaction but do not necessarily lead to motivation. On the other hand, motivators, such as recognition, achievement, and responsibility, are the factors that drive motivation and job satisfaction.
Maslow's Hierarchy of Needs:Maslow's Hierarchy of Needs is a five-tier model that explains how human needs drive behavior and motivation. According to Maslow, individuals must fulfill lower-level needs, such as physiological and safety needs, before they can pursue higher-level needs, such as esteem and self-actualization. The theory suggests that an individual's highest level of motivation is driven by the fulfillment of their highest unmet need.
Taylor's Scientific Management Theory:Taylor's Scientific Management Theory, also known as the "One Best Way" approach, focuses on increasing efficiency and productivity through the use of standardized work processes and the division of labor. Taylor believed that motivation could be increased by offering financial incentives to workers who met certain performance targets. This theory is often criticized for its narrow focus on productivity and its disregard for worker satisfaction and motivation.
In conclusion, these theories offer different perspectives on what drives motivation and job satisfaction in the workplace. Herzberg's Two-Factor Theory and Maslow's Hierarchy of Needs emphasize the importance of meeting both physiological and higher-level needs, while Taylor's Scientific Management Theory focuses on increasing productivity through financial incentives.
a room finish schedule provides the builder with the materials required in each room of the building. this kind of schedule would be found in the .
A room finish schedule provides the builder with the materials required in each room of the building and would typically be found in the construction drawings or specifications for a building project.
The room finish schedule is an important part of the construction process as it provides clear and detailed information about the materials required for each room, including flooring, wall finishes, lighting fixtures, and other details. This information is used by the builder to order materials, manage the construction timeline, and ensure that the finished building meets the design and quality standards specified by the owner or designer.
The room finish schedule is usually prepared by an architect or interior designer and is reviewed and approved by the builder, owner, and other stakeholders involved in the construction project. This schedule is a key component of the construction documentation and is used throughout the construction process to ensure that the finished building meets the design intent and meets the owner's expectations.
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A room finish schedule provides the builder with the materials required in each room of the building. This kind of schedule would be found in the?
WhIcH day out of the week is the most productive for work?
Answer:
Monday
Explanation:
Its Monday Because even though it's the worst day of the week it's the most busiest.
Answer: Well, on my personal opinion, I'd say Saturday, because, since there is no school, then we can focus on productive work. For example, on busy days from Monday - Friday, we need to focus on school and then what we will do next. On Saturday, with no school, we can have more time to focus on productive work and still have time in the afternoon to do other things.
The Wood Shop generates s97 in sales for every SI invested in total assets. which one of the following ratios would reflect this relationship? A. Receivables tumover B. Equity multiplier C. Profit margin D. Retum on assets E. Total asset turnover
Option (e), For every $1 invested in total assets, The Wood Shop generates $0.97 in sales. This link would be shown in total asset turnover.
A turnover of all assets is what?Asset turnover is calculated by dividing total sales or revenue by average assets. This measure allows investors to assess the efficiency with which a company is utilising its resources to boost sales. The asset turnover ratio is a metric used by investors to compare companies within the same sector or group.
Only businesses in the same industry should have their ratios compared because asset turnover ratios vary across various industrial sectors. Businesses in the retail or service industries, for instance, typically have minimal asset bases and high sales volumes. The average asset turnover ratio rises as a result. Companies in sectors like manufacturing or utilities, however, usually have large asset bases, which is linked to lower rates of asset turnover.
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indigo inc experienced a drop in the price of each product as the overall volume of production increased) this relationship or method caused an increase in profits accrued by the company. this is an example of the .
The partnership or approach increased the amount of profits the business realised. The rule of experience is demonstrated in this situation.
A rise in profit tells us what, exactly?If a business has a large net profit margin, it may successfully manage its costs and/or charge a price that is much greater than its costs. In light of this, a high ratio may be caused by: effective administration. Low costs (expenses) effective pricing tactics.
What factors boost the profit margin?
By increasing revenues, such as through the sale of additional goods or services or by raising pricing, businesses can raise their net margin. By cutting costs, businesses can boost their net margin.
The following question is incomplete , complete question is as follows:Indigo Inc. experienced a drop in the price of each product as the overall volume of
production increased. This relationship or method caused an increase in profits accrued
by the company. This is an example of the _____.
A. law of motion
B. law of experience
C. law of value
D. law of knowledge
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a security firm establishes an office in a new building. in the office, security analysts monitor and manage client systems for security concerns. the office functions as which type of facility?
When a security firm establishes an office in a new building where security analysts monitor and manage client systems for security concerns, this office functions as a Security Operations Center (SOC).
A Security Operations Center is a type of facility where security analysts monitor and manage an organization's security posture, including detecting, analyzing, and responding to security threats. The goal of a SOC is to provide a centralized location for security operations and improve an organization's ability to detect and respond to security incidents quickly and effectively.
In a typical SOC, security analysts use a variety of tools and technologies to monitor an organization's systems, such as firewalls, intrusion detection and prevention systems, and security information and event management (SIEM) tools.
These tools allow analysts to detect and respond to security threats in real-time, allowing organizations to quickly address potential security incidents before they become major problems.
The main functions of a SOC include incident response, threat intelligence analysis, vulnerability management, and security operations management. SOC analysts are responsible for detecting and responding to security incidents, identifying potential security threats, and providing recommendations for improving an organization's security posture.
They also manage the organization's security operations, including security policies and procedures, compliance, and security awareness training.
In addition to providing security monitoring and management services for their own clients, security firms may also establish a SOC to provide outsourced security services to other organizations. In this case, the security firm would operate the SOC on behalf of its clients, providing security monitoring and management services remotely.
Overall, a Security Operations Center is a critical facility for any organization that takes security seriously. By providing a centralized location for security monitoring and management, organizations can improve their ability to detect and respond to security incidents quickly and effectively, ultimately reducing the risk of data breaches and other security threats.
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find the equivalent taxable yield of a short-term municipal bond currently offering yields of 6% for tax brackets of (a) zero, (b) 10%, (c) 20%, and (d) 30%. (round your answers to 2 decimal places.)
The equivalent taxable yield of a short-term municipal bond currently offering 6% for different tax brackets is determined by taking the after-tax yield and multiplying it by the tax bracket.
(a) For a zero tax bracket, the equivalent taxable yield of the bond is 6.00%. (b) For a 10% tax bracket, the equivalent taxable yield of the bond is 6.60%.(c) For a 20% tax bracket, the equivalent taxable yield of the bond is 7.20%.(d) And for a 30% tax bracket, the equivalent taxable yield of the bond is 7.80%.The equivalent taxable yield of a short-term municipal bond is determined by taking the after-tax yield and multiplying it by the applicable tax bracket. This can help investors determine the potential returns from their investment depending on their tax bracket.
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or false: process activities create outputs from inputs through a series of flows. true false question. true false
True, Process activities generate outputs from inputs via a series of flows. The majority of processes involve two kinds of flows: information flows and material flows. Data is communicated in a variety of ways (e.g., speech, binary code, written words or pictures, currency).
Operations management is the systematic direction and control of a business process in which resources, known as inputs, are transformed into finished goods or services for consumers or clients (outputs).
Operations is frequently defined as a process of transformation. Raw materials, labour, equipment, and capital are converted into outputs (goods and services).
A process flow is a series of steps that you and your team take to accomplish your goal. Visualizing your process flows can aid in the identification of redundancies, repetitive tasks, and bottlenecks. Timelines and workflow diagrams can be used to visualise process flows.
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a company uses a formula to calculate and automate the reorder quantity of an item in inventory. what type of decision process does this example represent?
This example represents an operational decision-making process. It involves using a mathematical formula to determine the reorder quantity of an item in inventory, which is a routine, repetitive task that is performed on a regular basis.
The formula takes into account various factors such as the current inventory level, the lead time for receiving a new shipment, and the expected demand for the item, to arrive at a number that represents the optimal reorder quantity. By automating this process, the company can ensure that its inventory is always at the desired level, without the need for manual intervention. This type of decision-making is focused on improving efficiency, streamlining processes, and reducing costs. It is typically carried out by mid-level managers or operational staff and is designed to support the day-to-day running of the business. In summary, the use of a formula to automate the reorder quantity of an item in inventory is an example of an operational decision-making process.
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is it important to have federal oversight over businesses? what are some pros and cons for the federal government creating rules for businesses?
Yes, it is crucial to have government regulation of business. Safety and consumer protection. The protection of the consumer or customer is part of the government's responsibility in business.
Pros: The buyer has legal options available to them if the vendor violates the promise. The courts may also hold a vendor or manufacturer accountable when a product hurts a person. safeguarding the environment, public health, and safety.
Increasing the safety of consumers' product selections. preventing businesses from exploitation of unwitting consumers. ensuring the safety of the nation via military.
Cons: It fosters the development of a huge federal government bureaucracy. It may result in massive monopolies that raise prices for customers. Through excessive regulation, it stifles innovation.
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n the late 1930s, management at mississippi industries agreed to hire only those workers who were already members of the plumbers union. the company agreed to a type of arrangement known as a(n)
The company agreed to a type of arrangement known as a Union Shop agreement.
A union shop agreement is a labor agreement between a company and a union, where the company agrees to hire only workers who are already members of the union. This type of arrangement is designed to promote union membership and ensure that a certain percentage of the workforce is unionized.
The company is usually required to deduct union dues from the paychecks of its employees, who are then members of the union. The agreement may also establish certain working conditions, such as wages and benefits, that must be provided to the unionized workers.
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at an activity level of 4,300 units in a month, what would be the total cost to the nearest whole dollar?
The total cost to the nearest dollar value would be $926,650 at an activity level of 4,300 units in a month.
Total cost (TC) in business is the least costly method for generating a certain quantity of goods. This corresponds to the complete economic cost of production and consists of set price, which is separate of the quantity of a good produced and create a comprehensive like buildings and machinery, possibly including sunk costs, and overheads, which varies depending on the size of a good increases and includes inputs like materials and labour. In finance, the total cost from each item of product includes the entire actual cost (profits from the next-best alternative) as a part of its fixed or variable costs.
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donor gave donee property under circumstances that required no payment of gift tax. what gain or less to donee on the subsequent sale of the property if
I If the property is sold for $35,000, the gain is calculated as the difference between the sale price and the basis, which is 35,000 minus 20,000. (ii) If the property is sold for $15,000, there will be a loss.
On their income statements, most industries list such items as revenues, gains, expenses, and losses. Although few of the concepts may be identical and similar, gains, losses, revenues, and expenses all might've different practical applications. The opposite financial outcomes that can be generated by a company's non-primary operations and production processes are gains and losses. It is deemed a gain whenever a business generates revenue or gains more value from other sources, such as through legal actions, investments in financial products, or the sale of assets.
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if an investor wants to build a bond portfolio that maintains a stable value, she should purchase bonds with:
An investor should buy bonds with short-term debt if she wants to create a bond portfolio that keeps its value stable. Because of this, short-term debt is the best option for investors who desire stability in their bond portfolios.
Build your bond portfolio with a variety of bond kinds and maturities (one-, five-, 10-, and 30-years) (Treasury, municipal, corporate, high yield). Try to diversify the industries you're exposed to inside your corporate bonds (financial, health care, manufacturing, retail, etc.).
The foundation of bond portfolio management methods is the management of fixed income investments with the goal of achieving a specific goal, typically maximizing return on investment while lowering risk and controlling interest rates. Either professional investment managers or individual investors can manage a portfolio.
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the project management core area including develop project management plan, direct and manage project work, and perform integrated change control is called:
The five processes in project integration management are as follows: Creating the project charter. Create a project management strategy. Project management and coordination. Implement integrated change campaigns.
Which five phases make up project integration management?Project management comprises five phases: concept and start-up, planning and scheduling, project execution, performance/monitoring, and project completion. The Project Management Institute developed these (PMI).
What actions are taken during project integration management processes?Establish the project charter. Decide on the project management approach. leadership and project management. management of project knowledge. Track and oversee project activity.
What approach falls under project integration management?The six steps that make it up Project Integration Management are Initiation, Planning, Execution, Monitoring And evaluation, and Control and Closing of a Project.
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