Résumé mining allows HR staff to use software to extract the most promising résumés from a large database.TrueFalse

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Answer 1
True the tool allows hiring managers at agencies participating in the pilot to search for keywords in resumes users have agreed to make searchable.

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working capital and the current ratio ccounting quality is enhanced when different companies in the same industry follow the same accounting principles?are measures of

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Working capital and the current ratio are both important measures in assessing a company's financial health, specifically its short-term liquidity. Working capital is the difference between a company's current assets and current liabilities


The current ratio, on the other hand, is calculated by dividing a company's current assets by its current liabilities. This ratio demonstrates the firm's capability to pay off its short-term debts with its short-term assets. A higher current ratio typically indicates a better financial position, with a ratio of 1 or higher being ideal, as it signifies that the company can cover its liabilities without difficulty.


Accounting quality is enhanced when different companies in the same industry follow the same accounting principles. Consistency in accounting practices allows for more accurate comparisons between companies, making it easier for investors, creditors, and other stakeholders to evaluate their financial performance and stability.

This uniformity promotes transparency and reliability in financial reporting, which is crucial for making well-informed decisions. In summary, working capital and the current ratio are essential measures of a company's short-term financial health, and the adoption of consistent accounting principles across an industry significantly improves accounting quality and comparability.

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If the cross elasticity of demand for DVD players and DVDs equals -2, then the products are

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If the cross elasticity of demand for DVD players and DVDs equals -2, then the products are considered to be complements.

What is meant by being complements?

This means that when the price of one product (DVD player) increases, the demand for the other product (DVDs) decreases. Similarly, when the price of one product decreases, the demand for the other product increases. This is because the two products are used together and have a complementary relationship.

Therefore, if the cross elasticity of demand for DVD players and DVDs equals -2, it suggests that a 1% increase in the price of DVD players would lead to a 2% decrease in the quantity demanded of DVDs, and vice versa. This indicates that the demand for DVDs is dependent on the demand for DVD players, and vice versa. In other words, the two products are used together to satisfy the same need, and a change in the price of one product will affect the demand for the other product in the opposite direction. Hence, we can conclude that DVD players and DVDs are complementary goods.

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How do I upgrade clients on wholesale billing agreements?

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Upgrading clients on wholesale billing agreements can be done in a few simple steps. Firstly, you need to determine which clients are eligible for upgrades based on their current agreement and usage. Then, you can contact them to discuss their upgrade options and the associated costs.

It is important to communicate clearly with the clients about the benefits of upgrading and any changes to their billing or service terms. Once they have agreed to the upgrade, you can make the necessary changes to their account and billing details.  It is also important to keep track of any upgrades and their associated costs to ensure that your wholesale billing agreement remains profitable. You may need to adjust your pricing or terms in the future if upgrades become too costly or if you are not seeing a return on investment.
Overall, upgrading clients on wholesale billing agreements requires effective communication, careful tracking of costs and usage, and a willingness to adjust your strategy as needed. With the right approach, you can successfully upgrade clients and grow your business.

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a payment received for a subscription service at the beginning of the period will most likely be recorded as:

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A payment received for a subscription service at the beginning of the period will most likely be recorded as deferred revenue.

Deferred revenue, also known as unearned revenue, represents a company's obligation to provide goods or services to its customers in the future.

When a customer pays for a subscription service upfront, the company has not yet fulfilled its obligation to provide the service over the agreed-upon period. As the company delivers the service throughout the subscription period, it gradually recognizes the deferred revenue as earned revenue on its income statement.

This method ensures that the company's financial statements accurately reflect its financial position, following the revenue recognition principle under the accrual basis of accounting. The revenue recognition principle dictates that revenue should only be recognized when it is earned, not when the payment is received.

In summary, deferred revenue is recorded for a subscription service paid at the beginning of the period because the company still has the obligation to provide the service over time. As the service is delivered, the deferred revenue is recognized as earned revenue, ensuring accurate financial reporting.

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Analysis on the currentsituation and Countermeasures ofictproducts import in Zimbabwe

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The current situation of ICT products import in Zimbabwe is facing various challenges such as high import tariffs, limited foreign currency reserves, and inconsistent government policies.

These challenges have resulted in limited access to the latest technologies, higher prices for ICT products, and reduced investment in the ICT sector. To address these challenges, countermeasures should be implemented.

These include:1. Reducing import tariffs: Zimbabwean government should reduce import tariffs on ICT products to promote the use of the latest technologies and enhance the competitiveness of local businesses. 2. Encouraging local production: The government should encourage the production of ICT products locally by providing incentives for local manufacturers and investing in technology hubs.

3. Improving access to foreign currency: The government should prioritize foreign currency allocation to ICT imports to ensure timely access to the latest technologies. 4. Developing consistent government policies: The government should develop consistent policies and regulations to provide a stable environment for investors in the ICT sector.,By implementing these countermeasures, Zimbabwe can improve access to the latest ICT products, reduce the cost of technology, promote local production, and stimulate investment in the ICT sector.

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Modern economic growth theory asserts that "depending up on how much human capital they have, and how much of it they devote to the R and D sector, developing countries can get stuck at different but inferior state of self-sustaining growth (multiple equilibrium)" a.True b. False

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The statement is true. Modern economic growth theory emphasizes the role of human capital in promoting economic growth.

Developing countries with more human capital and a greater allocation of it towards research and development can achieve sustained growth. However, countries with limited human capital and lower investment in R&D may find themselves stuck in an inferior state of growth, characterized by multiple equilibria.

This implies that the path to sustainable growth is not universal and depends on a country's specific circumstances, including their investments in human capital and innovation. Therefore, policymakers in developing countries need to focus on promoting human capital development and increasing investments in R&D to achieve sustainable growth.

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The Kiyotaki-Wright model has multiple equilibria. Are we able to determine which equilibrium that individuals would prefer? If so, describe which equilibrium is the best and which equilibrium is the worst from a welfare perspective And explain your reason- ing. If we are not able to determine which equilibrium is the best, explain why.

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We cannot determine which equilibrium individuals would prefer, but we can analyze the welfare implications of each equilibrium. The equilibrium with high borrowing and lending is preferable for welfare reasons because it leads to higher economic growth and living standards.

The Kiyotaki-Wright model is a macroeconomic model that explores the dynamics of credit markets. This model has multiple equilibria, which means that there are several outcomes that could arise depending on initial conditions and individual actions.

Unfortunately, we cannot determine which equilibrium individuals would prefer because preferences and behaviors vary among individuals. However, from a welfare perspective, some equilibria may be better or worse than others.

One of the equilibria in the Kiyotaki-Wright model is characterized by low borrowing and lending, which leads to a limited amount of investment and slow economic growth. This is the worst equilibrium from a welfare perspective because it leads to low economic activity and lower living standards.

On the other hand, another equilibrium in the Kiyotaki-Wright model is characterized by high borrowing and lending, which leads to a high level of investment and fast economic growth. This is the best equilibrium from a welfare perspective because it leads to high economic activity and higher living standards.

Therefore, we cannot determine which equilibrium individuals would prefer, but we can analyze the welfare implications of each equilibrium. The equilibrium with high borrowing and lending is preferable for welfare reasons because it leads to higher economic growth and living standards.

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T/F? A bond typically pays interest payments every six months equal to the coupon rate times the face value of the bond.

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The given statement “A bond typically pays interest payments every six months equal to the coupon rate times the face value of the bond” is true, because a bond typically pays interest payments, known as coupon payments, every six months.

The coupon payments are calculated based on the coupon rate, which is a fixed percentage of the face value (or par value) of the bond. The coupon rate is determined at the time of issuance of the bond and remains constant throughout the life of the bond.

The interest payments are made to bondholders as compensation for lending money to the issuer of the bond.

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T or F: Information Technology equals business, success and innovation.

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The given statement " Information Technology equals business, success and innovation." is False. While Information Technology plays a significant role in business, success, and innovation, it does not equal these terms. IT refers to use of computers, networking, software, and technology.



Business involves the activities of production, trade, and sales of goods and services. Success is the achievement of goals or the accomplishment of desired results. Innovation refers to the introduction of new ideas, methods, or products to improve existing systems or solve problems.


IT certainly contributes to business growth, success, and innovation by streamlining operations, improving communication, and enabling data-driven decision making. It can also foster innovation by providing tools for research, collaboration, and the development of new products and services.


However, businesses must also consider other elements, such as effective management, financial stability, marketing strategies, and customer satisfaction, to achieve success. Innovation relies on creative thinking, risk-taking, and adaptability, which may not always involve IT.

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Prepare a presentation on your firms plans to enter the target foreign market. Be sure to identify the advantages as well as the challenges. The following should be included in your submission:

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When preparing to enter a foreign market, there are several advantages and challenges that need to be considered. Advantages may include access to new customers and markets, one of the biggest challenges is understanding the cultural differences that exist in the target market. the potential for increased profits, and the opportunity to diversify the firm's portfolio.

However, there are also several challenges that need to be addressed. One of the biggest challenges is understanding the cultural differences that exist in the target market. This may require significant investment in research and development to ensure that the firm's products and services are aligned with the needs and preferences of the local population. Additionally, the legal and regulatory environment in the target market may be very different from that in the firm's home country, which can create significant barriers to entry. Another challenge is establishing a strong distribution network in the target market. This may require significant investment in infrastructure and logistics to ensure that the firm's products and services can be delivered effectively and efficiently. Despite these challenges, there are several strategies that firms can employ to successfully enter foreign markets. These include developing strong partnerships with local firms, leveraging existing networks and relationships, and investing in targeted marketing and advertising campaigns. Overall, entering a foreign market can be a challenging but potentially lucrative opportunity for firms. By carefully considering the advantages and challenges, and developing a comprehensive strategy, firms can successfully enter and thrive in new markets.

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howcan Singapore Airlines control its prices, provide the bestservices and expand all over the world such as Emirates?

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Singapore Airlines can control its prices, provide the best services, and expand globally like Emirates by implementing strategic measures such as effective cost management, operational efficiency, customer-focused approach, and strategic partnerships.

Firstly, effective cost management is crucial for controlling prices. By optimizing fuel consumption, adopting innovative technologies, and streamlining internal processes, Singapore Airlines can reduce operating costs and offer competitive prices to customers.

Secondly, operational efficiency is vital for providing top-notch services. Singapore Airlines should invest in employee training, maintain high safety standards, and constantly upgrade its fleet with modern, fuel-efficient aircraft. This will ensure smooth operations and enable the airline to maintain a strong reputation for service excellence.

Thirdly, a customer-focused approach will help Singapore Airlines stand out from competitors. By understanding customers' needs and preferences, the airline can offer personalized services, exclusive loyalty programs, and enhanced in-flight experiences, leading to higher customer satisfaction and repeat business.

Lastly, strategic partnerships can facilitate global expansion. By collaborating with other airlines, tourism boards, and industry stakeholders, Singapore Airlines can gain access to new markets, expand its route network, and benefit from shared resources and expertise. This will help the airline establish a strong global presence similar to Emirates.

By combining these strategies, Singapore Airlines can effectively control prices, deliver exceptional services, and expand its operations around the world, positioning itself as a leading global airline.

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How do you calculate Direct Labor Efficiency Variance?

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The formula to calculate the direct variance of work efficiency is as follows: Variance of DL efficiency = (AH - SH) x SR

AH = real time, SH = standard time, and SR = standard rate.

The two components of the total direct labour variance in variance analysis are rate variance and efficiency variance. The gap between the standard and actual times utilised to create finished goods is referred to as the direct labour efficiency variance.

When the actual number of hours used is fewer than the anticipated or standard number of hours, there is an advantageous direct labour efficiency variance. This indicates that the business used its labour effectively. In some instances, this might be as a result of hiring more skilled workers, which causes a negative direct labour rate.

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Discuss the new Stimulus Bill passed in March 2020 Discuss the new Stimulus Bill passed in March 2020. Would Classical and Neoclassical economist agree with it? Would Keynesian Economist agree with it?

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While classical and neoclassical economists may have reservations about the CARES Act, Keynesian economists would likely support it as a necessary measure to provide relief and stabilize the economy during the COVID-19 pandemic.

The new Stimulus Bill passed in March 2020, also known as the CARES Act, aimed to provide financial relief to individuals, small businesses, and industries affected by the COVID-19 pandemic. It included measures such as direct payments to individuals, expanded unemployment benefits, forgivable loans for small businesses, and funding for healthcare and education.

Classical and neoclassical economists may have differing views on the effectiveness of the CARES Act. Classical economists believe in the free market and limited government intervention. They may argue that the CARES Act distorts market incentives by providing financial assistance, which could lead to inefficiencies and misallocation of resources. Neoclassical economists, on the other hand, may view the CARES Act as a necessary measure to stabilize the economy in the short term. They may also argue that the benefits of the CARES Act outweigh its costs.

Keynesian economists are more likely to support the CARES Act. Keynesian economics advocates for government intervention during times of economic downturns. The CARES Act provides much-needed stimulus to the economy by increasing aggregate demand through direct payments to individuals and funding for industries and small businesses. Keynesian economists would argue that the CARES Act is necessary to prevent a prolonged recession and promote economic growth.

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which of the following characteristics is not true of a gantt chart? a.) a gantt chart represents how the project manager can fast track the project's completion. b.) a gantt chart displays the work in a logical flow. c.) a gantt chart displays the relationships between the work and the project work units. d.) a gantt chart can be used to create the overall project schedule

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A Gantt chart does not specifically represent how the project manager can fast-track the project's completion (option a). It is a visual representation of tasks, their duration, and dependencies, which helps in creating the overall project schedule (option d), displaying work in a logical flow (option b), and showing the relationships between the work and project work units (option c).

The characteristic that is not true of a Gantt chart is a.) a Gantt chart represents how the project manager can fast track the project's completion. While a Gantt chart can help project managers track progress and manage resources to complete the project on time, it does not necessarily represent how the project manager can fast-track the project's completion. The other characteristics mentioned in the question are true of a Gantt chart - it displays the work in a logical flow, displays the relationships between the work and the project work units, and can be used to create the overall project schedule.

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Final answer:

A Gantt chart represents the project schedule and the relationships between tasks, but it does not specifically show how the project manager can fast track the project's completion.

Explanation:

The correct option is a.) a gantt chart represents how the project manager can fast track the project's completion. A Gantt chart is a visual representation of a project schedule, where the individual tasks or activities are displayed along a horizontal timeline. It does not specifically show how the project manager can fast track the project's completion, but rather provides a visual overview of the project tasks, their relationships, and the overall project schedule.

The other options are true of a Gantt chart. For example, b.) a Gantt chart displays the work in a logical flow, as it shows the sequence or order of the tasks or activities. c.) a Gantt chart displays the relationships between the work and the project work units is also true, as it allows the project manager to identify dependencies and relationships between tasks. Additionally, d.) a Gantt chart can be used to create the overall project schedule is accurate, as it provides a visual representation of the project timeline.

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A married couple filing a joint return can take a 20 percent QBI deduction for a service business if their 2019 taxable income is not more than $___________

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For the tax year 2019, a married couple filing a joint return can take a 20 percent QBI deduction for a service business if their taxable income is not more than $321,400.

The threshold for the 20 percent QBI (Qualified Business Income) deduction for service businesses for married couples filing a joint tax return is $321,400 for the tax year 2019. This means that if their taxable income is below this threshold, they can take a 20 percent deduction on their qualified business income. However, if their taxable income is above this threshold, the QBI deduction is subject to limitations based on the type of business, wages paid, and/or capital invested in the business.

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Heather's indifference curve for frozen cappuccinos and donuts illustrates that the only way she can remain equally satisfied when you take away a frozen cappuccino is to give her some quantity of donuts instead. This implies that the indifference curve is

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Question

Heather's indifference curve for frozen cappuccinos and donuts illustrates that the only way she can remain equally satisfied when you take away a frozen cappuccino is to give her some quantity of donuts instead. This implies that the indifference curve is

The indifference curve must be a straight line with a constant slope, which implies that the MRS of frozen cappuccinos for donuts is constant. This is known as a linear indifference curve. The correct answer is a linear indifference curve.

Heather's indifference curve for frozen cappuccinos and donuts illustrates that the two goods are substitutes for each other, meaning that she is willing to give up some quantity of one good in exchange for some quantity of the other while remaining equally satisfied. If Heather's indifference curve illustrates that the only way she can remain equally satisfied when you take away a frozen cappuccino is to give her some quantity of donuts instead, this implies that the marginal rate of substitution (MRS) of frozen cappuccinos for donuts is constant along the indifference curve. In other words, the amount of donuts that Heather is willing to give up for one additional frozen cappuccino remains the same along the entire indifference curve.

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assuming the simple taylor rule for dictating the federal funds rate, when the actual federal funds rate deviates from the suggested rate, it can be explained by: group of answer choices poorly informed fiscal policy. bad monetary policy. discretionary fiscal policy. a richer version of the taylor rule. poorly informed monetary policy.

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Poorly informed monetary policy is the correct option to explain deviations from the suggested federal funds rate in the simple Taylor rule. Here option D is the correct answer.

The Taylor rule is a widely used guideline for monetary policy that suggests a central bank should adjust its policy interest rate in response to deviations of inflation from its target and output from its potential level. However, the actual federal funds rate may deviate from the suggested rate due to various reasons.

One possible reason for the deviation could be poorly informed monetary policy. If the central bank lacks accurate information on the state of the economy, it may set the interest rate at a suboptimal level. For example, if the central bank overestimates the output gap, it may set the interest rate too high, leading to a contractionary policy that slows down economic growth.

Another possible reason for the deviation could be discretionary fiscal policy. The Taylor rule assumes that fiscal policy is constant, but if the government changes its fiscal stance in response to economic conditions, it can affect the appropriate level of the interest rate. For instance, if the government implements an expansionary fiscal policy, it may lead to an overheating economy and inflation, requiring a higher interest rate than suggested by the Taylor rule.

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Complete question:

Assuming the simple taylor rule for dictating the federal funds rate, when the actual federal funds rate deviates from the suggested rate, it can be explained by: group of answer choices

A - poorly informed fiscal policy.

B - bad monetary policy. discretionary fiscal policy.

C - a richer version of the taylor rule.

D - poorly informed monetary policy.

the balance sheet reports the question content area bottom part 1 a. financial position on a specific date. b. results of operations on a specific date. c. financial position for a specific period. d. results of operations for a specific period.

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The balance sheet is an essential financial statement that reports the (a) financial position of a company on a specific date. This statement provides a snapshot of a company's assets, liabilities, and equity at a particular point in time. It helps stakeholders to understand the financial health and strength of a business.

The balance sheet is divided into two parts: assets and liabilities and equity. The assets section lists all the resources owned by the company, such as cash, investments, property, plant, and equipment, and inventory. The liabilities and equity section lists all the claims against the assets, such as loans, accounts payable, and shareholder's equity.

The primary purpose of the balance sheet is to report the financial position of a company on a specific date. It does not show the results of operations for a specific period. The results of operations are reported on the income statement, which shows a company's revenue, expenses, and net income or loss for a particular period.

The balance sheet reports the financial position of a company on a specific date, providing stakeholders with valuable information about its assets, liabilities, and equity. It is an essential tool for understanding a company's financial health and strength. It is different from the income statement, which reports the results of operations for a specific period, such as revenue, expenses, and net income or loss.

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in new jersey who is entitled to a rebate of a portion of the commission? a) only the seller b) only the buyer can) the referring license d) either the seller or the buyer

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The referring license, which is a real estate agent who refers a client to another agent for a transaction, is not entitled to a portion of the commission rebate. Option (d) is the correct answer.

In New Jersey, both the seller and the buyer are entitled to a rebate of a portion of the commission. This means that either party can receive a portion of the commission back as a rebate, depending on the agreement between the parties and their real estate agent.

The amount of the rebate and the terms of the rebate agreement should be negotiated between the parties and their agents prior to the completion of the transaction.

It is important to note that the amount of the commission rebate cannot be used to reduce the down payment or closing costs, but can only be applied towards the purchase price of the property. Option (d) is the correct answer.

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paul's premium pillows has the following events occur during the current year. a. paul paid his employees $90,000 cash for work done in the current year. he also owes an additional $10,000 for work done this year, which he plans to pay at the beginning of next year. this is his first time making a journal entry related to wages this year. b. paul purchases premium pillow inventory for $300,000. he paid for 80% of the amount using cash; the remaining 20% will be paid on account. c. paul purchases a tv advertisement during the current year, costing $20,000 cash. the advertisement is planned to run on the first husky game of next year. d. paul sold some pillow inventory for $375,000 cash during the current year. $260,000 of this inventory was fully shipped to the customer. the remaining amount represents orders placed by customers that will not ship out until next year. the cost of the shipped pillows was $150,000.

Answers

1.If Paul used accrual basis accounting, the total revenue for the current year would be $375,000, which is the amount received from the sale of pillow inventory.

2.If Paul used accrual basis accounting, the total expenses for the current year would be $240,000, which is the sum of the cost of goods sold ($150,000) and the advertising expense ($20,000), plus the amount owed for wages ($10,000) that has not yet been paid.

3.If Paul used cash basis accounting, the total revenue for the current year would be $375,000, which is the amount received from the sale of pillow inventory.

4.If Paul used cash basis accounting, the total expenses for the current year would be $110,000, which is the sum of the amount paid for wages ($90,000) and the advertising expense ($20,000). The amount owed for the inventory purchased on account and the orders placed by customers that will not ship out until next year are not recorded as expenses until they are paid.

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Complete Question : Paul's premium pillows has the following events occur during the current year. a. paul paid his employees $90,000 cash for work done in the current year. he also owes an additional $10,000 for work done this year, which he plans to pay at the beginning of next year. this is his first time making a journal entry related to wages this year. b. paul purchases premium pillow inventory for $300,000. he paid for 80% of the amount using cash; the remaining 20% will be paid on account. c. paul purchases a tv advertisement during the current year, costing $20,000 cash. the advertisement is planned to run on the first husky game of next year. d. paul sold some pillow inventory for $375,000 cash during the current year. $260,000 of this inventory was fully shipped to the customer. the remaining amount represents orders placed by customers that will not ship out until next year. the cost of the shipped pillows was $150,000.

1. if Paul used accural basis , total revenue would be ?

2. If Paul used accural basis , total expenses would be?

3.  if Paul used cash basis , total revenue would be ?

4.  if Paul used cash basis , total expenses would be ?

an asset's book value is $21,600 on january 1, year 6. the asset is being depreciated $300 per month using the straight-line method. assuming the asset is sold on july 1, year 7 for $14,200, the company should record:

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In this scenario, the asset's book value on June 30, Year 7 is $16,200, and the proceeds from the sale on July 1, Year 7 are $14,200. Therefore, the company should record a loss on disposal of $2,000.

The loss on disposal of an asset is recognized in the income statement and reduces the company's net income for the period. It is important for companies to accurately record any losses on disposal as it reflects the true financial position of the company. Additionally, companies may use losses on disposal to reduce their tax liability, as they can be used as a tax deduction.

It's worth noting that the straight-line method is a common method of depreciation, where the same amount of depreciation is charged to the asset each year. The monthly depreciation in this case is $300, which is calculated by dividing the total depreciable cost of $21,600 by the useful life of 72 months. By the end of June 30, Year 7, the asset would have accumulated a total depreciation of $5,400. This is deducted from the original cost of $21,600 to arrive at the book value of $16,200.

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With the increase in production the difference between total cost and total fixed cost 5 6 a. Increases b. Both Increases or Decreases c. Remains Constant d. Decreases

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d. Decreases.With the increase in production the difference between total cost and total fixed cost Decreases.

As production increases, the total variable cost increases but the total fixed cost remains constant. Therefore, the difference between total cost (which is the sum of total fixed cost and total variable cost) and total fixed cost decreases. This is because the total fixed cost is spread out over a larger number of units, resulting in a lower per-unit fixed cost. Therefore, the total cost per unit decreases, causing the difference between total cost and total fixed cost to decreaseTotal fixed cost is a type of cost that remains constant regardless of the level of production or sales volume. It is incurred by a business to maintain its basic operations and infrastructure, such as rent, insurance, and salaries of permanent staff. Total fixed cost is important for calculating a business's breakeven point and profit margins.

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if the price of a sofa is $800 in the u.s. and 2400 pesos in argentina, and the exchange rate is 4 pesos per dollar, what is the real exchange rate? question 12 options: 3 4/3 3/4 none of the above is correct.

Answers

None of the above is correct. The real exchange rate would be 2400 pesos per 800 US dollars, which is 3 pesos per dollar.

What is exchange ?

Exchange is an act of trading goods or services for other goods or services of equal or greater value. It is a fundamental part of the economy in which goods, services, and resources are bought and sold for money or other forms of payment. Exchange is a key part of the market economy and the process of buying and selling helps to ensure the efficient allocation of resources. Exchange is also an important part of international trade, which allows countries to diversify their economic activities and increase their overall economic growth. Exchange also enables businesses to purchase inputs at the lowest cost and sell outputs at the highest price, thus providing a source of profit.

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If revenues from selling quantities x and y of jointly produced goods X and Y were TRX = 300− xy + 50x and TRY = 1,000 − xy + 2y, and 10 units of y were produced, then marginal revenuewith respect to X would be: $30

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In order to find the marginal revenue with respect to X, we need to first find the total revenue function, TRX, which is given as 300 - xy + 50x. We know that 10 units of Y were produced, so we can substitute y=10 into TRX to get:

TRX = 300 - x(10) + 50x
TRX = 300 - 10x + 50x
TRX = 300 + 40x

Now we can find the marginal revenue with respect to X by taking the derivative of TRX with respect to x:

MRX = d(TRX)/dx
MRX = d(300 + 40x)/dx
MRX = 40

This calculation shows us how much additional revenue is generated by selling one additional unit of X, holding all other factors constant. The marginal revenue is an important concept in microeconomics, as it helps firms determine the optimal level of production and pricing for their products. When the marginal revenue is positive, it indicates that the firm should continue to produce more units of the product, while a negative marginal revenue indicates that the firm should reduce production. In this case, the positive marginal revenue of $40 suggests that the firm should increase the production and sales of X.

Therefore, the marginal revenue with respect to X is $40. This means that for each additional unit of X produced, the revenue will increase by $40. It's important to note that this calculation assumes that the price of Y remains constant and that X and Y are produced together in fixed proportions. If the production of X and Y were not jointly produced or if their production ratios varied, the marginal revenue calculation may be different.

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The decision to invest in capital is taken on the basis of a comparison between the current cost of investment and the future benefit from it. O True O False

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True. The decision to invest in capital is indeed based on a comparison between the current cost of investment and the future benefit from it.

This is because an investment is essentially a cost incurred now in order to generate future returns or benefits. The decision to invest is therefore based on an assessment of whether the expected future benefits will be worth the current cost of the investment. The total sum of funds or resources needed to construct or create an investment is referred to as the cost of the investment. An investment's cost could include charges like the acquisition price, transaction fees, taxes, legal fees, and any other expenses related to forming or purchasing the investment.

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8c.8 an audit team most likely would assess control risk at the maximum if the payroll department supervisor is responsible for a. examining authorization forms for new employees. b. comparing payroll registers with original batch transmittal data. c. authorizing payroll rate changes for all employees. d. hiring all subordinate payroll department employees

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The audit team would most likely assess control risk at the maximum if the payroll department supervisor is responsible for c) authorizing payroll rate changes for all employees.

Payroll rate changes are an important aspect of payroll processing, and they can have a significant impact on the financial statements of an organization. If the payroll department supervisor has the authority to authorize rate changes for all employees, there is a risk that they could make unauthorized changes or manipulate the system for personal gain.Authorizing payroll rate changes should be done by individuals with appropriate knowledge and expertise, and there should be adequate segregation of duties to prevent fraud and errors. When one person has complete control over the authorization of rate changes, there is a higher risk of errors and irregularities going undetected.As a result, the audit team would assess control risk at the maximum in this situation, which would require more extensive auditing procedures to be performed to obtain sufficient evidence to support the accuracy and completeness of payroll transactions.

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the three major elements of the product decision are: group of answer choices legislative, judicial, and executive. strategy, tactics, and operations. cost, differentiation, and speed of response. goods, services, and hybrids. selection, definition, and design.

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The three major elements of the product decision are goods, services, and hybrids. The correct option is d.

The product decision involves the selection, definition, and design of goods, services, or a combination of both to meet the needs of the target market. This includes decisions related to the product's features, quality, branding, packaging, and support services.

In addition to the goods and services decision, the product decision may also involve the creation of hybrid products that combine elements of both goods and services. This can include products that are customized to the needs of individual customers or that include ongoing support services to enhance the customer experience.

Thus, the ideal selection is option d.

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the argument that social security increases savings by encouraging early retirement is the: group of answer choices wealth effect. replacement effect. early retirement effect. savings effect.

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The argument that social security increases savings by encouraging early retirement is the early retirement effect.

This is because individuals who retire early due to social security benefits may be more likely to save for retirement as they have more time to plan and save, and may also have a reduced need to spend their savings during retirement due to the additional income from social security.

This effect is separate from the wealth effect (where individuals feel wealthier and thus may spend more) and the replacement effect (where individuals reduce their own savings in anticipation of future social security benefits).

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a company must decide between scrapping or reworking units that do not pass inspection. the company has 44,000 defective units that have already cost $270,000 to manufacture. the units can be sold as scrap for $159,600 or reworked for $202,500 and then sold for $382,400. if the company decides to rework the units, incremental income equals:

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The company would be better off selling the defective units as scrap for $159,600 rather than investing in reworking them.

The company must carefully consider the costs and benefits associated with scrapping or reworking the 44,000 defective units. Scrapping the units would result in a revenue of $159,600, but would also mean losing the opportunity to potentially earn more by reworking the units. Reworking the units would cost an additional $202,500, but would result in a higher selling price of $382,400, resulting in a net income of $179,900.
To calculate the incremental income, we need to subtract the costs of reworking from the additional revenue generated from selling the reworked units. This would be calculated as follows:
Incremental income = Additional revenue - Costs of reworking
Incremental income = $382,400 - ($270,000 + $202,500)
Incremental income = $382,400 - $472,500
Incremental income = -$90,100
Based on this calculation, it appears that reworking the units would result in a loss of $90,100. Therefore, the company would be better off selling the defective units as scrap for $159,600 rather than investing in reworking them.

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you are attempting to value a call option with an exercise price of $108 and one year to expiration. the underlying stock pays no dividends, its current price is $108, and you believe it has a 50% chance of increasing to $129 and a 50% chance of decreasing to $87. the risk-free rate of interest is 10%. calculate the call option's value using the two-state stock price model. (do not round intermediate calculations. round your final answer to 2 decimal places.)

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If the risk-free rate of interest is 10%, the value of the call option using the two-state stock price model is $0.

To value the call option using the two-state stock price model, we need to first calculate the expected value of the stock price at expiration. We can do this by taking a weighted average of the possible outcomes, where each outcome is weighted by its respective probability:

Expected stock price = (0.5 x $129) + (0.5 x $87) = $108

Next, we can calculate the option value at expiration by taking the difference between the stock price and the exercise price, and using the maximum of 0 and that difference:

Option value at expiration = Max($108 - $108, 0) = $0

To calculate the option value today, we need to discount the option value at expiration back to the present using the risk-free rate of interest. The present value of the option is the probability-weighted average of the option value in each possible outcome:

Option value today = (0.5 x $0 / (1 + 0.10)) + (0.5 x ($108 - $108 / (1 + 0.10))) = $0

The option is not worth exercising because its value is lower than the exercise price.

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