brief answer prefferebly :)
5. What are the differences between mechanistic model and organic model?
6. What factors influence why a company uses mechanistic model or organic model?

Answers

Answer 1

The mechanistic model is best suited for organizations with formal and centralized culture while the organic model is best suited for organizations with informal and decentralized culture.

5. Mechanistic model refers to a traditional and formal organization structure that operates through the rigidity of hierarchical levels of authority and specialization of tasks while the organic model is an informal and flexible organization structure that is based on a decentralized approach that encourages individual’s initiative and creativity. Mechanistic model is bureaucratic while organic model is decentralized. The mechanistic model is characterized by rules, regulations, procedures, and processes while the organic model is characterized by open communication, flexibility, and empowerment.

6. The factors that influence why a company uses mechanistic model or organic model are the size of the organization, the nature of the work, the complexity of the task, the culture of the organization, and the level of the environment uncertainty. Mechanistic model is best suited for large organizations that have standardized and routine tasks that require high levels of control while the organic model is best suited for small organizations that have non-routine tasks that require high levels of flexibility and adaptability. The mechanistic model is best suited for stable and certain environments while the organic model is best suited for dynamic and uncertain environments. The mechanistic model is best suited for organizations with formal and centralized culture while the organic model is best suited for organizations with informal and decentralized culture.

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Related Questions


"Assume an investor with the coefficient of risk aversion A=6.
To maximize her expected utility, she would choose the asset with
an expected rate of return of _______ and a standard deviation of
_____

Answers

The expected rate of return and standard deviation that an investor with the coefficient of risk aversion A=6 would choose to maximize their expected utility can be calculated using the formula of expected utility. Expected utility is calculated as the sum of the product of the probability of an outcome and the utility of that outcome.

It is given as:

EU = Σpi

,where EU is the expected utility, pi is the probability of the ith outcome, and ui is the utility of the ith outcome. Here, the utility function is given as

u(R) = (1/6)R - R^2/5000

The expected utility of the two assets can be calculated as follows: Asset

Expected rate of return (R) = 10%,

Standard deviation (σ) = 5%.

Using the normal distribution, we can find the probability of R being between -∞ and ∞.

μ = expected rate of return = 10%,

σ = standard deviation = 5%.

z1 = (R - μ)/

σz2 = (-∞ - μ)

Using the z-table, we can find the probability of z1 being less than or equal to z1 and z2 being greater than or equal to z2.

The higher the value of A, the more risk-averse the investor is. To maximize their expected utility, an investor would choose an asset that provides them with the maximum expected utility. The expected utility of an asset is calculated as the sum of the product of the probability of an outcome and the utility of that outcome. The utility function is a measure of the investor's satisfaction. The higher the value of the utility function, the greater the investor's satisfaction. In this case, the utility function is given as

u(R) = (1/6)R - R^2/5000,

where R is the expected rate of return. Using this function, the expected utility of the two assets is calculated, and it is found that the investor would choose the asset with an expected rate of return of 12% and a standard deviation of 7% to maximize their expected utility.

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Suppose a company had two business lines. The first one is an amusement park, and the second one is a restaurant. The Company decided to shut down one of its business lines (the restaurant). Determine which standard deals with the mentioned problem above? Answer:

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The standard that deals with the mentioned problem above is International Financial Reporting Standard (IFRS) 5: Non-current Assets Held for Sale and Discontinued Operations.

International Financial Reporting Standard (IFRS) 5: Non-current Assets Held for Sale and Discontinued Operations deals with the reporting of non-current assets that are either to be sold or will be held for sale. It deals with the accounting and reporting of discontinued operations. It applies to entities that intend to dispose of or hold assets for sale.

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• how is a "learning relationship" different from many customer intelligence activities that companies have historically executed (e.g., marketing research, focus groups, etc.)? •

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A "learning relationship" differs from traditional customer intelligence activities, such as marketing research and focus groups, in several key ways.

Firstly, a learning relationship is an ongoing and interactive process, whereas traditional customer intelligence activities are often one-time or periodic events. Instead of obtaining information from customers through isolated interactions, a learning relationship involves continuous engagement and feedback loops to gain deeper insights into customer needs and preferences over time.Secondly, a learning relationship focuses on building a long-term connection and understanding with customers, rather than treating them as mere data points.

It involves active listening, empathy, and co-creation, where companies collaborate with customers to develop products and services that align with their evolving expectations.Lastly, a learning relationship goes beyond surface-level data collection. It involves capturing qualitative insights, emotions, and contextual factors that influence customer behavior, providing a more holistic understanding of customers' motivations and experiences.

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A firm that has recently experienced enormous growth is seeking to expand its capacity by leasing a small plant, and is considering three cities. In the table below are the factors that the company is

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In conclusion, the company needs to consider all these factors before making a decision on which city to choose. It is important to choose a location that satisfies all the factors.

A firm is looking for expanding its capacity by renting a small plant and is considering three cities. To choose among the three cities, the firm has to consider various factors. The factors are listed in the table. The company needs to choose a location that satisfies all the factors.

It is important to note that each of these factors is important in determining the success of a business. If the company is located in a place that has a high population density and a high per capita income, then there is a high probability that the business will be successful. This is because there is a higher demand for goods and services in such areas.

If the company is located in a place where there are few competitors, then it will be easier for the company to establish itself. This is because there is less competition and the company can capture a larger market share. If the company is located in a place where the labor costs are low, then it will be easier for the company to maintain its profitability.

The lower labor costs mean that the company can produce goods and services at a lower cost, which will increase its profits. Another factor to consider is the availability of raw materials. If the company is located in a place where the raw materials are easily available, then it will be easier for the company to produce goods and services. This is because the company can access the raw materials easily and at a lower cost.

Finally, the company needs to consider the availability of infrastructure. If the company is located in a place where there is good infrastructure, then it will be easier for the company to transport its goods and services to the market. This will increase the efficiency of the company and will also help it to establish itself.

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. _____ contracts involve payment to the supplier for direct and indirect actual costs and often include fees.
a. Firm-fixed-price b. Lump sum
c. Cost-reimbursable d. Fixed-price incentive fee

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Cost-reimbursable contracts involve payment to the supplier for direct and indirect actual costs and often include fees. Option C is the correct answer.

The cost-reimbursement contract is the contract between one party and another to reimburse the other side for appropriate investment spent. The underlying contract and the actual expenditures incurred to finish a project are used to calculate the transaction's ultimate pricing afterwards. Option C is the correct answer.

A cost-reimbursement contract obligates the buyer to pay for any completed work. These expenses might be direct or indirect. Once the project is complete or by a certain date in the contract, the final price is decided. The supplier often offers a cost estimates that aids in calculating the project's overall budget. Typically, the principal contractor is not allowed to go beyond this budget without consent.

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23 What is the range of guarantees on maturity and death benefits on segregated funds? A 50% to 100% of deposits B 50% to 75% of deposits 90% to 100% of deposits 75% to 100% of deposits D

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The range of guarantees on maturity and death benefits on segregated funds is typically between 75% and 100% of deposits.

The correct answer is option D.

The range of guarantees on maturity and death benefits on segregated funds can vary depending on the specific terms and conditions of the fund and the insurance company offering it.

Segregated funds are investment products that combine features of mutual funds with insurance protection. They are offered by insurance companies and provide investors with the opportunity for growth through a diversified portfolio of underlying assets while also offering certain guarantees to protect their investments.

The guarantee on maturity refers to the minimum amount that will be paid out when the fund reaches its maturity date. This guarantee is usually a percentage of the original deposits made into the fund. The range of guarantees on maturity benefits is typically between 75% and 100% of the deposits.

The guarantee on death benefits, on the other hand, refers to the minimum amount that will be paid out to the beneficiary in the event of the investor's death. Similar to the guarantee on maturity, the range of guarantees on death benefits for segregated funds is usually between 75% and 100% of the deposits.

It's important to note that these ranges can vary depending on the insurance company and the specific contract provisions. Investors should carefully review the terms and conditions of the segregated fund and consult with a financial advisor to understand the guarantees and features of the product they are considering.

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Year 2010 ending retained earnings were 2,000,000. Year 2011 forecasted sales are $100,000 with 25% net margin and 20% divident payout ratio. What are the forecasted retained earnings for year 2011? (show formula please)

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The forecasted retained earnings for year 2011 can be calculated using the following formula:

Given that the ending retained earnings for 2010 were $2,000,000, we can use this as the beginning retained earnings for 2011.

Net Income can be calculated as the product of the forecasted sales and the net margin. In this case, the net income would be:

Net Income = Forecasted Sales * Net Margin

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which of the following is not one of the so-called ""three d’s of economic cycle analysis?"" (a) dispersion; (b) drive (or momentum); (c) depth; (d) duration.

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The correct answer is option (a) dispersion is not one of the so-called ""three d’s of economic cycle analysis"".

Dispersion is not one of the so-called "three d’s of economic cycle analysis".Economic cycle analysis, as its name suggests, is the analysis of economic cycles. These economic cycles refer to the cyclical nature of the economy, which experiences booms and busts over time.

In order to understand these cycles, it is important to consider several factors, including duration, depth, and drive (or momentum).Dispersion, on the other hand, is not one of the so-called "three d’s of economic cycle analysis".

Dispersion refers to the degree of variation in a set of data. While dispersion can be an important factor to consider in certain types of analysis, it is not directly related to economic cycle analysis.

Therefore, the correct answer is option (a) dispersion.

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(Sovereign Default Model) Let it be a risk free rate on the T-Bills. Let Dt be the amount of debt. When the government issues the amount of debt Dt and defaults on it, the household consumption with any given ne (0, 1) in the next period is given by
Cₜ₊₁ = (1-n)Yₜ₊₁ (Default)
When the government does not default, the household consumption in the next period is given by
Cₜ₊₁=Yₜ₊₁1 Dt (No- Default)
Finally, the income shock in the next period Yt+1 is uniformly distributed from 0.5 to 1.5. That is, the probability density function for Yt+1 is given by
f(yₜ₊₁)=1 if 0.5 ≤ Ytₜ₊₁ ≤ 1.5 (3) (4)
f(yₜ₊₁) = 0, otherwise
a) An investor bought the bond issued by the government at the price of P. What is the return on this bond when the government defaults (i.e., compute id)?
b) Let i = 0 and n = 0.4, and the investors are risk-neutral. (i) Find a range of Dt such that the bond price for this debt is the same as that for the T-Bills. (ii) Find a range of Dt such that the bond price is zero. (Note that D ≥ 0). (iii) Find a range of D, such that no investors would buy this bond in the government bond auction market.
c) Let it = 0 and n = 0.4, Dt = 0.4, and the investors are risk-neutral. What is the probability of default on this debt, pa ? What is the sovereign spread on this debt when the government issues D = 0.4 amount of debt in the government bond auction market?

Answers

The sovereign default model helps in explaining how a government that has issued debt can end up defaulting on this debt.

In the model, let there be a risk-free rate on the T-Bills, and Dt be the amount of debt. When the government issues the debt amount Dt and defaults on it, the household consumption with any given ne (0,1) in the next period is given by

        f(yt+1) = 1 if 0.5 ≤ Yt+1 ≤ 1.5.  

In this model, let i = 0, and n = 0.4, Dt = 0.4, and the investors are risk-neutral. Sovereign spread on this debt when the government issues D = 0.4 amounts of debt in the government bond auction market.The probability of default on this debt, pa:The probability of default on this debt is given by the following formula;

        pa = (R – 1) / (1 + R)

where R is the interest rate paid on the debt. In this model, the risk-free rate on T-bills is given as i = 0, and the investors are risk-neutral, so the interest rate paid on the debt is simply the risk-free rate. Hence, R = i = 0. The probability of default on this debt, therefore, is given by:

        pa = (0 - 1) / (1 + 0)pa = -1

The sovereign spread on this debt when the government issues D = 0.4 amounts of debt in the government bond auction market.The sovereign spread is the difference between the interest rate paid on the debt by the government and the risk-free rate on T-bills. The risk-free rate is given as i = 0. In this model, the investors are risk-neutral, and the interest rate paid on the debt is the risk-free rate. The government issues D = 0.4 amounts of debt in the government bond auction market. The sovereign spread on this debt, therefore, is given by:

        s = R – i = 0 – 0 = 0

Hence, the sovereign spread on this debt is 0.

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The present value of cash flow will be calculated using the risk-free rate on T-Bills.

The yield to maturity will be derived from the equation that equates the present value of the bond's cash flows to its purchase price.

What is the return on the bond (id) when the government defaults?

To know return on the bond when the government defaults, we must determine yield to maturity (id). The yield to maturity represents discount rate that makes the present value of the bond's cash flows equal to its purchase price.

In this case, the cash flow from the bond when the government defaults is given by (1-n)Yt+1. By discounting this cash flow at the risk-free rate on T-Bills, we will find its present value. The yield to maturity can be derived by solving the equation that equates the present value of the bond's cash flows to its purchase price.

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through collaborative negotiations both side work together to maximize the outcome or create a win-win result

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Through collaborative negotiations both side work together to maximize the outcome or create a win-win result is True.

Collaborative negotiations involve both sides working together to maximize the outcome or create a win-win result. In this approach, the parties involved actively engage in open communication, sharing information, and exploring mutually beneficial solutions. The focus is on cooperation and finding common ground rather than on competition or one side trying to gain an advantage over the other.

Collaborative negotiations often involve brainstorming, problem-solving, and creative thinking to find solutions that address the interests and needs of all parties involved. This approach emphasizes building trust, maintaining positive relationships, and seeking mutually beneficial outcomes.

By working collaboratively, the parties can identify shared interests, explore options, and create agreements that go beyond simple compromises. This approach promotes long-term relationships, fosters cooperation, and enables both sides to feel satisfied with the outcome.

Collaborative negotiations provide a framework for parties to work together towards a win-win outcome. By focusing on shared interests and open communication, collaborative negotiations promote cooperation, trust, and the exploration of mutually beneficial solutions. This approach is particularly useful in complex or multi-party negotiations where building positive relationships and finding creative solutions are essential for long-term success.

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Which of the following is the primary function of a marketing message? A) Encouraging potential buyers to make immediate purchase decisions B) Asking potential buyers to buy a specific product or service O c) Identifying which combination of logical and emotional appeals is most productive Moving potential buyers through the purchasing process without making an immediate decision E) Assessing the needs of the audience to gauge interest in a product or service OD)

Answers

Option C, identifying which combination of logical and emotional appeals is most productive is the correct answer.

The primary function of a marketing message is to identify which combination of logical and emotional appeals is most productive. This answer can be found in option C.
As the name suggests, a marketing message is a message that marketers use to reach their potential customers or target audience. A marketing message is a communication message designed to promote or sell a product or service. The message is sent to the target audience to inform them about the product or service.The primary function of a marketing message is to identify which combination of logical and emotional appeals is most productive. It helps marketers in determining the message that has a greater impact on the target audience, leading to more sales.
A well-crafted marketing message should not only inform the audience about the product or service but should also persuade them to take action. This is why most marketing messages use emotional appeals to connect with their target audience and make them feel more connected to the brand or product.It is important to note that marketing messages should not always be focused on encouraging potential buyers to make immediate purchase decisions. Instead, the primary function of a marketing message is to identify the most effective way to reach and persuade potential buyers. Hence, option C, identifying which combination of logical and emotional appeals is most productive is the correct answer.

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Ali , Basel and Ziad are sharing income and loss in a 4.3.2 ratio
respectively and decided to liquidate their partnership . Prior to
the final distribution of cash to the partners , Ali has $ 24,000 ,
GRESAD perc Question? Al, Beuel and Zad are sharing income and loss in a 432 sto espectively and decided to $24,000, and Ziad has a capite balance of $36.000 Aso cash balance $50,000 AMI Which of the

Answers

Hence, the liquidation amount of Ali's capital after the final distribution of cash to the partners is $28,400 (=$22,222.22 + $6,177.78). Given that Ali, Basel and Ziad are sharing income and loss in a 4:3:2 ratio respectively, and they decided to liquidate their partnership.

The liquidation amount of Ali's capital after the final distribution of cash to the partners is $28,400. Here's the solution to your given problem: Prior to the final distribution of cash to the partners, Ali has $24,000, and Ziad has a capital balance of $36,000 and the cash balance is $50,000.Since the sharing ratio of the three partners is 4:3:2, let us calculate the total amount of capital of all the three partners.

That is, 4 + 3 + 2 = 9 units, which is equal to the total capital of the three partners.The ratio of Ali's share is 4/9, Basel's share is 3/9 and Ziad's share is 2/9.

This implies that the total share of Ali, Basel, and Ziad are (4/9) * (total capital), (3/9) * (total capital), and (2/9) * (total capital), respectively.

Ali's total share = (4/9) * (total capital) = $24000.

Dividing both sides by 4/9, we get,(total capital) = $54000

Similarly, Basel's total share = (3/9) * (total capital) = $40500

Ziad's total share = (2/9) * (total capital) = $27000

Now, the total capital of all the partners is $54,000. Also, the cash balance is $50,000.

His initial capital balance is $0. Therefore, his final capital balance is $34,666.67.

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Correct Question:

Ali , Basel and Ziad are sharing income and loss in a 4.3.2 ratio respectively and decided to liquidate their partnership . Prior to the final distribution of cash to the partners , Ali has $ 24,000 , and Ziad has a capital balance of $ 36,000 . Also , cash balance is $ 50,000 . All is NOT able to pay the amount he owes the partnership . What are the two journal entries are right to record this liquidation case ?

The analysis of cost and perfect competition and measuring a nation income and the goods of market and the measuring the cost of living and unemployment for ksa on year 2020 the answer should include grahp make economeic analysis for cost of living unemployment perfect competition nation income for year 2020

Answers

The unemployment rate rose from 5.7% in 2019 to 7.4% in 2020.

Cost Analysis: For the year 2020, the cost of living in KSA saw a decline, largely due to the decrease in global oil prices. The cost of living index in the Kingdom averaged 125.28 points from 1999 until 2020. In 2020, the average score was 117.34 points, reflecting a decrease in living expenses across the country. This was largely due to the country's VAT increase from 5% to 15%.Perfect Competition: Perfect competition in the KSA market remains unattained in most sectors due to heavy government regulations and barriers to entry. However, the introduction of the competition law in 2004 has paved the way for increased competition. Nevertheless, for the year 2020, there was no perfect competition in the country. Measuring a Nation's Income: In 2020, Saudi Arabia's nominal Gross Domestic Product (GDP) was valued at 1.75 trillion USD. This was largely due to the country's VAT increase from 5% to 15%. Unemployment: The year 2020 saw an increase in the unemployment rate in Saudi Arabia. This was largely due to the Covid-19 pandemic and the restrictions imposed by the government to curb its spread. The unemployment rate rose from 5.7% in 2019 to 7.4% in 2020.

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Which of the following statements is insufficient to create income tax nexus for a New York foriegn corporation?
a. A foreign corporation owns equipment in New York but all other activity is performed in New Jersey
b. A foreign corporation owns real property in Brooklyn, but does not sell or provide services to New York customers.
c. A foreign corporation maintains an office in Manhattan where sales orders are taken.
d. A foreign corporation has New York receipts of $500,000

Answers

The statement that is insufficient to create income tax nexus for a New York foreign corporation is: A foreign corporation has New York receipts of $500,000

To establish income tax nexus in New York, a foreign corporation typically needs to have a substantial connection or presence in the state. This can be determined by various factors, including but not limited to physical presence, economic activity, or revenue thresholds.

In options a, c, and d, there are elements that could potentially create income tax nexus for a foreign corporation in New York:

a. A foreign corporation owns equipment in New York but all other activity is performed in New Jersey.

While the majority of the corporation's activity occurs in New Jersey, the ownership of equipment in New York can create a physical presence and potentially establish nexus in New York, depending on the specific circumstances.

c. A foreign corporation maintains an office in Manhattan where sales orders are taken.

Maintaining an office in New York, even for the purpose of taking sales orders, creates a physical presence and can create income tax nexus for the foreign corporation.

d. A foreign corporation has New York receipts of $500,000.

Reaching a revenue threshold, such as $500,000 in New York receipts, can create income tax nexus for a foreign corporation in New York.

However, option b does not involve any sales or services to New York customers, which significantly reduces the likelihood of creating income tax nexus. Owning real property alone, without engaging in revenue-generating activities in New York, is generally insufficient to establish income tax nexus.

It's important to note that determining income tax nexus is a complex matter and can be influenced by various factors, including specific state laws, regulations, and other activities not mentioned in the options provided. Consulting with a qualified tax professional or attorney is advisable to assess the specific circumstances and determine if income tax nexus exists for a foreign corporation in New York.

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"I regret a lot of the moments," he tells me. "I lost it
several times. It’s not good for a leader to shout and I did. I
apologized to them. I’m sure they forgave, but they never forgot."

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Leaders must also be aware that negative experiences can have a lasting impact on their followers, even if they are forgiven.

The given passage is a reflection on a leader's behavior and the effect it has on his followers. The leader reflects on his behavior and realizes that he lost his temper on several occasions, which caused him to shout at his followers. This type of behavior is not good for a leader because it can cause the followers to lose respect for the leader and can create an unhealthy work environment.
The leader recognizes that his behavior was not appropriate and apologizes to his followers for it. Although he is sure that his followers forgave him, he realizes that they never forgot his behavior. This is because it is easy to remember negative experiences, especially when they are caused by someone in a position of power.
In conclusion, it is important for leaders to be mindful of their behavior and the effect it has on their followers. It is never too late to apologize for past mistakes and work towards creating a positive work environment. Leaders must also be aware that negative experiences can have a lasting impact on their followers, even if they are forgiven.

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One of the salespersons in the USA Corp, Yak Butter Division, found out that the (inverse) demand and supply equations for the yak butter market is Qs = 500 + 20P and Qp = 1700 - 10P
a. The salesperson wants to know the equilibrium price and quantity in the yak butter market. SHOW YOUR CALCULATIONS
b. The salesperson just read an article in the Oregonian stating that Oregon is going to set a price of $45 on yak butter. Based on the demand and supply equations for yak butter in part a, the salesperson wants you to calculate the actual shortage or surplus that the government set price will cause in the yak butter market
c. The salesperson also wants to know if $45 is a ceiling or a floor. Explain how you know.
d. Finally, explain to the salesperson the difference between a change in demand and a change in quantity demanded.

Answers

a. Equilibrium price and quantity of yak butter:

The inverse demand and supply equations for the yak butter market is as follows:

Qs = 500 + 20P, which means that supply quantity of yak butter (Qs) is a function of its price (P).

Qp = 1700 - 10P, which means that demand quantity of yak butter (Qp) is a function of its price (P).

Equating Qs and Qp: Qs = Qp=> 500 + 20P = 1700 - 10P30P = 1200P = 40Equilibrium price of yak butter is $40.

Substituting P = 40 in either demand or supply equation to calculate equilibrium quantity:

Qs = 500 + 20PQs = 500 + 20(40)Qs = 1300 Equilibrium quantity of yak butter is 1300 units.

b. Actual shortage or surplus due to price regulation:

The government set a price of $45 on yak butter. Based on the demand and supply equations in part a, the actual shortage or surplus can be calculated as follows:

At P = $45,Qs = 500 + 20PQs = 500 + 20(45)Qs = 1400Qp = 1700 - 10PQp = 1700 - 10(45)Qp = 1250The quantity of yak butter supplied (1400) is more than the quantity demanded (1250).

Hence, there is a surplus of 1400 - 1250 = 150 units of yak butter.

c. Ceiling or floor: If the government sets a price ceiling, it means that the maximum price for a good is set below the market equilibrium price, whereas if it sets a price floor, it means that the minimum price for a good is set above the market equilibrium price.

In this case, the government has set a price of $45, which is above the equilibrium price of $40. Hence, it is a price floor.

d. Change in demand and quantity demanded: Change in demand is when the demand curve shifts due to factors other than price (e.g., change in consumer income, change in the number of buyers, change in consumer preferences, etc.).

Quantity demanded, on the other hand, is a movement along the demand curve due to a change in the price of the good itself.

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Which of the following information is typically shown in a bond amortization schedule? a. Fair value of bonds. b. Carrying value of bonds.

Answers

Carrying value of bonds ,  Interest expense and  Cash paid are the information shown in bond amortization . Option B,C,& D are correct.

A bond amortization schedule is a table that shows how much a bond will cost in interest, pay in interest, and have its discount or premium amortized over time. The issuers of bonds frequently use the table to help them keep track of these financial instruments over time.

When debt is paid off over time through regular principal and interest payments, amortization is used. A mortgage or car loan's current balance can be reduced through installment payments using an amortization schedule.

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Complete question as follows :

Which of the following information is typically shown in a bond amortization schedule?

a.  Fair value of bonds

b.   Carrying value of bonds

c.   Interest expense

d.   Cash paid

G1 and G2 are partners who have capital balances of P100,000 and P70,000 and who share profits of 65% and 35% respectively. They agree to admit G3 as a partner upon his payment of P110,000. The cash is invested in the business and G3 is credited for P130,000 which includes a bonus from G1 and G2. How much bonus was given by G1?

Answers

To determine the bonus given by G1, we need to calculate the total bonus credited to G3 and then allocate it between G1 and G2 based on their profit-sharing ratio.

1. Total bonus credited to G3:

Amount credited to G3: P130,000

G3's payment for admission: P110,000

Bonus amount: Amount credited to G3 - G3's payment for admission

Bonus amount: P130,000 - P110,000 = P20,000

2. Allocate the bonus between G1 and G2:

G1's share of the bonus = G1's profit-sharing ratio * Bonus amount

Bonus given by G1 = G1's share of the bonus

G1's share of the bonus = 65% * P20,000 = 0.65 * P20,000 = P13,000

Therefore, G1 gave a bonus of P13,000.

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Oslo Company prepared the following contribution format income statement based on a sales volume of 1,000 units (the relevant range of production is 500 units to 1,500 units): Sales $ 45,000 Variable expenses 31,500 Contribution margin 13,500 Fixed expenses 8,640 Net operating income $ 4,860.

1. If sales increase to 1,001 units, what would be the increase in net operating income?

2. If sales decline to 900 units, what would be the net operating income?

3. If the selling price increases by $2 per unit and the sales volume decreases by 100 units, what would be the net operating income?

4. If the variable cost per unit increases by $1, spending on advertising increases by $1,350, and unit sales increase by 170 units, what would be the net operating income?

5.What is the break-even point in dollar sales?

Answers

1. The increase in net operating income would be $13.50.

2. The net operating income would be $12,150.

3. The net operating income would be $4,050.

4. The net operating income would be $4,855.

5. The break-even point in dollar sales is $28,800.

To answer the questions, we need to analyze the given information and make appropriate calculations based on the contribution format income statement.

1. If sales increase to 1,001 units, we can calculate the increase in net operating income by determining the contribution margin per unit and multiplying it by the increase in sales volume.

In this case, the contribution margin is $13,500 for 1,000 units, so the contribution margin per unit is $13.50 ($13,500/1,000 units). With an increase of 1 unit, the net operating income would increase by $13.50.

2. If sales decline to 900 units, we can calculate the new net operating income by applying the same logic. The contribution margin per unit remains the same at $13.50, so the net operating income would be $12,150 ($13.50 × 900 units).

3. If the selling price increases by $2 per unit and the sales volume decreases by 100 units, we need to calculate the new net operating income.

The new selling price per unit would be $47 ($45 + $2), and the new sales volume would be 900 units (1,000 - 100). The total sales revenue would be $42,300 ($47 × 900 units). The variable expenses would remain at 70% of sales, so the variable expenses would be $29,610 ($42,300 × 70%).

The contribution margin would be $12,690 ($42,300 - $29,610), and after subtracting the fixed expenses of $8,640, the net operating income would be $4,050 ($12,690 - $8,640).

4. If the variable cost per unit increases by $1, spending on advertising increases by $1,350, and unit sales increase by 170 units, we need to calculate the new net operating income. The new variable cost per unit would be $14.50 ($13.50 + $1), and the new unit sales would be 1,170 units (1,000 + 170).
The variable expenses would be $17,005 ($14.50 × 1,170 units), and the contribution margin would be $13,495 ($45,000 - $17,005). After subtracting the fixed expenses of $8,640, the net operating income would be $4,855 ($13,495 - $8,640).

5. To calculate the break-even point in dollar sales, we need to determine the sales volume at which the net operating income is zero. From the given information, the contribution margin per unit is $13.50, and the fixed expenses are $8,640. By dividing the fixed expenses by the contribution margin per unit ($8,640 ÷ $13.50), we find that the break-even point in units is approximately 640 units.

To calculate the break-even point in dollar sales, we multiply the break-even point in units (640 units) by the selling price per unit ($45), resulting in a break-even point of $28,800 (640 units × $45).

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Overhead rate; costs assigned to jobs LO P3 Shire Computer's predetermined overhead rate is based on direct labor cost. Management estimates the company will incur $798,000 of overhead costs and $570,000 of direct labor cost for the year. During March, Shire began and completed Job 13-56. 1. What is the predetermined overhead rate for the year? 2. Use the information on the following job cost sheet to determine the total cost of the job.

Answers

The predetermined overhead rate for the year is 140%, the calculation of the total cost of Job 13-56 cannot be determined.

1. Predetermined overhead rate for the year:Predetermined overhead rate is calculated before the job begins, based on the estimated total cost and the expected number of units of the allocation base.

In this case, the predetermined overhead rate for the year is calculated by dividing the estimated overhead cost for the year by the estimated direct labor cost for the year.Predetermined overhead rate for the year = Estimated overhead cost for the year / Estimated direct labor cost for the year

Predetermined overhead rate for the year = $798,000 / $570,000 = 1.4 or 140%Therefore, the predetermined overhead rate for the year is 140%.

2. Total cost of Job 13-56:Job cost sheet has not been provided. Therefore, the calculation of the total cost of Job 13-56 cannot be determined.

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Formulate a new strategy for University of Manchester considering the key elements of Strategy Formulation.

Answers

Overall, by focusing on the key elements of strategy formulation outlined above, the University of Manchester can develop a successful strategy that will ensure its continued growth and prosperity. This could include a SWOT analysis (Strengths, Weaknesses, Opportunities, and Threats).

The University of Manchester, a prestigious institution of higher learning, should consider the following key elements when formulating a new strategy: Goals that are realistic and measurable must be established. This must be coupled with an understanding of the university's strengths and weaknesses. There should be a focus on customer satisfaction to ensure that the university's programmers and services meet the demands of its students and other stakeholders. According to the key elements of strategy formulation, the University of Manchester must also identify and assess its competitors in order to develop a competitive advantage. This could involve conducting market research or analysing other institutions' best practices. Collaborations and partnerships with other institutions, as well as private and public sector organisations, should be considered. Financial planning is also a crucial component of strategy formulation.

The University of Manchester must carefully evaluate its resources and capabilities to determine how best to allocate them in order to achieve its goals. The university should also seek to maximise the value of its resources, including both physical and human resources, by minimising costs and increasing productivity.A comprehensive communication strategy must also be established. The university should ensure that all stakeholders are aware of its strategy, objectives, and progress, and that the public understands its value. The university must also seek to foster a positive reputation through community engagement and effective public relations initiatives. These measures are critical for gaining and retaining the support of key stakeholders and for promoting the university's success.

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https://www.economist.com/finance-and-economics/2022/05/22/foreign-investors-are-fleeing-china

Please summarize this article(300-500words)

After reading the article make a summary of no less than 300 words and no more than 500 words. To do an effective summary, you must make a choice on what information you include and which you leave out so that you don’t exceed the word limit.

Begin by stating what is the main hypothesis/claim of the article and discuss the facts and arguments presented to support the main hypothesis.

Answers

The main hypothesis/claim of the article is that foreign investors are fleeing China. The article highlights that foreign investors have reduced their presence in China's equity market due to regulatory crackdowns, political risks, and a deteriorating business environment.

This has led to a sharp fall in foreign holdings in the Shanghai and Shenzhen stock markets. According to data from the China Securities Depository and Clearing Corp, foreign holdings in A-shares, the main class of Chinese shares available to overseas investors, fell to 2.4 trillion yuan ($373bn) at the end of April, down from a peak of 2.9 trillion yuan last June. This shows that there has been a decline of about 18% since June 2021.

The article cites a few reasons behind this trend. First, there is the ongoing regulatory crackdown, which has affected many sectors in China, including technology, education, and property.

Finally, the article highlights the deteriorating business environment in China, which has been affected by a range of factors, including the pandemic, supply chain disruptions, and labor shortages.


Overall, the article provides a compelling argument that foreign investors are fleeing China due to a combination of regulatory crackdowns, political risks, and a deteriorating business environment. While it remains to be seen whether this trend will continue, it is clear that China's economy is facing significant headwinds as it seeks to attract foreign investment and maintain its status as a global economic powerhouse.

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QUESTION 10 Since the year 2000, the U.S. government has always been running a budget surplus. A. This statement is true. B. This statement is false. C. The federal budget is mandated by law to be balanced. D. The validity of this statement cannot be determined because the federal budget is top-secret.

Answers

The statement is false because since the year 2000, the U.S. government has not always been running a budget surplus. Option B is correct.

The U.S. government has experienced budget deficits in most years since 2000, meaning that government expenditures have exceeded government revenues. Budget surpluses occur when government revenues exceed expenditures. The federal budget is not mandated by law to be balanced, and there have been periods of both budget deficits and surpluses throughout history.

The federal budget is a matter of public record and is not top-secret. It is important for individuals to have accurate information about the government's fiscal position to understand the financial health of the country and make informed decisions. Option B is correct.

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Production Management: Give 3 to 4 advantages
What is a key advantage of an M/D/1 queue vs. an M/M/1
queue?

Answers

Production management is a vital part of any company, regardless of its size. Production management is the process of overseeing and directing the activities and resources of a company's production process. It focuses on manufacturing goods or services efficiently and effectively, while minimizing waste and costs.

It is the key to a successful and profitable business. Following are the three to four advantages of Production Management.
1. Effective production management increases productivity and efficiency, ensuring that goods are produced on time and within budget. This means that the company can meet customer demand, deliver products on time, and remain competitive.
2. Production management helps reduce costs by streamlining the manufacturing process and minimizing waste. It ensures that resources are utilized effectively and efficiently, minimizing the amount of raw materials, energy, and labor needed to produce a product.
3. Effective production management helps a company remain competitive by enabling it to produce high-quality goods at a reasonable cost. It ensures that the company can respond quickly to changing market conditions, take advantage of new opportunities, and remain innovative.
4. Production management helps identify potential problems in the manufacturing process and takes proactive measures to prevent them from occurring. In conclusion, production management is essential for a company's success as it ensures that goods are produced on time, within budget, and to a high standard.
The M/D/1 queue has one significant advantage over the M/M/1 queue.
The former has a deterministic service time, whereas the latter has a random service time. Because of the fixed service time in the M/D/1 queue, the waiting time can be determined accurately. This makes it easier to plan and manage the queue, as the service time is known in advance. This advantage is particularly useful in situations where the customer's patience level is low. The M/D/1 queue is used in situations where the service time is known and is fixed, such as at a fast-food restaurant. On the other hand, the M/M/1 queue is used in situations where the service time is random, such as in a supermarket checkout line.

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For union member grievances that cannot be resolved is it better to have an arbitration process or a mediation process? Why?

Answers

It is better to have an arbitration process than a mediation process for union member grievances that cannot be resolved. This is because arbitration is more binding and authoritative than mediation.

When it comes to union member grievances that cannot be resolved, it is better to have an arbitration process than a mediation process. This is because arbitration is more binding and authoritative than mediation. Arbitration is a legal process in which a neutral third party hears arguments from both sides and makes a decision that is final and binding. Mediation, on the other hand, is a non-binding process in which a neutral third party tries to help the parties find a mutually acceptable solution.

Arbitration is preferred over mediation because it is more final and has a greater chance of being enforced. With arbitration, the arbitrator's decision is final and binding, and there are very limited grounds on which it can be challenged or overturned. This gives the parties a greater sense of finality and closure, which can be especially important in cases where there is a lot of animosity or tension between the parties.
In contrast, mediation is not binding, and there is no guarantee that the parties will be able to reach a resolution. If the parties are unable to come to an agreement, they may have to resort to other methods to resolve the dispute, such as going to court. While mediation can be effective in certain situations, it is generally better suited for cases where the parties have a good working relationship and are willing to compromise.

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What are your thoughts on one or more of the cases regarding taxpayers' attitudes toward paying taxes?

Do you think the IRS should allow anyone the capability to file taxes on behalf of another taxpayer?

Do you think a person's reason for not paying their taxes should determine how the matter should be handled? Is there ever a good reason not to pay taxes?

Should taxpayers be allowed to say what their tax dollars can or cannot be used for? Is that a slippery slope? Why or why not?

Answers

One of the most significant challenges the IRS has been grappling with for years is taxpayer compliance, which refers to the degree to which taxpayers follow the law when filing their taxes. Many taxpayers don't pay their taxes, and this costs the government millions of dollars in revenue every year.

In my opinion, I don't think the IRS should allow anyone the capability to file taxes on behalf of another taxpayer. It could lead to a lot of confusion and potential mistakes, as well as legal issues when someone files taxes on behalf of someone else without their permission and causes damage to their credit score or financial situation.

There is no good reason not to pay taxes. The government uses the tax revenue it receives to fund essential services such as education, healthcare, national security, and other public goods. Refusing to pay taxes is not only illegal, but it also harms the community as a whole. I don't believe taxpayers should be allowed to say what their tax dollars can or cannot be used for. It's a slippery slope because it would be impossible to please everyone, and people have different opinions on what constitutes a worthy cause. Taxes should be used for the greater good of the community and the country, and it's up to elected officials to make decisions about how to spend the revenue.

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michael porter is of the conviction that strategy is the outcome of deliberate, rational analysis. a different perspective put forth by henry mintzberg says

Answers

Michael Porter is of the conviction that strategy is the outcome of deliberate, rational analysis, whereas a different perspective put forth by Henry Mintzberg says that strategy is a process of emergence.

Mintzberg explains that the strategy is not a rational planning process that begins with an analysis of the situation and an evaluation of possible alternatives. Instead, he suggests that strategy emerges as patterns and is built upon past decisions, actions, and responses in a way that is often not planned. Mintzberg views strategy as something that emerges over time rather than as something that is deliberately planned.

He believes that organizations must be prepared to be flexible and adaptable to change and that managers must be willing to take risks and make decisions based on their experience and intuition. Mintzberg suggests that strategic planning is only one part of the strategic management process and that there are many other factors that influence an organization's success.

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Complete Question :  Michael porter is of the conviction that strategy is the outcome of deliberate, rational analysis. a different perspective put forth by henry mintzberg says that :

conscious marketing values suggest that a company's rules should include a code of ethics and a system for defining what?

Answers

Conscious marketing values suggest that a company's rules should include a code of ethics and a system for defining the company's purpose and societal impact.

Conscious marketing is the philosophy that marketing should consider both consumer needs and interests as well as corporate profits and interests. It focuses on the long-term impact of marketing decisions on all stakeholders. Conscious marketing values suggest that a company's rules should include a code of ethics and a system for defining the company's purpose and societal impact.

To follow the rules of conscious marketing values, the company needs to follow some code of ethics to sustain long-term impact on all stakeholders like shareholders, employees, customers, suppliers, and the general public. Conscious marketing is more ethical and socially responsible marketing with the aim to develop better marketing strategies and long-term relationships with customers.

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The following items and amounts are taken from the 2021 financial records of Labrador Co. All amounts are U.S. dollars. Supplies expense... $32,000 Salaries payable.. $5,000 Equipment.. 72,000 Common stock.. 50,000
Salaries expense.... 150,000 Cash.... 12,000 Utilities expense... 8,200 Retained earnings, Jan. 1, 2021...... 47,000
Dividends.... 1,000 Insurance expense...... 12,000 Accounts payable.......... 6,000 Repair expense.. 14,000
Accounts receivable........ 26,800 Service revenue.. 220,000
a) Prepare an income statement for the year ending December 31, 2021. b) Prepare a statement of stockholders' equity for the year ending December 31, 2021. c) Prepare a balance sheet as of December 31, 2021. Make sure each statement is in proper form with a complete heading (name of company, name of report, date or time period as appropriate).

Answers

Statement of Stockholders' Equity for the year ending December 31, 2021 Labrador Co. Statement of Stockholders' Equity for the Year Ended December 31, 2021 Common Stock, January 1, 2021 $50,000 Add: Common Stock Issued - Common Stock, December 31, 2021 $50,000 Retained Earnings, January 1, 2021 $47,000 Add: Net Income After Taxes $3,800 Less: Dividends Paid $1,000 Retained Earnings, December 31, 2021 $49,800 Total Stockholders' Equity $99,800

c) Balance Sheet as of December 31, 2021 Labrador Co. Balance Sheet As of December 31, 2021 Assets Cash $12,000 Accounts Receivable $26,800 Equipment $72,000 Less: Accumulated Depreciation - Net Equipment $72,000 Total Assets $110,800 Liabilities and Stockholders' Equity Liabilities Accounts Payable $6,000 Salaries Payable $5,000 Total Liabilities $11,000 Stockholders' Equity Common Stock $50,000 Retained Earnings $49,800

Total Stockholders' Equity $99,800 Total Liabilities and Stockholders' Equity $110,800

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Did the Great Depression in Canada in the 20th century provide
any economic lessons for government, business, or labour?

Answers

Governments, business, and labour had to work together to create policies that would ensure a stable economy, reduce unemployment, and provide social support for those in need.

The Great Depression in Canada that took place in the 20th century provided several economic lessons for governments, business, or labour. These lessons are still relevant today as they taught the importance of a robust economic system, employment, and social support programs. Governments learned that the market economy could not be left to its own devices, and they had to regulate it to prevent boom and bust cycles.Business, on the other hand, learned that they had to invest in innovative technologies and diversify their operations to avoid over-dependence on certain industries that were vulnerable to market fluctuations. For instance, the farming industry was hit hard by the drought that characterized the Great Depression, and the manufacturing industry had to rely on the government's purchases to stay afloat.

Labour learned the importance of organizing themselves into unions to protect their interests and ensure that they received a fair share of the profits. They also learned that it was essential to have social support programs that could help them during hard economic times. Today, these programs include employment insurance, social assistance, and disability support benefits. The Great Depression in Canada was a dark period that taught valuable economic lessons for all sectors of the economy. Governments, business, and labour had to work together to create policies that would ensure a stable economy, reduce unemployment, and provide social support for those in need.

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