An exercise machine with an original price of $690 is on sale at 8% off.
a. What is the discount amount?
b. What is the exercise machine's sale price?
a. discount amount = $
b. sale price = $

Answers

Answer 1

The discount amount is $55.20. sale price = $634.80,

a. to calculate the discount amount, we need to find 8% of the original price.

discount amount = 8% of $690

discount amount = 0.08 * $690

discount amount = $55.20 b. to find the sale price, we need to subtract the discount amount from the original price.

sale price = original price - discount amount

sale price = $690 - $55.20 = $634.80

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Related Questions

“The needs of a society conflict with the goals of the financial services industry’s desire to make a profit.” Do you agree or disagree?

Answers

Answer:

I do not agree that "the needs of a society conflict with the goals of the financial services industry's desire to make a profit", but on the contrary, I consider that the economic objectives of the financial system contribute to the well-being of the individuals that make up society, with which they satisfy the needs of this in an indirect way.

I believe this because the financial system, through its will to profit, creates jobs and economic opportunities for individuals, who would otherwise be forced to meet their needs without the help of a system designed to profit as a result of work done (such as communism).

which of the following descriptions is not true about silicon valley's it industry, according to the saxenian chapter? a. employees change jobs far more frequently in sv than in the us as a whole. b. firms in silicon valley cooperate far more than firms in most us industries. c. silicon valley engineers developed stronger commitments to delivering excellent work than being loyal to individual companies. d. individuals that work in silicon valley rarely move between industry sectors.

Answers

In SV, job changes happen far more frequently than across the board in the US. As a result, choice (A) is the optimal one.

What is silicon valley?

South of the San Francisco Bay Area is the area referred known as Silicon Valley. Due to the area's connection to the silicon transistors, which are utilized in all contemporary microprocessors, the moniker was originally used in the early 1970s.

The region is famous for housing a sizable number of technological enterprises.

As a result, Silicon Valley is home to hundreds of businesses and serves as a hub for technology innovation on a global scale. It is renowned for being a hub for invention, for having an entrepreneurial culture, and for having a way of life built on technical prosperity.

Hence, option (A) is accurate.

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State the concept of bias-variance trade off with a neat bull’s
eye diagram. Calibrate a graph to explain the relationship of
prediction error and complexity with an example

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The concept of bias-variance trade-off refers to the need for machine learning models to balance between two sources of errors, bias, and variance.

High bias refers to an underfit model that cannot capture the complexity of the dataset while high variance refers to an overfit model that fits the training data too well.

Therefore, the bull's eye diagram helps to visualize the bias-variance trade-off as follows: Bull's eye diagram showing the bias-variance trade-off[Source: Machine Learning Mastery]As seen above, the goal is to achieve a model with low bias and low variance to minimize the total error.

A model with high bias will have a high training error, while a model with high variance will have a high validation error. Hence, the optimal model lies at the center of the bull's eye, balancing the bias and variance errors. Calibrating a graph to explain the relationship of prediction error and complexity with an example

Given a dataset, the complexity of a model increases with more features, layers, and neurons, among other factors. Therefore, as complexity increases, the model learns more from the training data, reducing the bias error. However, the model is at risk of overfitting the training data, which leads to high variance error.

Hence, the prediction error is inversely proportional to the complexity, as shown in the graph below: Relationship between prediction error and model complexity [Source: Machine Learning Mastery]In the above graph, as model complexity increases, the bias error reduces, leading to a reduction in the prediction error.

However, as the complexity increases, the variance error increases, leading to a rise in the prediction error. Therefore, the optimal model is the one that achieves the lowest prediction error, balancing the bias and variance errors.

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on january 1, year 2, a company finances the purchase of equipment by issuing a $15,000 noninterest-bearing note payable. the note will be paid in 10 equal annual installments of $1,500 beginning on december 31, year 2. the market rate of interest for notes of this type is 5%. the following present value factors are provided. for what amount should the company record the equipment on january 1, year 2? the present value of $1 at 5% for 10 periods 0.61391 the present value of an ordinary annuity of $1 at 5% for 10 periods 7.72173 the present value of an annuity due of $1 at 5% for 10 periods 8.10782 a. $9,209 b. $11,583 c. $12,162 d. $15,000

Answers

So the correct option is B

= Amount of annual installment × PV of ordinary annuity of $1 at 5% for 10 periods

= (15000/10) × 7.72173

= 1500 × 7.72173

= 11582.595

= 11583

Therefore, the amount will be $11583

What is Installment?
The act of adding something new or an installment is one portion of something that has numerous parts, such a payment or a story, are the definitions of an installment. Installing a new kitchen is an example of an installment. A monthly payment schedule is an illustration of an installment.

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What days are BIM classes held?

Answers

Answer:

Classes take place on Mondays and Wednesdays from 4:00-6:00 pm EST, at The Plan Room located at 1815 W Broadway.

Have a Nice Day.

Which of the following statements is true of market-oriented firms? Question 25 options: They focus on their internal capabilities rather than on the desires and needs of the customers. They believe that people will buy more goods and services if aggressive sales techniques are used and that high sales result in high profits. They assume that the sale of goods or services does not depend on an aggressive sales force but rather on a customer’s decision to purchase that product. They claim that people must give up something in order to receive something else they would rather have.

Answers

Answer:

They assume that the sale of goods or services does not depend on an aggressive sales force but rather on a customer’s decision to purchase that product.

Explanation:

Marketing can be defined as the process of developing promotional techniques and sales strategies by a firm, so as to enhance the availability of goods and services to meet the needs of the end users or consumers through advertising and market research.

The true statement about market-oriented firms is that they assume that the sale of goods or services does not depend on an aggressive sales force but rather on a customer’s decision to purchase that product.

This ultimately implies that, a market-oriented firm is more focused on identification and understanding the needs of the customers, opportunities that abound in the industry or market and thus putting the customers first.

determine the price of the bonds at january 1, 2021. prepare the journal entry to record the bond issuance by the company on january 1, 2021. prepare the journal entry to record interest on june 30, 2021, using the effective interest method. prepare the journal entry to record interest on december 31, 2021, using the effective interest method.

Answers

To determine the price of the bonds at January 1, 2021, you need to know the face value of the bonds, the coupon rate, the maturity date, and the market interest rate.


The journal entry to record the bond issuance by the company on January 1, 2021 would include a debit to Cash for the proceeds of the bond issue and a credit to Bonds Payable for the face value of the bonds.


The journal entry to record interest on June 30, 2021 using the effective interest method would include a debit to Interest Expense for the accrued interest and a credit to Interest Payable for the same amount.


The journal entry to record interest on December 31, 2021 using the effective interest method would include a debit to Interest Payable for the accrued interest and a credit to Interest Expense for the same amount.

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what is one of the ways that expert judgement might be used in the stakeholder management knowledge area?

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One way expert judgement might be used in the stakeholder management knowledge area is to identify and assess the interests, needs, and potential impact of key stakeholders on a project.

What does effective stakeholder management involves?

Effective stakeholder management involves several key steps:

Identify stakeholders: Identify all the stakeholders who will be impacted by or have an interest in the project.

Assess stakeholder importance: Assess the level of importance and potential impact of each stakeholder on the project.

Develop a stakeholder engagement plan: Develop a plan for engaging and communicating with each stakeholder group, taking into account their level of importance and potential impact.

Communicate and engage: Communicate effectively with stakeholders, keeping them informed of progress and addressing any concerns they may have.

Monitor and manage: Regularly monitor the engagement and satisfaction of stakeholders and make adjustments as needed to ensure their needs are being met.

Maintaining Relationship: Maintain good relationship with stakeholders, by understanding their needs, expectation, providing them with necessary information and addressing their concerns.

By following these steps, project managers can effectively manage stakeholders, ensuring their needs and concerns are taken into account and minimizing the potential for disruptions or delays.

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The natural rate of unemployment prevails when:
A. the AD curve intersects the SRAS curve.
B. the number of unfilled jobs is matched by the number of qualified workers.
C. agricultural unemployment equals manufacturing unemployment.
D. unemployment is minimized.

Answers

The natural rate of unemployment prevails when: B. the number of unfilled jobs is matched by the number of qualified workers.

What is natural rate of unemployment?

The natural rate of unemployment is the rate of unemployment that exists when the labor market is in equilibrium, meaning that the number of job openings available matches the number of qualified workers seeking employment.

At this rate, there is no cyclical unemployment, which is the unemployment that results from fluctuations in economic activity. The natural rate of unemployment includes only frictional and structural unemployment, which are caused by factors such as job search, job matching, and changes in the structure of the economy.

Option B correctly describes the conditions that must be met for the natural rate of unemployment to prevail. When the number of unfilled jobs is equal to the number of qualified workers, there is no cyclical unemployment caused by a lack of demand for labor, and the economy is operating at its potential output level. This level of unemployment is considered to be the "natural" rate because it is not influenced by short-term fluctuations in aggregate demand or supply.

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Discuss the role of the father in attachment theory

Answers

Explanation:

Both parents are considered attachment figures in attachment theory, and the child-father attachment is autonomous from the child-mother attachment. Whereas mothers are commonly involved in caregiving and providing emotional refuge, fathers are particularly involved in play and exploratory undertakings.

Selected year-end financial statement of Cabot Corporation follow. (All sales were on credit; selected balance sheet amounts at December 31, 2015, were inventory, $56,900; total assets, $209,400; common stock, $86,000; and retained earnings, $53,588)Cabot CorporationIncome StatementFor Year Ended December 31, 2017Sales $ 450,600 Cost of goods sold 297,250 Gross profit 152,250Operating expenses 80,900Interest expense 4,800Income before taxes 48,750Income taxes 10,628Net income $ 38,122Cabot CorporationBalance SheetDecember 31, 2017Assets Liabilities and Equity Cash $ 22,000 Accounts payable $ 15,500Short-term investments 6,200 Accrued wages payable 3,500Accounts receivable, net 25,200 Income taxes payable 3,700Notes receivable (trade)* 4,000 Merchandise inventory 38,150 Long-term note payable, secured by mortgage on plant assets 65,400 Prepaid expenses 2,450 Common stock 85,000Plant assets, net 157,700 Retained earnings 82,600 Total assets $ 255,700 Total liabilities and equity $ 257,550 These are short-term notes receivable arising from customer (trade) sales.Compute the following: (1) current ratio, (2) acid-test ratio, (3) days' sales uncollected, (4) inventory turnover, (5) days' sales in inventory, (6) debt-to-equity ratio, (7) times interest earned, (8) profit margin ratio, (9) total asset turnover, (10) return on total assets, and (11) return on common stockholders' equity.

Answers

Current ratio: 4.32

Acid-test ratio: 2.63

Days' sales uncollected: 20.39 days

Inventory turnover: 6.25

Days' sales in inventory: 58.5 days

Debt-to-equity ratio: 0.39

Times interest earned: 10.16

Profit margin ratio: 8.46%

Total asset turnover: 1.94

Return on total assets: 16.4%

Return on common stockholders' equity: To be calculated based on missing data

Current ratio: The current ratio measures a company's ability to cover its short-term liabilities with its short-term assets. It is calculated by dividing current assets by current liabilities. In this case, Cabot Corporation has a current ratio of 4.32. This indicates that for every dollar of current liabilities, the company has $4.32 of current assets available to meet those obligations. A higher current ratio suggests a better ability to meet short-term financial obligations.

Acid-test ratio: The acid-test ratio, also known as the quick ratio, is a more stringent measure of a company's short-term liquidity. It excludes inventory from current assets since inventory may not be easily converted into cash. The acid-test ratio is calculated by subtracting inventory from current assets and then dividing the result by current liabilities. In this case, Cabot Corporation has an acid-test ratio of 2.63. This means that for every dollar of current liabilities, the company has $2.63 of highly liquid assets (excluding inventory) available to cover those obligations. A higher acid-test ratio indicates a greater ability to meet short-term obligations without relying on inventory sales.

Days' sales uncollected: Days' sales uncollected is a measure of the average number of days it takes for a company to collect its accounts receivable. It is calculated by dividing accounts receivable by net sales and then multiplying by 365. In this case, Cabot Corporation has days' sales uncollected of 20.39 days. This means it takes the company approximately 20.39 days on average to collect payments from its customers.

Inventory turnover: Inventory turnover measures how efficiently a company manages its inventory. It is calculated by dividing the cost of goods sold by the average inventory. In this case, Cabot Corporation has an inventory turnover of 6.25. This indicates that the company sells and replaces its inventory approximately 6.25 times during the year.

Days' sales in inventory: Days' sales in inventory represents the average number of days it takes for a company to sell its inventory. It is calculated by dividing the average inventory by the cost of goods sold and then multiplying by 365. In this case, Cabot Corporation has days' sales in inventory of 58.5 days. This means it takes the company approximately 58.5 days on average to sell its inventory.

Debt-to-equity ratio: The debt-to-equity ratio is a measure of a company's financial leverage and risk. It is calculated by dividing total liabilities by total equity. In this case, Cabot Corporation has a debt-to-equity ratio of 0.39. This indicates that the company has $0.39 of debt for every dollar of equity.

Times interest earned: Cabot Corporation has a times interest earned ratio of 10.16, indicating its operating income is sufficient to cover interest expenses.

Profit margin ratio: The profit margin ratio measures the percentage of each dollar of sales that results in net income. It is calculated by dividing net income by net sales and multiplying by 100 to express it as a percentage. In this case, Cabot Corporation has a profit margin ratio of 8.46%. This means that the company generates a net income of 8.46 cents for every dollar of sales.

Total asset turnover: Total asset turnover measures a company's efficiency in generating sales from its total assets. It is calculated by dividing net sales by average total assets. In this case, Cabot Corporation has a total asset turnover of 1.94. This indicates that the company generates $1.94 of sales for every dollar of average total assets.

Return on total assets: The return on total assets (ROTA) of 16.4% means that Cabot Corporation generates a return of 16.4 cents for every dollar of total assets.

Return on common stockholders' equity: The calculation requires average common stockholders' equity, which is not provided in the given information.

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A company has a product that it feels can meet the needs of a targeted
market segment that is very concerned about eating healthy, all-natural foods.
Which of the following would be an example of positioning a product
appropriately for this situation?
A. Initiating an advertising campaign that shows the all-natural
process of the company's growers
B. Conducting a survey to see how many consumers in the market
would pay more for organic foods
C. Using skimming pricing methods to meet the high demands of
this market segment
D. Providing customers with one-year warranties for each product
they purchase

Answers

Initiating an advertising campaign that shows the all-natural process of the company's growers would be an example of a product appropriately for this situation. Thus, option (a) is correct.

What is product?

The term “product” refers to the thing to be sold. The product will be tangible. The manufacturing product is made with the help of raw materials and converted into finished goods. The products can be divided into two categories, such as industrial and consumer products.

The product's capacity to satisfy the target market segment's requirement for consuming wholesome, natural foods was a concern for the manufacturer. The all-natural approach of the business's growers is demonstrated in the market positioning and the advertising campaign's method.

As a result, the initiating an advertising campaign that shows the all-natural process of the company's growers. Therefore, option (a) is correct.

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Which customer service client is external to an organization?

department manager
consumer
CFO
sales representative
TIMEDD TEST

Answers

Answer: sale representative

Explanation:

are the most active participants in the federal funds market. a. credit unions b. commercial banks c. securities firms d. savings and loan associations

Answers

The most active participants in the federal funds market are b. commercial banks.

Commercial Banks

The federal funds market is where banks borrow and lend funds to each other overnight to meet the reserve requirements set by the Federal Reserve. This is done so that banks can maintain their desired reserve balances at the end of the day.

Banks that have a surplus of reserves lend to those that need reserves, and they earn interest on those loans. Thus, the most active participants in the federal funds market are commercial banks. Credit unions, savings, and loan associations, and securities firms are not as involved in this market as commercial banks are.

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1. True or False: A stock split has no effect on the total of any account in stockholders' equity unless it is treated similar to a large stock dividend.

2. True or False - Companies need to subtract amortization expense from net income as a step in arriving at net cash flows from operating activities under the indirect method.

3. True or False - When the indirect method is used to prepare the operating activities section of the statement of cash flows, the adjustments to net income for income statement items relate only to the removal of noncash revenues and noncash expenses.

4. Under the indirect method, adding back the amount of depreciation eliminates the deduction of this noncash expense in net income.

5. To calculate a year-to-year percentage change in any financial statement line item such as sales, you determine the difference between the current-year amount and the prior-year amount and divide that difference by
a) the prior year's amount
b) total assets
c) net income
d) the current year's amount

Answers

1. The statement" A stock split has no effect on the total of any account in stockholders' equity unless it is treated similar to a large stock dividend." is true because stock split: more shares, same value, total equity unchanged.

2. The statement" Companies need to subtract amortization expense from net income as a step in arriving at net cash flows from operating activities under the indirect method." is true because amortization expense: non-cash, added back to calculate net cash flows.

3. The statement" When the indirect method is used to prepare the operating activities section of the statement of cash flows, the adjustments to net income for income statement items relate only to the removal of noncash revenues and noncash expenses." is false because indirect method adjustments: noncash items and changes in working capital.

4. The statement "Under the indirect method, adding back the amount of depreciation eliminates the deduction of this noncash expense in net income." because depreciation: noncash deduction for tangible asset value decline over time.

5. To calculate a year-to-year percentage change in any financial statement line item such as sales, you determine the difference between the current-year amount and the prior-year amount and divide that difference by the prior year's amount.

The correct answer is option A.

1. True. A stock split does not affect the total stockholders' equity because it involves dividing existing shares into a greater number of shares without changing the underlying value of the company. The purpose of a stock split is to make shares more affordable and increase market liquidity.

2. True. Amortization expense, along with depreciation expense, is a non-cash expense that is added back to net income when calculating net cash flows from operating activities using the indirect method. Since amortization represents the allocation of intangible assets over their useful lives, it is not an actual cash outflow and therefore needs to be removed from net income to reflect the cash flows generated by operating activities.

3. False. Adjustments to net income under the indirect method include not only the removal of noncash revenues and noncash expenses but also changes in working capital accounts such as accounts receivable, accounts payable, and inventory. These adjustments aim to reconcile the accrual-based net income to the actual cash flows generated or used in operating activities.

4. True. Depreciation is a noncash expense that is deducted from net income to reflect the decline in the value of tangible assets over their useful lives. When preparing the statement of cash flows using the indirect method, depreciation is added back to net income because it does not represent an actual cash outflow. By adding back depreciation, the noncash expense is eliminated, and the cash flows generated from operating activities are adjusted accordingly.

5. To calculate year-to-year percentage change, divide the difference by the prior-year amount.

The correct answer is (a) the prior year's amount. To calculate the year-to-year percentage change, you divide the difference between the current-year amount and the prior-year amount by the prior-year amount and multiply by 100 to express it as a percentage. This calculation provides the percentage change from one year to another, indicating the growth or decline in the line item over time.

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What is viability factors researches the demand for products or services?

Answers

Answer:

Viability is a mass noun that refers to something's capacity or potential for success. It may be a demand, an idea, a project, or even a plan to change how a business runs. Establishing viability is the goal of a viability evaluation. Product viability is the capacity of a software product to maintain itself or reach its potential.

Explanation:

The term "market viability" describes the commercial potential of a certain market. You may decide whether starting a business in a specific market makes financial sense with the use of a market viability analysis.

Industry size: Is there adequate room on the market for new vendors? Exists room for improvement?

Target market: Do potential customers have more money to spend? Can they afford to purchase your offering?

Competition: Who are the major retailers in this industry, in terms of competition? What are their advantages and disadvantages? How are you going to rival them?

Your objective is to eliminate any markets that are too small, too competitive, or comprised of clients who are unable or unable to pay your prices.

a voluntary association of two or more people acting as co-owners of a business is known as a

Answers

A voluntary association of two or more people acting as co-owners of a business is known as a Partnership.

What is Partnership?

A legal agreement between two or more persons to run a business and split the profits is called a partnership.

Partnership arrangements come in many different forms. One type of business where partners may have minimal responsibility is a partnership where all participants share earnings and liabilities equally. Additionally, there is the so-called "silent partner," when one party does not participate in the day-to-day management of the company.

A partnership, broadly speaking, can be any project that many people undertake together. Governments, charitable organizations, companies, or private persons may be the parties. A partnership's objectives might also differ greatly.

The three primary types of partnerships are general partnerships, limited partnerships, and limited liability partnerships when referring to a for-profit endeavor carried out by two or more people.

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Why do you think it is important to have a diverse number of careers to choose from? How would it affect our global economy if there were only one or two career clusters?

Answers

Because if everyone went and had the same job no one else would know how to do the other jobs causing our entire economy to fail and entire city’s failing too.

Solected transactions on the books of Selena Inc. follow: May 1, 2020 Bonds payable with a par value of $700,000, which are dated January 1, 2020, are sold at 106 plus acerued interest They are coupon bonds, bear interest at 10% (payable annually at January 1); and mature on January 1,2030. (Use an interest expense account for accrued interest) Dec. 31 Adjusting entries are made to record the accrued interest on the bonds and the amortization of the proper amount of premium (Use straight line amonization.) Jan. 1, 2021 Interest on the bonds is paid April 1 Par value bonds of $420,000 are repurchased at 103 plus accued interest and ate retired. (Bond premium is to be amortized at lhe end of each year)

Answers

Answer:7,000

Explanation:answer the question

a stock has a beta of 1.34 and an expected return of 13.2 percent. a risk-free asset currently earns 4.5 percent. a. what is the expected return on a portfolio that is equally invested in the two assets? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. if a portfolio of the two assets has a beta of .94, what are the portfolio weights? (do not round intermediate calculations and round your answers to 4 decimal places, e.g., .1616.) c. if a portfolio of the two assets has an expected return of 12.4 percent, what is its beta? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) d. if a portfolio of the two assets has a beta of 2.54, what are the portfolio weights? (a negative answer should be indicated by a minus sign. do not round intermediate calculations and round your answers to 4 decimal places, e.g., .1616.)

Answers

The expected return on the portfolio is calculated as a weighted average of the expected returns on the two assets, where the weights are equal since the portfolio is equally invested in the two assets:

Expected return = (0.5 × 13.2%) + (0.5 × 4.5%) = 8.85%

b. The beta of the portfolio is a weighted average of the betas of the two assets, where the weights are the portfolio weights of the assets:

0.94 = (w1 × 1.34) + [(1 − w1) × 0]

0.94 = 1.34w1

w1 = 0.7015 or 70.15%

w2 = 1 − w1 = 0.2985 or 29.85%

c. Using the formula for the expected return of a portfolio in terms of its weights and the expected returns and betas of its component assets, we can solve for the portfolio's beta:

12.4% = (w1 × 13.2%) + [(1 − w1) × 4.5%]

0.124 = (0.132w1) + (0.045 − 0.045w1)

0.079 = 0.087w1

w1 = 0.9080 or 90.80%

w2 = 1 − w1 = 0.0920 or 9.20%

Beta = (0.9080 × 1.34) + (0.0920 × 0) = 1.2147 or 1.21

d. Using the formula for the beta of a portfolio in terms of its weights and the betas of its component assets, we can solve for the portfolio weights:

2.54 = (w1 × 1.34) + [(1 − w1) × 0]

2.54 = 1.34w1

w1 = 1.8955 or 189.55%

w2 = 1 − w1 = −0.8955 or -89.55%

The negative weight for asset 2 indicates that the portfolio has a short position in the risk-free asset, which means it has borrowed money to invest in the risky asset. This is not a feasible or desirable portfolio, so we can conclude that there is no solution to this part of the problem.

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Which nims management characteristic refers to personnel.

Answers

The NIMS (National Incident Management System) is a comprehensive framework that provides guidance for effective and efficient incident management.

In NIMS, personnel management refers to the process of organizing, mobilizing, deploying, and managing the people involved in incident response. This includes identifying the roles and responsibilities of personnel, establishing clear lines of communication and reporting, and providing adequate training and resources to support their efforts.

One of the key principles of personnel management in NIMS is the concept of a unified command structure. This means that all personnel involved in incident response, regardless of their agency or organization, work together under a single command structure to ensure a coordinated and effective response.

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Resources are items and materials
needed to provide goods and
services. All of the following are
examples of resources EXCEPT:
A. demand
B. timber
C. money

Answers

Answer: A. demand

Explanation:

answer is demand. a demand isn’t a resource because it isn’t something you can utilize.

how do you wrrite the word pneumonoultramicroscopicsilicovolcanoconiosi aand what does it mean?

Answers

Answer:

Pneumonoultramicroscopicsilicovolcanoconiosis

Explanation:

Pneumonoultramicroscopicsilicovolcanoconiosis is a phrase used to describe a lung condition produced by inhaling silica dust, as in I had difficulty breathing and my doctor diagnosed me with pneumonoultramicroscopicsilicovolcanoconiosis.

Activity: Democratic Principles
LO 1
For each principle answer 2 questions; 1) What does it mean for me? How can I support
the principle through my own actions? 2) What are examples of the principle not being
upheld?
Democratic principles
- Equality and Human Rights
- Economic Freedom
- Free and Fair Elections
- Accountability and Transparency
- Citizen Participation

Answers

Democratic principles are a set of principles that promote democratic values and practices. These principles are important for maintaining a free, fair, and just society that is open to all. Here are some ways in which you can support democratic principles in your own life.
Equality and Human Rights
1) The principle of equality and human rights means that everyone has the right to be treated equally and with dignity. To support this principle, you can treat everyone you encounter with respect and kindness, regardless of their race, gender, religion, or other differences. You can also stand up against discrimination and hate speech, and work to create a more inclusive and welcoming community.
2) The principle of equality and human rights is not always upheld in cases of discrimination, hate crimes, and prejudice. Examples of this include racial profiling by law enforcement, gender-based violence, and hate speech against minority groups.
Economic Freedom
1) The principle of economic freedom means that individuals and businesses have the right to own property and make economic decisions without interference from the government. To support this principle, you can make informed choices about how you spend your money and support businesses that operate in an ethical and sustainable manner.
2) The principle of economic freedom is not always upheld in cases of monopolies, price fixing, and unfair trade practices. Examples of this include large corporations using their power and influence to suppress competition and small businesses, and companies engaging in exploitative labor practices.
Free and Fair Elections
1) The principle of free and fair elections means that everyone has the right to vote and have their vote counted. To support this principle, you can exercise your right to vote in every election, and encourage others to do the same. You can also get involved in local politics and advocate for election reforms that ensure transparency and fairness.
2) The principle of free and fair elections is not always upheld in cases of voter suppression, gerrymandering, and corruption. Examples of this include politicians manipulating voting districts to favor their own party, voter ID laws that disproportionately affect marginalized communities, and foreign interference in elections.
Accountability and Transparency
1) The principle of accountability and transparency means that those in power are responsible for their actions, and that the public has access to information about government operations. To support this principle, you can hold elected officials accountable by staying informed about their actions and advocating for transparency in government.
2) The principle of accountability and transparency is not always upheld in cases of government corruption and cover-ups. Examples of this include elected officials accepting bribes, officials using their position for personal gain, and government agencies hiding information from the public.
Citizen Participation
1) The principle of citizen participation means that individuals have the right and responsibility to participate in the democratic process and make their voices heard. To support this principle, you can attend public meetings, join a political organization, or participate in peaceful protests to advocate for change.
2) The principle of citizen participation is not always upheld in cases of government suppression of dissent and lack of access to information. Examples of this include laws that restrict freedom of speech and assembly, and government censorship of the media and internet.

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the account type and normal balance of prepaid expense are

Answers

The account type of prepaid expense is an asset account, and its normal balance is a debit balance. Prepaid expenses represent costs that have been paid in advance and are gradually recognized as expenses over time.

The account type of prepaid expense is an asset account. Prepaid expenses are expenses that have been paid in advance but have not yet been used or consumed. Examples of prepaid expenses include prepaid rent, prepaid insurance, and prepaid subscriptions.

The normal balance of prepaid expense is a debit balance. In accounting, the normal balance of an account represents the side that increases the account balance. Since prepaid expenses are assets, they have a debit balance because they increase with debits and decrease with credits.

For example, let's consider prepaid rent. If a company pays rent in advance for the next three months, it would debit the prepaid rent account to increase the balance. This represents an asset because the company has paid for a future benefit (rent) that it has not yet received. As the months pass and the company uses the prepaid rent, it would credit the prepaid rent account to decrease the balance and recognize the expense in the income statement.

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____ is a system that calls for sub-assemblies and components to be manufactured in very small lot and delivered to the next stage of production process as they are needed

Answers

Just-In-Time (JIT) manufacturing is a system that calls for sub-assemblies and components to be manufactured in very small lots and delivered to the next stage of the production process as they are needed and in the quantity required.

The system you are referring to is called Just-In-Time (JIT) manufacturing. JIT is a lean production method that involves producing goods or services only when they are needed and in the quantity required. This means that sub-assemblies and components are manufactured in small lots and delivered to the next stage of the production process just in time for their use, rather than being stockpiled in inventory.

The primary goal of JIT is to eliminate waste and improve efficiency by reducing the amount of inventory and work in progress. This is achieved by synchronizing production with customer demand, optimizing the flow of materials and information, and continuously improving the manufacturing process.

Implementing JIT requires close collaboration between suppliers, manufacturers, and customers to ensure timely delivery and quality control. The benefits of JIT include reduced costs, increased productivity, improved quality, and faster response to changing customer needs. However, it also requires careful planning and management to minimize risks and avoid disruptions in the supply chain.

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Your company will generate in annual revenue each year for the next seven years from a new information database. If the appropriate discount is 8. 2 percent, what is the present value of savings?

Answers

The present value of savings is approximately $60,662.57, assuming that the company will generate $100,000 in annual revenue each year for the next seven years and that the appropriate discount rate is 8.2%.

To calculate the present value of savings, we need to use the present value formula, which is:

\(PV = FV / (1 + r)^n\)

Where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods.

In this case, we know that the future value (FV) is the annual revenue that the company will generate each year for the next seven years. We'll marginal cost assume that this value is $100,000.

So, using the formula, we can calculate the present value of savings as follows:

\(PV = $100,000 / (1 + 0.082)^7\)

\(PV = $100,000 / 1.649\)

PV = $60,662.57

Therefore, the present value of savings is approximately $60,662.57, assuming that the company will generate $100,000 in annual revenue each year for the next seven years and that the appropriate discount rate is 8.2%.

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Create a newsletter using word processing software.

Directions

In this assignment, you'll use a word processor to create a newsletter based on the following scenario: Suppose that you are a secretary at a high school. You need to provide the students with information about upcoming events and a reminder about the cell-phone policy. The cell-phone policy states that all cell phones need to be turned off while on the school campus until dismissal time. After the dismissal bell, phones may be turned on and used. The events that should be in the newsletter include a dance, chess tournament, community garden, basketball game, and fundraiser.


Your newsletter should fill-in the details for these events and meet these requirements:


List school contact information.

Fill one page.

Include the following:

two or three columns

a title

at least three graphics, but not more than six

Answers

A newsletter is a periodical publication distributed via email or in print format, providing updates, news, and valuable information to a specific audience.

Typically used by organizations, businesses, or individuals, newsletters aim to engage and inform subscribers on topics of interest, promotions, events, and industry trends. They serve as a powerful communication tool for building and maintaining relationships with customers, members, or followers.

Newsletters often include articles, announcements, product updates, tips, and other relevant content tailored to the target audience's preferences. By delivering regular and relevant updates, newsletters foster brand loyalty, promote engagement, and help keep recipients informed and connected with the sender's mission or offerings.

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how many months weeks days are in 157 days?

Answers

The answer is 5.162 months

PLEASE HELP ACCOUNTING
Question 4 of 10
Which of the following should be included in
any journal entry?

A. A calculation of owner's equity

B. Either a debit or a credit

C. The total debits and credits for
the period

D. Both a debit and a credit

Answers

Answer:

The answer is D.

Explanation:

In a journal entry you are balancing your accounts. You have Debits and Credits. Think of the acronym DEAD when determining which is which. DEAD is Debits = expenses, assets, and dividends. Debits are always balanced out by credits. So for example if you had rent to pay, you would list that as a debit (it is an expense). The credit would be cash (cash is NOT an asset when thinking in terms of accounting).

SO:

10/12/22  Rent Expense    $500

                                                      Cash          $500

For everything, there is a balance. You want to know what counters a given account.

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