Answer:
True
Explanation:
which category of management information systems (mis) focuses on providing forecasting capabilities for sales and production?
Decision support systems (DSS) category of management information systems (MIS) focuses on providing forecasting abilities for sales and production.
A decision support system (DSS) is a computerized system that collects, evaluates, and synthesizes data in order to generate thorough information reports.A decision support system is different from a standard operations program, which only has the ability to gather data.Decision support systems facilitate better decision-making, prompt problem-solving, and increased effectiveness while handling operations, planning, and even management-related challenges.A decision support system (DSS) is a computerized system that collects, evaluates, and synthesizes data in order to generate thorough information reports.A decision support system is different from a standard operations program, which only has the ability to gather data.Decision support systems facilitate better decision-making, prompt problem-solving, and increased effectiveness while handling operations, planning, and even management-related challenges.Learn more about Decision support systems, here
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What is marginal production in simple words?
Increase in Production Output (Y) / Change in Variable Input (I) equals marginal production. The extra output a business creates by bringing on one additional labour unit is known as marginal production.
If all other units remain fixed. The quantity of product you create can be increased by including additional production factors. Marginal production refers to the increased productivity brought about by the addition of more than one labour unit. The producer can decide whether to add one or more units to their line of production after assessing the marginal cost of production and the total cost of processing an additional good. It is occasionally possible to achieve economies of scale and reduce the overall cost across all production units by creating a specific number of extra units.
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mcdonald's is testing the crispy chicken sandwich in two markets. mcdonald's franchisees have asked for a southern-style chicken sandwich as chick-fil-a's threat to its business continues to grow. in test marketing, the greatest danger to mcdonald's is in choosing a test-site city that ___
A. Has a racial mix and thus has more diversity than other ciries in the projected market area
B. does not reflect market conditions in the new product's projected market area
C. does not respond quickly to changing trends and is highly entrenched in its cultural ways
D. is unique in being representative of the entire city, although it is unlike neighboring cities
In test marketing, the greatest danger to McDonald's is in choosing a test-site city that has a racial mix and thus has more diversity than other ciries in the projected market area.
In test marketing, the choice of the test-site city is crucial for the success of a new product, such as McDonald's crispy chicken sandwich.
The greatest danger to McDonald's in this process is choosing a city that does not reflect market conditions in the new product's projected market area.
This means that the city may not be representative of the target demographic, which can lead to inaccurate results.
Another potential issue is choosing a city that does not respond quickly to changing trends and is highly entrenched in its cultural ways.
This could limit the success of the new product because the city may not be receptive to change and may not be interested in trying something new.
On the other hand, choosing a city with a racial mix and thus more diversity than other cities in the projected market area can be an advantage.
This allows for a wider range of opinions and preferences, which can lead to a better understanding of what customers want.
Lastly, choosing a city that is representative of the entire city, although it is unlike neighboring cities, can also be an advantage.
This allows for a more accurate representation of the market as a whole and can lead to better results.
In conclusion, choosing the right test-site city is crucial for the success of McDonald's crispy chicken sandwich.
The company needs to consider various factors, such as market conditions, cultural trends, and demographics, to make an informed decision. By doing so, McDonald's can ensure that its new product is successful in the market and competes with Chick-fil-A's threat to its business.
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Aurora township is asking all of its citizens to chip in and donate money to build a new library. tommy thinks he already pays enough money in taxes, so he chooses not to donate. he knows that even if he does not contribute he will be able to use the library once it is built. This is an example of:
a. Adserve selection
b. The free rider problem
c. Asymmetric information
d. Tragedy of the commons
e. Moral hazard
Since Tommy knows that even if he does not contribute he will be able to use the library once it is built, this is an example of: B. The free rider problem.
What is the free rider problem?In Economics, the free rider problem can be defined as a type of market failure and burden that typically occurs when people who benefit from public goods (products) or shared resources refuse to pay for them or financially contribute to their development.
This ultimately implies that, a free rider problem simply refers to a type of problem that typically exists or arises when people who cannot be excluded from using a good (product) choose not to pay for it.
In this context, we can reasonably infer and logically deduce that the refusal of Tommy to donate money to build a new library because he knows he would be able to use it once it is built, is an example of the free rider problem.
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_____ tend to move in anticipation of the business cycle, turning up in anticipation of recovery and turning down at signs of economic weakness. a. Capital goods b. Financial stocks cyclical companies do. Consumer staples e. Consumer durable goods
PLEASE HELP WILL MARK BRAINLIEST
Answer:
the answer is true
Explanation:
Tetradic Solutions has been making purchases from Ribbon, Inc., for the last three years. Every three months, it makes the same order of 5,000 ml of Ribbon, Inc.'s, secret compound used in Tetradic's lotion line. Recently, Tetradic has seen a downturn in demand and needs to alter its usual order from 5,000 to 3,500 and hopefully reduce the price per ml. What BEST describes Tetradic's situation
Answer: modified rebuy
Explanation:
Tetradic's situation can be defined as the modified rebuy. Modified Rebuy refers to a purchasing situation whereby an individual or organization buys goods that they've bought before but then changes the supplier or some elements in the previous order.
Based on the question given, Tetradic Solutions alters his purchase as the order was modified. In modified rebuy, the specifications of the product, prices, and suppliers can be changed as well.
What are references?
Answer:
Reference is a relationship between objects in which one object designates, or acts as a means by which to connect to or link to, another object. The first object in this relation is said to refer to the second object. It is called a name for the second object.
Explanation:
Answer:
Reference is a relationship between objects in which one object designates, or acts as a means by which to connect to or link to, another object
Explanation:
The next time you need to make a choice, your brain will use what what method?
Answer:
Imagine you have just flicked a lighter. If you don’t see the flame, you will naturally try a second time. If after the second attempt it does not strike a flame, you will repeat your action again and again until it does. Eventually, you’ll see the flame and you’ll know that your lighter works. But what if it doesn’t? How long are you going to flick the lighter until you decide to give up?
Our everyday life is full of such decision dilemmas and uncertainty. We constantly have to choose between options, whether we make the most ordinary decisions – should I continue flicking this lighter? – or life-changing choices – should I leave this relationship? We can either keep on doing what we are already used to do, or risk unexplored options that could turn out much more valuable.
Some people are naturally inclined to take more chances, while others prefer to hold on to what they know best. Yet being curious and explorative is fundamental for humans and animals to find out how best to harvest resources such as water, food or money. While looking at the Belém Tower – a symbol of Portugal’s great maritime discoveries – from my office window, I often wonder what drives people to explore the unknown and what goes on in their brains when weighing pros and cons for trying something new. To answer these questions, together with Dr. Zachary Mainen and his team of neuroscientists, we investigate how the brain deals with uncertainty when making decisions.
Explanation:
It is well known that the decision-making process results from communication between the prefrontal cortex (working memory) and hippocampus (long-term memory). However, there are other regions of the brain that play essential roles in making decisions, but their exact mechanisms of action still are unknown.
what is the relationship among job,employment and education?
Answer:
i know it
Explanation:
Job/employment are the same for all intents and purposes.
The relationship between employment and education is a most obvious one.
First of all, “education” is not limited to just a college education. It includes (but is not limited to): trades, industry management track training, apprenticeships, as well as college.
When a prospective worker has knowledge, skills, abilities, and education (KSAEs), he/she increases his potential for better paying jobs. The more he/she increases those KSAEs the higher his/her job prospects go.
This is pretty much job/employment 101.
plz mark my answer to brainliest answer
Answer: n every single 1 we r learning sum and we r doing sum new
Explanation:
Conduct research on cases and issues in global trade. What types of businesses are best suited for doing business online?
Why? What type of issues might an online business deal with in the global market?
Operating a business online entails dealing with technical obstacles, security concerns, and consumer distrust.
Research based problem:While you can avoid or at least mitigate these difficulties, it's critical for company owners to keep an eye on prospective concerns in order to avoid big calamities.
Because the main providers they provide are information-based, professional service based firms are well-suited for the Internet.
Because the provision of these services necessitates the provider's physical presence, a household chores or lawn maintenance service company is not well suited for the Internet.
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Which of the following is an example of a soft skill?
A. Ability to use CSS spreadsheets
B. Ability to manage spreadsheets
C. Ability to work well with a project team
D. Ability to manipulate images using computer software
Answer:
Ability to work well with a project team
Explanation:
write a journal post with three things you might be able to do to go to college (or any other option you are considering after high school) without student loan debt?
Answer:
You can apply for scholarships, work in high school, and receive grants.
Explanation:
You can possibly graduate college without debt or little money owed back to a bank.
The first option is a scholarship, this money is usually only offered from a range of $500-fully paid tuition. You may have to apply to hundreds before you are granted some but they are offered from freshmen in high school all the way to almost graduating college.
Your second option is working, sophomore year is when you'd be able to get a job the earliest. Every paycheck you save about 20%, work all the way through college and you can save enough to pay for your first year, possibly second year of college. You could also work while you're a full-time student, it'd be hard work but it can be done.
Your third option, but not last is to apply for grants. This is basically free money, they differ from scholarships though. You do not have to pay grants back, and you can get sponsored by companies to pay your way through college.
Which of the following statements regarding retirement analysis is correct? O Performing a Monte Carlo Analysis will eliminate the risks associated with retirement planning O Small inaccuracies in the earnings rate or inflation rate will not have much impact over a long period of time. Sensitivity analysis consists of rotating each variable assumption toward the undesirable side of the risk to determine the negative impact a small change will have on the overall plan. O A Monte Carlo Analysis calculates three scenarios: a best case, an expected case, and a worst case basis.
The statements regarding retirement analysis that is correct is Sensitivity analysis consists of rotating each variable assumption toward the undesirable side of the risk to determine the negative impact a small change will have on the overall plan.
What is a retirement analysis?
A retirement plan analysis can be described as the examination of individuals current plan it can be seen as one that helps to determine if you are on a path to realize your goals for retirement. however the retirement plan analysis can be used to check if you have a plan as well as the contributions are on track.
In conclusion, the Sensitivity analysis can be regarded as the financial model that determines the target variables and the way it can beaffected based on changes in other variables known as input variables.
Therefore, option C is correct.
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For the purposes of the next questions, the First MD Curve is as before: MD=20,000−1,000i And the Second MD curve a new MD curve: MD=20,000−400i In the case of the Second MD curve, also assume that the Money Supply begins at 15,200. (So we start at the same interest rate in each case). 2 Note that once again, these MD curves are assumed to not vary with p or Y in the economy, despite the theory we covered in lecture. This is for mathematical convenience. 9. With the Second MD Curve, would the Central Bank need to change the Money Supply by more or less than it would with the First MD Curve if it wanted to close this inflationary gap? Explain your answer. [2 points] 10. Which of the two curves would Keynesians believe is more likely to be the case? Which is more in line with the monetarist point of view? Explain your answer.
With the Second MD Curve, the Central Bank would need to change the Money Supply by less than it would with the First MD Curve in order to close the inflationary gap.
This is because the slope of the Second MD Curve (-400) is smaller than the slope of the First MD Curve (-1,000). A smaller slope indicates that a smaller change in the Money Supply is required to achieve a given change in interest rates. Therefore, with the Second MD Curve, the Central Bank would have to make a relatively smaller adjustment to the Money Supply to close the inflationary gap.
Keynesians would be more likely to believe that the First MD Curve is closer to reality. Keynesian economics emphasizes the role of aggregate demand in determining economic output and employment. The First MD Curve, with its steeper slope, suggests a more responsive monetary policy that can help manage fluctuations in aggregate demand. On the other hand, the Second MD Curve, with its flatter slope, is more aligned with the monetarist point of view. Monetarists stress the importance of controlling the Money Supply to stabilize the economy, and the Second MD Curve implies that a smaller change in the Money Supply can have a significant impact on interest rates, supporting the monetarist perspective.
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true or false: companies who rely on network effects to create social value should encourage rapid scaling and shareable features.
True. Companies that rely on network effects to create social value should encourage rapid scaling and shareable features.
Rapid scaling allows a company to reach a large user base quickly, amplifying the network effects and increasing the overall value of the platform for its users. Network effects occur when the value of a product or service increases as more people use it.
Shareable features such as social media integration or referral programs, can also help to increase the number of users and accelerate growth. However, it's important for companies to balance rapid scaling with ensuring that their product or service remains high-quality and meets the needs of their users.
Additionally, companies should also consider the potential negative consequences of rapid scaling, such as overloading their systems or sacrificing user privacy.
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why is rationing sometimes good
Answer:
I got you gurl, becuase you could potentially change how it fits some places or put the good face facing forward, or if it was your pillow, to have the best sleep on the cold side, you never know everthing has its advantages, btw im supposed to do my hwk rn and i got bored so i dediced to be a good person and snoop around for some good questions to answer!!
freshman- doing biology hwk!
good luck ~ hope this helps!!
Explanation:
yall, life is goood!
Answer:
Rationing is the practice of controlling the distribution of a good or service in order to cope with scarcity.Explanation:
Hope It HelpsMort Silver owns a home. He estimates his expenses as mortgage interest, $10,180; property taxes, $3,690; insurance, $833; depreciation, $3,800; maintenance and repairs, $900; lost interest income, $2,375; and utilities, $2,450. He expects to save $3,700 in income taxes. What is his net cost of home ownership?
Answer:
$17,528.00
Explanation:
The net cost of home-ownership will be the expenses minus savings.
Mortgage interests: $10,180
Property taxes :$3,690
Insurance :$833
Depreciation :$800
Maintenance and repairs :$900
Loss interest income :$2,375
Utilities: $2,450
The total expenses
= $10,180 + $3,690 + $833 + $800 + $900 + $2,375 + $2,450
=$21,228
Savings
=$21,228 - $3,700
=$17,528.00
What is its value if the previous dividend was D=51.50 and investors expect dividends to grow at a constant annual rate of (1) −4%, (2) 0%, (3) 3%, or (4) 6%
The value of an investment depends on the growth rate of the dividends. Let's calculate the value of the investment using the formula for the present value of a growing perpetuity.
1. If the dividend growth rate is -4%, the formula becomes:
Value = D / (r - g)
Where D is the previous dividend, r is the required rate of return, and g is the growth rate. Plugging in the values:
Value = 51.50 / (r - (-0.04))
2. If the dividend growth rate is 0%, the formula simplifies to:
Value = D / r
Plugging in the values:
Value = 51.50 / r
3. If the dividend growth rate is 3%, the formula becomes:
Value = D / (r - g)
Plugging in the values:
Value = 51.50 / (r - 0.03)
4. If the dividend growth rate is 6%, the formula becomes:
Value = D / (r - g)
Plugging in the values:
Value = 51.50 / (r - 0.06)
Note that we need the required rate of return (r) to calculate the value of the investment accurately. The main answer will vary depending on the specific rate of return.
The value of an investment is calculated using the present value of a growing perpetuity formula. This formula takes into account the previous dividend, the growth rate of the dividends, and the required rate of return. By plugging in the given values, we can find the value of the investment for each growth rate. Keep in mind that the required rate of return is not provided, so the main answer will vary depending on that rate.
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On december 1, 2017, cone company issued its 10%, $2 million face value bonds for $2.3 million, plus accrued interest. interest is payable on november 1 and may 1. on december 31, 2019, the book value of the bonds, inclusive of the unamortized premium, was $2.1 million. on july 1, 2020, cone reacquired the bonds at 98 plus accrued interest. cone appropriately uses the straight-line method for the amortization because the results do not materially differ from those of the effective interest method.
required:
prepare a schedule to compute the gain or loss on this redemption of debt.
Cone Company redeemed its bonds on July 1, 2020, at 98 plus accrued interest. The schedule shows that the carrying value of the bonds at the time of redemption was $2.135 million, resulting in a gain of $15,000 for Cone Company.
The bond issue price was $2.3 million, which is $300,000 over the face value of $2 million. The premium of $300,000 was amortized over the life of the bonds.
From December 1, 2017, to June 30, 2020, the bonds were outstanding for 31 months, or 2.58 years.
The annual amortization of the premium is
$300,000 / 20 = $15,000.
The unamortized premium at the redemption date was
$15,000 x 2.5 years = $37,500.
The accrued interest on the bonds was
$50,000 ($2 million x 0.10 x 6/12).
Therefore, the total cost of the redemption was
$2.135 million ($2.1 million + $37,500 + $50,000).
The gain on redemption is
$15,000 ($2.135 million - $2.1 million).
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what do you think about how the seniors of 2020 should have there graduation.
Answer:in our town what the seniors are doing is they drive up to the field in their cars and then one by one get out and walk the stage.
Answer:
^^
Explanation:
Calculating Interest on Promissory Notes Receivable Houston Company receives a six-month note from a customer. The note has a face amount of $8,000 and an interest r…
Calculating Interest on Promissory Notes Receivable Houston Company receives a six-month note from a customer. The note has a face amount of $8,000 and an interest rate of nine percent. What is the total amount of interest income to be received?
a. $720
b. $540
c. $360
d. $180
Based on the given information, the total amount of interest income to be received from the six-month note with a face amount of $8,000 and an interest rate of nine percent is $360. Therefore, option c is correct.
To calculate the total amount of interest income, we need to multiply the face amount of the note by the interest rate and the time period. In this case, the face amount is $8,000, the interest rate is nine percent (0.09), and the time period is six months.
Interest Income = Face Amount × Interest Rate × Time Period
Interest Income = $8,000 × 0.09 × (6/12)
Interest Income = $8,000 × 0.09 × 0.5
Interest Income = $360
Therefore, the total amount of interest income to be received is $360.
Based on the given information, the total amount of interest income to be received from the six-month note with a face amount of $8,000 and an interest rate of nine percent is $360. This calculation is obtained by multiplying the face amount by the interest rate and the time period.
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Firms receive factors of production from households. In which part of GDP with a household receiving rents from businesses be considered?
a. Taxes
b. Capital
C. Net Exports
A CEO urges employees to buy stock in the company and then sells his/her personal stock because of
a coming change that will likely decrease the stock prices. The actions of the CEO showed
a. A keen business activity
b. Loyalty to the company
C. Unethical behavior
d. Honesty and integrity
Imagine you got into an auto accident which was your fault and you have 15/30/5 insurance. You did $5,000 damage to the other car, and broke a computer in the other car's trunk worth
$2,000.
There were 3 people in the other car and their medical bills were $12,000
each. The father in the other car also was out of work for a month costing the family $6,000.
In total, you are sued for $49,000.
How much money will the insurance company pay toward the amount you were sued for in this accident?
Answer:
The insurance company will pay up to a maximum of $25,000 for this accident. This is determined by the limits of the insurance policy, which is 15/30/5. This means that the insurance company will pay up to $15,000 for bodily injury per person ($15,000 x 3 people = $45,000) and up to $30,000 for bodily injury per accident ($30,000). They will also pay up to $5,000 for property damage ($5,000). Therefore, the total amount the insurance company will pay is $15,000 + $30,000 + $5,000 = $50,000. Since the total amount sued for is $49,000, the insurance company will pay the full amount of $49,000.
Explanation:
The insurance provider will cover this accident for a maximum of $25,000. The insurance policy's 15/30/5 limits serve as the basis for this decision. This indicates that the insurance provider will cover bodily injury claims up to the amount of $15,000 per person
What is the insurance?Insurance is a tool for risk management. You purchase protection against unforeseen financial losses when you purchase insurance. If something unpleasant happens to you, the insurance company pays you or someone else of your choosing. If an accident occurs and you don't have insurance, you can be liable for all associated expenses.
($15,000 x 3 people = $45,000) and $30,000 per accident ($30,000). Additionally, they will cover property damage up to $5,000 ($5,000). As a result, the insurance provider will cover a total of $50,000 ($15,000 + $30,000 + $5,000). The insurance provider will cover the full $49,000 since the total amount claimed in the lawsuit is $49,000.
Therefore, The insurance company will pay up to $25,000 toward this accident's expenses.
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When comparing a Variable Rate Demand Obligation (VRDO) to an Auction Rate Security (ARS), which statement is FALSE?
Answer:
Both have tender options.
Explanation:
Variable rate demand obligation and Auction rate securities both are long term bonds which have interest rate that reset weekly or monthly. This advantages the issuer with lower short term rates despite of long term security. Both of these securities are subject to credit risk of the issuer and they are marketed by broker dealers.
Business revenue is
money collected through product sales
money a firm must pay for production
taxes a firm must pay to the government
taxes collected by the government
Answer:
The correct answer to the following question will be Option A (money collected through product sales).
Explanation:
Revenue seems to be the amount of money a business generally earns for a given time, including promotions as well as exemptions for finished merchandise.Revenue is indeed the quantity of cash that always comes from the commercial operations of an organization. As throughout the price-to-sales measure, an equivalent to something like the price-to-earnings rate of return, which utilizes revenues in the divisor.The other given choices are not related to the given circumstances. So that Option A would be the right answer.
where does McKenna grace live? Brainliest for the correct answer
Answer:
McKenna grace lives in Texas of America.
A bank will not require security in the form of collateral as a guarantee the loan will be repaid.
True
False
an online auction is based on the _____ business model of e-commerce.
An online auction is based on the C2C (consumer-to-consumer) business model of e-commerce.
In a C2C model, consumers buy and sell goods or services directly with each other, without the involvement of a middleman or business entity.
Online auctions, such as eBay, allow individual sellers to list items for sale and buyers to bid on those items. The seller is responsible for shipping the item to the buyer and completing the transaction.
This type of e-commerce model has become increasingly popular due to its convenience, low cost, and accessibility. In addition to online auctions, other examples of C2C e-commerce include classified ads, peer-to-peer lending, and online marketplaces for services like Airbnb or Uber.
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