In order for Hollis Construction to be in full compliance with the Americans with Disabilities Act, the manager needs a ________ for each position to validate all human resource activities.A) performance appraisalB) compensation scheduleC) workflow systemD) job analysis

Answers

Answer 1

The manager at Hollis Construction needs a job analysis for each position to be in full compliance with the Americans with Disabilities Act.

A job analysis is a systematic process of gathering and analyzing information about the duties, responsibilities, and necessary skills and knowledge required for a particular job. It is a crucial tool for ensuring that job requirements do not discriminate against individuals with disabilities and for identifying reasonable accommodations that may be necessary for disabled employees. By conducting job analyses, Hollis Construction can ensure that all human resource activities, including recruitment, selection, training, and performance evaluation, are based on objective and non-discriminatory criteria that are essential for complying with the ADA.

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Related Questions

Tax and spending decisions made by the president and Congress.

fiscal policy
fiscal period
fiscal expenses

Answers

Any tax and spending decisions made by the president and Congress is known as a fiscal policy.

What is a fiscal policy?

In economics, a fiscal policy refers to those policy that are used by governments to stabilize the economy, most specifically, by manipulating  allocations of taxes and government expenditures. These policies are used in tandem with monetary policy to achieve certain goals.

In an overview, the goals of both fiscal and monetary policy are to maintain full employment, high rate of economic growth and stabilize prices and wages. Therefore, the tax and spending decisions made by the president and Congress is known as a fiscal policy.

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When multinational corporations invest their funds to start a business in a foreign country, this is called a(n): A. FDI.
B. TPI.
C. LDC.
D. TNI.

Answers

When multinational corporations invest their funds to start a business in a foreign country, this is called LDC. The correct answer is C. LDC.

Less Developed Country is referred to as an LDC Option B and Option C are incorrect since by definition, a foreign direct investment is one that originated outside of the country.

And it is quite doubtful that another less developed country will be able to invest in another developing nation. A foreign direct investment, or FDI, typically buys foreign commercial assets with the intention of establishing ownership or having a controlling stake in a firm or corporation in a different region or country.Therefore, when a foreign corporation invests in a company in an LDC and assists in the construction of a new plant, this is not a kind of foreign direct investment because purchasing a stock does not give you the power to manage the entire company.

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when conveying title to real property, what is needed to create a valid escrow?

Answers

When conveying title to real property, creating a valid escrow requires several steps. First, the parties involved must agree on the terms of the sale, including the purchase price, payment terms, and any contingencies. Then, a written agreement, such as a purchase agreement or contract, must be executed by all parties involved.

This agreement should outline the terms of the sale and identify the escrow agent responsible for managing the transaction. Once the agreement is in place, the buyer must deposit funds into the escrow account, which is typically held by a neutral third-party escrow agent. The seller must then transfer ownership of the property to the buyer, and any necessary inspections or repairs must be completed.

When all conditions of the agreement have been met, the escrow agent will release the funds to the seller, and the buyer will take possession of the property. This ensures that both parties have fulfilled their obligations under the agreement and protects against fraud or other legal issues. Overall, creating a valid escrow is essential for ensuring a smooth and legally sound real estate transaction.

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Complete the following sentence.
The acronym ADA stand for
(tourism)

Answers

Answer:

Americans with Disabilities Act

Explanation:

:)

In which situation would fdi deteriorate the current account of the host country’s balance of payments?.

Answers

When a foreign subsidiary purchases a sizable portion of its raw materials.

Which could have a negative impact on a host country's balance of payments?

The stated negative economic effects of FDI, particularly in the heavy industries, include balance of payments deficits, less domestic R&D, diminished competition, crowding out of domestic enterprises and lower employment.

Which of the following scenarios would an increase in FDI help the host country's current account and balance of payments?

When jobs are created as a result of FDI in local suppliers as well as when employees of the MNE boost their local spending, these are considered indirect benefits of FDI.

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Scenario A

College graduates are moving back in with family in record numbers. They are waiting longer than previous generations to buy homes and start families. Data show downward trends in new home building, mortgage applications, and the birthrate. Multiple markets are complaining of falling demand. A national supplier of home goods permanently shut down. The media is calling babies born today part of the “baby bust generation.” Economists predict future school closings and labor shortages.




Would the Fed address the scenario with expansionary or contractionary policy? Explain.

What is a specific monetary action the Fed might use in this scenario? Identify the tool and how the Fed would use it. Explain how this would address the scenario.

What is a specific fiscal action that Congress might use in this scenario?

Answers

The Fed would address the scenario with an expansionary policy as this is the policy that stimulates demand.

The specific monetary action that the Fed can take in this scenario is decreasing the Fed Funds rate, to reduce interest rates on loans.

Congress can use the specific fiscal action by offering tax breaks to young people who buy houses.

How can demand be stimulated ?

The Fed Funds rate is the rate that banks borrow from each other. If the Fed was able to decrease this rate, then it would lead to loan interest rates falling which would allow the young college graduates to be better able to buy homes and start families.

Congress for its part, can embark on the fiscal action of giving tax breaks to young college graduates who buy houses and start families. This would encourage them to buy houses knowing they will pay less taxes.

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The treasurer of Systems Company has accumulated the following budget information for the first two months of the coming year:March AprilSales. $450,000 $520,000Manufacturing costs 290,000 350,000Selling and administrative expenses 41,400 46,400Capital additions 250,000 ---The company expects to sell about 35% of its merchandise for cash. Of sales on account, 80% are expected to be collected in full in the month of the sale and the remainder in the month following the sale. One-fourth of the manufacturing costs are expected to be paid in the month in which they are incurred and the other three-fourths in the following month. Depreciation, insurance, and property taxes represent $6,400 of the probable monthly selling and administrative expenses. Insurance is paid in February and a $40,000 installment on income taxes is expected to be paid in April. Of the remainder of the selling and administrative expenses, one-half are expected to be paid in the month in which they are incurred and the balance in the following month. Capital additions of $250,000 are expected to be paid in March.Current assets as of March 1 are composed of cash of $45,000 and accounts receivable of $51,000. Current liabilities as of March 1 are composed of accounts payable of $121,500 ($102,000 for materials purchases and $19,500 for operating expenses). Management desires to maintain a minimum cash balance of $20,000.Prepare a monthly cash budget for March and April.

Answers

Answer:

March $6,000

April $134,400

Explanation:

Preparation of a monthly cash budget for March and April

SYSTEMS COMPANY CASH BUDGET FOR MARCH AND APRIL

March April

Estimated cash receipts from:

Cash sales $157,500 $182,000

($450,000*35%=$157,500)

($520,000*35%=$182,000)

Collections of accounts receivable

$285,000 $328,900

[$51,000+($450,000*65%*80%)=$285,000]

[($450,000*65%*20)+($520,000*65%*80%)=$328,900]

Total cash receipts $442,500 $510,900

($157,500+$285,000=$442,500)

($182,000+$328,900=$510,900)

Estimated cash payments for:

Manufacturing costs $174,500 $305,000

[$102,000+($290,000*1/4)=$174,500]

[($290,000*3/4)+($350,000*1/4=$305,000)]

Selling and administrative expenses $37,000 $37,500

[($41,400-$6,400)/2 + $19,500 $37,000]

[($46,400-$6,400)/2 +$19,500$37,500]

Capital additions $250,000 $0

Income taxes $0 $40,000

Total cash payments $461,500 $382,500

Cash increase (decrease) -$19,000 $128,400

($442,500-$461,500=-$19,000)

($510,900-$382,500=$128,400)

Cash balance at beginning of month $45,000 $26,000

Cash balance at end of month $26,000 $154,400

(-$19,000+$45,000=$26,000)

($128,400+$26,000=$154,400)

Minimum cash balance $20,000 $20,000

Excess (deficiency) $6,000 $134,400

($26,000-$20,000=$6,000)

($154,400-$20,000=$134,400)

Therefore The monthly cash budget for March and April will be :

March $6,000

April $134,400

Systek 22 Inc. made a promise to Garrett offering him a job with an annual salary of $150,000 and at least two years of employment. Since Garrett had to move to New York for the new job, Systek 22 also offered to reimburse all of his moving expenses. Based on this promise, Garrett resigned from his job at another firm that offered him an annual salary of $100,000. When Garrett moved to New York, his employment with Systek 22 was terminated, because the company found a candidate who was willing to work for a lesser salary. Which of the following is true of this situation? Group of answer choices Garrett cannot sue Systek 22 since the promise was oral. Garrett cannot sue Systek 22 since the reasons for termination will be accepted in court as a legal detriment. Garrett can sue Systek 22 only for the moving expenses that Garrett can prove he incurred. Garrett can sue Systek 22 under the doctrine of promissory estoppel. Garrett cannot file a lawsuit since a promise of employment is always subject to market conditions.

Answers

Garrett can sue Systek 22 under the doctrine of promissory estoppel.

What is legal detriment?

The simple act of giving up a legal right—even something as basic as the ability to spend one's money on something else—is known as a "legal disadvantage." It could also imply that the party causing the harm refrains from acting in a way that would otherwise be appropriate.

What does a legal disadvantage look like?

The "something" that is promised or provided must be something that is known as a legal detriment—an act, forbearance, or a promise of such from the promise. It cannot be just anything, including a feeling of pride, warmth, amusement, or friendship.

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Morricone Inc. has a position in a stock portfolio comprising the companies listed in Table 1. Correlation coefficients between stock returns are given in the correlation matrix. Table 1 Stock Position (£m) Daily Volatility 15 1.45% Eastwood Inc. Van Cleef Inc. 16 1.25% Wallach Inc. 12 1.1% Correlation Matrix Eastwood Van Cleef Eastwood 1 0.7 Van Cleef 1 Wallach Wallach 0.65 0.85 1 (a) Calculate the 5-day 95% value at risk (VaR) for the portfolio. (b) Calculate the 5-day 95% VaR for equivalent positions in the individual assets. (c) Explain and critically evaluate your results from parts (a) and (b).

Answers

The 5-day 95% Value at Risk (VaR) for the portfolio is £0.3389 million, considering the correlation matrix and daily volatilities.The individual assets' equivalent positions have VaR values of £0.3364 million for Eastwood Inc. and £0.4144 million for Van Cleef Inc.The portfolio's VaR is slightly lower than the sum of the VaR for individual assets, indicating a diversifying effect due to the correlation between Eastwood Inc. and Van Cleef Inc.

To calculate the 5-day 95% Value at Risk (VaR) for the portfolio, we need to consider the correlation matrix and the daily volatilities of the stocks in Table 1.

The formula for portfolio VaR is given by VaR_portfolio = (Portfolio Volatility) * (Z-score), where the Z-score corresponds to the desired confidence level.

(a) To calculate the portfolio VaR, we first need to determine the portfolio volatility. Using the correlation coefficients and volatilities provided, we can calculate the portfolio volatility as follows:

Portfolio Volatility = sqrt[(w1^2)*(σ1^2) + (w2^2)*(σ2^2) + 2*(w1)*(w2)*(σ1)*(σ2)*(ρ12)],

where w1 and w2 are the weights of Eastwood Inc. and Van Cleef Inc. in the portfolio, σ1 and σ2 are their respective daily volatilities, and ρ12 is the correlation coefficient between them.

Plugging in the values, we get:

Portfolio Volatility = sqrt[(15^2)*(0.0145^2) + (16^2)*(0.0125^2) + 2*(15)*(16)*(0.0145)*(0.0125)*(0.7)] = 0.2058.

Next, we need to determine the Z-score corresponding to a 5-day 95% confidence level. Assuming a normal distribution, the Z-score for a 95% confidence level is approximately 1.645.

Finally, we can calculate the portfolio VaR:

VaR_portfolio = (Portfolio Volatility) * (Z-score) = 0.2058 * 1.645 = 0.3389.

Therefore, the 5-day 95% VaR for the portfolio is £0.3389 million.

(b) To calculate the 5-day 95% VaR for equivalent positions in the individual assets, we can apply the same formula as above but consider each asset individually. For Eastwood Inc., the calculation would be:

VaR_Eastwood = (Position) * (Volatility) * (Z-score) = 15 * 0.0145 * 1.645 = 0.3364 million.

Similarly, for Van Cleef Inc., the calculation would be:

VaR_Van Cleef = (Position) * (Volatility) * (Z-score) = 16 * 0.0125 * 1.645 = 0.4144 million.

(c) The results from parts (a) and (b) show that the portfolio VaR (0.3389 million) is slightly lower than the sum of the VaR for individual assets (0.3364 million for Eastwood Inc. and 0.4144 million for Van Cleef Inc.).

This suggests that the correlation between Eastwood Inc. and Van Cleef Inc. (0.7) has a diversifying effect, reducing the overall risk in the portfolio.

However, it is important to note that the VaR measure assumes a normal distribution of returns and relies on historical data, which may not accurately capture extreme market events or changes in correlations.

Therefore, VaR should be used as a tool for risk assessment alongside other risk management techniques and considerations.

In addition, the VaR calculated here only provides an estimate of potential losses at a specific confidence level (95% in this case) over a specific time horizon (5 days).

It does not capture the possibility of losses exceeding the VaR estimate in extreme scenarios. Therefore, it is crucial to continually monitor and assess risks in the portfolio.

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Rollins Company accumulates the following adjustment data at December 31 . (a) Service revenue eamed but unbilled totals $600. (b) Store supplies of $300 are on hand. Supplies account shows $1,900 balance. (c) Utility expenses of $275 are unpaid. (d) Service revenue of $490 collected in advance has been eamed. (e) Salaries of $800 are unpaid. (f) Prepaid insurance totaling $400 has expired. Instructions (a) Prepare journal entries for each of the events above. (b) Indicate the type of adjustment (prepaid expense, uneamed revenue, accrued revenue, or accrued expense). Problem 3. In its first year of Operations Buddy Company earned $28,000 in service revenue, $6,000 of which was on account and still outstanding at year-end. The remaining $22,000 was received in cash from customers. The company incurred operating expenses of $14,500. Of these expenses $13,000 were paid in cash; $1,500 was still owed on account at year-end. In addition, Buddy prepaid $3,600 for insurance coverage that would not be used until the second year of Operations. Instructions (a) Calculate the first year's net earnings under the cash basis of accounting, and calculate the first year's net earnings under the accrual basis of accounting. (b) Which basis of accounting (cash or accrual) provides more useful information for decision makers?

Answers

(a) The first year's net earnings under the cash basis of accounting is $9,000.

(b) The first year's net earnings under the accrual basis of accounting is $13,500.

Accrual basis of accounting provides more useful information for decision makers.

Journal entries for the events above are as follows:

(a) Debit: Service Revenue Accounts Receivable $600 Credit: $600

(b) Debit: Supplies Expense Supplies $300 Credit: $300

(c) Debit: Utility Expense Accounts Payable $275 Credit: $275

(d) Debit: Unearned Service Revenue Service Revenue $490 Credit: $490

(e) Debit: Salaries Expense Salaries Payable $800 Credit: $800

(f) Debit: Insurance Expense Prepaid Insurance $400 Credit: $400

The types of adjustments are as follows:

(a) Unearned revenue

(b) Prepaid expense

(c) Accrued expense

(d) Accrued revenue

(e) Accrued expense

(f) Prepaid expense

In its first year of operations, Buddy Company earned $28,000 in service revenue. $6,000 of the revenue was on account and still outstanding at year-end, while the remaining $22,000 was received in cash from customers. The company incurred operating expenses of $14,500, with $13,000 paid in cash and $1,500 still owed on account at year-end. Additionally, Buddy prepaid $3,600 for insurance coverage that would be used in the second year.

(a) The first year's net earnings under the cash basis of accounting is $9,000.

(b) The first year's net earnings under the accrual basis of accounting is $13,500.

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Use the truth table for the disjunction argument to
answer the questions.
The case where p and q are true is given by the
Disjunction is true for all cases except when
The third row means that when p is false and q is true,
the disjunction is

Use the truth table for the disjunction argument toanswer the questions.The case where p and q are true

Answers

The given truth table, disjunction is true because even if one of the statements is false, the whole disjunction is still true.

What is the rule for a disjunction?

Disjunction is a type of logical connective that is represented by the symbol and corresponds to the word "or" in a common language. The character is referred to as an infix operator. Any one of the statements in a disjunction must be true for it to be true.

Given that every phrase must either be true or untrue, the disjunct of any statement and its negation is always true in classical bi-valued logic. The first disjunct and the entirety of the phrase are true if p is true. A conjunction is nonetheless true even if just one of its statements is untrue. A disjunction is false as a whole if only one of its statements is true.

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Answer:

Explanation:

1. first row

2. p and q are false

3. true

Which expense is a variable cost?

A) hourly wages for a production employee

B) insurance payment

C) monthly rent on a store

D) purchase of a new copy machine

Answers

Hourly wages for a production employee. Variable costs are costs that fluctuate with the level of production or sales and can include expenses such as raw materials, packaging, and wages for production employees.

What is Variable costs?

Variable costs are costs that change in relation to the amount of goods or services produced. These costs are typically directly related to production and can include the cost of materials, labor, and other related expenses. Variable costs differ from fixed costs, which remain constant regardless of production levels. Variable costs are important to consider when setting a price for a product, as they should be taken into consideration to ensure that the product is profitable. By understanding variable costs, businesses can adjust production levels to ensure that they remain profitable.

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Answer:

A- Hourly wages for a production employee

Explanation:

Correct anser on my test. Hope this was helpful

gabriel invested 240,000 in a time deposit account at 7.5% compounded semi-annually. how much is the value of the fund if it is withdrawn after 2 years and 3 months?

Answers

The value of the fund if it is withdrawn after 2 years and 3 months is approximately 281,352.

To determine the value of Gabriel's investment after 2 years and 3 months, we need to use the formula for compound interest:

\(A = P(1 + r/n)^{nt}\)

Where:
A = the future value of the investment
P = the initial principal balance (240,000)
r = the annual interest rate (7.5% or 0.075)
n = the number of times interest is compounded per year (semi-annually, so 2)
t = the number of years the money is invested (2 years and 3 months, or 2.25 years)

Now, let's plug in the values and calculate the future value of Gabriel's investment:

\(A = 240,000(1 + 0.075/2)^{2*2.25}\)

First, divide the annual interest rate by the number of compounding periods per year:

0.075 / 2 = 0.0375

Next, add 1 to the result:

1 + 0.0375 = 1.0375

Now, multiply the number of years by the number of compounding periods per year:

2.25 * 2 = 4.5

Raise the value we calculated in step 2 to the power of the result from step 3:

\(1.0375 ^ {4.5}\) ≈ 1.1723

Finally, multiply the initial principal balance by the result from step 4:

240,000 * 1.1723 ≈ 281,352

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what is a form in computer?​

Answers

In a database context, a form is a window or screen that contains numerous fields, or spaces to enter data. Each field holds a field label so that any user who views the form gets an idea of its contents. A form is more user friendly than generating queries to create tables and insert data into fields.

How do the 4 factors change based upon the business for which they are needed?

Answers

Answer:

Economists divide the factors of production into four categories: land, labor, capital, and entrepreneurship.

Sales taxes collected by a retailer are recorded by.

Answers

Answer:

There recorded by sales

Explanation:

Sales taxes collected by a retailer are recorded as credit to sales taxes payable under the current liabilities section on the balance sheet.

Sales taxes collected by a retailer are typically recorded by the retailer themselves for accounting and reporting purposes.

How is the sales tax collected

This is done to ensure compliance with tax regulations and to accurately track the amount of sales tax owed to the appropriate tax authority.

Retailers usually use point-of-sale (POS) systems or specialized accounting software to record sales transactions and calculate the sales tax amount. These systems are programmed to apply the appropriate tax rate based on the location of the sale and the type of product or service being sold.

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What type of advertising is the slogan "Friends Don't Let Friends Drive Drunk"?
А.
product advertising
B.
corporate advertising
C.
retail advertising
D.
ublic service advertising

Answers

D. Public service announcement

I Need Help ASAP!!!

1)Purchasing an insurance policy is an example of what approach to risk mitigation?
•Tolerate
•Transfer
•Terminate
•Treat

2)Working through your lunch break is a good way to get more done.
•True
•False

3)The Rhode Island System employed workers as young as age
•seven.
•nine.
•twelve.
•fourteen.

4) A lack of resources may lead a company to take which approach to risk mitigation?
•Tolerate
•Transfer
•Terminate
•Treat

5) What type of manufacturing employee is usually in charge of creating work schedules?
•Operator
•Operations manager
•Assembly line worker
•Quality manager

6)The Equal Opportunity Employment laws ensure that all workers
•get regular breaks.
•receive a raise once a year.
•are treated fairly.
•have union rights.

7) A punctual employee has a sense of
•integrity.
•self-discipline.
•pride.
•personal responsibility.

8) Emotions can impede active listening.
•True
•False

9) Data collected as a result of a process is referred to as
•information processing.
•material processing.
•feedback.
•output.

10) The term laissez-faire
comes from the French word meaning
•let do.
•make do.
•make happy.
•be happy.

Answers

Answer:

8.treat people fairly

Please help?? WILL MARK IF THERE ARE MULTIPLE ANSWERS!!!!!

Please help?? WILL MARK IF THERE ARE MULTIPLE ANSWERS!!!!!

Answers

High school probably

A monopoly reduces the overall welfare of society and earns profit in the process because, compared to a competitive market,
A) price is lower
B) producer surplus is higher
C) total surplus is lower
D) consumer surplus is lower
E) output is higher
F) economic profits are lower

Answers

A monopoly reduces the overall welfare of society and earns profit in the process because, compared to a competitive market,

B) producer surplus is higher

C) total surplus is lower

D) consumer surplus is lower

Definition of Producer Surplus.

Producer surplus is the difference between the price a person would accept for a certain quantity of a good and the price they could get for the good if they sold it at market value. The producer benefits from market sales of the good by receiving the difference or surplus amount.

Market prices above the lowest price producers would normally be willing to accept for their goods result in a producer surplus. The Walras law may be relevant here.

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A demand loan for $6691.33 with interest at 7.2% compounded quarterly is repaid after 6 years, 4 months. What is the amount of interest paid?
The amount of interest is $
(Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed)

Answers

A demand loan for $6691.33 with interest at 7.2% compounded quarterly is repaid after 6 years, 4 months. The amount of interest paid is $3,746.12.

To calculate the amount of interest paid, we can use the formula for compound interest: A = P(1 + r/n)^(nt)

Where:

A = the final amount (loan + interest)

P = the principal amount (loan)

r = interest rate per period

n = number of compounding periods per year

t = number of years

Given:

Principal amount (P) = $6691.33

Interest rate (r) = 7.2% = 0.072 (expressed as a decimal)

Number of compounding periods per year (n) = 4 (quarterly compounding)

Number of years (t) = 6 years + 4 months = 6.33 years

Substituting these values into the formula, we can calculate the final amount (A):A = $6691.33(1 + 0.072/4)^(4*6.33)

A ≈ $10,437.45

To find the amount of interest paid, we subtract the principal amount from the final amount:

Interest = A - P = $10,437.45 - $6691.33 = $3,746.12

Therefore, the amount of interest paid is $3,746.12.

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Management, can anyone help me?

Management, can anyone help me?

Answers

I think it is C I looked up some stuff and they all add up to C

PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST) PERSONAL & FAMILY FINANCE

Which statement BEST argues that stock markets can be good for society?





The stock market helps people earn money without having to pay any taxes on their income.





The government requires all companies to participate in the stock market





The stock market allows individuals to invest money and create more money.

Answers

Answer:

C

Explanation:

Answer:

C.

The stock market allows individuals to invest money and create more money.

Explanation:

If a person spends $15 a week on coffee (assume $750 a year), what would be the future value of that amount over 10 years if the funds were deposited in an account earning 3 percent?

Answers

$750 x 11.464 = $8,598 Calculating the Potential Future Value of Savings.

The value of a current asset at some point in the future based on an assumed rate of growth is known as future value (FV). For investors and financial planners, the future value is crucial because they use it to predict how much an investment made today will be worth in the future.

The goal is to account for the time value of money over the given time period in the present value of a sum of money. If the interest rate is 10% and the present value is $1, then the future value of that dollar will be $1.10. The mix of stocks, bonds, and other investments in your portfolio can be determined using future value as well.

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Define the following:
1. Allocation of resources
2. Economic system
3. Market economy

Answers

Allocation of resources is the assignment of available resources to various uses.Economic system is a system of production, resource allocation and distribution of goods and services within a society or a given geographic area.Market economy is an economic system where supply and demand, direct the production of goods and services.

1. Allocation of resources

apportionment of productive assets among different uses.

2. Economic system

by which societies or governments organize and distribute available resources, services, and goods across a geographic region or country.

3. Market economy

an economic system where two forces, known as supply and demand, direct the production of goods and services.

eg: US, Japan

How do political campaigns get their money?

Answers

The only source of funding for the public funding scheme and public campaign funding is the tax checkoff.

How does campaign funding work?

Political candidates raise money to finance their campaigns and show the range of their support. Political party committees, political action committees, and individual donors can all contribute to campaigns.

Direct contributions to federal campaigns are prohibited from coming from businesses, labor unions, and membership organizations.

By setting up political action committees, they can have an impact on federal elections.

These committees enlist the support of members and associates in order to finance or contribute to campaigns. Federal restrictions apply to how much money PACs can raise and spend.

Taxpayers who decide to contribute directly to the Presidential Election Campaign Fund when filing their tax returns help finance some presidential campaigns.

To be eligible for these funds, candidates must consent to spending and fundraising restrictions.

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a decrease in the money supply might indicate that the fed had a. purchased bonds in an attempt to increase the federal funds rate. b. purchased bonds in an attempt to reduce the federal funds rate. c. sold bonds in an attempt to increase the federal funds rate. d. sold bonds in an attempt to reduce the federal funds rate.

Answers

The Fed may have sold bonds in an effort to lower the federal funds rate if there was a decline in the money supply.

A bond is a fixed-income investment that simulates a loan from a shareholder to a borrower (typically corporate or governmental). An I.O.U. between the lender and borrower that specifies the terms of the loan and its instalments is what is meant by a bond. Businesses, local governments, states, and other types of government use bonds to finance their operations and capital expenditures. The holders of bonds are the issuer's creditors or debtors.

Bond specifics typically include the conditions for the borrower's variable or fixed interest payments as well as the end date by which the loan's principal is needed to be paid to the bond owner.

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3. Considered the back office", Involves behind the scenes paperwork
required to complete all transactions. Found in both the service and the
manufacturing sector *

Answers

Answer:

The back office is the portion of a company made up of administration and support personnel, who are not client-facing. Back-office functions include settlements, clearances, record maintenance, regulatory compliance, accounting, and IT services.

Explanation:

A d d m e o n d i s c o r d
Katelyn#6394

Answers

Answer:

ok and thanks for the points

thanks:)

Answer:

ok

Explanation:

FREEEEEEE POINTS

Question 9 of 10
3 Points
Suppose a merchant in a moneyless economy traded his goods for a large
amount of purple fabric. He intended to use the fabric to trade for other
goods in another location. While he traveled to the other marketplace,
however, a trade ship arrived with a large shipment of purple fabric. As a
result, the merchant was only able to trade his fabric for about half of what he
had expected it to be worth in return. This situation illustrates the need for
what aspect of the purpose of money?
A. Preservation of value
B. Unit of measure
C.Ease of exchange
D.Government endorsement
I NEED HELP PLEASE!!

Answers

Answer:

Preservation of value

Explanation:

One of the advantages of money over trade by barter or any other moneyless transaction is the time value of money.

Time value of money can be explained as the ability of money to preserve its value and even increase in nearest future due to its potential earning capacity.

It can be inferred from the given scenario that the purples fabrics has lost a significant value due to the surplus of supply in the market place as it could no longer achieve the original worth.

Answer:

A) Preservation of value!

Explanation:

This means preserving a value, the cost of things at one point and another, you want to preserve that value in order to get the most out of your payment.

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