______________ provide both positive and potentially negative information to job candidates.

Answers

Answer 1

Realistic job previews present prospective hopefuls with both positive and potentially negative information.

Understanding Negative Information:

Negative information includes loan and credit card late payments, delinquent accounts, charge-offs, accounts sent to collection, bankruptcies, short sales, deeds in lieu of foreclosure, and foreclosures. While not legally considered negative information, certain sorts of inquiries might have a detrimental impact on your credit score. There are two kinds of questions: harsh and soft. A hard inquiry occurs when a lender or other business investigates your credit as part of the process of deciding whether or not to approve your loan or credit request.

To learn more about Negative information

https://brainly.com/question/27712086

#SPJ4


Related Questions

Do you think percentage gains
would get more varied or less
varied if you added additional
mutual funds to your portfolio?

Answers

I think more varied if you added additional mutual funds you would have a more diverse portfolio.

If there is always a three-for-one tradeoff between goods X and Y, then the PPF between X and Y is:_______
a. a downward-sloping curve that is bowed outward.
b. a downward-sloping curve that is bowed inward.
c. a downward-sloping straight line.
d. an upward-sloping straight line.

Answers

Answer:

c. a downward-sloping straight line.

Explanation:

In case when there is a three for one tradeoff lies between the X goods and Y goods so the curve of PPF should be fall sloping contains straight line. This slope should be downward as it generated more and more of one goods and it could be sacrificed for the other good and the reason of the straight line is that here the opportunity cost would remain the same or constant

Therefore in the given case, the correct option is C.

A straight line, downward - sloping demand curve often mean that, as price falls, there is an elasticity of demand. If there is always a three-for-one tradeoff between goods X and Y, then the PPF between X and Y is a Downward-sloping straight line.

Trade-off is simply known as a situational decision. It is simply the reduction of one quality, quantity, or property so as to get gains in other areas.

It is simply known as where one thing increases, another have to decrease. it often arise from limitations of a lot of source.

It is often called a tactical or strategic choice made with full knowledge of the advantages and disadvantages of each decision.

learn more from

https://brainly.com/question/8475898

The field of economics is most concerned with studying:

A. the ways physical capital is formed in nature
B. the biological differences between people's wants and needs
C. the ways people elect their leaders in a democracy
D. the choices people make with limited resources

Answers

Answer:

I think :

D. the choices people make with limited resources.

The field of economics is most concerned with studying the choices people make with limited resources. Thus option D is correct.

What is the Economics system?

An economic system is a mechanism used by communities or authorities to coordinate and allocate wealth, activities, and goods throughout a territory or nation. The factors that affect production, such as land, cash, labor, and natural facilities, are governed by economic structures.

In economics, it is studied what people want and what are their needs. This is to make sure that how with the limited amount of resources the people adjust.

The choices that they make. Also how the resources rea being allocated. As the market provides different choices people will take choose accordingly.  Therefore, option D is the correct option.

Learn more about the Economic system, Here:

brainly.com/question/1292260

#SPJ2

the code and standards establishes a fiduciary duty for cfp® professionals. when does the fiduciary duty apply?

Answers

The fiduciary duty for CFP® professionals established by the Code and Standards applies in all client relationships. This means that CFP® professionals are required to act as fiduciaries whenever they are providing financial planning or material elements of financial planning to clients, regardless of the compensation structure or the type of account or service involved.

Under the fiduciary duty, CFP® professionals are required to act in the best interests of their clients, placing the clients' interests ahead of their own. This duty includes the obligation to exercise due care, act with loyalty and good faith, disclose material conflicts of interest, and provide full and fair disclosure of all material facts relating to the client engagement.

Furthermore, the fiduciary duty requires CFP® professionals to provide ongoing monitoring and communication to ensure that the client's financial goals are being met and that any changes in the client's circumstances are taken into account. The fiduciary duty applies to all aspects of the client engagement, including the initial engagement, the development and implementation of the financial plan, and ongoing monitoring and review of the plan.

For more such question on fiduciary duty

https://brainly.com/question/30653921

#SPJ4

Business Application Identify the common testing procedures for the SDLC implementation at your organiza- tion. Evaluate whether they address the need for security with passive system code scanning. Evaluate the need for penetration testing and whether this has been done in the past. If penetration testing is not part of the SDLC process at your organization, identify a feasible solution for actively testing new software systems for compromise.

Answers

The Software Development Life Cycle (SDLC) is a methodology used for developing information systems and software applications. It encompasses several stages, each with its own testing procedures to ensure application quality. These stages include planning and requirements, design, implementation and development, and maintenance. Evaluating the testing procedures for security is crucial to enhance application security and integrity. This evaluation includes passive system code scanning, penetration testing, and actively testing new software systems for compromise.

1 ) Passive System Code Scanning:

  - Passive code scanning is currently not included in the testing procedures.

  - Incorporating passive code scanning is necessary to analyze software code for vulnerabilities and weaknesses.

  - Passive code scanning enhances security by detecting potential exploits that could be used by hackers.

2 ) Penetration Testing:

  - Penetration testing simulates real-world cyberattacks to assess application security.

  - It is an essential step in the SDLC testing procedures.

  - Penetration testing identifies vulnerabilities and weaknesses.

  - If not previously conducted, it is crucial to include penetration testing in the SDLC to ensure application security.

3 ) Feasible Solution for Actively Testing New Software Systems for Compromise:

  - The recommended approach is to employ a third-party penetration testing service.

  - Third-party penetration testers specialize in testing software applications for vulnerabilities.

  - They conduct comprehensive testing and provide detailed reports on weaknesses and vulnerabilities.

  - Using a third-party service ensures active testing of new software systems to prevent compromise.

By following these testing procedures, organizations can enhance the security and integrity of their software applications. Incorporating passive code scanning, conducting penetration testing, and utilizing third-party services for active testing are vital steps to ensure application security throughout the SDLC.

Learn more about Software Development Life Cycle (SDLC) from the given link:

brainly.com/question/9977671

#SPJ11

if a person is taxed $100 on an income of $1,000, taxed $180 on an income of $2,000, and taxed $220 on an income of $3,000, this person is paying a: group of answer choices progressive tax. poll tax. proportional tax. regressive tax.

Answers

This person is paying a regressive tax. This is because the tax rate is decreasing with an increase in income.

How to determine the type of Tax?


1. Calculate the tax rate for each income level:


- $100 tax on $1,000 income: (100/1000) * 100 = 10%
- $180 tax on $2,000 income: (180/2000) * 100 = 9%
- $220 tax on $3,000 income: (220/3000) * 100 = 7.33%

2. Analyze the tax rates:


- Progressive tax: Tax rate increases as income increases.
- Poll tax: A fixed tax amount, regardless of income.
- Proportional tax: A constant tax rate for all income levels.
- Regressive tax: Tax rate decreases as income increases.

Based on the tax rates calculated, this person is paying a regressive tax, as the tax rate decreases when the income increases (10% to 9% to 7.33%).

To know more about tax visit:

https://brainly.com/question/13745838

#SPJ11

evaluate three ways in which employment will minimize emotional stress

Answers

Answer:

Employment allows you to provide for yourself and your family. With employment, you are likely to have your basic necessities covered, like food, utilities and housing.

Employment makes you feel useful in some way, makes you feel as a contributing member of society, a feeling that helps you increase your feelings of self-worth.

Finally, employment helps you plan ahead for the future. If the employment pays well, or if you manage to spend less than you earn, employment allows you to save money, which is the first step in building a personal equity.

The ways in which employment minimizes emotional stress include:

An employment provides a means of socialisation. This would reduce isolation. An employment is a source of income. This allows people to be able to afford luxuries that would reduce emotional stress. Employment reduces idleness.

What is employment?

Employment refers to when members of the labor force have a job for which they receive some form of compensation.

The Italy can produce 20 Gas turbines and 60 Tyres. France can produce 80 Gas turbines and 30 Tyres.
a). What is the opportunity
cost of producing Gas turbines in Italy? ______ tyres.
b). What is the opportunity cost of producing Tyres in
France ? _______ Gas turbines.

Answers

Answer:

1. 60 Tyres

2. 80 Gas Turbines

Explanation:

Given that the Opportunity cost is an economics term that is used in describing the cost of an alternative that must be forgone to continue or proceed with a certain activity.

Hence, in this case, considering the available information in the question, the correct answer is that the opportunity cost of producing Gas turbines in Italy is 60 Tyres.

At the same time the opportunity cost of producing Tyres in France 80 Gas turbines.

Auditors record the last bill of lading used at the time of the inventory count to
A) search for unrecorded sales.
B) test cutoff.
C) verify ownership.
D) All of the choices.

Answers

Auditors record the last bill of lading used at the time of the inventory count to test cutoff, which is option B.

Cutoff testing is an important audit procedure that ensures that transactions are recorded in the correct period. In the context of inventory, cutoff testing involves verifying that all goods received before the end of the reporting period are included in the inventory count, while goods received after the end of the period are excluded.

By recording the last bill of lading used at the time of the inventory count, auditors can verify that all goods received before the end of the reporting period have been included in the inventory count. The bill of lading is a document that provides evidence of the shipment of goods and is used to determine the ownership and location of the goods at a specific point in time.

If the last bill of lading used at the time of the inventory count indicates that goods were received after the end of the reporting period, this would suggest that the inventory count has been overstated. Conversely, if the last bill of lading used indicates that goods were received before the end of the reporting period but have not been included in the inventory count, this would suggest that the inventory count has been understated.

Therefore, recording the last bill of lading used at the time of the inventory count is an important step in ensuring that the inventory count is accurate and that the financial statements are fairly presented.

Learn more about Cutoff testing: https://brainly.com/question/31808836

#SPJ11

what makes recession and recover different?

Answers

The thing that makes recession and recover different  is that Economic recovery serves as the business cycle stage  which do follow recession .

What is recession and recovery?

Recession and recovery can be described as the economuic terms that is been used by the ecconomist whereby the recession can be seen as the period of economic meltdown where there is usually a high inflation of goods as well as services.

It  should  be noted that the recovery period do follow the reccession which can be described as the sustained period of improving business activity that can happen in a country.

Learn more about Recession at:

https://brainly.com/question/1417711

#SPJ1

The market return is 10% and the risk free rate is 3%. Rascals Inc. has a market beta of 1.0, a SMB beta of −.60, and a HML beta of −0.85. The risk premium on HML and SMB are both 2%. If the single factor model generates a regression coefficient of 1.3, using the Fama- French Three Factor Model, what is the different in returns between the Three-Factor model and the single factor model expected returns on Rascal Inc. stock?A) 5.0%B) 2.8%C) 5.2% D) 6.3%

Answers

The different in returns between the Three-Factor model and the single factor model expected returns on Rascal Inc is option (b) 2.8%

Using the single-factor model, we can calculate the expected returns on Rascal Inc. stock as follows:

Expected returns = risk-free rate + beta (market return - risk-free rate)

Expected returns = 3% + 1.0 (10% - 3%)

Expected returns = 10.0%

To calculate the expected returns on Rascal Inc. stock using the Three Factor Model, we need to modify the single-factor model equation as follows:

Expected returns = risk-free rate + beta(market return - risk-free rate) + beta(SMB risk premium) + beta(HML risk premium)

Expected returns = 3% + 1.0 (10% - 3%) - 0.60 (2%) - 0.85 (2%)

Expected returns = 7.2%

The difference between the expected returns using the single-factor model and the Three Factor Model is:

10.0% -7.2% = 2.8%

Therefore, the answer is (B) 2.8%.

To know more about expected return here

https://brainly.com/question/17152687

#SPJ4

Which of the following is a type of fraud in which an auction site bidder is actually the seller with a fake identity, who bids high drive up the price?
A. Shill bidding
B. Bid shielding
C. Bid siphoning
D. Price driver

Answers

The type of fraud in which an auction site bidder is actually the seller with a fake identity, who bids high drive up the price is known as shill bidding. The correct option is A)

What is Shill Bidding?Shill bidding is the fraudulent practice of a seller or seller's accomplice bidding on an auction in order to inflate the price of the item for sale, mislead legitimate bidders into paying more than they should, and drive up the seller's profits.What is Bid Shielding?Bid shielding, also known as bidder collusion, is a type of auction fraud in which two or more bidders collude to obtain an item at a lower price by making a low initial bid, then having one or more of the bidders retract their bids so that the final high bidder receives the item at a lower price.What is Bid Siphoning?Bid siphoning occurs when a group of buyers agrees to boycott an auction so that the winning bid is lower than it would be if there were more active buyers.What is Price Driver?Price Driver is a way to determine the value of an asset. Price drivers are used to determine the value of an asset by analyzing the factors that influence its supply and demand. These factors can include economic conditions, technological advancements, and market trends.

for more questions on   site bidder

https://brainly.com/question/16889740

#SPJ11

Likely Oil Company owns the working interest in a small lease in Louisiana that has a
1/5 royalty interest. The royalty interest owner is Mr. Neal. Likely also owns the working
interest in numerous leases in Texas. Not having the facilities in Louisiana to develop the
Louisiana Lease, Likely assigns its entire working interest in the lease to Jones for a
consideration of $400,000, and retains a 15% overriding royalty. Assuming revenues of
$800,000 and costs of $500,000 for the first year of operations the working interest
owner will receive in revenue the first year of operation this amount. $___________.
Answer: 544,000
How to get the $544,000

Answers

The answer provided is $544,000. A company is an organization or entity engaged in business activities with the goal of generating profits.

To calculate the amount the working interest owner will receive in revenue for the first year of operation, we need to consider the various interests and deductions involved.

Calculate the gross revenue:

Gross Revenue = Revenues - Costs

= $800,000 - $500,000

= $300,000

Determine the net revenue for the working interest owner:

Net Revenue = Gross Revenue - Royalty Interest - Overriding Royalty

= $300,000 - Royalty Interest - Overriding Royalty

Calculate the Royalty Interest:

Royalty Interest = Gross Revenue * Royalty Interest Percentage

= $800,000 * 1/5

= $160,000

Calculate the Overriding Royalty:

Overriding Royalty = Gross Revenue * Overriding Royalty Percentage

= $800,000 * 15%

= $120,000

Calculate the net revenue for the working interest owner:

Net Revenue = $300,000 - $160,000 - $120,000

= $20,000

Learn more about company  here:

https://brainly.com/question/15184016

#SPJ11

3.The initial margin is 65%. You want to purchase a 100 shares of stock at $75 per share. a. How much will you have to put up

Answers

The initial margin is 65%, and you want to purchase 100 shares of stock at $75 per share. To calculate how much you will have to put up, we need to follow these steps;Step 1: Calculate the total value of the stockTo calculate the total value of the stock, we need to multiply the number of shares by the price per share.

Hence;Total value of the stock = Number of shares × Price per share= 100 × $75= $7500Step 2: Calculate the amount of margin requiredTo calculate the amount of margin required, we need to multiply the total value of the stock by the initial margin. Hence;Amount of margin required = Total value of the stock × Initial margin= $7500 × 65%= $4875.

Step 3: Calculate how much you will have to put upTo calculate how much you will have to put up, we need to subtract the amount of margin required from the total value of the stock. Hence;How much you will have to put up = Total value of the stock − Amount of margin required= $7500 − $4875= $2625Therefore, you will have to put up $2625 to purchase 100 shares of stock at $75 per share, given that the initial margin is 65%.

To know more about shares visit:
https://brainly.com/question/32328563

#SPJ11

Rising interest rates have made borrowing more costly to consumers. As a result
of the most recent increase in interest rates, borrowing and consumption have
fallen throughout the economy, triggering a contractionary period. Growing
uneasy, citizens have been asking Congress to make an official statement as to
how long this contractionary period is expected to last. Which of the following is
an appropriate response?

Answers

Answer:

it depends on the measures taken to ensure that economy is stable.

Answer:

1. it is difficult to say since contractionary periods have varying lengths in different business cycles.

2. shock

3. high unemployment

4. two

5. expansion stage of the business cycle

Explanation:

just took it

In your discussion (from question 1), report to Pieter Boone the environment in which Pick n Pay operates, (Further research is encouraged).

Answers

Pick n Pay operates in the retail industry in South Africa, which is a dynamic and competitive market. The company faces various environmental factors, including economic conditions, consumer behavior, technological advancements, regulatory policies, and social trends. Conducting further research will provide a more comprehensive understanding of the specific environment in which Pick n Pay operates.

The environment in which Pick n Pay operates can be influenced by several factors. Firstly, economic conditions play a crucial role as they impact consumer spending power, inflation rates, and overall market growth. Changes in GDP, employment levels, and disposable income can significantly affect consumer behavior and purchasing decisions.

Consumer behavior and preferences are another important aspect. Factors such as shifting demographics, changing lifestyles, and increasing health-consciousness can influence the demand for certain products and services. Pick n Pay needs to stay updated on these trends to effectively cater to customer needs and stay competitive.

Technological advancements are rapidly transforming the retail industry. E-commerce, mobile applications, and digital platforms have reshaped the way consumers shop and interact with retailers. Pick n Pay needs to adapt to these technological changes to enhance the customer experience, streamline operations, and stay relevant in the market.

Regulatory policies and compliance requirements also impact Pick n Pay's operations. Government regulations related to labor, taxes, food safety, and environmental sustainability can impose additional costs and affect business practices.

Lastly, social trends and cultural factors shape consumer preferences and expectations. Growing awareness of sustainability, ethical sourcing, and social responsibility can influence consumer choices and impact Pick n Pay's reputation.

Conducting further research on the specific market dynamics, industry trends, and competitive landscape will provide a deeper understanding of the environment in which Pick n Pay operates. This knowledge will enable the company to make informed decisions, identify growth opportunities, and effectively respond to the ever-changing business landscape.

Learn more about retail industry here:

https://brainly.com/question/30846869

#SPJ11

A client has been watching a thinly traded stock and has noticed that it has not had any trading activity today. what type of risk is the most significant for this type of investment?

Answers

Liquidity risk is the most significant for this type of investment.

Liquidity risk refers to how a bank's inability to meet its obligations (whether real or perceived) threatens its financial position or existence. Institutions manage their liquidity risk through effective asset liability management

Thin trading of security suggests an illiquid market for that investment. A wide spread indicates a larger-than-normal spread between the ask and bid prices for an investment. Market risk, or the possibility that the value of a security will be impacted by the market, is a genuine concern, but it is not the main one for a lightly traded stock. Even if the stock market grows, the stock may still be difficult to trade.

Learn more about liquidity risk here:

https://brainly.com/question/921670

#SPJ4

HELPPPKDDKKD
Question 5 of 10
Creating barriers to trade can lead to which problem?
A. Consumers will be more likely to buy luxury goods in foreign
markets
O B. Domestic businesses will face more competition from foreign
companies.
C. The country will become overly reliant on foreign countries.
OD. Other countries will retaliate by creating their own barriers to trade.

Answers

Creating barriers to trade can lead to Other countries will retaliate by creating their own barriers to trade problem.

What are the reasons of trade barriers?

Governments erect trade barriers to control foreign trade and safeguard domestic industries. Implementing trade barriers is done for a variety of reasons, including: 1. Protecting domestic industries: To shield their domestic industries from foreign competition, governments may impose trade barriers. Subsidies, quotas, or tariffs can all be used to achieve this. 2. National security: Trade restrictions may be put in place for the protection of the nation, such as by limiting the export of materials or sensitive technology that could be used for military purposes. 3. Environmental issues: To protect the environment, governments may impose trade restrictions on imports of products that do not adhere to certain environmental standards. 4. Anti-dumping measures: To stop businesses from flooding the market with their products at below-market prices, governments may impose tariffs or quotas.

To Know more about Trade problems Visit:

brainly.com/question/28489704

#SPJ1

What must be shown to prove negligence that is not needed to prove strict
liability?
A. Injury
B. Fault
C. Stream of commerce
D. Defective product

Answers

Answer:

A. Injury

Explanation:

Given that for strict liability, the defendant is only liable to accidents he or she causes, that is to prove strict liability, the plaintiff must show

cause and damages. Whereas on negligence, it is required of a plaintiff to show duty, breach, cause, and injuries.

Hence, what must be shown to prove negligence that is not needed to prove strict is "Injury" as it covers a lot of factors including both cause and damages of strict liability.

Answer:

A.P.E.X is D

Explanation:

which pricing strategy is easily employed by monopolists, cournot oligopolists, and monopolistic competitors

Answers

Price skimming is a typical pricing tactic employed by monopolists, Cournot oligopolists, and monopolistic rivals. Here option C is the correct answer.

Price skimming involves setting a high price for a new or unique product, and gradually lowering the price over time as competition increases or new entrants emerge in the market.

Monopolists, Cournot oligopolists, and monopolistic competitors all have some degree of market power, which means they can influence the market price of their products. Monopolists have complete market power, while Cournot oligopolists and monopolistic competitors have some market power due to product differentiation and barriers to entry.

Price skimming is particularly effective for these firms because they can charge a high price to capture the surplus value that consumers are willing to pay for their unique or differentiated product. This pricing strategy allows them to maximize their profits in the short term before competitors enter the market and drive down prices.

To learn more about price skimming

https://brainly.com/question/28265861

#SPJ4

Complete question:

Which pricing strategy is commonly used by monopolists, Cournot oligopolists, and monopolistic competitors?

A) Cost-plus pricing

B) Penetration pricing

C) Price skimming

D) Predatory pricing

.Advantages of individual incentive plans include all of the following except: ␣ ␣ A. lowered production costs. B. less direct supervision. C. greater trust between workers and management.D. higher productivity.

Answers

The correct answer is C) greater trust between workers and management.

Individual incentive plans offer several advantages, which include:

A) Lowered production costs: Individual incentive plans can motivate employees to increase their productivity, leading to cost savings and improved efficiency.

B) Less direct supervision: When employees have individual incentives tied to their performance, they become self-motivated to achieve their targets, requiring less direct supervision from management.

D) Higher productivity: Individual incentives can spur employees to work harder and achieve higher levels of productivity, as they have a personal stake in the rewards tied to their individual performance.

However, greater trust between workers and management is not necessarily an inherent advantage of individual incentive plans. Trust is built through open communication, fair treatment, and transparency in the workplace, which can be fostered through various means, including but not limited to incentive plans. Trust is a broader organizational factor that extends beyond individual incentives and is influenced by the overall culture and management practices of the organization.

Learn more about transparency here: brainly.com/question/32257358

#SPJ11

An insurance premium is...

Answers

Answer:

a monthly payment that ensures insurance coverage for a person.

Explanation:

An insurance premium paid on an insurance policy is referred to as a periodic payment made at regular intervals or in lump sum in order to insure the mishappening of an event against which such insurance has been taken.

What is the significance of an insurance premium?

An amount, which is paid against the insurance of claim for mishappening of a particular event, is known as an insurance premium. The frequency of payment of an insurance premium is fixed and predetermined. Non-payment of insurance premium may lead to cancellation of policy.

An insurance premium is like a small proportion of the insured amount made against such event. It is worth to be noted that the payment of insurance premium paid can never be more than the actual amount insured by a person.

Therefore, the significance of an insurance premium has been aforementioned.

Learn more about an insurance premium here:

https://brainly.com/question/13724529

#SPJ5

Your uncle the banker offers to lend you $25,000 to start a new business. You will have to make a payment of $7,000 at the end of each of the next 3 years plus a final payment of $10,000 at the end of Year 4. What annual interest rate is built into this loan?

Answers

Answer:

Annual interest rate = 6%

Explanation:

Amount of loan = $25,000

The total amount repaid:

($7,000 × 3 years) + ($10,000 balloon payment)

= (7,000 × 3) + (10,000)

21,000 + 10,000 = $31,000

Interest on payment = repayed amount - loaned amoun

Interest on payment = 31,000 - 25,000 = $6,000

Let the total percentage on the loaned amount be x

Therefore we are looking for what percentage rate of the loaned amount ($25,000) will give the interest of $6,000

x % of 25,000 = 6,000

\(\frac{x}{100} \times\ 25,000 = 6,000\\\frac{25,000x}{100} = 6,000\\25,000x = 600,000\\x = \frac{600,000}{25,000}\\x = 24\)

Therefore the total percentage interest rate = 24%

Annual interest rate = Total interest rate ÷ number of years

Annual interest rate = 24 ÷ 4 = 6%

∴ Annual interest rate = 6%

Please select the word from the list that best fits the definition Enjoy music in their free time

Answers

Answer:

Auditory Learners

Explanation:

I got it right on edge 2022.

Decision-making problems that could occur when using absorption costing include inappropriate ______ decisions, and decisions made to ______ products that are, in fact, profitable.

Answers

Decision-making problems that could occur when using absorption costing include inappropriate __pricing____ decisions, and decisions made to ___drop___ products that are, in fact, profitable.

What is absorption costing?

Absorption costing is the costing method that includes both direct and indirect costs in the costs of a product.

It is the opposite of variable or marginal costing, which takes into account only the direct costs in determining the product cost.

Thus, the decision-making problems with absorption costing include pricing decisions and decisions involving whether to drop profitable products.

Learn more about absorption costing at https://brainly.com/question/26276034

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

learn more about managers here

https://brainly.com/question/32150882

#SPJ11

Which of the following is used as the key determinant to signal to producers what
S.
to produce and how much to produce in a free-market economic system?
A) the market curve
B) trend
C) price
D) quantity

Answers

Answer:

i guess the answer is :- trend

Does it make sense to buy software to measure carriers' performance? A. Yes. Doing so allows you to make side-by-side comparisons of carriers' on-time rates, damages, and many other important measurements. B. No. There's no substitute for calling carriers and finding out their information through a series of one-on-one conversations. C. Maybe, if you're just starting out in the business. D. Maybe, if you've been a broker or agent for many years and need to fine-tune your carrier selections.

Answers

Yes. Doing so allows you to make side-by-side comparisons of carriers' on-time rates, damages, and many other important measurements. Option A is the correct answer.

By purchasing software to measure carriers' performance, you gain access to data-driven insights and metrics that can help you evaluate carriers more effectively. This software provides objective measurements of carriers' performance, such as on-time delivery rates and damages, allowing you to compare different carriers' performance side by side.

This data-driven approach provides valuable information for making informed decisions and selecting carriers that best meet your specific requirements. It saves time and effort compared to relying solely on one-on-one conversations with carriers, making it a sensible choice for improving carrier selection and performance evaluation.

Option A is the correct answer.

You can learn more about purchasing software at

https://brainly.com/question/14078928

#SPJ11

Please help!! This is for economics

Which type of market is the one in which a fast-food company buys the eggs to make a person's favorite breakfast sandwich?

Product market
Factor market
Financial market
Closed market

Answers

The market in which the business buys eggs to make the final product that is a sandwich is called as factor market. Thus, Option B is the correct choice.

What is a Factor market?

A factor market is a marketplace wherein elements of manufacturing are bought and sold. Factor markets allocate elements of manufacturing, along with land, labor, and capital, and distribute profits to the proprietors of efficient resources, inclusive of wages, and many more.

Therefore, The market in which the business buys eggs to make the final product that is a sandwich is called factor market. Thus, Option B is the correct choice.

Learn more about  Factor market:

https://brainly.com/question/16479482

#SPJ1

The listing broker may be due a commission, even when no sale occurred, if the:

a) potential buyers is unable to obtain financing

b) seller decides he no longer wants to sell

c) seller refused buyers reasonable offers

d) broker located a buyer who made an offer that met

all of the sellers terms

Answers

If the listing broker found a buyer who made an offer that fulfilled the seller's terms, the broker might still be entitled to a commission even if no sale took place. Here option D is the correct answer.

The listing broker is typically paid a commission on the sale of a property. However, there are situations in which a commission may be due even if no sale occurs. One such situation is when the broker located a buyer who made an offer that met all of the seller's terms.

In this case, the broker has fulfilled their obligation to the seller by finding a suitable buyer who is willing to meet the seller's terms. The fact that the sale ultimately did not occur may be due to circumstances beyond the broker's control, such as the buyer being unable to obtain financing or the seller refusing reasonable offers. Nonetheless, the broker has performed their duties under the terms of the listing agreement, and as such, they may be entitled to a commission.

It's important to note that the specific terms of the listing agreement will dictate whether or not a commission is due in these types of situations. Sellers should carefully review their listing agreements to understand when a commission may be due, even in the absence of a sale.

To learn more about listing brokers

https://brainly.com/question/17247887

#SPJ4

Other Questions
who does the person on the left represent (look at what hes holding)? Which equation has no solution?4(x + 3) + 2x = 6(x + 2)5 + 2(3 + 2x) = x + 3(x + 1)5(x + 3) + x = 4(x + 3) + 34 + 6(2 + x) = 2(3x + 8) which of the following represents a line with an undefined slope y=5 x=5. y=5x y=x+5 Which of the following sentences uses pronouns incorrectly?Which of the following sentences uses pronouns incorrectly? A: They helped by giving their time and collecting donations.B: I met her at the volunteer dinner and learned she is quite creative.C: Him and me worked together on our community service project.D: She had more time than I to plan a project that would help the elderly. I need help :(((((((( HEY CAN ANYONE PLS ANSWER DIS SPANISH WORK!! ways in which blood in the pulmonary artery differs from blood in the pulmonary vein HELP PLS I WILL EO ANYTHING I NEED HELPPPP! Please Help! How were Hongwus and Yongles reigns similar and different? Y varies directly as x if x=15 when y=20, find x when y=30 URGENT!! ILL GIVEBRAINLIEST!!!! AND 100POINTS!!! Write a research proposal on the following topic:The Relationship between Financial Development andEconomic growth in NamibiaYour research should include all four chapters of aresearch proposal In which region is the city of Baton Rouge located?O TerracesO HillsO Mississippi FloodplainO Red River Valley Viruses and bacteria can infect human cells. Bacteria are living organisms, while viruses are not. How do you think the treatment for viral and bacterial illnesses differ? How do you think they affect healthy body cells? Explain your response. NO PLAGIARISM WILL BE REPORTED IF SO. which letter correctly identifies the part of the hydrologic cycle that is most directly affected by impervious building materials, such as concrete and asphalt? 6. Roll a pair of dice. What is the probability that a total of 12 will be face up? What kind of test measures an individual's verbal, numerical, and abstract reasoning in order to assess an ability to acquire, retain, organize, and apply information? Submit the sketch plan of a lot with a minimum lot area of 100square meter, with bearings and dimension. learning models assume that social phobia develops in similar ways as other phobias through association between social cues and embarrassing events in a process called . Consider the function g defined by g(x, y) = cos(xy) + 1/ log3 (x - y) Do as indicated. 1. Determine d^2y/dydx2. Calculate the instantaneous rate of change of g at the point (4,1, 2) in the direction of the vector v = (1,2). 3. In what direction does g have the maximum directional derivative at (x, y) = (4,1)? What is the maximum directional derivative?