The trade war between the united states and china is an example of an economic conflict.
When one nation retaliates over another by increasing import tariffs or imposing other import restrictions, a trade war results. Trade wars are a contentious byproduct of protectionist policies. Advocates claim that trade conflicts advance domestic businesses and safeguard national interests.
Trade war opponents assert that these conflicts ultimately harm local businesses, consumers, and the economy. The China-U.S. trade war, the largest economic confrontation in modern history, was started by then-President Donald Trump over five years ago with the goal of pressuring Beijing to halt its unfair trade practises and severing economic ties between the two countries.
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Help please!!!!!!!!!!!!
A tangible item such as a smartphone contains multiple intellectual property elements that are crucial in protecting the company's interests and ensuring the item's success in the market.
How to describe a tangible intellectual property?A smartphone is a tangible item that contains several intellectual property elements. First, it may contain patented technology, such as its camera or fingerprint scanner, which are protected by exclusive rights granted by the government.
Second, it may bear a trademark, which is a word, symbol, or design that identifies and distinguishes the product from others. The trademark may include the company's logo or the name of the smartphone model. Third, it may contain copyrighted software, such as the operating system or pre-installed apps, which are protected by the copyright laws.
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What is the price of a money market security with the bond equivalent yield of 4. 59%, 136 days to maturity, and a $1000 face value? Round to $0. 1
The price of the money market security with a bond equivalent yield of 4.59%, 136 days to maturity, and a $1000 face value is approximately $989.50.
To calculate the price of a money market security, we can use the formula:
Price = Face Value / (1 + (Yield * Maturity / 365))
where Yield is the bond equivalent yield and Maturity is the number of days to maturity.
Plugging in the values, we have:
Price = $1000 / (1 + (0.0459 * 136 / 365))
≈ $1000 / (1 + 0.01711)
≈ $1000 / 1.01711
≈ $989.50 (rounded to $0.1)
Therefore, the price of the money market security is approximately $989.50.
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What factors would cause a difference in the use of financial leverage for a utility company and an automobile company? Also, please discuss the limitations of financial leverage.
The nature of their assets and revenue streams would cause a difference in the use of financial leverage for a utility company and an automobile company.
Utility companies typically have stable and predictable cash flows, as their revenue comes from the provision of essential services to customers. This allows them to take on more debt to finance their operations without significant risk of default.
On the other hand, automobile companies have a more cyclical business model, with revenue and cash flows dependent on consumer demand for their products, making them more susceptible to economic downturns, making it risky for them to rely on debt financing.
Limitations of financial leverage include the increased financial risk, the potential for bankruptcy or default, and the cost of interest payments that can reduce profitability, and increased scrutiny from investors and regulators on the company's financial health.
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Conduct a SWOT analysis for IBM’s ""Let’s Put Smart To Work"" initiative. What are the relevant trends to consider?
Such relevant trends to consider are as follows:
StrengthWeaknessOpportunitiesThreatsStrength - IBM would be strongly responsible for collecting and analyzing information to enhance a firm, organization, city.Weakness - There are no links between the other technologies that are weak throughout the IBM Intelligent Planet program.Opportunities - Throughout the economies such as China, India, as well as Africa, IBM attempts to take over.Threats - IBM will face the change from natural resource companies to more customized companies.Learn more about SWOT analysis here:
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SWOT analysis helps organization to identify their strengths and grow their business by availing the opportunities.
IBM is International Business Machine which is an American technology organization having head quarter in New York.
The SWOT analysis is give below :
Strength : The company have expertise in designing intelligent computers which enable the users to run different business applications.
Weakness : The company has not worked for compatibility and they have not designed laptops which are more easy to carry and handle than the desktop computers.
Opportunity : By using economies of scale technique the company can grow its business to different parts of the world and can gain from International market.
Threats : There can be cyber crime or hacking of intelligence programs which are designed at IBM. There is need for strict cyber controls in the organization.
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What is the difference between mass marketing and marketing segmentation?
A.
Market segmentation divides a target market into several subsets to market and advertise products, wherein mass marketing advertisers create one ad that will simultaneously please all members of their target market.
B.
Mass marketing divides a target market into several subsets to market and advertise products, wherein marketing segmentation advertisers create one ad that will simultaneously please all members of their target market.
C.
Market segmentation divides a target market into at least 10 subsets to market and advertise products, wherein mass marketing advertisers create a few ads that will simultaneously please all members of their target market.
D.
Market segmentation divides a target market into several subsets to market and advertise products, wherein mass marketing advertisers create one ad that will only please some of the members of their target market.
Market segmentation divides a target market into several subsets to market and advertise products, wherein mass marketing advertisers create one ad that will simultaneously please all members of their target market.
What is mass marketing and market segmentation?Mass marketing is when a firm does not segment their customer base in groups based on shared characteristics but instead markets their goods to all their target audience.
An advantage of mass marketing is that is a cheaper method of advertisement.
Segmentation is the division of people into certain groups based on shared characteristics. Customers can be segmented based on age, benefit received and geography.
An advantage of segmentation is the the company are better able to reach their customers through targeted ads.
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What documents will you include in your portfolio?
How will creating a portfolio benefit you with future employment?
Answer:
./Table of Contents
./Career and professional development goals, tailored for each ./interviewer
./Work philosophy statement; personal mission statement
./List of areas of expertise
./Works in progress (activities and projects)
./Samples of your best work from academic, employment, and internship settings
./Resume, references, transcripts, letters of recommendation
./Evaluations from work/volunteer experiences, agendas of meetings you conducted
./Certificates, diplomas, licenses, awards, letters of appreciation you received
./Records of community service/volunteer work
./Professional memberships and service activities
./Work reports or excerpts from term papers
./Grants or proposals you wrote
./Newspaper clippings featuring you, media clips of your work, promotional materials you designed
./Photographs of you in a professional setting
./Printouts/links to websites, web pages, or blogs you created
./Certificates of attendance from seminars or workshops
./Documentation of leadership experience
this will help you greatly in the future when it comes to people looking to higher you as it shows your skills/weaknesses
Explanation:
brainliest pls
Jamie is researching places to live after graduating college he asked you I keep coming across as phrase cost-of-living I’ve never heard of it before do you know what it means which of the following definitions would you choose to explain to Jamie about cost-of-living means
Answer:
The cost of living refers to the prices of goods and services needed to sustain an average level standard of living in an area
Explanation:
The cost of living refers to the cost of keeping up with a given standard of living. It is the amount Jamie would need to keep up with basic expenses such as food, housing, clothing and medical care. Cost of living compares the expense between living in two different areas. Jamie's cost of living is tied to his wages and it can be measured using what is called purchasing power parity.
TJ+industries+has+revenue+of+$400,000+and+expenses+of+$250,000.+the+depreciation+cost+is+$80,000+and+marginal+tax+rate+is+35%.+calculate+cash+flow+from+operation.+group+of+answer+choices
The cash flow from operations for TJ Industries is $178,500. To calculate the cash flow from operations, we need to consider the revenue, expenses, depreciation cost, and taxes. The formula for calculating cash flow from operations is:
Cash Flow from Operations = Revenue - Expenses + Depreciation - Taxes
Given the information provided, we can calculate the cash flow from operations for TJ Industries:
Revenue = $400,000
Expenses = $250,000
Depreciation = $80,000
Marginal Tax Rate = 35%
First, let's calculate the net income:
Net Income = Revenue - Expenses
Net Income = $400,000 - $250,000
Net Income = $150,000
Next, we calculate the tax amount:
Tax = Marginal Tax Rate * Net Income
Tax = 35% * $150,000
Tax = $52,500
Now, we can calculate the cash flow from operations:
Cash Flow from Operations = Revenue - Expenses + Depreciation - Taxes
Cash Flow from Operations = $400,000 - $250,000 + $80,000 - $52,500
Cash Flow from Operations = $178,500
Therefore, the cash flow from operations for TJ Industries is $178,500.
The cash flow from operations represents the cash generated or used by a company's core operations, excluding financing and investing activities. It provides insights into the company's ability to generate cash from its day-to-day operations.
To calculate the cash flow from operations, we start with the revenue and subtract the expenses. In this case, the revenue is $400,000 and the expenses are $250,000, resulting in a net income of $150,000.
Next, we add the depreciation cost of $80,000, as it is a non-cash expense. Depreciation represents the reduction in value of assets over time.
Finally, we subtract the tax amount, which is calculated by multiplying the net income by the marginal tax rate of 35%. The tax amount is $52,500.
By adding the net income, depreciation, and subtracting the taxes, we arrive at the cash flow from operations of $178,500. This represents the cash generated from TJ Industries' core operations during the given period.
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Question 4 of 10
Which of the following is not a characteristic of both experiments and
surveys?
A. The researcher exercises direct control over at least one variable.
B. The data collected might be studied for patterns.
C. Subjects should be randomly selected.
D. Data are collected about a population.
SUBMIT
Answer:
C, Subjects should be randomly selected.
If you want a good result, you shouldn't throw random subjects in your survey.I hope this helped at all.
Employers can try to overcome the moral-hazard problem involving their employees by.
Answer:
encourage the risk taking party to act more responsible by offering them incentives or make a punishable offense
Explanation:
it works in modt cases or just fireing them might just do the trick
Global trade means more markets and opportunities, but there is also more _______ for those markets
Global trade has increased market access for businesses, allowing them to reach new customers and expand their operations. However, this also means that companies face more competition for those markets, as businesses from different countries now compete for the same customers.
This increased competition can drive innovation, force companies to improve their products and services, and ultimately benefit consumers by providing them with more choices and better prices.
Global trade means more markets and opportunities, but there is also more competition for those markets. With global trade, companies are able to reach a wider audience and tap into new markets. However, as more companies enter the global market, competition becomes more intense. This can lead to a greater focus on price and efficiency, and companies need to constantly innovate and improve in order to stay competitive. Additionally, global trade also brings new regulatory and legal challenges, as companies must comply with different laws and regulations in each market they operate in. Overall, while global trade offers many benefits, it also requires companies to be adaptable and strategic in order to succeed in a highly competitive and complex global marketplace.
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how can the application of coaching as a leadership tool improve unit performance
The application of coaching as a leadership tool improve unit performance because permits immediate correction of a mistake and prevents negative learning.
How can the application of coaching help one performance?A coach can be sen as one that help the leader to identify skills to be developed as ll as the key strengths and the strategies for improvement.
It should be noed that the Coaching is able to help one to acheive the appropriate goals within a leader's current job however the derailing executives can benefit from coaching so as to bring about the performance improvement
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What is the outlook for marketing career opportunities
A The number of jobs in marketing is falling
B The number of jobs in marketing will remain steady
C no one knows what the outlook is for jobs in marketing
D The number of jobs in marketing is on the rise
Answer:
D The number of jobs in marketing is on the rise
Explanation:
The outlook for marketing career opportunities is The number of jobs in marketing is on the rise. Thus the correct option is D.
What is a Career?A career is referred to what an individual chooses as a profession to earn something. A career of an individual is based on his talents, skills, and abilities which help him to seek growth and development and achieve the goals of life.
The outlook for marketing career opportunities is typically bright, As the demand for marketing professionals grows, This expansion is being driven by the growing importance of marketing in today's business environment and its significance.
Aside from marketing managers, there are numerous other marketing careers accessible, such as market research analysts, public relations specialists, and digital marketing specialists which brings career prosperity and growth.
Therefore, option D is appropriate.
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Ms. Levebre is the president of a company that makes office supplies. She wants to sell office supplies to the federal government. Where can she find the rules and procedures for doing this?
Federal Register of Rules and Bylaws
Government Purchasing Rules
Federal Acquisition Regulations
U.S. Government Purchasing Rights
Answer:
Federal Acquisition Regulations
Explanation:
Ms. Levebre can find the rules and procedures for selling office supplies to the federal government in the Federal Acquisition Regulations (FAR). The FAR is a set of standardized guidelines that outline the process for acquiring goods and services from private businesses by the federal government. It provides information on the process for submitting bids, negotiating contracts, and fulfilling orders, as well as other important details related to doing business with the federal government.
______is a not-for-profit system in which all policyholders are members of the company; when premiums exceed losses, surplus funds are distributed among the members.
mutual fire insurance is a not-for-profit system in which all policyholders are members of the company; when premiums exceed losses, surplus funds are distributed among the members.
What exactly do you mean by "surplus funds"?
Surplus funds are funds that belong to or are controlled by the local unit and are available for investment because they are not required by law or by an agreement with bondholders to be segregated and invested in a specific manner. Surplus funds are the excess of cash and other recognised assets expected to be resolved into cash or its equivalent in the normal course of events and with reasonable certainty at any given day over liabilities and necessary reserves at the same date.
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BRUH THIS THING LOGGED ME OUT WHAT IS GOING ON
Answer:
?????????????
Explanation:
???????????
Calculate the pay for the following day of a weekly time card given a wage of $15/hr
Answer: $132
Explanation:
Assume that a product has two parts, a main part and a back-up. Given the following information, what is the reliability of thesystem?Original0.95Back-up0.92O 0.8464O 0.9592O 1.0260O 0.9960
Assuming that a product has two parts, a main part and a back-up the reliability of the system is OPTION D 0.996 or 99.6%.
To calculate the reliability of the system, we need to use the formula:
R(system) = 1 - [(1 - R(main))(1 - R(backup))]
where R(main) is the reliability of the main part, and R(backup) is the reliability of the backup.
Substituting the values given in the problem, we get:
R(system) = 1 - [(1 - 0.95)(1 - 0.92)]
R(system) = 1 - [(0.05)(0.08)]
R(system) = 1 - 0.004
R(system) = 0.996
Therefore, the reliability of the system is 0.996 or 99.6%.
Reliability in business refers to the ability of a product, system, or service to consistently perform its intended function over time, under a variety of conditions, without failure or malfunction. In other words, reliability is the measure of the consistency and dependability of a product or service.
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Problem 1.
ARE (Alice, Ralph & Ed) is an equal partnership that has made a § 754 election. On January 1 of this year, Alice’s outside basis is $2100 and the partnership’s balance sheet is as follows (expanded to include fair market values (000’s omitted)):
Assets Liabilities & Capital AB/Book FMV Liabilities
Cash $3000 $3000 $1500
Accts Rec. 0 300
Inventory 300 600
Blackacre 1500 1200
Whiteacre 600 1200
Greenacre 900 1500
Total $6300 $7800 Capital Accounts Tax/Book FMV
Alice $1600 $2100
Ralph 1600 2100
Ed 1600 2100
Total $4800 $6300
NOTE: Blackacre, Whiteacre and Greenacre are all parcels of land. On this date, the partnership makes the following alternative distributions in liquidation of Alice’s interest in the partnership. Please determine the basis that Alice takes in each of the assets she receives, and the adjustments (if any) that the partnership must make to the each of its retained assets.
(a) Alice receives $600 cash, the accounts receivable and Blackacre.
(b) Alice receives $600 cash, ½ the inventory, and Whiteacre.
(c) Alice receives $300 cash, the accounts receivables, and Greenacre
(d) Alice receives $1800 in cash and the receivables.
(e) What difference would it make in Problem #1(c), if there were no § 754 election in place at the time of the distribution?
(a) Alice receives $600 cash, the accounts receivable, and Blackacre:
- Cash: Alice's basis remains $600.
- Accounts Receivable: Alice's basis remains $2,100.
- Blackacre: Alice's basis becomes $1,200.
(b) Alice receives $600 cash, ½ the inventory, and Whiteacre:
- Cash: Alice's basis remains $600.
- Inventory: Alice's basis in half the inventory is $150.
- Whiteacre: Alice's basis becomes $1,200.
(c) Alice receives $300 cash, the accounts receivable, and Greenacre:
- Cash: Alice's basis becomes $300.
- Accounts Receivable: Alice's basis remains $2,100.
- Greenacre: Alice's basis becomes $1,500.
(d) Alice receives $1,800 in cash and the accounts receivable:
- Cash: Alice's basis becomes $1,800.
- Accounts Receivable: Alice's basis remains $2,100.
(e) Without a § 754 election, the partnership would not make any adjustments to the basis of its retained assets when distributing to Alice. The basis of the assets would remain unchanged, and Alice's basis in the received assets would be determined based on her outside basis.
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A visual depiction of the subassemblies and components that are needed to produce and/or assemble a product is called a(n):
A) Assembly time chart B) Product structure tree C) MRP II
D) Pegging E) Gantt Chart
A Gantt chart is a visual representation of the subassemblies and components that are required to produce and/or assemble a product. Option E
It provides a timeline view of the project, outlining each task or component required, and the duration of time it will take to complete each step.
The Gantt chart is an essential tool in project management and is widely used across industries. It allows project managers to plan, schedule, and track progress of a project in a visual format that is easy to understand.
By breaking down the project into its subcomponents and tasks, project managers can identify potential bottlenecks and dependencies, ensuring that everything is in place to keep the project on track.
In summary, a Gantt chart is a powerful tool that helps project managers to plan and visualize the subassemblies and components required to produce and/or assemble a product. It is an essential tool for any project manager looking to streamline their operations, minimize costs, and maximize efficiency. So the correct answer is Option E.
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a tenant's 2-year lease expired and the tenant plans to move. his security deposit, being held by his landlord. will be
If the tenant's 2-year lease has expired and they plan to move out, their security deposit, which is being held by their landlord, will typically be returned to the tenant after any necessary deductions for damages or unpaid rent are made.
The security deposit should be returned to the tenant after deductions for any unpaid rent, damages beyond normal wear and tear, or other specified expenses outlined in the lease agreement.
If the tenant has fulfilled all the terms of the lease, paid the rent on time, and left the rental unit in good condition, the landlord is typically required to return the security deposit to the tenant within a certain timeframe, which may vary by jurisdiction.
However, if there are outstanding rent payments, damages, or other expenses, the landlord may deduct the necessary amount from the security deposit and return the remaining balance to the tenant. The deductions should be documented and provided to the tenant in an itemized statement.
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Help me please.. there is no option on here for Human Resources principals, so I jus clicked business as the subject..
Answer:
An interview
Explanation:
A ticket to a concert costs $45. You have a ticket and can resell it for $75. Your opportunity cost of actually attending the concert is:.
Answer:
$75
Explanation:
Use the following items to determine the total assets, total liabilities, net worth, total cash inflows, and total cash outflows. Rent for the month Spending for food Savings account balance Current value of automobile Credit card balance Auto insurance Video equipment Lunches/parking at work Personal computer Clothing purchase $ 650 Monthly take-home salary $ 345 Cash in checking account $ 1,890 Balance of educational loan $ 8,800 Telephone bill paid for month $ 235 Loan payment $ 230 Household possessions $ 2,350 Payment for electricity $ 180 Donations $ 1,200 Value of stock investment $ 110 Restaurant spending $ 2,185 $ 450 $ 2,160 $ 65 $ 80 $ 3,400 $ 90 $ 160 $ 860 $ 130 a. Total assets b. Total liabilities c. Not d. Total cash inflows Total cash outflows e
Option a is correct. Total asset. A company's balance sheet total consists of current assets and fixed asset. They are the company's economic resources used in its business operations.
Total debt consists of short-term and long-term debt, created to finance the company's assets. The difference between total assets and total liabilities is net worth, also known as net worth.
Total assets $20,780
Total Debt $3,338
Net Worth $17,442
Total cash inflow $3,820
Total cash outflow $3,820
Asset amount
Cash in checking account $630
Savings balance $2,110
Current car value $8,760
Housewares $3,770
Stereo $3,010
Home computer $1,590
Equity Investment $910
Total assets $20,780
amount of debt
Education loan balance $3,100
Credit card balance $238
Total Debt $3,338
Net Worth = $20,780 - $3,338
Net Worth = $17,442
Deposit amount
Take home salary $3,820 monthly
Total cash inflow $3,820
cash outflow
Monthly Rent $1,450
food $1,000
Phone bill $74
car insurance $304
Loan payment $174
Utility bill payment $111
Parking/work lunch $181
donate $149
Shop Clothing For $163
Restaurant spends $214
Total cash outflow $3,820
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Question 6 In cloudonomics, the coefficient of variation (Cv) is a measure of smoothness of (aggregate) demand(s). What is the impact of increasing the load from 1 workload to n on Cv under perfectly positively correlated demands
The impact of increasing the load from 1 workload to n is that the value of the cv would remain constant.
What is Cloudonomics?This is also referred to as the economics of cloud. It has to do with the cloud economic equation.
The main elements of cloudonomics are:
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What are the definitive characteristics of ser demand
Answer:
Demand is called the economic factor by which market agents require a certain number of goods and / or services for consumption. Thus, the quantity of goods that these require is the quantity demanded.
Demand is directly influenced by two factors: the price of the good (the higher the price, the lower the demand, as the cost will be higher in relation to wages) and the quantity supplied (the higher the supply, the cheaper the good will be, as there will be availability for all consumers; on the contrary, the lower the supply, the more expensive the good will be as it will be subject to the laws of the market of supply and demand).
generally speaking, the dollar price of euros is determined
Generally speaking, the dollar price of euros is determined by the exchange rate between the two currencies.
This exchange rate is influenced by various factors such as economic and political events, interest rates, and market sentiment. When there is high demand for euros, the exchange rate will increase, and the dollar price of euros will rise.
On the other hand, when there is low demand for euros, the exchange rate will decrease, and the dollar price of euros will fall. It's worth noting that currency exchange rates are constantly changing, and therefore the dollar price of euros may fluctuate over time.
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a fixed-price contract is useful and appropriate when
in regard to resource leveling, why are noncritical path activities generally the first to be delayed?
Noncritical path activities are generally the first to be delayed in resource leveling because they have more flexibility in terms of their start and finish times compared to critical path activities.
Resource leveling is a technique used in project management to address resource constraints and optimize resource utilization. The critical path represents the sequence of activities that determine the project's overall duration. These activities have zero or very little flexibility in terms of their start and finish times, and any delay in critical path activities will directly impact the project's completion time. On the other hand, noncritical path activities have some slack or float, meaning they can be delayed without affecting the project's overall duration. By delaying noncritical path activities, project managers can better allocate scarce resources to critical path activities and ensure that critical tasks are completed on time. Delaying noncritical path activities allows for better resource utilization and avoids overloading resources when they are already stretched thin. It helps to balance resource allocation and ensure that critical activities receive the necessary attention and resources to meet project deadlines.
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Circle or highlight the correct answer choice: If you have a high credit score, you are more / less likely to get approved for a loan.
Answer:
more likely to get approved for a loan.
Explanation:
A credit score is the accepted indicator of one's reliability in paying debts. In calculating the credit score, a person's credit history is an essential element. If one has been punctual and disciplined in repaying their debts, they are likely to have a high credit score.
Credit score range between 300 and 850. A high score implies the customer is very reliable in repaying debts. Lenders consider individuals with a high credit score as low-risk customers. They are less likely to default on their debts. For this reason, a customer with a high credit score is highly likely to be approved for a loan.