Thius is false. In the context of the root causes of managerial incompetence and derailment, dark-side traits have a lower influence on performance for people in leadership vs followership roles.
What is managerial incompetenceManagerial incompetence refers to a manager s inability to perform their job duties effectively often resulting in poor performance low productivity and negative impacts on the organization and its employees
some common examples of managerial incompetence may include a lack of leadership skills poor communication inability to delegate effectively micromanagement inability to make decisions lack of accountability and inability to manage conflict
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what happens to the price level and real output as the self correction mechanism closes an inflationary gap? g
If the price level and real output as the self-correction mechanism closes an inflationary gap then, the price level decrease and real output increase.
Whenever in an economy the Real GDP is less than the Natural GDP then the economy is in a recessionary gap. Whenever in an economy the Real GDP is greater than the Natural GDP then the economy is in an inflationary gap. Whenever in an economy the Real GDP is equal to the Natural GDP then the economy is in a long-run equilibrium. When an economy is in an inflationary gap, the unemployment within the economy is below its natural rate which creates wage inflation. This shifts the SRAS curve to the left and moving along the AD curve until the economy returns to its long-run equilibrium. The price levels within the economy will be reduced and the real output will be increased.
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Complete Question:
what happens to the price level and real output as the self-correction mechanism closes an inflationary gap?
a. The price level increases and real output decreases
b. The price level decreases and real output increases
c. The price level increases and real output increases
d. The price level decreases and real output decreases
Samantha plans to save $600 at the end of Year 1, $800 at the end of Year 2, and $1,000 at the end of Year 3 . If she earns 3.4 percent on her savings, how much money will she have saved at the end of Year 3 ? (*note −3 years of investing, unequal amounts) 2. JMP Industries just signed a sales contract with a new customer, and will receive annual customer payments in the amount of $62,000,$108,000,$135,000, and $150,000 at the end of Years 1 to 4 , respectively. What is this contract worth at the end of Year 4 if the firm earns 4.3 percent on its savings? (note: unequal amounts, determine future value) 3. STP Trucking just signed a $3.8 million contract. The contract calls for a payment of $1.1 million today, $1.3 million one year from today, and $1.4 million two years from today. What is this contract worth today at a discount rate of 8.7 percent? 4. Eric and Jan are considering an investment that will pay $8,200 a year for five years, starting one year from today. What is the maximum amount he should pay for this investment if he desires a rate of return of 11.2 percent? 5. How much money does Suzie need to have in her retirement savings account today if she wishes to withdraw $42,000 a year for 25 years? She expects to earn an average rate of return of 9.75 percent. (you are solving for the present value of an annuity)
Samantha will have saved $2,388.85, JMP Industries' contract worth is $440,882.37, STP Trucking's contract is worth $2,523,890.07, Eric should pay $31,101.22, and Suzie needs $600,345.25 in her retirement savings account.
1. To calculate the future value of Samantha's savings, we use the formula for compound interest, considering each year's savings and the interest rate. By applying the formula, we find that her total savings at the end of Year 3 will be $2,388.85.
2. JMP Industries will receive annual customer payments, and to determine the contract's worth at the end of Year 4, we need to find the future value of these payments. By applying the concept of compound interest, we calculate that the contract will be worth $440,882.37 at the end of Year 4.
3. STP Trucking's contract value today is determined by discounting each payment back to the present value. Using the discount rate of 8.7 percent, we calculate that the contract is worth $2,523,890.07.
4. To find the maximum amount Eric should pay for the investment, we use the present value formula for an annuity. By applying the formula and considering the desired rate of return, we determine that the maximum amount he should pay is $31,101.22.
5. Suzie's retirement savings account needs to have an amount equal to the present value of the annuity. Using the present value formula, the average rate of return, and the number of years, we calculate that she should have $600,345.25 in her account today.
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During the two years he has been working, Jeffrey has saved some money to buy a house. His parents have agreed to loan him part of the down payment, and he has started to look for a house he can afford. He discovered a great house that has two apartments in it. He has looked at all the information carefully, done his budget, and thinks he can afford the house because he will live in only part of it and will rent out the other half. If Jeffrey buys this house, lives in the apartment upstairs and rents out the apartment downstairs, which of the following is true?
Answer:
you have to give "the following"
Which stock can be described as a defensive stock? Tesla Apple Alphabet Walmart
A defensive stock can be defined as a security that maintains or increases its value during an economic downturn. These types of shares are often less sensitive to economic changes and tend to pay higher dividends. Defensive stocks are usually from industries like utilities, healthcare, consumer staples, etc.
Among the four stocks mentioned in the question, the company that can be described as a defensive stock is Walmart. Walmart is an American multinational retail corporation that operates a chain of discount department stores, hypermarkets, and grocery stores.Walmart is a defensive stock because it is in the retail sector, which tends to be less affected by economic downturns since people will always need to buy goods and services. Walmart has been known to perform well during recessions because of the demand for discount stores.
Walmart has a solid record of paying dividends, which makes it an attractive investment option during economic uncertainties. The company has a diverse range of products, with many being daily essentials like groceries, which tend to remain in demand even during a recession. Furthermore, its online presence has enabled it to compete more effectively with e-commerce companies such as Amazon. In conclusion, Walmart can be described as a defensive stock because it is in the retail sector and is known for paying dividends.
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Setsuko wants to start a business of her own. She does not have enough savings, so she approaches her bank to obtain short-term funds for operations. The bank agrees to lend her $10,000 as she has requested. In this scenario, the type of funding obtained by Setsuko can be regarded as a
The type of funding obtained by Setsuko is the line of credit.
The following information should be relevant for the credit line:
It is treated as a flexible loan.It is an amount of money i.e. defined and can be accessed whenever it is needed and after that, it could be repaid instant or over a period of time. It is for a short period of time.Since in the given situation, it is mentioned that:
Setsuko obtained the funds for the short term.Bank lent her $10,000.Therefore we can conclude that the type of funding obtained by Setsuko is the line of credit.
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Compose two paragraphs that predict the impact this tax cut and increased funding for unemployment insurance will have on the following: the economy as a whole individuals other government programs the government debt Be sure to justify your predictions, use proper grammar, and include topic sentences, an introduction, a conclusion, and information from the video.
Answer:
Extending the cut to payroll taxes will have a positive impact on the economy as a whole. With the continued decrease in the tax rate, people will have more money to spend more on goods and services. This will encourage businesses to hire more workers and will reduce unemployment. The economy will experience a boost, and recovery will take place. This tax cut will add an extra $40 to the average paycheck. People might use the extra income for rent, groceries, or gas.
Increased funding for unemployment insurance will ensure that eligible unemployed individuals will continue to get unemployment compensation. The extended unemployment compensation will lead to more production in the economy, which will help reduce government debt. An increase in production will lead to an increase in employment and output. When production increases, individuals’ incomes also increase, so the government will collect more income taxes to fund repayment of its debt.
Explanation:
PLATO
Answer:
The tax cut and the increased funding of unemployment insurance will benefit the economy as a whole. As unemployment rise, fewer people are going to have money to buy goods therefore, businesses will have less money to hire workers. This will not be fixed if there weren't any unemployment insurance. With unemployment money, people are going to buy more and the economy will boost. This not only benefits individuals but the economy as a whole. However, this may increase government debt and may have decrease funding to other government programs.
Explanation:
This is not from plato or edmentum. I typed it myself
All of the following actions lead to the payment of a credit card fee EXCEPT... Using your credit card to get cash from an ATM. Using your credit card to purchase items in a foreign country. Paying your credit card bill ten days after the Due Date. Paying your credit card bill in full and on time every month.
Answer:
Paying your credit card bill in full and on time every month.
Explanation:
The other choices will most likely prompt a fee to be charged.
Objective and subjective product criteria are developed during the ________ stage of the purchase decision process so that the decision can be made in the next stage.
Objective and subjective product criteria are developed during the alternative evaluation stage of purchase decision.
What is alternative evaluation?Alternative evaluation is the the third stage in the consumer buying decision. It refers to the stage in the buying decision process in which the buyer uses information gathered to make a final choice between the products in the evoked set.
The alternatives should reflect different approaches to the problem or different priorities across objectives, and should present decision makers with real options and choices
Hence, objective and subjective product criteria are developed during the alternative evaluation stage of purchase decision.
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Suppose that you are employed as an advisor to the central bank. Select the proper policy recommendation or economic prediction for each of the following scenarios.
Which policy is appropriate when a rising aggregate price level is a concern but GDP is growing at an acceptable rate?
expansionary monetary policy (easy money policy)
contractionary or restrictive monetary policy (tight money policy)
It is unclear which type of monetary policy is appropriate.
The appropriate policy recommendation in this scenario would be a contractionary or restrictive monetary policy (tight money policy).
This is because the rising aggregate price level indicates inflationary pressure in the economy, which can be curbed by reducing the money supply. However, since GDP is growing at an acceptable rate, the impact of this policy on economic growth is expected to be moderate.
In the scenario where the aggregate price level is rising (inflation concern) but GDP is growing at an acceptable rate, the appropriate policy recommendation as an advisor to the central bank would be:
Contractionary or restrictive monetary policy (tight money policy)
This policy aims to slow down inflation by increasing interest rates, reducing the money supply, and making borrowing more expensive. This will help to control the rising price level while maintaining the acceptable GDP growth rate.
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HELPPPP. In business, cash overages are
(A) revenue.
(B) expenses.
(C) assets.
(D) liabilities
Answer:
A. Revenue
Explanation:
Shortages are losses
Overages are gains or revenue
Explain the tool of monetary policy a government could use to gain positive balance of payment
Answer:
What is the tool of monetary policy?
Central banks have four main monetary policy tools: the reserve requirement, open market operations, the discount rate, and interest on reserves. 1 Most central banks also have a lot more tools at their disposal. Here are the four primary tools and how they work together to sustain healthy economic growth.
Explanation:
30 POINTS :D
If someone you don't know asks where you go to school, what should you do?
A. Don't respond
B. See if they're a friend of a friend
C. Ask why they want to know
D. Lie to them
some warehouse retail chains serve as both retailers who sell to consumers and ______ who sell to other businesses.
Warehouse retail chains sometimes serve as both retailers and wholesalers
who sell to other businesses.
Wholesaler belongs to the chain of distribution which collects the goods
from the producer. It acts as the intermediary between the producer and
retailers. The wholesalers usually buy in bulk/large quantities and distribute
to the retailers.
The retailers collect the goods from the wholesalers and sell to the
consumers and acts as the intermediary between the wholesaler and
consumers.
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the similarities of African countries
The similarities between African countries are:
Background on Agriculture in Africa
Despite the great potential for agricultural production in Africa,UNDP states that about 73% of the poor people living in rural areas subsist on less than a dollar a day.In addition, the continent has about 200 million of the world’s hungry people (Millennium Development Goals (MDGs) Technical Support Centre.Furthermore, available statistics suggest that about one-third of the continent’s population is malnourished.Africa is also the only continent where food production has been falling over the years.One of the maximum famous suggestions for the origins of the time period 'Africa' is that it's far derived from the Roman call for a tribe living in the northern reaches of Tunisia, believed to possibly be the Berber human beings. The Romans variously named these human beings 'Afri', 'Afer', and 'If'.
It is brimming full of big things. As the second biggest continent in the world, Africa is jam-full of a number of the world's biggest things: the biggest desolate tract within the globe, the Sahara wilderness (explore it on our Morocco itineraries). The longest river in the world, the Nile River, runs for 6,853km (4,258mi).
Luxembourg is a small, landlocked U. S . Positioned in western Europe and bordered by means of Belgium, France, and Germany. With a population of 642,371, Luxembourg is the simplest Grand Duchy in the world. Its GDP in keeping with a capita of $a hundred and forty,694 makes it the sector's richest.
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Company A has issued $2 million (notional principal) in five-year bonds with a floating (variable) annual interest rate defined as the LIBOR plus 1.2% (Assume that LIBOR is at 2.3% in year 1 and increases by 0.55% per year thereafter). What is the total amount company A will pay in five years? O a. $98,750 O b. 85,000 Oc. $128,750 O d. $115,000
The answer is , the total amount Company A will pay in five years is $2,312,000. The correct answer is option d) $115,000.
How to find?To calculate the total amount Company A will pay in five years, we need to first determine the interest payments for each year.
In year 1, the interest payment would be (2,000,000 x 0.023 + 0.012) = $50,400. In year 2, the interest payment would be (2,000,000 x 0.028 + 0.012) = $56,400. In year 3, the interest payment would be (2,000,000 x 0.033 + 0.012) = $62,400. In year 4, the interest payment would be (2,000,000 x 0.038 + 0.012) = $68,400.
In year 5, the interest payment would be (2,000,000 x 0.043 + 0.012) = $74,400. Adding up all the interest payments gives us a total of $312,000.
However, we also need to factor in the repayment of the principal amount of $2,000,000 at the end of the five years. Therefore, the total amount Company A will pay in five years is $2,312,000. The correct answer is option d) $115,000.
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According to the video, what are a Computer Programmer's real skills? Check all that apply.
✅breaking down a job into small steps
❌researching what customers want
✅anticipating problems
❌selling software products
❌coordinating a group of workers
Answer:
1 3 thx for the answer!
Explanation:
Answer:
THANK YOU SO MUCH
Explanation:
In 2021, Company switched its inventory method from average cost to FIFO. Inventories at the end of 2020 were reported in the balance sheet at $55 million. If the FIFO method had been used, 2020 ending inventory would have been $50 million. Ignoring the effect of income taxes, the adjustment to 2021’s beginning retained earnings would be: a. $0 b. $50 million increase c. $5 million increase d. $5 million decrease. Please Explain answer
Ignoring the effect of income taxes, the adjustment to 2021’s beginning retained earnings would be: Adjustment to 2021's beginning retained earnings would be a $5 million increase. The correct option is c.
This is because when a company changes its inventory method, it must adjust its financial statements to reflect the new method. In this case, switching from average cost to FIFO means that the inventory values will be different.
The difference between the ending inventory value under the two methods in 2020 is $5 million ($55 million - $50 million). This means that if FIFO had been used in 2020, the company would have reported $5 million less in inventory on its balance sheet.
To make up for this difference and ensure that the financial statements accurately reflect the company's financial position, an adjustment is made to the beginning retained earnings in 2021. Since the company would have had $5 million less in inventory under FIFO in 2020, the adjustment will be a $5 million increase to retained earnings in 2021.
Therefore, the correct answer is c. $5 million increase.
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In this activity, you will draft your own cover letter You do not need to have a specific person or employer to address the letter right now. After you draft and save a template, you will be able to revise and customize the cover letter to meet your needs in the future. The activity worksheet is a basic template to guide your writing. A rubric is also included on the worksheet to help you review your letter. You might ask your pod leader or another
significant adult in your life to review your cover letter, too.
A cover letter is a one-page document that you include with your resume or CV when applying for a job. Its objective is to introduce you and provide a brief summary of your professional history. Your cover letter should be between 250 and 400 words long on average.
What exactly is a cover letter?A cover letter typically consists of three paragraphs that explain why you are applying for a particular position, provide a brief summary of your professional history, and highlight your unique qualifications for the position. Some employers require applicants to submit a cover letter, while others make it optional.
In a cover letter, how should one introduce themselves?Yes, your cover letter should introduce you. Include your name, the position you're applying for, and how you found it in your introduction. For instance: I'm Henry Applicant and I'm applying for the open position of Account Manager on LinkedIn.
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Compare these two sections of resumes. Which is more appropriate? a. - Completed nine-hour training course • Ran simulation software, • Used test probe to test over one hundred parts - Started a test plan document. b. Completed nine-hour training course • Ran simulation software • Used test probe to test over one hundred parts • Started a test plan document JURG Fil, Ir. Ob a
Answer:
the second one
Explanation:
a company’s _ tells you how much money the company has left over after subtracting all expenses
Answer:
A company's net profit tells you how much money the company has left over after subtracting all expenses.
Explanation:
A net profit, is when all of the companies money is spent on the things they need... and then it shows you what is left over. A company's profit is called net income or net profit. Net profit or income, is the total money remaining after accounting all of the cash flows, positive and negative numbers included.
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An investment of 1 will double in 15.142 years at a force of interest, δ. An investment of 1 will increase to 3 in n years at the same force of interest. Find n to the nearest whole number.
Answer:
24 years
Explanation:
Nper = 15.142
PMT = 0
PV = 1
FV = 2
Type = 0
Rate = Rate(Nper, pmt, -pv, fv, type)
Rate = Rate(15.142, 0, -1, 2, 0)
Rate = 4.68%
Rate = 4.68%
PMT = 0
PV = 1
FV = 3
Type = 0
NPER = NPER(rate, pmt, -pc, fv, type)
NPER = NPER(0.04684, 0, -1, 3, 0)
NPER = 24 years
which nims management characteristic includes developing and issuing assignments plans procedures
Why would you write a complaint to a company?
Answer:
To discuss with a company about a problem you may be having with their service or product.
Explanation:
Although channels of distribution allow consumers and industrial users access to products from all over the world, they do not guarantee that consumers will be able to purchase anything they want. Tiny time they want. Certain products may only be available in limited supplies. Because of supply and demand, channel members may be able to charge higher prices for coveted products. This may be fine for a designer handbag, but what if the product is more basic, like fresh water or medical supplies? Or, let's say there is a hurricane or tornado in a certain part of the country, and many people need to repair their homes and roofs. Is it OK for channel members to mark up hardware products during this time to make a bigger profit?
Answer:
We can more easily obtain products from all over the world. Channels of distribution allow consumers, industrial users, producers, and other channel intermediaries to save time and money. They also allow us to more easily obtain products from all over the world, since we do not have to travel and search for each individual item we wish to purchase.
Consider+a+coupon+bond+that+has+a+par+value+of+$+and+a+coupon+rate+of+%.+the+bond+is+currently+selling+for+$+and+has+years+to+maturity.+what+is+the+bond's+yield+to+maturity+(ytm)?
If bond has 2 years of maturity, then the bond's yield to maturity (YTM) is approximately 5.03%.
To calculate the yield to maturity (YTM) of a bond, we use bond's current market price, the coupon payments, the time to maturity, and the par value.
The annual "coupon-payment" is : (Coupon rate) × (Par value),
Coupon payment = 0.12 × $1100,
Coupon payment = $132,
Next, we determine total cash-flows over remaining life of bond as :
Total cash flows = Coupon payment × Number of periods + Par value
Total cash flows = $132 × 2 + $1100
Total cash flows = $264 + $1100
Total cash flows = $1364,
The "Present Value" is = -$1243.17 (negative sign because it's an outgoing payment),
Future value = $1364
Number of periods = 2
Solve for the interest rate (yield to maturity);
Therefore, the YTM of bond is approximately 5.03%.
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The given question is incomplete, the complete question is
Consider a coupon bond that has a par value of $1100 and a coupon rate of 12%. The bond is currently selling for $1243.17 and has 2 years to maturity. What is the bond's yield to maturity(YTM)?
in ________, the organization gains control of its outputs by becoming its own distributor.
In the business world, organizations are constantly seeking ways to increase their control over their outputs. One effective method for achieving this goal is by becoming their own distributor. By doing so, the organization gains full control over the distribution process, allowing them to manage their inventory levels and ensure that their products are reaching their intended target market.
Becoming your own distributor is a popular strategy in industries such as retail, where companies often rely on third-party distributors to get their products into stores. By cutting out the middleman and taking on distribution responsibilities themselves, companies can improve their profit margins and gain greater control over their brand image.
However, becoming your own distributor is not without its challenges. It requires significant investment in infrastructure and logistics, as well as a deep understanding of the market and consumer behavior. Additionally, it can be difficult for smaller organizations to compete with established distributors and retailers.
Overall, becoming your own distributor can be a powerful tool for organizations looking to increase their control over their outputs. While it may require significant investment and expertise, the benefits of greater control over distribution can ultimately lead to increased profits and a stronger brand image.
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As depicted in __________________, it is necessary to give up some of one good to gain more of the other good. The production possibilities frontierallocative efficiencyscarcityutility
Option a: As depicted in the production possibilities frontier, it is necessary to give up some of one good to gain more of the other good.
Production Possibility Frontiers (PPF), Production Possibility Curves (PPC) or Production Possibilities Frontiers (PPB) or Transformation Curves/Boundaries/Boundaries are the different combinations of quantities of two commodities that can be produced within a given resource.
It is a curve showing A graphic representation showing all possible output options for two products that can be produced using all elements of production, using the resources given per technology/unit of time, fully and efficiently.
PPF describes several economic concepts such as allocative efficiency, economies of scale, opportunity cost (or marginal rate of conversion), production efficiency, and resource scarcity.
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Complete question:
As depicted in _________________________________, it is necessary to give up some of one good to gain more of the other good.
A. the production possibilities frontier
B. allocative efficiency
C. scarcity
D. utility
The concept of Person-Environment Fit suggests that hardworking people always succeed. a worker's skillsets are always in demand. people adapt quickly to fit new environments. an individual may flourish in one organisation but struggle in another.
Person-Environment Fit is a concept that implies that an individual's work environment should match their skill set, personality, and characteristics. It is essential to consider that hardworking people are not always successful;
rather, it is a combination of the environment and the person's characteristics that lead to success.The concept of Person-Environment Fit (PE Fit) revolves around the compatibility of an individual's personality traits, preferences, and skills with the requirements of the organization they work for. PE Fit involves understanding and comparing an individual's psychological makeup with the requirements of a specific job and the organizational culture and values.
Similarly, an individual with excellent interpersonal skills will perform well in jobs that require them to work in teams. Conversely, an individual with excellent analytical skills will be successful in jobs that require data analysis and critical thinking.
It is worth noting that individuals may flourish in one organization but struggle in another, depending on the compatibility of their personality traits with the job requirements and the organizational culture.In conclusion, Person-Environment Fit is an important aspect of job satisfaction and success.
It helps individuals find jobs that match their personality, preferences, and skills. An individual's success is not solely dependent on their hard work, but rather a combination of their characteristics and the environment they work in.
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A quality control procedure at a manufacturing plant involves randomly selecting five items and accepting a whole lot of at least four of the five items are in perfect condition. From past experiences 59.049% of whole lots are perfect. What is the probability that the next lot will be excepted?
Answer:
0.32072
Explanation:
Given that :
Number of items selected, n = 5
P(x ≥ 4)
Using binomial relation :
P(x =x) = nCx * p^x * (1 - p)^(n - r)
p = 0.59049 ; 1 - p = 0.40951
P(x ≥ 4) = P(4) + P(5)
P(x = 4) = 5C4 * 0.59049^4 * 0.40951^1 = 0.24893
P(x = 5) = 5C5 * 0.59049^5 * 0.40951^0 = 0.07179
P(x ≥ 4) = P(4) + P(5)
P(x ≥ 4) = (0.24893 + 0.07179) = 0.32072
50) Inventory does not include:
A) Materials used in the production of goods to be sold.
B) Assets intended to be sold in the normal course of business.
C) Equipment used in the manufacturing of assets for sale.
D) Assets currently in production for normal sales. ,
Inventory is a crucial part of any business that deals with the production and sale of goods.
It represents the value of goods that are held for sale, including raw materials, work in progress, and finished goods. However, inventory does not include all assets related to the production and sale of goods.
Option A is incorrect because materials used in the production of goods to be sold are considered part of inventory. These materials may include components, raw materials, and other items used in the production process.
Option B is incorrect because assets intended to be sold in the normal course of business are also considered part of inventory. This may include finished goods that are ready to be sold to customers.
Option C is incorrect because equipment used in the manufacturing of assets for sale is considered part of property, plant, and equipment. This equipment is not included in inventory because it is not held for sale.
Option D is the correct answer because assets currently in production for normal sales are considered work in progress, not inventory. Work in progress represents goods that are in the process of being produced but are not yet ready to be sold.
In conclusion, inventory does not include assets currently in production for normal sales. Instead, it includes finished goods ready to be sold, raw materials, and work in progress.
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