The first step in selecting an evaluation and management (E/M) code for an E/M service provided in a hospital. The E/M codes are divided into different categories, such as hospital outpatient, emergency department, and consultation.
Once the category is identified, the next step is to determine the level of the E/M service based on the documentation provided. This includes reviewing the medical record for elements such as history, examination, and medical decision-making. Each category has specific requirements for the level of documentation needed to support a particular E/M code.
After assessing the documentation, the next step is to assign the appropriate E/M code based on the level of service provided. This involves matching the level of documentation to the corresponding E/M code in the code set, such as the Current Procedural Terminology (CPT) codebook.
It is important to note that E/M coding can be complex, and it is recommended to refer to official coding guidelines and consult with coding professionals for accurate code selection.
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what is the difference between the turbo button and the victim button
When a company purchases equipment, what account is credited in the
journal entry for this transaction?
A. Sales
B. Equipment
C. Depreciation
D. Cash
Answer: Cash.
Explanation: Cash is credited in the journal entry, because the asset cash decreases. (I know, it seems backwards and it’s hard to wrap your brain around it.)
What are two attributes of a foreign direct investment? high risk; low reward high risk; high reward low risk; high reward low risk; low reward
High risk and high reward are two important attributes of foreign direct investment.
Foreign direct investment (FDI) refers to the investment made by a company or an individual in a foreign country by establishing a business or acquiring a company. The two main attributes of FDI are high risk and high reward.
FDI is considered a high-risk investment because it involves a significant amount of money and resources to set up a business in a foreign country. The investor has to deal with various risks such as political instability, economic uncertainty, regulatory changes, and cultural differences, which can have a negative impact on the investment.
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Complete Question
What are the two attributes of a foreign direct investment?
A) high risk; low reward
B) high risk; high reward
C) low risk; high reward
D) low risk; low reward
How does saving influence economic activity?
How does saving influence economic activity? by making more money available to be used by individuals, businesses, and the government. When the borrowed money is spent, the demand for goods and services is increased, which creates more jobs and spending for workers.
A manager who involves members of the team in decisions is using which management style?
A.
Authoritarian
B.
Hands-off
C.
Participative
D.
Autocratic
Answer:
c.
Explanation:
Answer:
i think its c) to
Explanation:
imapct of corona virus as one of the socio - economic issues on business
Answer: It has also sparked fears of an impending economic crisis and recession. Social distancing, self-isolation, and travel restrictions have lead to a reduced workforce across all economic sectors and caused many jobs to be lost. Schools have closed down, and the need for commodities and manufactured products has decreased.
Hope this helped!
Answer:
the impact of the corona virus on bussisess and the econmy has made people lose their jobs and bussineses shut down
Explanation:
Explain average variable cost businesses experience
The average variable cost businesses experience can be described as the variable costs per unit of output and this can be interpreted as the production incurred by a business.
What is average variable cost?The entire variable cost per unit of production is known as the average variable cost (AVC). Total variable cost (TVC) divided by total output (Q) yields this result. Total variable cost (TVC) is the sum of all costs, including materials and labor, that fluctuate with output.
Variable costs per unit of output, which may be understood as the production expenses incurred by a business, can be used to represent the typical variable costs businesses experience.
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If AVC is horizontal, then: a. MC must be rising at a constant rate. b. ATC must be continually falling. c. MC must cut ATC at the latter's maximum point. d. None of the above is true.
Option d, None of the above is true. When the AVC (average variable cost) is horizontal, it means that the marginal cost (MC) is equal to the average variable cost at every level of output.
However, this does not necessarily mean that the MC must be rising at a constant rate or that the ATC (average total cost) must be continually falling. ATC must be continually falling, or MC must cut ATC at the latter's maximum point. In fact, the shape of the ATC curve depends on the relationship between the MC and the average fixed cost (AFC). The only thing that can be said for certain is that the MC must intersect the ATC at its lowest point, which is also the point of minimum average cost.
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100 points
Spreadsheets
Project: Perform Spreadsheet Calculations Active
In ProgressAttempt 2
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Answer:
Good luck next year. Before i go i want to give a huge thank u to, brainly, quizlet, mathaway and more because without u all i wouldn't be able to pass. THANK U!!!
How will you make your decision about whether to open the new exhibit?
Answer:
Explanation:
When making a decision about whether or not to open a new exhibit the main thing that you would need to take into consideration would be the probability of success. This is created by taking into account various factors that would affect it, such as target audience population, pricing, inventory, as well as previous exhibit success or failure. Once all of this is taken into account, then a proper decision can be made.
Four grocery stores account for 80 percent of the retail food sales in Metro City. Two of the stores want to merge. In determining whether the merger violates the Clayton Act, the most crucial factor is
Considering the situation described above, to determine whether the merger violates the Clayton Act, the most crucial factor is "the market shares of the firms in their market."
This is because the Clayton Act was passed by the US Congress in 1914 to purposely curbed unethical business activities such as unethical mergers, price-fixing, monopolies, etc.
However, in this case, to reveal that the merger in this situation is not anti-competitive, the most crucial factor is to assess the market shares of the firms in their market.
Hence, in this case, it is concluded that the correct answers are "the market shares of the firms in their market."
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PLS ANSWER
how bad does a W look on a transcript?
Answer:
W's do not count against your overall GPA and thus, do no harm grade-wise. However, W's can run you at risk of losing financial aid. Schools have what's known as satisfactory academic progress which means that you'll need to be completing your courses for credit.
Planner Corporation's comparative balance sheets are presented below.
PLANNER CORPORATION Comparative Balance Sheets December 31
Cash 2017 $ 21,570 2016 $ 10,700
A/R 2017 18,200 2016 23,400
Land 2017 18,000 2016 26,000
Building 2017 70,000 2016 70,000
Accumulated depreciation2017 (15,000) 2016 (10,000)
Total 2017 $112,770 2016 $120,100
Accounts payable 2017 $ 12,370 2016 $31,100
Common stock 2017 75,000 2016 69,000
Retained earnings 2017 25,400 2016 20,000
Total 2017 $112,770 2016 $120,100
Additional information: 1. Net income was $27,900. Dividends declared and paid were $22,500. 2. All other changes in noncurrent account balances had a direct effect on cash flows, except the change in accumulated depreciation. The land was sold for $5,900.
Instruction (a) Prepare a statement of cash flows for 2017 using the indirect method. (b) Compute free cash flow.
(a) The statement of cash flows would show operating, investing, and financing activities based on the provided information. (b) Free cash flow cannot be calculated without additional details on capital expenditures and cash flow from operations.
The statement of cash flows for 2017 using the indirect method would show the cash flows from operating activities, investing activities, and financing activities. The net income of $27,900 would be adjusted for non-cash items such as depreciation and changes in working capital.
The cash flows from investing activities would include the proceeds from the sale of land and any other investments made during the year. The cash flows from financing activities would include the dividends paid and any changes in long-term debt or equity.
Free cash flow is calculated by subtracting capital expenditures from cash flow from operations. Capital expenditures represent the investments made in property, plant, and equipment during the year. Cash flow from operations is the net cash provided by operating activities.
By subtracting capital expenditures from cash flow from operations, we can determine the amount of cash available for other purposes such as debt repayment or distribution to shareholders.
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.Which of the following is the least likely to be a characteristic of a revenue‐type of municipal bond?
Group of answer choices
A. It is guaranteed by the federal government.
B. It is exempt from federal tax for certain investors.
C. The source of repayment is from revenue‐generating projects.
The least likely characteristic of a revenue-type of a municipal bond is option A, which states that it is guaranteed by the federal government. Revenue-type municipal bonds are typically issued by local or state government entities to fund revenue-generating projects such as toll roads, bridges, and airports.
The source of repayment for these bonds comes from the revenue generated by the projects. Therefore, the creditworthiness of these bonds is typically evaluated based on the financial health and performance of the underlying project, rather than on the government entity's credit rating. Option B, stating that revenue-type municipal bonds are exempt from federal tax for certain investors, is a common characteristic of these bonds. Municipal bonds, in general, are often exempt from federal taxes, making them attractive to investors seeking tax-advantaged investments.
Option C, stating that the source of repayment for revenue-type municipal bonds is from revenue-generating projects, is a defining characteristic of these bonds. The projects funded by these bonds are expected to generate revenue, which is then used to repay the bondholders.
In summary, the least likely characteristic of a revenue-type municipal bond is that it is guaranteed by the federal government. These bonds are typically evaluated based on the underlying project's creditworthiness and are often exempt from federal taxes for certain investors.
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Why should you check the spelling by reading a document even if you used Writer's Spell Check feature? A. The Spell Check dictionary is usually out of date. B. Spell Check won't recognize mistakes you've made when you misspell a word in a way that makes another word. C. Spell Check only checks the first half of a document, so you have to check the rest yourself. D. The Spell Check suggestions are always wrong.
Answer:
B) Spell Check won't recognize mistakes you've made when you misspell a word in a way that makes another word.
Explanation:
How to manage a hotel in Hungary?
write done your marketing plan with budget
To manage a hotel in Hungary, you will need to implement a comprehensive marketing plan with a well-detailed budget. Below are the steps to follow to develop your marketing plan with a budget:1. Conduct Market Re-search T he first step is to conduct a market research to identify the demand for hotel services in Hungary.
By carrying out a market analysis, you will be able to determine the size of the market and segment your target customers. You should also assess your competitors and their marketing strategies to get an idea of what works in the industry.2. Define Your Hotel Brand The next step is to define your hotel brand by creating a unique selling proposition (USP). Your USP should reflect your target customers' needs and differentiate your hotel from the competition.3. Develop a Marketing Mix After defining your USP, you can develop a marketing mix that includes product, price, place, and promotion.
In terms of product, you should focus on providing quality services that meet your customer's needs. For pricing, you should be competitive and fair to attract and retain customers. Your hotel's location is also an essential element of your marketing mix. You can use the place element to target customers who require specific services. Finally, promotion is crucial in marketing your hotel, and you should use various channels such as social media, online platforms, billboards, and radio to reach your target customers.4. Set Marketing Goals and ObjectivesTo determine your marketing budget, you need to set your marketing goals and objectives. The goals should be specific, measurable, achievable, relevant, and time-bound. Objectives may include increasing bookings by 20% in the next six months or increasing your website's traffic by 50% in three months.5. Allocate Your Marketing BudgetAfter setting your goals and objectives, allocate your marketing budget according to the most effective marketing channels. For instance, if online marketing is the most effective, allocate more funds to online advertising. A well-prepared marketing plan will help you achieve your business goals and attract more customers.
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Flextrola, Inc. , an electronics systems integrator, is planning to sell its next generation product using components sourced from its supplier. Flextrola will integrate the component with some software and then sell it to consumers. Given the short life cycles of such products and the long lead times quoted by its supplier, Flextrola only has one opportunity to place an order prior to the beginning of its "selling season. " Assume that Flextrola’s demand during the season is normally distributed with a mean of 1000 and a standard deviation of 600. (A normal table is provided at the end of this exam for your convenience. )
Solectrics’ production cost for the component is $52 per unit and it plans to sell the component for $72 per unit to Flextrola. Flextrola incurs essentially no cost associated with the software integration and handling of each unit. Flextrola sells these units to consumers for $121 each. Flextrola can sell unsold inventory at the end of the season in a secondary electronics market for $50 each. The existing contract specifies that once Flextrola places the order, no changes are allowed to it. Also, Solectrics does not accept any returns of unsold inventory, so Flextrola must dispose of excess inventory in the secondary market.
Required:
a. What is the probability that Flextrola’s demand will be within 25 percent of its forecast?
b. What is the probability that Flextrola’s demand will be more than 40 percent greater than its forecast?
c. Under this contract, how many units should Flextrola order to maximize its expected profit?
d. What are Flextrola’s expected sales?
e. How many units of inventory can Flextrola expect to sell in the secondary electronics market?
With a mean of 1000 and a standard deviation of 600, the probability that the demand is going to be withing 25 percent of its forecast is 0.3230.
a. Mean = 1000
sd = 600
p(1000x 1-25%) - p(1000x 1+25%)
using the z test
d-μ/σ
\(p(z < \frac{1250-1000}{600} )-p(z < \frac{-1000}{600} )\\\\(z < 0.4167)-(z < -0.4167)\)
find values using excel sheet formula
NORMSDIST(0.4167) - NORMSDIST(-0.4167)
=m0.6615 - 0.3385
= 0.3230
b. The probability that the forecast would be more than 40 percent1000x 1+40%
= p(D>1400)
= 1- NormDist(0.667)
= 0.225
c. Cu = 121-72 = 49
Co = 72.50 = 22
The critical ratio calculation
49/22 +49 = 0.6901
Normsinv(0.6901) = 0.496
1000+0.496x600
= 1297
The units that Flextrola has to order is 1297.
d. The expected sales of Flextrola1200-1000/600
= 0.3333
loss function from z = 0.333 is 0.254
600x0.254 = 152. 4
1000-152.4 = 847.6
the expected sales are 847.6
e 1200- 847.6
= 352. 4
The units of inventory that can be sold is 352.4
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other things held constant, the lower a firm's tax rate, the more logical it is for the firm to use debt. true false
The tax shelter from debt is less valuable as the lower the tax rate. Consider the WACC's debt service costs: rd (1-Tax rate). The cost of debt is not reduced as much when the Tax rate is low as it is when the Tax rate is high. hence, the given statement is False.
What is the tax rate?The tax rate in a tax system is the proportion at which a company or individual is taxed. Statutory, average, marginal, and effective tax rates are just a few of the ways that can be displayed.
Hence, The cost of debt is not reduced as much when the Tax rate is low as it is when the Tax rate is high. hence, the given statement is False.
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Privately owned media companies in the united states earn most of their revenue from:.
Answer:
advertising
Explanation: Mark me brainliest!!
Media companies are the group that enabled broadcasting for knowledge, entertainment, and another purpose. The major source of revenue for media companies is advertisements.
What is revenue?The revenue can be described as the actual amount earned by a business by performing its regular business operations. It can be in the form of fixed income or fluctuating income.
The media companies invested in the gathering of the information and the processing for the development of the broadcasting content.
The major revenue source gained by the private media companies was developed from advertising.
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according to adam smith, why does division of labor improve the performance and productivity of workers?
Division of labor improve the performance and productivity of workers as The more they focus on one task, the more efficient they become at this task, which means that less time and less money is involved in producing a good.
Describe a productivity example.The output can be measured in terms of units produced or sales, with work hours being the most frequently utilized input. For example, if a manufacturer produced 10,000 widgets last month while being charged for 5,000 hours of labor, productivity would simply be two widgets per hour (10,000 / 5,000).
The method used to calculate productivityIn order to compute it, a corporation must divide the outputs it produces by the inputs it used to make those outputs. Natural resources, work hours, and capital are frequent inputs, and outputs are frequently expressed as sales or the quantity of goods and services produced.
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Use the following information for the Quick Study below. Skip to question [The following information applies to the questions displayed below.] Park Co. is considering an investment that requires immediate payment of $30,455 and provides expected cash inflows of $9,400 annually for four years. Assume Park Co. requires a 7% return on its investments. QS 24-3 Internal rate of return LO P4 1-a. What is the internal rate of return? (PV of $1, FV of $1, PVA of $1, and FVA of $1) (Use appropriate factor(s) from the tables provided. Round your present value factor to 4 decimals.) 1-b. Based on its internal rate of return, should Park Co. make the investment?
Answer and Explanation:
a. The computation of the internal rate of return is shown below:
Given that
The expected cash inlfows would be $9,400 for four years each
Rate of return is 7%
The Initial investment is $30,455
Based on the above information
The net present value is
= $9,400 × PVIFA factor for 7% at 4 years - $30,455
= $9,400 × 3.3872 - $30,455
= $31,840 - $30,455
= $1,385
Now the present value factor is
= $30,455 ÷ $9,400
= 3.2399
Now based on the factor table, the rate should be 9% for four years
b. Yes depend upon the internal rate of return, the park co should make the investment
Why is it important to frame and scope a data analytics project properly? O To ensure alignment among stakeholders of the data analytics project. O To ensure that the same data analytics project has not been done previously. O To ensure that not all the processes are automated through data analytics. O To ensure that the probability of success of the data analytics project is over 15%. Confirm
To ensure that a data analytics project has a probability of success of over 15%, it is critical to correctly frame and scope the project. So, the correct option is (D).
What is data analytics?
The word "data analytics" is broad and covers a wide range of data analysis techniques. Data analytics techniques can be applied to any sort of information to gain insight that can be used to make things better. Techniques for data analytics can make trends and metrics visible that would otherwise get buried in the sea of data. The efficiency of a business or system can then be improved by using this knowledge to optimize processes.
For instance, manufacturing businesses frequently keep track of the runtime, downtime, and work queue for different machines, then evaluate the data to better plan the workloads so the machines function closer to peak capacity.
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What’s the answer to “Temperatures rise due to global warming in growing seasons of crops in lengthens?”
Explanation:
Crops and livestock will be subjected to increasing temperatures, increasing CO2, and more variable water availability caused by changing precipitation patterns and access to irrigation. These factors effect plant growth and yield and environmental conditions for livestock production.
Temperatures rise due to global warming, which lengthens the growing seasons of crops.
The general rise in temperature is being attributed to global warming, which is primarily brought on by human activities that release greenhouse gases. The crop-growing seasons are being impacted by this rise in temperature. Longer growing seasons give crops more time to develop and produce, which could result in higher yields. The effects of global warming on agriculture are complicated and vary by region.
Longer growing seasons may be advantageous for some regions while posing challenges for others due to increased droughts, extreme weather events, and changes in precipitation patterns that will impact crop productivity and agricultural practices. In order to reduce the negative effects of climate change on crops and ensure food security, sustainable and adaptive strategies are essential.
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Alltech Company maintains a separate accounts receivable account for each customer. On June 18, Alltech provides $6,300 of services on account to customer Anthony and $1,200 of services on account to customer Walker. How will these two transactions affect the control and subsidiary accounts?
Answer:
B. The control account, Accounts Receivable, will be increased with a debit of $8 300
Explanation:
According to the given situation, in total, the Alltech company makes sales of 2, one for $6,300, and the other for $2,000. The total of sales will be computed by adding both sales that are $6,300 + $2,000 = $8300 will therefore be booked and control and receivables will be boosted with a debit of $8,300.
Therefore, the correct answer is B.
~PLEASE HELP~
Why is it important to develop an idea of your potential career cluster now?
Answer:
It is important for you to get a idea what you would to be in because it is going to help you understand your purpose in life. It is going to help you choose the right college for you.
Explanation:
Police are investigating the site of a convenience store robbery. The glass door was
broken, and it looks as if several packages of cigarettes are missing from behind the
counter. One police officer notices a man walking past the store and gets an odd
feeling about him. He stops the man and insists on searching his pockets. Inside the
man's pockets, police find several packs of cigarettes. They arrest the man and
charge him with the crime. Unfortunately, the judge throws out the charges. What is
MOST likely the judge's reason for dismissal?
A-The man is under 18 years old.
B-The man did not have money to post bail.
C-The policeman did not have probable cause to search the man.
D-The policeman did not have enough evidence that the man was the robber.
The MOST likely judge's reason for dismissal is the policeman did not have enough evidence that the man was the robber. Thus the correct option is D.
What is Robbery?Theft or robbery is defined as the stealing of someone else's property without their permission and using force or a threat of force that exhibits fear in them to perform any action against them.
To prove a crime against someone requires one to submit enough evidence which helps to establish the claim as the justice system is based on evidence not on arguments.
In the given case, police found the activity of the men suspicious as they found cigarette packets from him. There is no evidence that he has stolen the cigarette packets might be possible he has purchased them.
So due to a lack of evidence against the person the Judge dismissal the case. Therefore, option D is appropriate.
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In nims resource inventorying refers to preparedness activities conducted.
In NIMS (National Incident Management System), resource inventorying refers to the preparedness activities conducted to ensure that the necessary resources are identified, cataloged, and made available for use in response to an incident.
This process involves identifying and cataloging resources such as personnel, equipment, supplies, and facilities that may be required to support response and recovery operations.
Resource inventorying is essential to ensure that resources are available when needed, and to avoid delays and confusion during an incident.
Effective resource inventorying requires a collaborative effort between various agencies and organizations to identify and share resources.
The process includes updating the inventory regularly to reflect changes in availability or location of resources. Proper resource inventorying ensures a quick and efficient response to incidents, which is crucial in emergency situations.
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Government securities guarantee fixed payments and set intervals. If the demand for money declines, however, the value of these securities declines as well.Drop down:business risk; financial risk; interest rate risk; liquidity risk; market risk; purchasing power risk
The type of risk that will see the value of securities dropping due to the demand for money declining, is interest rate risk.
What is interest rate risk?Interest rate risk is the risk that the value of fixed payment investments such as government securities, could lose value if the interest rates in the market decreased and there was therefore a loss of demand.
This is why the risk that the value of government securities decreases, when there is a lower demand for money, falls under interest rate risk.
In conclusion, the risk involved when the value of securities fall is interest rate risk.
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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
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.
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