Johnson & Johnson introducing a travel-sized package for its existing baby oil product, this is a form of product innovation.
Product innovation refers to the development of a new product or improvement of an existing one that meets customer's needs and wants. Companies can introduce a new product to the market to attract new customers and increase their market share.
There are several types of product innovations that companies can introduce. These include:
Line extension – this involves the introduction of a new product in an existing product line.
Brand extension – this involves the introduction of a new product that is related to an existing brand.
Category extension – this involves the introduction of a new product that is related to an existing product category.
Product improvement – this involves improving an existing product to meet customer's needs and wants.
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Which event describes a short-run adjustment for a gas station? a. installation of new gas tanks b. addition of a car wash c. expansion of the adjacent convenience store d. hiring ten more workers to stay open 24 hours
Answer:
A
Explanation:
the answer is installation of new gas tanks
Classify the following services by their degree of customer contact (high, medium, or low). Also, determine how much uncertainty the customer introduces into the service delivery system by the ability to make customized service demands (high, medium, or low).a. Check clearing in a bankb. Bank tellerc. Bank loan officer
The customer's ability to make customized service demands is also high as they may have specific loan requirements or unique circumstances that require tailored solutions.
A) Check clearing in a bank - This service has low customer contact as it is mostly automated and does not require direct interaction between the customer and the service provider.
The customer's ability to make customized service demands is also low as the process is standardized and follows set procedures.
B) Bank teller - This service has medium customer contact as it requires face-to-face interaction between the customer and the service provider.
The customer's ability to make customized service demands is also medium as they may have specific requests or needs that require personalized attention.
c. Bank loan officer - This service has high customer contact as it involves in-depth discussions and consultations between the customer and the service provider.
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Being a manager can be one of the greatest avenues to a meaningful life, particularly if the manager ____ is working within a supportive or interesting organizational culture.
One of the best paths to a fulfilling existence can be management, especially if somehow the manager is part of an inspiring or engaging company culture.
what it entails to be a manager?The traditional definition of a manager only includes the coordination of other people's actions. Managers just coordinate other people's efforts to achieve goals.
What is a manager's primary objective?Maintaining the essential quality standards for the firm is one of management's fundamental goals. To establish, implement, and sustain quality, the team works in conjunction with other departments, managers, and staff members.
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james green just bought a stock which he expects will provide him with a quarterly cash payment, although that payment is not guaranteed. in fact, he expects the amount of the payment to vary over time. what type of payment is he expecting to receive?
James Green is expecting a payment in the form of a dividend.
Define Dividend.A dividend is the distribution of profits to shareholders by a corporation. When a corporation makes a profit or has a surplus, it has the option of paying a portion of that profit as a dividend to its shareholders. Any money that is left over is taken out and put back into the business.
A corporation distributes a percentage of its profits and retained earnings as a dividend to its shareholders. Retained earnings, which are accumulated when a corporation generates a profit, can either be reinvested in the business or paid out as a dividend to shareholders.
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The whirlpool factory in Oxford, Mississippi, makes built-in kitchen ovens. In the 1990s, this plant re-engineered its processes to become JIT/lean. One of the parts of a particular oven, Part A, is processed by two 600 ton presses (in series), and then goes through a porcelain system to be coated. Finally, it is stored in the WIP storage location unitl it is used by the assembly lines. As a container of Part A is to be used, the kanban attached to it is taken to thepress area and posted on the Kanban post. Deman for Part A is 175 units per workday. A workday is 19 hours. The container size is 30 units. The setup time is 1 hour. Because of the large setup time, 5 kanbans are accummulated before production of A begins on the presses (approximately 16 hours of wait time). Production rate for A is 120 units per hour. The safety factor is 120 percent. Determine the number of kanbans required for Part A.
The number of kanbans required for Part A in the Whirlpool factory in Oxford, Mississippi is 22.
To calculate the number of kanbans required for Part A, we first need to calculate the total lead time for Part A, which is 16 hours of wait time plus the processing time of 1 hour plus the time it takes to produce the 30 units in a container, which is (30/120) = 0.25 hours.
Thus, the total lead time is 17.25 hours. To calculate the number of kanbans required, we use the formula:
Number of kanbans = (Demand during lead time + Safety stock) / Container size. Plugging in the values, we get: (175 x 17.25 x 1.2 + 175 x 0.2) / 30 = 22.
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WILL GIVE BRAINLY!!!!!!!!
A shift in demand may occur within a community in all of the following cases, except a change in __________.
A. birthrate
B. immigration
C. political leadership
D. age demographic
Answer:
C. political leadership
Explanation:
A shift in the demand curve occurs in many cases except for a change in political leadership.
What do you mean by demand?Demand refers to the ability, or willingness to buy a product, goods, or services.
A change in birthrate, immigration, and age demographic are the reasons for shifting in demand but a change in political leadership does not affect the demand.
Therefore, C is the correct option.
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3. Who was the first customer of mcdonald's and what was ordered?
Answer:
The main McDonald's eatery was begun in 1948 by siblings Maurice ("Mac") and Richard McDonald in San Bernardino, California. They purchased machines for their little cheeseburger eatery from sales rep Ray Kroc, who was fascinated by their requirement for eight malt and shake blenders.
Explanation:
What are tic tac like what is good for you
Answer: Ingredients. Sugar, fructose, maltodextrin, peppermint essential oil, rice starch, gum arabic, filling agent (magnesium salts of fatty acids), glazing agent (carnauba wax).
Explanation:
They are NOT good for u. :(
You decide to change careers and have assessed your values, interests, and skills. What should you do next?
Apply for jobs that look interesting.
Enroll in a certification program.
Make a list of potential jobs and research them.
Reach out to a friend to see if their company is hiring.
Answer:
Make a list of potential jobs and research them
Explanation:
Answer:
Make a list of potential jobs and research them.
Explanation:
Elle is in high school and wants to have job until she graduates. Which job would she be most qualified for until she graduates high school?
O Purchasing Agent
O Cashier
O Sales Agent
O Interviewer
First of all we should understand the nature of job of Purchasing Agent, Cashier, Sales Agent and an Interviewer to decide which option should Elle would be most qualified for until she graduates high school.
Who is a Purchasing Agent?The persons who buy the parts and materials that help in the production of goods are called purchasing agents or purchasers.
Buyers and purchasing agents review the history and quality of the suppliers before making the purchase. They should be qualified enough to consider price, quality, availability, reliability, and technical support when choosing suppliers and merchandise.
Who is a Cashier?A cashier is a person who handles the cash register at various locations such as the point of sale in places such as shops or banks.
He is also known as teller, accountant, clerk, treasurer. Only qualified and skilled persons can perform the role of cashier.
Who is a Sales Agent?A person hired by any company to sell its products or services is known as Sales agent.
A sales agent take orders, offer services and provide support in person and via telephone or internet. This job can be done with little training and less qualification.
Who is an Interviewer?A person who conducts an interview to hire the candidates is known as Interviewer. To be an interviewer, a person needs to be well qualified with great communication skills.
So, the best role that Elle can take up until she graduates is that of a Sales Agent.
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Suppose that in a month the price of oranges increases from $.75 to $1. At the same time, the quantity of oranges demanded decreases from 100 to 80. The price elasticity of demand for oranges (calculated using the initial value formula, also known as the simple elasticity formula) is:_______A 0.6. B. 0.75. C. 025. D. 20.
Answer:
Option A is correct
Price elasticity of demand =0.6
Explanation:
Price elasticity of demand (PED) is the degree of responsiveness of demand to a change in price.
Where a percentage change in price produces a more than a proportional change in quantity, we say the product is price elastic. On the other hand, where a change in price produces a less than a proportional change in quantity demand, then demand is price inelastic
PED is computed as follows:
PED = % change in quantity /% change in Price
% change in demand = (100-80)/100 × 100 = 20%
% change in price =(0.75-1)/0.75 × 100 = 33.33%
PED = 20%/33.33% = 0.600
Price elasticity of demand =0.6
Due to mismanagement, Pakistan Steel Mills is currently over levered with a debt to capital ratio of 80% and a pre-tax cost of debt of 8%. Management of Pakistan Steel Mills is considering a restructuring that will reduce the company's debt to capital ratio to 40% and its pre-tax cost of debt to 6%.
Current:
Debt/(Debt+Equity) = 80%
Cost of Debt (pre-tax) = 8%
Cost of Equity = 24.10%
Recapitalised:
Debt/(Debt+Equity) = 40%
Cost of Debt (pre-tax) = 6%
Cost of Equity = ?
If the marginal tax rate is 25%, the risk-free rate is 2.5%, and the equity risk premium is 6%, estimate the cost of capital after the restructuring.
The estimated cost of capital after the restructuring is 10.82%.
Using the MM Proposition II with taxes, we need to first calculate the Cost of unlevered equity;
Cost of unlevered equity = (Cost of levered equity+cost of debt*D/E*(1-tax rate))/(1+D/E*(1-tax rate))
Cost of unlevered equity = (24.10% + 8%*80%/20%*(1-25%)) / (1+80%/20%*(1-25%))
Cost of unlevered equity = 12.03
Cost of levered equity = Cost of unlevered equity + (Cost of unlevered equity-Cost of debt)*D/E*(1-tax rate)
Cost of levered equity = 12.03% + (12.0250%-6%)*40%/60%*(1-25%)
Cost of levered equity = 15.04%
Cost of capital (WACC) =40%*6%*(1-25%)+60%*15.0375%
Cost of capital (WACC) = 0.018 + 0.090225
Cost of capital (WACC) = 0.108225
Cost of capital (WACC) = 10.82%
In conclusion, the estimated cost of capital after the restructuring is 10.82%.
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in accounting, which of the following payment types is journalized as if it were a cash transaction? question 13 options: eft debit card check all of the above
All of the above payment types can be journalized as if they were cash transactions.
What is payment?Payment is the transfer of money from one party to another in exchange for goods, services, or to fulfill a legal obligation. Payment can be made in a variety of forms including cash, online transfers, checks, debit or credit cards, or other financial instruments. Payment is often used to discharge a debt or as consideration for a contract. Payment also refers to the act of making or receiving financial sums in exchange for goods or services. Payment systems are the mechanisms used to facilitate payments, such as credit cards, debit cards, or Pay Pal.
Electronic Funds Transfer (EFT), debit cards, and checks can all be journalized as if they were cash payments. The key difference between these payment types and a cash payment is that the funds are transferred electronically or through a third party, rather than in cash. Therefore, the journal entries to record these payments in the accounting books will be the same as if they were cash payments.
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Complete Question:
in accounting, which of the following payment types is journalized as if it were a cash transaction? question 13 options:
A) eft, B) debit card C. all of the above D. non of these
Define one key area of your daily life that would benefit if you learned to communicate better. Explain in detail how that key area would improve with better communication.
Answer:
if I learned to communicate better I would have more patience
Explanation:
if I were to communicate better I would have more patience with people it would help me understand other people's thoughts feelings and needs as well if I communicated my own thoughts feelings and needs it builds better relationships
On April 1, 1986, Casey deposited $1150 into a savings account paying 9.6%
interest, compounded quarterly. If he hasn't made any additional deposits or
withdrawals since then, and if the interest rate has stayed the same, in what
year did his balance hit $2300, according to the rule of 72?
Answer:4900
Explanation: it makes sence duh.
on january 1, year 1, parker company purchased an asset costing $20,000. the asset had an expected five-year life and a $2,000 salvage value. the company uses the straight-line method. what are the amounts of depreciation expense and accumulated depreciation, respectively, that will be reported in the year 2 financial statements? multiple choice $4,000 and $12,800 $3,600 and $3,600 $4,000 and $7,200 $3,600 and $7,200
The cost of an item is distributed over the course of its useful life using the accounting technique of depreciation. When an asset's value gradually drops as a result of damage, obsolescence, or other circumstances, it is said to be depreciating.
To calculate the depreciation expense and accumulated depreciation for the second year, we need to first determine the annual depreciation using the straight-line method.
The depreciable cost of the asset is the cost of the asset minus its salvage value, which is $20,000 - $2,000 = $18,000.
To calculate the annual depreciation, we divide the depreciable cost by the expected life of the asset, which is 5 years.
Therefore, the annual depreciation is $18,000 / 5 = $3,600.
To calculate the depreciation expense for the second year, we simply multiply the annual depreciation by the number of years the asset has been in use, which is 2 years.
So, the depreciation expense for the second year is $3,600 x 2 = $7,200.
To calculate the accumulated depreciation for the second year, we simply add up the depreciation expense for the first and second years.
So, the accumulated depreciation for the second year is $3,600 + $7,200 = $10,800.
Therefore, the answer is $3,600 and $10,800, respectively. Option D is the correct answer.
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Capital market securities are typically expected to have a ______ than money market securities.
Capital market securities are typically expected to have a higher risk than money market securities.
Understand capital market and money market securities:
Capital market securities:
These are financial instruments issued by corporations, governments, or other entities to raise long-term capital. Examples include stocks, bonds, and other long-term debt securities.
Money market securities:
These are short-term, highly liquid financial instruments with a maturity of one year or less. Examples include Treasury bills, commercial paper, and certificates of deposit.
Recognize the risk-return relationship:
In general, there is a positive relationship between risk and return. Investors expect higher returns for taking on higher levels of risk.
Evaluate risk characteristics:
Money market securities are typically considered lower risk due to their short-term nature, high liquidity, and lower susceptibility to interest rate fluctuations. They are often viewed as relatively safer investments.
Capital market securities, on the other hand, have a longer maturity and are subject to various risks such as credit risk, market risk, and interest rate risk. These securities are exposed to potential fluctuations in the value of the underlying assets, economic conditions, and the performance of the issuing entity.
Understand the expectation:
Given the higher risk associated with capital market securities compared to money market securities, investors generally expect higher returns as compensation for taking on the additional risk.
Formulate the conclusion:
Considering the risk-return relationship and the characteristics of capital market and money market securities, the conclusion is that capital market securities are typically expected to have a higher risk than money market securities.
In summary, capital market securities are expected to have a higher risk than money market securities due to their longer maturity, exposure to various risks, and potential for higher return as compensation for the additional risk.
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the bank allows you to borrow money up to a specific amount
Revolving credit/credit.
Hope I helped you :3
I think my answer is correct :>
Answer:
Revolving credit.
credit.
Explanation:
In "revolving credit", the bank allows you to borrow money up to a specific amount, which is your "credit".
Why is issuing a receipt after a sale always important?
A. The receipt helps enforce separation of duties procedures.
B. The receipt is the only record that the sale was made.
C. Without a receipt you increase the likelihood of fraud or theft.
O D. Without a receipt you cannot return your purchase.
Answer:
D po sagot
Explanation:
i hooe it helps
carry on laering po ❤
Unlike the distinctive competencies of a company, the core capabilities of a company:
O a. are tangible and more visible.
O b. cannot be sustained for long without superior distinctive competencies.
O c. include things that the company can make, do..or perform better than its competitors.
O d. determine how efficiently inputs can be turned into outputs.
Option c. is correct: The core capabilities of a company include things that the company can make, do, or perform better than its competitors.
Distinctive competencies are unique strengths or advantages that a company possesses, which allow it to outperform its competitors in a particular area. Core capabilities are the key abilities, skills or processes that enable a company to deliver its products or services effectively and efficiently. While both are important for a company to succeed, core capabilities are often more fundamental to the company's operations and can provide a sustainable competitive advantage if leveraged correctly.
A manufacturing firm has decided to capitalise on its existing success by building an extension to its production plant to come on stream by 2018. The firm has evaluated the decision and calculated that its profitability will improve by £650 000 if the extension is completed on time. If, however, the extension is delayed then, because of contractual production commitments, the firm stands to lose some £350 000. The firm has invited tenders for the construction work and two contractors have been shortlisted. Contractor A has indicated that they would undertake all the work themselves and that they have a track record such that 75 per cent of previous jobs have been completed on time. Contractor B, on the other hand, has a track record of 95 per cent of jobs being completed on time where Contractor B has done all the work. However, Contractor B occasionally subcontracts work to other companies - some 30 per cent of their jobs have a subcontract element in them. Their completion rate on jobs involving subcontractors is less impressive, with 40 per cent of such jobs not being completed on time. (a) Draw a decision tree for this situation. (b) Using this information, recommend which of the two shortlisted contractors should be given the job.
(a) Decision Tree:
scss
Copy code
|-----------------------|------------------------|
| | |
Contractor A Contractor B
(75% completion) (70% completion)
| |
On Time (£650k) Delayed (£-350k)
(b) Based on the information provided, Contractor A has a 75% completion rate, while Contractor B has a 70% completion rate when they do all the work themselves. However, Contractor B sometimes subcontracts work, and in those cases, their completion rate drops to 60% (40% delayed).
To determine which contractor should be given the job, we need to calculate the expected value (EV) for each option:
For Contractor A:
EV(A) = 0.75 * £650,000 + 0.25 * £-350,000
EV(A) = £487,500 + £-87,500
EV(A) = £400,000
For Contractor B:
EV(B) = (0.7 * (1 - 0.3) * £650,000) + (0.7 * 0.3 * £-350,000) + (0.3 * £-350,000)
EV(B) = £455,500 + £-73,500 + £-105,000
EV(B) = £277,000
Comparing the expected values, we find that the expected value for Contractor A is £400,000, while the expected value for Contractor B is £277,000. Therefore, based on these calculations, it is recommended to give the job to Contractor A as they have a higher expected value and a better track record of completing jobs on time.
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What is the equation for approximating the nominal rate of return? r = the nominal rate of interest r = the real rate of interest h = the inflation rate.
The equation for approximating the nominal rate of return is given by r = (1 + r) * (1 + h) - 1, where r represents the real rate of interest and h represents the inflation rate.
The equation for approximating the nominal rate of return can be expressed as follows:
r = (1 + r) * (1 + h) - 1,
where:
r represents the nominal rate of interest,
r denotes the real rate of interest, and
h signifies the inflation rate.
To derive this equation, we start with the fact that the nominal rate of return is the sum of the real rate of interest and the inflation rate. The real rate of interest accounts for the increase in purchasing power, while the inflation rate measures the decrease in the value of money. By multiplying (1 + r) with (1 + h) and subtracting 1, we effectively combine the effects of both rates to obtain the nominal rate of return.
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when a cpa is hired to report on the integrity of financial statements, which may include financial forecasts or reports on financial reporting processes, it is considered a(an)
When a CPA is hired to report on the truthfulness of financial statements, it is called "participating in an audit".
When a CPA is hired to report on the truthfulness of financial statements, including financial projections or to report on the financial reporting process, it is called "participating in an audit". An audit includes a systematic review of financial records, reports and related documents to ensure accuracy, reliability and compliance with applicable accounting standards.
The CPA performs various procedures, such as reviewing internal controls, verifying financial data, and evaluating the overall fairness and transparency of financial statements. The ultimate goal is to express an independent and objective opinion on the truthfulness and reliability of the financial information presented in the financial statements.
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The ________________ cycle of a neighborhood is characterized by demand and supply trending toward equilibrium.
The stability cycle of a neighborhood is characterized by demand and supply trending toward equilibrium.
It's interesting to see that some communities can endure indefinitely in the stability phase. Stable communities keep the same residents for decades, frequently leaving their estate to their heirs through devise, unlike retail where sales personnel frequently changes.
At this point, everything is in order, everyone knows each other, and recognisable faces are present. At this point, the community may still be expanding, albeit considerably more slowly, before expansion finally comes to an end. People who have moved in are comfortable and joyful, and they stay in their houses for a long time.
How can you tell if an area is desirable and secure? Since very few people ever move out of it, that would be the inability to move into it. Although stability can sometimes be constant, economic and functional obsolescence can occasionally intrude and cause the community to decline.
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Can someone pls help me with this? I'll give Brainliest :]
Answer:
sure but how can i help
Explanation:
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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when moderately ductile material is subject to a tensile load, its fracture will conform to: question 5 options: a.fibrous shape b.cup and cone c.shape granulard.shape star shape
When a tensile load is applied to the moderately ductile material, its fracture will take the form of a cup and cone.
This is because ductile materials have the ability to deform plastically before fracturing, which results in the cup and cone shape. The cup and cone shape is characterized by a necking region where the material undergoes localized deformation before rupturing. This type of fracture is different from brittle fracture, which occurs without significant plastic deformation and results in a flat and smooth fracture surface.
The fracture initiates at the center of the necked region and propagates outwards, creating a cup shape on one side and a cone shape on the other side. This characteristic cup and cone shape is indicative of a ductile fracture.
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A payment of $475 for telephone charges was entered as a debit to office expense and a debit to cash. What is the adjusting journal entry for the trial balance?
The proper entry to make in your journal is:
Office expenses (Dr) $475
To cash Account $475
An entry in a journal is what?A business's accounting records can contain information about a transaction by creating a journal entry. The general ledger is often where a journal entry is kept, however it can also be kept in a subsidiary ledger and subsequently rolled forward into the general ledger after being summarized.
An adjusted entry is exactly what?A diary entry that has been adjusted is one that has been changed. They check to see that the numbers you've recorded correspond to the appropriate accounting periods, in particular.
You can track unrecorded transactions using an adjusting journal entry, which is a type of financial record. Accrued expenses, accrued income, provisions, and deferred revenues are a few examples of common adjusting journal entries. When accounting periods change, you can utilize an adjusting journal entry for accrual accounting.
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imagine that the united states was composed of many separate countries with individual trade barriers. what marketing effects might one visualize?
If the United States were composed of many separate countries with individual trade barriers, marketing effects would include increased costs, reduced market size, and more complex marketing strategies.
1. Increased Costs: Trade barriers often lead to increased costs of importing goods, which would result in higher prices for consumers and reduced competitiveness of products in different regions.
2. Reduced Market Size: With trade barriers in place, companies would have to target smaller markets, as each state would become a separate country with its own regulations, leading to a more fragmented market.
3. Complex Marketing Strategies: Businesses would need to adapt their marketing strategies to comply with varying rules and regulations in each country, which may lead to increased difficulty in reaching a wide audience and developing unified branding.
In a scenario where the United States is divided into separate countries with individual trade barriers, businesses would face challenges in terms of higher costs, smaller market size, and more complex marketing strategies. These effects could hinder the growth and success of businesses and lead to reduced economic integration and collaboration between regions.
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On a scatter plot, a perfectly straight diagonal line sloping downward would produce a correlation coefficient equal to:A. +1B. -1C. 0D. +2E. -2
-1 is equal to correlation coefficient that produce a perfectly straight diagonal line sloping downward.
What is the coefficient of correlation?
In a correlation analysis, the correlation coefficient is the specific measure that quantifies the strength of the linear relationship between two variables. In a correlation report, the coefficient is represented by the letter r.
On a scatter plot, a perfectly straight diagonal line sloping downward indicates a perfect negative correlation between the variables. In this case, as one variable rises, the other falls in a perfectly consistent pattern.
The correlation coefficient, which ranges from -1 to +1, measures the strength and direction of the linear relationship between two variables. A correlation coefficient of -1 indicates that there is no correlation at all.
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