a) Perfect competition is the request structure in which a company has the least incitement to hire a public advertising agency.
A theoretical request structure is appertained to as perfect competition. Although perfect competition is uncommon in real- world requests, it serves as a useful model for illustrating how force and demand affect pricing and geste in a request frugality.
There are multitudinous buyers and merchandisers in a request with perfect competition, and prices reflect force and demand. Companies make only enough plutocrat to stay in business.
However, other companies would enter the request and drive down earnings, If they made too important plutocrat.
Perfect competition is a model or ideal type against which real- world request structures can be compared. Perfect competition is the theoretical antipode of a monopoly, in which only one establishment supplies an item or service and can charge whatever price it wants.
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Correct question:
which market structure does a firm have the least motivation to hire a national advertising agency.
a) perfect competition
b) monopoly
c) oligopoly
d) monopolistic competition
Eric wants to attend a higher education institution that will prepare him to directly enter the workforce, but he wants to attend a school that is financially supported by the government. What type of higher education should he attend?
A.
A Technical School
B.
A Theological School
C.
A Proprietary School
D.
A Private 2-year School
Answer:
A. A Technical School
Explanation:
What is the oldest and largest association for suppliers, as well as users, that provides assistance to direct marketers in their direct marketing efforts?Theassists direct marketers to help ensure the effective functioning of trade.
The oldest and largest association for suppliers and users that provides assistance to direct marketers in their direct marketing efforts is the Direct Marketing Association (DMA).
The DMA plays a crucial role in supporting direct marketers and ensuring the effective functioning of the trade.
Established in 1917, the DMA has a long history of serving the direct marketing industry. It brings together a wide range of stakeholders, including suppliers, marketers, agencies, and technology providers, creating a collaborative platform for knowledge sharing and professional development. The association offers various resources, education programs, networking opportunities, and advocacy efforts to its members.
The DMA acts as a hub for industry best practices, research, and innovation, helping direct marketers stay updated with the latest trends and strategies. Through its initiatives, the association promotes ethical and responsible marketing practices, emphasizing consumer privacy, data protection, and transparency. By connecting suppliers with marketers, the DMA fosters business partnerships and supports the growth of the direct marketing ecosystem. Overall, the DMA is an indispensable resource for direct marketers, assisting them in achieving their marketing goals and driving success in the ever-evolving landscape of direct marketing.
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On a particular day, the Dow Jones had a rate of change of -2.1%. Which of the following statements must also be true?
Answer: The average of the 30 stocks in the Dow Jones decreased
Explanation:
A p e x, just did the quiz
Answer:
The person above me is correct ;3
Explanation: TOOK THE QUIZ MY FRIENDS
Give an example of a specialist external agency that a café could use to advertise for an accountant in their head office.
Answer:
A finance reporting accountant prepares periodic financial statements required for external reporting. They collect and analyze financial data, ensuring that all reporting complies with SEC and GAAP reporting regulations and guidelines. They also prepare internal reports as required.
Explanation:
Please mark Brainliest!
quick-to-see smith chose to use collaged materials from commercial products and popular culture both to highlight contemporary racial stereotypes and to
Quick-to-See Smith is an American Native artist who uses collage to address issues of race and identity.
She uses collaged materials from commercial products and popular culture to highlight contemporary racial stereotypes and to critique the ways in which these stereotypes are perpetuated in mainstream culture.
Smith's use of collaged materials allows her to comment on the ways in which racial stereotypes are embedded in everyday objects and images. By incorporating these materials into her art, she draws attention to the ways in which these stereotypes are used to shape our perceptions of race and to reinforce social hierarchies.
In addition to highlighting contemporary racial stereotypes, Smith's use of collaged materials also draws attention to the ways in which popular culture is implicated in the perpetuation of these stereotypes. By incorporating materials from popular culture into her art, she critiques the ways in which these materials contribute to the reinforcement of racial stereotypes and to the perpetuation of racial inequality.
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Correct Question:
Quick-to-see smith chose to use collaged materials from commercial products and popular culture both to highlight contemporary racial stereotypes and to ______.
What does the phrase "like animals escaped from their caves" imply about the sun's impact on the children?
One of the growers is excited by this advancement because now he can sell more crops, which he believes will increase revenue in this market. As an economics student, you can use elasticities to determine whether this change in price will lead to an increase or decrease in total revenue in this market. Using the midpoint method, the price elasticity of demand for soybeans between the prices of $15 and $9 per bushel is , which means demand is between these two points. Therefore, you would tell the grower that his claim is , because total revenue will as a result of the technological advancement.
Answer:
0.67
inelastic
incorrect
Explanation:
Midpoint method is used by economists to identify the price elasticity. In this method the percentage change in quantity demanded is divided by percentage change in price. In the given scenario the price elasticity of bushel is 0.67 which determines that the change in quantity demanded will be due to change in price. The demand is inelastic therefore the claim of farmers is incorrect.
If the Market Equilibrium Wage Rate is $105.00 and FC = $1500.00: A. The firm Shuts Down and hires no workers and loses $1500.00 B. The firm hires 45 workers and earns a $1200.00 Economic Profit C. The firm hires 55 workers earns a $975.00 Economic Profit D. The firm hires 40 workers and earns a $1200.00 Economic Profit
Answer: B. The firm hires 45 workers and earns a $1200.00 Economic Profit
Explanation:
According to the table, when the Market Equilibrium Wage Rate is $105, the number of workers to hire would be 45 and the revenue would be $7,425.
If 45 workers are hired, they would cost:
= 45 * 105 per worker
= $4,725
Added to the fixed cost, the total cost would be:
= 4,725 + 1,500
= $6,225
The profit would be:
= Revenue - cost
= 7,425 - 6,225
= $1,200
What are the 4 general ways used by corporations to raise capital?
Enterprises to raise the capital need to pay for similar systems in four main ways( 1) from early-stage investors;( 2) by reinvesting gains;( 3) by adopting through banks or bonds; and( 4) by dealing stock.
Companies use two primary styles to gain equity financing the private placement of stock with investors or adventure capital enterprises and public stock immolations. It's more common for youthful companies and startups to choose private placement because it's further straightforward.
Utmost startups calculate on a combination of fundraising options and by stages, starting with subventions, microloans, angel investors, and ending with adventure capital( VC) backing, as a way to put in the incipiency and allow it to grow at an exponential rate if the business model to raise capital.
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1 Determine the cost recorded in the journal for the following situation;
Blazing Co. is looking for a new stove and has narrowed down their purchase to two different stoves.
Stove 1 cost 1,500
Stove 2 costs 1,700
Negotiated cost for Stove #2 1,400
They ran the numbers and decided that they want to purchase stove #1
They were able to negotiate the price on stove #1 to be $50.00 cheaper.
Cost of Stove
The information that must be recorded in the accounting book of the Blazing Co. company is the final price of stove #1, that is, $1,450.
What is the final price of stove #1?To calculate the price of stove #1 we must discount $50.00 (discount) from its initial sale price.
$1,500 - $50 = $1,450According to the above, its final price would be $1,450
What information do we record in the ledger?The information that we must record in the accounting book of the Blazing Co. company is the price at which the stove was purchased, that is, $1,450.
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WILL GIVE POINTS I need help choosing a subject for this assignment
In the United States, business regulations have been evolving since the 1800s. Chose an aspect of federal regulation of business practices, such as workplace safety, finance reform, or consumer protection, and create a presentation that is a timeline identifying five key factors that contributed to the definition and implementation of the regulation as it is enforced today. You can go online and research significant regulations or legislation; many of the federal agency websites may be of value. For each one, including the following information:
Date it was passed
Circumstance that motivated it
Who it benefits and why
You can use the presentation software of your choice for this assignment. Make sure that you are using reputable websites and include a list of at least three appropriate websites at the end. Your presentation should be well organized, free of mechanical errors, and easy to read.
The tax (excise tax) is an example of federal regulation of business practices.
Why was the Excise tax set up?The United States Constitution established tariffs and excise taxes, and Alexander Hamilton, the country's first secretary of the Treasury, suggested using them to charge foreign imports in 1789.
The people that benefit from the excise tax is the government. It was said to be first set up for revenue generation. When compared to other options like income taxation, excise taxes may provide large government revenue at a lower political or economic cost.
Therefore, One of the most prevalent taxation methods used by the federal government is the excise tax. This also holds true for particular products or services like alcohol, tobacco, and gasoline. This can also be accomplished by increasing prices for consumers in order to pass on the tax expense.
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major differences between service companies and retail or manufacturing companies is that retailers and manufacturers must account for
The main difference between service companies and retail or manufacturing companies is that retailers and manufacturers must account for;
Inventory and Cost of GoodsInventory refers to the goods in stock which the business wishes to sell in order to make a profit from.
Retailers and manufacturers produce items that will be sold and these items need to be stocked somewhere till the need for them arises.
The same is not applicable to service companies because they do not have physical goods to sell.
Also, the cost of goods refers to the direct cost of producing goods. Since service companies do not produce goods, this is not accounted for.
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is 6 ft greater than 72 inches
George is a U.S. citizen who is employed by Hawk Enterprises, a global company. Beginning on June 1, 2022, George began working in London (for a total of 214 days in 2022). He worked there until January 31, 2023, when he transferred to Paris. He worked in Paris the remainder of 2023. His salary for the first five months of 2022 was $100,000, and it was earned in the United States. His salary for the remainder of 2022 was $175,000, and it was earned in London. George's 2023 salary from Hawk was $300,000, with part being earned in London and part being earned in Paris. Assume the 2023 indexed amount is the same as the 2022 indexed amount.
Assume 365 days in 2022 and 365 days in 2023.
a. Is George eligible for the foreign income exclusion for 2022 and/or 2023?
Congress has provided alternative forms of relief from taxes on foreign earned income. The taxpayer can elect either (1) to include the foreign income in their taxable income and then claim a credit for foreign taxes paid or (2) to exclude the foreign earnings from their U.S. gross income (the foreign earned income exclusion). Carry any fractions out to four decimal places. Round your final answers to the nearest dollar.
b. Determine George's gross income in 2022 and 2023
2022: $__
2023: $___
a. George is eligible for the foreign income exclusion for both 2022 and 2023.
b. George's gross income in 2023 remains unchanged at $300,000.
To determine if George is eligible for the foreign income exclusion, we need to consider the requirements set by the IRS.
One of the requirements is the "tax home" test, which states that George must have a tax home in a foreign country and meet either the "bona fide residence" or "physical presence" test.
In 2022, George worked in London for a total of 214 days, which meets the "physical presence" test.
Therefore, he is eligible for the foreign income exclusion for 2022.
In 2023, George worked in London until January 31st and then transferred to Paris. As long as he meets the "physical presence" test for 2023 as well, he would be eligible for the foreign income exclusion for that year.
b. George's gross income in 2022 is $275,342 and in 2023 it is $300,000.
To calculate George's gross income in 2022, we need to consider his salary for the first five months and the remainder of the year separately.
For the first five months, his salary was $100,000, and since it was earned in the United States, it is not eligible for the foreign income exclusion.
For the remainder of 2022, his salary was $175,000, and it was earned in London. Since George is eligible for the foreign income exclusion for 2022, this amount can be excluded from his U.S. gross income.
To calculate George's gross income in 2022, we add the salary for the first five months ($100,000) and subtract the excluded amount for the remainder of 2022 ($175,000 x (214/365)).
Gross income in 2022: $100,000 - ($175,000 x (214/365)) = $275,342 (rounded to the nearest dollar).
In 2023, George's salary was $300,000, with part being earned in London and part being earned in Paris.
Since he is eligible for the foreign income exclusion for 2023, both the London and Paris portions can be excluded from his U.S. gross income.
Therefore, George's gross income in 2023 remains unchanged at $300,000.
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A person that studies how economic theories such as capitalism, socialism, and
communism work in the real world.
maintaining or increasing market share a. can be achieved even if industry sales are flat or decreasing. b. is a profit-related objective base
Maintaining or increasing market share can be achieved even if industry sales are flat or decreasing.
What does it mean to maintain market share?
A firm that is maintaining its market share is gaining revenues at the same rate as the whole market for a good or service. A company's revenues will increase more quickly than those of its rivals if it is increasing its market share. Huge earnings are guaranteed by a large market share. Customers are curious about a company's market share.
Market share is a metric for gauging a company's success. In particular, a company is more likely to have larger profit margins, a lowering purchases-to-sales ratio, a declining marketing cost as a proportion of sales, and higher quality and more expensive items as market share grows.
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When you purchase shares of a company in the market, who are you buying those shares from?
Answer:
Normally, you are buying those shares from someone who already owns them. You are not buying them directly from the company itself, but instead someone who owns shares from the company, called a shareholder or stockholder.
Explanation:
I hope this helps! :)
krysta wants to take piano lessons. she asked a teacher how many new pieces she could expect to learn each month. the teacher gave an estimate of 3. write an equation that shows how the total number of pieces krysta would learn, y, depends on the number of months of piano lessons, x.
The required equation is y = 3x which represents the total number of pieces Krysta would learn, where x months of piano lessons.
What is the Linear equation?A linear equation is defined as an equation in which the highest power of the variable is always one.
Krysta wants to learn to play the piano. She inquired with an instructor about the number of new pieces she could anticipate studying each month. The teacher estimated three.
Let y represent the total number of pieces Krysta would learn,
And x represent depends on the number of months of piano lessons,
According to the given situation, we can write the equation would be as:
⇒ y = 3x
Therefore, the required equation is y = 3x which represents the total number of pieces Krysta would learn.
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Increasing trade between two countries makes everyone in those countries better off. true or false?.
Increasing trade between two countries makes everyone in those countries better off.
This problem is a True statement.
What is trade?
The voluntary exchange of commodities or services between various economic entities is referred to as trade. A transaction will only take place if both parties believe it will advance their interests, as there is no obligation on the part of the parties to trade. The trade in tea, which involves importing tea from China and buying it in the US, is an illustration of trade. Working in sales is an example of trade.
Therefore,
Increasing trade between two countries makes everyone in those countries better off.
This problem is a True statement.
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Smyth Industries operated as a monopolist for the past several years, earning annual profits amounting to $50 million, which it could have maintained if Jones Incorporated did not enter the market. The result of this increased competition is lower prices and lower profits; Smyth Industries now earns $10 million annually. The managers of Smyth Industries are trying to devise a plan to drive Jones Incorporated out of the market so Smyth can regain its monopoly position (and profit). One of Smyth's managers suggests a predatory pricing scheme, i.e., pricing its product 50% below marginal cost for exactly one year. The estimated impact of such a move is a loss of $1 billion for that year, and the relevant interest rate is 5%. Ignoring antitrust concerns, compute the present value of smyth industries' profits if it could have remained a monopoly when the interest rate was 5 percent. multiple choice A. $200 million B. $100 million C. $1.05 billion D. $210 million
The present value of Smyth Industries' profits, if it could have remained a monopoly when the interest rate was 5%, is approximately -$0.89238 billion. Since none of the given multiple-choice options match this result, it seems there might be an error in the question or the answer choices.
To calculate the present value of Smyth Industries' profits, we need to consider the future loss due to the predatory pricing scheme and discount it back to the present value using the relevant interest rate.
First, let's calculate the present value of the loss. The estimated impact of the predatory pricing scheme is a loss of $1 billion for one year. To find the present value, we need to discount this amount using the relevant interest rate of 5%.
PV = Future Value / (1 + Interest Rate)^n
Where PV is the present value, Future Value is the loss of $1 billion, Interest Rate is 5%, and n is the number of years.
Using the formula, we can calculate the present value:
V = 1 billion / (1 + 0.05)^1
PV = 1 billion / 1.05
PV ≈ $952.38 million
So, the present value of the loss due to the predatory pricing scheme is approximately $952.38 million.
Next, we need to subtract this loss from the current annual profit of $10 million that Smyth Industries is earning after Jones Incorporated entered the market.
Present Value of Profits = Current Annual Profit - Present Value of Loss
Present Value of Profits = $10 million - $952.38 million
Present Value of Profits ≈ -$942.38 million
However, since the question asks for the present value of Smyth Industries' profits if it could have remained a monopoly, we need to add the initial annual profits of $50 million that Smyth Industries used to earn.
Present Value of Profits = -$942.38 million + $50 million
Present Value of Profits ≈ -$892.38 million
Now, if we express this value in billions, it would be approximately -$0.89238 billion.
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gavin, a financial manager of a small firm, needs to determine how much his company will have to borrow in the coming months. he also needs to establish when the borrowed funds will be needed. the preparation of the cash budget will help. true or false
The given statement "the preparation of the cash budget will help " is True. The cash budget is a financial tool used by businesses to estimate their cash inflows and outflows over a certain period of time.
By preparing a cash budget, Gavin can determine how much his company will need to borrow and when they will need the funds to cover any cash shortfalls. This can help the company avoid cash flow problems and ensure they have the necessary funds to operate and grow their business.
A cash budget is a financial plan that outlines a company's expected cash inflows and outflows for a specific period, typically a month or a quarter. It is an essential tool for financial managers to determine the cash position of a company and to anticipate when the company will have to borrow funds to meet its obligations. By preparing a cash budget, Gavin can estimate how much cash his company will need to borrow and when it will need to borrow those funds. This allows him to plan accordingly and make informed decisions about the company's financial operations.
In conclusion, the statement that "the preparation of the cash budget will help" is true. A cash budget is a vital financial planning tool that helps managers anticipate and plan for a company's future cash needs.
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Ethical standards in business are principles or codes for how a business conducts itself with ___, customers, and the public.
A. Other businesses
B.Employees
C.the government
D.charity organizations
Answer:
B. Employees
Explanation:
Integrated logistics management refers to the practices used to control the ______ of products (and the associated costs) so that there is a continuous and uninterrupted flow of ______ from suppliers to manufacturers to the final consumers.
Answer:
Integrated logistics management refers to the practices used to control the movement of these products (and the associated costs) so that there is a continuous and uninterrupted flow of materials and products from suppliers to manufacturers to the final consumers.
Explanation:
can someone help me come up with 10 well thought out house rules ??
Answer: Yep you name one i'll name one!
Explanation:
I'm assuming this is for children so...
1: No screaming unless someone broke in or you're dying
2: Don't touch the stove or anything sharp in the kitchen unless told to
3: Don't go outside without permission
4: If someone knocks on the door, don't answer it.
5: No running around with slippery socks on
6: You have to be excused from the table before you get up
7: If your hungry drink water or have a granola bar (or any other small snack)
8: Don't touch any wires unless it's for your own devices
9: If you need help, be patient.
10: Family first!
If it's not for children... sorry lol
whenever average output produced per worker during a specific time-period increases, then
When the average output generated per employee or per hour worked over a certain length of time increases, labor productivity rises.
The economy's hourly output is measured by labor productivity. It concretely shows how much real Gross Domestic Product (GDP) is produced in a specific number of working hours. Improving labor productivity requires three key variables:
Saving and investing in physical capital, new technology and human capital.
Higher consumption is a direct result of rising standards of living and increased labour productivity. More goods and services are produced for the same amount of relative work when an economy's labour productivity increases. Consuming more goods and services at ever-more-affordable prices is made possible by this increase in output/result.
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Complete question:
Whenever average output produced per worker during a specific time-period increases, then?
Are the below items an Operating, investing, financing activity or a Non cash activity? Please indicate. a) Cash collected from customers b) Cash paid to suppliers for inventory. c) Cash received for interest on a non-trade note receivable. d) Cash received from issuance of stock. e) Cash paid for dividends. f) Cash received from bank on a loan. g) Cash paid for interest on a loan. h) Cash paid to retire bonds. i) Cash paid to purchase stock of another company as a long term investment. j) Cash received from the sale of a business segment. k) Cash paid for property taxes. l) Cash received for dividend income. m) Cash paid for wages. n) Cash paid for insurances. o) Preferred stock retired by issuing common stock. p) Depreciation expense for the year. q) Cash paid to purchase machinery. r) Cash received from the sale of land.
a) Cash collected from customers - Operating activity. This is considered an operating activity because it relates to the main revenue-generating activities of a company.
b) Cash paid to suppliers for inventory - Operating activity. This is also considered an operating activity because it involves the purchase of inventory, which is necessary for the company's operations.
c) Cash received for interest on a non-trade note receivable - Investing activity. This is considered an investing activity because it involves the receipt of interest income from an investment in a non-trade note receivable.
d) Cash received from issuance of stock - Financing activity. This is considered a financing activity because it involves the inflow of cash resulting from the issuance of stock, which represents an equity financing activity.
e) Cash paid for dividends - Financing activity. This is also considered a financing activity because it involves the outflow of cash for the payment of dividends, which represents a return of profits to shareholders.
f) Cash received from bank on a loan - Financing activity. This is considered a financing activity because it involves the inflow of cash resulting from borrowing money from a bank, which represents a liability financing activity.
g) Cash paid for interest on a loan - Operating activity. This is considered an operating activity because it relates to the payment of interest expenses, which are part of the company's regular operations.
h) Cash paid to retire bonds - Financing activity. This is considered a financing activity because it involves the outflow of cash for the retirement of bonds, which represents a liability financing activity.
i) Cash paid to purchase stock of another company as a long-term investment - Investing activity. This is considered an investing activity because it involves the outflow of cash for the acquisition of long-term investments.
j) Cash received from the sale of a business segment - Investing activity. This is considered an investing activity because it involves the inflow of cash resulting from the sale of a business segment, which represents a disposal of a long-term asset.
k) Cash paid for property taxes - Operating activity. This is considered an operating activity because it relates to the payment of taxes, which are part of the company's regular operations.
l) Cash received for dividend income - Operating activity. This is also considered an operating activity because it involves the receipt of income from dividends, which is part of the company's regular operations.
m) Cash paid for wages - Operating activity. This is considered an operating activity because it relates to the payment of wages, which are part of the company's regular operations.
n) Cash paid for insurance - Operating activity. This is also considered an operating activity because it involves the payment of insurance premiums, which are part of the company's regular operations.
o) Preferred stock retired by issuing common stock - Financing activity. This is considered a financing activity because it involves the issuance of common stock to retire preferred stock, which represents a liability financing activity.
p) Depreciation expense for the year - Non-cash activity. Depreciation expense is a non-cash activity because it represents the allocation of the cost of an asset over its useful life, but does not involve any actual cash outflow.
q) Cash paid to purchase machinery - Investing activity. This is considered an investing activity because it involves the outflow of cash for the acquisition of machinery, which represents a long-term asset.
r) Cash received from the sale of land - Investing activity. This is considered an investing activity because it involves the inflow of cash resulting from the sale of land, which represents a disposal of a long-term asset.
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If a bond is trading at a premium, what is the relationship between the bond's coupon rate, current yield and yield to maturity?
Bonds acquired at premiums often have lower yields to maturity than bonds purchased at market rates. This is further explained below.
What is a bond?Generally, Bonds are financial securities that reflect loans made to the issuer by the bondholders themselves. When it comes to borrowing money, governments (at all levels) and companies (of all sizes) often turn to bonds.
In conclusion, If you buy a bond at a discount, the yield to maturity will be lower than its coupon rate.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
a random sample of 40 ucf students has a mean electricity bill of $112. assume the population standard deviation is $19.20. construct a 90% confidence interval for the mean electricity bill of all ucf students. round final answer to two decimal places.
The answer of the given question is 90% CI for mean electricity bill is $107.02 < mean <$116.98
A z-score table displays the percentage of values (often expressed as a decimal number) on a normal distribution to the left of a specific z-score. Start by reading off the area in the common normal distribution table to locate the region to the right of a positive z-score.
We deduct the area from the table from 1 since the overall area under the bell curve is 1 (a decimal value that is 100% identical).
Use the same table but ignore the negative sign if your z-score is negative, and then deduct the area from the table from one.
Simply use the same table to locate the region above your z-score if you have a negative z-score and ignore the negative sign. like 90% CI for mean electricity bill is $107.02 < mean <$116.98
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Which of the following is an example of an effective persuasive speech topic for a group of elementary school children? (edge 2022)
a.
the origins of Santa Claus in different cultures around the world
b.
abstinence: the best protection
c.
read at least 20 minutes a day
d.
staying in school is cool