The factory production model of Henry Ford went on to influence the way many governments managed their national economies in the mid-twentieth century.
His concept of mass production and assembly line manufacturing revolutionized the manufacturing industry, leading to increased efficiency and productivity. This model was widely adopted by governments around the world as a means of driving economic growth and development.
Henry Ford's factory production model, known as the assembly line, went on to influence the way many governments managed their national economies in the mid-twentieth century. This efficient method of mass production led to increased productivity and economic growth.
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Which level of government funds the health care available to Native American tribes and Alaskan Natives
OA. state
OB. federal
OC. local
O D. tribal
Answer:
Explanation:
The Federal Government
The effect on the accounting equation of declaring a dividend that will be paid at a later date includes a(n):
Answer:
- decrease in stockholders’ equity
- increase in liabilities
Explanation:
The effect on the accounting equation of declaring a dividend that will be paid at a later date includes decrease in stockholders’ equity and increase in liabilities.
What is stockholders’ equity?Stockholders' equity describes the assets that are still held by a company after all liabilities have been paid. This amount can also be determined by adding share capital and retained earnings, less treasury stock. It is obtained by deducting total liabilities from total assets.
Share Capital plus Retained Earnings minus Treasury Shares equals Stockholders' Equity. This equation, also referred to as the investor's equation, requires you to first calculate the share capital and then determine the business's retained earnings.
The calculation of shareholders' equity takes into account four factors: outstanding shares, additional paid-in capital, retained earnings, and treasury stock. A firm has sufficient assets to cover its liabilities if shareholders' equity is positive; otherwise, it has more liabilities than assets.
Thus, decrease in stockholders’ equity and increase in liabilities.
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What government agency seeks to promote U.S. businesses interests in
foreign markets?
A. ITA
O B. IRS
O C. FTC
O D. FDA
Help asap please
Answer:
Federal Trade Commission
Explanation:
chegg in order to lower the hardnessof the water supplythe city will need to invest at the minimum $1.00 per 1b/mg. should the city go ahead for it f
The decision of whether the city should proceed with the investment in reducing water hardness depends on various factors, including the cost of the investment and the potential benefits for residents and infrastructure
Hard water contains high levels of minerals such as calcium and magnesium, which can lead to issues like limescale buildup in pipes and reduced efficiency of appliances. To lower the hardness of the water supply, the city would need to invest at least $1.00 per pound (lb) or milligram (mg). This investment would likely involve installing water softening systems or treatment facilities to remove the minerals causing the hardness.
Determining whether the city should proceed with this brequires considering several factors. These may include the cost of the investment, the impact on residents' quality of life, and the potential benefits of reducing limescale buildup and improving appliance efficiency. Additionally, the long-term maintenance and operational costs of the water treatment system should be taken into account.
It would be helpful to conduct a cost-benefit analysis to evaluate the financial implications and potential advantages of investing in water hardness reduction. This analysis would involve comparing the upfront costs with the potential long-term benefits, such as reduced maintenance expenses and improved water quality.
In conclusion, the decision of whether the city should proceed with the investment in reducing water hardness depends on various factors, including the cost of the investment and the potential benefits for residents and infrastructure. A thorough cost-benefit analysis can help inform this decision.
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a bank's required reserves are: multiple choice a financial asset for the fed. a financial liability for the bank. counted as money. a financial liability for the fed.
A bank's required reserves are a financial liability for the bank. A bank's required reserves refer to the amount of money that the bank must keep in reserve, either in its own vaults or in an account at the Federal Reserve Bank.
These reserves are the bank's last line of defense against bank runs or other types of financial instability. Banks use their reserves to cover withdrawals by depositors, as well as to meet other obligations that may arise.
A bank's required reserves are a liability for the bank because they represent funds that the bank cannot use for other purposes. These reserves are mandated by the Federal Reserve, and failing to meet the reserve requirement can result in penalties for the bank.
In addition, the bank must pay interest on reserves held at the Federal Reserve Bank, which further reduces the bank's profits.
Reserves are not counted as money because they are not available for use by the bank or its customers. Instead, they are held in reserve to ensure that the bank is able to meet its obligations and maintain its solvency.
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Which of the following is NOT affected by marketing?
A. The locations you shop
B. The items you purchase
C. The product regulations
D. The use of the products
Answer:
D, The use of products.
The use of the products is not affected by marketing. Thus, option D is appropriate.
Marketing describes the actions a business takes to encourage the purchase or sale of a good or service. Advertising, selling, and delivering goods to customers or other firms are all included in marketing. Affiliates perform some marketing on behalf of businesses.
Marketing is the procedure of discovering, developing, and providing value to satisfy a target market's needs in terms of products and services, which may also involve choosing a target audience. The process of developing, communicating, delivering, and trading offerings that are valuable to customers, clients, partners, and society at large collectively is known as marketing.
Thus, option D is correct.
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one of the principal tasks of management is identifying and selecting appropriate goals and courses of action. this is referred to as
One of the four primary functions of management is planning, which is the process of identifying and choosing acceptable goals and routes of action.
Setting goals and choosing a course of action to achieve them are both part of the management task of planning. Managers must foresee future situations and be aware of the current environmental factors affecting their firm. Managers must also have strong decision-making skills.
Planning is simply thinking before doing something. It enables us to look into the future and choose in advance how to handle the problems we will face in the future. It requires logical reasoning and sound judgement.
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A nonprofit organization is trying to convince a mayor to adopt a Citywide recycling program the group includes this sentence and its presentation according to the governmental sources 75% of waste is recycled wool but only 30% is actually recycled which type of hook is it being used A)call to action B)funny story C)question D)statistic
Answer: call to action
Explanation:
The answer to the question is call to action because:
The non-profit organization wants the mayor to adopt a citywide recycling program. The organization wants the mayor to take action against pollution by adopting this program. This is an example of call to action.
Best of Luck!
Answer:
d
Explanation:
What are references?
Answer:
the action of mentioning or alluding to something
Explanation:
On the statement of cash flows, the investing activities section would include a.cash paid for retirement of bonds payable b.cash received from the issuance of capital stock c.cash paid for dividends d.cash received from the sale of investments
ACTIVITY 2.
Identify and explain briefly the question below
1 What are the 4P's in marketing plan?Explain each
А__________
B__________
С__________
D__________
Answer:
A. Product
B. Price.
C. Place.
D. Promotion.
Explanation:
Marketing plan can be defined as the choices about product attributes, pricing, distribution, and communication strategy that a company blends and offer its targeted markets (customers) so as to build and maintain a desired response.
Generally, a marketing plan is made up of the four (4) Ps and these includes;
1. Products: this is typically the goods and services that gives satisfaction to the customer's needs and wants. They are either tangible or intangible items.
2. Price: this represents the amount of money a customer buying goods and services are willing to pay for it.
3. Place: this represents the areas of distribution of these goods and services for easier access by the potential customers.
4. Promotions: for a good sales record or in order to increase the number of people buying a product and taking services, it is very important to have a good marketing communication such as advertising, sales promotion, direct marketing etc.
Investment 2 Study questions Practice Questions: 1. On January 1, Stacy's portfolio was valued at $96,534. During the year Stacy received $3,285 in interest and $4,100 in dividends. She also sold one stock at a gain of $850. The value of the portfolio on December 31 of the same year was $113,201. At the end of June, Stacy withdrew $5,000 from the portfolio. What is the holding period return for the year? (refer slides for the formula) Sol: 25. 8% 2. Six months ago, Suzanne purchased a stock for $28 a share. Today she sold the stock at a price of $32 a share. During the time she owned the stock, she received a total of $1. 30 in dividends per share. What is her holding period return? Sol: 18. 9% 3. On January 1, Tim's portfolio was valued at $432,098. During the year Tim received $10,563 in interest and $15,060 in dividends. He also sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any more funds nor withdraw any funds during the year. On December 31 of the same year, Tim's portfolio was valued at $398,189. What is the holding period return for the year? Sol: -1. 9%
The holding period return for Stacy's portfolio for the year is 25.8%. The holding period return for Suzanne's stock is 18.9%.Tim's holding period return for the year is -4.67%, indicating a negative return.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value
In Stacy's case, the beginning value of her portfolio on January 1 was $96,534, and the ending value on December 31 was $113,201. She received $3,285 in interest, $4,100 in dividends, and had a gain of $850 from selling a stock. She also withdrew $5,000 at the end of June.
Holding Period Return = [($113,201 - $96,534 + $3,285 + $4,100 + $850) - $5,000] / $96,534
= ($24,902 + $4,100 + $850 - $5,000) / $96,534
= $24,852 / $96,534
= 0.257 or 25.8%
Therefore, the holding period return for Stacy's portfolio for the year is 25.8%.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends] / Beginning Value
In Suzanne's case, the beginning value of the stock was $28 per share, and the ending value was $32 per share. She received $1.30 in dividends per share.
Holding Period Return = [($32 - $28) + $1.30] / $28
= ($4 + $1.30) / $28
= $5.30 / $28
= 0.189 or 18.9%
Therefore, Suzanne's holding period return for the stock is 18.9%.
In the case of Tim's portfolio, the holding period return for the year is -1.9%.
Tim's portfolio had an initial value of $432,098 on January 1 and a value of $398,189 on December 31. He received $10,563 in interest and $15,060 in dividends. However, he sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any additional funds or make any withdrawals during the year.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value
= [($398,189 - $432,098) + $10,563 + $15,060 + (-$12,870)] / $432,098
= (-$33,909 + $10,563 + $15,060 - $12,870) / $432,098
= -$20,156 / $432,098
= -0.0467 or -4.67%
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Company currently has annual cash revenues of P3,500,000 and annual operating costs of P2,690,000 (all cash items except depreciation of P280,000). The company is considering the purchase of a new machine costing P1,000,000 that would increase cash revenues to P4,300,000 and operating costs (including depreciation) to P2,890,000. The new machine would
The company's new machine purchase, costing P1,000,000, is projected to increase cash revenues and operating costs. The net cash flow is expected to be P1,410,000, indicating a financially beneficial investment.
Based on the provided information, the company currently has annual cash revenues of P3,500,000 and annual operating costs of P2,690,000 (excluding depreciation of P280,000).
If the company purchases a new machine costing P1,000,000, it is expected to increase cash revenues to P4,300,000 and operating costs (including depreciation) to P2,890,000.
To determine the financial impact of the new machine, we need to calculate the net cash flow and compare it to the initial investment:
Net cash flow = Cash revenues - Operating costs (including depreciation)
= P4,300,000 - P2,890,000
= P1,410,000
To assess the viability of the investment, we compare the net cash flow to the initial investment
Net cash flow / Initial investment = P1,410,000 / P1,000,000
= 1.41
Since the net cash flow (1.41) is greater than 1, the investment in the new machine is expected to be financially beneficial for the company.
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In a business letter, the true margins are
Answer:
side ;top and bottom marguns
Suppose that both of the events you have just analyzed are partly responsible for the increase in the price of hamburgers. Based on your analysis of the explanations offered by the two groups of students, how would you figure out which of the possible causes was the dominant cause of the increase in the price of hamburgers?.
It is likely that the increase in the price of hamburgers is related to the fact that demand is greater than supply.
What is the law of supply and demand?It is an economic approach to understanding the economic factors that influence the quantity of a product supplied in a market and its price.
Therefore, when there is more demand than supply for a good available in the economy, it means a situation of scarcity, which makes prices rise.
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which of the following is false? group of answer choices when the u.s. government imposed price ceilings on gasoline, the result was a surplus of gasoline. when the u.s. government imposed price ceilings on gasoline, the result was a shortage of gasoline. if a price ceiling is imposed below the equilibrium price in a given market, the result is a shortage in that market. first-come-first-served is a commonly used rationing device.
Option (a), There was an excess of fuel after the American government set price caps on gasoline. This claim is untrue.
When the US government put price controls on gasoline, there was a shortage of fuel.The American government placed price controls on gasoline after some large spikes in the price of oil in the 1970s. Shortages rapidly developed as a result.
What effect does surplus have under a price cap?The producer surplus decreases when there is a price cap. The region between the supply curve and p forms a triangle that is this. The level of consumer surplus can change depending on the demand function and the price ceiling's height.
When the government establishes price floors and ceilings, what occurs in the market?If a price cap established by the government is less than the market's equilibrium price, a product will see a rise in demand. Due to the extra demand, either the supply or demand curves will typically shift to the left, right, or both.
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Which of the following are considered an operating system kernel's job? (Choose all that apply.)
a. making certain that the application is serviced properly
b. managing all the resources in a computer system
c. installing all hardware for a computer system d. securing the hardware
It is the responsibility of the operating system kernel to make sure that the application is correctly serviced. Option a is Correct.
An OS kernel's three main functions are summarised as follows. It gives users and programmes the interfaces they need to communicate with the computer. Applications are started and maintained by it. It controls the hardware components of the underlying system.
It carries out fundamental duties such processing input and output, managing files, memory, and processes, and managing peripheral devices like disc drives and printers. The operating system of a computer is composed of a core programme called the kernel, which typically controls every aspect of the system. It is the area of the operating system's code that is permanently installed in memory and promotes communication between hardware and software elements. Option a is Correct.
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What did President Roosevelt's the new deal do for the banking industry?
The New Deal for the banking industry included the creation of the Federal Deposit Insurance Corporation (FDIC), a federal regulation of banks, and the establishment of the Securities and Exchange Commission (SEC).
The FDIC provided an insurance policy to banks, ensuring that deposits would be covered up to a certain amount in case of a bank failure. This gave depositors greater security and increased confidence in the banking system.
The federal government also began to regulate banks to prevent fraud and protect the public from financial instability. Finally, the SEC was established to regulate the stock market and protect investors from fraud and financial manipulation.
These measures helped stabilize the banking industry and create a more secure financial system for the nation.
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I need Welp Help help Help help
I am 2 weeks late do you still need help with this assignment?
Answer:
Hello do you still need help with this?
Explanation:
With an adjustable rate mortgage, if the rate of inflation jumps, then the nominal rate on the mortgage will
Answer:
rise, since it is adjustable and there is inflation.
Explanation:
a company charting its profits notices that the relationship between the number of units sold, x, and the profit, p, is linear. if 190 units sold results in $1140 profit and 240 units sold results in $3940 profit, write the profit function for this company.
Profit function: p(x) = 20x + 150, where x represents the number of units sold and p(x) represents the corresponding profit.
To find the profit function, we need to determine the relationship between the number of units sold (x) and the profit (p). Given that the relationship is linear, we can express it in the form of a linear equation: p(x) = mx + b, where m is the slope (representing the rate of change of profit with respect to units sold) and b is the y-intercept (representing the fixed profit when no units are sold). Using the given data, we can calculate the slope (m) as the change in profit divided by the change in units sold: m = (3940 - 1140) / (240 - 190) = 2800 / 50 = 56. Next, we substitute one set of values (x, p) from the given data into the equation to solve for the y-intercept (b). Let's use (190, 1140): 1140 = 56(190) + b 1140 = 10640 + b b = 1140 - 10640 b = -9500.
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Which of the following statements about pension plans are true?
A) Employees covered by defined contribution pension plans choose where funds are invested.
B) The retirement pay of employee covered by defined pension plans depends on the size of the fund at retirement.
C) Employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide.
D) Defined contribution pension plans promise fixed the retirement benefits defined by a designated formula.
The correct answer is option A. Employees covered by defined contribution pension plans choose where funds are invested is the correct statement about pension plans.
A pension plan refers to a type of investment plan which helps a person to accumulate a part of their savings over a long-term period. It is done to have a secured financial future. It helps them to deal with uncertainties that occurs post-retirement. It also ensures a steady flow of income after their retirement. It doesn't matter whether a person have good amount of saving or not, a pension plan is nevertheless crucial for post retirement period.
In a pension plan the regular payments are paid to the retiree at the end of his or her services. There are majorly two types of pension plans. These are-defined benefit and defined contribution plans.
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a retailer needs to purchase 10 printers. the first printer costs $57, and each additional printer costs 3% less than the price of the previous printer, up to 15 printers. what is the total cost of 10 printers?
The total cost to purchase 10 printers was $498.89. C is the right option. this is a question of geometric sequence.
A unique kind of sequence in the number series is a geometric sequence. It is a set of integers where each term is created by dividing or multiplying the one before it by a predetermined quantity called the common ratio.
From the question we have, each additional printer costs 3% less than the price of the previous printer
The first printer costs $57.
\(57 ( 1 - \frac{3}{100} )^{n-1}\)
\(57 ( 1 - 0.03 )^{n-1}\)
\(57 ( 0.97 )^{n-1}\)
The formula for the sum of a geometric sequence is
\(\frac{a_{1}(1 - q^{n})}{1 - q}\)
a1 = 57 , q = 0.97 , n = 10
\(\frac{57_{}(1 - 0.97^{10})}{1 - 0.97}\) = $498.89
Hence, The correct option is C. $498.89
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The given question is incomplete here is the full question.
A retailer needs to purchase 10 printers. The first printer costs $57, and each additional printer costs 39% less than the price of the previous printer, up to 15 printers. What is the total cost of 10 printers?
A $552.90
B $589.00
C $498.89
D $433.33
What are examples of long-term goals? Check all that apply.
Theodore wants to get good grades in school this year.
Cade wants to buy a house.
Kelsey is saving money for retirement
Alec is auditioning for a school play.
Kyra is trying to meet her monthly sales goal at work.
Val is a high-school student who wants to become a Dentist.
Cade wants to buy a house, Val wants to attend dentistry school, and Kelsey is saving money for her retirement. Long-term objectives include those like this.
What is an illustration of a long-term objective?For instance, completing all of your GED tests could be your long-term objective. It might require several years of research and schooling. Attending class next month can be a short-term goal. Another short-term objective might be to succeed on a crucial exam.
How do short-term and long-term investments differ?Long-term objectives are set at least five years in the future, while short-term goals are within a five-year time frame. For short-term objectives, CDs, money market accounts, and standard savings accounts are ideal. Investments are typically designated for long-term goals so there's time to withstand performance fluctuations.
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Why would a business choose to be a private limited company?
Answer:
Stability due to Limited Liability: Private Limited Company has this feature of limited financial liability of all the shareholders. The liabilities are limited to their shares only. This feature protects the personal assets and income of shareholders at times of any financial crisis faced by the company.
cos of the limited liability of it's share holders.
easier to maintain
it's flexible Management structure
easier to raise capital
it's protection from creditors
Collusion occurs when companies agree to drop prices and increase production.
True
or
False
Which of the following goods is likely to have the lowest price elasticity of demand?
A. Life-saving drugs
B. Chocolates
C. Potato chips
D. Decorative flowers
The goods that are likely to have the lowest price elasticity of demand are those that are considered as necessities, have few substitutes, and have a small portion of the consumer's budget.
Decorative flowers, which are not considered a necessity and have many substitutes, are likely to have a higher price elasticity of demand. This means that if the price of decorative flowers increases, consumers are more likely to switch to other options such as artificial flowers or plants.
On the other hand, goods that are essential such as food, medicine, and basic clothing are likely to have a lower price elasticity of demand. Consumers are less likely to reduce their demand for these goods even if the prices increase, as they are necessary for survival and have few substitutes. Therefore, the demand for decorative flowers is likely to be more responsive to changes in price compared to essential goods, resulting in a higher price elasticity of demand.
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1. Looking at Nigeria as a potential emerging market, mention and explain 4 factors you think are preventing Nigeria from becoming an excellent emerging market to invest in? 2. If you were given the chance, resources and power to change Nigeria, which one out of the 4 problems identified above would you try to solve and how would you do it?
do not understand what you are saying
Municipal general obligation bonds are ____.
a. always subject to federal taxes; always exempt from state and local taxes.
b. supported by the municipal government's ability to tax; supported by the municipal government's ability to tax.
c. typically zero-coupon bonds; typically zero-coupon bonds.
d. supported by the municipal government's ability to tax; supported by revenue generated from the project.
The municipal obligation bond supported by the municipal government's ability to tax; supported by revenue generated from the project.
What is Municipal bond?Municipal bond can be define as a form of debt or tax security which is normally issued by either a state or country and even municipality in order to provide financial assistance to it's capital expenditure including schools, bridges or highways.
General obligation bondsare municipal bonds which provide a way for state and local governments finance projects that may not generate a revenue .
Therefore, The municipal obligation bond supported by the municipal government's ability to tax; supported by revenue generated from the project.
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government intervention is one possible solution for market failure. what is one possible reason why a government-controlled used car market may not provide an efficient outcome?
Correcting market failure issues related to public goods, outside costs and benefits, and perfectly competitive is one of the functions of government. It is always possible for government intervention to lower deadweight losses by bringing markets nearer to efficient solutions.
An outcome can only be accomplished if government actors focus on helping the economy rather than exploiting this option to obtain their personal incentives out of it if government intervention is taken to address market failure.
Government intervention:
Government intervention to correct market imperfections and regulate the macroeconomy may fall short of achieving a socially effective resource allocation. Government engagement in the economy that results in inefficiency and the improper use of limited resources is known as "government failure."
Government-controlled used automobile markets may not be able to achieve the efficient results that we anticipate since the government's incentives may not be in line with what market efficiency prefers.
Government players might have their own motivations that might not line up with the efficiency of the market, which is one cause why a government-controlled used automobile market might not produce an efficient result.
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