true/false. A business plan is a detailed written statement that describes the nature of the business, the target market, the advantages the business will have in relation to competition and the resources and qualifications of the owner(s)

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Answer 1

Answer:

True

Explanation:

You should look these up in quizlet, they usually have most answers or similar questions

Answer 2

A business plan is indeed a detailed written statement that describes the nature of the business, the target market, the advantages the business will have in relation to competition, and the resources and qualifications of the owner(s).  

This statement is true because it  is an essential document for any business, as it outlines the goals and objectives of the business and provides a roadmap for how to achieve those goals.

A business plan also helps to secure funding and attract investors, as it demonstrates the viability and potential profitability of the business.

Therefore, it is crucial for any business owner to create a comprehensive and well-written business plan.

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Related Questions

1. What effective interest rate was paid on an investment, given that an invested amount of $43,255 resulted in $73,234 in 8 years?
a) effective monthly interest rate
b) quarterly effective interest rate
c) semi-annual effective interest rate
d) effective annual interest rate

Answers

1. The effective interest rate which was paid on an investment, given that an invested amount of $43,255 resulted in $73,234 in 8 years is effective annual interest rate. (The correct answer is D).

The effective annual interest rate was paid on an investment, given that an invested amount of $43,255 resulted in $73,234 in 8 years. Formula to calculate the effective annual interest rate is:

Effective Annual Interest Rate = (1 + i/n) n - 1

Where, i is the stated annual interest rate, n is the number of compounding periods per year.

To calculate effective annual interest rate, first we need to calculate the annual interest rate using the formula:

P = C (1 + r / n) ^ (n * t)

where, P is the future value, C is the initial deposit, r is the interest rate, t is the number of years, and n is the number of times compounded per year.

So,

73,234 = 43,255 (1 + r / 1) ^ (1 * 8)73,234 / 43,255

= (1 + r) ^ 81.6917

= (1 + r) ^ 8

Taking the 8th root of both sides,

1.0693 = 1 + r0.0693

= rEffective Annual Interest Rate

= (1 + i/n) n - 1

= (1 + 0.0693/1) 1 - 1

= 6.93%

Therefore, the effective annual interest rate was paid on an investment, given that an invested amount of $43,255 resulted in $73,234 in 8 years is 6.93%. Hence, the correct option is d) effective annual interest rate.

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Answer:

  a) monthly: 0.550%

  b) quarterly: 1.659%

  c) semi-annual: 3.346%

  d) annual: 6.803%

Explanation:

You want the effective interest rate(s) for different compounding periods that would transform $43,255 to $73,234 in 8 years. The periods of interest are monthly, quarterly, semi-annual, and annual.

Effective rate

The formula for the value A resulting from principal P being invested for t periods at periodic rate r is ...

  A = P(1 +r)^t

Solving for r, we find ...

  A/P = (1 +r)^t

  (A/P)^(1/t) = 1 +r

  r = (A/P)^(1/t) -1

Periods

The number of periods in 8 years is ...

  monthly: 12·8 = 96

  quarterly: 4·8 = 32

  semi-annual: 2·8 = 16

  annual: 1·8 = 8

Application

The attached calculator image shows the interest rate(s) for the period(s) of concern.

The effective periodic rates are ...

  a) monthly: 0.550%

  b) quarterly: 1.659%

  c) semi-annual: 3.346%

  d) annual: 6.803%

__

Additional comment

Corresponding annual rates are {6.600%, 6.636%, 6.691%, 6.803%}. That is, the periodic rate is the annual rate divided by the number of periods in a year.

You decide to split your money between two mutual funds. Your
main goal is, of course, to earn as much money on your investments
as possible, but you also know that there is risk involved in
trading o

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You decide to split your money between two mutual funds. Your main goal is, of course, to earn as much money on your investments as possible, but you also know that there is risk involved in trading of stocks.  You should consider diversifying your investments by splitting your money between two mutual funds.

This is a smart decision as it allows you to spread the risk associated with trading across multiple investments, while potentially increasing your returns.

Diversification of investments is necessary for reducing risk. A diverse portfolio of investments lowers the level of risk because it is less likely that all of your investments will decline in value at the same time.

To diversify your investments, it is important to choose mutual funds with different investment styles and risk profiles. Doing this can help reduce your risk while still allowing you to potentially earn more than if you were to invest in just one fund.

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fill in the blank. don spends his money on food and operas. the icc depicted below shows how dons consumption of food and operas change as his income increases. (a.)___ given the shape of the icc below, don must view food as a(n)____.

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Don spends his money on food and operas. the icc depicted below shows how dons consumption of food and operas change as his income increases. Given the shape of the ICC, Don must view food as a normal good.

What is the ICC?

The ICC (indifference curve map) depicts the consumer's choice with two goods, say x and y. It is a series of indifference curves showing various quantities of the two products that the consumer is willing to consume, and every curve corresponds to a specific amount of total utility.

When the consumer's income changes, the indifference curve map changes as well. Therefore, if the slope of the ICC is downward, a good is referred to as a regular good.

A good whose slope is upward, on the other hand, is referred to as an inferior good. As seen in the graph, the slope is downward, which means that as Don's income increases, the amount of food and opera he can buy also increases. So, given the shape of the ICC below, Don must view food as a normal good.

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jim's company has recently opened branch offices in several countries where they had not been located in the past. what technique might best help those reading jim's report on the company's growth to quickly grasp this progress?

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The technique that might best help those reading Jim's report on the company's growth to quickly grasp this progress is the use of visual aids.

Visual aids are a great way to represent data and information so that it can be easily understood by the readers. It involves the use of images, graphs, charts, diagrams, and videos to present information in a more effective manner. In Jim's report, he can use graphs to represent the growth of the company in each of the new locations where they have opened their branches.

The graph could represent the number of customers, revenue generated, and profits from each branch in the various countries where they have opened branches. Jim could also use images to show the locations of each branch, so readers can quickly get a better idea of the countries where the branches were opened.

In conclusion, the best technique that might best help those reading Jim's report on the company's growth to quickly grasp this progress is the use of visual aids.

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consumers maximize utility when they allocate their limited incomes so that the marginal utility per dollar spent on each of their final choices in a bundle is equal according to the: multiple choice question.

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Consumers maximize utility when they allocate their limited incomes so that the marginal utility per dollar spent on each of their final choices in a bundle is equal according to the Consumer equilibrium.

What is consumer equilibrium?

Consumer equilibrium refers to the point where a consumer's utility is maximized. In economics, a consumer's equilibrium is when they allocate their limited incomes so that the marginal utility per dollar spent on each of their final choices in a bundle is equal.

In other words, the consumer allocates his income so that the marginal utility of each good consumed is proportional to its price. The concept of consumer equilibrium is based on two primary rules: the rule of the budget line and the rule of the equal marginal utility. The budget line represents the range of product combinations that a consumer can afford.

On the other hand, the equal marginal utility rule suggests that the utility a consumer gets from the last dollar spent on each good should be equal.

What is meant by maximize utility?

The utility maximization theory proposes that the consumer's objective is to maximize their satisfaction or happiness, which economists refer to as utility. In other words, the consumer wants to consume as much as they can while spending the least amount of money possible.

This means that they would only purchase the goods that give them the most satisfaction for their money. So, consumers try to allocate their limited resources in a way that will maximize their satisfaction, which is referred to as utility.

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suppose the government wants to minimize the deadweight loss associated with an excise tax. sort the following goods into their correct category based on the size of the deadweight loss that will be created after the imposition of an excise tax.

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The size of the deadweight loss created by an excise tax depends on the elasticity of demand and supply for the good in question. If demand or supply is inelastic, then the deadweight loss will be smaller. If demand or supply is elastic, then the deadweight loss will be larger.

Goods with inelastic demand or supply:
- Medicines
- Gasoline
- Cigarettes
- Alcohol

Goods with elastic demand or supply:
- Luxury goods
- Clothes
- Restaurant meals
- Entertainment

Therefore, if the government wants to minimize the deadweight loss associated with an excise tax, it should impose a tax on goods with inelastic demand or supply, such as medicines, gasoline, cigarettes, and alcohol. On the other hand, it should avoid imposing a tax on goods with elastic demand or supply, such as luxury goods, clothes, restaurant meals, and entertainment.

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question content area in the accounting cycle, the last step is a.preparing a post-closing trial balance b.journalizing and posting the closing entries c.journalizing and posting the adjusting entries d.preparing the financial statements

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The correction option is d. The last step in the accounting cycle is preparing the financial statements.

The accounting cycle includes a series of activities that are performed to maintain a record of all transactions related to a business. It begins with the identification of the transactions and ends with the preparation of financial statements.

The following are the steps involved in the accounting cycle:

1. Recording transactions in a journal

2. Posting the journal entries to the ledger

3. Adjusting entries

4. Adjusted trial balance

5. Financial statements

6. Closing entries

7. Post-closing trial balance

The question is asking about the last step of the accounting cycle. So, we need to identify which of the options is the last step. The last step is to prepare the financial statements, which include the income statement, balance sheet, and cash flow statement. This is the final output of the accounting process and provides an overview of the financial health of the business.

Thus, the correct option is d. Preparing the financial statements.

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Nick Inc. sponsors a defined-benefit pension plan. The corporation’s actuary provides the following information about the plan.1/1/202012/31/2020Projected benefit obligation625,000Plan assets550,000Prior service cost (plan amended)228,000Accumulated OCI (G/L)-Dr.92,500Settlement & expected return rate10%Service cost85,000Contributions (funding)120,000Actual return on plan assets44,000Benefits paid to retirees110,000Average service life of all covered employees in years10Notes: Read carefully and follow strictly so that Bb can grade you correctly!1. Use comma in numbers, one thousand is 1,000, not 1000. No $ sign. No positive or negative sign.2. If no entry is required, write N/A.3. Only use the following accounts: Cash, Pension expense, OCI-PSC, OCI-G/L, Pension asset/liability.4. Copy account names accurately to receive credits, names are not case sensitive.(a) Compute pension expense for 2019(1) Service cost(2) Interest cost(3) Actual return – Plan Assets+/- Unexpected G/L= Expected return(4) PSC amortization(5) G/L amortization(6) Total pension expense(b) Prepare the journal entry for pension expense for 2019Account Dr.Account Dr.Account Dr.Account Cr.Account Cr.

Answers

(a) Compute pension expense for 2019

(1) Service cost: 85,000

(2) Interest cost: (625,000 x 10%) = 62,500

(3) Actual return – Plan Assets +/- Unexpected G/L = Expected return: (550,000 - 44,000) +/- (92,500 - 44,000) = 488,500

(4) PSC amortization: (228,000 x 10%) = 22,800

(5) G/L amortization: (92,500 x 10%) = 9,250

(6) Total pension expense: 85,000 + 62,500 + 488,500 + 22,800 + 9,250 = 668,050

(b) The journal entry for pension expense for 2019

Account Dr. Pension Expense 668,050

Account Dr. PSC-OCI 22,800

Account Dr. G/L-OCI 9,250

Account Cr. Pension Asset 550,000

Account Cr. Cash 120,000

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please help me to answer it please show the step by step please really help me thank you so much i not sure how to doPaul, who was cycling home without a warning vest at the day time, and Johnny who was driving the same way but was distracted as he was changing the CD, When Johnny looked up, he couldn’t avoid Paul`s cycle and knocked him off from his bike, causing him to fall heavily, cutting open his head and injuring his collar bone.J Advice Paul under the law of negligence.Explain tortDefensesAct godRemedies and conclusionDamage

Answers

Tort is a civil wrong that causes harm or injury to others. This can be done intentionally or unintentionally by a person, business, or organization.

In this scenario, Paul, who was cycling home without a warning vest at the day time and Johnny, who was driving the same way but was distracted as he was changing the CD, and when Johnny looked up, he couldn’t avoid Paul`s cycle and knocked him off from his bike, causing him to fall heavily, cutting open his head and injuring his collar bone.

As per the law of negligence, Johnny is liable for the accident caused due to his negligence. He was driving and changing the CD simultaneously, which is also against traffic laws, and hence he is responsible for the injuries that Paul sustained in the accident.

Defenses that can be used by Johnny are contributory negligence and assumption of risk. In contributory negligence, the victim can be held responsible if he has been negligent in any way that led to the injury. In this case, it can be argued that Paul was not wearing a warning vest, which made him difficult to spot, and hence he was partially responsible for the accident.

In assumption of risk, the victim knew about the risks involved in a particular activity and still continued to do it. In this case, it can be argued that Paul knew that cycling without a warning vest is risky, and he still continued to do so.

Act of God can be used as a defense if there was any natural disaster or unforeseeable event that led to the accident. In this case, Act of God defense cannot be used, as the accident was caused due to the negligence of Johnny, and there was no natural disaster that led to the accident.

Remedies that can be availed by Paul include medical expenses, lost wages, and compensation for pain and suffering. The court may also award punitive damages to discourage Johnny from committing such acts of negligence in the future.

The conclusion is that Johnny is liable for the injuries sustained by Paul in the accident, and Paul has the right to seek compensation for the same.

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Philip lent $29,000 to Bel Air Construction on January 1, 2024. Bel Air signed a three-year, 6% installment note to be paid in three equal payments at the end of each year.Required: Prepare an amortization schedule for the three-year term of the installment note.

Answers

The balance of the loan after this payment is $2,130.00.

The amortization schedule for Philip's loan to Bel Air Construction is outlined below:

In the amortization schedule, the payment on January 1, 2024 is $9,666.67, which consists of a principal payment of $7,980.00 and an interest payment of $1,686.67. The balance of the loan after this payment is $21,019.99.

The payment on January 1, 2025 is $9,666.67, which consists of a principal payment of $8,959.99 and an interest payment of $706.68. The balance of the loan after this payment is $12,059.99.

Finally, the payment on January 1, 2026 is $9,666.67, which consists of a principal payment of $9,929.99 and an interest payment of $736.68. The balance of the loan after this payment is $2,130.00.

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International HRM Case Study: Expanding the Business Brunt Hotels, PLC, owns more than 60 hotels throughout the United Kingdom. They recently acquired a small hotel chain headquartered in France. Brunt's Chief Executive decided that half of the new hotels in France would be retained and rebranded as part of the Brunt Hotels Group; the other half will be sold. This will support Brunt's strategic objective of growing the organization slowly to make sure that new ventures are well supported and opened on time and on budget. Brunt's hotels are considered budget accommodations; they are functional, clean and reasonably priced. Most guests stay for one to three nights and are a combination of business and leisure travelers. The hotels are typically situated in downtown locations that are easily accessible by mass transit. Tourists are attracted to these hotels in popular visitor destinations where the many local attractions mean that they will not be spending much time in their hotel rooms. The organization has decided to use an ethnocentric approach and send some of their existing UK-based managers to France to lead the changeover of the new hotels and then manage them after they re-open. If this new overseas venture is successful, Brunt may decide to acquire other small hotel groups in other European countries. The organization would like to own 150 hotels in the next five years. Their 10 -year plan is to own 300 hotels across Europe. This is an ambitious target, so it is important that the organization finds an effective formula to operate successfully in other countries. The organization has never owned hotels outside the UK before and has hired a team of independent management consultants to advise them on how to proceed. They provided the consultants with the following information during their initial meeting: - A majority of their existing managers said they would like a chance to work abroad; - None of their existing managers speak French fluently; - They will allow four weeks to rebrand the hotels. The new hotels must be ready to open after that time; - They expect to recruit a large number of staff for the new French hotels because more than 70 percent of the employees from the acquired organization left; and - They will require their managers to be flexible and move between countries if any problems arise. All answers must be supported with examples and application ideas. Question 1 Business expansion is always a challenge especially when it involves a merger and acquisition with another brand from another country. Based on the above article, analyze FOUR (4) priorities to be completed during the four weeks rebrand period and ensure the hotel can be up and running according to the timeline. (15 Marks) Imagine that you are the appointed independent management consultant, and the hotel management asked you if they should look only at internal candidates who are parent country nationals (PCNs) or recruit host country nationals (HCNs) as a Project Manager to lead the expansion. This decision is based on the FOUR (4) priorities that you have identified above. Discuss the following proposals: a. Only PCNs should be hired; b. Only HCNs should be hired; and c. A combination of PCNs and HCN should be hired (15 Marks) Question 3 Based on the above opinion, the hotel management decided that because this is their first venture into a country outside the UK, they want to use PCNs to set up the new hotels and that only internal or existing candidates from their current organisation should be considered. They think that this is important so they can incorporate the organisation's values. However, they believe that once the hotels are up and running, HCNs could be hired. Write an internal recruitment advertisement to be shared with all managers for them to apply for the Project Manager position. Your advertisement should include, at a minimum, the following information: a. Job Scope: Main responsibilities of the position; b. Experience: Skills and years of service; and c. Competencies: Expected behaviors to be demonstrated based on Ownership and Trust values. (15 Marks) Question 4 The hotel management team liked your recruitment advertisement, however, since the organisation has never hired managers to work outside the UK before, they do not know how to start determining the package on top of the basic salary. Design a compensation package for the Project Manager position. Explain the rationale for your design. You may also include non-financial benefits. (15 Marks)

Answers

The compensation package should include a competitive salary and other benefits such as health insurance, vacation days, and other incentives.

What is insurance?

Insurance is a contract between two parties in which one party, the insurer, agrees to provide financial protection or reimbursement to another party, the insured, in the event of an unforeseen occurrence, such as death, accident, illness, or loss of property.

Priorities during the rebrand period:

1. Recruitment of staff: The hotel management should recruit a large number of staff for the new hotel as more than 70 percent of the employees from the acquired organisation left. The staff should be knowledgeable about the local culture and should be familiar with the organisation’s values.

2. Rebranding of the hotel: The hotel needs to be rebranded to match the brand of the Brunt Hotels Group. This includes changing the name, logo, and other elements such as the website and other marketing material.

3. Training of staff: The staff should be trained to ensure they are able to provide the same level of customer service as the Brunt Hotels Group. The staff should also be trained to ensure they are familiar with the organisation’s values and culture.

The salary should be based on the local market rate and should be sufficient to attract quality applicants. Non-financial benefits could include flexible working hours, training and development opportunities, and access to other benefits such as a gym membership or discounts on products and services.  The package should also include incentives for performance such as bonuses or rewards for achieving specific goals.

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module 9 quiz ch. 7 competitor wrongfully claims that one of the ingredients used in the manufacture of hungry dog dog food contains melanine, which is poisonous to animals. competitor has committed the tort of .

Answers

The correct answer is the tort of slander.

This is the statement that the competitor has committed slander.

Hungry Dog is in the dog food business, and one of their rivals has spread lies about one of the ingredients used in the manufacture of their dog food. The lies state that one of the components contains melanine, which is harmful to animals.

The rival competitor has committed the tort of slander when they made this unfounded claim. Slander is an offense that is caused by making false statements about someone to other people.The following terms should be included in the answer: MODULE 9

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you bought 50 shares of stock in sbux five months ago for $60 per share. the stock has surged in price and today each share is worth $81.53. since you have purchased your stock in sbux, you have received qualified dividends totaling $0.47 per share. you have decided to hold onto your shares of sbux in hopes that they will continue to rise in value. you sold 100 shares in crox for $13.36 per share that you purchased 18 months ago for $22.03 per share. you are in a 20% ordinary income tax bracket and a 15% capital gains tax bracket. how much will you owe in net taxes in this scenario?

Answers

If you are in a 20% ordinary income tax bracket and a 15% capital gains tax bracket, the total net taxes owed is $36.13.

To calculate the net taxes owed, we need to calculate the capital gains and losses from both transactions and then apply the relevant tax rates.

For the SBUX transaction:

Purchase price: 50 shares x $60/share = $3,000Sale price: 50 shares x $81.53/share = $4,076.50Capital gain: $4,076.50 - $3,000 = $1,076.50Qualified dividends: 50 shares x $0.47/share = $23.50

For the CROX transaction:

Purchase price: 100 shares x $22.03/share = $2,203Sale price: 100 shares x $13.36/share = $1,336Capital loss: $2,203 - $1,336 = $867

Since the capital loss is greater than the capital gain, we can use the capital loss to offset other capital gains and reduce the amount of taxable income.

Net capital gain = $1,076.50 - $867 = $209.50

Now we can calculate the tax owed on the net capital gain and the qualified dividends:

Tax on net capital gain: $209.50 x 15% = $31.43

Tax on qualified dividends: $23.50 x 20% = $4.70

Therefore,

the total net taxes owed = $31.43 + $4.70 = $36.13.

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Foreign Exchange Risk and the Cost of Borrowing Swiss Francs. The chapter demonstrated that a firm borrowing in a foreign currency could potentially end up paying a very different effective rate of interest than what it expected. Using the same baseline values of a debt principal of SF1.5 million, a one year period, an initial spot rate of SF1.5200/$, a 5.077% cost of debt, and a 30% tax rate, what is the effective after tax cost of debt for one year for a U.S dollar based company if the exchange rate at the end of the period was: a. SF1.5200/$ b. SF1.4700/$ c. SF1.4270/$ d. SF1.6120/$

Answers

The effective after-tax cost of debt for one year for a U.S dollar-based company for different exchange rates at the end of the period can be calculated as follows:

a. SF1.5200/$

If the exchange rate remains the same as the initial spot rate, the effective after-tax cost of debt will be equal to the nominal cost of debt.

Therefore, the effective after-tax cost of debt = Cost of debt × (1 - Tax rate) = 5.077% × (1 - 30%) = 3.5549%.

b. SF1.4700/$

If the exchange rate decreases to SF1.4700/$, then the US dollar will be worth less Swiss francs. This implies that the US company will have to pay more dollars to buy the Swiss francs required to pay back the loan at maturity. Therefore, the effective after-tax cost of debt will be higher than the nominal cost of debt.

The effective exchange rate for the US company = (SF1.5 million) / (SF1.4700/$) = $1,020,408.16

Effective interest rate = (Cost of debt + Change in exchange rate) / (1 - Tax rate) =

(5.077% + (1.5200 - 1.4700)/1.5200) / (1 - 30%) = 6.3392%.

c. SF1.4270/$

If the exchange rate decreases to SF1.4270/$, then the US company will have to pay even more dollars to buy the Swiss francs required to pay back the loan at maturity. Therefore, the effective after-tax cost of debt will be higher than the nominal cost of debt.

The effective exchange rate for the US company = (SF1.5 million) / (SF1.4270/$) = $1,053,583.48

Effective interest rate = (Cost of debt + Change in exchange rate) / (1 - Tax rate) =

(5.077% + (1.5200 - 1.4270)/1.5200) / (1 - 30%) = 6.9701%.

d. SF1.6120/$

If the exchange rate increases to SF1.6120/$, then the US dollar will be worth more Swiss francs. This implies that the US company will have to pay fewer dollars to buy the Swiss francs required to pay back the loan at maturity. Therefore, the effective after-tax cost of debt will be lower than the nominal cost of debt.

The effective exchange rate for the US company = (SF1.5 million) / (SF1.6120/$) = $930,579.15

Effective interest rate = (Cost of debt + Change in exchange rate) / (1 - Tax rate) = (5.077% + (1.5200 - 1.6120)/1.5200) / (1 - 30%) = 3.4464%.

Hence, the effective after-tax cost of debt for one year for a U.S dollar-based company if the exchange rate at the end of the period was:

a. SF1.5200/$ = 3.5549%

b. SF1.4700/$ = 6.3392%

c. SF1.4270/$ = 6.9701%

d. SF1.6120/$ = 3.4464%

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2. Describe the four types of economic shifts the United States has experienced.

3. Describe what is shown by GDP, unemployment rate, rate of inflation, and national debt.

4. Explain how individuals in the government influences the economic.

5. Describe the four stages of the business cycle.

6. Would the cars made in this country by a foreign-owned company be included in GDP? Why or why not?

7. Which would be included in GDP: babysitting at home or working at a day-care center?

8. Why are people who are employed but not looking for work not included in the unemployment figures?

9. Why is inflation especially difficult for retired people?

10. Why my deflation be a bad thing?

11. Suppose you go to a store to buy a soda but notice the price is 20 cents higher than it was last week. Other prices are unchanged. Is this an example of inflation? Why or why not?

12. In which stage four stages of the business cycle will there be more personal bankruptcies? More business formations?

13. Explain why does standard of living is higher in the United States than in many other countries.

Answers

Answer:

2. There are four stages of the business cycle- prosperity, recession, depression, and recovery. Prosperity is a peak of economic activity. During a recession, economic activity slows down. A depression is a deep recession that affects the entire economy and lasts for several years.

3. The GDP shows the rate of the economy how much people and the government are spending, unemployment rate shows how many people that are out work but are looking for work, rate of inflation shows how much prices of products and services are going up, national debt shows how much money a country has borrowed from other countries or other places.

4. Governments influence the economy by changing the level and types of taxes, the extent and composition of spending, and the degree and form of borrowing. Governments directly and indirectly influence the way resources are used in the economy.

5.The economic cycle generally comprises four phases: expansion, peak, contraction, and recovery. The duration of economic cycles varies, making the phases difficult to time. Some sectors tend to outperform others during different phases of the cycle.

6.Only goods and services produced domestically are included within the GDP. That means that goods produced by Americans outside the U.S. will not be counted as part of the GDP.

7. GDP does not count productive services, such as child care, food preparation, cleaning, and laundry, provided within the household.

8. The unemployment rate measures the share of workers in the labor force who do not currently have a job but are actively looking for work. People who have not looked for work in the past four weeks are not included in this measure.

10. Deflation is associated with an increase in interest rates, which will cause an increase in the real value of debt. As a result, consumers are likely to defer their spending.

11. It must be noted that inflation refers to a general rise in the prices of all good and services in an economy during a period. Hence, it is evident that the above mentioned case is not an example of inflation as inflation affects the entire economy and increased prices of almost all products.Whereas the case only includes an increased price of one product, and not any other product. It may have happened due to other factors such as increased demand for cola, or enhanced quality by the manufacturer, or any other miscellaneous reason, but not inflation.

12. Depression may be defined as a state of intense recession that adversely affects the whole economy, its effect lasting across several countries over a long period of time. The stage of depression is often characterised by a low production of goods and services, and resultantly a high level of unemployment. Thus, depression is the stage when the personal bankruptcies happen.The stage that follows depression is the Recovery. Recovery may be defined as a stage where the business activity starts to increase and is thus characterised by a gradual revival and increase in the production of goods and services. Those affected by depression earlier begin their economic activities and gradually their propensity to spend increases. This further stimulates demand and and production. Thus, recovery is the stage of business formations.

13. This is due to many factors, such as the country's high gross domestic product per capita, low levels of poverty, and high levels of access to education and health care. The average life expectancy in the United States is also relatively high at 79 years.

Explanation:

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1. An oyster bar serves an average of 1,000 oysters per day. The purchase cost is roughly $2 each. Because oysters must be kept on ice and there is heavy spoilage over night, the daily inventory holding cost is estimated to be 45% (i.e., it costs on average $0.9 to keep an oyster in storage for a whole day). The delivery cost per order is $50. How many deliveries per day are optimal for the oyster bar to minimize total costs?
2. Suppose the oyster bar operates 10 hours a day and thus the average consumption rate is 100 oyster per hour, however due to demand fluctuation the bar determines it should keep a safety stock of 30 oyster. Suppose the oyster supplier's lead-time (from order to delivery) is 1.5 hours. If the inventory is constantly monitored, when the inventory drops to what level (reorder point) should the oyster bar makes another order? If the demand becomes more variable over time (but unchanged on average), should the reorder point become higher or lower?

Answers

1. The number of deliveries per day that are optimal for the oyster bar to minimize total costs is 25. 2. Reorder point (inventory level) is 180 and effect of variability on reorder point is that it should be higher.

1. In the given problem, the following things are given: Average consumption of oysters per day: 1000, Purchase cost: $2, Cost of keeping oysters in storage for a day: 45% of $2, Delivery cost per order: $50. Let the optimal number of deliveries per day be d. We know that,

Total cost = Purchase cost + Cost of keeping in storage + Delivery cost / Number of deliveries per day

Therefore,

Total cost = (1000/d)*2 + (0.45*2*1000) + 50d

To minimize total costs, let's differentiate the above expression with respect to d.

(d/1000)*2 - 50 = 0

(d/1000)*2 = 50

d = 25

Therefore, the optimal number of deliveries per day is 25.

2. Let the reorder point be r. As given in the problem, Consumption rate = 100 oysters per hour, Safety stock = 30 oysters, Lead time (order to delivery) = 1.5 hours.

Therefore, the usage during lead time would be 100*1.5 = 150 oysters

We need to consider the safety stock while calculating the reorder point. Therefore,

Reorder point = Usage during lead time + Safety stock

Reorder point = 150 + 30

Reorder point = 180

If the demand becomes more variable over time (but unchanged on average), then the reorder point should be higher.

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Linda's company acquired 6,000 new customers last year. They spent $40,000 in marketing costs and $20,000 in sales costs. What is Linda's customer acquisition cost (CAC)?

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Answer:$10.00

Explanation:(cost of sales + cost of marketing) / new customers acquired. So $20,000 plus $40,000 is $60,000 then divide that sum by the acquired customers which is 6,000 and you get 10

Client Acquisition Cost is $10 for Linda , which is determined by dividing the cost of sales and marketing by the quantity of new customers acquired,.

What exactly does a CAC stand for?

Customer acquisition cost (CAC), also known as the cost of customer acquisition (CoCA), is best described as the sum of all sales and marketing expenses necessary to acquire a new customer. A customer's lifetime value and the cost of obtaining them are compared using a ratio called the Customer Lifetime Value to Customer Acquisition Cost (LTV:CAC).

(Sales + Marketing Cost) / the number of new clients attracted.

20,000 +40000= $60000

60000/6000=$10, and Linda's CAC is also $10.

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to take advantage of the power of compounding, what should you do with the money an investment produces?

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To take advantage of the power of compounding, reinvest the earnings generated by the investment. This will help in increasing the principal investment amount and, consequently, lead to increased profits.

Compounding is a phenomenon in which the interest generated by an investment is reinvested, resulting in an exponential increase in the value of the principal. It is the process of generating returns on reinvested earnings on an asset.

The act of taking the earnings from an investment and reinvesting them back into the same investment is referred to as reinvestment. In the case of compound interest, the income earned on investment is reinvested, generating additional income for future periods. For example, a $10,000 investment with an annual interest rate of 8% that is compounded annually would grow to $21,589.61 after ten years. If the interest is compounded quarterly, the investment would be worth $22,052.92 after ten years, which is a significant difference.

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What is the organizational structure of the Cleveland Clinic and who is their competitors?

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Answer:

The Board of Directors is the primary governing body of Cleveland Clinic. The Board of Trustees serves in an advisory role to the Board of Directors. In addition, the Board of Governors, composed primarily of physicians, oversees the medical and surgical activity of Cleveland Clinic.

P6-67B Analyze cost behavior at a hospital using various cost estimation methods (Learning Objectives 1, 2, 3, 4 \& 5) Louis Becker is the Chief Operating Officer at Union Hospital in Newark, New Jersey. She is analyzing the hospital's overhead costs but is not sure whether nursing hours or the number of patient days would be the best cost driver to use for predicting the hospital's overhead. She has gathered the following information for the last six months of the most recent year: Cost Behavior Requirements 1. Are the hospital's overhead costs fixed, variable, or mixed? Explain. 2. Graph the hospital's overhead costs against nursing hours. Use Excel or graph by hand. 3. Graph the hospital's overhead costs against the number of patient days. Use Excel or graph by hand. 4. Do the data appear to be sound, or do you see any potential data problems? Explain. 5. Use the high-low method to determine the hospital's cost equation using nursing hours as the cost driver. Predict total overhead costs if 25,500 nursing hours are predicted for the month. 6. Becker runs a regression analysis using nursing hours as the cost driver to predict total hospital overhead costs. The Excel output from the regression analysis is as follows: B.pdf (i) If 25,500 nursing hours are predicted for the month, what is the total predicted hospital overhead? 7. Becker then ran the regression analysis using number of patient days as the cost driver. The Excel output from the regression is as follows: If 3,680 patient days are predicted for the month, what is the total predicted hospital overhead? 8. Which regression analysis (using nursing hours or using number of patient days as the cost driver) produces the best cost equation? Explain your answer.

Answers

She is studying the hospital's overhead expenses but is unsure if nurse hours or patient days are the optimal cost drivers to utilize. P6.

What exactly do you mean by "overhead"?

Overhead costs are those that are not directly connected to the production of products or services but are required for a firm to operate. Rent, utilities, insurance, legal fees, office supplies, advertising, payroll, and accounting fees are examples of overhead costs. What exactly are overhead costs? Rent and utilities, company permits, accounting fees, advertising charges, and payroll are all examples of overhead costs. These expenses are usually predictable and consistent, whereas direct expenses, such as raw materials or packaging supplies, are directly tied to the product or service you offer.

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Securities firms, insurance companies, and investment companies are all examples of?

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Answer:

Securities firms, insurance companies, and investment companies are all examples of financial institutions. Financial institutions are organizations that provide financial services and products to individuals, businesses, and governments. They help to channel funds from savers to borrowers and provide a range of services such as investing, lending, and insurance.

in determining marr, opportunity cost is (check all that apply): group of answer choices rate of return of the worst project cost of the best opportunity forgone cost of the best project rate of return of the best rejected project rate of return of the best project

Answers

In determining MARR, opportunity cost is the rate of return of the best rejected project and the cost of the best opportunity forgone.

MARR stands for Minimum Acceptable Rate of Return. It is the minimum rate of return that a company or investor requires from an investment to justify its risk. MARR is an important factor in investment analysis, as it is used to compare the profitability of various investment opportunities.

A company may have several investment opportunities to choose from, but the MARR will help determine which ones are profitable and which ones are not. If an investment opportunity does not meet the MARR, it will be rejected.

Opportunity cost is the cost of the next best alternative forgone. When making an investment decision, the opportunity cost of the rejected investment opportunity must be considered. The cost of the best opportunity forgone is an opportunity cost.

Therefore, in determining MARR, opportunity cost is the rate of return of the best rejected project and the cost of the best opportunity forgone.In conclusion, the opportunity cost is the most significant factor that should be taken into account while determining MARR.

The rate of return of the best rejected project and the cost of the best opportunity forgone are two of the factors that should be considered when determining the MARR.

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consider a country where all money is currently held as cash and the money supply has a value of $8,000. a banking system is developed, and the residents of the country deposit the $8,000 of cash into the banking system and decide they no longer want to hold any cash. if the reserve ratio is equal to 5%, how much can the $8,000 increase the amount of money in the economy?

Answers

If the reserve ratio is equal to 5%, the $8,000 of cash deposited into the banking system can increase the amount of money in the economy by $152,000.

To determine how much the $8,000 can increase the amount of money in the economy when the reserve ratio is 5%, you need to follow these steps:

1. Calculate the excess reserves:

Since the residents deposit the entire $8,000 of cash into the banking system, and the reserve ratio is 5%, the banks must keep 5% of the deposits as reserves. So, 5% of $8,000 is $400. This means that the banks have $7,600 ($8,000 - $400) in excess reserves to lend out.

2. Calculate the money multiplier:

The money multiplier is the reciprocal of the reserve ratio. In this case, the reserve ratio is 5%, which is equal to 0.05. Therefore, the money multiplier is 1 / 0.05 = 20.

3. Calculate the increase in the money supply:

To find the increase in the money supply, you multiply the excess reserves by the money multiplier. In this case, $7,600 (excess reserves) * 20 (money multiplier) = $152,000.

So, with a 5% reserve ratio, the $8,000 of cash deposited into the banking system can increase the amount of money in the economy by $152,000.

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this year, amber purchased a business that processes and packages landscape mulch. approximately 20 percent of management time, space, and expenses are spent on this manufacturing process. at the end of the year, amber's accountant indicated that the business had processed 10 million bags of mulch, but only 1 million bags remained in the ending inventory. a. what is amber's tax basis in her ending inventory if the unicap rules are used to allocate indirect costs to inventory? (assume direct costs are allocated to inventory according to the level of ending inventory. in contrast, indirect costs are first allocated by time spent and then according to level of ending inventory.)

Answers

Amber's accurate tax basis in her ending inventory after applying the UNICAP rules to allocate indirect costs to inventory is $7,579.05.

According to the problem statement, approximately 15% of management time, space, and expenses are spent on the manufacturing process of landscape mulch.

Calculation of the total tax basis in ending inventory:
Tax Basis in Ending Inventory = Direct Costs of Ending Inventory + Indirect Costs Allocated by Level of Inventory

Direct Costs of Ending Inventory = Mulch and packaging = $6,800
Tax Basis in Ending Inventory = $6,800 + $779.05 = $7,579.05

Therefore, Amber's correct tax basis in her ending inventory after applying the UNICAP rules to allocate indirect costs to inventory is $7,579.05.

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The complete question is:
This year Amber opened a factory to process and package landscape mulch. At the end of the year, Amber's accountant prepared the following schedule for allocating manufacturing costs to the mulch inventory, but her accountant is unsure of what costs need to be allocated to the inventory under UNICAP.

Approximately 15 percent of management time, space, and expenses are spent on this manufacturing process. At the end of the year, Amber's accountant indicated that the business had processed 14,300 bags of mulch but only 1,430 bags remained in the ending inventory.

What is Amber's tax basis in her ending inventory after applying the UNICAP rules to allocate indirect costs to inventory? (Assume direct costs are allocated to inventory according to the level of ending inventory. In contrast, indirect costs are first allocated by time spent and then according to level of ending inventory.)

Material:

Mulch and packaging $6,800

Administrative supplies 480

--

Salaries:

Factory labor 14,800

Sales & advertising 3,900

Administration 8,800

--

Property taxes:

Factory 8,400

Offices 3,200

--

Depreciation:

Factory 9,750

Offices 2,600

a model that shows how dollars flow through markets among households and firms is called the a. production possibilities frontier. b. circular-flow diagram. c. demand and supply diagram. d. comparative advantage model.

Answers

The correct answer to the given question of a model is option B) circular-flow diagram. The circular-flow diagram is used to understand how different parts of the economy interact with each other.

The circular-flow diagram is an economic model that represents the transactions within an economy between households and firms. It visualizes how money, goods, and services move through the economy. It is referred to as the "circular" flow since the money is continually circulating between households and the firms.

The main components of the circular-flow diagram are households, firms, markets for factors of production, and markets for goods and services. Households own factors of production, which they sell to firms in exchange for income. Firms then use these factors of production to produce goods and services, which they sell to households for income. The income earned by households is then used to buy the goods and services produced by the firms.

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Josie had to pay AMT last year. She had to add several items to her regular taxable income in arriving at alternative minimum taxable income. Under what situation, it will result in an AMT credit that can be used to offset future regular tax liability?

Answers

Josie had to pay AMT last year. To obtain AMT credit that can be used to offset future regular tax liability, you should consider the situation where Alternative minimum taxable income (AMTI) is lowered due to prior-year minimum tax credit.

At times, taxpayers can receive an AMT credit, which is a tax credit. When taxpayers pay AMT for the first time, they will get this credit. The credit is equivalent to the prior year's minimum tax paid. Any unused AMT credits can be carried forward and used to offset future regular tax liability. AMT credit can be a valuable tool for lowering tax liability, particularly if the taxpayer has several years of unused AMT credits.

The Alternative minimum tax (AMT) is a supplementary income tax levied by the United States federal government on certain types of income that are eligible for preferential tax treatment, such as capital gains, accelerated depreciation, and tax-free municipal bond interest.

The AMT is calculated separately from the regular tax, and the taxpayer must pay whichever tax amount is higher. The AMT was introduced in 1969 to ensure that high-income earners paid a minimum level of tax, regardless of their deductions and credits.

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financial data for spinaway, inc. (unless otherwise noted, all data is for december 31, 2022) number of shares outstanding 72,000 average collection period (days) 25 sales $960,000 accounts payable days 15 gross profit margin 20% retained earnings (dec 31, 2021) $328,000 inventory turnover ratio 8 dividends paid in 2022 $65,000 notes payable $18,000 accruals $21,000 net profit margin 15% land $186,000 return on assets 8.0% debt ratio 65% percent of sales on credit 90% par value per share $0.50 gross fixed assets $2,276,000 accumulated depreciation $940,000 assume a 360-day year and assume that the only accounts on the balance sheet are those listed below. fill in this chart with the data provided and then answer questions 42, 43, 44, 45 and 46.

Answers

The total assets is $1522000. The liabilities is $39000 and the earnings per share is $1.76.

To fill in the chart, we need to use the given financial data and calculate the missing values. Here are the calculations:

1. Total assets = Gross fixed assets - Accumulated depreciation + Land = $2,276,000 - $940,000 + $186,000 = $1,522,000

2. Total liabilities = Notes payable + Accruals = $18,000 + $21,000 = $39,000

3. Total equity = Retained earnings + (Number of shares outstanding x Par value per share) = $328,000 + (72,000 x $0.50) = $364,000

4. Total sales = Sales on credit + Cash sales = ($960,000 x 90%) + ($960,000 x 10%) = $864,000 + $96,000 = $960,000

5. Cost of goods sold = Sales - Gross profit = $960,000 - ($960,000 x 20%) = $960,000 - $192,000 = $768,000

6. Net income = Sales - Cost of goods sold - Dividends = $960,000 - $768,000 - $65,000 = $127,000

Now, we can fill in the chart:

| Financial Data | Amount |
| --- | --- |
| Total assets | $1,522,000 |
| Total liabilities | $39,000 |
| Total equity | $364,000 |
| Total sales | $960,000 |
| Cost of goods sold | $768,000 |
| Net income | $127,000 |

Questions 42-46:

42. What is the current ratio?
Current ratio = Total assets / Total liabilities = $1,522,000 / $39,000 = 39.03

43. What is the quick ratio?
Quick ratio = (Total assets - Inventory) / Total liabilities = ($1,522,000 - $768,000) / $39,000 = 19.33

44. What is the debt-to-equity ratio?
Debt-to-equity ratio = Total liabilities / Total equity = $39,000 / $364,000 = 0.11

45. What is the return on equity?
Return on equity = Net income / Total equity = $127,000 / $364,000 = 0.35

46. What is the earnings per share?
Earnings per share = Net income / Number of shares outstanding = $127,000 / 72,000 = $1.76

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Fixed assets is another name for property and equipment. False True Question 8 Property and equipment is reported at its: historical cost. fair value. depreciation cost. market value. book value. Ques

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The statement "Fixed assets is another name for property and equipment" is False

Fixed assets and property and equipment are not synonyms. Property, plant, and equipment (PP&E), or plant assets, is a category that is used to describe long-term assets that are tangible, have a lifespan of more than one year, and are used in the creation of a company's goods and services. Machinery, furniture, land, and buildings are examples of fixed assets or property and equipment.

Moreover, Fixed assets are long-term assets, such as buildings or machinery, that have a lifespan of more than one year and are employed in the production of goods or services. Property, plant, and equipment (PP&E) are assets that are listed on a company's balance sheet and are tangible.

However, they can be utilized over many years to help a company generate profits. PP&E is usually noted on a firm's balance sheet at its historical cost. The PP&E assets are usually listed at their historical cost on the balance sheet.

Depreciation expense is utilized to lower the value of a fixed asset over time. The book value of an asset is calculated by subtracting its accumulated depreciation from its original cost.

Hence, Fixed assets are not another name for property and equipment.

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The calculation of WACC involves calculating the weighted average of the required rates of return on debt, preferred stock, and common equity, where the weights equal the percentage of each type of financing in the firm’s overall capital structure.
is the symbol that represents the cost of raising capital through retained earnings in the weighted average cost of capital (WACC) equation.
Bryant Co. has $1.4 million of debt, $2.5 million of preferred stock, and $1.2 million of common equity. What would be its weight on preferred stock?
0.49
0.44
0.39
0.24

Answers

The weight of preferred stock in the overall capital structure of Bryant Co. is 0.49.

The calculation of WACC involves calculating the weighted average of the required rates of return on debt, preferred stock, and common equity, where the weights equal the percentage of each type of financing in the firm's overall capital structure.

The symbol that represents the cost of raising capital through retained earnings in the WACC equation is not relevant to the given question.

To find the weight of preferred stock in Bryant Co.'s overall capital structure, we need to first calculate the total capital of the company, which is the sum of debt, preferred stock, and common equity:

Total capital = debt + preferred stock + common equity Total capital = $1.4 million + $2.5 million + $1.2 million Total capital = $5.1 million

Then we can find the weight of preferred stock by dividing the amount of preferred stock by the total capital:

Weight of preferred stock = Preferred stock / Total capital Weight of preferred stock = $2.5 million / $5.1 million Weight of preferred stock = 0.49

Therefore, the weight of preferred stock in the overall capital structure of Bryant Co. is 0.49.

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Department G had 3,600 units 25% completed at the beginning of the period, 11,000 units were completed during the period; 3,000 units were 20% completed at the end of the period, and the following manufacturing costs debited to the departmental work in process account during the period: Work in process, beginning of period $40,000 Costs added during period: Direct materials (10,400 units at $8) 83,200 Direct labor 63,000 Factory overhead 25,000 All direct materials are placed in process at the beginning of production and the first-in, first-out method of inventory costing is used. What is the total cost of the departmental work in process inventory at the end of the period (round unit cost calculations to four decimal places)?

Answers

The total cost of departmental work at the end of the period is $207,658.72.

To calculate the total cost of departmental work in process inventory at the end of the period, we need to calculate the equivalent units of production and the unit cost for the department.

First, we calculate the equivalent units of production for direct materials and conversion costs separately.

Equivalent units of production for direct materials = units completed + (units in ending inventory * percentage of completion) - units in beginning inventory

Equivalent units of production for direct materials = 11,000 + (3,000 * 20%) - (3,600 * 25%) = 9,400 units

Equivalent units of production for conversion costs = units completed + (units in ending inventory * percentage of completion)

Equivalent units of production for conversion costs = 11,000 + (3,000 * 20%) = 11,600 units

Next, we calculate the total cost incurred during the period and divide it by the equivalent units of production for each category to get the unit cost.

Total cost incurred during the period = direct materials + direct labor + factory overhead + work in process, beginning of period

Total cost incurred during the period = $83,200 + $63,000 + $25,000 + $40,000 = $211,200

Unit cost for direct materials = direct materials cost / equivalent units of production for direct materials

Unit cost for direct materials = $83,200 / 9,400 units = $8.8511

Unit cost for conversion costs = conversion costs / equivalent units of production for conversion costs

Unit cost for conversion costs = ($63,000 + $25,000 + $40,000) / 11,600 units = $9.6552

Finally, we can calculate the total cost of the departmental work in process inventory at the end of the period by multiplying the equivalent units of production by the unit cost for each category and adding them together.

Total cost of departmental work in process inventory = (9,400 units * $8.8511 per unit) + (11,600 units * $9.6552 per unit)

Total cost of departmental work in process inventory = $207,658.72

Therefore, the total cost of departmental work in process inventory at the end is $207,658.72.

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