This assembly line must complete one cycle in two minutes. The proper response is c.
The cycle time measures how long it takes to accomplish a single activity, production, service, or process from beginning to end. It is the amount of time needed to create a good or provide a service, or finish a full cycle.
The information shows us the following:
Daily operational time Equals 1000 minutes of production each day.
The daily production target is 500 El-More dolls.
Therefore, we must apply the following formula to get the necessary cycle time for this manufacturing line:
Cycle time is equal to the scheduled output divided by the daily operating time.
Cycle Time = 1000/500, = 2 minutes.
This assembly line must complete one cycle in 2 minutes. (Option C)
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COMPLETE QUESTION:
A production line is to be designed to make 500 El-More dolls per day. Each doll requires 11 activities totaling 16 minutes of work. The factory operates for 1000 minutes per day. What is the required cycle time for this assembly line?
a. one-half minute.
b. one and one-half minutes.
c. two minutes.
d. 5,500 minutes.
What advice or feedback would you offer your colleague to improve their effectiveness?.
You've been doing a great job lately. You're so talented at staying flexible on any project, which helps everyone on the team. You have grown so much in your role since starting here. Thank you for your hard work, and let me know if there is anything I can do to make working here better.
Flexibility/limberness refers back to the anatomical range of movement in a joint or collection of joints, and the length in muscular tissues that move the joints to set off a bending motion or motion. Flexibility varies between people, specifically in phrases of variations in muscle duration of multi-joint muscle groups. Flexibility in a few joints may be improved to a positive diploma by means of exercising, with stretching a common workout factor to keep or improve flexibility.
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suppose a company paid out $1.1 in dividends per share during the past quarter. the stock is currently trading at $43.6 per share. what is this company's dividend yield? answer in percent, rounded to one decimal place.
The dividend yield of the company will be 2.5%, given that dividend paid by company and current market price of the shares.
Given information:
Cash dividend paid = $1.1
Market price per share = $43.6
Dividend yield = cash dividend / Market price per share*100
= 1.1/ 43.6*100
= 2.5%
The amount of cash a company will pay stock holders for having owned a proportion of its stock divided by its present share value is recognized as the dividend yield, which is depicted as a percentage. The large percentage of fully developed companies pay dividends.
The dividend yields of companies in the consumer items and utility segments are commonly greater than the average. But it is not important that if a company have higher dividend yield then will attract higher investors.
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orio produced 5300 biscuits in the previous month and incurred a fixed moh of $10 per unit. next month, he plans to produce and sell 5900 biscuits at a price of $32. he estimates the variable cost to be 13% of the price. how much profit will he earn next month?
Having a fixed cost of $10 per unit, orio manufactured 5300 biscuits in the previous month. He intends to produce 5900 biscuits and sell them for $32 during the course of the following month. He calculates that 13% of the pricing is made up of variable costs. He will benefit by $108,225 the following month.
The terms manufacture, assemble, and fabricate refer to industrial processes. The term "manufactured products" refers to goods and building components made entirely or partially of non-ferrous metals like aluminum, plastics and polymer-based goods like polyvinyl chloride pipe, aggregates like concrete, glass, including optical fiber, and lumber. However, we refer to a material as being produced when it has undergone processing, or when humans have made changes to it. An continuing expense known as a variable cost changes in value depending on variables like output and sales revenue. Costs for labor, raw materials, and distribution are examples of variable expenses. Variable costs are expenses that alter as the volume of a good or service a company produces fluctuates. Marginal costs over all units produced make up variable costs.
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shelby company has a beta of 1.05, the expected return on the market is 10 percent, and the risk-free rate is 3.8 percent. what is the expected return for shelby stock?
Expected return is 10.31%. Shelby company will find the expected return for stock with the help of Capital Asset Pricing Model (CAPM).
There is a formula provided by the Capital Asset Pricing Model that may be used to determine the anticipated rate of return from a common stock. Return expected = Risk-free rate + {Beta * (Market return - Risk-free rate)}
Return expected = 3.80% + {1.05 * (10% - 3.80%)}, Return expected = 3.80% + (1.05 * 6.20%), Return expected = 3.80% + 6.51%, Return expected = 10.31%. Hence, the expected return of the common stock will be 10.31 percent.
The association among systemic risk, or the general dangers of trading, and expected return for investments, particularly equities, is described by the Capital Asset Pricing Model (CAPM). The CAPM was created as a tool to quantify this systematic risk.
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taxes that are imposed on the reporting government s citizens are considered general revenues, even if they are restricted to specific programs. t f
Taxes that are imposed on the reporting government's citizens are considered general revenues, even if they are restricted to specific programs.------True
What is a tax imposed by the government?
Taxes are necessary contributions levied on individuals by a government entity—whether it is a local, regional, or national. Tax revenues finances government activities, containing public works and services like as roads and schools.
Why tax is imposed on the citizen by the government?Collecting taxes and fees is a fundamental way for countries to operate public revenues that grants it possible to finance investments in human capital, infrastructure, and the provision of services for citizens and businesses.
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which strategy specifies the firm's overall direction in terms of its general orientation toward growth, the industries or markets in which it competes, and the manner in which it coordinates activities and transfers resources among business units?
Corporate strategy specifies the firm's overall direction in terms of its general orientation toward growth.
What's corporate strategy?When easily defined, a corporate strategy will work to establish the overall value of a business, set strategic pretensions and motivate workers to achieve them. It's a nonstop process that should be precisely acclimatized to respond meetly to changing conditions in the business.
What does corporate strategy handle?
A corporate strategy is a plan that helps an association decide what markets it wants to enter and how. Businesses frequently use corporate strategies when they're trying to diversify, or enter a new request. This strategy attendants a company's growth. A corporate strategy department functions as a coordinating body, developing and enforcing strategies that satisfy the objects of individual departments as well as promoting overall corporate aims
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write a letter to the president of your bank suggesting ideas for increasing profits and enhancing customer service by improving segmentation and targeting strategies.
In a bank, profits realization and customer service enhanced by advertising the bank products to the relevant customers, focusing marketing strategies on segmented market to improve the sales of home loans, and segmenting the market based on the eligibility criteria.
An example of a letter to the president of a bank is given below:
Mr. XYX,
President, ABC Bank,
10-11/12, Z street,
Country C-12533
Dear President XYX,
Market segmentation is an easy way to approach the relevant customers. To advertise the bank products to the relevant customers, marketing strategies has to focus on segmented market. To improve the sales of Home loans, segment the market based on the eligibility criteria.
Loans are provided to the individuals who earns the disposal incomes and the age criteria to meet is above 18 years. As the history of all the existing customers would be with the bank, so initially the existing customers can be targeted to increase their product sales. Moreover, families are the most targeted segment.
Employees with secured jobs and medium-high level incomes can be approached. Enhancing the customer service in more approachable to the customers would not only satisfy the customers and also gets promoted by the customers to others.
Thanks,
PQR Marketing Manger.
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the management staff at andy's service center believes the company has a social responsibility to its community. they believe that the company can have the greatest impact in this area through cash contributions to local nonprofit organizations. this is an example of
The management staff at Andy's service center believes the company has a social responsibility to its community. they believe that the company can have the greatest impact in this area through cash contributions to local nonprofit organizations. this is an example of corporate philanthropy.
Fortunately, though, charitable contributions – even (and especially! ) the ones which might be made in coins to qualifying 50% Limit Organizations and are eligible for the 100%-of-AGI limit – do not ought to be handled as Qualified Contributions. A charitable donation is a present of coins or belongings made to a nonprofit corporation to assist it accomplish its goals, for which the donor gets not anything of fee in return. In the U.S., donations may be deducted from the federal tax returns of people and corporations making them.
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According to the ucc, for the sale of goods that requires shipping, the presumption is that unless stated otherwise, the seller need only deliver the goods to __________ to complete performance.
According to the UCC, in order to complete performance for a sale of commodities that involves shipment, the seller need merely send the products to the common carrier, unless specifically stated otherwise.
Common carriers are those who offer paid transportation of persons or goods and specify that their service is open to the public. Common carriers include companies like shipowners, railroads, airlines, and taxi services, among others.
The Uniform Commercial Code is a collection of laws and regulations that apply to all businesses (UCC). The UCC code was developed in 1953 as conducting interstate business for businesses became more and more challenging due to various state regulations. The Uniform Commercial Code (UCC) provides a standard legal and contractual framework, which is essential since it makes it simpler for enterprises to conduct business with one another.
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an american brewery sells dollars to obtain euros. it then uses the euros to buy brewing equipment from a german company. these transactions a. increase u.s. net capital outflow because the u.s. buys capital goods. b. decrease u.s. net capital outflow because the u.s. buys capital goods. c. increase u.s. net capital outflow because germans obtain u.s. assets. d. decrease u.s. net capital outflow because germans obtain u.s. assets.
An American brewery sells dollars to obtain euros. it then uses the euros to buy brewing equipment from a German company. these transactions decrease U.S. net capital outflow because Germans obtain U.S. assets.
Assets are moved out of a country in a capital outflow. Since it frequently results from political or economic instability, capital outflow is regarded as negative. The flight of assets occurs when domestic and foreign investors sell off their interests in a given nation due to perceived economic weakness and the conviction that better chances are available abroad.
Excessive capital outflows reveal political or economic issues in a country that go beyond the flight of the assets itself. Some countries impose limitations on capital flight, but the effects of tightening those restrictions are frequently a sign of instability that can exacerbate the situation of the host economy.
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If a country runs current account deficits from year to year then, all else equal, its net foreign assets will.
If a country runs current account deficits from year to year then, all else equal, its net foreign assets will Falls/ decreases by the same amount in all years.
The difference between a sum and a benchmark amount is referred to as a deficit. The amount by which spending exceeds income during a specific period of time is known as a budget deficit, usually referred to as a simple deficit. This is the polar opposite of a budget surplus. The phrase can be used to describe a person's, a company's, or a government's budget. A country's net foreign asset (NFA) position is calculated as the value of its foreign assets less the value of its domestic assets held by foreigners. The amount of debt a country has is reflected in its net foreign assets position.
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the theory of the cash t is that if a taxpayer's expenditures during a given year exceed reported income, and the source of the funds for such expenditures is unexplained (e.g., taxpayer had no loans or nontaxable sources of income), such excess amount represents unreported income.
It is true that the theory of the cash t is that if a taxpayer's expenditures during a given year exceed reported income, and the source of the funds for such expenditures is unexplained.
The cash flow theory states that if a taxpayer's outlays for a particular year exceed reported income and the source of the funds for those outlays is unclear (for example, the taxpayer had no loans or nontaxable sources of income), then the excess amount is likely unreported income.
A taxpayer is a person or a company that must pay taxes to the federal, state, or municipal governments. Governments mostly derive their income from taxes on both citizens and businesses.
The amount of money needed to start a project or make a purchase is known as the outlay. Dishwashers can genuinely help you save money, aside from the initial investment in the equipment. Synonyms include expense, cost, spending, and charge. further outlay synonyms.
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Barter is a system of exchange. Which Statement does NOT reflect the
barter system?
1) A system of exchange involving the exchange of goods and services for an establish
medium of exchange currency.
2) The direct exchange of goods for goods
3) A system of indirect production
4) A moneyless system of exchange
Answer:
1)A system of exchange involving the exchange of goods and service for an establish medium of exchange currency.
the main difference between pert and cpm is that: part 2 a. pert ignores activity costs. b. cpm assumes activity durations can vary. c. pert employs three time estimates for each activity. d. pert is more accurate than cpm. e. pert assumes that activity durations are known.
The main difference between pert and CPM is that c. pert employs three time estimates for each activity.
Cost per mille (CPM), also called cost per thousand, can be described as a commonly-used measurement in advertising. Cost per mille is the cost an advertiser pays for one thousand views or impressions of an advertisement. Program Evaluation Review Technique (PERT) can be described as a project management planning tool used to calculate the amount of time it will take to realistically finish a project. PERT charts are used to plan tasks within a project — making it easier to coordinate team members and schedule.
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the process used to identify the financial data that change under alternative courses of action is called: group of answer choices management decision-making. target costing. incremental analysis. variance analysis.
The process used to identify the financial data that change under alternative courses of action is called Management decision-making.
Making a management decision involves selecting a course of action after weighing several options in order to achieve an organization's objectives. Problem-solving, budgeting, mentoring, planning, organizing, staffing, and controlling are all aspects of management. In order to guide a company to long-term success, management decision-making functions as a constant, dynamic check and balance system.
Decisions are the foundation of the management process overall. Making decisions is necessary for dealing with issues as well as for maximizing the benefits of possibilities that are there. Making the right choices reduces the complexity, unpredictability, and diversity of the organizational environments. Because there are so many within and outside chains of inevitable consequences when making decisions, even the greatest and most right decision may become ineffectual if these factors are overlooked.
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The nominal interest rate is approximately equal to the real interest rate minus the inflation rate. True or false?.
The nominal interest rate is approximately equal to the real interest rate minus the inflation rate. False
In economics, inflation is a well-known boom in the expenses of products and services in a financial system. When the overall fee stage rises, each unit of foreign money buys fewer items and services; consequently, inflation corresponds to a reduction in the shopping strength of cash the opposite of inflation is deflation, a sustained lower inside the general charge degree of goods and offerings. The common measure of inflation is the inflation rate, the annualized percentage exchange in a popular fee index.[9] As costs do now not all grow on the same charge, the consumer fee index (CPI) is regularly used for this motive. The employment cost index is likewise used for wages in the united states.
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a country finds itself in the following situation: the government budget surplus is 2% of its gdp; private savings is 30% of gdp; and physical investment is 33% of gdp. based on the national saving and investment identity, what is this country's current account balance?
This nation's current account balance is a trade deficit of 1% of GDP. If a nation finds itself in the circumstances described below: the government budget surplus is 2% of the nation's GDP.
National saving and investment Identity: S + (M - X) = I + (G - T)
GDP = Y(say)
S = 30% = 0.3 Y
( G -T ) = - 2% = - 0.02 Y ( deficeit)
I = 125 Y = 0.33Y
thus S + (M - X) = I + (G - T)
0.3Y + (M - X) = 0.33Y - 0.02Y
=> (M - X) = 0.33Y - 0.02Y - 0.3Y = - 0.01Y = -1%Y
trade deficit of 1% of GDP
A country's gross domestic product (GDP) is the sum of the market values of all the finished products and services produced within its budget borders during a certain time period. It serves as a thorough assessment of a particular country's economic health as a wide indicator of entire domestic production.
While GDP is frequently estimated on an annual basis, it is also occasionally calculated on a quarterly basis. In the United States, for instance, the government produces an annualized GDP estimate for both the calendar year and each fiscal quarter. Since each set of data in budget this report is presented in actual terms, price changes are taken into account and the data is therefore net of inflation.
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When prospecting, salespeople must first identify potential customers and then
A. Construct a prospect list
B. qualify their leads.
C. telephone each lead.
D. call on all prospects.
A prospect list is a list of persons who might be interested in your product offering or who might gain anything from your business's goods or services.
Answer : A. Construct a prospect list
What constitutes a prospecting strategy's first step?On the surface: How to find potential consumers for your business through prospecting
Step 1 :Define your customer as the first step.
Step 2: Access online resources.
Step 3 :Gather prospect information in step three.
Step 4: Exploit additional avenues of opportunity.
Step 5: Make contact with your prospects in step five.
Step 6: Keep following up with your prospects and hone your list of them.
Identification of prospective clients, often known as prospects, is the first step in the sales process.
Prospecting is the initial stage of the sales process. You locate potential clients in this stage and assess whether they require your good or service and whether they can afford what you have to offer.
Qualifying is the process of determining whether a customer needs your good or service and can afford it.
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pepsico, inc., the parent company of frito-lay snack foods and pepsi beverages, had the following current assets and current liabilities at the end of two recent years:
The current ratio shows the current assets, divided by its current liabilities.
In quick ratio cash equivalents or only highly liquid cash is taken into account explicitly as current assets
Divided by current liabilities, the current ratio represents current assets.
Only highly liquid assets or cash equivalents are taken into account as current assets in the quick ratio.
Current assets
For Year 1 = 9,096 + 2,913 + 6,437 + 2,720 + 1,865 = $ 23,031.00
For Year 2 = 6,134 + 2,592 + 6,651 + 3,143 + 2,143 = $ 20,663.00
Current Liabilities
Year 1 = 4,071 + 13,507 = $ 17,578.00 Year 2 = 5,076 + 13,016
= $ 18,092.00
Current ratio
Year 1 = $ 23,031.00/$ 17,578.00= 1.3 ( to 1 decimal place)
Year 2 = $ 20,663.00/$ 18,092.00
= 1.1
Quick ratio Year 1 = (23,031.00 - 2,720 - 1,865)/ 17,578.00
= 1.0 to 1 decimal place
Year 2 = (20,663.00 - 3,143 - 2,143)
= 0.8
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the hiring rate for management trainees at the rpb corporation for white applicants is 50 percent, while the hiring rate for hispanics is 20 percent and 15 percent for native americans. this is an example of disparate impact based on the blank rule. multiple choice mixed-motive business necessity standard deviation prima facie four-fifths
As the hiring rate for management trainees for the white applicants is 50 percent while the hiring rate for hispanics is 20 percent and 15 percent for native americans, this is an example of disparate impact based on business necessity.
What are business necessity?This refers to a legal concept used to justify some employer’s employment criteria that disproportionately affect a group of individuals. The justification often resides in a possibility that such company has its legitimate reasons to operate under such restrictive employment practices.
Some of the examples of a Business Necessity in hiring practices today includes:
Educational requirements. By mentioning a minimum requirement for completed education. For example, doctor’s positions require applicants to complete an advanced medical school degreeExperiential requirements. Requiring the job applicants to have a certain number of years of experience in a similar field. Its ensures that applicants are properly prepared for the tasks that will be assigned to them.Travel requirements. Requiring the employees to travel long distances frequently throughout the year etc.Read more about business necessity
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a reduction in the demand for labor caused by changes in technology, taxes, and competition is likely to result in: a. cyclical unemployment. b. frictional unemployment. c. structural unemployment. d. seasonal unemployment.
A reduction in the demand for labor caused by changes in technology, taxes, and competition is likely to result in structural unemployment.
What is structural unemployment. ?
Unemployment is when labor who are able to get jobs and are willing to work do not have jobs. The types of unemployment includes cyclical unemployment, frictional unemployment, structural unemployment and seasonal unemployment.
Structural unemployment is an unemployment that occurs as a result of changes in technology, polices or competition. Structural unemployment tends to be permanent. Frictional unemployment is the brief period a person is employed from when he leaves his current job and the time he gets another job. Voluntary unemployment is when a person does not have a job and pursues other things. e.g., the person goes back to school. Cyclical unemployment occurs as a result of fluctuations in the economy.
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jerry and simon signed a contract giving jerry the option to purchase all of simon’s restaurant equipment for a set price after simon closes his restaurant next month. the contract contains a provision that states jerry has one year from the purchase date to file a suit relative to the purchase. after the year is up, jerry forfeits the right. what kind of contract clause is this?
The statute of limitations states the time frame in which a party can file a lawsuit relative to the contract.
When one party to a contract violates the terms of the agreement, the other party may file a lawsuit known as a contract lawsuit. 3 min. read
1. Requirements for and Defenses to a Breach of Contract Lawsuit
2. Requirements in General
3. Different Forms of Contract Breach
4. Alternatives to Filing a Lawsuit for Breach of Contract
5. What Is the Delaware Statute of Limitations for Contract Breach?
The courts will only uphold breaches of contract if certain conditions are met. These comprise:
The agreement must be legitimate.
By law, it must contain all of the fundamental components of a contract.
The plaintiff must demonstrate to the judge that the defendant violated the terms of the contract.
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the assumption that a company makes about its inventory cost flow can affect cost of goods sold on its and inventory on its . multiple choice question. income statement; balance sheet balance sheet; income statement income statement; income statement balance sheet; balance sheet
A company's cost of goods sold and inventory on its balance sheet might be impacted by the assumptions it makes about the flow of its income statement.
A company's financial success over a particular accounting period is reported using one of the three key financial statements, the income statement. The cash flow statement and the balance sheet are the other two important statements.
The income statement focuses on the company's earnings for a specific time period, including profits and losses. An income statement, balance sheet sometimes referred to as a profit and loss (P&L) statement or a summary of sales and expenses, offers crucial information about a balance sheet company's operations, the effectiveness of its leadership, underperforming industries, and performance in comparison to peers in the same sector.
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The complete question is
The assumption that a company makes about its inventory cost flow can affect cost of goods sold on its __________ and inventory on its __________.
a company defines a problem it wants to solve. then, a data analyst gathers relevant data, analyzes it, and uses it to draw conclusions. the analyst shares their analysis with subject-matter experts, who validate the findings. finally, a plan is put into action. what does this scenario describe?
Here the company is using data driven decision making as the company analyst gathers relevant data and presents it to the subject matter experts before putting a plan into action.
The practise of using data to support your decision-making and confirm an action plan before committing to it is known as data-driven decision-making, or DDDM.
Identify the features, services, and products that clients demand through gathering survey data. To uncover any potential issues that need to be resolved before to a final release, user testing should be conducted to determine how customers are likely to utilise a product or service.
Analyze demographic data changes to identify business possibilities and risks.
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we measure the risk of a single asset or portfolio by measuring the . standard deviation of returns skew of its return distribution asset's alpha asset's beta
We measure the risk of a single asset or portfolio by measuring the standard deviation of returns. The correct answer is option(a).
Multi-investor capital is combined with single-asset funds to invest in a single security, deal, or acquisition. Managers may decide to chase opportunities using vehicles built to buy a single asset as they continue to explore alternatives beyond conventional strategies and fund structures.
Standard deviation is a metric used in finance that reveals the historical volatility of an investment by comparing it to its annual rate of return.. A large standard deviation indicates a dangerous investment when prices move erratically. Low standard deviation indicates stable prices, which lowers the risk associated with investments.
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southwest airlines began its no frills, no meals strategy in the late 1960s as a direct assault on the major carriers of the day. what type of competitive action does this represent?
The competitive action represent a refinement of an existing strategy, tactical action.
A solid strategic strategy is pointless unless it is accompanied by a tactical action plan. The intellectual process required to design a path of action is known as strategy; it specifies desired goals and why they are vital to the firm. Tactics are particular steps you take to put your strategy into action. We understand the necessity of generating good strategy as strategic growth specialists, but we equally recognize that good plan is pointless if it is not effectively implemented.
Invasion provides the skills and tools to assist you in developing a workable action plan to meet your company's strategic growth goals.
Thus the action represent Tactical action.
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the apple innovation that leading car manufacturers are incorporating into their offerings that allows users to make calls, listen to music, and access messages by voice or touch while driving is referred to as
As CarPlay is an Apple innovation that is being incorporated into the offerings of leading automobile manufacturers. It enables users to make calls, listen to music, and access messages via voice or touch while driving.
What is CarPlay used for?Apple CarPlay was developed to make it simple for iPhone users to connect their devices to the infotainment system in their automobiles. Without having to touch their phones, users can get directions, make calls, send and receive messages, and listen to music. They can focus better on the road as a result of this.
What is Apple's project to use the iPhone to control automobile functions?Your car's built-in controls, such as a touchscreen, rotary knob, or touchpad, can be used with CarPlay. Consult the owner's manual that came with your vehicle to learn how to use your display. You can likewise utilize Siri to control CarPlay.)
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Calculate the nominal annual cost of trade credit under each of the following terms. Assume a 365-day year. Do not round intermediate calculations. Round your answers to two decimal places. 1/15, net 20. % 2/10, net 55. % 3/10, net 45. % 2/10, net 45. % 2/15, net 35. %
The nominal annual cost of trade credit for each is:
18.62%28.22%16.55%37.24%Calculations and ParametersNominal cost of trade Credit = Discount percentage/100- discount percentage * 365/Day Credit 0/s-Discounts period .
1/15, net 20
Here,
Discount percentage = 1 Discount period = 20 day Day credit OKS = 15 days.Nominal cost of trade credit = 1/100 - 1 x 365/20- 15 = 78.73%.
1. 2/10 net 50.
Nominal cost of trade credit = 2/100-2 * 365/50-10= 18.62%
2. 3 /10 net 50.
Nominal cost of trade credit = 3/100-3 * 365/50-10 = 28.22%
3. 2/ 10 net 55
Nominal cost of trade credit = 2/100-2 * 365/55-10 = 16.55%
4. 2/ 15 net 35 =
Nominal cost of trade credit = 2/100-2 * 365/35-15= 37.24%
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trend-rite clothiers, inc. sells t-shirts to brand name stores, inc., under an existing written con¬tract. when textile costs increase, brand agrees to a price increase demanded by trend, even though the price was fixed under their existing contract. if brand later wants to cancel the written amendment to the contract to increase the price, saying it lacked consideration, brand may
If there are the lacked considerations,, the brand can cancel the written amendment to increase the price. It can occur because in the written contract mentioned that brand agrees to a price increase demanded by trend, even though the price was fixed under their existing contract.
The cancellation of a contract can happen if a brand fails to perform the specific tenets of the contract, you may have cause to terminate that contract. In the legal world, the cancelation of contract also known as a “breach,” but to end the contract, you must show that it was a material breach.
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when you need to hire a new leader to create a new vision and manage large-scale organizational change, what type of leadership ability should you look for in your new hire?
Transformational Leadership ability should you look for in your new hire.
Transformational leaders recognize a way to inspire, encourage and inspire personnel to perform in ways that create significant alternatives.
The end result is an engaged body of workers that are empowered to innovate and help form an employer's future success.
A transactional leader is a person who values order and shape. they may be possibly to command army operations, control large organizations, or lead global projects that require policies and guidelines to complete targets on time or circulate people and substances in an organized way.
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