Rather than carrying 15 brands of laundry detergent, ________ offer one or two brands and sizes, one of which is a store brand.

Answers

Answer 1

Limited assortment supermarkets ofer one or two brands and sizes, one of which is a store brand.

What are Limited assortment supermarkets?Stores with a limited selection often sell their own store brands at low prices all the time and only occasionally run specials on name brands.In retailing, an assortment strategy refers to the quantity and variety of goods that are available for consumer purchase in stores. This strategic technique, often known as a "product selection strategy," is used by merchants to control and boost sales.An assortment is made up of items that ship in the same carton and are comparable or similar. For instance, an assortment might be a full carton of toy cars in various models and colors that are available for purchase in Walmart stores.

Hence, Limited assortment supermarkets ofer one or two brands and sizes, one of which is a store brand.

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Related Questions

ou discover that every month that you make a loan payment on time, your credit score goes up 3 points. you want to raise your score from 640 to 700. how many months will it take you?

Answers

You discover that every month that you make a loan payment on time. 20 months will it takes you.

Calculating the problem:

Raise the score from 700 to 640

difference in score= 700 - 640

                               = 60

credit score rise to 3 points .

no. of months = 60 ÷ 3

                     =  20 months

What makes your credit score go up?

Factors that contribute to a advanced credit score include a history of on- time payments, low balances on your credit cards, a blend of different credit card and loan accounts, aged credit accounts, and minimum inquiries for new credit.

What are 3 patterns your credit score can drop?

Credit scores can drop due to a variety of reasons, including late or missed payments, changes to your credit application rate, a change in your credit blend, closing aged accounts( which may dock your length of credit history overall), or applying for new credit accounts.

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companies do not charge everyone their reservation price because companies wish to provide customers with some consumer surplus to instill customer loyalty. it is difficult for people to reveal to companies their willingness to pay. willingness to pay is private information that people have an incentive to keep hidden. a consumer's marginal benefit is fundamentally unknowable.

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Common to auctions, a reserve fee or a reservation charge is the minimal amount that a vendor will receive as the winning bid. Alternatively, it is less many times known as the very best price a purchaser is inclined to pay for a suitable or service.

What is a reservation fee in negotiation?

The reservation factor in negotiation is when the best possible charge at which any person is willing to buy an object is established, and the lowest price at which a seller will promote the object is confirmed, and the haggling that happens between these two negotiators.

Why is reservation fee important?

Knowing your reservation rate – the absolute best price you would pay in the negotiating state of affairs – can empower you to walk away from a terrible deal and seek a better bargain. In any negotiation, your nice choice to a negotiated agreement, or BATNA, is intimately tied to your reservation price.

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true or false? a strategy used in the later stages of stage of change tailored counseling is to have him or her do a decisional balance exercise by weighing the pros and cons of exercising.

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False, an approach utilized in the later stages of the change process He or she will complete a decisional balance exercise by weighing the benefits and drawbacks of exercising as part of customized coaching.

A body's ability to maintain its line of gravity—the vertical axis from the center of mass—within the base of support while reducing postural sway is known as balance in the field of biomechanics. A person can sway even while they are standing stationary due to the horizontal shift of their center of gravity. A certain degree of sway is necessary and unavoidable and is caused by breathing, shifting body weight from one foot to the other or from the forefoot to the rearfoot, or external stimuli (e.g., visual distortions, and floor translations). More often than not, increased sway indicates impaired sensorimotor control rather than necessarily unstable balance. The horizontal movement of the body can cause a person to sway even while they are standing stationary.

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prices and yields move in opposite directions. their company issued 10-year bonds at $1,000 each two years ago at a coupon rate of 6 percent. the bonds make annual payments. if these bonds currently sell for 90% of par value what is the yield to maturity?

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Prices and yields change in the opposite directions for this reason. If the par price of these bonds is currently being sold for 90%. 7.70% is the yield till maturity.

Define the term yield to maturity?Yield to maturity (YTM) would be the overall rate of return that a bond will have earned once all interest payments are made and the principal is repaid.In essence, YTM represents the internal return rate (IRR) on a bond if held for trading.It might be difficult to calculate yield to maturity since it makes the assumption that all interest or coupon payments can really be reinvested within the same return rate as the bond.

As per the stated question;

Present value PV = $1,000,

Time t = 2 years.

Current price = 90% of par value.

Coupon rate/ Annual interest rate r = 6%.

Using the financial calculator solve the amount for the future value yield to maturity for given data.

yield to maturity = 7.70%.

Thus, for the condition that prices and yields change in the opposite directions for this reason. If the par price of these bonds is currently being sold for 90%. 7.70% is the yield to maturity.

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Which of the following is one of the three facts a company should consider when marketing a product abroad?
a. the markets that have been targeted
b. the domestic policy
c. the natural resources available in the home country
d. the domestic political system

Answers

The process of generating, conveying, delivering, and trading offerings that are valuable to customers, clients, partners, and society at large is known as marketing.

What is marketing?Marketing is any activity a business engages in to draw a target audience to its goods or services through compelling messaging. In order to demonstrate product value, build brand loyalty, and eventually boost sales, marketing seeks to provide standalone value for prospects and customers through content.One overarching question should always be asked in marketing: "Where, when, and how does our consumer want to communicate with our business?" Focus groups, polls, and internet buying patterns should all be studied and constantly researched.

hence, all the above options are correct.

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how does fractional reserve banking help banks earn a profit?

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With the use of fractional reserve banking, banks are able to make use of funds (i.e., the majority of deposits) that would otherwise go unused and idle in order to earn returns in the form of interest rates on new loans and to increase the amount of money that is available to support economic growth.

How is banking on fractional reserves profitable?

In fractional-reserve banking, the bank is only obligated to keep a portion of customer deposits on hand, freeing it up to lend the remainder of the money. While having enough cash on hand to cover withdrawal demands, this strategy is intended to continuously stimulate the amount of money available in the economy.

How does fractional reserve banking help banks earn a profit ?

Banks maintain cash reserves that are only a portion of the total amount of liabilities related to deposits in our contemporary fractional reserve banking system. This method is essential for making money because it allows you to lend out the remaining money at interest.

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a visual representation of the four perspectives of the balanced scorecard that enables managers to communicate their goals so that everyone in the company can understand how their jobs are linked to the overall objectives of the organization is called a

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"Strategy Maps" are a visual representation of the four viewpoints of the performance appraisal that help managers convey their objectives.

Define the term Strategy Mapping?

A strategy map is a straightforward diagram that depicts the relationship between strategic goals in a logical, cause-and-effect manner (shown as ovals on the map).

As it is used to swiftly demonstrate how value is provided by the organization, it is one of the most effective components of the balanced scorecard technique.Any strategy communication endeavor can be greatly enhanced by strategy mapping. A graphic of your plan will be understood a larger number of employees than with a written description will because most people learn best visually. Additionally, the act of creating a strategy map compels the team to reach consensus on their goals in straightforward, understandable words.

Thus, a "strategy map" is a visual description of the four views of the balanced scorecard which it enables managers to express their goals so that all employees can comprehend how their roles relate to the overarching aims of the company.

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suppose people expect inflation to be 3 percent during the next several years. when the real interest rate is 5 percent, the money, or nominal interest rate, will be

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suppose people expect inflation to be [tex]3[/tex] percent during the next several years. when the real interest rate is [tex]5[/tex] percent, the money, or nominal interest rate, will be (real interest rate [tex]+[/tex] inflation rate[tex]=[/tex][tex]5+3=8[/tex]).

Inflation Rate:

Inflation is defined as an increase in prices that results in a loss of buying power over time. The average price increase of a basket of selected goods and services over time might show the rate at which buying power declines. The increase in pricing, which is frequently stated as a percentage, signifies that a unit of money buys less than it did previously. Inflation is distinguished from deflation, which happens when prices fall but buying power rises. The rate at which prices for goods and services grow is referred to as inflation.

Real Interest Rate:

The real interest rate is the rate of interest received (or expected to receive) by an investor, saver, or lender after adjusting for inflation. The Fisher equation, which indicates that the real interest rate equals approximately the nominal interest rate minus the inflation rate, may be used to define it more explicitly.

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if you invested a dollar in a stock for the last four years you would have had $1.15 at the end of the four years. what is your average annual return, reported to the nearest basis point?

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The common annual return (AAR) is a proportion that represents a mutual fund's historic common return, normally stated over three-, five-, and 10 years.

Before making a mutual fund investment, investors regularly assessment a mutual fund's average annual return as a way to measure the fund's long-term performance.

What is a precise average annual return?

Most buyers would view an common annual fee of return of 10% or greater as a right ROI for long-term investments in the inventory market. However, hold in mind that this is an average. Some years will supply decrease returns -- perhaps even bad returns.

What is the common charge of return in 2022?

For instance, the annual inflation fee in 2022 is forecasted to be around 8.2%. Since this is a down year for the market, with an average return rate of -16.15% via September 2022, inflation makes the loss harder. Not only did you lose money this year, however your cash is really worth less than it was once in 2021

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the board of directors has moved further into reviewing the liabilities of abc company. they wish to learn more about the payroll requirements of abc company. using the spreadsheet below, complete the workbook for one payroll cycle.

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the spreadsheet below, complete the workbook for one payroll cycle.

Payrolling is releasing a company's responsibility for its workforce and placing its personnel in the service of a payroll organization.

The incorporation of legal and administrative obligations, such as salary administration and payment, collection of social benefits, contract management, and, for example, pensions from a payroll undertaking, is accomplished through payroll construction. Personnel that is paid in accordance with a payroll construction is covered by a different collective employment agreement (CAO) than the one that is valid in the relevant business sector.

A Unitized-CAO is frequently contacted for payroll issues. Payroll companies are nonetheless legally obligated to use a number of the Payroll Constructions' internal controls to advance worker protection. This toe passing was further hindered by the complaints of the cantons of Rotterdam and Almelo on December 21 and March 21, respectively.

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By drawing a demand curve with price on the vertical axis and quantity on the horizontal axis,
economists assume that the most important determinant of the demand for a good is

A) consumer tastes and preferences. B) the price of the good.
C) the quality of the good. D) consumer income.

Answers

By drawing a demand curve with price on the vertical axis and quantity on the horizontal axis, economists assume that the most important determinant of the demand for a good is the price of the good.

What is demand?

Demand is the desire of consumers to purchase goods and services and their willingness to pay the asked price to be able to buy them. Demand is one of the main building blocks of an economy.

The amount of products or services that consumers wish to purchase at any given price level. The mere desire of a consumer for a product is not demand. Demand includes the purchasing power of the consumer to acquire a given product at a given period.

The factors of demand for given products or services is related to:

The price of the good or serviceThe income levelThe prices of complementary productsThe prices of substitute productsConsumer preferencesConsumption patterns

What is a demand curve?

The demand curve is a downward sloping economic graph that shows the relationship between quantity of product demanded by a market and the price the market is willing to pay. Quantity Demanded is always graphed horizontally on the x-axis while Price is graphed vertically on the y-axis.

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a project network provides the basis for

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A project network provides the basis for Scheduling labor and equipment.\

A project is any task, finished personally or collaboratively and possibly concerning research or layout, that is carefully planned to attain a specific purpose.

A task is a sequence of duties that need to be finished to reach a selected final results. A venture can also be defined as a hard and fast of inputs and outputs required to gain a selected purpose. tasks can variety from simple to complicated and can be controlled by using one character or one hundred.

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emma purchased a house for $300,000. after providing a 20% down payment, she borrowed the balance from the local savings and loan under a 30-year 6% mortgage loan requiring equal monthly installments at the end of each month. which time value concept would be used to determine the monthly payment?

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The time value concept  that might be used to determne the month-to-month charge might be Present Value of an regular annuity.

The required details about  Present Value is mentioned in below paragraph.

Present Value  is the idea that states an amount of cash nowadays is really well worth extra than that equal quantity withinside the destiny. In different words, cash acquired withinside the destiny isn't really well worth as a lot as an same quantity acquired nowadays

The time value concept (TVM) is the idea that a amount of money is really well worth greater now than the equal sum may be at a destiny date because of its income potential withinside the interim. The time cost of cash is a center precept of finance. A amount of money withinside the hand has more cost than the equal sum to be paid withinside the destiny. The time cost of cash is likewise known as the existing discounted cost.

Present Value of those EMIs discounted at a 6% might be identical to the mortgage quantity taken via way of means of Paula i.e. $2,40,000 (80% of $3,00,000).  

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The time value concept that would be used to determine the monthly payment of Emma is the Present Value of an ordinary annuity.

Define time value of money?

A foundational idea in finance is the time value of money. The idea of the time value of money holds that the money you have now is worth more than the money you will receive in the future.

The loan taken by Emma requires monthly installments (EMI) at the end of each month.

EMI would mean annuity payments due at the end of each month.

Present values of these EMIs discounted at a 6% would be equal to the loan amount taken by Emma

That is, $2,40,000(80% of $3,00,000)

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Dear Students,

For your performance Task, you will be expected to design a graph of your own.

We have done demand, supply and equilibrium the last couple of weeks. You are started a business but need to work out the quantity of demand and supply as well as prices and to do it on ONE graph.

Be creative and come up with any realistic numbers.
This graph can be made digitally or on paper and submitted to this assignment.

You can work in pairs or alone if need be. Please just make sure that both names are clearly visible on your work.

Answers

The demand and supply graph as well as the demand-supply equilibrium is depicted in the attached graph. Note that this is developed from the demand and supply schedule. The graph and the schedule are attached accordingly.

What is a demand schedule?

A market demand schedule is a tally of the quantity of an item that all customers in a market would buy at a particular price in economics. The matching value on the demand schedule for every given price is the total of all consumers' quantities desired at that price.

An equilibrium price is a result of balancing demand and supply. Prices have a tendency to revert to this equilibrium until certain aspects of demand or supply alter. When either demand or supply, or both, shifts or moves, the equilibrium price changes.

Thus, the price point and quantity at which effective demand and supply are equal is called the demand-supply equilibrium.

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wynk (an individual), blynk (an individual) and nod corp. are each partners in the wooden shoe partnership with ownership interests of 30%, 30% and 40%, respectively. as individuals, wynk and blynk have a calendar year-end, but nod corp has a march 31st year-end. what year-end must wooden shoe use?

Answers

The wooden shoe must use 31 December as a fiscal year-end.

What is a Fiscal year-end?

The term "fiscal year-end" refers to the end of any one-year or 12-month accounting period other than a typical calendar year. The financial statements of an organization are usually calculated within a fiscal year. There may be a difference between a company's fiscal year and the calendar year, and its fiscal year may not close on December 31.

An organization that has the same fiscal year-end as its calendar year-end is considered to have a fiscal year-end of December 31. Depending on the needs of the company, companies can choose the best fiscal year-end for themselves.

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as the price of coffee increases, joe begins drinking more tea. this causes the quantity demanded of coffee to drop. this is an example of a select one: a. income effect b. equilibrium shift c. substitution effect d. supply curve shift

Answers

As coffee becomes more expensive, Joe starts drinking tea, and therefore quantity demand for coffee decreases. This is called the substitution effect.

In economics, the term "substitution effect" refers to a circumstance in which consumers switch from one product to another as a result of the former's price increase. When coffee prices rise and people choose to switch to tea instead, this is a prime illustration of the substitution effect. The substitution effect changes the demand for one product while decreasing the demand for the other.

When a product's price increases, consumers may switch to less expensive substitutes, which results in a decrease in sales known as the substitution effect. The substitution effect, however, is solely a reflection of thriftiness. A product may lose market share for a variety of reasons. Some customers will choose a less expensive substitute if a brand raises its price. People will eat more chicken if beef prices rise.

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production of 20,000 units of its popular foldable hamper required 1,200 labor hours, 50 setups, and consumed 20% of the product-level cost pool. what amount of batch-level costs will be allocated to the product? multiple choice question.

Answers

7500 is amount of batch-level costs will be allocated to the product.

What do you mean by cost?

The cost is the sum of money that a business spends on the development or manufacturing of goods or services. It excludes the profit margin markup.The sum of money spent to create a good or product, as seen from the seller's perspective, is the cost.An expense needed to create, market, or prepare an asset for regular use is called a cost.

Unit level cost (30000/12000*3000)

= 7500

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let mn be the amount of money in an investment at the end of year n. at the start of each year, the investment is found to have lost 5%. additionally, at the beginning of each year, $100 is added to the investment. what is the recurrence relation describing the sequence?

Answers

R = 5 %. Additionally, we are asked to calculate the amount of time it would take for a sum of money to double if it were invested at this rate and compounded annually: A=2P A = 2 P.

The formula that can be found below will be used because this is compound interest. The money will therefore double in 14.21 years.

How is the value of an investment determined?

Using this formula, you can use compound interest to determine the value of the future: The present value times the interest rate times n is the future value. Utilize this formula to determine the value of the future using simple interest: Future value is equal to the present value multiplied by [1] plus the interest rate multiplied by the time.

How is the investment's compound value determined?

The formula for compound interest is FV = P*(1+R/N)(N*T), where FV is the loan or investment's future value, P is the initial principal amount, R is the annual interest rate, N is the number of times interest is compounded per year, and T is the time in years.

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What's the best way to make the whole team feel like they are part of planning what success looks like for the group? question 17 options: ask all team members to help create the team's vision. focus on each team member's peripheral issues. present a team plan that only presents a win for one group. create an environment where compromise is not welcome.

Answers

The  best way to make the whole team feel like they are part of planning what success looks like for the group is ask all team members to help create the team's vision.

What is a team in business?

A team is described as a collection of individuals who collaborate to complete interdependent activities in support of a common goal or mission. Some teams have a finite lifespan, such as design teams working on new products or teams dedicated to continual process improvement.

Three characteristics are shared by all types of business teams: the location where they operate, the people they collaborate with, and the results of their work. These are referred to as place, purpose, and duty.

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for a more simpler awnser

it is A) ask all team members to help create the team's vision.

which of the following policies redistribute income from young to old generations? check all that apply. an increase in the budget deficit greater investments in highways and bridges an increase in social security benefits more generous subsidies for education loans

Answers

The policies that redistribute income from young to old generations are b) greater investments in highways and bridges, d) more generous subsidies for education loans.

Greater investments in highways and bridges are policies through which the older generations benefit. The older generations do not have to make investments in highways and bridges and can benefit from the investments that are made by younger people.

More generous subsidies for educational loans allows the loans to be returned with a graceful amount that can be used by the older generations. An increase in loan subsidies will mean an increased amount of loan returns that can be given to the older generations.

The question can be written correctly as:

Which of the following policies redistribute income from young to old generations? check all that apply.

a) an increase in the budget deficit

b) greater investments in highways and bridges

c)an increase in social security benefits

d)more generous subsidies for education loans

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all of the following would be considered manufacturing overhead costs by a book publisher except a. wages paid to the production supervisor. b. fire insurance on the printing facilities. c. depreciation on the printing equipment. d. rent on the warehouse containing the finished books inventory.

Answers

D) Rent on the warehouse housing the finished books inventory would be considered manufacturing overhead costs for all of the following.

What are overhead costs?

The expenditures involved in running a firm that isn't related to developing or manufacturing a good or service are known as overhead costs, often known as overhead or operating expenses. They are the costs a business must pay to remain open, regardless of how successful it is.

All expenses on the income statement of the business that aren't directly connected to producing, marketing, or selling a product or offering a service are referred to as overhead costs.

Because they are directly associated with the goods produced, potter's clay and a potting wheel are not considered overhead expenses. Because the potter must pay rent whether she is producing goods or not, the rent for the space where she works is an overhead expense.

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Mangelo restaurant had liabilities with a carrying value of $425,000 and fair value of $600,000. How should mangelo report these liabilities on the balance sheet?.

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Mangels should report the liabilities at the carrying value and disclose the fair value of the liabilities in a note to the financial statements.

Financial statements are written records that outline a company's operations as well as its financial performance. Government organizations, accounting firms, and other entities frequently audit financial statements to ensure their accuracy and for reasons related to taxes, financing, or investing. The debts owed by a company to outside creditors are known as its liabilities. Accounts payable may include bank debt and notes payable. To expand more quickly, companies take on debt. A business is stable when its assets and liabilities are in balance. Current, non-current, and contingent liabilities can all be divided into these three groups. According to financial accounting, a liability is defined as the economic benefits that an entity must give up in the future to other entities as a result of previous transactions or other past events.

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internal auditors should preferably report to the chief accounting officer of the company.
A. true
B. false

Answers

Internal auditors should preferably report to the chief accounting officer of the company.

This statement is False.

An internal auditor is an auditor appointed by our board of directors to perform the internal audit function. Although company employees usually act as internal auditors, some companies appoint outside experts as internal auditors.

An Internal Auditor (IA) is a trained professional who prepares an independent and objective evaluation of a company's financial and operational activities. They are used to ensure that businesses follow proper procedures and operate efficiently.

Internal audit helps organizations achieve their objectives by adopting a systematic and disciplined approach to assessing and improving the effectiveness of risk management, control, and governance processes. ”

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pepe's now has seven locations and is considered a connecticut staple. at what stage in the product life cycle is pepe's pizzeria?

Answers

The product life cycle is pepe's pizzeria is in Maturity Stage

What is Maturity Stage?When sales reach their maturity stage, they start to slow down after a period of strong expansion. At this stage, businesses start lowering their prices in an effort to remain competitive against the escalating competition.The introduction and growth stages are followed by the mature stage. The product life cycle's mature stage lasts the longest. At this time, the company has reached the peak of the demand cycle, sales growth is starting to slow down, and advertising tactics aren't doing anything to help.The longest phase of a company, sector, or product's life cycle is called the "maturity stage," during which time

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you are considering investing in a portfolio consisting of 40% electric general and 60% buckstar. if the expected rate of return on electric general is 16% and the expected return on buckstar is 9%, what is the expected return on the portfolio?

Answers

The expected return on the portfolio is 11.8%

The return that is anticipated on an investment is known as the expected return or ER. It is the overall sum of money that you can anticipate making or losing from an investment with a known rate of return. It's common to express an expected return as a percentage, with positive returns denoting profits and negative returns denoting losses.

Let the total amount invested in the portfolio be $100

Amount invested in electric general = 40% of 100 = $40

Amount invested in buckstar = 60% of 100 = $60

Expected return on electric general = 16%

So, 16% of 40 = $6.4

Expected return on buckstar = 9%

So, 9% of 60 = 5.4

Total portfolio amount after return = 100 + 5.4 + 6.4 = $111.8

Expected return on portfolio = 111.8-100/100*100 = 11.8%

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the responsibility for maintaining the accounting records should be separated from the responsibility for operations

Answers

The responsibility for maintaining the accounting records should be separated from the responsibility for operations so that the accounting records can serve as an independent check on operations.

Doing what you should and accepting the consequences of your actions are both examples of responsibility. An obligation is something you have to do. Doing what you are required to do is being responsibility. Accepting accounting entails taking the credit or the rap for your actions. Accountancy, another name for accounting, is the measurement, processing, and communication of financial and non-financial information about economic entities like corporations and businesses. Although there are many rules for accountants, the creation of financial statements and accounting procedures are supported by five major principles. They are the following: the accrual principle, the matching principle, the historic cost principle, the conservatism principle, and the principle of substance over form.

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trade secrets: group of answer choices cannot be registered. do not carry remedies if they are taken by former employees. are not a form of property and cannot be stolen. none of the above

Answers

None of the above is the correct answer (fourth option).

What are trade secrets?

A trade secret is a piece of information that is not generally known and that gives a business a competitive advantage. Trade secrets can include things like customer lists, formulas, recipes, manufacturing processes, and marketing plans. Businesses must take steps to keep their trade secrets confidential, or they risk losing their competitive advantage. There are a few ways to protect trade secrets, including through non-disclosure agreements, keeping information on a “need-to-know” basis, and physically securing information. In some cases, businesses may also register their trade secrets with the government.

Trade secrets are the ones that can be registered and there exists a remedy when it is stolen by any former employee. It is a form of property that can be stolen by another business or by an employee. Hence, it needs proper protection for its safeguard.

It can be concluded that none of the above is the correct answer (fourth option).

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it is usually less expensive to rent an apartment than to purchase a similar sized home when chapter 15

Answers

It is usually less expensive to rent an apartment than to purchase similar sized home when the land in the area is overprized.

What is an apartment?

An apartment, also known as a flat, is a type of residential real estate that is a self-contained living space that is typically one story high and affixed to a building. These general buildings go by numerous names; a list is below. The housing tenure of flats also varies greatly, from large-scale public housing to owner occupancy within what is officially a condominium (strata title or commonhold) to tenants renting from a private landlord (see leasehold estate). The term "apartment" is more frequently used in professional real estate and architectural circles in the UK than in other contexts, where "flat" is more frequently—though not always—used to refer to an apartment with a single level (thus, a "flat" apartment).

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the actuary's discount rate was 5%. at the end of the year, the actuary revised the estimate of the percentage rate of increase in the compensation levels in upcoming years. what was the amount of the gain or loss in the estimate change caused?

Answers

12.85 millions was the amount of the gain or loss in the estimate change caused from projected benefits.

given data,

The projected benefit at the beginning of the year = $280 million

The projected benefit at the end of the year =  $285 million

Service cost for the year = $16 million

pension benefits = $12 million

actuary's discount rate = 5%

Calculation of amount of the gain or loss the estimate change caused is

= $285 millions - $16 millions

= $269 millions

= $269 millions - $12 millions

= $257 millions

= $257 millions x 5%

= 12.85 millions

The amount of the gain or loss in the estimate change caused is  12.85 millions

the complete question is:

The projected benefit obligation was $280 million at the beginning of the year and $285 million at the end of the year. Service cost for the year was $16 million. At the end of the year, pension benefits paid by the trustee were $12 million. The actuary’s discount rate was 5%. At the end of the year, the actuary revised the estimate of the percentage rate of increase in compensation levels in upcoming years.

What was the amount of the gain or loss the estimate change caused?

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markita donated stock that she has held for less than a year to a qualified charitable organization. her basis in the stock is $1,000 and the fair market value of the stock is $1,200. in regards to the donation, the stock is

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The stock is an ordinary income property. She will deduct $1,000 since her basis is less than fair market value. Ordinary income property.

In finance, inventory (additionally capital stock) includes all the stocks with the aid of which ownership of a company or agency is split.[1] (in particular in American English, the phrase "stocks" is also used to refer to stocks.)[1][2] An unmarried percentage of the stock manner fractional ownership of the corporation in percentage to the entire range of stocks. This generally entitles the shareholder (stockholder) to that fraction of the agency's profits, proceeds from the liquidation of assets (after discharge of all senior claims which include secured and unsecured debt),[3] or balloting electricity, often dividing those up in proportion to the amount of cash each stockholder has invested.

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