Which of the following is not a building block for Business Process Modeling Notation (BPMN) diagrams? Select one: o a. Sequence flows. o b. Swimlanes. o c. Gateways. o d. Events.

Answers

Answer 1

Swimlanes is not a building block for Business Process Modeling Notation (BPMN) diagrams. So the option b is correct.

In the given question, we have to select which of the following is not a building block for Business Process Modeling Notation (BPMN) diagrams.

A planned business process's steps are depicted using flowcharts using the Business Process Modeling Notation (BPMN) approach. It visually illustrates a thorough sequence of business operations and information flows required to complete a process, making it a crucial component in business process management.

Swimlanes is not a building block for Business Process Modeling Notation (BPMN) diagrams.

The building block for Business Process Modeling Notation (BPMN) diagrams include Gateways, Events, Activity, Sequence flows.

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uppose that in 2018 the expected dividends of the stocks in a broad market index equaled $240 million when the discount rate was 8% and the expected growth rate of the dividends equaled 6%. Using the constant-growth formula for valuation, if interest rates increase to 9%, the value of the market will change by -- "Enter your answer in percentage points, e.g. -25% .-25. NOT-25. Also be sure to include a negative sign if you choose a negative answer

Answers

If interest rates increase to 9%, the value of the market will change by -33.33%

The formula for constant dividend growth Model:

Value of Market = Expected Dividend / (Discount Rate - Growth rate of Dividend)

So the value of market when the discount rate is 8% and Dividend growth rate is 6% is

Expected Dividend = 240

Value of Market = 240 / (8% - 6%)

= 12,000 Million

Value of market when discount rate is 9%

Value of Market = 240 / (9% - 6%)

= 8,000 Million

So the market value changes.

The percentage change will be = (Value of market when discount rate 8% - Value of market when discount rate 9%) / Value of market when discount rate 8%

= (12,000 - 8,000) / 12,000

= 33.33%

The market value fell, so -33.33%

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the employees of home depot are experienced craftspeople who enjoy giving their customers advice about do-it-yourself projects. the employees' advice increases the of their goods.

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The employees of Home Depot are experienced craftspeople who enjoy giving their customers advice about do-it-yourself projects. The employees’ advice increases the information of their goods.

As a employee, there is no one right way to deal with customers. Being sincere and eager to assist the client in finding what they require is the most crucial aspect. Customers are able to tell when someone is merely trying to sell them something or actually wants to be of assistance.

Any sales contact will inevitably involve some back-and-forth, but as long as the salesman is patient and respectful, they will typically be able to reach a satisfactory compromise.

The question is incomplete, the complete question is :

 The employees of Home Depot are experienced craftspeople who enjoy giving their customers advice about do-it-yourself projects. The employees’ advice increases the _____ of their goods.

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Painters who paint water towers earn higher wages relative to painters who paint houses because:.
a) painting water towers is more risky than painting houses.
b) the supply of water tower painters exceeds the supply of house painters.
c) the demand for tower painters is greater than the demand for residential painters.
d) the tower painters’ union is probably more powerful than the house painters’ union.

Answers

As per the demand and supply concept, Painters who paint water towers earn higher wages relative to painters who paint houses because painting water towers is more risky than painting houses.

What is Demand and supply in economics?

In economics, demand and supply refers relationship between the quantity of a commodity that producers wish to sell at various prices and the quantity that consumers wish to buy.

Here we need to find the reason behind the Painters who paint water towers earn higher wages relative to painters who paint houses.

Based on the definition of demand and supply, the demand for painting water tower have more risk because of the slippery condition of water tower where as in the house there considerably low risk. And the cost of the paint is also differs that's why the first one cost much higher than the house.

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on january 1, 2009, sellers corp. granted an employee an option to purchase 6,000 shares of seller's $5 par value common stock at $ 20 per share. the black-scholes option pricing model determines total compensation expense to be $ 140,000. the option became exercisable on december 31, 2010, after the employee completed two years of service. the market prices of seller's stock were as follows: january 1, 2009 $ 30 december 31, 2010 $ 50 for 2010, sellers should recognize compensation expense under the fair value method of

Answers

Sellers should recognize compensation expense under the fair value method of $70,000.

The fair value of an asset  is ideally derived from discernible market costs of comparable transactions. Fair value is calculated by staring at what a virtually identical item has already oversubscribed for. Assets are recorded at their current worth on the date the worth is calculated, not the historical price.

A stock is a general term accustomed describe the possession certificates of any company. A share, on the opposite hand, refers to the security of a selected company. Holding a selected company's share causes you to a investor. Description: Stocks are of 2 types—common and most well-liked.

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a(n) ______ is an unincorporated business entity that combines the most favorable attributes of general partnerships, limited partnerships, and corporations.

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An unincorporated business entity known as a Limited Liability Company (LLC) combines the best features of corporations, limited partnerships, and general partnerships.

Describe LLC.

State law permits the use of the Limited Liability Company (LLC) as a corporate form. If you're interested in forming a Limited Liability Company, you should verify with your state as each one may have different rules. Members of an LLC are its owners. Many small firms are ideal candidates for the flexible and straightforward LLC corporate structure.

Why forming an LLC is a smart idea?

An LLC's primary benefit is implied in its name: limited liability protection. When an owner conducts business through an LLC, their personal assets may be shielded from commercial obligations and claims brought against the company. An LLC may have a single owner (referred to as a "member") or numerous members. The assets controlled by the corporation or LLC and not the financial belongings of the proprietors are often the sole assets that creditors may pursue if the company is unable to pay its debts.

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In which of the industries could a business potentially benefit from Performance Max for store goals? Choose three.
A) Auto
B) eCommerce
C) Retail
D) Hotel
E) Quick Service Restaurant

Answers

The concept mentioned here is  Industry. The option is A, C and E.

An industry is a group of productive enterprises or associations that produce or supply goods, services, or sources of income. In economics, diligence is generally classified as primary, secondary, tertiary, and quaternary; secondary diligence is further classified as heavy and light.

Performance Max helps you drive performance grounded on your specified conversion pretensions, delivering further transformations and value by optimizing performance in real-time and across channels using Smart Bidding.

Performance Max campaigns for store pretensions will help you use the Business Profile runner to punctuate special in-store offers and products to guests and position attributes to encourage users to visit.

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Accounting systems are utilized by companies for several reasons, but they have little value when it comes to making economic decisions.True/False

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False. Accounting systems are used by businesses for a variety of purposes, but they are not very useful for making economic decisions.

What does an accounting system serve?

A company can keep track of all kinds of financial activities with the use of an accounting system, including purchases (expenses), sales (invoices and income), obligations (funding, accounts payable), etc.

Quiz: What function does an accounting system serve?

a bookkeeping system. the techniques and steps a company use to gather, sort, condense, and report financial data for use by management and outside users.

What are the most important duties an accountant carries out for a company?

producing and maintaining important financial reports. completing tax returns and ensuring accurate and on-time tax payment. In order to identify best practices, identify issues and provide solutions, and help firms operate efficiently, financial processes are evaluated.

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canada's government owns the communications, transportation, and utilities industries; most other activities are carried on by private enterprises. canada is considered a economy.

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Canada's government owns the communications, transportation, and utilities industries. most other activities are carried on by private enterprises. Canada is considered a mixed economy.

A mixed economic system is a framework that joins parts of both private enterprise and communism. A blended monetary framework safeguards private property and permits a degree of financial opportunity in the utilization of capital, yet in addition considers legislatures to meddle in financial exercises to accomplish social points.

As per neoclassical hypothesis, blended economies are less productive than unadulterated unrestricted economies, however advocates of government mediations contend that the base circumstances expected for proficiency in unrestricted economies, like equivalent data and objective market members, can't be accomplished in down to earth application.

Most current economies include a blend of at least two monetary frameworks, with economies falling eventually along a continuum. The public area works close by the confidential area, yet they might vie for similar restricted assets. Blended monetary frameworks don't impede the confidential area from benefit chasing, however direct business and may nationalize enterprises that give a public decent.

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a firm finances its activities with both debt (that costs 8%) and equity (that costs 14%). the firm can borrow additional funds at 8% if it so desires. a financial analyst at this firm argues that the firm should undertake any investment that earns a return of at least 8% because such investments will enable the firm to pay debtholders what they require, and any earnings above 8% will go to stockholders. if a firm decides to make investments based on this logic it will .

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It is to be noted that if a firm decides to make investments based on this logic as argued by the financial analyst, it will decline to make investments that it should undertake.

What is an Investment?

An investment is an asset or object purchased with the intention of earning revenue or increasing in value.

An increase in the worth of an asset over time is referred to as appreciation. When a person buys a thing as an investment, the intention is not to consume the commodity but rather to utilize it to build wealth in the future.

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which of the following statements about dividends is not accurate? dividends are generally reported quarterly as a dollar amount per share. low dividends may mean high stock returns. the board of directors is obligated to declare dividends. payment of dividends from legal capital is illegal in many states.

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The statement about dividends that is not accurate is that the board of directors is obligated to declare dividends. So option c. is correct.

A dividend is the distribution of corporate earnings to eligible shareholders. Dividend payments and amounts are determined by a company's board of directors. The dividend yield is the dividend per share and is expressed as a percentage of a company's share price. Many companies do not pay dividends and instead retain earnings to be invested back into the company. Dividends must be approved by the shareholders by voting rights. Although cash dividends are common, dividends can also be issued as shares of stock.

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he risk-free asset has a return of 3.00%. the risky asset has a return of 24.89% and has a variance of 7.77%. karen has the following utility function:: LaTeX: U=a\times\ln\left(r_c\right)-b\times\sigma_cU = a × ln ⁡ ( r c ) − b × σ c, with a=5.1 and b=5.2. LaTeX: r_cr c and LaTeX: \sigma_cσ c denote the return and the risk of the combined portfolio. Compute the optimal to be invested in the risky asset.

Answers

The location of the CAL's tangent to the efficient frontier is where the ideal risky portfolio is discovered. Due to the maximum slope for CAL, this asset weighting combination provides the best risk to return ratio.

The portfolio beta, which is the weighted average of the various betas, must first be determined in order to proceed. The needed return for the portfolio may then be determined using the CAPM algorithm. The portfolio A + B is anticipated to return 20%. The risk-free rate is 6%, whereas the market return is 15%. The weight of each asset is multiplied by its projected return to determine the expected return. The total predicted return for your portfolio may then be calculated by adding the figures for each investment. Consequently, the equation is as follows: Expected Portfolio Return = (Asset 1 Weight x Expected Return) + (Asset 2 Weight x Expected Return)...

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retailers that receive an online order and ship the product from a store's inventory, refer to the store as a . group of answer choices hub demand network cash cow fullfillment center

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Retailers that receive an online order and ship the product from a store's inventory, refer to the store as a  fulfilment center.

Hence, Option D is correct

A retailer is a person or establishment where you buy products. Typically, retailers don't produce their own goods. They buy products from a producer or a wholesaler and then sell them in tiny quantities to customers.A retailer, sometimes known as a merchant, is an organization that sells products such as apparel, groceries, or automobiles to customers directly through a variety of distribution methods in an effort to make a profit. This business may be located offline or online.

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Experiments show that the quantities x of corn and y of soybean required to produce a hog of weight Q satisfy
Q = 0.5 x^1/2 y^1/4.
The unit of x, y, Q is the cwt, an agricultural unit equal to 100 lb. Find the values of x and y that minimize the cost of a hog of weight
Q = 2.5 cwt
if corn costs $8/cwt and soy costs $11/cwt. (Round your answers to two decimal places.)

Answers

We therefore conclude that in order to minimize the cost, x≈ 14.288 cwt and y ≈ 3.062 cwt.

What does the term "minimize" mean?

Minimizing something to the most minimal degree or quantity We take every precaution to reduce the risk of infection. Making something appear smaller or less important than it actually is is another meaning of minimization: He downplayed his part in the incident.

Briefing:

Step 1. Choose variables. We let z and y be the quantities of corn and soybean respectively, producing hog of weight Q given by the equation below. Here, we seek for the values of x and y that give the minimum cost.

Q = 0.5x¹/2y1/4 = 2.5cut

(1)

Step 2. Find the objective function.

From equation (1), we express y in terms of æ.

0.5x¹/2y¹/4 = 2.5⇒ y¹/4 2.5 0.5x1/2 625 2 ⇒ y =

Shown below is the function that represents the total cost f(x), in terms of the variable. Note that the cost function is represented by the sum of the quantities of the corn and soybean, where $3/cut for corn and $7/cut for soybean.

f(x)=3x+7y=0

=3x+7(625/x²) =0

=3x+ 4375/x²=0

Step 3. Optimize the function.

To minimize total cost, we need to find the minimum value of x through determining the critical point of the function by solving for f'(x) = 0.

f'(x) = 3- 2(4375)/x3 = 0

⇒ 3x3= 4375(2)

4375(2)=x 3

⇒x= 14.28769814≈ 14.288

Solving for the quantities of soybean y, we get the following: 625 (14.28769814)2 = = 3.0616496≈ 3.062

We therefore conclude that in order to minimize the cost, x≈ 14.288 cwt and y ≈ 3.062 cwt.

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when accounting for income taxes, a temporary difference occurs in which of the following scenarios? an item is included in the calculation of net income, but is neither taxable nor deductible. an item is included in the calculation of net income in one year and in taxable income in a different year. an item is no longer taxable, owing to a change in the tax law. the accrual method of accounting is used.

Answers

This occurs when an asset or obligation has a different tax basis from its GAAP basis.

What is GAAP?

A unified set of accounting guidelines, methods, and standards known as generally accepted accounting principles (GAAP) were released by the Financial Accounting Standards Board (FASB). When their accountants put together a public company's financial statements, they must adhere to GAAP in the United States. Ten basic principles serve as the framework for GAAP, which is a set of regulations. The International Financial Reporting Standards (IFRS), which are seen as more of a principles-based norm, are frequently used as a comparison. There have recently been initiatives to move GAAP reporting to IFRS because it is a more global standard. The FASB's set of accounting regulations known as GAAP is what U.S. businesses must adhere to when creating their financial statements.

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the payment of yves's debt to zane is guaranteed by yves's personal property. their agreement describes yves's subject property by serial number. to establish zane's interest, this is

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If this faithfully captures the agreement between the parties, it is sufficient to demonstrate Zane's interest.

What sort of thing falls under personal property?

"Real property" is typically real estate. It consists of the land as well as any long-term additions to the property, such as structures, fences, plants, roadways, sewers, or drains. All property that isn't real property, such as vehicles, animals, money, and furniture, is referred to as "personal property."

What is personal property not?

Basically, private property is anything that you own and can move (except land). Real property is everything that is affixed to land and cannot be moved.

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of the listed methods of collecting demographic information, which is the most effective for organizations defining their target market?

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Of the listed methods of collecting demographic information, surveys are the most effective method for organizations defining their target market.

Give a brief account on surveys.

In human subject research, a survey is a series of questions designed to elicit specific data from a target group. Surveys can be taken over the phone, by mail, online, at street corners, and even within retail malls.In disciplines like social research and demography, surveys are used to collect or gain knowledge.

Survey research is frequently employed to gauge beliefs, viewpoints, and emotions. Survey goals can be more general and broad-based or more specialized and confined. Surveys are frequently used by psychologists and sociologists to study behavior, and they are also employed by the media to serve more practical purposes including assessing political candidates, public health officials, professional associations, and advertising and marketing directors.

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is the benefit a country has in a given industry if it can make products at a lower opportunity cost than other countries.

Answers

Comparative advantage refers to an economy's ability to produce a specific good or service at a lower opportunity cost than its trading partners.

Produce a specific good or service at a lower opportunity cost than its trading partners is referred to as comparative advantage. When a country has a comparative advantage, it can produce goods and services at a lower cost than other countries. When a country has a comparative advantage, it can produce something with lower opportunity costs than other countries. Lowering costs is an example of an absolute advantage. Absolute advantage refers to a economy's in which one person, company, or country can produce more of a good or service than any other producer with the same amount of resources.

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Taylor is considering job offers from two companies. Company A offered her a starting salary of $46,000 with a $2100 raise at the end of each year. Company B offered her a starting salary of $46,000 with a 4.4% raise at the end of each year.
Let f(t)represent Julia's salary at Company A t years after accepting a position at Company A, and let g(t)represent Julia's salary at Company B t years after accepting a position at Company B. Complete the table of values below.
t f(t) g(t)
0 46000 46000
1 ? ?
2 ? ?
3 ? ?

Answers

The salary for first year will be $46,000 for both companies.

Now, Company A is offering a steady raise and it is represented by f(t), so it can be written as following:

Company A:

f(t) = 46000 + 2100t

Company B is giving raise at rate of 4.4% and represented by g(t) so it can be written as:

Company B:

g(t) = 46000*( 1 + .044 )^t

In both equations t represents time passed.

when t = 0

Company A

f(t) = 46000 + 2100t

f(0) = 46000 + 2100*0 = 46000

Company B

g(t) = 46000*( 1 + .044 )^t

g(0) = 46000*( 1 + .044 )^0 = 46000 *1 = 46000

when t = 1

Company A

f(t) = 46000 + 2100t

f(1) = 46000 + 2100*1 = 46000 + 2100 = 48100

Company B

g(t) = 46000*( 1 + .044 )^t

g(1) = 46000*( 1 + .044 )^1 = 46000 *1.044 = 48024

When t = 2

Company A

f(t) = 46000 + 2100t

f(2) = 46000 + 2100*2 = 46000 + 4200 = 50200

Company B

g(t) = 46000*( 1 + .044 )^t

g(2) = 46000*( 1 + .044 )^2 = 46000 * 1.089936 = 50,137

When t = 3

Company A

f(t) = 46000 + 2100t

f(3) = 46000 + 2100*3 = 46000 + 6300 = 52300

Company B

g(t) = 46000*( 1 + .044 )^t

g(3) = 46000*( 1 + .044 )^3 = 46000 * 1.137893184 = 52,343

-----------------------------------------

The final table is:

t ------- f(t) ------- g(t)

0 ----- 46000 ----- 46000

1 ------ 48100 ----- 48024

2 ----- 50200 ----- 50,137

3 ----- 52300 ----- 52,343

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according to the open economy macroeconomic model, which of the following would cause the real interest rate to decrease in the united states? true false

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This statement is true: according to the open economy macroeconomic model, which of the following would cause the real interest rate to decrease in the united states.

The drivers of money supply and demand are emphasized in the monetary approach to open-economy macroeconomics. Both fixed and floating exchange rates can be considered individually when analyzing the monetary strategy. The monetary approach is known as the Monetary Approach to Balance of Payments in this situation because it applies to the balance of payments if the exchange rate is fixed. The Monetary Approach to Exchange Rates, in contrast, explains exchange rate changes when exchange rates are floating.

The models that have been mentioned up to this point provide crucial insights into how components of global trade, open economy macroeconomics, and international asset pricing can be brought together under a single framework and how they interact with one another. Future study in this field will be lively and fruitful because the literature is developing in a number of ways.

First, the insertion of market incompleteness into the narrative is necessary for the consideration of global imbalances, current account sustainability, and, more generally, of international portfolios and risk sharing.

Second, a lot of the international macro-finance models that have been created so far have pure exchange economies.

Third, these models lack a complete financial sector, whose significance has been shown by a number of recent infectious crises.

Finally, only models with agents who have log-linear preferences have so far yielded closed-form solutions.

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In the simple deposit expansion model, when the required reserve ratio is equal to 10 percent, a contraction in checkable deposits of $5,000 implies that the Federal Reserve _____________
A) sold $100 in government bonds. B) sold $500 in government bonds. C) purchased $100 in government bonds. D) purchased $500 in government bonds.

Answers

The correct option is B. In the simple deposit expansion model, when the required reserve ratio is equal to 10 percent, a contraction in checkable deposits of $5,000 implies that the Federal Reserve sold $500 in government bonds.

The purchase of government bonds by the Fed leads to a rise of reserve with the bank and marketing of bonds leads to a rise within the reserve with the bank. And money reserve decreases by two hundredth of $500 if there's a decline within the checkable deposit of $500.

The open market operations square measure the one within which the financial institution of the country buys or sell government securities to the banks or general public. The open market operations with the bank square measure created to have an effect on the reserve maintained by the bank, this method indirectly affects the disposal capability of the bank.

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five printing jobs are waiting to be assigned at boston printing. their work (processing) times and due date are given in the following table. the firm wants to determine the sequence of processing according to spt rules. jobs were assigned a letter in the order they arrived. today is day 1 and work begins today. determine the average completion time, ulitiization metric, average

Answers

Here the Boston printing firm wants to determine the sequence of processing according to spt rules. Jobs were said to be assigned a letter in the order they arrived.

The job is said to be with the shortest processing time which processed first. This rule is said to reduce work-in-process inventory, average job completion time, and also the average job lateness by this. However, this rule is useful when the goal is said to reduce job lateness.

Spt rules is said to be a rule which sequences jobs which are to be processed on a resource in the given ascending order of their given processing times.

Hence, this is said to determine the average completion time, and ulitization metric.

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Which of the following is a good tool for planning the verbal and visual components of a collaborative presentation?
a. a Web-based application b. PowerPoint SmartArt c. a flowchart d. a Gantt chart e. a storyboard

Answers

The answer is B. The visual and verbal elements of a collabrative  presentation can be planned with PowerPoint SmartArt.

What might a presentation gain from collaboration?

In order to get the finest results, a team must work collaboratively so that each member can express their thoughts, learn how their teammates think, & riff on novel ideas. Employees are more likely to contribute their knowledge through collaboration, and they also pick up new skills from one another in the process.

Which 4 forms of cooperation are there?

The four primary categories of collaboration that are currently recognized (Coalitions, Investments, Invention Networks, and Ecosystems) are briefly described here, along with an explanation of their respective significance.

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The spot rate for the Argentine peso is $0.3600 per peso. Over the year, inflation in Argentina is 10 percent and U.S. inflation is 4 percent. If purchasing power parity holds, at year-end the exchange rate should be approximately ______________ dollars per peso.
a) 0.3015
b) 0.2987
c) 0.3614
d) 0.2875
e) 0.3384e

Answers

The exchange rate should be approximately 0.340364 dollars per peso.

Spot rate = 1 Argentina Peso = $0.3600

Inflation in Argentina = 10 %

U.S. inflation = 4 %

Hence Expected rate =

1Peso (1.10) = $0.3600(1.04)  

Hence

1 Peso = $0.3600(1.04) / 1.10

1 Peso = 0.340364

What Is the Spot Rate?

The spot rate is the price quoted for immediate settlement on an interest rate, commodity, a security, or a currency. The spot rate, also referred to as the "spot price," is the current market value of an asset available for immediate delivery at the moment of the quote.

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An increase in flotation costs will most likely result in which of the following?
a. smaller dividend payments so that external equity financing is needed
b. larger dividend payments so shareholders are able to earn their requested returns
c. no charge in dividend policies because flotation costs are paid by purchases of common stock
d. larger dividend payments to offset higher taxes paid by investors

Answers

In response to the question Smaller dividend payments necessitate the use of external equity financing.

What exactly do users mean by costs?

Costs are the monetary value of spendings for goods, services, labor, products, equipment, and other pay for the goods for use by a company or other accounting entity in accounting. It is the quantity denoted as the price on invoices and recorded as an expenditure or resource cost basis in bookkeeping records.

What are some cost examples?

Cost Varieties:

Some intangibles (i.e. patents)Tools used to build (i.e. equipment, vehicles)Insurance.Fixed interest rates are included in loan agreements.Rent.Salaries are fixed amounts of money paid to employees.Utility companies (i.e. electricity, phones) 

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Fill in the blanks: The plan you present during the advise phase of your inbound sales strategy closes the gap between _______ and _______.

Answers

The plan you present during the advice phase of your inbound sales strategy closes the gap between inbound sales and out.

Inbound sales is a income method that prioritizes the desires, demanding situations, dreams and interests of character buyers. in preference to focusing on remaining the sale as soon as viable, inbound salespeople work to meet customers in which they are and then guide — no longer push — them thru the decision-making procedure. Inbound is a scalable income approach that focuses on attracting interested potentialities in your business and constructing lasting relationships to help your customers prevail. Outbound sales procedures engage ability consumers who may or might not be interested in your services and products.

here is a short precis: Inbound sales is when a capacity purchaser or prospect reaches out for your enterprise to ask approximately a service or product. Outbound income is the end result of a sales rep reaching out to a ability client who has no longer but expressed interest in a products or services provided by the business.

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_________ arbitrage uses quantitative systems to uncover many perceived misalignments in relative profit; it differs from pure arbitrage in that it is not truly risk-free
statistical

Answers

Statistical arbitrage uses quantitative systems to uncover many perceived misalignments in relative profit; it differs from pure arbitrage in that it is not truly risk-free.

The simultaneous establishment of a long and short position to profit from inefficient pricing in correlated assets makes statistical arbitrage methods market neutral. For instance, a fund manager might open a long position in Coca-Cola and a short position in Pepsi if they think Coca-Cola is undervalued and Pepsi is overvalued. Statistical arbitrage is frequently referred to as "pairs trading" by investors.

Statistical arbitrage is loosely defined as involving more than two equities. The idea can be applied by investors to a collection of connected securities. Additionally, just because two stocks are in different industries does not preclude correlation between them. For instance, there are frequently periods of high correlation between the stocks of the consumer cyclical Harley Davidson and the financial stock Citigroup.

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thomson co. produces and distributes semiconductors for use by computer manufacturers. thomson issued $480,000 of 15-year, 12% bonds on may 1 of the current year at face value, with interest payable on may 1 and november 1. the fiscal year of the company is the calendar year. date transaction may 1. issued the bonds for cash at their face amount. november 1. paid the interest on the bonds. december 31. recorded accrued interest for 2 months. journalize the entries to record the above selected transactions for the current year. if an amount box does not require an entry, leave it blank. date account debit credit may 1 cash cash 480,000 cash bonds payable bonds payable bonds payable 480,000 nov. 1 interest expense interest expense 60,000 interest expense cash cash cash 60,000 dec. 31 interest expense interest expense 40,000 interest expense interest payable interest payable interest payable 40,000

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May 1 Cash $450,000 To record the cash received from the issuance of bonds Bonds Payable $450,000, Nov 1 Interest Expense 27,000 To recognize an expense account,  related to the interest paid Cash  27,000 To record the interest paid in cash($450k x 12% x 6/12).

Describe what expenses are.

Cost is what expenses simply mean. A cost of operations is what is referred to as an expense in accounting language. It refers to the flow of money received in exchange for commodities or services. Expenses can alternatively be expressed as the total of all activities that typically result in a profit.

What do expenses mean in accounting?

A company's expenditures and associated costs in generating revenue are referred to as expenses in accounting. Account expenses are, to put it simply, the costs associated with operating a firm. They all work together to support the processes required in making a profit.

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the sml approach requires estimates of the . multiple select question. beta coefficient cost of debt capital cost of equity capital market risk premium

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The sml approach requires estimates of the beta coefficient and the market risk premium.

Money managers and investors frequently use the security market line to assess an investment product they're considering adding to a portfolio. When evaluating whether security offers a positive expected return in relation to its level of risk, the SML is helpful.

The capital asset pricing model is illustrated by the securities market line (SML) (CAPM). The projected returns of assets based on systematic, non-diversifiable risk are theoretically represented by SML. The security market line does not contain idiosyncratic risk.

The SML shows the combination of assets that delivers the best-projected return for a specified degree of risk. It represents the efficient frontier, where the returns on risk-free investments intersect the returns on the entire market.

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Level 2: Opportunity Cost, Comparative Advantage, and Specialization
The opportunity cost of producing a unit of one good is measured in terms of the amount of another good that must be given up. When you allocate an hour to gathering firewood, you give up one hour of fishing. As such you gain................logs of firewood but lose..............calories of fish.

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Comparative advantage, opportunity cost, and specialization Giving up an hour of fishing in exchange for eight logs of firewood and an hour of wood collection results in a loss of 250 calories from fish.

What is the connection between opportunity cost and specialization?  

Consumer advantages Because of specialization, overall opportunity cost of producing is reduced, increasing global production and lowering prices. These reduced pricing and increased supply benefit consumers.

What advantages do specializations have?

Greater economic efficiency, favorable effects for consumers, and expansion prospects for industries with a competitive edge are all advantages of specialization. Threats to noncompetitive industries, the possibility of overspecialization, and strategic fragility are some drawbacks of specialization.

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the insurance company wants to invest in some combination of 1-year and 5-year bonds such that the liability is immunized. both bonds have a face value of $1,000 and a ytm of 4%. the 1-year bond pays a coupon of 2% and the 5-year bond pays a coupon of 6%. you may assume annual payments. use 4% as the discount rate throughout this problem.

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There is a possibility that the portfolio value will not meet the target value when specific future liabilities become due when the portfolio is constructed with the intention of funding those liabilities.

This risk can be mitigated precisely through portfolio immunization.

To put it simply, we need to match the durations of future liabilities and portfolio assets in order to immunize a portfolio. To get it, let us investigate the tradeoff between value chance and reinvestment risk with regards to a fixed-pay portfolio. Price risk (return) and reinvestment risk (return) have an opposite relationship.

A coupon bond's reinvestment return rises while its price decreases when interest rates rise. After the portfolio is set up, the goal of immunization is to create a portfolio in which, in the event of a parallel interest rate shift, these two components of total return—price return and reinvestment return—exactly balance each other out. This is accomplished by matching the portfolio's duration to the future liability's investment horizon.

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