A project manager has laid out a network diagram and is beginning to schedule activities for an upcoming project. Which of the following activities should be performed LAST?
A. Determine the start/finish dates.
B. Determine the critical path.
C Determine the dependencies.
D. Determine the task durations.

Answers

Answer 1

When scheduling activities for a project based on a network diagram, (D) determining the task durations should be performed last.

When scheduling activities for a project using a network diagram, it is essential to determine the task durations accurately. However, determining the task durations should be performed after completing other crucial steps in the scheduling process.

First, it is important to determine the dependencies among the activities. Dependencies establish the relationships and sequencing of tasks, identifying which activities need to be completed before others can start. This information is necessary for creating an accurate schedule.

Next, determining the start and finish dates is essential. This involves considering any constraints, such as project deadlines or resource availability, and setting realistic time frames for the project's activities. Once the dependencies and start/finish dates are determined, the critical path can be identified.

The critical path is the sequence of activities that determines the project's overall duration. It helps in understanding which activities are critical and cannot be delayed without impacting the project's timeline. After establishing the critical path and understanding the project's overall duration, the final step is to determine the task durations.

This involves estimating the time required to complete each activity based on factors like complexity, resource availability, and historical data. Hence, (D) determining the task durations should be performed last in the process of scheduling activities for a project based on a network diagram.

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Related Questions

Taylor Bank lends Guarantee Company $111,104 on January 1. Guarantee Company signs a $111,104,6%, 9-month, interest-bearing note. The entry made by Guarantee Company on January 1 to record the proceeds and issuance of the note is a. Notes Payable Interest Payable Cash Interest Expense 111,104 2,500 111,104 2,500 b. Cash 111,104 Notes Payable 111,104 Cash 116,104 5,000 111,104 Interest Expense Notes Payable d. Interest Expense Cash Notes Payable 5,000 106,104 111,104

Answers

Answer:

Answer choice (A)

Explanation:

The correct entry made by Guarantee Company on January 1 to record the proceeds and issuance of the note is:

a. Notes Payable 111,104

Interest Payable 2,500

Cash 108,604

This entry reflects that Guarantee Company receives cash of $108,604 (the principal amount of $111,104 minus the interest of $2,500), which is recorded as a debit to Cash. The company also incurs a liability of $111,104 for the Notes Payable, which is recorded as a credit to Notes Payable. Finally, the company accrues interest expense of $2,500, which is recorded as a credit to Interest Payable.

Vera gives Will a $500 check as payment for a debt. Will crudely increases the amount of the check to $5,000 and deposits the check in his First Bank account. Vera is liable for the payment of $5,000 to

Answers

Answer:

No one

Explanation:

Vera is liable for the payment of $5,000 to no one.

Repayment of Borrowed Money: Repayment of Debt Many people struggle to repay their debt.

Simply put, if you agree to borrow and repay the money, you are in debt. Common examples include student loans, mortgages, and credit card purchases.

How to repay debt faster:

Pay more than the minimum amount. ... 44 Pay more than once in April. ...Pay off the most expensive loan first. ..Consider a snowball method of paying off your debt. ...Track your invoice and pay in less time. ...Shorten the loan term. ...Consolidate multiple debts.

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list and explain 3 non price factors affecting demand market of iPhone.
list and explain 3 non price factors affecting supply market of iPhone

Answers

Non price factor affecting demand market of iPhone:

Product design and featuresBrand reputationAdvertising and marketing

Three non-price factors that can affect the supply of iPhones include:

Production costsGovernment regulationsAvailability of components

Non price factor affecting demand market of iPhoneProduct design and features: The design and features of the iPhone, such as its camera quality, screen size, and overall aesthetic, can greatly affect consumer demand. For example, if a new iPhone model is released with improved camera capabilities, this may increase demand for the product.Brand reputation: The reputation of the iPhone brand can also affect demand. Apple has a strong reputation for producing high-quality, innovative products, which can drive consumer demand for the iPhone.Advertising and marketing: The way that the iPhone is marketed and advertised can also affect demand. If Apple launches a successful advertising campaign for a new iPhone model, this may increase demand for the product.Three non-price factors that can affect the supply of iPhones include:

Production costs: The costs associated with producing iPhones can affect the supply of the product. If production costs increase, the supply of iPhones may decrease.Government regulations: Government regulations can also affect the supply of iPhones. For example, if a government imposes tariffs on imported electronics, this may increase the cost of producing iPhones and decrease the supply of the product.Availability of components: The availability of components used in the production of iPhones can also affect supply. If a key component becomes scarce or unavailable, this may affect the ability of manufacturers to produce iPhones, and thus affect the supply of the product.

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What is an example of a general safety hazard?

poorly maintained equipment
contaminated water
blizzard
employee retaliation

Answers

Answer:

poorly maintained equipment

Answer:

contaminated water

Explanation:

if the water doesnt get boiled it will make you sick, contaminated water can make you sick easily so its a safety hazard

what is the importance of knowing how to compute the market share in a business​

Answers

Answer:

Simply put, market share is a key indicator of a company's competitiveness. When a company increases its market share, this can improve its profitability. This is because as companies increase in size, they too can scale, therefore offering lower prices and limiting their competitors' growth.

You can determine a company's market share by dividing its total sales or revenues by the industry's total sales over a fiscal period.
It's important to calculate and understand market size for several reasons. First, entrepreneurs and organizations can use market sizing to estimate how much profit they could potentially earn from a new business, product or service. This helps decision-makers to decide whether they should invest in it.

Knowing your customer is key for any business endeavor. Successful business owners understand what their customers want and the most effective way of making their product or service available. The depth of knowledge is also crucial it requires knowing more than their names, ages and incomes. As a business owner, knowing your customers hobbies, tastes and interests along with what they watch, listen to and read can be a profitable advantage.


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An investor claims a prospectus contained an untrue statement. For purposes of bringing a civil suit for liability under Section 12 of the Securities Act of 1933, and claiming damages, the information must have been untrue at what time

Answers

An investor claims a prospectus contained an untrue statement. For purposes of bringing a civil suit for liability under Section 12 of the Securities Act of 1933, and claiming damages, the information must have been untrue at the time of sale.

What Is the Securities Act of 1933?

Following the 1929 stock market disaster, the Securities Act of 1933 was developed and enacted into law to safeguard investors. The Act had two main objectives: to establish regulations against deception and fraudulent activity in the securities markets; and to ensure greater transparency in financial statements so that investors may make informed investment decisions.

Securities Exempt from SEC Registration

The Act's registration requirement does not apply to all securities offerings. These incorporate:

Intrastate products and servicesLimited-size offeringsMunicipal, state, and federal government-issued securitiesPrivate offerings to a select few people or organizations.

The Securities Act of 1933 also sought to outlaw false statements and deception. The measure aims to end fraud that occurs during the sale of securities.

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How does the way you feel about yourself affect hiw others see you?

Answers

I don't think my reality influences how I am viewed by others. It is the other way around, though.

If I ALLOW IT, how people see me will influence how I see myself. It depends on the person in a positive or negative way.

Everyone has their own reality; they have their own vision of how they see themselves and others. If someone is mad at me, then I don't take it personally as much as possible because I know they represent their reality, not mine, to me.

Concose Park Department is considering a new capital investment. The following information is available on the investment: The cost of the machine will be $330,000. The annual cost savings if the new machine is acquired will be $85,000. The machine will have a 5-year life, at which time the terminal disposal value is expected to be $32,000. Concose Park Department is assuming no tax consequences. If Concose Park Department has a required rate of return of 11%, what is the present value of the project?

Answers

The present value of the project is $30,158.93.

Calculate the net cash flows for each year:

Year 1: Cost savings - Cost of the machine = $85,000 - $330,000 = -$245,000

Year 2: Cost savings = $85,000

Year 3: Cost savings = $85,000

Year 4: Cost savings = $85,000

Year 5: Cost savings + Terminal disposal value = $85,000 + $32,000 = $117,000

PV = Cash Flow / (1 + Required Rate of Return\()^n\)

Where n is the number of years from the present.

Calculating the present value for each cash flow:

PV Year 1 = -$245,000 / (1 + 0.11\()^1\) = -$220,720.72

PV Year 2 = $85,000 / (1 + 0.11\()^2\)= $70,370.37

PV Year 3 = $85,000 / (1 + 0.11\()^3\) = $59,330.95

PV Year 4 = $85,000 / (1 + 0.11\()^4\) = $49,858.41

PV Year 5 = $117,000 / (1 + 0.11\()^5\) = $71,318.92

Present Value = PV Year 1 + PV Year 2 + PV Year 3 + PV Year 4 + PV Year 5

Present Value = -$220,720.72 + $70,370.37 + $59,330.95 + $49,858.41 + $71,318.92

Present Value = $30,158.93

Cash flows refer to the movement of money into and out of a business or individual's financial accounts over a specific period. It represents the actual cash generated or spent during that time frame and is a crucial indicator of financial health. Cash flows are classified into three main categories: operating, investing, and financing activities.

Operating cash flows pertain to the core business activities, such as sales, expenses, and taxes. Positive operating cash flows indicate that a company's operations are generating more cash than it is using. Investing cash flows involve the buying or selling of long-term assets, such as property, equipment, or investments. Positive investing cash flows suggest that a company is making profitable investments or selling assets at a gain.

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Sc johnson airs television ads that highlight the qualities of the company rather than promote specific brands. these ads would best be described as _______ advertising.

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Sc Johnson airs television ads that highlight the qualities of the company rather than promote specific brands. these ads would best be described as Institutional advertising.

Institutional Advertising can be depicted as promotional exercises that are utilized to work on a brand's standing, form a positive picture of a brand, or energize the help of a particular brand or association.

This type of publicizing is not quite the same as other normal types of publicizing since it isn't utilized to sell a particular item or administration, rather, it's utilized to advance the brand or association itself to make a feeling of trust or regard.

The objective is to get watchers to contemplate the brand positively and to impel high buyer inclination.

While executing institutional publicizing, an objective gathering not entirely settled, all things considered with other normal types of promoting. A message and a strategy to convey that message is likewise required.

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"A cash budget serves as a crucial guide in presenting information on the strength of an organization's liquidly". Discuss this statement

Answers

The statement, "A cash budget serves as a crucial guide in presenting information on the strength of an organization's liquidity," is accurate. A cash budget is an essential tool for managing a company's cash flow and ensuring that it has sufficient cash on hand to meet its financial obligations.

A cash budget provides information on the expected cash inflows and outflows for a specific period. It helps a company to plan its spending, manage its resources, and avoid cash shortfalls. By analyzing the cash budget, a company can make informed decisions about its spending and investment activities and adjust its operations to ensure that it has sufficient cash reserves to cover its expenses.

Moreover, a cash budget is critical in presenting the organization's liquidity position. It helps to identify potential cash shortages in advance, giving the company an opportunity to make adjustments before a crisis occurs. It also provides a clear picture of the company's cash position, showing the actual cash balance and the projected balance for the future.

The strength of an organization's liquidity can be assessed by analyzing its cash budget. If the cash budget indicates that the company has enough cash to cover its obligations, it can be concluded that the organization is in a good liquidity position. On the other hand, if the cash budget indicates that the company may not have enough cash to meet its obligations, it may be concluded that the organization is in a weak liquidity position.

In conclusion, a cash budget is an important tool for any organization, as it provides vital information on the organization's cash flow, spending, and liquidity position. By analyzing a company's cash budget, stakeholders can make informed decisions about investing, borrowing, and managing cash reserves.

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Present value. A​ smooth-talking used-car salesman who smiles considerably is offering you a great deal on a​ "pre-owned" car. He​ says, "For only 4 annual payments of ​$2,300 , this beautiful 1998 Honda Civic can be​ yours." If you can borrow money at ​7%, what is the price of this​ car? Assume the payment is made at the end of each year.
If you can borrow money at 7​%, what is the price of this​ car? (round to the nearest cent)

Answers

If you can borrow money at ​7%, the price of this​ car is $7,849.98.

To find out the price of the car, you first need to calculate the present value of the payments.

The formula for calculating the present value of an annuity is as follows:

PV = PMT x [1 - (1 + r)^-n] / r

where, PV is the present value of the payments,

PMT is the payment amount,

r is the interest rate,

and n is the number of payments.

Let's use this formula to calculate the present value of the payments:

PV = $2,300 x [1 - (1 + 0.07)^-4] / 0.07PV

= $7,849.98

Therefore, the price of the car is $7,849.98.

So, the price of the car would be $7849.98, which is the present value of the 4 payments of $2,300 made at the end of each year for four years.

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Which of the following statements regarding fixed costs is true? a. Fixed costs rise by a constant amount for every added unit of volume. b. Fixed costs do not vary with volume. c. Fixed costs are those costs associated with direct labor and materials. d. Fixed costs equal variable costs at the break-even point. e. Fixed cost is the difference between selling price and variable cost.

Answers

The correct statement regarding fixed costs is B. Fixed costs do not vary with volume.

Fixed costs are those costs which remain constant over a certain range of production or sales volume, and do not change with the level of activity within that range. Examples of fixed costs include rent, insurance, salaries, depreciation on fixed assets, property taxes, etc.

Option A is incorrect because this definition describes variable costs, which rise by a constant amount for every added unit of volume.

Option C is incorrect because direct labor and materials costs are typically considered variable costs, as they tend to increase in proportion to the level of activity (such as production or sales).

Option D is incorrect because at the break-even point, total revenue equals total cost, but fixed costs are still separate from variable costs.

Option E is also incorrect, as fixed costs have nothing to do with the difference between selling price and variable cost.

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a manager who is examining an action or policy based on the ethical norm of utility would likely ask which of the following questions? Is the action or policy consistent with what is considered fair or​ equitable?

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a manager who is examining an action or policy based on the ethical norm of utility would likely ask which of the following questions: Is the action or policy consistent with what is considered fair or​ equitable

In many firms, the position may be created to release the owner of responsibilities so that they may concentrate on particular elements of business growth. The owner and business manager frequently collaborate to maintain the smooth operation of the company. Efficiency is improved by specialization in a certain area, such as sales, marketing, public relations, or finance, but business managers often acquire personal attributes that are beneficial in carrying out the task effectively.

Understanding each of their subordinate employees' jobs and knowing how to collaborate with each employee to successfully complete those tasks are social skills of a company manager.

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many companies state their brand promise directly in words, using a short phrase called what

Answers

Answer:Many companies state their brand promise directly in words, using a short phrase called what? A. A warranty B. A customer mindset C. A corporate image D. A tagline

✓ D.

Maddux Corporation has an EBIT of $955,000 per year that is expected to continue in perpetuity. The unlevered cost of equity for the company is 16 percent and the corporate tax rate is 23 percent. The company also has a perpetual bond issue outstanding with a market value of $2.7 million. What is the value of the company

Answers

The value of the company is $5,216,937.5.

What Is EBIT?

EBIT stands for Earnings Before Interest and Taxes and is one of the last subtotals in the income statement before net income. EBIT is also sometimes referred to as operating income and is called this because it’s found by deducting all operating expenses (production and non-production costs) from sales revenue.

The calculation for EBIT is straightforward.

It is the company's EBIT x (1 - Tax rate).

A company's EBIT is calculated in the following way:

EBIT = revenues - operating expenses + non-operating income.

Now, in accordance with the statement :

Net income = EBIT(1 - tax)

Net income = $9,55,000 (1- 0.23)

Net income = $7,35,350

Value of unlevered company = Net income / cost of equity

Value of unlevered company =  $7,35,350 / 0.16

Value of unlevered company =  $4,595,937.5

Value of the company = $4,595,937.5+ 0.23(2,700,000)

Value of the company = $5,216,937.5 market value of firm

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FILL IN THE BLANK. 3. when units manufactured are less than the number of units sold, the variable costing operating income will be ________ that of absorption costing.

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When units manufactured are less than the number of units sold, the variable costing operating income will be higher than that of absorption costing.

This is because under variable costing, only the variable production costs (direct materials, direct labor, and variable manufacturing overhead) are treated as product costs. On the other hand, under absorption costing, both variable and fixed manufacturing costs (including indirect costs like rent, utilities, and salaries) are included in the product cost.Variable costing and absorption costing are two different methods of costing products. Variable costing calculates the cost of goods sold as only those costs that change with a change in the level of production.

In other words, only variable manufacturing costs are included in the cost of goods sold. Absorption costing, on the other hand, includes all costs of production, both fixed and variable, in the cost of goods sold. Under this method, fixed manufacturing overhead is allocated to each unit produced. In situations where the units produced are less than the units sold, absorption costing will show a higher operating income than variable costing because of the fixed costs included in the cost of goods sold under absorption costing.

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Devon was surprised that his pay check was less than he had expected. His
paycheck was reduced because
had been withheld by his employer.
OA. incentives
B. commissions
C. gross pay
OD. deductions

Answers

The answer is C. Gross pay. Devon's paycheck was reduced because it had been withheld by his employer as gross payment.

"Gross pay" mean?

Before any taxes, benefits, or other payroll deductions are done , an employee's gross salary is what they are paid. Net pay, often known as take-home pay, is the amount that is given after all withholdings have been taken into consideration.

Calculate my gross pay?

Start by determining the total amount need for each pay period in order to see an employee's gross compensation. Hourly workers multiply their total hours worked by their hourly rate, plus any overtime. Employees on a salary split their yearly earnings by the number of pay periods.

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What were the main factors in both the North and South for the abandonment of Reconstruction?

Answers

Social effects were bringing families back together, the Emancipation act, and churches and schools being available to former slaves. What were the main factors, in both the North and South, for the abandonment of Reconstruction?- Land, jobs, and establishing the Bureau were the main factors for both.

what is professional education​

Answers

Answer:

Definition. Professional education includes any programs that improve the knowledge, skills, attitudes, or behaviors of health care providers on the importance of breast- feeding, the physiology and management of lactation, or counseling related to breastfeeding.

DescriptionProfessional development is learning to earn or maintain professional credentials such as academic degrees to formal coursework, attending conferences, and informal learning opportunities situated in practice. It has been described as intensive and collaborative, ideally incorporating an evaluative stage.

A person who buys a new phone because friends get new phones is
influenced by what factor?
A. Advertising
O B. Social pressure
C. Age
O D. Income
SUBMIT

Answers

Answer:

I believe it would be B. Social Pressure.

Explanation:

The reason is because since the person who bought a new phone because their friend's got new phones, they were influenced or given pressure on them to have a new phone so they can fit in and perhaps be liked by their friends or find similar interests with them

The answer is B: Social pressure. Friends can knowingly or unknowingly influence what people buy.

The official tax report issued by a broker or custodian on the sale of a noncovered security includes:
The cost basis and the date of acquisition.
The proceeds of the sale.
The taxpayer's cost basis.
The proceeds of the sale and the holding period.

Answers

In the following question, Option D). The official tax report issued by a broker or custodian on the sale of a non-covered security includes "the proceeds of the sale and the holding period."

The noncovered security is one for which the investor is not required to report the purchase date, cost basis, or holding period to the Internal Revenue Service. Noncovered securities are generally those that were acquired before January 1, 2011. Brokerages must report the sale proceeds, but investors must maintain their cost-basis information.

The official tax report is a document issued by a broker or custodian that details the cost basis, date of acquisition, proceeds of the sale, and holding period of securities that were sold in the taxable account during the tax year.

These tax reports are critical to the accurate and timely filing of tax returns by investors, particularly those who trade frequently in the market. The official tax report issued by a broker or custodian on the sale of a noncovered security includes the proceeds of the sale and the holding period.

Therefore the correct answer is Option D). The proceeds of the sale and the holding period.

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What does it mean when your order is on its way?.

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The package has been being transported through the UPS network and will be delivered on the stated delivery date. A package could remain in such status until it is delivered.

Submit the USPS tracking information (found at the bottom of such a shipping label) inside the search bar, without any dashes as well as spaces. Select "Check Status." View each package's scan history as well as status information.

The shipping cycle would be an economic cycle which aids in determining the impacts of variations in supply as well as demand on transport costs as well as shipping assets, i.e. ships. The four stages are as follows: rock bottom (also referred as trough), recovery, peak, as well as, finally, collapse.

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In 2021, the Marion Company purchased land containing a mineral mine fot $1,700,000. Additionil costs of $686,000 were incurred to develop the mine. Geologists estimated that 350,000 tons of ore would be extracted. After the ore is removed, the land will have al resalevalue of 511,000 To oid in the extraction, Marion bult various structures and small storoge bulldings on the site at a cost-of $227,500, These structures have a useful lfe of 10 years. The structures cannot be moved after the ore has been removed and will be lett at the site, In addition. new equipment costing $97,000 was purchased and installod at the site. Marion does not plan to move the equipment to andither site. but estimates that it can be soid at auction for $6,000 after the mining project is completed. In 2021, 60.000 tons of ofe were extracted and sold. In 2022 , the estimate of total tons of ore in the mine was revised from 350.000 to 385,000 . During 2022, 97,000 tons were extrocted. Required: 1. Compute depletion and depreciation of the mine and the mining facilties ond equipment for 2021 and 2022.Marion ises the unitsof-production method to determine depreciation on mining focilies and equipment. 2. Compute the book valoe of the mineral mine, structures, and equipment as of Decembet 31.2022.

Answers

1. For 2021, the depletion of the mine is $687,257, and the depreciation of the mining facilities and equipment is $32,125. In 2022, the depletion of the mine is $754,062, and the depreciation of the mining facilities and equipment is $35,938.

2. As of December 31, 2022, the book value of the mineral mine is $1,139,140, the structures is $227,500, and the equipment is $60,062.

1. To compute the depletion and depreciation for 2021 and 2022, we need to consider the units of ore extracted and the total estimated units of ore in the mine. The unit-of-production method is used to determine depreciation on mining facilities and equipment.

For 2021:

Depletion = (Cost of mine + Additional costs) / Total estimated units of ore * Tons extracted

= ($1,700,000 + $686,000) / 350,000 * 60,000

= $687,257

Depreciation of mining facilities and equipment = (Cost of structures + Cost of equipment - Residual value) / Total estimated units of ore * Tons extracted

= ($227,500 + $97,000 - $6,000) / 350,000 * 60,000

= $32,125

For 2022:

Depletion = ($1,700,000 + $686,000) / 350,000 * 97,000

= $754,062

Depreciation of mining facilities and equipment = ($227,500 + $97,000 - $6,000) / 350,000 * 97,000

= $35,938

2. The book value of the mineral mine as of December 31, 2022, can be calculated as follows:

Book value of mine = Cost of mine + Additional costs - Depletion

= $1,700,000 + $686,000 - ($687,257 + $754,062)

= $1,139,140

The book value of the structures as of December 31, 2022, is their original cost of $227,500.

The book value of the equipment as of December 31, 2022, can be calculated as follows:

Book value of equipment = Cost of equipment - Accumulated depreciation

= $97,000 - ($32,125 + $35,938)

= $60,062

Hence, as of December 31, 2022, the book value of the mineral mine is $1,139,140, the structures is $227,500, and the equipment is $60,062.

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Which job in the Finance career would be best for someone who had knowledge of banking and credit systems and the ability to repetitively process transactions?

Accounts Clerk
Insurance Underwriters
Claims Clerk
Business Financial Manager

Answers

Answer:

B). Insurance Underwriter.

Explanation:

The job of 'Insurance Underwriter' would be the most appropriate career option for a person who possesses knowledge regarding the banking sector, as well as, credit organizations along with the potential to process transactions in repetition. In this job, he could use his knowledge for examining the data of the applicants and evaluate the risks associated in order to decide if the insurance is to be offered to them or not along with their necessary premiums and coverages in repetition. Thus, option B is the correct answer.

What is the purpose of a headline?
O introduce the text
O indicate the page or section break
o reduce the need for graphics
o divide the document

Answers

To introduce the text

Imagine that you have no money and you have to leave home and live by yourself. Make a list of the ten most important things that you would take with you and explain why.

Answers

Answer:

food clothes water

Explanation:

their the basic needs of an individual

_____ is part of the ________ process and occurs when the company is trying to increase its inventory.

Answers

Considering the accounting principles, the Make-to-stock; is part of the production process and occurs when the company is trying to increase its inventory.

This is because Make to Stock, otherwise referred to as MTK, is a method business owner often use to ensure the product is readily available and delivered at the point of purchase.

Make to Stock is a traditional method of production that is carried out in the hope that consumers will soon come and buy the products. Thereby, the company produces huge products at a given time and stores them as inventory.

Hence, in this case, it is concluded that the correct answer is "Make to stock; production, " respectively.

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What is the customer orientation of a company, and why is it important for a
business to be customer-focused? Give an example of a real organization to
substantiate your answer.

What is the customer orientation of a company, and why is it important for abusiness to be customer-focused?

Answers

A costumer-oriented organization places customer satisfaction at the core of each of its business decisions, it focuses on helping customers to meet their long-term needs and wants. An organization that uses this is Chron

Ricardo works in marketing for a soft drink company. His new outdoor advertising plan involves placing billboards geared toward children near schools and playgrounds. Ricardo’s goal is to increase consumption of the soft drink by children ages 5-11. He knows that the drink is not necessarily healthy for young children, but he knows that they can increase sales if they target this demographic. Is Ricardo’s marketing strategy ethical? Why or why not?

Answers

His new outdoor marketing strategy calls for putting kid-targeted billboards next to playgrounds and schools. The aim of Ricardo is to boost consumption. The marketing concept is focused on the idea of using the product to meet the wants of the consumer and alleviate their issue (needs). The Marketing Concept is a significant shift in today's business attitude that lays the groundwork for gaining a competitive edge.

The four Ps are the four key components of public relations and marketing a good or service. Product, pricing, place, and promotion make up the four Ps. Since the 1950s, there has been discussion about the four Ps.

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What is the best reason for homebuyers to create a budget before taking out a mortgage?

to compare the value of their home with that of their neighbors
to plan how to pay off the money they have borrowed
to set aside enough money to refinance the loan
to figure out how long they can stay in their home

Answers

The best reason for homebuyers to create a budget before taking out a mortgage is to : Plan how to pay off the money they have borrowed.

What is a mortgage?

A mortgage is an agreement(legal) between a bank and the buyer in which the bank lends money to the buyer to purchase a house.

When a buyer takes a mortgage, the buyer agrees to pay back the money in full with an agreed interest rate, at a stipulated time.

Types of actions that can be taken with a mortgage are :

Purchase a homeMaintain a homeMaintain other types of real estate

Therefore, the best reason for homebuyers to create a budget before taking out a mortgage is to plan how to pay off the money they have borrowed.

Learn more about mortgage here : https://brainly.com/question/1318711

Answer:

b

Explanation:

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