In Daniel's RACI, the website development team is listed as "Consulted" for the blog editing process, and the marketing team is listed as "Responsible" for the blog webpage creation.
After completing the Gantt chart, Daniel assigns different levels of responsibility to various members of the project team and stakeholders.
He notes that the web development team is aware that the blog will be edited by another department.
The marketing team will provide feedback on color choices for the blog webpage to the web development team.
Based on these responsibilities, Daniel creates the RACI matrix.
In the RACI matrix, the website development team is listed as "Consulted" (C) for the blog editing process. This means that they are providing input and have a say in the process, but they are not ultimately responsible for editing the blog.
The marketing team is listed as "Responsible" (R) for the blog webpage creation in the RACI matrix. This means that they are the ones who have to ensure that the blog webpage is created, and they are responsible for making decisions related to the webpage, such as color choices..In Daniel's RACI, the website development team is listed as accountable for the blog editing process, and the marketing team is listed as consulted for the blog webpage creation.RACI stands for Responsible, Accountable, Consulted, and Informed. It is a tool used to clarify the roles and responsibilities of each team member and stakeholder in a project. The responsible person is responsible for completing the task. The accountable person is accountable for the overall success of the task. The consulted person provides input into the task. The informed person is informed about the task but is not directly involved in completing it.
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A neighbor’s kid comes into your backyard and jumps on the trampoline without your permission or knowledge. He falls off and lands on his head, resulting in a week’s hospital stay.
The first step should making sure such child receives proper medical attention. When he is well, we can have a conversation with the neighbor to prevent it from happening again..
What should be done in the event?It is very important to prioritize the child's health in this situation and once the medical attention has been sought, we can have a calm and respectful conversation with the child's parent to discuss the incident for future interactions.
One can also review any legal liabilities or insurance policies that could be involved. So, by taking proactive steps to prevent similar incidents in the future can help maintain positive relationships with neighbors while ensuring everyone's safety.
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How good and up to date do you think Dun and Bradstreet’s intelligence is?
Dun & Bradstreet's intelligence is generally considered reliable and up to date, providing valuable insights and information about businesses.
Dun & Bradstreet is a well-established provider of business intelligence and credit information. They collect and analyze data from various sources to create comprehensive profiles and reports on businesses worldwide. Their information includes financial data, industry trends, risk assessments, and other relevant details.
Dun & Bradstreet's intelligence is trusted by many organizations for making informed business decisions, such as assessing creditworthiness, evaluating potential partners or suppliers, and understanding market dynamics. Their extensive database and data analysis capabilities allow them to offer valuable insights into the financial health, stability, and credit risk of businesses.
However, it is important to note that the accuracy and up-to-dateness of the information may vary depending on various factors, such as the timeliness of data updates, the availability of information from reliable sources, and the dynamic nature of business environments. While Dun & Bradstreet strives to maintain accurate and current data, it is always advisable to cross-verify information from multiple sources before making critical business decisions. Hence, while Dun & Bradstreet's intelligence is generally reliable and up to date, it is important to exercise due diligence and consider multiple sources of information for a comprehensive assessment of businesses.
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What the the importance of modernization in business?
Answer:
6 Key Reasons Why Business Modernization Is Important
It's about improving the customer experience and engaging with your shoppers on a deeper level. It improves efficiency, add convenience, grows communication, increases customer outreach, builds more security, and expands marketing channels.
What is the marginal revenue and marginal cost for this diagram?
What type of market is this? Explain your answer
Marginal revenue :
2060120200300420560Marginal cost :
108210192640It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.
Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.
Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.
Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.
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equipment that cost $660,000 and has accumulated depreciation of $300,000 is exchanged for equipment with a fair value of $500,000 and $100,000 cash is paid. the exchange lacked commercial substance. the new machine should be recorded at
The new machine should be recorded at $ 360000.
What is machine?Machine is defined as a physical system that uses power to exert forces, regulate movement, and carry out an action. The main purpose of most simple machines is to reduce the amount of force required to execute an easy operation.
The commodity received should be recognized at the net book value of the asset swapped when a transaction lacks commercial significance.
The net book value in this instance is:
= 660,000 - 300,000 = $360,000
Thus, the new machine should be recorded at $ 360000.
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Determine which of the following statements best describes the control principle as it relates to an accounting information system. Multiple choice question. The principle prescribes that management should verify all transactions before they are entered into the accounting system. The principle prescribes that an accounting information system have internal controls. The principle describes the U. S. GAAP rules of double entry accounting within an accounting system. The principle outlines the rules regarding when revenue should be recognized within an accounting system.
Answer:
The principle prescribes that an accounting information system have internal controls.
Explanation:
The statement which best describes the control principle as it relates to an accounting information system is that, the principle prescribes that an accounting information system have internal controls.
Answer:
The principle prescribes that an accounting information system have internal controls.
Explanation:
Because it is the "Correct Answer"
Provide one word or term for the following: 1.1. A specific amount the insured has to pay every time a claim is made. (2)
Answer: Deductible! Good Luck !
Ofac requires depository institutions that hold blocked property to file annual reports by.
Ofac requires depository institutions that hold blocked property to file annual reports by September 30th.
What is annual report?It should be noted that annual report is a document which describes the financial condition of a company for the previous year.
In this case, Ofac requires depository institutions that hold blocked property to file annual reports by September 30th.
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if the cross price elasticity of demand between two goods is negative, then the two goods are independent. complements. unrelated. substitutes.
If the cross price elasticity of demand between two goods is negative, it indicates that the two goods are complements, meaning an increase in the price of one good leads to a decrease in the demand for the other.
The cross price elasticity of demand measures the responsiveness of the quantity demanded of one good to a change in the price of another good. If the cross price elasticity of demand is negative, it indicates that the two goods are complements.
Complementary goods are products that are typically consumed together or used in conjunction with each other. For example, coffee and creamer, or smartphones and mobile data plans. When the price of one complement rises, consumers tend to reduce their demand for that particular good. Consequently, this decrease in demand for one product leads to a decrease in the demand for the complementary good as well.
The negative cross price elasticity reflects the inverse relationship between the prices and quantities demanded of the two goods. As the price of one complement increases, consumers may find it less affordable or less attractive, resulting in a decrease in the quantity demanded of that good and, subsequently, a decrease in the quantity demanded of its complementary good.
Understanding the cross price elasticity of demand is crucial for businesses to determine the impact of price changes on the demand for their products and the potential effect on related goods in the market.
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Complete the missing word in the sentence below to progress!
For a business to be viable, it must make a ___ from your sales.
for a business to be viable,it must make a good or proper sales
Answer:
Business viability is measured by a business' potential for long-term survival and the ability to sustain profits over a period of time.
Aww I don't get exact answer
although I tried
Shirine has been debating between two career pathways in finance. She creates a Venn diagram to compare the two careers. In a Venn diagram, the separate circles contain characteristics unique to each item being compared and the intersection contains characteristics that are common to both items being compared. This is the Venn diagram that Shirine creates: A Venn diagram. Title 1 has Sets up and oversees customer accounts; Analyzes how much to grant in loans; Possible Careers: Teller, Loan Officer, Credit Checker. Title 2 has Analyzes how to grow customers' money; Deals with securities and commodities; Possible Careers: Personal Finance Advisor, Treasurer, Risk Management Analyst. The area of overlap has Deals with money, Works with customers. Which accurately labels the titles in Shirine’s diagram? Title 1 should be Investment Career Pathway, and Title 2 should be Banking Career Pathway Title 1 should be Banking Career Pathway, and Title 2 should be Investment Career Pathway Title 1 should be Banking Career Pathway, and Title 2 should be Financial Management Career Pathway Title 1 should be Financial Management Career Pathway, and Title 2 should be Investment Career Pathway
Answer:
d
Explanation:
Answer:
Its C
I hope it is C
Explanation:
why is my credit score low after getting a credit card
There are several reasons why your credit score may be low after getting a credit card. One possible reason is that you may have missed a payment or made a late payment, which can negatively impact your credit score. Additionally, if you have a high balance on your credit card, it can increase your credit utilization ratio, which can also lower your credit score.
There are several reasons why your credit score may be low after getting a credit card. Here are a few possibilities:
High credit utilization: If you are using a large percentage of your available credit, this can negatively impact your credit score. Ideally, you should aim to use no more than 30% of your credit limit.Late payments: Missing a payment or making a payment late can have a significant impact on your credit score. It's important to make all of your payments on time to avoid this.Short credit history: If you are new to credit and have only recently opened your credit card account, you may have a limited credit history. Creditors may view this as a higher risk, which can result in a lower credit score.Credit inquiries: When you apply for a credit card, the creditor will typically check your credit report, which can result in a "hard inquiry" on your credit report. Too many hard inquiries can negatively impact your credit score.If you are concerned about your credit score, it's a good idea to regularly check your credit report for accuracy and monitor your credit card usage. You may also want to consider speaking with a financial advisor or credit counselor to develop a plan to improve your credit score.
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to be successful, strategic planning requires a company to have a ______ orientation.
To be successful, strategic planning requires a company to have a long-term orientation.
What is strategic planning?Strategic planning can be defined as the way of making use of techniques that will enables a company to achieve their future goals and objective.
On the hand long-term orientation can be defined as the future goals they a company or an organization has the plan to achieve.
Therefore the statement that filled the gap is long term.
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An item is regularly priced at 70$. It is on sale for 20% off the regular price. What is the sale price?
ITS 7TH GRADE MATH BTW!
Answer:
it's 56.
Explanation:
70*0.8=56
Why is it important to be flexible and patient when exhibiting sensitivity?
it is important to be flexible and patient when exhibiting sensitivity because we define ethnocentrism as an attitude or view that analyzes the world according to the parameters of our own culture.
What is Ethnocentrism?Ethnocentrism in social technological know-how and anthropology—in addition to in colloquial English discourse—way to use one's personal way of life or ethnicity as a body of connection with deciding different cultures, practices, behaviors, beliefs, and humans, rather than the use of the requirements of the specific way of life involved. Since this judgment is frequently bad, a few humans additionally use the time period to consult the perception that one's way of life is advanced to, or extra accurate or ordinary than, all others—mainly concerning the differences that outline every ethnicity's cultural identity, along with language, behavior, customs, and religion.[1] In not unusual place usage, it is able to additionally truly suggest any culturally biased judgment. For example, ethnocentrism may be visible withinside the not unusual place portrayals of the Global South and the Global North.Ethnocentrism is now and again associated with racism, stereotyping, discrimination, or xenophobia. However, the time period of "ethnocentrism" does now no longer always contain a bad view of others' race or implies a bad connotation.[3] The contrary of ethnocentrism is cultural relativism, a guiding philosophy declaring the satisfactory manner to recognize a distinct way of life is thru their angle as opposed to judging them from the subjective viewpoints formed through one's personal cultural requirements.Thus, It often includes the belief that one's ethnic group is most important, or that some or all aspects of our culture are superior to those of others.
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The CEO does not fully understand which are the options enabled by the dynamic allocation of resources. Which of the following paragraphs best describes them: O When you need computing power you access the cloud and use some of the resources. When you do not need computing power. other companies will use it. In case you need more (or less) computing power, the system adapts the resources of your virtual computer(s). It can also switch your virtual computer(s) to different computer centers in other locations. O When you need computing power you access the cloud and use some of the resources. When you do not need computing power. other companies will use it. O When you need computing power you access the cloud and use some of the resources. When you do not need computing power. other companies will use it. In case you need more (or less) computing power, the system adapts the resources of your virtual computer(s). O When you need computing power you access the cloud and use some of the resources. When you do not need computing power. other companies will use it. In case you need more (or less) computing power, the system adapts the resources of your virtual computer(s). It can also switch your virtual computer(s) to different computer centers in other locations. Beside, it allows you to use different operating systems.
The paragraph that best describes the options enabled by dynamic allocation of resources is: "When you need computing power, you access the cloud and use some of the resources. When you do not need computing power, other companies will use it."
The selected paragraph accurately describes the options enabled by dynamic allocation of resources. It states that when computing power is required, users can access the cloud and utilize a portion of the available resources. However, when the computing power is not needed, those resources are made available to other companies or users. This concept highlights the flexibility and efficiency of resource allocation in the cloud. It ensures optimal utilization of resources, as they are dynamically allocated based on demand. The paragraph does not mention additional features like adapting resources, switching computer centers, or using different operating systems, so it focuses solely on the core concept of sharing and utilizing computing power as needed.
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In March 2021, Serengeti exercised an ISO that had been granted by his employer, Thunder Corporation, in December 2018. Serengeti acquired 2,450 shares of Thunder stock for the exercise price of $100 per share. The fair market value of the stock at the date of exercise was $140 per share. If an amount is zero, enter "0". a. What is Serengeti's 2018 AMT adjustment related to the ISO? Adjustment: Amount: $ b. What is Serengeti's 2021 AMT adjustment related to the ISO? Adjustment: Amount: $
Serengeti's 2021 AMT adjustment related to the ISO is:
Adjustment: Inclusion of bargain element in AMTI
Amount: $98,000
a. The 2018 AMT adjustment related to the ISO is zero because Serengeti did not sell the ISO shares in 2018 and therefore did not trigger an AMT event.
b. The 2021 AMT adjustment related to the ISO is calculated as follows:
The bargain element of the ISO = Fair market value - Exercise price
Bargain element = $140 - $100 = $40 per share
Total bargain element = Bargain element x Number of ISO shares
Total bargain element = $40 x 2,450 = $98,000
The total bargain element of $98,000 must be included in Serengeti's alternative minimum taxable income (AMTI) for the year of exercise, which will increase his AMT liability. However, if Serengeti sells the ISO shares in the same year as exercise, he may be able to claim a credit against his regular tax liability for the amount of AMT paid on the ISO exercise.
Therefore, Serengeti's 2021 AMT adjustment related to the ISO is:
Adjustment: Inclusion of bargain element in AMTI
Amount: $98,000
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Pauli found a book on Finance in a garbage can. After reading it, he tells Silvio that if Silvio will give him $10,000 /year for five years with the first payment at the end of this year, then he will give Silvio $10,000 /year forever with the first payment occurring at the end of year 6. Silvio's next-best alternative (i.e., what he would do with his money if he didn't take Pauli's offer) is to loan the money to Christopher at 12% a) What NPV does Silvio get if he takes Pauli's offer? b) Should Silvio take Pauli's offer? c) Why or why not?
The answer to Silvio's investment decision depends on the specific cash flow values provided in the book on Finance. By calculating the net present value (NPV) of Silvio's investment options, we can determine the most favorable choice. If the NPV from Pauli's offer, considering the cash flows for five years and the perpetuity starting from year six, is greater than the NPV of loaning the money to Christopher at a 12% interest rate, Silvio should take Pauli's offer. Conversely, if the NPV from the loan to Christopher is greater, Silvio should choose his next-best alternative. The specific NPV comparison can be made based on the actual cash flow values provided.
To calculate the net present value (NPV) of Silvio's investment options, we need to discount the cash flows to their present value using an appropriate discount rate. Let's break down the information provided:
Silvio's next-best alternative is to loan the money to Christopher at a 12% interest rate. This implies that the discount rate for evaluating the cash flows is 12%. We will use this rate for our calculations.
a) NPV of Silvio's Investment with Pauli's Offer:
The cash flows from Pauli's offer are as follows:
Year 1: $10,000 (received at the end of the year)
Year 2: $10,000 (received at the end of the year)
Year 3: $10,000 (received at the end of the year)
Year 4: $10,000 (received at the end of the year)
Year 5: $10,000 (received at the end of the year)
Year 6 and onwards: $10,000 per year indefinitely (received at the end of each year)
To calculate the NPV, we need to determine the present value of each cash flow and sum them up. The present value of a cash flow is calculated using the formula:
PV = CF / (1 + r)^n
Where:
PV = Present Value
CF = Cash Flow
r = Discount Rate
n = Time period
Calculating the NPV:
Year 1: PV = $10,000 / (1 + 0.12)^1 = $10,000 / 1.12
Year 2: PV = $10,000 / (1 + 0.12)^2
Year 3: PV = $10,000 / (1 + 0.12)^3
Year 4: PV = $10,000 / (1 + 0.12)^4
Year 5: PV = $10,000 / (1 + 0.12)^5
For the infinite cash flows starting from Year 6, we can use the perpetuity formula:
PV = CF / r
Year 6 onwards: PV = $10,000 / 0.12
Summing up all the present values will give us the NPV.
b) To determine whether Silvio should take Pauli's offer, we compare the NPV obtained from the offer with the NPV of Silvio's next-best alternative, which is loaning the money to Christopher at a 12% interest rate.
c) If the NPV from Pauli's offer is greater than the NPV from the loan to Christopher, Silvio should take Pauli's offer. However, if the NPV from the loan to Christopher is greater, Silvio should choose his next-best alternative.
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Ella funt is planning on buying a $160,000 home and putting 20% down. She will finance the remainder with a 4%, 30 year mortgage through her lender. What will the total interest cost be for ella’s 30 year mortgage?.
The total interest cost for Ella's 30-year mortgage at 4% will be $68,665.49.
Ella is planning on buying a $160,000 home and putting a 20% down payment, which amounts to $32,000. This means she will need to finance $128,000 through a 30-year mortgage at a 4% interest rate.
Using a mortgage calculator, the monthly payment for this mortgage will be approximately $610.71. Over the course of 30 years, or 360 months, Ella will pay a total of $219,665.49, including both principal and interest. To find the total interest cost, subtract the principal amount ($128,000) from the total amount paid ($219,665.49), resulting in an interest cost of $68,665.49.
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Complete the following sentence.
When including writing samples, be sure to have a ____a0 of samples.
Answer:
plenty
Explanation:
because you always have to have many examples
Answer:
When including writing samples, be sure to have many documents as samples.
Explanation:
Define demand and supply
What is TRUE about time as a factor in investing?
A.
The more time the investor has, the more risk they can take because there is time to weather the declines in a stock and wait for it to regain some of its value before selling.
B.
Time rarely plays a large role in investment decisions or outcomes, and typically waiting to make decisions lowers an investor’s overall risk.
C.
If you have 10 years or more to invest, opening a savings account can be a good option for high-risk, high-reward investing.
D.
If you have a shorter time period to invest because you are nearing retirement, a higher-risk investment is generally a better choice.
plz help :)
Answer:
A. The more time the investor has, the more risk they can take because there is time to weather the declines in a stock and wait for it to regain some of its value before selling.
Explanation:
This is basically the reason why younger investors can afford higher risks than older investors. If you are 60 years old, you will probably invest in very secure stocks or bonds. Instead, when you are 25, you can afford investing in risky stocks that have higher than average growth potential.
Answer:
The more time the investor has, the more risk they can take because there is time to weather the declines in a stock and wait for it to regain some of its value before selling.
Explanation:
I got it right on the test nun to worry about.
what is the best job to make a hole lot of money
Answer:
drop shiping
Explanation:
it's the perfect job
The chairman of _____, an Indian-based outsourcing firm, admitted he had overstated the company's assets by more than $1 billion in India's largest ever corporate scandal.
The chairman of Satyam Computer Services, an Indian-based outsourcing firm, admitted he had overstated the company's assets by more than $1 billion in India's largest-ever corporate scandal.
Satyam Computer Services was once considered one of India's top IT companies but faced a severe financial crisis when its chairman, B. Ramalinga Raju, confessed to inflating the company's profits and fabricating bank statements. This revelation shocked the business community and led to a loss of investor confidence in India's corporate governance practices.
The scandal had far-reaching consequences, including a government takeover of Satyam, a significant drop in its stock price, and legal proceedings against Raju and other involved individuals.
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A bank holds the required reserve off of a new loan / deposit for one customer and then lends the excess reserve to someone else, repeating the _______________ process many times.
A bank creates new money by holding the necessary reserve off of a new loan or deposit for one customer and then lending the surplus reserve to another customer.
A bank is a great example of a financial organization that gives credit because it offers and accepts demand deposits from the general population. Through the capital markets, the bank may engage in lending activities directly or indirectly. Because banks are crucial to a country's financial stability and economic health, they are subject to strict regulation in the majority of those nations. Most nations have institutionalized the fractional reserve banking system, in which banks hold liquid assets that are only roughly comparable to their current liabilities. Banks are often subject to minimum capital requirements based on the Basel Accords, an international set of capital standards, in addition to additional restrictions meant to preserve liquidity.
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When a bank makes a new loan or deposit for one customer, it holds the requisite reserve and lends the excess reserve to another customer as fresh money.
A bank is an excellent illustration of a financial institution that extends credit because it allows and accepts common customer demand deposits. The bank may directly or indirectly engage in lending activities through the capital money markets. The majority of those countries have tight regulations governing banks since they are essential to the financial stability and economic health of those countries. The fractional reserve banking system, in which banks keep liquid assets that are only loosely equivalent to their current liabilities, has been institutionalised in the majority of countries.
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for the purposes of gdp accounting, what do government purchases include?
Government purchases, which are also referred to as the government spending, refer to the government's spending of money on various kind of goods and services both.
This includes spending on the public services such as education and health, as well as spending on the infrastructure and defense at the same time. Government purchases also include transfer payments such as unemployment benefits and pensions, which are the payments to individuals or families and do not directly contribute to the production of goods and services. All of these types of government spending are included in the GDP accounting and are used to measure a country's economic performance.
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the price elasticity of demand depends on
Answer:
...price levels, the type of product or service, income levels, and the availability of any potential substitutes.
This week we look more closely at the systems theory and organizational structure. Organizations can be either flat or steep - and that's not referring to the building they are housed in? - A flat organization is one where there aren't many opportunities to move up - there's one manager over several positions, and there's not much above that person. - A steep organizational chart is one where there is a hierarchy. Your boss reports to someone who reports to someone, and there are a few more layers before the President of the company Food Service companies have that as well. IN A GENERAL SENSE... Sodexo is a 'steep' company, while Compass Canada and Marquise are much 'flatter'. Both have positives and negatives associated with their structure. What would you expect are these positives and negatives? What have you experienced?
Organizational structure refers to how an organization's activities are organized and coordinated. This involves management of activities and delegation of tasks to employees.
There are different types of organizational structures:
Flat organizations: Organizations with few or no levels of middle management between staff and executives. Generally, flat organizations have a wider span of control, with executives having a larger number of direct reports. This implies that employees are responsible for more duties, while executives may interact with employees more often.
Steep organizational charts: Organizations with many levels of middle management between staff and executives. Steep organizations have a narrow span of control, which means that executives have a smaller number of direct reports and are responsible for fewer tasks.
The benefits and drawbacks of flat and steep organizational charts are as follows:
Flat organizations have a number of advantages:
They promote teamwork and collaboration among employees and departments.
They provide employees with greater autonomy and responsibility, which can lead to increased job satisfaction.
They promote communication between executives and employees, which can lead to a better understanding of the organization's goals and objectives.
They can operate more efficiently and flexibly than hierarchical organizations because there are fewer layers of management.
Steep organizations have a number of advantages:
They promote specialization and expertise among employees, which can lead to higher productivity and quality.
They provide clear lines of authority and accountability, which can facilitate decision-making and reduce conflict.
They promote career development and opportunities for advancement, which can lead to increased motivation and loyalty.
They can be more effective than flat organizations in larger, more complex organizations because they require more formal coordination and control.
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The variance of a series of numbers is the sum of the squares of their differences from the mean (average) of the numbers divided by the number of items in the series. Variance is a common measure of risk. What is the variance of these investment returns? 10, 30, 20
Answer: 66.67
Explanation:
Numbers given = 10, 30, 20
Mean = (10 + 30 + 20) / 3
= 60/3
= 20
Then, the differences from the mean will be:
= (10 - 20), (30 - 20), (20 - 20)
= -10, 10, 0
We then calculate the square of the mean which will be:
= 100, 100, 0
We then add the square of the mean which will be:
= 100 + 100 + 0
= 200
The variance will then be:
= 200/3
= 66.67
Answer: 66.7
Explanation:
Exchanging a good or service for money is called
Answer:
The meaning of the word is Exchange
Explanation: