Data Flow Models (DFD) (how data will flow through the processes)
▪ One Data Flow Diagram and explanation for the flow of data in the process of
receiving service events, evaluating, and collecting information about the event
(top level)

Answers

Answer 1

A fundamental diagram in structured analysis and design is the process model. This figure, often known as a data flow diagram (DFD), depicts how information moves through a system

Data flow diagrams (DFDs) visually map your system or process so you can find areas for increased performance and efficiency. A data flow diagram will simplify any work, including process improvement and new process implementation.

A data flow model is a diagram that shows how information moves through a system and how it is exchanged.

The procedures involved in transporting data from input to file storage and report production are described in data flow models, which are used to graphically illustrate the flow of data in an information system.

Inputs are converted into outputs during each procedure. Data traveling between nodes, such as processes, external entities, and data stores, is represented by flow lines.

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Related Questions

Suppose that a flower nursery benefits from having a colony of bees located only a few miles away, because the presence of the insects greatly improves flower pollination. Lawyers for the two companies meet to draft a legal document specifying the number of bee hives the farm promises to maintain in exchange for payments to be made by the nursery. Which of the following private solutions resolving the externality of pollination took place in this scenario? Moral codes and social sanctions Contracts Integration of different types of businesses through merger or ac Charities

Answers

Contracts bind parties to their stated obligations by utilizing clear language to enable each party to understand its obligations in a deal, particularly in terms of payment and deadlines.

Define a Contract.

As it is specified that both parties signed a legal instrument in the presence of attorneys with details on the payment terms, a contract serves as the private solution to the externality of pollination. Contracts bind parties to their stated obligations by utilizing clear language to enable each party to understand its obligations in a deal, particularly in terms of payment and deadlines. Additionally, contracts serve as insurance for both parties in the event that one party breaches an agreement and is subject to legal action.

The Coase theorem, which states that private individuals can only resolve the issues caused by externalities on their own when the interested parties can bargain without cost over the allocation of resources, states that private solutions to externalities sometimes do not work, especially when communications barriers or social customs are important enough relative to the potential gains involved. When this occurs, the private market will assist in addressing the issue of externalities and effectively allocating resources.

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8. Problems and Applications Q8

Consider an economy with two labor markets: one for manufacturing workers and one for service workers. Suppose initially that neither is unionized.
Which of the following will happen to the manufacturing labor market if manufacturing workers formed a union? Check all that apply.

The wage of manufacturing workers will rise.
The quantity of manufacturing workers demanded will fall.
The quantity of manufacturing workers supplied will rise.
There will be an increase in employment of manufacturing workers.

Answers

The quantity of manufacturing workers demanded will fall, the wage of manufacturing workers will rise and the quantity of manufacturing workers supplied will rise.

What does a union among workers represent in economy?

In the macroeconomic model, a union among workers will increase the wage rate, thereby the supply of manufacturing workers will also increase.

This phenomenon is associated with a decrease in the demand and quantity of manufacturing workers.

In conclusion, the quantity of manufacturing workers demanded will fall, the wage of manufacturing workers will rise and the quantity of manufacturing workers supplied will rise if manufacturing workers formed a union.

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Nên lựa chọn hình thức và lĩnh vực kinh doanh nào khi bắt đầu khởi sự kinh doanh, tại sao.?

Answers

I don’t get this?? English please

Explanation:

she or he is asking

Which business form and field should be chosen when starting a business, why.?

The balance in the office supplies account on January 1 was$7.000, supplies purchased during January were$3,000, and the supplies on hand at January 31 were$2,000. The amount to be used for the appropriate adjusting entry is
a. $12.000
b. $5.000
c. $4.300
d. $8.000

Answers

The amount to be used for the appropriate adjusting entry is $8,000 (Option D)

How to compute the amount of the appropriate adjusting entry?

The amount of the supplies purchased during January is $3,000.The amount of the supplies on hand at January 31 is $2,000.

The supplies that were used during January are calculated as follows:

Supplies used during January = Beginning supplies + Purchases - Ending supplies.

Supplies used during January = $7,000 + $3,000 - $2,000.

Supplies used during January = $8,000.

To determine the amount of supplies expense that should be reported on the January income statement, use the following adjusting entry:

Debit Supplies expense for $8,000

Credit Supplies for $8,000

The answer is d. $8,000.

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(03.02 LC)
Which of these might decrease the length of a mortgage loan?
Property taxes
O Insurance
O Amount owed
Collateral

Answers

Answer:

D.) Collateral

Explanation:

Tbh I'm not confident on this choice, but real estate basically is just a fancy term for property, for those who don't know. A collateral is a piece of property that can be sold by the lender to recover all or part of a loan if the borrower fails to repay. So with that being said, the only logical choice in my opinion would be D, or Collateral.

Collateral might decrease the length of a mortgage loan. As it minimises the risk for the mortgage loan.

What is mortgage loan?

Mortgage loan is the fund that is provided to the lender against the immovable assets or property, or collateral to the Borrower. The lender used to keep the assets until their loan is repaid by the person.

Thus, option C is correct.

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In the United States, a common justification for trade restrictions is that other countries can manipulate their currencies to make their exports more attractive abroad. This allows those other countries run current account surpluses, and harms the U.S. economy. In 4-6 sentences explain how this would work and what the weaknesses are with this argument, if any.

Answers

The argument that other countries manipulate their currencies to make their exports more attractive abroad works by artificially devaluing their currency. By lowering the value of their currency.

This can lead to current account surpluses as their exports become more attractive to foreign buyers. However, there are weaknesses with this argument. Firstly, currency manipulation is not the sole determinant of a country's trade surplus or deficit. Other factors such as productivity, comparative advantage, and trade policies also play significant roles. Secondly, the impact of currency manipulation on the U.S. economy is not straightforward and can have complex effects on different sectors and industries. Additionally, currency manipulation can lead to retaliation and trade tensions, potentially harming global trade relationships.

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For the month of September, Florida, Inc., incurs a direct materials cost of $12,000 for 7,500 gallons of strawberry lemonade produced in its Mixing Department. It also incurs conversion costs of $6,000 with 80% completed. If the direct materials cost per equivalent unit was $0.90 in August and the conversion cost per equivalent unit was $1.15 per gallon in August, what is the difference in the direct materials cost per equivalent unit between the two months

Answers

The difference in the direct materials cost per equivalent unit between the two months is $0.70

What is direct materials cost?

Direct material cost is the cost of the raw materials and components used to create a product.

First, we need to calculate the direct cost per equivalent unit in September.

Direct cost per equivalent unit  

= Total Cost / Total Equivalent units                                                    

= $12,000 / 7,500                                                    

= $1.60

Also,

Difference between the two months.

September - August    

= $1.60 - $0.90

= $0.70

Therefore, the difference in the direct materials cost per equivalent unit between the two months is $0.70

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Question 9 of 10
3 Points
Suppose a merchant in a moneyless economy traded his goods for a large
amount of purple fabric. He intended to use the fabric to trade for other
goods in another location. While he traveled to the other marketplace,
however, a trade ship arrived with a large shipment of purple fabric. As a
result, the merchant was only able to trade his fabric for about half of what he
had expected it to be worth in return. This situation illustrates the need for
what aspect of the purpose of money?
A. Preservation of value
B. Unit of measure
C.Ease of exchange
D.Government endorsement
I NEED HELP PLEASE!!

Answers

Answer:

Preservation of value

Explanation:

One of the advantages of money over trade by barter or any other moneyless transaction is the time value of money.

Time value of money can be explained as the ability of money to preserve its value and even increase in nearest future due to its potential earning capacity.

It can be inferred from the given scenario that the purples fabrics has lost a significant value due to the surplus of supply in the market place as it could no longer achieve the original worth.

Answer:

A) Preservation of value!

Explanation:

This means preserving a value, the cost of things at one point and another, you want to preserve that value in order to get the most out of your payment.

The buyer of an industrial complex wants the broker to place the earnest money in an interest bearing account. The broker does this, clearly identifying all parties who are to receive the interest and the date the earned interest is to be disbursed. With only the verbal consent of the buyer, he places the money in an insured account in a depository in Florida. When the time comes to disburse the account, the broker will write a check to the buyer for the interest as the buyer agreed. Which statement describing this situation applies?

Answers

Answer:

Explanation:

In this situation, the statement that would best apply would be that the broker does not have the right to ever use an interest-bearing account under Florida Real Estate laws. Since Florida Real Estate laws specifically prohibit a broker from placing a clients money in an interest account then the broker in this scenario is breaking the law and can have his real estate license taken away as well as being fined.

Percentage paid to a lender for the use of borrowed money, or the percentage earned on invested principal.

Answers

The amount that lenders demand from borrowers in the form of interest is expressed as a percentage of the principal. It also includes any bank account earnings.

The fee paid for the right to borrow money is called interest. In contrast to how the interest rate used to compute interest is normally expressed, which is as an annual percentage rate, interest expense or revenue is frequently expressed as a dollar figure (APR). Interest is the payment a lender or financial organisation makes in exchange for extending credit. A stockholder's ownership stake in a corporation, which is typically expressed as a percentage, is another definition of interest. Interest is frequently linked to credit cards, mortgages, auto loans, personal loans, savings accounts, or fines. The macroeconomic policies set by the Federal Reserve's Federal funds rate heavily influence interest rates.

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If Chinwe owes $2,164.00, what would her quarterly payments be?

Answers

Answer:

$541.00

Explanation:

2164 / 4 = 541

Based on the calculation, Chinwe's quarterly payment would be equal to $541.00.

What is a quarterly payment?

A quarterly payment can be defined as a cumulative total of monthly payments that are made by an individual or business organization, four (4) times in a year or an annual basis. This ultimately implies that, a quarterly payment would be paid in four (4) installments only.

Given the following data:

Debt = $2,164.00.

Quarterly payment = 2,164.00/4

Quarterly payment = $541.00.

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Research cultural business communication etiquette for a country outside of the USA, and list 5 tips for successful cultural communication and etiquette in a business setting. Include the name of your country, the 5 tips (bulleted statements) and the website URL of your research used.

Research cultural business communication etiquette for a country outside of the USA, and list 5 tips

Answers

Answer:

wow

Explanation:

A car has a base price of $23,800.00. Options cost $356.00, $785.00, and $900.00 for stereo, wheels and paint. Destination charges are $640.00. The dealer pays 82% of the base price and 75% of the options. Determine the sticker price.
$25,000.00
$23,800.00
$26,481.00
$25,841.00

Answers

The sticker price of the car is $26,481.00 based on the component costs provided

What is the sticker price of the car?

The sticker price of the car comprises the retail price, the cost of options as well as the destination charges, which is also referred to as the cost for economy mileage, bearing in mind that sticker price is the price of car written on a sticker and affixed to a car.

The sticker price=base price+cost of stereo+cost of wheels+cost of paint+destination charges

base price= $23,800.00

cost of stereo=$356.00

cost of wheels=$785.00

cost of paint=$900.00

destination charges=$640

sticker price=$23,800.00+$356.0+$785.00+$900+$640.00

sticker price=$ 26,481.00

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banks are likely to request a firm's balance sheet when determining whether to loan money to the firm. however, banks would have little interest in the firm's income statement since it covers a short period of time. true false

Answers

The statement, banks are likely to request a firm's balance sheet when determining whether to loan money to the firm. however, banks would have little interest in the firm's income statement since it covers a short period of time is false .

It includes long-term assets, inventory, payables, cash and cash equivalents, marketable securities, accounts receivable, etc. The main point to emphasize is that financial instruments, loans, and securities purchased are included in bank assets.

By taking out a loan from its bank, a company incurs a long-term burden known as bank debt. As part of the total amount owed to creditors by the business, it is listed as a liability on the balance sheet. The bank's loan office carefully examines the balance sheet, the income statement, and the statement of cash flow to determine whether the business can repay the loan.

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a tech startup is exploring ways to develop an app that allows patients to visit their doctors virtually. the startup is partnering with a local practice to compile data, including symptoms, common ailments, and clinical expertise, to be accessible through the interface of the app. the company anticipates the project will take two to three years. what type of business-level strategy best fits this partnership?

Answers

The tech startup and the local practice are collaborating to develop an app that will enable patients to visit their doctors virtually. This partnership focuses on compiling relevant data that will be accessible through the app's interface. The startup aims to complete the project in two to three years.

The business-level strategy that best fits this partnership is a focused differentiation strategy. This strategy centers on creating a unique and differentiated product that meets the specific needs of a target market. In this case, the startup is developing an app that allows patients to visit their doctors virtually, a service that is currently not widely available.

By partnering with a local practice to compile data on symptoms, common ailments, and clinical expertise, the startup is creating a unique and differentiated product that meets the specific needs of patients. This strategy allows the startup to distinguish itself from competitors and appeal to a specific target market, which is likely to result in increased sales and profitability.

In conclusion, the tech startup's partnership with a local practice to develop an app that allows patients to visit their doctors virtually aligns with a focused differentiation strategy. The partnership aims to create a unique and differentiated product that meets the specific needs of patients, which is expected to result in increased sales and profitability.

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-1.4 Convert 4kg to grams (g), NB: 1kg = 1000g.​

Answers

Answer:

Explanation:

The answer is 4000 g

Disadvantages of choosing a job that is extremely popular or in demand

Answers

The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.

What is a high demand job?

This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.

The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.

The number of qualified persons may become more than the job that is available for the people to do in the long run.

Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.

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The financial markets are a relatively new technological development created in the last 50 years.

Answers

Answer:

False

Explanation:

Wall Street, which is one of the most famous financial markets in the US was established in 1792. In Europe, financial markets exist since the middle ages. Modern banking started in Italy in the 12th century.

Telecommunications improved how financial markets work during the 20th century and expanded their reach, but they are almost 900 years old.

With the growing popularity of casual surf print clothing, two recent MBA graduates decided to broaden this casual surf concept to encompass a "surf lifestyle for the home. " With limited capital, they decided to focus on surf print table and floor lamps to accent people’s homes. They projected unit sales of these lamps to be 9,500 in the first year, with growth of 7 percent each year for the next five years. Production of these lamps will require $60,000 in net working capital to start. The net working capital will be recovered at the end of the project. Total fixed costs are $265,000 per year, variable production costs are $33 per unit, and the units are priced at $67 each. The equipment needed to begin production will cost $425,000. The equipment will be depreciated using the straight- line method over a five year- life and is not expected to have a salvage value. The effective tax rate is 34 percent and the required rate of return is 15 percent. What is the NPV of this project?

Answers

The Net Present value (NPV) of the project is $36,140.34.

To calculate the NPV of the project, we need to first calculate the cash flows associated with the project. The cash flows for each year will be the revenues minus the variable costs, minus the fixed costs, minus the taxes, plus any depreciation tax savings. The initial investment in net working capital and equipment is also included in the cash flow for year 0.

The cash flows for years 1-5 are calculated as follows:

Year 1: (9,500 x $67) - (9,500 x $33) - $265,000 = $52,150

Year 2: $52,150 x 1.07 = $55,770.5

Year 3: $55,770.5 x 1.07 = $59,669.44

Year 4: $59,669.44 x 1.07 = $63,857.17

Year 5: $63,857.17 x 1.07 = $68,345.47

The cash flow for year 0 is calculated as follows:

Year 0: -$60,000 - $425,000 = -$485,000

Next, we need to calculate the tax savings from depreciation.

The depreciation expense each year is $425,000/5 = $85,000.

The tax savings from depreciation each year is $85,000 x 0.34 = $28,900.

Now we can calculate the total cash flows for the project:

Year 0: -$485,000

Year 1: $52,150 - $28,900 = $23,250

Year 2: $55,770.5 - $28,900 = $26,870.50

Year 3: $59,669.44 - $28,900 = $30,769.44

Year 4: $63,857.17 - $28,900 = $34,957.17

Year 5: $68,345.47 - $28,900 = $39,445.47

The NPV of the project is the sum of the present values of the cash flows, discounted at the required rate of return of 15 percent. Using a financial calculator or spreadsheet software, the NPV is calculated as follows:

NPV = -$485,000 + ($23,250 / 1.15) + ($26,870.50 / \(1.15^{2}\)) + ($30,769.44 / \(1.15^{3}\)) + ($34,957.17 / \(1.15^{4}\)) + ($39,445.47 / \(1.15^{5}\)) = $36,140.34

Therefore, the NPV of the project is $36,140.34, which is positive, indicating that the project is expected to be profitable and would be a good investment.

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Identifying Accounting Treatment for Contract Modifications Match each of the contract modifications a to c with the proper accounting treatment, 1 through 3. Accounting treatment 1. New separate contract with no change to original contract 2. Termination of original contract and creation of a new combined contract 3. Cumulative catch-up adjustment with no new contract

Answers

1. Cumulative catch-up adjustment with no new contract

2. New separate contract with no change to original contract

3. Termination of original contract and creation of a new combined contract

1. Read the contract modification and determine the nature of the changes made.

2. If the modification does not change the terms of the original contract but requires an adjustment to recognize the cumulative effect of the changes, it falls under accounting treatment 3.

3. If the modification creates a new separate contract, independent of the original contract, and there are no changes to the terms of the original contract, it falls under accounting treatment 1.

4. If the modification results in the termination of the original contract and the creation of a new contract that combines the terms of the original contract and the modifications, it falls under accounting treatment 2.

5. Match each contract modification to the appropriate accounting treatment based on the analysis conducted in steps 2-4.

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The present value of cash flow will be greater if we compound less frequently holding the stated interest rate constant. a. true b. false

Answers

The present value of cash flow will be greater if we compound less frequently holding the stated interest rate constant.  true

What is interest rate constant?

A proportion that compares a loan's annual debt service to the sum of its principal is known as a loan constant. The annual debt service is divided by the total loan amount to determine a loan constant. Borrowers can compare the loan constants of several loans when looking for a loan before choosing one. The loan with the lowest loan constant will have reduced debt service obligations, resulting in a shorter length of time during which the borrower will pay less in interest and principal. Only loans with fixed interest rates are subject to loan constants; loans with variable interest rates are not.

A loan constant is a ratio that illustrates the annual debt service of a loan in relation to the entire loan principal.

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bi-lo traders is considering a project that will produce sales of $34,450 and have costs of $20,300. taxes will be $3,600 and the depreciation expense will be $1,975. an initial cash outlay of $1,650 is required for net working capital. what is the project's operating cash flow?

Answers

Based on the information given in the question, the project's operating cash flow is $10,875.

The project's operating cash flow can be calculated by using the following formula:

Operating Cash Flow = Sales - Costs - Taxes + Depreciation

Plugging in the given values, we get:

Operating Cash Flow = $34,450 - $20,300 - $3,600 + $1,975

Operating Cash Flow = $12,525

However, we also need to consider the initial cash outlay for net working capital, which is $1,650. Therefore, the final operating cash flow for the project is:

Operating Cash Flow = $12,525 - $1,650

Operating Cash Flow = $10,875

Therefore, the project's operating cash flow is $10,875.

It is important to note that operating cash flow is a measure of the amount of cash generated by a company's normal business operations. It is an important metric for investors and creditors, as it indicates the company's ability to generate cash to meet its short-term obligations and fund its ongoing operations.

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Price ceilings create five important effects: _______________

a. excess demand, long lines, poor service, efficiency, and arbitrage.
b. surpluses, increases in product quality, search costs, gains from trade, and resource attrition.
c. shortages, reduced time costs, low vacancy rates, blat, and deadweight loss.
d. shortages, reductions in product quality, wasteful lines, a loss of gains from trade, and a misallocation of resources.

Answers

The answers is a…………..

Net income $ 61,000 Accounts payable increased by 18,900 Accounts receivable decreased by 25,900 Inventories increased by 6,800 Depreciation expense 32,700 Net cash provided by operating activities was:

Answers

The net cash provided by operating activities can be calculated using the indirect method of cash flow statement.

To calculate the net cash provided by operating activities, we need to adjust the net income for the changes in current assets and liabilities and add back any non-cash expenses such as depreciation.

Here are the steps to calculate the net cash provided by operating activities:

1. Start with a net income of $61,000.

2. Add back the depreciation expense of $32,700.

3. Adjust for the increase in accounts payable of $18,900 by subtracting it from the net income and depreciation expense.

4. Adjust for the decrease in accounts receivable of $25,900 by adding it to the net income, depreciation expense, and the adjusted accounts payable.

5. Adjust for the increase in inventories of $6,800 by subtracting it from the net income, depreciation expense, adjusted accounts payable, and adjusted accounts receivable.

6. The final result will be the net cash provided by operating activities, which is $52,700.

Therefore, the net cash provided by operating activities for the given information is $52,700.

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you are a bls instructor and want to add the aha logo to a flyer advertising a bls course that you will be offering. what instructor resource would you use to find out if this is allowed?

Answers

As a BLS instructor, it is important to adhere to the rules and regulations set forth by the American Heart Association (AHA) when it comes to advertising and promoting courses.

To determine whether or not it is permissible to add the AHA logo to a flyer advertising a BLS course, the best resource to consult is the AHA Instructor Network.

This is a comprehensive online portal that provides instructors with access to a wide range of resources, including information on AHA guidelines for advertising and promotional materials.

Instructors can also use the Instructor Network to connect with other AHA instructors, access training materials, and stay up-to-date on the latest news and developments in the field of cardiopulmonary resuscitation (CPR) and emergency cardiac care.

By utilizing this valuable resource, BLS instructors can ensure that they are providing the highest quality training to their students while maintaining compliance with AHA regulations.

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Expenses paid and recorded as assets before they are used are called.

Answers

Answer:

Prepaid expenses

If+a+25%+increase+in+price+of+tomatoes+leads+to+a+10%+increase+in+the+quantity+supplied,+the+elasticity+of+supply+for+tomatoes+is:_______

Answers

The elasticity of supply for tomatoes is 0.4.

What is the formula to calculate the elasticity of supply?

The elasticity of supply measures the responsiveness of the quantity supplied to a change in price. It is calculated using the following formula:

Elasticity of supply = (% change in quantity supplied) / (% change in price)

In this case, we are given that a 25% increase in price leads to a 10% increase in the quantity supplied. Using these values in the formula, we can calculate the elasticity of supply as:

Elasticity of supply = (10% / 25%) = 0.4

This means that for every 1% increase in price, the quantity supplied will increase by 0.4%.

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Choosing to go to college over getting a job right out of high school is an example of a(n) _____.


fixed cost

opportunity cost

variable cost

none of the above

Answers

It’s opportunity cost

Which one of the following is not a recognized form of business?

B Corp
Cooperative
S Corp
T Corp

Answers

Option (d), T Corp is not a legally recognized type of corporation.

T Corp: What is it?

To local governments in New South Wales that are judged to be financially secure, TCorp offers long-term, competitively priced infrastructure loans in conformity with credit conditions. Learn more.

New South Wales Treasury Corporation is the primary source of funding for the state of New South Wales's public sector (TCorp). Its major objective is to provide financial services to the government of New South Wales as well as other public agencies and companies.

The option that comes next is not a category of company organization.

The primary kind of business structure is not limited unregistered businesses. This type of business formation does not exist. All legal forms of business entities, including corporations, partnerships, and sole proprietorships, are acceptable.

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17. Lewis signed a contract for the rights to all timber located on Nine Mile Mine. He agreed to pay $70 per thousand board feet ($70/mbf). As he began work, Nine Mile became convinced that Lewis lacked sufficient equipment to do the job well and forbade him to enter the land. Lewis sued. Nine Mile moved for summary judgment. The mine offered proof that the market value of the timber was exactly $70/mbf, and Lewis had no evidence to contradict Nine Mile. The evidence about market value proved decisive. What is the issue

Answers

Chekit on hist googl
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A particle is moving along a straight line through a fluid medium such that its speed is measured as v = (80 m/s, where t is in seconds. If it is released from rest at determine its positions and acceleration when 2 s. What causes GDP to increase? -2x-6=3x-21 solve for x what is that abbreviated electron configuration for cobalt? Two cans each hold 750ml by how many ml is their total volume less than 1.8 liters xplain how chesnutt's story and dunbar's poem may criticize or promote one leader's views over the other. please b Write the equation of the line passing through the point ( - 4 , 3 ) and slope 8. Undifferentiated cells that can differentiate and replace cells that are lost are called a. induced cells. b. stem cells.c. omnipotent cells. d. unipotent cells. e. parapotent cells please help!! zoom in to read better should i put it in the middle or the far left? i also need to know why? Anticipate the expected outcome of thymocyte development in the following TCR transgenic mice: Circle the correct answer for each question. Explain how you arrived at your answers to the right of each question_ Male TCR-transgenic mice expressing H-2Db MHC EXPLAIN YOUR ANSWERS: (a) Transgenic thymocytes ARE or ARE NOT positively selected. (b) Transgenic thymocytes ARE or ARE NOT negatively selected: (c) The peripheral blood of these mice contains: Mature transgenic CD4 T cells Mature transgenic CD8 T cells No mature transgenic cells How does a reader make an inference about a character?A.) By using information about the character that the author has provided in the footnotes.B.) By using information from another source to learn more about the character.C.) By using the authors biographical information to learn more about the character.D.) By using the character's actions, interactions, and words to learn more about him or her. (i) In R, let M be the span of v = (1,0,0) and v2 = (1, 1, 1). Find a nonzero vector v3 in Mt. Apply Gram-Schmidt process on {V1, V2, V3}. (ii) Suppose V is a complex finite dimensional IPS. If T is a linear trans- formation on V such that (T(x), x) = 0 for all x V, show that T = 0. (Hint: In (T(x), x) = 0, replace x by x+iy and x-iy.) Complete the sentences with the correct terms.Demandpull inflation occurs when ______1________ increases until equilibrium output exceeds the full employment level. For instance, this can be caused by an increase in ______2________. Temporarily, both aggregate output and _______3_______ increase, as resources are beyond capacity. Eventually, the economy returns to longrun equilibrium when _______4_______ decreases until it and aggregate demand intersect at the same point on the _______5_______ curve. Finally, _______6_______ returns to its full-employment level, and _______7_______ again increases.WORD BANK- aggregate demand- long-run aggregate supply- short-run aggregate supply- consumer spending- the aggregate price level - aggregate output 11.How do you think the American people and historians will reviewthe speech when compared to those of previous presidents? (PRESIDENT BIDENS SPEECH) An object has mass M (uppercase) and is located at the origin of the coordinate system. A second object has mass m (lowercase) and is located at a distance r from the origin. This exercise explores the potential energy of the two-mass system. A spherical coordinate system is appropriate, but only the radial direction, r^, needs to be considered. Enter a vector expression for the force, F , acting on mass m . The expression must be valid for all values of the radial coordinate, 0 0, and the zero of potential energy is taken as limrUG=0. Can reporters be forced to reveal their sources? The following questions will test your knowledge of comma usage. Identify the comma error(s), and choose the best revision. Alice Greenwich PhD is our director of marketing.a. Alice Greenwich PhD, is our director of marketing b. No error c. Alice Greenwich, PhD, is our director of marketing. a parasite accesses a target cell in a host, thus hiding its antigens from the host's immune system. this survival strategy is known as: the systems analyst found that we needed to upgrade our equipment, revise our backup process, and implement better security measures. Which elements are least likely to be used by an author to develop an idea in a personal narrative