Unions that represent workers in particular job categories, such as teachers or hotel workers, act as interest groups when they attempt to influence policy.
Interest groups are organizations that advocate for specific policies or issues that benefit their members. Unions represent the interests of their members by negotiating with employers for better wages, benefits, and working conditions.
However, they also engage in political activism to promote policies that support their members, such as laws that protect workers' rights, expand access to healthcare, or increase funding for education. In this sense, unions act as interest groups by using their collective power to influence government policies and advance the interests of their members.
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Question 1
A. Define conflict. (2 marks)
B. Differentiate functional and dysfunctional conflict. Give ONE
(1) advantage or
disadvantage of each. (8 marks)
C. Discuss the third stage of the con
Definition of Conflict Conflict is the incompatibility between two or more parties that arise due to disagreements over ideas, interests, emotions, values, or any other factors.
It is a form of social interaction that arises when two or more people perceive their goals to be incompatible, or when their perceptions, opinions, or expectations differ. Conflict can be experienced at the individual, group, organizational, or societal levels.Question 1B. Differences between Functional and Dysfunctional Conflict Functional Conflict This is a type of conflict that is task-oriented and constructive.
It helps to improve the quality of decisions, stimulate creativity and innovation, and encourage personal growth and development. Functional conflict can also enhance group cohesiveness and solidarity by bringing people together to solve common problems.
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The impact of Furman v. Georgia (1972) was that states had to
promise to use the death penalty only with approval from the Supreme Court.
throw out the old Miranda warning and write a new one.
agree to throw out all state laws regarding crime and impose national standards.
create clear standards to be applied fairly before imposing the death penalty.
Answer: D.create clear standards to be applied fairly before imposing the death penalty.
Explanation: The answer it's right there
The impact of Furman v. Georgia (1972) was that states had to
create clear standards to be applied fairly before imposing the death penalty.The Furman v. Georgia caseThis was a case that had to do with the cruel and the unusual way that people faced in the death penalty.
The case ruled that the death penalty was unconstitutional if it was applied in a discriminatory way.
It ruled that the eight amendment was being violated if used in this way.
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Would workers who formerly worked in agricluture find it easy to obtain jobs in the secondary or tertiary sector of industry? explain your answer
Because agriculture is the sector that requires the greatest manpower. In the secondary and tertiary sectors, people might find simple labor-related occupations.
Is agriculture seen as a secondary industry?The jobs in the primary sector include mining, forestry, farming, and fishing. The secondary sector includes jobs in manufacturing, which includes the production of steel and vehicles. Tertiary vocations include teaching, finance, and banking, for example.
Why do individuals go from the primary to secondary sector?More products made in factories at low prices started to be used by people. The secondary industry rapidly overtook the primary sector in terms of employment and overall production. Consequently, a change has developed over time. This indicates that the sectors' relative importance had altered.
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A d d m e o n d i s c o r d
Katelyn#6394
Answer:
ok and thanks for the points
thanks:)
Answer:
ok
Explanation:
FREEEEEEE POINTS
What do investing activities include?
Investing activities include investments in securities or purchases of physical assets.
Physical assets encompass any kind of tangible economic resource, including gold, silver, property, machines, houses, instruments, apparatus, automobiles, and so on.
The phrase 'security' can be used to refer to any kind of financial instrument, however different jurisdictions have different legal definitions for it. Investment securities are assets which can be purchased or sold on open markets or exchanges, such as shares, bonds, and mutual funds. These securities can be traded more quickly, sometimes even the same day, and kept for a long time.
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A(n) _____ is a cross-functional team of five to nine people who organize themselves and the work to produce the desired results for each sprint.
A(n) sprint is a cross-functional team of five to nine people who organize themselves and the work to produce the desired results for each sprint.
The fundamental unit of Scrum is the sprint, which consists of a time phase (or "time-box") lasting one month or fewer and includes sprint planning, daily scrum, sprint review, and sprint retrospective.
In reality, the Product Owner has the right to terminate the Sprint if certain circumstances arise, such as a change in legal requirements. At the conclusion of a Sprint, there is a Sprint Review activity to review the progress or outcomes and, if necessary, modify the Product Backlog. The Scrum Team and stakeholders discuss what was accomplished during the Sprint during the Sprint Review. Participants discuss the subsequent actions they may take to maximise value based on that and any modifications to the Product Backlog made during the Sprint.
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Based on the details of the scenario, determine what will most likely occur. Jillian and Chase are making a contract in which Jillian ships beaver pelts to Chase, who then makes the pelts into hats to sell. A year into their contract, it becomes illegal to buy or sell beaver pelts in the U.S.
Answer: Contract is voided
Explanation:
From the question, we are informed that Jillian and Chase are making a contract in which Jillian ships beaver pelts to Chase, who will then makes the pelts into hats to sell.
We are further told that a year into their contract, it becomes illegal to buy or sell beaver pelts in the United States. Based on the scenario explained, the contact will be voided.
A void contract is referred to as a formal agreement that cannot be enforceable and is not legitimate. Since it is illegal to either purchase or sell beaver pelts, it means that the context cannot be carried out anymore and should the be void.
At the end of the year, the usual adjusting entry for accrued interest earned on investments was omitted. Which of the following statements is true? Interest Expense for the year is overstated. Liabilities at the end of the year are understated Assets at the end of the year are understated Stockholders' Equity at the end of the year is overstated
Accrued interest earned on investments represents income that has been earned but not yet received or recorded. It is a liability because the company owes this amount to the investors or creditors who have provided the investments.
By omitting the adjusting entry for accrued interest earned, the company fails to recognize this accrued liability on its financial statements. As a result, the liabilities at the end of the year are understated because the accrued interest payable is not reflected.The omission of the adjusting entry does not directly impact InterestExpense, Assets, or Stockholders' Equity. Interest Expense is not affected because it represents the actual interest incurred and recognized during the year. Assets and Stockholders' Equity are not directly impacted by the omission of this entry since they are not directly related to the recognition of accrued interest.
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A prepayment that is originally recorded as an asset will be ______.
(2 Points) Explain the purpose of exception handling and why it is useful.
I suppose in order to understand this, you first have to understand what an exception handling is because that will explain why exception running is needed.
An exception is any event that disrupts the normal inflow of a program’s prosecution as it executes instructions. Like its name, it refers to exceptional conditions that could be during prosecution. Because these conditions are exceptional, you have to handle them in order to continue with normal program inflow.
Your law should have exception instructors for when exceptional conditions could do. utmost programming languages have their own exceptions and allow for registering exception instructors. In addition, numerous languages allow for the programmer to make new stoner- defined exceptions and exception instructors.
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what is the second process in planning a project schedule? group of answer choices defining milestones. defining activities. estimating activity resources. sequencing activities.
Sequencing activities is the second process in planning a project schedule.
The process of figuring out and logging connections between project activities is known as sequencing activities.
This method has the advantage of establishing a logical order for the project team's work, which will enhance productivity.
Sequencing can be carried out manually, automatically, or via project management software.
As a first step before releasing the schedule baseline, the sequence activities method focuses on transforming the project activities from a list to a graphic.
A Network Diagram is a crucial outcome of the sequence activities process. The network diagram of a project shows the interrelationships between activities with bolts and displays the activities in boxes with activity ID.
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Kristina works at a coffee shop. She can produce 200 coffee drinks in four hours. What is her productivity for one hour?
Answer: She can produce 50 drinks in 1 hour, 200/4 = 50
Answer:
50
Explanation:
divide 200 by 4
hope this helps dont 4get to like and star
-mercury
20 POINTS!!!! Please check the picture attached.
Answer:
6
Explanation:
Transatlantic air travel in business class has an estimated elasticity of demand of 0.62, while transatlantic air travel in economy class has an estimated price elasticity of 0.12. Why do you think this is the case?
The reason that the elasticity of demand is 0.62 for business and 0.12 for economy is because the economy class is more elastic than that of the business.
When the flight ticket of those flying business class is raised, they would not be affected much because they are rich and can afford it. They do not care much about the raise in price.
For the average flyer using the economy flight, raising the price of the ticket would affect him and he may end up reducing his demand for it.
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A registered representative is assigned an account. The account information lists the customer's age, income, and investment objectives. The information is 15 years old. What should the RR do
In this case, the registered representative should verify the information and investment objectives.
Who is a registered representative?A registered representative means a professional who possess the legal authority to sell some securities.
Hence, since he is assigned an account where the information of the client is listed, hence, he should verify the information and investment objectives.
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Which of the following is NOT a question economists use?
a.For whom?
b. How productive?
c. How to produce
d. What to produce
Answer:
A. For whom?
Explanation:
Production is all they care about
during a value-added flow analysis, the team studied a process step where the mortgage application was approved. what is the best label for this step?
During a value-added flow analysis, the best label for a process step where a mortgage application is approved is the main answer. Explanation:In a value-added flow analysis, a team studies the value added at each step in a process.
The process step where the mortgage application is approved is a value-added step. The best label for this step is "main answer."In a value-added flow analysis, the main answer refers to the most important part of the process.
A value-added flow analysis focuses on identifying value-adding activities in the process and then improving or eliminating non-value-adding activities. In this case, the main answer is the step where the mortgage application is approved. It is the most critical part of the process, and it adds value to the process.
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In LMX theory, what ultimately determines whether the follower becomes a member of an in-group or an out-group?
Answer:
d. the leader's perception of the follower
Explanation:
LMX theory stands for leader-member exchange theory and is an approach to leadership that focuses on the two-way relationship that exists between the leaders and followers of a group. Therefore the whether the follower becomes a member of an in-group or an out-group depends on the leader's perception of the follower. Mainly because the leader makes this decision and bases it around what they ultimately think about the follower.
The risk that the product will not perform as intended is called ____________.A. Financial riskB. Opportunity riskC. Functional risk/performance riskD. Physical risk
The risk that the product will not perform as intended is called C. Functional risk/performance risk.
Functional risk (also known as performance risk) refers to the risk that a product or service will not perform as intended or expected. This can be caused by a variety of factors such as design flaws, manufacturing defects, or inadequate quality control measures. Functional risk is an important consideration for both consumers and businesses when evaluating potential products or services to purchase.
For producers, ensuring that their products perform as intended is crucial for maintaining customer satisfaction and brand reputation. Failure to meet customer expectations can result in negative reviews, decreased sales, and even legal liability in some cases. For consumers, functional risk is important because it relates to the reliability and safety of the product. A product that does not perform as intended may not only be a financial loss but can also pose a safety risk to the user.
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During the first few months of operating a new business, the cash flow is usually:
positive
unknown
estimated
negative
the first era in marketing was a focus on producing as much as possible because of high demand. this was termed the era which was followed by the selling era, the marketing concept era and finally the customer relationship era..
The first era of marketing was focused on producing as much as possible due to high demand. This was called the production era, which followed the sales era, the marketing concept era, and finally the customer relationships era.
The era of production in marketing, had as its main objective to increase production to meet demand, that is, the more a company could produce and distribute products in the markets, the better positioned it would be.
Marketing therefore evolved and new concepts emerged, and currently marketing is in the customer relationship era, which was impacted by new technologies and digital media.
The customer relationship era has as its main objective the creation of value and customer engagement with the company, which constitutes a relevant competitive differential.
Currently, businesses face greater competitiveness, so companies are looking for ways to stand out in the market to attract and retain their customers, through strategies that increase their value and satisfaction for consumers.
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A ______ is a relatively rare market situation in which average total cost is minimized when only one firm produces the good.
Answer: A natural monopoly is the answer.
Hope this helps!
The purpose of time management is to ________. a. maximize productivity b. write all your tasks out c. allow for delegation d. none of the above please select the best answer from the choices provided a b c d
The purpose of time management is to maximize productivity.
What is time management?Time management is a tool used by an individual to plan how work will be arranged and done.
Time management helps take care of the following:
Creating a daily plan Determining productive timesMaximize productivityHence, the purpose of time management is to maximize productivity.
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Answer:
A
Explanation:
Use this with "kind."
True
False
Answer:
??? what do you mean? please be more elaborate
In Marigold Company, Treasury Stock increased $20600 from a cash purchase, and Retained Earnings increased $80400 as a result of net income of $119200 and cash dividends paid of $39500. Net cash used by financing activities is$18200.$119200.$60100.$38800.
Net cash used by financing activities is C) $60100.
Financing activities encompass transactions regarding debt, fairness, and dividends. Debt and fairness financing are pondered in the cash float from the financing section, which varies with the different capital systems, dividend guidelines, or debt terms that agencies may additionally have.
Financing activities encompass cash sports related to noncurrent liabilities and proprietors' equity. Noncurrent liabilities and owners' fairness items consist of (1) the essential quantity of lengthy-term debt, (2) stock sales and repurchases, and (3) dividend bills.
Financing activities examples consist of the issuance of shares and bonds, borrowing a loan, servicing debt, shopping for returned shares, and so on. due to the fact those sports directly have an effect on an organization's capital shape, analysts and investors use this as a crucial indicator of a business enterprise's monetary health.
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Question #10
What is the purpose of increasing taxes/decreasing government spending during an economic expansion?
to decrease unemployment and inflation
O to increase unemployment levels
O to cause economic growth
O to slow down aggregate demand and reduce inflation
When there is an increase in taxes and the decreasing government spending during an economic expansion the purpose is to to slow down aggregate demand and reduce inflation
What is meant by contractionary government policy?This is the tool that the government may use when they want to stimulate the economy. The government may decide to raise taxes, this would have an adverse effect on consumption in a given economy.
Another way they may do this would be through the decrease in the way that the government spends money in the economy.
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finn is interested in taking over a small business, but he wants to pay a fair price for it, so he consults their income statements. how can he determine the company's overall profitability in each quarter of the previous year?
To determine the small business's profitability in each quarter of the previous year, Finn should analyze the income statements.
To determine the company's overall profitability in each quarter of the previous year, Finn can analyze the income statements of the small business. The income statement, also known as the profit and loss statement, provides a summary of the company's revenues, expenses, and net income over a specific period. Here's how Finn can assess profitability for each quarter:
Obtain the income statements: Finn should obtain the income statements for each quarter of the previous year from the small business. These statements can be obtained from the company's financial records or by requesting them from the business owner or their accountant.
Identify revenue figures: Review the revenue or sales figures stated on each income statement for each respective quarter. Revenue represents the total amount of money generated from the company's core operations during a specific period.
Analyze expenses: Examine the expense section of each income statement for each quarter. Expenses include various costs incurred by the business, such as salaries, rent, utilities, supplies, marketing expenses, and other operating costs.
Calculate net income: Calculate the net income for each quarter by subtracting total expenses from the revenue. Net income represents the company's profitability after deducting all expenses from revenue. A positive net income indicates profitability, while a negative net income indicates a loss.
Compare quarterly profitability: Compare the net income figures for each quarter to assess the company's profitability trends. This analysis will help Finn understand how the company performed throughout the previous year and identify any variations in profitability from quarter to quarter.
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1. Ch11 Financial Planning Exercise 1 eBook Chapter 11 Financial Planning Exercise 1 Calculate amount to invest to meet objectives a. How much would Phoebe have to invest today, in one lump sum, to end up with $50,000 in five years? Round the answer to two decimal places.
Phoebe would need to invest approximately $39,184.39 today to end up with $50,000 in five years.
To calculate the amount Phoebe would have to invest today in a lump sum to end up with $50,000 in five years, we can use the formula for compound interest:
Future Value = Present Value * (1 + Interest Rate)^Number of Periods
In this case, the future value is $50,000, the number of periods is 5 years, and we need to find the present value (amount to invest). Let's assume the interest rate is not provided, so we'll use a general formula.
$50,000 = Present Value * \((1 + r)^5\)
Dividing both sides of the equation by \((1 + r)^5\), we get:
Present Value = $50,000 / \((1 + r)^5\)
Since the interest rate (r) is not provided, we cannot calculate the exact amount. However, if we assume an interest rate, we can calculate the present value accordingly. For example, if we assume an interest rate of 5%, the calculation would be:
Present Value = $50,000 / \((1 + 0.05)^5\)
Present Value ≈ $39,184.39 (rounded to two decimal places)
So, Phoebe would need to invest approximately $39,184.39 today, in one lump sum, to end up with $50,000 in five years (assuming a 5% interest rate).
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What does a mission statement do?
A) tells your business concept.
B) reflects the purpose of the company.
C) tells the major goals of a business.
PLEASE ANSWER
I think C) tells the major goals of a business
Hope it helped
Explain how and why a manufacturer of ice cream products should be ‘market orientated ’.
Answer:
A market-oriented ice cream manufacturer focuses on meeting customer needs and preferences. This involves conducting market research to determine what flavors, packaging, pricing, and features are appealing to their target audience. Regularly seeking feedback from customers helps them make necessary changes. Being market-oriented helps manufacturers stay competitive, build brand loyalty, and ensure customer satisfaction.