What do you think is the most difficult item for the union to
negotiate? What is the most difficult item for the employer to
negotiate?

Answers

Answer 1

The most difficult item for the union to negotiate is job security, while the most difficult item for the employer to negotiate is wages and benefits.

The negotiation process between the employer and the union for the Collective Bargaining Agreement can be very complex and difficult. Each party has its own interests and goals in the negotiation process and there are a variety of items that need to be negotiated. However, there are a few items that can be particularly difficult to negotiate. These are:

The most difficult item for the union to negotiate is job security. Unions are typically focused on ensuring that their members are protected from layoffs and other forms of job loss. However, employers are often reluctant to agree to job security provisions, as they want to have the flexibility to adjust their workforce as needed to respond to changing market conditions. This means that job security can be a very difficult item to negotiate.

The most difficult item for the employer to negotiate is wages and benefits. Employers are generally focused on controlling labor costs and maximizing profits, which means that they may be resistant to agreeing to wage and benefit increases. However, these items are very important to union members, who often view them as the primary reason for unionization. This means that wages and benefits can be very difficult items to negotiate.

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Related Questions

Now that you understand what investments are, you will search for three image examples that represent investments. You may choose to select images that represent the key concepts of investments, or examples of different types of
investments. In a short paragraph, explain why each of your selected images is an appropriate representation. Be sure
to follow proper image use and citation guidelines; click here for a quick review on these guidelines. In a second
paragraph, discuss the sources of each of your images and why they are reputable.

Answers

There are three main types of investments: Ownership, Lending, or cash. Ownership investments are the most volatile and profitable class of investment. Such as owning stock meaning owning a portion of a company. It may be a minuscule stake, but it's ownership. More broadly speaking, all traded securities, from futures to currency swaps, are ownership investments. Investors purchase them in order to share in the profits, or because they will increase in value, or both. Lending money is a category of investing. The risks generally are lower than for many investments and, consequently, the rewards are relatively modest. A bond issued by a company or a government will pay a set amount of interest over a set period of time. The only real risk is that the company or government will go bankrupt, in which case the bondholder may get little or none of the investment back. A regular savings account is an investment. The investor is essentially lending money to the bank. The bank will pay interest to the account holder and will earn its profit by loaning out the rest of the money to businesses at a higher rate of interest. These are investments are "as good as cash," which means that they can be converted back to cash easily and quickly. Money market funds are more liquid than other investments, meaning you can write checks out of money market accounts just as you would with a checking account. Although, once you start writing checks on it you've erased much of its value as an investment.

A nut store normally sells cashews for​ $4. 00 per pound and peanuts for​ $1. 50 per pound. But at the end of the month the peanuts had not sold​ well, so, in order to sell pounds of​ peanuts, the manager decided to mix the pounds of peanuts with some cashews and sell the mixture for per pound. How many pounds of cashews should be mixed with the peanuts to ensure no change in the​ revenue?.

Answers

5 pounds of cashews should be mixed with the peanuts to ensure no change in the​ revenue for the nut store.

Let x be the number of pounds of cashews

Given,20 pounds of peanuts are sold at a rate of $1.50 per pound

and the mixture is sold at a rate of $2.0 per pound

According to the Question,

\(\frac{20*1.5 + 4*x}{x +20}=2\)

\(\frac{30+4x}{x+20} =2\)

x=5

Hence, 5 pounds of cashews should be mixed with the peanuts to ensure no change in the​ revenue

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The question was incomplete. Check below the full question

A nut store normally sells cashews for​ $4.00 per pound and peanuts for $1.50 per pound. But at the end of the month the peanuts had not sold well, so, in order to sell 20 pounds of peanuts, the manager decided to mix the 20 pounds of peanuts with some cashews and sell the mixture for $2.00 per pound. How many pounds of cashews should be mixed with the peanuts to ensure no change in the​ profit?

Where can you locate the Function Library group?
View tab of the ribbon
Formulas tab of the ribbon
File tab of the ribbon
Insert tab of the ribbon

Answers

Answer:

I can locate the function library group on formulas tab of the ribbon.

You locate the Function Library group on the Formulas tab of the ribbon. The correct option is B. Select the Formulas tab on the Ribbon to open the Function Library. Look for the Group Function Library.

What is the library function answer?

Predefined functions are library functions. The developer includes some built-in functions to help the user work. We don't need to write our own code for some operations. We can simply use one of the library functions to complete our task.

The formulas tab contains a function library. The function library on the formulas tab is a great place to start learning about functions. Here you can search for and select Excel functions. The Function Library Group enables the user to use all of the formulas in Excel. The function is automatically inserted in the selected cell.

Thus, the ideal selection is option B.

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Mr. edwards, a marketing representative of the acme insurance company, scheduled a marketing event and expects about 40 people to attend:___.

Answers

Edwards, a marketing specialist at ACME Insurance Company, is planning a marketing event and expects about 40 attendees. He hired a magician for $200 to entertain the attendees.

His five largest homeowners insurance companies in the United States are State Farm, Allstate, USAA, Liberty Mutual, and Farmers. He can do this because the estimated number of attendees is based on the size of the venue and the response rate, and the value of the gift does not exceed $15.

You can request your name and mailing address. You can give multiple gifts during a single event, but the total sales cannot exceed $15 at a time.

Insurance companies are financial intermediaries that provide primary insurance or reinsurance services and provide financial protection against potential future risks.

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Business law is a vast body of state and federal law governing business activities that includes statutes (codes), common law, court cases, and: Choose 2 answers. Not all correct answers selected corporate citizenship. regulations. constitutions. ethics.

Answers

Business law is a vast body of state and federal law governing business activities that includes statutes (codes), common law, court cases, The correct answers are regulations and ethics.

Business law encompasses various sources of law, including statutes (codes), common law, court cases, and regulations. Regulations refer to rules and guidelines issued by governmental agencies that have the force of law and provide specific requirements and standards for conducting business activities. These regulations are created to ensure compliance with legal and safety standards and cover areas such as employment, environmental protection, consumer protection, and more.

Ethics, although not a source of law itself, is an important consideration within business law. Ethics refers to principles and standards of conduct that guide ethical decision-making in business. While not legally binding, ethical considerations play a crucial role in business practices and decision-making, as they reflect values, integrity, and social responsibility.

Corporate citizenship and constitutions, while relevant in the broader context of business and law, are not directly associated with the sources of law in the given options.

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the feasibility study during the planning phase of the systems development life cycle (sdlc) must address the: group of answer choices requirements of the current system's end users. questions about modification and replacement of existing system. problems and constraints related to the company situation. technical aspects of hardware and software requirements.

Answers

During the planning phase of the systems development life cycle (SDLC), conducting a feasibility study is crucial to ensure project success. The feasibility study should address the requirements of the current system's end-users, including their needs and expectations.

Additionally, it should ask questions about the modification and replacement of the existing system to identify potential problems and constraints related to the company situation.

Technical aspects, such as hardware and software requirements, should also be considered during the feasibility study.

This evaluation process will help determine if the project is feasible and if it aligns with the company's goals and objectives.

If the study finds that the project is not feasible, it is essential to modify the project or explore other alternatives to meet the company's needs.

The feasibility study is a critical component of the SDLC and should be performed thoroughly to ensure successful project outcomes.

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True or false. Faced with seasonal peaks, an effective revenue management tactic is to charge a higher price during the peak period and a higher price during off-peak periods.

Answers

False. Faced with seasonal peaks, an effective revenue management tactic is to charge a higher price during the peak period and a lower price during off-peak periods, rather than charging a higher price during both periods.

This strategy is known as price discrimination or yield management. The goal of revenue management is to optimize revenue by adjusting prices based on demand fluctuations. During peak periods, when demand is high, businesses can capitalize on the increased willingness to pay by setting higher prices. This allows them to capture a larger share of the consumer surplus. On the other hand, during off-peak periods when demand is lower, setting lower prices can help attract more customers and maximize revenue that would otherwise be lost due to empty capacity.

By implementing dynamic pricing strategies, businesses can effectively manage their inventory and allocate resources to maximize revenue. It is important to note that this approach requires careful analysis of customer behavior, market conditions, and pricing elasticity to strike the right balance between maximizing revenue and maintaining customer satisfaction.

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The public company accounting oversight board may conduct investigations and disciplinary proceedings of?

Answers

The public company accounting oversight board may conduct investigations and disciplinary proceedings against Registered Public Accounting Firms.

What are Registered Public Accounting Firms?

PricewaterhouseCoopers LLP or another independent public accounting firm chosen by the Company that is of recognized national stature and registered well with Public Company Accounting Oversight is considered an independent registered public accounting company. Public accounting firms are required by the Sarbanes-Oxley Act to register with the PCAOB in order to prepare or issue an audit report for a broker-dealer or a U.S. public business or to otherwise play a significant part in such audits. The PCAOB is subject to SEC monitoring, which includes approving the Board's policies, procedures, and spending plan. There are 800 or so employees at the PCAOB. We have 9 regional offices spread out around the United States and yet keep our main office in Washington, D.C.

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Should the government have given money to the banks? Why or why not?

Answers

Answer:

It really depends on the state of the economy but I'll give a general answer, Investing in a bank is pretty much investing in people, when the economy is good the banks are good, and when the economy is bad the banks are bad, namely stocks. If the government were to invest in banks and give them money they would wouldn't be circling the money into resources, technically the government doesn't really need to invest in banks anyway since they are the ones that print the bills and give money, investing in banks is just pointless when the government already pays for your  job, in which YOU give money to the bank to either save up and spend the money later, or to invest in a trust fund which also circles money back into the government through taxes.

Explanation:

If the government already pays for peoples food , jobs , etc and expect them to put that food back into business and then tax the people and the business why would they need to invest in banks? Unless of course there was a stock market crash and the government needed an incentive to get people to buy stocks and thus started to invest but that always goes bad.

1)A software company is producing two different versions of a statistical software: a full and unrestricted (high quality) version that is intended for professionals who need the full capabilities of the software and a "light", restricted version (low quality) that is indended for students who just need to learn how to use the software. The cost of production is zero. Professionals value the full version at $900 and the light version at $300, while students value the full version at $250 and the light version at $150. Assume there are 25 professionals and 45 students on this market. What is the optimal profit that the firm can extract, if it chooses to price optimally? Consider both uniform pricing and price discrimination. Assume the firm is not able to differentiate between students and professionals, and is also not able to prevent resales.

2)When the price of widges is 11, the quantity demanded of widgets is 370 and the quantity supplied of widges is 96. What is the shortage on this market?

Answers

In the case of uniform pricing, where the software company sets a single price for both versions of the software, the optimal profit can be calculated by determining the price that maximizes the total revenue.

Since the cost of production is zero, profit is equal to revenue. For the full version, the optimal price would be $900, as it is the maximum amount that professionals are willing to pay. Therefore, the revenue from professionals would be 25 professionals \(*900 = $22,500.\)]For the light version, the optimal price would be $150, as it is the maximum amount that students are willing to pay. Hence, the revenue from students would be 45 students × $\(150 = $6,750.\)Therefore, the total revenue and optimal profit from uniform pricing would be $\(22,500 + $6,750 = $29,250.\)

In the case of price discrimination, where the company can charge different prices based on the segment, the optimal profit can be maximized by charging each group their respective maximum willingness to pay.

For professionals, the price would be $900, resulting in a revenue of 25 professionals × $\(900 = $22,500\\\)For students, the price would be $150, resulting in a revenue of 45 students × $\(150 = $6,750.\)Thus, the total revenue and optimal profit from price discrimination would still be $\(22,500 + $6,750 = $29,250\), as the company cannot differentiate between students and professionals.

In both cases, the optimal profit that the firm can extract is $29,250.

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Which is NOT a type of planning used by management?
A Short-term
B Deliberate
C Strategic
D Long-term

Answers

Answer:

B Deliberate

Explanation:

Planning involves thinking ahead of events. It entails preparing beforehand for future activities.  Managers will engage in planning to ensure the business meets its objectives.

There are different types of plans. Manager can make short term or long term plans which are based on time. Strategic plans are about methodology or procedure. Deliberate is not a type of planning.

what is the efficient markets hypothesis (emh), and what are its three forms? what evidence supports the emh? what evidence casts doubt on the emh

Answers

The Efficient Markets Hypothesis (EMH) states that stocks are listed and traded at fair value on stock exchanges, allowing for the purchase and selling of those shares at prices below and above the market price.

These are its three forms:

first, weak form The Efficient Markets Hypothesis states that a stock's price and rate of return are unaffected by its price and rate of return in the past, and that the rate of return in the past has no bearing on future returns mildly robust shape .The Efficient Markets Hypothesis states that it is pointless to predict stock price or return using publicly accessible information (such as financial statements).Future prices and interest rates are predicted by the Strong Equilibrium Markets Hypothesis Stock price return predictions based on both unpublished and disclosed information is ineffective. According to the efficient markets hypothesis (EMH), there is no room for investment to produce extra returns because everything is already fairly and accurately priced. This means that your chances of exceeding the market are slim, but passive index investing can still help you generate returns that are comparable to those of the market.

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In 18th century, what was the main reason of slow down of Indian Foreign Trade

Answers

Answer:

Introduction to India’s Foreign Trade:

Even being a typical poor underdeveloped country, India’s foreign trade was in a prosperous state during the period under review. In terms of volume of trade and the range of commodities entering into trading list, India was better placed compared to other contemporary underdeveloped countries. But that must not be viewed as an indicator of prosperity. Above all, her pattern of trade was definitely different from those of other underdeveloped countries.

India’s composition of trade (i.e., pattern of imports and exports) before 1813 included manufactured goods as well as primary articles in export list and metals and luxury products in the import list. But such pattern of trade was supplanted by the import of manufactured goods and exports of agricultural raw materials and food grains during much of the nineteenth and twentieth century. This must not be the sign of prosperity or cause for jubilation.

Explanation:

Rather, this situation generated much heat and controversy because, instead of being an engine of growth, foreign trade, as engineered by the British Government, exacerbated economic exploita­tion. It hampered the process of industrialization. It brought untold misery to the masses. Most importantly, of course partly the backwardness of Indian industry and agriculture is ‘the effect of its external trade which moulded into shape the productive mechanism of the country.’

To understand the nature of the controversy it will be fruitful to tell something about the history of India’s foreign trade during 1757 and 1947. The growth of foreign trade during the two centuries can be divided into following unequal periods: 1757 to 1813, 1814 to 1857, 1858 to 1914, and from 1915 to 1947.

The first period—the early years of the British East India Company (EIC)—is known as the ‘age of mercantilism’. During the period under consideration trade statistics is not available. However, some sort of institutional changes in trade took place during this period.

In the mid-18th century, Indian foreign trade was mainly conducted by the English, Dutch, French, and Portuguese traders and merchants. But the revolution of 1757 strengthened the supremacy of the British EIC. In the process, the EIC monopolized trade and ousted the other merchants and traders.

acme construction, inc. is awarded the contract to construct a new hospital. the project will take 2 years to complete. jack, the owner of acme hires, carl as the on-site project manager; terry of terry s trucking to deliver the heavy equipment to the job site; jim as a general laborer; and sally surveyor to determine the exact property boundaries. with respect to carl, terry, jim and sally, which are probably acme employees and which are probably independent contractors?

Answers

Terry and Sally surveyor are independent contractors, but Carl and Jim are most certainly Acme Construction employees.

Why Jim and Carl are Acne construction employees?

Jim is probably also a worker for Acme Construction, Inc. as a general labourer. Typically employed directly by the business, general labourers take out laborious duties including lifting, lugging, and excavating.

Carl is probably a staff member of Acme Construction, Inc. as the project manager on-site. A construction project's daily operations are managed by an on-site project manager, who normally works for the firm directly.

Why Terry and Sally are independent construction employees?

Heavy equipment is being delivered to the project site by Terry of Terry's Trucking, who is most likely an independent contractor. Construction businesses frequently use the transportation services offered by trucking companies, which are regarded as independent legal organisations.

The precise property borders are being determined by Sally Surveyor, who is most likely a freelancer. Surveyors are seen as autonomous entities and frequently offer specialised services to building corporations.

Hence, we can conclude that Jim and Carl are employees of Acme construction and Terry and Sally are independent contractors.

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Spiffy Shades Corporation manufactures artistic frames for sunglasses. Talia Demarest, controller, is responsible for preparing the company's master budget. In compling the budget data for \( 20 \time

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Spiffy Shades Corporation is a company that manufactures fashionable frames for sunglasses. Talia Demarest, the controller, is in charge of preparing the company's master budget. In compiling the budget data for the upcoming fiscal year, Demarest will employ various methods to ensure that the budget is accurate and realistic.

The first step in preparing the master budget is to compile the sales budget. This is a projection of the sales that Spiffy Shades Corporation anticipates to make in the upcoming fiscal year. The sales budget is typically generated by analyzing past sales data and market trends to determine the expected sales volume for each month. Next, Demarest will prepare a production budget. This budget outlines the number of units that need to be produced to meet the sales demand. The production budget is based on the sales budget, as well as the number of units already in inventory and the desired inventory levels. The production budget also takes into account the company's production capacity, which helps ensure that the company does not overproduce. Following the production budget, the company will prepare a direct materials budget.

This budget details the cost and quantity of raw materials that are required to produce the units outlined in the production budget. This budget is also based on inventory levels and the desired inventory levels. Next, the company will prepare a direct labor budget, which outlines the labor costs associated with production. This budget is based on the production budget and the company's labor rates. In addition, the company may need to prepare an overhead budget to allocate indirect costs to the production process. After the production budgets are complete, Demarest will prepare the operating expense budget. This budget outlines all of the expenses associated with running the company that are not directly related to production, such as marketing, salaries, and rent. The operating expense budget is based on historical data and expected changes in the upcoming fiscal year. After all of the individual budgets have been compiled, the company will create the master budget.

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the cause of the gulf war was the ______.
A.conflict between isreal and the palestinian arabs
B.iraqi citizens' desire for a democracy
c.september 11, 2001 terroit attacks
d.iraqi invation of kuawit

Answers

Answer:

D..................

Answer:

D

Explanation:

how do i get an egg out of my fridge????? HELP NEED TO KNOW ASAP

Answers

Answer:

open fridge!!!

Explanation:

STEP 1: open fridge

STEP 2: find the egg then grab with hand!!!!!!!!

(Its really hard!!)

The deadweight loss from a tax per unit of good will be smallest in a market with.

Answers

When demand is relatively inelastic, the deadweight loss of a tax is smaller than when demand is relatively elastic.

What is elastic?Elastic demand is demand in which the quantity demanded varies greatly with changes in price. Inelastic demand is demand for which the change in quantity demanded is small due to changes in price.Resilient commodities include luxury goods and certain foods and beverages, as price changes  affect demand. Inelastic products may include items such as tobacco and prescription drugs. This is because demand often stays the same when prices change.Elasticity is an important economic indicator, especially for  sellers of goods and services. Because we know how much  a buyer will consume a product or service  when the price changes. If the product is elastic,  the quantity demanded will change as soon as the price changes.

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Victor signs an arbitration agreement providing that he will arbitrate any disputes with his employer, Business Corp. Victor believes that Business Corp. has discriminated against him in violation of the Americans with Disabilities Act. The EEOC also investigated the situation and brought an action against Business Corp. alleging that Business Corp. discriminated against Victor in violation of the Americans with Disabilities Act. What is the effect of the arbitration clause in regards to the action brought by the EEOC?

Answers

Answer:

The arbitration clause signed by Victor and Business Corp. is binding to them only. That means that they must resolve their disputes using an arbitrator. But that clause has no effect on the Equal Employment Opportunity Commission (EEOC) and any of the actions that it decides to take against Business Corp. Government entities are not affected by arbitration clauses, since breaking the law cannot be made solved by an arbitrator.

"A customer buys 300 shares of ABC at $40, depositing the Regulation T requirement on the 3rd business day after trade date. He holds the position for two months, during which $100 of interest is charged on the debit balance. What is the adjusted debit balance at the end of the two month period?"

Answers

Answer:

Explanation:

Given the following :

Number of shares = 300

Cost per share = $40

Interest charge = $100

Total cost of shares = (number of shares * purchase price)

Total cost of shares = 300 * $40 = $12000

The regulation T says an investor cannot borrow more than 50% of the purchase price.

Therefore, 50% of shares cost :

(50/100) * $12,000

0.5 * $12,000

= $6000

Therefore, Adjusted debit balance :

$6000 + $100 = $6,100

select all that apply why are the adjustments important to the preparation of the financial statements? (check all that apply.) multiple select question. unadjusted financial statements could present a misleading and incomplete picture of the company's financial results. adjustments ensure the revenues the seller has performed of its obligation and expenses incurred are reflected in the income statement. adjustments ensure that the balance sheet reports all of the economic resources the company owns and all of the obligations the company owes. unadjusted financial statements will always show net income because the expense accounts have not been brought up to date.

Answers

Option B is correct. Adjusting entries are indispensable to replace all account balances before financial statements can be prepared. These changes are now not the result of physical occasions or transactions but are alternatively brought on by using the passage of time or small adjustments in account balances.

Why are changes made to the accounting archives at the cease of the period?

Adjustments are made at the end of every accounting length to file revenues and prices in the ideal duration and property and liabilities at appropriate amounts.

There are 4 kinds of account adjustments discovered in the accounting industry. They are accumulated revenues, collected expenses, deferred revenues and deferred expenses.

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for a project task, the optimistic activity time is 3 hours, the pessimistic time is 10 hours, and the most likely time is 7 hours. calculate the weighted average activity time. multiple choice question. 6.8 hours 7 hours 6.7 hours\

Answers

The weighted average activity time is approximately 6.83 hours. The closest option is 6.8.

Weighted Average Activity Time = (Optimistic Time + 4 × Most Likely Time + Pessimistic Time) / 6
Weighted Average Activity Time = (3 + 4 × 7 + 10) / 6
Weighted Average Activity Time = (3 + 28 + 10) / 6
Weighted Average Activity Time = 41 / 6
Weighted Average Activity Time ≈ 6.83 hours
So, the weighted average activity time is approximately 6.8 hours, which is the closest to the given multiple-choice options.

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The bird-in-the-hand theory (proposed by Lintner and Gordon) believes that dividends are safer than retained earnings. Therefore, investors prefer higher dividends, and as a result, if the firm adopts a higher-dividend policy, its firm value will increase.
True or False

Answers

True. The bird-in-the-hand theory (proposed by Lintner and Gordon) believes that dividends are safer than retained earnings. Therefore, investors prefer higher dividends, and as a result, if the firm adopts a higher-dividend policy, its firm value will increase.

What is the bird-in-the-hand theory?

Bird-in-the-hand theory is one of the most popular theories of dividend payment. This theory was proposed by Gordon and Lintner to determine how the dividend policy of a company can affect its value. It suggests that an investor considers dividends as safer than retained earnings as there is no guarantee of future income. Since dividends represent cash payments, which are immediately available to investors, they consider them as the bird in the hand.

They believe that dividend payment reduces the uncertainty of future earnings, making stocks more attractive to investors. When a company adopts a high-dividend payment policy, its stock value increases as investors perceive the stock as more attractive. Consequently, firms with high dividend payouts are considered less risky and more valuable. Thus, the bird-in-the-hand theory believes that higher dividend payouts result in higher stock prices. It suggests that investors prefer high dividend payments because they are perceived as a safer investment than stock prices, which are subject to market fluctuations.

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Analyzing Finance Workers' Qualities, Skills, and Abilities.

According to the video, what qualities, skills, and abilities do workers in this career cluster need? Check ALL that apply.

a. physical strength for working outdoors and traveling
b. communication skills for explaining complex concepts
c. leadership skills for persuading others to take action
d. the ability to inspire others
e. the ability to be unemotional about business
f. the ability to be comfortable in an office setting

Answers

The qualities, skills, and abilities which workers in this career cluster need are:

B. Communication skills for explaining complex conceptsE. The ability to be unemotional about business F. The ability to be comfortable in an office setting

According to the given question, we are meant to show the abilities, skills which workers that were displayed on video needs to have if they are to thrive in their chosen profession.

As a result of this, we can see that the workers in this particular career cluster needs communication skills, emotional intelligence and ability to be comfortable in an office setting.

Therefore, the correct answers are options B, E and F

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Answer:

B.E.F

Explanation:

A good business meets ________ needs.
please help me


A) specialized
B) future
C)identified
D)likely

Answers

Answer:

b specialized

Explanation:

it the one that makes the most sense

i'm pretty sure it's likely !

the central bank can reduce the level of credit by

Answers

Answer:it can increase the reserve requirements

Explanation:

the following tests can be requested from a job applicant as depicted, except:A. Before offering the job require a medical examination during the selection process.B. Job offer extended contingent upon passing a legal drug test C. Before offering the job, testing for illegal drugs during the selection process. D. Job offer extended contingent upon passing a medical examination

Answers

An employer has the right to request certain tests from a job applicant as part of the hiring process. These tests can include drug testing, medical examinations, and criminal background checks.

However, there are limitations to what tests can be requested and when they can be requested. The option that does not align with legal hiring practices is option A, which is requiring a medical examination during the selection process before offering the job. The Americans with Disabilities Act (ADA) prohibits employers from conducting medical examinations until after an offer of employment has been extended. The only exception to this rule is if the examination is job-related and consistent with business necessity. Job offers can be contingent upon passing drug tests and medical examinations, as mentioned in options B and D. However, testing for illegal drugs during the selection process, as stated in option C, can be a controversial practice.

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which of the following statements about financial ratios is true?
A. Generally, investors prefer a low current ratio. B. A low asset turnover ratio shows that the company is financially stable. C. The goal of management is to decrease earnings per share over time. D. A low debt ratio shows that the company will be more likely to pay its debts as they come due. E. Investors consider a current ratio of 1 to 1.5 to be desirable.

Answers

Investors prefer the current ratio of 1:1.5 if the statements below regarding financial metrics are true.

Option e is correct.

A low debt ratio indicates that the company has less debt compared to its total assets. This suggests that the company has a low risk of default and is likely to be able to pay its debts when they are due.

Investors currently prefer a ratio of 1:1.5. A liquidity ratio of 1:1.5 is generally considered desirable for investors. This range indicates that the company has sufficient current assets to cover its current liabilities. Demonstrates the right balance between liquidity and financial stability.

Hence, option e is correct .

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John works for a hospital. He is 30 years old and is planning on saving much of his salary for his retirement. What type
of retirement plan would you encourage John to get? Why? Use complete sentences.

Answers

I would encourage John to explore the possibility of setting up a 401(k) retirement plan. This type of retirement plan allows employees to contribute pre-tax money to an employer-sponsored account, and the employer may even match a portion of the employee's contribution.

What is a retirement plan?

A retirement plan is a financial arrangement designed to provide a stream of income to an individual after they leave their job. Retirement plans can include contributions from employers, employees, government, or other sources. There are many types of retirement plans, including 401(k) plans, IRAs, and pensions. Generally, these plans allow participants to save and invest money for retirement, while providing tax benefits. The money in these plans typically grows tax-free until it is withdrawn, at which point any income or capital gains are taxed. Retirement plans are important as they provide a way for individuals to save for their future, while also providing income security in retirement.

So, I would encourage John to explore the possibility of setting up a 401(k) retirement plan.

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An investment offers to triple your money in 24 months (don't believe it). What rate per six months are you being offered? (Do not round interm calculations and enter your answer as a percent rounded

Answers

If an investment offers to triple your money in 24 months, it means that the investment will provide a return of three times the initial amount invested.

What is the future value of an investment of $5,000 compounded annually at an interest rate of 8% for 5 years?

To determine the rate per six months, we need to calculate the compound interest rate that would result in tripling the investment over a period of 24 months.

Using the compound interest formula, we can calculate the rate per six months:

Rate = (Final Value / Initial Value)\(^(1/n)\) - 1

Here, the Final Value is 3 (since the investment triples), the Initial Value is 1 (the original amount invested), and n is the number of periods. In this case, n is 24 months, which is equivalent to four six-month periods.

Rate = (3\(^(1/4)\) - 1) ˣ 100%

Evaluating this expression, we find that the rate per six months is approximately 25%.

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