The characteristic that describes the task is the identity task.
Job characteristics are an approach to job design that shows how jobs are described. Job characteristics include the attitude of the internal aspect of the work itself which consists of the variety of skills needed, procedures and clarity of tasks, authority and responsibility as well as feedback from tasks that have been carried out.
One of the core job dimensions that is often encountered at various levels of work is task identity. Task identity is a task that can be identified by looking at the involvement and opportunities of employees in carrying out work. Task identity includes procedures from the beginning to the end of the task being completed and the clarity of the task.
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(d) Which type of wholesalers operate on a self-service basis where other traders pick, pay and transport goods on their own
Answer:
i dont know how is it huh090889
As an Exporter, you will receive $1.000.000 payment from the Buyer 3 months later after the delivery of the goods. To avoid fluctuation of Currency Exchange, you deal with your Bank to arrange a contract of FORWARD Transaction, with terms and conditions below: - USD/IDR Spot Rate (Buy-Sell) : 11,900 - 12,000 (date 01/01/2010) - Interest rate IDR 3 months =14% per year - Interest rate USD 3 months =4% per year Question: How much IDR will you receive in March?
To calculate how much IDR you will receive in March, we need to consider the forward transaction and the interest rates involved. You will receive 12,197,500,000 IDR in March.
Given:
- USD/IDR Spot Rate (Buy-Sell) on 01/01/2010: 11,900 - 12,000
- Interest rate IDR 3 months: 14% per year
- Interest rate USD 3 months: 4% per year
- Payment of $1,000,000 will be received in March
First, let's calculate the forward exchange rate based on the interest rate differentials.
Interest rate differential = Interest rate IDR - Interest rate USD
Interest rate differential = 14% - 4% = 10% per year
Next, we calculate the three-month forward points based on the interest rate differential.
Forward points = Interest rate differential * (90/360)
Forward points = 10% * (90/360) = 2.5%
Now, we can calculate the forward exchange rate:
Forward exchange rate = Spot rate + Forward points
Forward exchange rate = 11,900 + (11,900 * 2.5%) = 11,900 + 297.5 = 12,197.5
Therefore, the forward exchange rate for USD/IDR is 12,197.5.
To calculate how much IDR you will receive in March, we multiply the payment amount in USD ($1,000,000) by the forward exchange rate:
Amount in IDR = $1,000,000 * 12,197.5
Amount in IDR = 12,197,500,000
Therefore, you will receive 12,197,500,000 IDR in March.
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What is a negative externality
Answer:
exists when a production or consumption of a product results in a coast of third party
For economics class the answer is : Negative externalities occur when the social cost of a good or service is higher than the private cost.
:)
Suppose the value of all the stocks in a fund's portfolio is currently $500,000. The fund has $450,000 in liabilities and has sold 2,500 shares of its fund to investors. Find the NAV.
Answer:
Well your currency will come up due to the investors only if it is a great good market platform The liabilities you must take time to pay them back it might cause interest and money building vlaues or taxes or possibly jail time
Explanation: I really hope i helped
If he fund has $450,000 in liabilities and has sold 2,500 shares of its fund to investors. The NAV is $20.
Net asset valueUsing this formula
NAV = (Assets - Liabilities) / Total number of outstanding shares
Let plug in the formula
NAV=($500,000-$450,000)/2500 shares
NAV=$50,000/2500 shares
NAV=$20
Therefore the net asset value is $20.
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enter mia profit/loss for the 2 month
Last year real GDP in the imaginary nation of Oceania was 561. 0 billion and the population was 2. 2 million. The year before, real GDP was 500. 0 billion and the population was 2. 0 million. What was the growth rate of real GDP per person during the year?
The growth rate of real GDP per person during the year in Oceania was 2.0%.
To calculate the growth rate of real GDP per person in Oceania during the year, we need to first calculate the real GDP per person for each year.
For the current year:
Real GDP per person = 561.0 billion / 2.2 million = $255,000
For the previous year:
Real GDP per person = 500.0 billion / 2.0 million = $250,000
Next, we can calculate the growth rate of real GDP per person using the following formula:
Growth rate = (Current year's real GDP per person - Previous year's real GDP per person) / Previous year's real GDP per person * 100%
Substituting the values we calculated earlier, we get:
Growth rate = ($255,000 - $250,000) / $250,000 * 100% = 2.0%
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help!!!!! need ASAP!!!
A country that allows the value of its currency to be set by global supply and
demand for that currency has a(n) exchange rate.
A. fixed
B. inflated
c. trade-weighted
D. flexible
Answer:
D. flexible
Explanation:
An exchange rate set by the market forces is a flexible exchange rate or a floating exchange rate. The demand and supply forces of the currency determine the exchange rate in the Forex market. Since governments are a major stakeholder in a country's exchange rate, it makes some efforts to influence the exchange rate.
If the demand for a currency is high, its value increases, meaning other countries will spend more buying it. When demand is low, its value declines, which makes imports expensive.
Answer:D
Explanation:
1. Which of the following BEST defines a down payment?
1. A down payment is a portion of the purchase price that increases the loan amount.
2. The down payment is the good faith escrow deposit.
3. A down payment is a portion of the purchase price that reduces the loan amount.
4. The down payment is the total amount borrowed for purchasing or leasing a car.
Answer:
3
Explanation:
It has to be this one because it is intial payment to help someone.
You are offered an annuity that will pay $20,000 per year for 10 years. The appropriate discount rate is 8%.
What is the annuity worth to you today if the first payment will be made one year from now? (Do not round intermediate calculations. Enter the answer in dollars. Round the final answer to 2 decimal places. Omit $ sign in your response.)
Present value of annuity $
What is the annuity worth to you today if the first payment is made today? (Do not round intermediate calculations. Enter the answer in dollars. Round the final answer to 2 decimal places. Omit $ sign in your response.)
Present value of annuity due
1.The annuity worth today if the first payment will be made one year from now is $134,201.62. 2. The annuity worth today if the first payment is made today is $144,937.75
Step 1
1.Calculation of Present Value of Ordinary Annuity (PVA) = Pmt*PVIFA 1%, n periods
PVA ordinary =20000 PVIFA 8%, 10years =20,000 × 6.710081
= 134,201.620000
Present Value of Ordinary annuity is that where the cash flows occur at the end of each period. PMT = Payments i.e $20,000 each year, i=discount rate i.e 8% and n= number of years i.e 20
Step: 2
2. Calculation of Present Value of Annuity Due =PMT*PVIFA i%, nyears *(1+i) due = 20000 PVIFA 8%, 10 years* (1+0.08) = 20,000 × 6.710081 x 1.08 = 144,937.749600
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Before expanding into an international market company must hire people who are native speakers of the language of the target country.
True
False
False. While hiring native speakers of the language of the target country can be beneficial for expanding into an international market, it is not an absolute requirement.
Expanding into an international market requires various considerations, including language and cultural aspects. Hiring native speakers of the language of the target country can provide advantages such as better communication with local customers, understanding cultural nuances, and building relationships with local partners.
Native speakers may have a deeper understanding of the language, idioms, and cultural sensitivities, which can contribute to smoother business operations. However, it is not always necessary to hire native speakers.
Companies can also employ individuals who have a strong proficiency in the target language, cultural awareness, and experience working in international markets. Language skills can be developed through training and immersion programs, and employees can gain cultural understanding through cross-cultural training initiatives.
Ultimately, the decision to hire native speakers or individuals with language proficiency depends on the specific requirements of the target market, the nature of the business, available resources, and the company's overall strategy.
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Which of the following reflects an acceptable yearly developmental goal as identified on an employee’s Individual Development Plan? (Select all that apply.)
improve my listening skills and interpersonal communication.
complete the training to become a master aircraft mechanic.
reconnect with high school friends in similar careers for networking.
enroll in post-graduate courses and complete studies for a master’s degree.
Answer:
improve my listening skills and interpersonal communication.
enroll in post-graduate courses and complete studies for a master’s degree.
Explanation:
when disney company releases a new movie, they usually advertise on television, give out sales promotion items at fast-food restaurants, create a website for the film, hold special showings of the movie, and encourage people to talk about the movie. this coordination of efforts is called:
When Disney Company uses all of its related marketing channel to promote a new released movie, this coordination is called as Integrated Marketing Communication.
Integrated marketing communication (IMC) refers to the intregration between all marketing communication elements. IMC allows a company to deliver an engaging and seamless consumer experience for a product and optimize its image and relationship with its stakeholders. IMC includes the process of plannig and designing brand contacts to ensure customers and organization receive relevant and consistent content about a brand.
IMC can use several tools at the same time to introduce a brand to its customers, such as:
AdvertisingSales promotionPublic relations & publicityPersonal sellingEvents & experiences Direct marketingInteractive marketingIMC is an important marketing strategy because it allows a company to provide consistent content throughout the whole customer journey. IMC helps with brand-building process and boost campaign effectivenes with a proper use of the mix marketing channels. IMC contributs to marketing channels reinforcing each other.
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Olve the given initial-value problem. Dy dx y = f(x), y(0) = 1, where f(x) = 1, 0 ≤ x ≤ 1; -1, x ≥ 1
Olive the given initial-value problem. The solution is y = x + 1, 0 ≤ x ≤ 1; 2 - x, x ≥ 1
Given:
y = f(x).
f = 1, 0
y = x + 1
y = 0 + 1
y₍₀₎ = 1
y = x + 1
y = 1 + 1
y₍₁₎ = 2
Therefore, the initial-value is 0 ≤ x ≤ 1; 2 - x, x ≥ 1
A function y that solves the differential equation and meets the condition y(t₀) = y₀ is a solution to an initial value problem.
The differential equation is substituted in higher dimensions by the family of equations y i'(t) = f i'(t, y 1(t), y 2(t), and dotsc).
When y(t) is considered as a vector, it can represent values in spaces with infinite dimensions, like Banach spaces or distribution spaces.
By treating the derivatives in the same way as an independent function, such as y"(t)=f(t,y(t),y'(t)), initial value issues can be extended to higher orders.
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Use the following information to complete the balance sheet below. Sales are $9.2 millon, caphtal intensity ravo is 2.00 umes, debt ratio is 60 percent, and fixed asset turnover is 1.60 times. (Enter your answers in millions of dollars rounded to 2 decimal placest
Total Assets: $13.00 million
Total Liabilities and Equity: $8.80 million
To calculate the total assets, we need to use the formula: Total Assets = Sales / Fixed Asset Turnover. Given that the sales are $9.2 million and the fixed asset turnover is 1.60 times, we can calculate the total assets as $9.2 million / 1.60 = $5.75 million.
Next, we can calculate the total liabilities and equity using the formula: Total Liabilities and Equity = Total Assets - Total Equity. Since the debt ratio is 60 percent, we can calculate the total equity as 40 percent of the total assets: Total Equity = 0.40 * Total Assets = 0.40 * $5.75 million = $2.30 million.
Finally, we can calculate the total liabilities by subtracting the total equity from the total assets: Total Liabilities = Total Assets - Total Equity = $5.75 million - $2.30 million = $3.45 million.
Therefore, the completed balance sheet would look as follows:
Assets:
Total Assets: $13.00 million
Liabilities and Equity:
Total Liabilities: $3.45 million
Total Equity: $8.55 million
Total Liabilities and Equity: $13.00 million
In summary, based on the given information, the total assets amount to $13.00 million, which is calculated by dividing the sales of $9.2 million by the fixed asset turnover of 1.60. The total liabilities and equity are split with a debt ratio of 60 percent, resulting in total liabilities of $3.45 million and total equity of $8.55 million. The balance sheet equation is balanced, as the total assets equal the sum of total liabilities and equity.
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"tractor is a modern tool of agriculture".justify this statement with suitable example
Answer:
Tractors are the king among different farm equipment. They are the main workhorse of any modern farm. They provide the power and traction necessary to mechanize agricultural tasks. ... There are different types of tractors in the market, varying in size and capacity.
Explanation:
Recall on February 1, Derrick Company established a $200 petty cash fund. On February 15, when the fund balance reached $7, the petty cash custodian prepared a petty cash report that summarized receipts for postage ($140) and printing ($54). Complete the necessary journal entry by selecting the account names and dollar amounts from the drop-down menus.
Answer with its Explanation:
The double entry to record the postage expenses of $140 and the printing expense of $54 is as under:
Dr Postage Expenses $140
Dr Printing Expenses $54
Cr Petty Cash Account $193
Cr Cash Over and Short Account $1
According to the summarized Report, the cash at hand is $7 which must be $6 ($200 - $194). This difference can adjusted in Cash Over and Short Account which is used to adjust minor differences in cash balance.
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In the specific-factors model show that the impact of trade, which changes relative
product prices, has an ambiguous impact on the real wage. That is, the real wage in
terms of the export good goes down, but the real wage in terms of the import good
goes up. (For simplicity, and without loss of generality, assume that the price of the
export good increases and the price of the import good is unchanged by trade).
In the specific-factors model of international trade, changes in relative product prices have an ambiguous impact on the real wage. So correct answer is A
When a country engages in trade, the price of the export good increases while the price of the import good remains unchanged. This change in relative prices affects the real wage in terms of both the export good and the import good.
In terms of the export good, the real wage decreases. This is because the price of the export good has increased, making it more expensive for domestic workers to consume. As a result, the purchasing power of workers, when measured in terms of the export good, decreases.
On the other hand, in terms of the import good, the real wage increases. Although the price of the import good remains unchanged, the increase in the price of the export good leads to an increase in the income of owners of the specific factors used in the production of the export good. These owners can then afford to consume more of the import good, which effectively increases the real wage in terms of the import good.
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fairlane company. has an roa of 9 percent and a payout ratio of 18 percent. what is its internal growth rate?
The amount of internal growth rate would be -7.03%. A negative internal growth rate can also indicate that the company may need to consider alternative financing options, such as borrowing or issuing new equity, to fund growth.
The internal growth rate represents the rate at which a company can grow without having to raise external capital. It is calculated as the difference between the return on assets (ROA) and the dividend payout ratio. In this case, the internal growth rate is negative, indicating that the company is not generating enough profit to fund its own growth and is instead paying out more in dividends than it is earning.
The internal growth rate of Fairlane Company can be calculated using the DuPont Model as follows:
ROA = (Net Profit/Sales) * (Sales/Total Assets)
Rearranging the equation, we have:
Net Profit/Total Assets = ROA / (Sales/Total Assets)
Net Profit/Total Assets = 9% / (1 - 18%)
Net Profit/Total Assets = 9% / 0.82
Net Profit/Total Assets = 10.97%
Internal Growth Rate = Net Profit/Total Assets - Dividend Payout Ratio
Internal Growth Rate = 10.97% - 18%
Internal Growth Rate = -7.03%
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Having just one error on a cover letter may eliminate an applicant from being considered for employment.
Answer:
i think its true
Explanation:
im sorry if im wrong
In the circular-flow diagram, which of the following items does
not
flow from households to firms?
a. revenue
b. land, labor, and capital
c. factors of production
d. profit
Answer d. Profit does not flow from households to firms. Profit is the income that remains after all costs and expenses have been deducted from total revenue. It is a financial gain for the firm.
What is financial gain?Financial gain is the increase in wealth or resources from a transaction or investment. It can be measured in terms of money, goods, or services that are received in exchange for goods, services, or investments. Financial gain is the primary goal of many businesses and investors. It can also be generated from activities such as earning interest on bank accounts and investments, or from the sale of assets. Financial gain is a key component of an individual's overall financial well-being, as it can provide them with the resources to improve their lifestyle and pursue new opportunities.
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After settling a legal dispute, Frank must chose one of two settlement
payment options. He can either receive an immediate lump sum payment of
$250,000, or he can receive an installment payment package with annual
payments of $25,500 spread out over a span of 10 years. Which would likely
be more beneficial to him, and why?
A. The installment package would be better because it would prevent
him from spending all of his money immediately.
B. The immediate payment would be better because it is more
money overall.
C. The immediate payment would be better because he could use the
money immediately to invest it in a safe, low return account.
D. The installment package would be better because he'll have more
money in 10 years than with the lump sum.
After settling a legal dispute, Frank must choose The immediate payment of $250,000, because it would be better as he could use the money immediately to invest it in a safe, low-return account. Therefore, option C is the correct option.
What is investing?
Investing or investment is a financial term. It is both a tool and a source to generate wealth and income. Investment means putting the money in respect of an object, as the value of the objects differs with time so the value of the money will also differ accordingly. This fact about investment makes it both, risky and profit-making at the same time.
Thus, after a legal dispute is resolved, Frank must select the $250,000 immediate payment because it would be preferable because he could use the money right away to invest it in a secure, low-return account. As a result, choice C is the best one.
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To examine
the weekly payroll of all employees, one would look at the:
To examine the weekly payroll of all employees, one would look at the: d. payroll register.
What is the payroll register?The payroll register is a book or record that is used to fill in the details of all the employees and their payment logs. A record of this register is often kept in good condition in case of any future discrepancies that will have to be resolved.
A person who wants to examine the weekly payroll of all employees in an organization must be able to look at the payroll register to know what is obtainable. There, he would find the names of the employees, their job roles and payment record.
Options:
a. W-4
b. employee earnings record
c. W-2
d. payroll register.
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in terms of course planning, what is bdp an acronym for?
the manager of a candystand at a large multiplex cinema has a popular candy that sells for $1.60 per pound. the manager notices a different candy worth $2.10 per pound that is not selling well. the manager decides to form a mixture of both types of candy to help clear the inventory of the more expensive type. how many pounds of each kind of candy should be used to create a 75-pound mixture selling for $1.90 per pound?
The quantity of candy used to create 75-pound mixture selling for $1.90 per pound is 30 pounds of the $1.60 per pound candy and 45 pounds of the $2.10 per pound.
Let's assume the manager uses x pounds of the $1.60 per pound candy and (75 - x) pounds of the $2.10 per pound candy to create the 75-pound mixture.
The total cost of the mixture can be calculated as:
(x * $1.60) + ((75 - x) * $2.10) = 75 * $1.90
Simplifying the equation:
1.60x + 157.5 - 2.10x = 142.5
-0.50x = -15
x = 30
So, the manager should use 30 pounds of the $1.60 per pound candy and (75 - 30) = 45 pounds of the $2.10 per pound candy to create the 75-pound mixture.
Therefore, 30 pounds of the $1.60 per pound candy and 45 pounds of the $2.10 per pound candy should be used to create the 75-pound mixture selling for $1.90 per pound.
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Select the correct answer. Ruby enjoys working with other people. She has excellent leadership, interpersonal, and communication skills that she would like to use in her future career. Which career would be the best fit for her based on her skills? A. Claims adjuster B. Training and development specialist C. Salesperson D. Financial analyst E. Billing clerk.
Based on Ruby's excellent leadership, interpersonal, and communication skills, a career as a training and development specialist would be the best fit for her.
As a training and development specialist, Ruby would have the opportunity to work with individuals and teams to assess their learning needs, design and deliver training programs, and evaluate their effectiveness.
Her strong leadership skills would allow her to guide and motivate learners, while her interpersonal skills would enable her to build positive relationships with employees at all levels. Additionally, her effective communication skills would facilitate the delivery of training materials and the ability to clearly convey information. Overall, Ruby's skills align well with the responsibilities and demands of a training and development specialist role.
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The first step in the IMC planning process is:
A) analysis of the company's context
B) defining the firm's target market
C) an analysis of the product positioning
D) developing communications objective
The first step in the IMC (Integrated Marketing Communications) planning process is typically considered to be the analysis of the company's context. This involves an assessment of the overall business environment, including factors such as industry trends, market conditions, and the competitive landscape.
It also involves an evaluation of the company's internal resources and capabilities, such as its brand equity, marketing budget, and personnel. While defining the firm's target market is an important aspect of the IMC planning process, it is often considered to be a later step in the process. Before a target market can be defined, it is important to have a thorough understanding of the company's context and the various factors that may impact its marketing strategy.
Similarly, an analysis of the product positioning is an important component of the IMC planning process, but it also typically occurs after the initial assessment of the company's context. This involves evaluating how the product or service is currently perceived by consumers and how it stacks up against competing offerings in the marketplace. Finally, developing communications objectives is a critical step in the IMC planning process, but it typically occurs after the company's context has been analyzed and a target market has been defined. This involves setting specific, measurable goals for the marketing communications campaign, such as increasing brand awareness or driving sales. In summary, while all of these steps are important components of the IMC planning process, the analysis of the company's context is generally considered to be the first and most foundational step in the process.
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In the short run, if average variable costs equal $60, average total costs equal $70, and output equals 100, the total fixed costs should equal.
The total fixed cost should equal $1000.
What is the total fixed cost?The first step is to determine the average fixed cost. The average fixed cost can be determined by subtracting the average variable costs from average total costs.
$70 - $60 = $10
Total fixed cost is the product of average fixed cost and output
100 x $10 = $1000
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Vonda is frustrated with her manager, glenda. Last week, when vonda asked about glenda’s expectations, glenda said, "just do your best. " but vonda doesn’t know exactly what to do, and as a result, she isn’t very motivated.
Vonda questioned Glenda about her expectations last week, Glenda said, "Just do your best. Vonda, however, lacks motive because she is unsure of what to accomplish. a situation of Goal Specificity.
Definition of goal specificity.Objective specificity is the extent to which problem-solving actions are focused toward a clear goal. Goal specificity hinders the growth of schematic representations, according to previous research.
Through the slope of the value function, interaction between goal specificity and cumulative goal progress shapes motivation. When current goal progress is on the loss (rather than gain) side of the value function and closer to the focused reference point, motivation is higher.
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Q Use the drop-down menus to identify which vocabulary terms match the definitions.
1) (Short-term/ long-term ) goals are goals that a person means to accomplish in the near
future, such as in a day, a week, or a month.
2) (Short-term/ long-term ) goals are goals that a person means to accomplish in a longer period of time, such as in a semester, a year, or ten years.
3) Setting a (professional goal/personal goal ) involves determining something in your career that you would like to achieve, such as a promotion, within a set timeframe.
Answer:
1) → Short-term goals are goals that a person means to accomplish in the near future, such as in a day, a week, or a month.
2) → long-term goals are goals that a person means to accomplish in the near
future, such as in a day, a week, or a month.
3) → Setting a professional goal involves determining something in your career that you would like to achieve, such as a promotion, within a set timeframe.
OAmalOHopeO
Short-term
long-term
professional goal
evaluate whether locating closer to raw materials is the most important factor when locating a business. if not what other factor/s would be more important
Answer:
The nature of the major raw material requires to produce the product of the business determines the level of importance attached to locating a business closer to raw materials.
Explanation:
The level of importance attached to locating a business closer to raw materials depends on the nature of the major raw material requires to produce the product of the business.
When the major raw material requires to produce the product of the business is a heavy raw material that cannot be easily transported, locating the business closer to the raw material will be the most important factor.
However, when the major raw material requires to produce the product of the business can be easily be transported, locating the business closer to raw materials will NOT be the most important factor. In this case, some of the other important factors to consider will include proximity to markets; availability of labour; water supply; availability of power, fuel or gas; waste products disposal facility and among others.