which of the following is a type of intelligent technique? neural network lms augmented reality digital asset management cad

Answers

Answer 1

Case-based reasoning is a type of intelligent technique which is the main basis of finding an evidence in trajectory.

What is technique?A technique is a way of completing a task or doing something. A technique for opening the drink might be to use your teeth to twist the lid off. If so, your dentist should have excellent dental restoration skills. The noun technique can also refer to a person's dexterity with the basics of a particular task.Techniques, therefore, include the actual momentary practices and actions that work in teaching a language according to a particular method.In other words, technology is a classroom activity that is integrated into the classroom and  used  as a basis for teaching and learning.Research methodology refers to the actions (e.g. note-taking) and tools (e.g. measuring scales) used in carrying out the research method. Gain a better understanding of the differences in data collection methods and techniques.

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Related Questions

Bookstore Data Project, Part 02
The spreadsheet contains actual sales data obtained with permission from the bookstore at UH Main. Answer the following questions. Part 01 + Part 02 = 40 pts. + 60 pts. = total = 100 pts.
In the last 52 weeks of sales, are there items that did not sell any units? If so, give an example. Be specific with the class name, style, graphic ID, style ID, and description of each item. (3 pts.)
What kinds of problems do you think would be created by having extra inventory on hand for a lengthy period of time? Identify at least 2 ideas. (3 pts.)
Choose a Class Name and identify its Style number and description. Compare its 12/21 (columns DQ to DU) sales units, average unit retail price, number of received units, the number of units on order, and the number of units at the end of the month to its respective predictions for 12/22 future sales (columns FY to GC). What would you predict for the sales units, average unit retail price, number of received units, the number of units on order, and the number of units for December of 2023? Justify your conclusions with supporting statements and an appropriate visual. (15 pts.)
Choose a Class Name and identify its Style number and description. Compare its 11/22 (columns DQ to DU) sales units, average unit retail price, number of received units, the number of units on order, and the number of units at the end of the month to its respective predictions for 12/22 future sales (columns FY to GC). What would you predict for the sales units, average unit retail price, number of received units, the number of units on order, and the number of units for January 2023 and February 2023? Justify your conclusions with supporting statements and an appropriate visual. (15 pts.)
Choose a Class Name of inventory items such that there are at least 5 varieties within the Class Name. Using the data of all varieties in this Class Name, which items are the top sellers? Summarize your findings for a manager with an appropriate visual and at least 3 statements that summarize and support your findings. (6 pts.)
Choose a Class Name of inventory items such that there are at least 5 varieties within the Class Name. Using the data of all varieties in this Class Name, which items are poor sellers? Summarize your findings for a manager with an appropriate visual and at least 3 statements that summarize and support your findings. (6 pts.)
Based on the data provided, if the budget to purchase more store inventory in the month of January 2023 was increased by $5000, for which 3 items would you recommend an increased number be purchased? Use the data to investigate and explain your recommendations. (6 pts.)
Suppose that a purchasing budget cut of 4% is necessary for the upcoming year. Based on the data, recommend 3 items that should not be ordered for next buying season. Use the data to investigate and explain your recommendations. (6 pts.)

Answers

With the help of this loss and profit (P&L) statement template, you can calculate a company's net earnings for a certain time period by compiling its income and outgoings.

Which inventory do you refer to?

All the goods, merchandise, and supplies that a company keeps on hand in anticipation of selling them for a profit are referred to as inventory. Example: Only the paper will be regarded as inventory if a daily vendor utilizes a vehicle to distribute newspapers to clients. The car will be considered an asset.

What is the formula for inventory?

The cost of products sold must be determined in order to calculate initial inventory (COGS). Add the value for the most recently ending inventory next, then deduct the cost of new inventory.

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which of the following is a budgeting approach that can be used as a complement to both traditional and activity-based budgeting systems?

Answers

Kaizen Budgeting can be used as a complement to both traditional and activity-based budgeting system.

Traditional Budgeting is a method of preparing the current year's budget using data from last year's budget as the base. The last year's budget will be adjusted based on the inflation rate, consumer demand, market situation, etc., before being use in the current year's budgeting.

Activity-Based Budgeting (ABB) is a budgeting approach that records, researches, and analyzes any cost-incurring activities. Every activities in the organization that incurs a cost is scrutinized for potential ways to create efficiencies. Budgtes will be developed based on these results. This approach does not take historical costs into consideration when creating a budget.

Kaizen Budgeting is a budgeting approach that continually improving processes and reducing costs. Kaizen Budgeting tends to yield gradual improvements over a long period of time. Kaizen Budgeting allows a company to drive down costs below their current levels on a continual basis. Kaizen focuses on finding little areas to be improved. Kaizen Budgeting adds qualilty on the final product through continuus improvement in processes and ends up reducing the average cost of production.

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Complete Question:

Which of the following is a budgeting approach that can be used as a complement to both traditional and activity-based budgeting systems?

a. Time-driven activity based budgeting (TDABB)

b. Master budgeting.

c. Kaizen budgeting.

d. Continuous-improvement budgeting.

True or False
______ 1. In the MercuryGate TMS, a shipping order (SO) represents the record of what a company has hired a carrier to move.

Answers

In the Mercury Gate TMS, a shipping order (SO) represents the record of what a company has hired a carrier to move. The statement is true.

What is Mercury Gate TMS?

For shippers, 3PLs, brokers, and carriers worldwide, the MercuryGate TMS streamlines and centralizes the administration of freight transportation inside a single software platform to save time and money. To provide you visibility into every shipment, automate manual operations, and help you make better decisions based on delivery performance, the platform supports all forms of transportation, including ocean, air, rail, truckload, LTL, last mile, package, and intermodal.

You often have to pick between feature-rich systems that are challenging to implement and operate and TMS lite options that lack the ability to handle complexity in the transportation management system (TMS) industry. Through our special blend of strength and usability, Mercury Gate enables you to overcome that trade-off and generate ROI that rivals can't match.

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an insurance producer must receive which of the following from the commissioner as evidence of their authority?

Answers

Credit restricted line credit insurance, limited lines and casualty insurance. Insurance on the title.

What do you mean when you say insurance?

Insurance is a tool for risk management. You get protection against unforeseen financial losses when you purchase insurance. If something unpleasant happens to you, the insurer reimburses you or someone else of your choosing.

What advantages does insurance offer?

It provides you with financial assistance from the damage and losses. By enlisting the assistance of several people who are prepared to pay to accept their risks, all insurance coverages fulfill the essential purpose of avoiding damage to the insured. The fund is also used to generate capital through market investing.

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when operating cash flows are calculated using the indirect method, if accounts receivable balance increased, then the change is .

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If accrued obligations increased over the period, the change is included in the operating cash flows calculated using the indirect approach.

The indirect approach modifies the operating section of the cash flow statement from the accrual method by using increases and decreases in balance sheet line items. Using the indirect technique, net income from an organization's income statement is first subtracted to determine cash flow from operating operations.

To reiterate, on the cash flow statement, an increase in receivables shows a drop in cash, and a decrease in it shows an increase in cash. In order to calculate the amount of cash created, the statement of cash flows is prepared indirectly by adjusting net income for changes in balance sheet accounts.

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Effects of DeflationThe nominal interest rate is 7% on a 1-year loan for $1,000. The lender had anticipated an inflation rate of 2% for the coming year. During the year, however, the economy experienced deflation of 4%.

Answers

The real interest rate expected by the lender was 5%.

Define nominal interest rate?

It is the specified interest rate that is earned or paid by the investor or lender. Therefore, if you as a borrower receive a $100 loan at a rate of 6%, you can anticipate paying an interest fee of $6. Inflation has been accounted for by marking up the rate. The nominal interest rates for short-term loans are determined by central banks.

Lenders were anticipating a real interest rate of 5%. According to this formula, the nominal interest rate I = R + h) is roughly equal to the real interest rate plus the inflation rate.

Therefore, The periodic interest rate is multiplied by the number of periods in a year to create the nominal interest rate, often known as an annualized percentage rate or APR.

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1when accounting for investigational drugs, which of the following statements is true of investigator record keeping?

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The amount of drug received at the research site needs to be tracked when accounting for investigational drugs, and record-keeping of the same. Therefore, the option B holds true.

The process of record-keeping can be referred to or considered as the process that involves the safekeeping of relevant records, mostly in the chronological order of their occurrence. The data created out of record-keeping may be sought as an important evidence of transactions that have taken place within the organization.

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Complete question

when accounting for investigational drugs, which of the following statements is true of investigator record keeping?

A. Investigators do not need to account for investigational drug.

B. The amount of drug received at the research site needs to be tracked.

C. Amount of drug used at the research site is not important to track.

D. Amount of drug on hand includes drug that is not used in the study.

Imagine being an advisor to Hank Harris. What would you suggest should be Seller's Lab competitive strategy going forward?

Answers

Seller's lab can use either the cost leadership, cost focus, differentiation leadership, or differentiation focus strategy among the types of competitive strategies available depending on the situation of the company.

What is competitive strategy?

A competitive strategy is a long-term marketing plan created by businesses to protect their position in the market and obtain a competitive edge.

There are four types of competitive strategies can be used depending on the situation and objectives of each company-

Cost leadership strategy: The purpose of this strategy is to have lower costs than similar companies, which increases profit.Cost focus: This strategy aims at reducing costs to increase profit.Differentiation leadership: This strategy aims at making the company's products unique in comparison to similar companies.Differentiation focus: This strategy focuses on adding special characteristics to products, which can influence customers' loyalty.

Therefore, Seller's Lab would choose the appropriate competitive strategy from the above-mentioned types of competitive strategies for going forward.

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droughts can affect which of the following? food supply where we choose to live routing of commercial transportation all of the above

Answers

Droughts can affect food supply, shortages of drinking water and poor quality drinking water.

What does Drought means?

Drought is a period of unusually dry weather that leads to a shortage of water and below-average crop yields. It is caused by a combination of low levels of precipitation, high temperatures, and other environmental factors such as wind and humidity. Drought can have significant impacts on agriculture, wildlife, and human populations.

What does Agriculture  mean?

Agriculture is the science, art, and practice of cultivating the soil, producing crops, and raising livestock for human consumption and other uses. It involves the management and care of the land, crops, animals, and machinery used in farming. Agriculture is also used to refer to the collective methods of producing food, fiber, and other goods through farming and forestry.

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the competitive advantage of an innovative strategy is directly related to management capability and the knowledge developed and shared.

Answers

It is completely true that the competitive advantage of an innovative strategy is directly related to the management capacity and the knowledge developed and shared

Innovation Process

You can classify 7 strategies that must be implemented if you seek to obtain a business innovation:

Create a creative teamImplement a customer management systemHire a Chief Future OfficerQualifies as a socially responsible companyUse digital platformsDevelop a department of new productsBuild partnerships that spur innovation

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zebra, inc., a calendar year s corporation, incurred the following items this year. sammy is a 40% zebra shareholder throughout the year.

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Sammy’s share of Zebra’s nonseparately computed income or loss is $28,000 and Sammy’s share of any Zebra long-term capital gain is $6,000.

Following is a calculation of Sammy's nonseparately computed income or loss and Sammy's shares in long-term capital gains:

Non-separate income = Operating income + Recapture revenue from Depreciation- Cost of Goods Sold- ADM Expense - Depreciation.

Non-separate income= $100,000 + $25,000 - $40,000 - $5,000 - $10,000  

Non-separate income= $70,000

Sammy's Share = Non separately income × Sammy Percentage

= $70,000 × 0.40

= $28,000

Sammy share in Long term capital gain

= $15,000 * 0.40

= $6,000

your question is incomplete but most probably your full question was

Zebra, Inc., a calendar year S corporation, incurred the following items this year. Sammy is a 40% Zebra shareholder throughout the year.

Operating income (sales) $100,000

Cost of goods sold (40,000)

Depreciation expense (MACRS) (10,000)

Administrative expenses (5,000)

§1231 gain 21,000

Depreciation recapture income $25,000

Short-term capital loss from stock sale (6,000)

Long-term capital loss from stock sale (4,000)

Long-term capital gain from stock sale 15,000

Charitable contributions (4,500)

a. Calculate Sammy’s share of Zebra’s nonseparately computed income or loss.

b. Calculate Sammy’s share of any Zebra long-term capital gain.

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a government makes a contribution to its pension plan in the amount of 10000 during the year. the actuarially determined annual required

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A government pays $10,000 per year into its pension plan as a contribution. the actuarially calculated mandatory annual contribution for the year. Dutch citizens accumulate 2% of until they reach the required age over a 50-year period.

They are allowed to make an additional $500 contribution for the tax years 2002 through 2005 and an additional $1,000 contribution for the tax years 2006 and later. demand that pension contributions be provided in accordance with the ARC with enough money to cover benefits accrued in the current year. the sums to be decided at the balance sheet date.

The comprehensive actuarial evaluation of the present value. The employer is required to make payments to the plan, and the plan has the responsibility for paying benefits.

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using absolute cell references as necessary, in cell c23, construct a formula to calculate the projected expenses for 2020 after the forecasted increase in cell b21 is applied. fill the formula through cell f23.

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There are two types of cell references: relative and absolute.

When copied and filled into other cells, relative and absolute references act in various ways. A formula relative references are altered when it is transferred to another cell. Contrarily, regardless of where they are duplicated, absolute references stay true.

Relative references:

All cell references are by default relative references. They modify based on the relation between rows and columns when replicated across many cells. For instance, the formula =A1+B1 will become =A2+B2 if you transfer it from row 1 to row 2. When you need to repeat the same computation over numerous rows or columns, relative references are extremely useful.

Absolute references:

When filling up cells, there may be situations when you don't want a cell reference to change. Absolute references don't change when copied or filled in, in contrast to relative references. To maintain the consistency of a row and/or column, utilize an absolute reference.

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Suppose Yamahonda, a Japanese-owned motorcycle manufacturer, builds a production plant in Alabama.
This is an example of foreign .......investment in the United States.
Which of the following policies are consistent with the goal of increasing productivity and growth in developing countries? Check all that apply.
a. Providing tax breaks and patents for firms that pursue research and development in health and sciences.
b. Protecting property rights and enforce contracts
c. Pursuing inward-oriented policies.
d. Imposing restrictions on foreign ownership of domestic capital.

Answers

Protecting property rights and enforce contracts  are consistent with the goal of increasing productivity and growth in developing countries.

What are property rights?

Property rights are frequently defined as the ability to possess something, like land or a car, and dispose of it whatever one pleases. This, however, is but one component of property rights that emphasises the sole right to possession. The concept of property rights, which have evolved throughout ancient and contemporary history, from Abrahamic law to Article 17 of the Universal Declaration of Human Rights, is used in economics to specify how a resource or economic good is utilised and owned. Consequently, the owner of an apartment, for instance, has the authority to decide whether to rent it out and, if so, to whom. He or she also has the right to live there.

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True or False: demarketing is a reaction to a surplus of production materials that results in product supply exceeding demand.

Answers

Demarketing is a reaction to a surplus of production materials that results in product supply exceeding demand. The statement is false.

What is demand in business?

Demand in economics refers to a consumer's readiness to pay a certain price for products and services as well as their desire to buy them. Demand for a good or service often declines when its price goes up. The amount needed will rise as a product's price drops, in a similar manner.

Consumers and companies are quite familiar with the idea of demand since it makes sense and happens organically during the course of almost any day. For instance, when a product's pricing is low, shoppers who are keeping an eye on it will buy more of it. When costs increase, such as with a change in season, consumers may buy less or maybe nothing at all.

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100 POINTS PLEASE HELP Supply curves shift to the left when a product is more expensive to create. All of the following are examples of scenarios that would cause this EXCEPT:
A. higher materials cost
B. higher minimum wage for employees
C. higher demand from customers

Answers

Answer:C

Explanation:

suppose the economy is currently in equilibrium at the full-employment real gdp level of y2.and price level of p2. if an event occurred in the economy that triggered demand-pull inflation, we would expect

Answers

Y = AE is the Keynesian condition for determining equilibrium real GDP. The diagonal 45° line with the label Y = AE denotes this equilibrium state in Figure.

The intersection of the AE curve and the 45° line is all that is needed to determine the equilibrium level of GDP or real national income.

What is the connection between GDP at equilibrium and GDP at full employment?

An economy is in a recession if the real GDP at the moment is less than the output at full employment. An economy is experiencing a boom when current real GDP exceeds output at full employment. We can say that the economy is in long-run equilibrium if the output at the moment is the same as the output at full employment.

How is full employment equilibrium calculated?

When there is full employment in the economy, which means that all willing and capable individuals obtain employment at the current wage rate, this is referred to as the "full employment level of equilibrium."

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according to , a person is more likely to persuade his or her boss of a business proposal if it is framed in terms of potential gains.

Answers

Prospect theory states that a person is more likely to persuade his or her supervisor of a business proposal phrased in terms of possible gains.

Explain the significance of the business proposal.

A mission statement and a purpose statement are both included in business presentations. The mission statement describes what you want your firm to accomplish. The objective statement explains why you wrote the business plan, for example, to get funds or to serve as a guide for business operations. A business plan outlines exactly what you intend to do with your company and how you intend to do it. This clarity of vision demonstrates to others that you have given the venture careful consideration. A business proposal explains in detail your aims, how you propose to do company, and what expenses and profit you may expect. A successful proposal demonstrates to the reader how you will mitigate these risks, such as having an attorney on retainer, obtaining various types of insurance, and regularly analyzing competitors' market positions.

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According to the earned value management (EVM) process, in which of the follawing scenaios would the project manager and client need to reassess the assumptions of a project? More than one answer may be setected Check All That Completing a critical task according to new chent specifications would cause the properti to to over budgetAding two additional developers the project would reduce the schedule by hal resulting in an estimated 60 percent increase in salesA project manager determines that the project will not be completed on timeMarket Research has determined that the product bening worked on does not mete the need of their target market

Answers

According to the earned value management (EVM) process, completing a critical task according to new client specifications would cause the project to go over budget, the project manager and client need to reassess the assumptions of a project.

What are the benefits of EVM?

TEVM offers more data than standard project tracking does. By responding to the query, "Have we reached where we want to be in the project?," it goes one step further. & When will this project be completed? It makes it easier to pinpoint our current position in the project and determine when it will be successfully completed. In order to respond to problems early on and keep the project on schedule, the value added strategy helps create greater visibility and control over the project operations. It promotes project visibility and accountability and enables clear communication of the tasks involved. Earned value management (EVM fundamental )'s tenet is that the value of a work product is equal to the quantity.

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Which of the following is NOT identified by your authors as a proactive managementtechnique to reduce exposure to foreign exchange risk?
A) matching currency cash flows
B) currency swaps
C) remaining a purely domestic firm
D) parallel loans

Answers

D Parallel loans

Forward agreements proactive management technique to reduce exposure to foreign exchange risk:

When we enter into a forward contract, we secure the exchange rate for a future foreign currency payment now.

Through the use of a contract with a third party, such as a trustworthy provider of foreign payments like Clear Treasury, it enables companies to safeguard themselves against exchange rate fluctuations.

1. Forward contracts

A forward contract is a foreign exchange agreement where you lock in the exchange rate of a future foreign currency payment

It allows entities to protect themselves from exchange rate movements by entering into a contract with a third party such as a reputable international payment provider like Clear Treasury.

Strategy tips

Calculate the cost or benefit of buying forward when you purchase. The benefits should outweigh what you pay for signing the contract.

For major trading currencies, such as the US dollar or euro, the contract can be up to 10 years forward.

2. Currency futures

Futures contracts are standard legal agreements between two parties agreeing to buy or sell a given amount of currency at a later date, at a specific fixed price. You can use futures to lock in favourable prices for a transaction you need to make in the future.

Strategy tips

You can trade futures in organised exchanges; thus, they are very liquid.

You can hedge a depreciating currency by selling futures and an appreciating one by buying futures.

3. Optional currencies

Options grant businesses the right, but not the responsibility, to purchase or sell a currency at a particular exchange rate known as the strike price on or before a particular date when the option expires.

Tips for strategy

Options are versatile because they allow the holder to buy, sell, or let the option expire based on the exchange rate.

The option premium is the cost associated with having the choice to either execute the option or let it expire. Therefore, carefully consider the calculations to decide which risks are worth taking on options and which ones aren't.

Currency exchanges

Swaps are agreements between two parties to swap cash flows in one currency for a series of other currencies.3. Currency options

Options give companies the right, but not the obligation, to buy or sell the currency at a specific exchange rate, called the strike price, on or before a specific date when the option expires.

Strategy tips

Options give the holder the choice to buy or sell the currency or let the option lapse based on the exchange rate, so they are flexible.

The flexibility to exercise the option or let it lapse comes with a price referred to as the option premium. So the calculate carefully to determine which risks are worth using options and which ones aren’t.

4. Currency swaps

Swaps are contracts that involve an agreement between two parties to exchange cash flows in one currency for a series of cash flows in another currency. This exchange occurs at agreed intervals over a set period.

Strategy tips

Swaps convert liability in one currency to another, and each party pays interest for the exchanged currency at regular intervals.

Swaps often take place between corporations with international operations or between commercial banks.

5. Hedging with specialised ETFs

Investing in long- or short-term specialised currency ETFs can protect the value of your investment from currency volatility. While it functions like any other ETF, currency ETFs hold currency cash deposits or financial instruments tied to an underlying currency that mirrors its movement.

Examples of currency ETFs include the ProShares UltraShort Euro ETF or the Invesco DB US Dollar Index Bullish Fund.

6. Hedging with CFDs

In a contract for difference (CFD), you agree to exchange the difference in the price of a currency from when the position opens to when it's closed. Thus if the market moves in the predicted direction, the investor profits, but if it moves in the opposite direction, they make losses.

7. Invoicing in the local currency

One of the easiest ways to hedge against the exchange rate risk is receiving and making payments in your local currency.

This strategy does not do away with the risk. Instead, it passes it on to your customer or suppliers, an unrealistic approach in a competitive environment.

8. Netting

Netting involves offsetting exposure in one currency in the same or another currency. In this system, subsidiaries deal only with their local currency, leaving all the transaction exposure to the re-invoicing  centre

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What happens when a
business gets audited?
A. The technology department will make
sure that their computer systems are safe
from hackers.
B. The government will look at all of the
company's finances and make sure the
money is accounted for.
C. The architectural engineer will look at
specifications for a project to make sure
they are correct.
D. The chief officers of the company will
look at the manufacturing process to ensure
efficiency.

Answers

Answer:In an audit, the IRS is simply questioning an item or items that you reported on your tax return. For example, the agency may question whether you actually reported all of your income, or claimed legitimate tax deductions. In most cases, you will need to provide additional documentation to support the item in question.

Explanation:

the following activities are not part of the management planning and control cycle: providing information to investors and creditors.

Answers

Giving information to creditors and investors is the proper response. This does not fall under the purview of the management planning and control cycle.

What are the five stages of planning?

The strategic planning process includes five steps.

Choose a position for your strategy.Sort your goals by importance.Organize a strategic plan.Implement and oversee your plan.Plan review and revision.

The four phases of this project management process are initiating, planning, executing, and closing. Between the executing and closing stages, some might also include a fifth "monitoring and controlling" stage.

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_____ is best described as the output range needed to bring down the cost per unit as much as possible, allowing a firm to stake out the lowest-cost position that is achievable through economies of scale.

Answers

Economies of scale are the cost advantages a company has as a result of increasing its output level.

What does "economies" actually mean?

A community's resource allocation is ultimately determined by a collection of connected processes of production and consumption collectively referred to as an economy. The production and consumption of goods and services in their entirety satisfy the needs of those who live and work there.

Which four types of economies are there?

Every economy functions under a specific set of conditions and suppositions. The four main categories of economic systems are economy, centrally controlled economies, command economies, and market economies.

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The first step in the human resources planning process is to

Answers

The first step in the human resources planning process is to assessment of human resources needs for an organization.

What is Human resources planning process?

The process of recruitment and staffing process undertaken by the middle level management is termed as Human resources planning process. It is major activity that related to selection of job for a right person to right place.

This process is very wide and might be time taking to select a right candidate, so that the staffing manager or Human resource executive shall follow below steps:

Assessing Manpower Needs. Based on the work that needs to be done, it should be fairly easy to estimate what your manpower requirements are that would be cater.
Recruitment process.
Selection process among recruit candidates.
Placement and Orientation.
On the job and off the training and development.
Regular Performance Appraisal.
Remuneration.

Therefore the primary function in HR planning process is assessment of the work-force that is required to be posted.

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(figure: actual and natural rates of unemployment) use figure: actual and natural rates of unemployment. in 2010, the output gap was:

Answers

The actual rate of unemployment in 2010 was 10% while the natural rate was 5.8%.

What does Unemployment mean?

Unemployment is a term used to describe a person who is out of work or who is looking for work but is unable to find it. The individual may be unemployed or have lost their job and are looking for another but are unable to find suitable employment. Unemployment can also refer to a broader situation in which an economy lacks job opportunities.

What does Natural rate mean?

A theoretical rate of interest at which aggregate supply and aggregate demand for goods and services in an economy are equal is known as the "natural rate of interest." This rate reflects an economy's normal level of real output and employment and does not account for any government or central bank intervention. It is also known as the Wicksellian rate of interest or the equilibrium rate of interest.

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operating income using the contribution margin format income statement is calculated as revenue - variable expenses - fixed expenses.

Answers

Running profits the use of the contribution margin layout income statement  is calculated as. sales - variable expenses = contribution margin - constant expenses.

The required details about income statement is mentioned in below paragraph.

An income statement is one of the 3 important monetary statements used for reporting a organisation’s monetary overall performance over a selected accounting period. The different key statements are the stability sheet and the coins go with the drift announcement.

The income statement specializes in the sales, expenses, gains, and losses of a organisation at some stage in a selected period. Also called the earnings and loss (P&L) announcement or the announcement of sales and expense, an profits announcement affords treasured insights right into a organisation’s operations, the performance of its management, underperforming sectors, and its overall performance relative to enterprise peers.

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When the real dollar figures are known and then these figures are compared to what was budgeted, this process is called

Answers

Answer: Multiple Choice the budget process, forecasting method, the financial control process, or the reimbursement method
(All are correct)

Financial control refers to comparing actual dollar amounts with budgeted amounts after knowing the actual dollar amounts. Thus, option C is correct.

What is financial control?

The methods, procedures, and techniques an organization uses to monitor and manage the use, allocation, and direction of its financial resources are known as financial controls.

Any organization's resource management and operational effectiveness depend on its financial controls.

Financial controls are the policies and process an organization develops to manage its financial resources effectively.

A set of guidelines for recording, evaluating, and reporting transactions are also included. It enables a business to make decisions about the usage, allocation, and direction of financial resources and to guarantee efficient financial management, productive output, and financial success.

Without it, operations, performance, and budgeting can all suffer. Financial controls are laws and practices intended to stop or catch fraud and accounting irregularities.

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Your question is incomplete; most probably, your complete question was this:

When the real dollar figures are known, and then these figures are compared to what was budgeted, this process is called

Multiple Choice

A the budget process.

B Both the budget process and the forecasting method are correct.

C The financial control process.

D The reimbursement method.

E The forecasting process

3. Jiro has £50 000 in a savings account. He intends to leave it there for the next 3
years and has a fixed annual interest rate of 3% per year. How much will his £50 000
be worth after 3 years?

Answers

Jiro', £50 000 in the savings account will be worth £54636.35 after 3 years.

What is a savings account?

Savings accounts are deposit accounts that often pay more interest than checking accounts that do. Savings accounts place a cap on the number of specific transfers and withdrawals that can be made from the account throughout each cycle of monthly statements. Savings accounts are a secure place to save cash that you might need at a moment's notice. Almost any bank or credit union allows you to start one, frequently totally online and with little to no initial deposit. These accounts consistently pay the stated rate of interest, and while some have little fees, most do not.

Given,

Principle amount P = £50000

Rate of interest = 3% = 0.03

Time period T = 3 year

Total amount = P(1 + R)^T

Total amount = 50000(1 + 0.03)^3

= £54636.35

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Which of the following combinations of actions will likely provide the biggest competitive benefits in helping a company achieve a differentiation-based competitive advantage over some/many of its rivals? - Delivering orders to branded footwear retailers in 2 weeks in all geographic regions, spending industry-average amounts for retailer support in all four geographic regions, offering a rebate of as much as $5 in each geographic region, offering free shipping to online buyers in all regions, and charging prices for branded footwear that are $6 per pair higher than the industry-average in the Internet segment and $2 higher than the industry-average in the Wholesale segment in all 4 regions - Building a production facility with 8-million pairs of capacity in Latin America, ceasing production in North America, using all available plant capacity to make branded footwear, using 75% superior materials in producing branded footwear, and spending abol-average amounts on search engine and brand advertising in all four geographic regions - Offering 400 models/styles to buyers in all four geographic regions, maintaining a celebrity appeal rating of 200 or higher in all four geographic regions, selling branded footwear with a 72-star S/Q rating in all four geographic regions, offering a mail-in rebate of $5 in all four geographic regions, and selling branded footwear at prices $3 above the industry-average in both the Internet and Wholesale segments in all four regions - Using 100% superior materials to produce branded footwear at all of the company's plants. 6 delivering orders to branded footwear retailers in 1 week, avoiding trying to win private-label contracts in all four geographic regions (so as to protect the company's image as a maker of premium quality footwear), and establishing production facilities with combined production capacity in Latin America and Europe-Africa of 9-million pairs (without use of overtime) - Raising worker base pay at each production facility by $1,000 each year, achieving and maintaining a celebrity appeal rating of 150 or more in each geographic region, charging prices for branded footwear in both the Internet and Wholesale segments that are the industry-low in all four regions, and offering 300 model/styles in each region for buyers to choose among

Answers

The accurate alternative is C Offering four hundred fashions/patterns to shoppers in all 4 geographic regions.

The required details for geographic regions in given paragraph

Offering four hundred fashions/patterns to shoppers in all 4 geographic regions, retaining a celeb enchantment score of two hundred or better in all 4 geographic regions, promoting branded shoes with a 72-supermegacelebrity S/Q score in all 4 geographic regions, imparting a mail-in rebate of $five in all 4 geographic regions, and promoting branded shoes at prices $three above the industry-common in each the Internet and Wholesale segments in all 4 regions.

Reason..

Customer s may be without problems attracted whilst there are exceptional sorts and fashions of the product. In addition it ought to have an appealing price, feature, quality, service, warranty, better S/Q score.

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a firm has an operating cycle of 120 days, an average collection period of 40 days, and an average payment period of 30 days. the firm's average age of inventory is days.

Answers

A firm has an operating cycle of 120 days, an average collection period of 40 days, and an average payment period of 30 days. The firm's average age of inventory is days is 80.

Average inventory age=operating cycle - average collection period

=120-40

=80 days

What is average age of inventory?

The typical number of days it takes a business to sell off its inventory is known as the average age of inventory. Analysts use this indicator to assess the effectiveness of sales. Days' sales in inventory are another name for the average age of inventory (DSI).

How can you figure out how old an organization's inventory is on average?

The cost of goods sold (COGS) for the time period is divided by the average inventory balance, and the result is multiplied by 365 days to determine the average age of the inventory. Over the course of a year, the average age of inventory is computed.

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