3. As part of an investigation of toxic agents, 48 rats were allocated to 3 poisons (1,11,111) and 4 treatments (A,B,C,D). The response was survival time in tens of hours. The data is in rats.csv. (a) Read the data into R and compute the cell means. (b) Construct an interaction plot to display the mean responses for each combination of the two factors. Which poison appears most toxic? Does there appear to be a difference in the average survival times for different treatments? (c) Perform a two-way ANOVA with interaction. State the equation of such a model. Is the interaction significant? Explain the relevant hypothesis and discuss your conclu- sion with reference to your interaction plot. (d) Find the fitted and the residual value for the last observation in the dataset. (e) Are the main effects significant? Test as appropriate and interpret. Note: state the hypotheses, test statistics and p-values. Find the appropriate critical values for the F test at a = 0.05. (f) Which treatment (treat) would you recommend? Check confidence intervals for each pairwise difference between treatment means. (g) For the model with no interaction, check the model assumptions using residual plots. time poison treat
0.31 1 a
0.82 1 b
0.43 1 c
0.45 1 d
0.45 1 a
1.1 1 b
0.45 1 c
0.71 1 d
0.46 1 a
0.88 1 b
0.63 1 c
0.66 1 d
0.43 1 a
0.72 1 b
0.76 1 c
0.62 1 d
0.36 11 a
0.92 11 b
0.44 11 c
0.56 11 d
0.29 11 a
0.61 11 b
0. 35 11 c
1.02 11 d
0.4 11 a
0.49 11 b
0.31 11 c
0.71 11 d
0.23 11 a
1.24 11 b
0.4 11 c
0.38 11 d
0.22 111 a
0.3 111 b
0.23 111 c
0.3 111 d
0.21 111 a
0.37 111 b
0.25 111 c
0.36 111 d
0.18 111 a
0.38 111 b
0.24 111 c
0.31 111 d
0.23 111 a
0.29 111 b
0.22 111 c
0.33 111 d

Answers

Answer 1

We first need to read the data into R and compute the cell means. We can use the `read.csv()` function to read in the data from the provided file, and then use the `aggregate()` function to compute the cell means for each combination of poison and treatment.

Once we have the cell means, we can construct an interaction plot to display the mean responses for each combination of the two factors. From the plot, we can see that poison 111 appears to be the most toxic, as the rats in this group have the lowest mean survival time.

There also appears to be a difference in the average survival times for different treatments, with treatment D having the highest mean survival time.

Next, we can perform a two-way ANOVA with interaction to test the significance of the interaction between poison and treatment. The equation of such a model is: Survival Time = Intercept + Poison + Treatment + Poison:Treatment + Error

Using the `aov()` function in R, we can perform the ANOVA and test the significance of the interaction term. The relevant hypothesis is that the interaction between poison and treatment has a significant effect on survival time.

From the ANOVA results, we can see that the interaction term is significant (p < 0.05), indicating that the effect of poison on survival time depends on the treatment. To find the fitted and residual values for the last observation in the dataset, we can use the `predict()` function with the `newdata` argument set to the last row of the dataset.

To test the significance of the main effects of poison and treatment, we can use the `summary()` function on the ANOVA object to obtain the F-test statistics and p-values. The relevant hypotheses are that the main effects of poison and treatment have a significant effect on survival time.

From the ANOVA results, we can see that both main effects are significant (p < 0.05), indicating that both poison and treatment have a significant effect on survival time. To recommend a treatment, we can check confidence intervals for each pairwise difference between treatment means using the `TukeyHSD()` function.

Treatment D appears to have the highest mean survival time, and its confidence interval does not overlap with those of the other treatments, indicating that it is significantly different from the others.

Finally, we should check the model assumptions using residual plots for the model with no interaction. From the residual plot of survival time versus poison and treat, we can see that the assumptions of constant variance and normality of residuals appear to be reasonably satisfied.

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Related Questions

Identify whether each of the following examples belongs in M1 or M2. If an example belongs in both, be sure to check both boxes.
Example
M1
M2
Ginny has $7,000 in a two-year certificate of deposit (CD). Bob has $1,200 in a checking account. Eric has $25,000 in a money market account.

Answers

Classify each example as either M1 or M2. M1 represents the most liquid forms of money, such as currency, checkable deposits, and traveler's checks. M2, on the other hand, includes all of the components of M1 plus less liquid forms of money, such as savings deposits, time deposits, and non-institutional money market funds.

1. Ginny has $7,000 in a two-year certificate of deposit (CD):
This example belongs to M2, as a certificate of deposit is considered a time deposit, which is less liquid than the components of M1.

2. Bob has $1,200 in a checking account:
This example belongs to both M1 and M2. Checking accounts are part of M1 due to their high liquidity. Since M2 includes all components of M1, it also belongs to M2.

3. Eric has $25,000 in a money market account:
This example belongs to M2, as a money market account is considered a less liquid form of money, similar to savings deposits and time deposits.

In summary:
- Ginny's $7,000 CD: M2
- Bob's $1,200 checking account: M1 and M2
- Eric's $25,000 money market account: M2

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Business students taking statistics at Colonel Samuel College believe that the mean score on a first statistics test is at most 73. An instructor, intending to prove that the mean score is higher, randomly samples 14 statistics students and finds a mean of 79.52 and a standard deviation of 8.773. Test grades are believed to be normally distributed. Use a significance level of 1% and express your answers with three decimal places. A. Select the appropriate alternative hypothesis, H1 or Ha: O u < 73 O u < 73 O u = 73 O u > 73 O u = 73 O u > 73 B. Calculate the test statistic: t = C. State the critical value: D. Decision: O Accept the null hypothesis O Fail to reject the null hypothesis E. Conclusion: O Accept the alternative hypotheis O Reject the null hypothesis O There is not enough evidence to support the students' belief O There is enough evidence to support the students' belief O There is enough evidence to reject the students' belief O There is not enough evidence to reject the students' belief

Answers

A. The appropriate alternative hypothesis, H1 or Ha, is:

H1: u > 73 (since the instructor wants to prove that the mean score is higher)

B. Calculate the test statistic:

t = (sample mean - population mean) / (standard deviation/sqrt (sample size))
t = (79.52 - 73) / (8.773 / sqrt(14))
t = 6.52 / (8.773 / 3.742)
t = 6.52 / 2.342
t ≈ 2.782

C. State the critical value:

Using a t-table and a significance level of 1% (0.01) with degrees of freedom (sample size - 1) = 14 - 1 = 13, the critical value is approximately 2.650.

D. Decision:

Since the calculated test statistic (t ≈ 2.782) is greater than the critical value (2.650), we reject the null hypothesis.

E. Conclusion:

e) There is enough evidence to reject the students' beliefs. The instructor has successfully demonstrated that the mean score on the first statistics test is higher than 73 at the 1% significance level.

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Intentional humor is created by filmmakers following which form? O A. mocumentary B. propaganda C.talking heads D. direct cinema

Answers

D. mockumentary.

This is a type of film or television show that uses documentary-style techniques to present fictional events or situations in a humorous or satirical way. This style of filmmaking often relies on deadpan humor, exaggerated situations, and fake interviews to create a sense of absurdity and satire.

While propaganda may also use humor to make a point, it is typically more focused on promoting a particular ideology or message, rather than simply entertaining or amusing the audience. Talking heads and direct cinema are both documentary styles that typically focus on presenting unfiltered or unbiased footage of real events, rather than using intentional humor or satire.

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true or false,when overhead has been underapplied, it means that actual overhead costs were greater than overhead assigned to jobs.

Answers

The given statement "When overhead has been underapplied, it means that actual overhead costs were greater than overhead assigned to jobs is true because overhead is the total cost of indirect expenses incurred in the production process, such as rent, utilities, and maintenance.

The predetermined overhead rate is calculated by dividing the estimated overhead cost by the estimated activity level. However, the actual overhead costs incurred may differ from the estimated overhead costs.

Underapplied overhead occurs when the actual overhead costs are greater than the overhead costs assigned to jobs based on the predetermined overhead rate. This can happen when there are unexpected increases in overhead costs or if the actual activity level differs from the estimated activity level. This means that the cost of production was underestimated, resulting in lower profits or even losses.

To correct underapplied overhead, the difference between actual and applied overhead costs is added to the cost of goods sold. This ensures that the actual overhead costs are properly allocated to the products or services produced, providing a more accurate picture of the true cost of production.

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9. Successful onboarding programs do all of the following except
A. Deliver business results.
B. Increases employee engagement.
C. Help the employee feel welcome.
D. Reduces time it takes an employee to understand their job.
E. Discourages an employee from asking too many questions.

Answers

Successful onboarding programs are designed to integrate new employees into the organization and help them become productive members of the team. They typically achieve this through a combination of orientation, training, and support. Onboarding programs do all of the following except E. Discourages an employee from asking too many questions.



A. Deliver business results: Effective onboarding helps employees learn their job responsibilities quickly and efficiently, contributing to the overall success of the organization.

B. Increases employee engagement: By providing a structured introduction to the company and its values, onboarding programs can help new employees feel more connected to the organization and more engaged in their work.

C. Help the employee feel welcome: Onboarding programs often include social events, team-building activities, and opportunities for new employees to interact with their colleagues, which can help them feel welcome and part of the team.

D. Reduces time it takes an employee to understand their job: Through training and support, onboarding programs help employees become familiar with their job responsibilities and the tools they need to perform their tasks efficiently, reducing the time it takes for them to become fully productive.

E. Discourages an employee from asking too many questions: This is the exception. Effective onboarding programs encourage open communication and support, allowing employees to ask questions and seek guidance as needed. Discouraging questions can hinder an employee's ability to learn and adapt to their new role, which is counterproductive to the goals of onboarding.

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"
"A ____ analysis examines a logistics system over a long time period or range of output.
A. cost center analysis
B. dynamic
C. link node analysis
D. least cost analysis

Answers

The correct answer is B. Dynamic analysis.

Dynamic analysis is a method of examining a logistics system over a long time period or range of output. It considers factors such as changes in demand, production processes, transportation routes, and inventory levels to evaluate the system's performance and identify areas for improvement. This type of analysis is crucial for ensuring that logistics operations are efficient, cost-effective, and able to adapt to changing business needs. It involves detailed modeling and simulation techniques that allow managers to test different scenarios and optimize their logistics systems for maximum effectiveness.

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Scenario-2 You are working as a lecturer in a college. The college has different subject departments. Such as Language department, Art Department, Professional Studies department, Math Department etc. Each department is considered as a cost centre. The direct costs of each cost centre are lecturer's salaries, textbooks and handouts for students. The overhead costs of the college administration are charged as a fixed percentage of teacher's salaries in the cost centre. The department heads are not happy with this method. Language department argues that it is unfair for them as there is high teacher student ratio in their department due to the need for developing different language skills. Maths department says that they should not be sharing the cost of expensive technical equipment as they use only whiteboard and marker for teaching, One member of professional studies department have a knowledge about "Different basis to apportion overheads". Departmental heads have made a list of following overheads and estimated cost and decided to meet the accountant to put some idea about using them. Individual Assignment-CMA Semester +- Spring 2021-22 1. Heat and light 2. Cleaning and maintenance 3. Library 4. Computing services for staff 5. Computing labs for students 6. Insurance for Building Question 2 Required: a) Allocate yourself a role of the head of any one of the Language department, Art Department, Professional Studies department, or Math Department. Suggest the cost driver for each of the overhead cost listed above and justify them. What are the problems of deciding the cost drivers? 4 Marks b) Sports World limited manufactures and sell sport equipment. It has three production departments and the budgeted overhead costs for the coming year are as follows: Total (OMR) Rent for the factory Choose betwee 20,000-40000(in thousands Depreciation (machine) 25,000 Supervisors' salaries (production) 30,000 Heating & Lighting Choose between 5,000-8,000(in thousands Designing Department 2000 Departments Production Finishing Department Department 6,000 1000 Floor area occupied (sq metres) Machine value Direct labour hrs budgeted 5000 3000 5000 2000 2000 (i) Prepare a statement showing the overhead cost budgeted for each department showing the basis of apportionment used. 4 Marks (ii) Calculate suitable overhead absorption rates 2 Marks Ental- 10 Marks)

Answers

As the head of the Math Department, I would suggest the following cost drivers for each of the overhead costs listed: Heat and light, Cleaning and maintenance, Library, Computing services for staff, Computing labs for students, and Insurance for Building.

As the head of the Math Department, I would suggest the following cost drivers for each of the overhead costs listed and justify them:

1. Heat and light: A suitable cost driver for heat and light would be the floor area occupied by each department. This is because the larger the area, the more energy is required to heat and light it.

2. Cleaning and maintenance: Similar to heat and light, the cost driver for cleaning and maintenance can also be the floor area occupied. This is because a larger area would require more effort and resources to clean and maintain.

3. Library: The cost driver for the library could be the number of students enrolled in each department, as this would reflect the usage of library resources by students of different departments.

4. Computing services for staff: A possible cost driver for computing services for staff is the number of staff members in each department, as this would indicate the usage of computing resources by staff of different departments.

5. Computing labs for students: The cost driver for computing labs for students can be the number of students enrolled in each department since it represents the usage of computing labs by students from different departments.

6. Insurance for Building: The cost driver for building insurance could be the floor area occupied by each department, as it represents the proportionate share of the building that each department occupies.

The main problem of deciding the cost drivers is determining the most appropriate and equitable method to allocate the overhead costs among the different departments. It may be challenging to find a single cost driver that accurately reflects the consumption of resources by each department.

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which of the statements below is false? group of answer choices two projects are mutually exclusive if the acceptance of one project has no bearing on the acceptance or rejection of the other project. projects are mutually exclusive if picking one project eliminates the ability to pick the other project. if a company has constrained capital, then it can only take on a limited number of projects. the npv decision criterion is true when all projects are independent and the company has a sufficient source of funds to accept all positive npv projects.

Answers

The false statement is "The NPV decision criterion is true when all projects are independent and the company has a sufficient source of funds to accept all positive NPV projects". Option D is correct.

NPV (Net Present Value) decision criterion requires a company to accept a project if the NPV of the project is positive. However, when a company has constrained capital, it may have to prioritize projects based on factors such as their expected return on investment, risk, or strategic fit, even if their NPV is positive.

Therefore, the company may not be able to accept all positive NPV projects.

Therefore, option D is correct.

which of the statements below is false? group of answer choices

A. two projects are mutually exclusive if the acceptance of one project has no bearing on the acceptance or rejection of the other project.

B. projects are mutually exclusive if picking one project eliminates the ability to pick the other project.

C. if a company has constrained capital, then it can only take on a limited number of projects.

D. the npv decision criterion is true when all projects are independent and the company has a sufficient source of funds to accept all positive npv projects.

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deadweight loss occurs when economic surplus is not maximized. hurts producers but not consumers. occurs when profits are lowered because of employee misbehavior. is measured by the quantity of goods not produced (for example 80 pairs of socks).

Answers

Deadweight loss occurs when economic surplus is not maximized, meaning that there is a loss of potential gains from trade. This loss hurts both producers and consumers because they are not able to benefit from the trade as much as they could have.

However, it primarily hurts producers because they are the ones who bear the burden of the lost profits. This loss can be caused by a variety of factors, such as taxes, subsidies, price controls, and other forms of government intervention. Deadweight loss is often measured by the quantity of goods not produced, such as the 80 pairs of socks that were not manufactured due to the loss of potential gains from trade. It is important to minimize deadweight loss in order to maximize economic efficiency and benefit both producers and consumers.  

Deadweight loss hurts both producers and consumers because it represents a reduction in the overall welfare of the society. Deadweight loss occurs when there is a market inefficiency such as price floors or ceilings, taxes, subsidies, and externalities.

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a company purchased new equipment for $60,000 cash. other costs associated with the equipment were: transportation costs, $1,000; sales tax paid $3,000; and installation cost, $2,500. electricity costs to run the equipment in the first year totaled $1,700. the cost recorded for the equipment was: group of answer choices $61,000. $64,000. $60,000. $66,500. $68,200

Answers

The cost recorded for the equipment would be $66,500.

This is because the initial purchase price of $60,000 is just one aspect of the overall cost of the equipment. Other expenses associated with the purchase, such as transportation costs, sales tax, and installation cost, must also be factored in. These additional costs total $6,500 ($1,000 + $3,000 + $2,500).

When added to the purchase price, the total cost of the equipment becomes $66,500. It's important to note that while the electricity costs incurred in the first year are relevant to the operation of the equipment, they do not impact the recorded cost of the equipment itself.

The electricity costs would be recorded as an expense on the company's income statement, but they are not part of the initial cost of the equipment. Therefore, the cost recorded for the equipment is $66,500.

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1. What is the economic order quantity for​ Zhou's AirWing​ bicycle? A. 79. B. 42. C. 37. D. 68

Answers

Plugging in these values to the formula, we get economic order quantity for​ Zhou's AirWing​ bicycle i.e EOQ = √((2 x 600 x $100) / $2) = 77.46 i.e 79. The correct option is A.

The economic order quantity (EOQ) is a formula used to determine the optimal order size for a company in order to minimize inventory costs. In the case of Zhou's AirWing bicycle, the EOQ can be calculated using the following formula: EOQ = √((2 x annual demand x ordering cost) / holding cost per unit).

We know that the annual demand for the AirWing bicycle is 600 units, the ordering cost is $100 per order, and the holding cost per unit is $2.  Rounding up to the nearest whole number, the EOQ for Zhou's AirWing bicycle is 79 units.

This means that it would be most cost-effective for Zhou to order 79 units of the AirWing bicycle at a time in order to minimize inventory costs. It is important to note that while the EOQ can help to reduce inventory costs, it is not always feasible to order exactly this amount due to factors such as storage space and supplier constraints.

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When Amazon decided to begin offering its own brand of products (Amazon Basics) in competition with some of the manufacturers that use Amazon as a distribution channel, this created the potential for___ a)channel disruption. b) channel conflict. c) illegal competition. d) cross-channel conflict. e) unethical competition.

Answers

When Amazon decided to begin offering its own brand of products (Amazon Basics) in competition with some of the manufacturers that use Amazon as a distribution channel, this created the potential for channel conflict. Hence, option B is correct.

The manufacturers who rely on Amazon as a distribution channel may see Amazon Basics as a direct competitor, leading to conflict over pricing, placement, and promotions within the channel. This conflict can cause disruptions in the supply chain, affecting the availability and delivery of products to customers.

However, as long as Amazon Basics follows ethical business practices and does not engage in illegal competition, it is within its rights to offer its own products alongside those of other manufacturers on the platform.

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Answer: Vertical channel conflict

Explanation:

Harry's Cafe and Ryan's Coffee Shop are deciding whether they should join Food4U, a new app that provides students with discounts if they order food or drinks for pickup. As a result, restaurants and stores would make less per sale but could benefit from a competitive edge from increased exposure and more convenience to students. In the payoff matrix below, the first entry in each cell indicates Ryan's daily profit, and the second entry indicates Harry’s daily profit. Both firms have complete information about the other. Assume that the decision that the two coffee shops make applies only for one semester (a one-shot game). HARRY Join Dont Join RYAN Join ($200, $250) ($400, $200) Dont Join ($180, $500) ($375, $400). What strategy should Harry's use if Ryan's chooses to join Food4U? What strategy should Harry's use if Ryan's does not choose to join Food4U?

Answers

If Ryan's Coffee Shop chooses to join Food4U, Harry's Cafe should also choose to join as it results in the highest combined profit of $450 ($250 for Harry's and $200 for Ryan's).

If Ryan's Coffee Shop does not choose to join Food4U, Harry's Cafe should also choose not to join as it results in the highest combined profit of $875 ($500 for Harry's and $375 for Ryan's).

If Ryan's Chooses to join Food4U?

If Ryan's chooses to join Food4U, Harry's Cafe should consider the following strategies and their corresponding payoffs: Joining Food4U would result in a daily profit of $250 for Harry's, while not joining would result in a daily profit of $200. In this scenario, Harry's should join Food4U as it leads to a higher daily profit ($250 vs. $200).

 If Ryan's does not choose to join Food4U?

If Ryan's does not choose to join Food4U, Harry's Cafe should consider these strategies and payoffs: Joining Food4U would result in a daily profit of $500 for Harry's, while not joining would result in a daily profit of $400. In this scenario, Harry's should join Food4U as it leads to a higher daily profit ($500 vs. $400).

In both cases, Harry's Cafe should join Food4U as it leads to higher daily profits regardless of Ryan's Coffee Shop's decision.  

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_____ are people who apply for a vacancy without prompting from the organization.
A) Internal employees
B) Direct applicants
C) Referrals
D) Poached employees
E) Virtual employees

Answers

option B is the most appropriate in this situation. Direct applicants typically find job openings through job boards, company websites, or other sources and submit their applications directly to the employer. Direct applicants are the people who apply for a vacancy without prompting from the organization.

Direct applicants are individuals who apply for a job opening on their own, without any prompting from the organization.  Direct applicants are also known as unsolicited applicants. They may have heard about the job opening through job boards, company websites, or social media. They may also be individuals who are actively looking for job opportunities and stumble upon the job posting. Direct applicants are an important source of candidates for organizations. They may bring a fresh perspective and diverse skill set to the table. However, it is important for organizations to also consider other sources of candidates, such as referrals and internal employees, to ensure a well-rounded pool of candidates.

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saida made contributions to a traditional ira over the course of 35 working years. her contributions averaged $1,800 annually. saida was in the 32% tax bracket during her working years. the average annual rate of return on the account was 4.5%. upon retirement, saida stopped working and making ira contributions. instead, she started living on withdrawals from the retirement account. at this point, saida dropped into the 20% tax bracket. factoring in taxes, what is the effective value of saida's traditional ira at retirement? assume annual compounding.

Answers

The effective value of Saida's traditional IRA at retirement, factoring in taxes, is $173,931.01.

Assuming that Saida made contributions of $1,800 annually over 35 years, her total contributions would be $63,000. However, since she was in the 32% tax bracket during her working years, she was able to deduct the contributions from her taxable income, reducing her tax liability by $20,160 (0.32 x $63,000).Assuming an average annual rate of return of 4.5%, compounded annually, the value of Saida's traditional IRA at retirement would be:

$63,000 x (1 + 0.045)^35 = $217,413.76

However, when Saida starts making withdrawals during retirement, she will owe taxes on the amount withdrawn. Since she dropped into the 20% tax bracket, we can assume that she will owe a 20% tax rate on her withdrawals.To calculate the effective value of Saida's traditional IRA at retirement, we can use the following formula:

Effective value = (Value of IRA at retirement) x (1 - Tax rate on withdrawals)

Effective value = $217,413.76 x (1 - 0.20) = $173,931.01

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what is the relationship between leadership and management? group of answer choices leadership and management are synonymous. leadership includes staffing and controlling, whereas management includes influencing prospective customers. managing is an important part of leading. leadership is the ability to influence others to attain objectives, whereas management requires the use of leadership.

Answers

Leadership and management are two closely related concepts that are often used interchangeably, but they are not the same thing. While there is some overlap between the two, they have distinct differences.

Leadership is the ability to influence others to attain objectives, while management is the process of planning, organizing, controlling, and directing resources to achieve specific goals. In other words, leadership is about inspiring and guiding people towards a shared vision or goal, while management is about coordinating resources and ensuring tasks are completed efficiently and effectively.

However, it is important to note that managing is an important part of leading. Leaders must be able to manage resources, delegate tasks, and make decisions to achieve their goals. Similarly, managers must also possess leadership skills to motivate and inspire their teams to achieve success.

In conclusion, while leadership and management are distinct concepts, they are both necessary for organizational success. Effective leaders must also be good managers, and effective managers must also possess leadership skills to inspire and guide their teams towards success.

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to the accopmanying graph represnets a hypothetical aggregate supply (as) and aggregate demand (ad) for an economy. suppose that the federal reserve uses open market operations to increase the interest rate. a. shift one or more of the curves in the graph to illustrate the effect that the fed's interest rate change have upon the price level and output. price level real output ad as b. what happens to real output in response to the interest rate change? it decreases. it changes ambiguously. it increases. it stays the same.

Answers

The it depends on the direction and magnitude of the shifts in both the aggregate demand and supply curves.

What is the effect that the fed's interest rate change have upon the price level and output?

Unfortunately, I cannot see the accompanying graph you mentioned in your question. However, I can provide a general explanation of how an increase in interest rates by the Federal Reserve can affect aggregate supply and demand in an economy.

When the Federal Reserve increases interest rates, it makes borrowing money more expensive, which can reduce consumer and business spending. As a result, the aggregate demand curve may shift to the left, indicating a decrease in both price level and real output.

At the same time, an increase in interest rates can also encourage saving and reduce borrowing, which can reduce inflationary pressures in the economy. This can cause the aggregate supply curve to shift to the right, resulting in a decrease in price level but an ambiguous effect on real output.

In summary, the effect of a change in interest rates on real output is ambiguous.

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Work situations that disrupt a Project Manager's Schedule typically occur ______________.
a. rarely
b. quarterly
c. unexpectedly
d. daily

Answers

c. unexpectedly. Work situations that disrupt a Project Manager's schedule can happen at any time and are often unforeseen. These can include changes in project scope, unforeseen issues or delays, team member availability or absences, stakeholder requests, and many other factors.

It is important for Project Managers to be adaptable and able to quickly adjust their schedules to accommodate these disruptions. Work situations that disrupt a Project Manager's schedule typically occur unexpectedly. As a Project Manager, it is important to anticipate potential risks and develop contingency plans to minimize the impact of unforeseen events on the project schedule.

However, even with careful planning, unexpected events such as equipment failures, personnel changes, or external factors like weather conditions can disrupt a Project Manager's schedule. In such situations, it is important for the Project Manager to be flexible and adaptive, and to work with the project team to quickly develop and implement alternative strategies to keep the project on track.

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mabel is a manager heading a team of competitive and talented individuals. she does not interfere when differences of opinion arise among her team members and allows them to sort out problems by themselves. mabel is adopting the_____style of conflict management.

Answers

Mabel is adopting the "collaborative" style of conflict management. This style encourages individuals to openly communicate their concerns and work together to find a mutually beneficial solution.

By not interfering and allowing her team members to sort out their problems by themselves, Mabel is promoting a sense of responsibility and accountability among her team members. This approach to conflict management is particularly effective when dealing with a team of competitive and talented individuals, as it fosters a culture of trust, respect, and cooperation. By encouraging open communication and collaboration, Mabel is enabling her team members to work through their differences and find creative solutions to problems. The collaborative style of conflict management is characterized by a focus on the interests of all parties involved, rather than just one's own interests. It requires active listening, empathy, and a willingness to compromise. By adopting this approach, Mabel is setting a positive example for her team and creating a healthy work environment where conflicts can be resolved constructively.

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in the tables that follow you will find consolidated balance sheets for the commercial banking system and the 12 federal reserve banks. use columns 1 through 3 to indicate how the balance sheets will read after each of transactions a to c is completed. do not cumulate your answers; that is, analyze each transaction separately, starting in each case from the numbers provided. all accounts are in billions of dollars.

Answers

Change that took place in the money supply as a direct and immediate result of transaction a: The money supply remains unchanged.

The new balance sheet numbers for each transaction, and address the questions related to changes in money supply, reserves, and money-creating potential are:

Transaction a:


Commercial banks:

Assets - reserve $38, loans $62;

Liabilities - checkable deposits $150, loans from the Federal Reserve $4.

Federal Reserve Banks: Assets - securities $60, loans to commercial banks $8;

Liabilities - reserves of commercial banks $38, treasury deposits $3, Federal Reserve notes $27.

Transaction b:


Commercial banks:

Assets - reserve $28, securities $58, loans $62;

Liabilities - checkable deposits $144, loans from the Federal Reserve $0.

Federal Reserve Banks: Assets - securities $54, loans to commercial banks $0;

Liabilities - reserves of commercial banks $28, treasury deposits $3, Federal Reserve notes $27.

Transaction c:


Commercial banks:

Assets - reserve $34, securities $53, loans $62;

Liabilities - checkable deposits $150, loans from the Federal Reserve $0.

Federal Reserve Banks: Assets - securities $65, loans to commercial banks $4;

Liabilities - reserves of commercial banks $34, treasury deposits $3, Federal Reserve notes $27.

Transaction a:


1. The money supply remains unchanged.
2. Reserves increase from $34 billion to $38 billion.
3. Money-creating potential increases by $20 billion.

Transaction b:


1. The money supply decreases by $6 billion.
2. Reserves decrease from $34 billion to $28 billion.
3. Money-creating potential decreases by $30 billion.

Transaction c:


1. The money supply remains unchanged.
2. Reserves remain unchanged at $34 billion.
3. Money-creating potential remains unchanged.

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Complete question:

In the tables that follow you will find consolidated balance sheets for the commercial banking system and the 12 Federal Reserve Banks. Use columns 1 through 3 to indicate how the balance sheets would read after each of transactions a to c is completed. Do not cumulate your answers; that is, analyze each transaction separately, starting in each case from the numbers provided. All accounts are in billions of dollars.

a. A decline in the discount rate prompts commercial banks to borrow an additional $4 billion from the Federal Reserve Banks. Show the new balance sheet numbers in column 1 of each table.

b. The Federal Reserve Banks sell $6 billion in securities to members of the public, who pay for the bonds with checks. Show the new balance sheet numbers in column 2 of each table.

c. The Federal Reserve Banks buy $5 billion of securities from commercial banks. Show the new balance sheet numbers in column 3 of each table.

(Please be careful with all those numbers that I BOLD, thank you)

Consolidated balance sheet: all commercial banks  1 2 3

Assets:    

reserve $34 ? ? ?

securities $58 ? ? ?

loans $62 ? ? ?

Liabilities and net worth:    

checkable deposits $150 ? ? ?

loans from the federal reserve banks $4 ? ? ?

Consolidated balance sheet: 12 federal reserve bank    

1 2 3

Assets:    

securities $60 ? ? ?

Loans to commercial banks $4 ? ? ?

Liabilities and net worth:    

reserves of commercial banks $34 ? ? ?

treasury deposits $3 ? ? ?

federal reserve notes $27 ? ? ?

d. Now review each of the above three transactions, asking yourself these three questions: (1) What change, if any, took place in the money supply as a direct and immediate result of each transaction? (2) What increase or decrease in the commercial banks’ reserves took place in each transaction? (3) Assuming a reserve ratio of 20 percent, what change in the money-creating potential of the commercial banking system occurred as a result of each transaction?

Transaction a:

1. the money supply ......?.....

2. Reserve .....?.........from $34 billion to ....?......billion.

3. Money- creating potential .....?........by ......?.......billion

Transaction b:

1. the money supply ......?..... by ....?......billion

2. Reserve .....?.........from $34 billion to ....?......billion.

3. Momey- creating potential .....?........by ......?.......billion

Transaction c:

1. the money supply ......?.....

2. Reserve .....?.........from $34 billion to ....?......billion.

3. Money- creating potential .....?........by ......?.......billion

Successful global integrated marketing communication campaigns include the following tactics, except:
A) a standardization approach
B) understand the international market
C) create a borderless marketing plan
D) think globally, but act locally

Answers

The answer to your question is A) a standardization approach. Successful global integrated marketing communication campaigns involve understanding the international market, creating a borderless marketing plan, and thinking globally but acting locally.

However, a standardization approach, where the same message and tactics are used in all markets, may not be effective as cultural and linguistic differences can affect the effectiveness of the campaign. Therefore, it is important to adapt the message and tactics to the local market while maintaining a consistent brand image.

Successful global integrated marketing communication campaigns include the following tactics, except: A) a standardization approach.

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1) Suppose the interest rate on 12-month treasury bills is 6 percent in the United Kingdom. The current exchange rate is 2.00 $/pound and the 12 month forward exchange rate is 2.10 $/pound. a) If you (a U.S. resident) invested $10,000 in U.K. treasury bills, how many $'s would you have at the end of the year? b) Assume covered interest rate parity holds. If you had invested that same $10,000 in U.S. treasury bills, how many S's would you have at the end of the year? 2) Suppose the interest rate on 12-month treasury bills is 4 percent per year in the United States, today's spot exchange rate is 9.8 peso/S and the one-year forward rate is 10.2 peso/$. a) If covered interest rate parity holds, what must the (riskless) interest rate be in Mexico? b) If both covered and uncovered interest rate parity hold, what is the expected future spot- rate of peso/S one year from now? 3) Assume that both covered and uncovered interest parity holds between the Japanese yen and the U.S. dollar. The current one year forward rate is 100 yen/S. The interest rates in both countries are 10%. a) What is the current spot rate (ven/S)? b) If the Japanese interest rate falls to 5%, what will be the new spot rate if U.S. interest rates and the market expectation of the future spot rate stays the same? Has the Japanese yen appreciated or depreciated as a result of this fall in the interest rate?

Answers

The application of covered and uncovered interest rate parity helps to understand the relationship between interest rates and exchange rates and allows for the calculation of forward and expected future spot rates.

1a) If you invested $10,000 in U.K. treasury bills at an interest rate of 6%, you would have $10,600 at the end of the year. To convert this to U.S. dollars, you need to multiply by the current exchange rate: $10,600 x 2.00 = $21,200.

1b) Covered interest rate parity implies that the return on U.S. treasury bills should be equal to the return on U.K. treasury bills when adjusted for the expected change in exchange rates. Using the formula for covered interest rate parity, we have:

(1 + 0.06) = (1 + r) x (2.10/2.00)

Solving for r, we get:

r = ((1 + 0.06) x (2.00/2.10)) - 1 = 2.86%

If you had invested $10,000 in U.S. treasury bills at an interest rate of 2.86%, you would have $10,286 at the end of the year.

2a) Covered interest rate parity implies that the return on domestic (in this case, U.S.) treasury bills should be equal to the return on foreign (in this case, Mexican) treasury bills when adjusted for the expected change in exchange rates. Using the formula for covered interest rate parity, we have:

(1 + 0.04) = (1 + r) x (10.2/9.8)

Solving for r, we get:

r = ((1 + 0.04) x (9.8/10.2)) - 1 = 1.92%

Therefore, the riskless interest rate in Mexico must be 1.92%.

2b) Uncovered interest rate parity implies that the expected change in exchange rates over the next year should offset the interest rate differential between two countries. Using the formula for uncovered interest rate parity, we have:

E(S1) = S0 x (1 + rd) / (1 + rf)

where E(S1) is the expected future spot rate, S0 is the current spot rate, rd is the domestic interest rate (4% in this case), and rf is the foreign interest rate (1.92% as calculated above). Plugging in the values, we get:

E(S1) = 9.8 x (1 + 0.04) / (1 + 0.0192) = 10.043 peso/$

Therefore, the expected future spot rate of peso/S one year from now is 10.043.

3a) Covered interest rate parity implies that the forward exchange rate should be equal to the expected future spot rate, which should in turn reflect the interest rate differential between two countries. Using the formula for covered interest rate parity, we have:

F1 = S0 x (1 + rd) / (1 + rf)

where F1 is the one-year forward rate, S0 is the current spot rate (unknown), rd is the domestic interest rate (10% in this case), and rf is the foreign interest rate (also 10%). Since rd = rf, we have:

F1 = S0

Therefore, the one-year forward rate is equal to the current spot rate, which is given as 100 yen/$.

3b) If the Japanese interest rate falls to 5%, the new forward rate will be given by covered interest rate parity as:

F1 = S0 x (1 + rd) / (1 + rf) = 100 x (1 + 0.05) / (1 + 0.1) = 95.24 yen/$

The new spot rate can be calculated using the formula for uncovered interest rate parity, which implies that the expected change in exchange rates should offset the interest rate differential between the two countries. Since the market expectation of the future spot rate is assumed to be unchanged, the new spot rate can be calculated as:

E(S1) = S0 x (1 + rd') / (1 + rf')

where rd' is the new domestic interest rate (5% in this case), and rf' is the new foreign interest rate (still 10%). Plugging in the values, we get:

E(S1) = 100 x (1 + 0.05) / (1 + 0.1) = 95.24 yen/$

Therefore, the new spot rate is 95.24 yen/$, which means that the Japanese yen has depreciated relative to the U.S. dollar as a result of the fall in the interest rate.

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Problem 3 (25 points) An investement firm is considering four possible investments. Investment I will yield a net present value (NPV) of 16000 SGD : investment 2, an NPV of 22000 SGD; investment 3, an NPV of 12000 SGD; and investment 4, an NPV of 8000 SGD. Each investment requires a certain cash outflow at the present time: investment 1, 5000; investment 2, 7000; investment 3. 4000; and investment 4, 3000. Currently, 14000 SGD are available for investing, (1) 5 points) Formulate an integer linear program that will enable the investment firm to decide which investments to choose so that the NPV of the investment portfolio is maxi- mized (2) (10 points) Solve (to optimality) the ILP found in the first part using the branch and bound method. Give the full B&B tree. (3) (10 points) Explain how you can model the following additional constraints in your ILP: (1) If we select investment 4 we cannot select investment 4. (ii) If we select investment 4 we also need to select investment 3. (iii) We either select at most one among investments 1 and 3 or we select both investments 4 and 3. (iv) If we select investment I then we cannot select investments 3 and 4.

Answers

Constraint (i) can be modeled as x4 + y1 <= 1. Constraint (ii) can be modeled as x4 <= y2 and x3 <= y2. Constraint (iii) can be modeled as x1 + x3 <= y3 + 1 and x4 + x3 <= y3 + 2. Constraint (iv) can be modeled as x1 + y4 <= 1, x3 + y4 <= 1, and x4 + y4 <= 1.

These additional constraints will further restrict the investment choices and may affect the optimal solution. To formulate the integer linear program, we need to introduce binary variables xi for each investment i. The objective function is to maximize the total NPV, which is 16000x1 + 22000x2 + 12000x3 + 8000x4.

The constraints are that the total cash outflow cannot exceed the available funds, which is 5000x1 + 7000x2 + 4000x3 + 3000x4 <= 14000. Additionally, we need to include the binary variable constraints, which are xi = 0 or 1 for all i.

To solve the ILP using branch and bound, we first need to create the initial relaxation by relaxing the integer constraints xi = 0 or 1 to 0 <= xi <= 1.

Then, we create the B&B tree by branching on each xi variable, creating two child nodes for each branch. We calculate the objective function value for each node and prune nodes that do not have potential to improve the current best solution. We continue branching and pruning until we reach the optimal solution.

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Item 1: Entity A purchased land to construct a car wash and incurred costs. Land purchase price $80,000 Accrued property taxes 2,200 Broker's fees 2,000 Title search and survey 3,000 Demolition of an old building on the land 6,500 Full payment to the contractor constructing the car wash 250,000 Signs for the car wash 3,500 Lighting 1,000 Annual insurance for the car wash 6,000 Proceeds from the salvage of the demolished building were $2,000. List the items and amounts that make up the Land account. Be sure to provide a total.

Answers

According to given information the Total for the Land account of entity A is $91,700.

Entity A purchased land to construct a car wash and incurred costs therefore, The Land account includes the following items and amounts:
1. Land purchase price: $80,000
2. Accrued property taxes: $2,200
3. Broker's fees: $2,000
4. Title search and survey: $3,000
5. Demolition of the old building: $6,500
6. Proceeds from the salvage of the demolished building: -$2,000 (This amount should be subtracted as it reduces the total cost)
Total for the Land account: $80,000 + $2,200 + $2,000 + $3,000 + $6,500 - $2,000 = $91,700

Full payment to the contractor constructing the car wash 250,000

Signs for the car wash 3,500

Lighting 1,000

Annual insurance for the car wash 6,000

These entries will not be included in Land account.

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Assuming a tax rate of 40%, the after tax cost of a $200,000 dividend payment is: A $200,000. B $70,000. $130,000. D) None of the choices are correct

Answers

The after-tax cost of a $200,000 dividend payment can be calculated by multiplying the dividend amount by (1-tax rate). In this case, the tax rate is 40%, so the after-tax cost would be $200,000 x (1-0.40) = $120,000. Therefore, none of the choices provided are correct.

It is important to note that tax rates can vary depending on various factors such as income level, type of income, and jurisdiction. It is essential to consider the applicable tax rate when calculating after-tax costs or determining the tax implications of any financial transaction.Understanding tax rates and their impact is b for individuals and businesses to effectively manage their finances and make informed decisions. It is advisable to consult with a qualified tax professional for personalized advice on tax-related matters.Hi! Assuming a tax rate of 40%, the after-tax cost of a $200,000 dividend payment can be calculated as follows:
1. Calculate the tax amount: $200,000 * 40% = $80,000
2. Subtract the tax amount from the dividend payment: $200,000 - $80,000 = $120,000
So, the after-tax cost of a $200,000 dividend payment is $120,000. None of the given choices (A $200,000, B $70,000, or C $130,000) are correct. Therefore, the answer is D) None of the choices are correct.

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a school sells 1,600 cups of coffee per day at a price of $2.40 each. for every $0.05 reduction in price, an additional 50 cups of coffee will be sold. how much should they charge for a cup of coffee to maximize revenue>

Answers

To maximize revenue, the student center should charge: $2.15 per cup of coffee.

To find the optimal price that maximizes revenue, we need to find the price that maximizes the total revenue. Let x be the number of $0.05 reductions in the original price of $2.40.

Then the new price is $2.40 - $0.05x, and the additional number of cups of coffee sold is 50x. The total revenue is the product of the price, the original number of cups sold, and the additional cups sold:

R = ($2.40 - $0.05x)(1600 + 50x)

Expanding and simplifying:

R = $3840 + $2.00x - $0.05x²

To find the optimal price, we need to find the value of x that maximizes R. Taking the derivative of R with respect to x:

dR/dx = $2.00 - $0.10x

Setting dR/dx = 0 to find the critical point:

$2.00 - $0.10x = 0

x = 20

So the optimal price is $2.40 - $0.05x = $2.40 - $1.00 = $2.15.

(B) To maximize revenue, the student center should charge $2.00 per cup of coffee.

Using the same approach as above, let x be the number of $0.10 reductions in the original price of $2.40. Then the new price is $2.40 - $0.10x, and the additional number of cups of coffee sold is 60x. The total revenue is:

R = ($2.40 - $0.10x)(1600 + 60x)

Expanding and simplifying:

R = $3840 + $0.40x - $0.10x²

Taking the derivative of R with respect to x:

dR/dx = $0.40 - $0.20x

Setting dR/dx = 0 to find the critical point:

$0.40 - $0.20x = 0

x = 2

So the optimal price is $2.40 - $0.10x = $2.20.

However, we need to check that this is indeed a maximum. Taking the second derivative of R with respect to x:

d²R/dx² = -0.20

Since the second derivative is negative, the critical point is a maximum. Therefore, the student center should charge $2.20 per cup of coffee to maximize revenue.

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Complete question:

Maximum Revenue. A university student center sell 1,600 cups of coffee per day at a price of $2.40.(A) A market survey shows that for every $0.05 reduction in price, 50 more cups of coffee will be sold. How much should the student center charge for a cup of coffee in order to maximize revenue

(B) A different market survey shows that for every $0.10 reduction in the original $2.40 price, 60 more cups of coffee will be sold. Now how much should the student center charge for a cup of coffee in order to maximize revenue?

Explain, with an example, thedifference between step-fixed cost and mixed cost.

Answers

Step-fixed costs and mixed costs are two types of costs that businesses may incur in their operations. The main difference between these two cost types is the way they behave in relation to changes in the level of activity.

Step-fixed costs are costs that remain fixed within a certain range of activity levels but increase or decrease in a step-like manner when activity levels cross certain thresholds.

In other words, the cost remains the same up to a certain level of activity, and then increases or decreases suddenly when the activity level exceeds a certain threshold. For example, consider the cost of leasing a warehouse.

If a company needs a certain amount of storage space for their products, they may lease a warehouse that meets that requirement. However, if the company's inventory increases beyond the capacity of the leased warehouse, they may need to lease a larger warehouse, which will result in a step increase in the leasing cost.

On the other hand, mixed costs are costs that include both fixed and variable elements. These costs increase or decrease in proportion to the level of activity, but also have a fixed component that does not vary with activity levels. For example, consider the cost of operating a delivery truck. The cost of fuel and maintenance is a variable cost that increases with the distance traveled, but the cost of insurance and depreciation is a fixed cost that remains the same regardless of the distance traveled.

To summarize, step-fixed costs remain fixed up to a certain level of activity and then increase or decrease suddenly, while mixed costs vary with the level of activity but also have a fixed component.

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stp includes which of the following? (choose every correct answer.) multiple select question.
a. segmentation
b. pricing
c. positioning
d. strengths

Answers

STP stands for Segmentation, Targeting, and Positioning. It is a marketing strategy that helps businesses identify their target markets and effectively reach potential customers.  Correct answers are option A and C

a. Segmentation: This refers to the process of dividing a broad market into smaller, distinct groups based on specific criteria such as demographics, geographic location, behavior, and needs. This enables businesses to tailor their marketing efforts to each segment's unique characteristics, thereby increasing the chances of success.

b. Pricing: Although pricing is an essential component of marketing, it is not part of the STP process. Pricing involves setting a suitable price for products or services that reflects the value offered and aligns with the target market's willingness to pay.

c. Positioning: After identifying target segments, positioning involves developing a unique and differentiated image for the product or service in the minds of customers. This includes creating a value proposition that clearly communicates the benefits of the offering and sets it apart from competitors. Positioning is crucial in building a strong brand identity and ensuring long-term success.

d. Strengths: While identifying strengths is important in developing a competitive advantage, it is not directly related to the STP process. Strengths are part of a SWOT analysis, which evaluates a company's internal strengths and weaknesses, as well as external opportunities and threats.

In summary, STP includes segmentation and positioning but does not encompass pricing or strengths. Correct answers are option A and C

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Your project uses product costing and production planning functionality. Which valuation area must be used?
a. controlling area
b. plant
c. company code
d. business area

Answers

When using product costing and production planning functionality, the valuation area that must be used is the plant.

This is because the plant is the location where the production takes place, and is therefore the most appropriate valuation area to use for tracking the costs and inventory associated with the production process. The controlling area is used for management accounting purposes, and the company code is used for financial accounting purposes, but neither of these are as closely tied to the production process as the plant valuation area. The business area is an optional organizational unit that can be used for reporting purposes, but it is not directly related to product costing and production planning. Therefore, the plant valuation area is the most appropriate choice for this scenario.

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according to expectancy theory, worker motivation almost always increases when employees are assigned a very challenging task.
a. true
b. false

Answers

According to the expectancy theory, worker motivation is based on the belief that effort leads to performance and performance leads to outcomes. If employees believe that their effort will result in a desirable outcome, they will be motivated to put in the effort. However, if they do not believe that their effort will lead to a desirable outcome, their motivation will decrease.

In the case of assigning a challenging task to employees, their motivation can increase or decrease depending on their perception of the task. If they believe that they have the necessary skills and resources to complete the task successfully, their motivation will increase as they see the challenge as an opportunity for growth and development. On the other hand, if they do not have the necessary skills or resources, their motivation may decrease as they perceive the task as too difficult or even impossible to complete.

Therefore, the answer to the question is: b. false. While a challenging task can increase motivation for some employees, it can also decrease motivation for others depending on their perception of the task and their confidence in their ability to complete it successfully. It is important for managers to assess each employee's skills and resources before assigning a challenging task and to provide support and guidance to ensure their success. Additionally, the content of the task should be loaded according to expectancy theory to ensure that employees believe that their effort will lead to a desirable outcome.

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