the general investment strategy based on a goal of acquiring existing, seasoned, relatively low-risk properties that are at least 80 percent leased to tenants with low credit risk, is:

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Answer 1

The general investment strategy based on a goal of acquiring existing, seasoned, relatively low-risk properties that are at least 80 percent leased to tenants with low credit risk is known as value investing.

Value investing entails the acquisition of properties that are generally undervalued or overlooked by the marketplace and offer a potential for capital appreciation. It involves analyzing potential investment opportunities to identify their strengths and weaknesses in order to determine if they are worth investing in.

Value investors may also consider macro-level factors such as the state of the economy, demographic changes, and public policy to assess the potential risk and return of an investment. This strategy seeks to maximize returns and minimize risks by choosing properties that have a good rental income and an attractive return on investment.

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markets multiple choice encourage specialization. increase government intervention. support closed economies. create unacceptable prices.

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Markets multiple-choice questions encourage specialization. This statement is valid because markets are essential in allowing people to buy and sell goods and services. These markets bring buyers and sellers together to help them exchange goods and services that meet their needs, preferences, and desires.

Specialization in markets refers to the division of labor in the production process. In this process, different workers specialize in performing specific tasks, which leads to a better allocation of resources and increased productivity. Thus, specialization helps increase efficiency and output in the production process, which helps markets operate more efficiently.

Moreover, markets help to create competition among producers, which leads to the production of quality goods and services at reasonable prices. When firms compete for market share, they are forced to innovate, develop better products, and reduce costs. As a result, this helps to create a better allocation of resources and helps to create acceptable prices.

In conclusion, markets multiple-choice questions encourage specialization, and this helps to increase efficiency in the production process. Specialization leads to the division of labor, which helps to improve productivity and lead to a better allocation of resources. Additionally, markets promote competition among producers, which helps to create quality products at reasonable prices. Therefore, markets play an essential role in economic development, and they encourage economic growth and prosperity.

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earnings per share, price-earnings ratio, dividend yield the following information was taken from the financial statements of zeil inc. for december 31 of the current fiscal year: common stock, $25 par value (no change during the year)$7,000,000 preferred $4 stock, $100 par (no change during the year)4,000,000 the net income was $1,000,000 and the declared dividends on the common stock were $70,000 for the current year. the market price of the common stock is $21.00 per share. for the common stock, determine (a) the earnings per share, (b) the price-earnings ratio, (c) the dividends per share, and (d) the dividend yield. if required, round your answers to two decimal places. a. earnings per share$fill in the blank 1 b. price-earnings ratiofill in the blank 2 c. dividends per share$fill in the blank 3 d. dividend yieldfill in the blank 4 %

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The given problem relates to the calculation of earnings per share, price-earnings ratio, dividends per share, and dividend yield. The calculation for each of these is as follows: Earnings per share=Earnings on common shares/Number of common shares outstanding=($1,000,000 - $70,000) / $7,000,000 = $0.13 per share.

Price-earnings ratio=Market value per share/Earnings per share=$21.00/$0.13 = 161.54.Dividends per share=Dividend on common shares/Number of common shares outstanding=$70,000 / $7,000,000 = $0.01 per share. Dividend yield=Dividends per share/Market price per share= $0.01 / $21.00 = 0.048 or 4.80%.The solution to the given problem is shown below: a. Earnings per share = $0.13b. Price-earnings ratio = 161.54c. Dividends per share = $0.01d. Dividend yield = 4.80%.

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smith and smith accountants has detailed job descriptions and policy manuals that tell each employee exactly how to do their job.

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Smith and Smith Accountants utilizes detailed job descriptions and policy manuals to provide clear instructions for employees on performing their tasks.

This approach ensures that each employee understands their specific responsibilities and the correct procedures for their role. The step-by-step guidance provided by these documents helps maintain a high level of efficiency and accuracy within the organization.

Detailed job descriptions outline the primary duties, necessary qualifications, and expectations for each position, while policy manuals provide instructions on company policies, standards, and best practices.

By having clear guidelines in place, Smith and Smith Accountants can reduce misunderstandings, ensure consistent performance, and create a more cohesive and effective work environment for their employees.

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brainly which bond would have the lowest interest rate risk? 10-year, 5% coupon bond 10-year, 3% coupon bond 30-year, 5% coupon bond 30-year, 3% coupon bond

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The 10-year, 3% coupon bond would have the lowest interest rate risk because its duration is the lowest out of the four options, meaning it would be least affected by interest rate changes.

The bond that would have the lowest interest rate risk is the 10-year, 3% coupon bond. This is because the lower the coupon rate, the less sensitive the bond is to changes in interest rates. The 10-year and 30-year maturities do not affect the interest rate risk.

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which option would not help rebecca get the furniture as soon as possible? a) installment loan b) layaway plan c) credit card d) rent-to-own

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The layaway plan under option B is the greatest choice.

Describe the layaway plan ?

Layaway is a term for a deferred payment plan in which the consumer makes deposits or installment payments for goods they intend to buy later. Once the customer makes the initial payment, the retailer reserves, lays away, and stores the item for a predetermined duration.

During these times, the layaway payment plan became a more practical and cost-effective approach to handle pricey items. Customers were able to pay in tiny deposits. The deferred payment plan has been available in significant retail shops for many years and has grown in popularity.

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once managers determine what work needs to be done, they then need to divide up the tasks among workers. this is called of . need help? review these concept resources.

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Once managers determine what work needs to be done, they then need to divide up the tasks among workers. This is called task allocation.

What is task allocation?

Task allocation is the process of determining which tasks are to be accomplished by whom. It is the process of assigning tasks to specific people and groups within an organization. Task allocation is a vital element of an effective organizational strategy.

Managers must determine what work needs to be done, the people who can do it, and how best to use their time, energy, and talents. Task allocation, in essence, is the process of identifying and distributing work amongst team members based on their abilities, expertise, and responsibilities.

This process is important because it allows managers to delegate duties in such a way that everyone has a clear understanding of their responsibilities and their role in the organization.

Task allocation allows managers to ensure that all necessary work is completed in a timely and efficient manner, while also enabling them to respond quickly to new developments or changing priorities.

In addition, task allocation helps to ensure that team members are working on projects that are within their abilities and interests, and that they have the resources they need to complete their work successfully.

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according to keynes, the primary determinant of consumption (and saving) is group of answer choices disposable income. prices. gross domestic product interest rates.

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According to Keynes, the primary determinant of consumption (and saving) is disposable income. Keynesian economics is a macroeconomic theory that emphasizes the role of aggregate demand in driving economic growth and stabilizing the economy during periods of recession or inflation.

John Maynard Keynes, a British economist, developed this theory during the Great Depression in the 1930s. Keynes argued that the primary determinant of consumption (and saving) is disposable income. As disposable income rises, consumption spending increases, and as disposable income falls, consumption spending decreases.

Thus, the level of disposable income is a key factor in determining the level of aggregate demand in the economy. Keynesian economics also emphasizes the role of government intervention in stabilizing the economy through fiscal policy (taxation and government spending) and monetary policy (interest rates and the money supply).

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which of these money market instruments are short-term funds transferred between financial institutions, usually for no more than one day?

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The money market instrument which is short-term funds transferred between financial institutions, usually for no more than one day, is called a Repurchase agreement (REPO).

What are money market instruments?

Money market instruments are securities that have a short-term maturity of one year or less. They are traded in the money markets and are generally low-risk, low-return investments.

The aim of money market instruments is to provide liquidity to financial markets by allowing the transfer of cash between financial institutions at a low cost. Some common money market instruments are Treasury bills, commercial paper, certificates of deposit, and repurchase agreements.

REPOs:

Repo is an abbreviation for "repurchase agreement." It's a kind of short-term borrowing that entails selling a security to another party with a promise to buy it back for a slightly higher price in the future.

This enables firms to raise short-term cash by pledging their securities. These agreements are typically for one day, but they can also be for a longer period.

So, REPOs are the money market instruments that are short-term funds transferred between financial institutions, usually for no more than one day.

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which of the following is an objective for preparing closing entries? multiple choice to transfer the balances of temporary accounts to the retained earnings account. to convert from the accrual basis of accounting to the cash basis of accounting. to make sure that proper adjustments are made before preparing an adjusted trial balance. to reverse the effects of double-entry bookkeeping and ensure that the accounting equation is in balance.

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Closing entries are journal entries made to close out a temporary account at the end of an accounting period. The closing entry's objective is to transfer temporary account balances to permanent accounts, such as retained earnings, and to reset the temporary account balance to zero. Therefore, the right option is "To transfer the balances of temporary accounts to the retained earnings account.

"The closing entries' objective is to transfer the balances of temporary accounts to the retained earnings account. There are four primary types of closing entries: revenue accounts, expense accounts, income summary, and dividend accounts. The primary purpose of the closing entry is to reset the temporary account balance to zero, which means that their net balance is moved to the permanent account.

The temporary account includes revenue, expenses, and dividends account. They are temporary accounts because they are used only for the current accounting period. At the end of the period, the account balance is closed out, and the net balance is transferred to the permanent account for financial reporting.

Closing entries' preparation involves a series of entries that help to reverse the effects of double-entry bookkeeping and guarantee that the accounting equation is in balance. Therefore, the right answer is "To transfer the balances of temporary accounts to the retained earnings account."

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Hamsterville, where the marginal propensity to save is equal to 0.25, is currently experiencing a negative output gap of $60 million.How much would Hamsterville's government have to change taxes to restore the full employment level of aggregate output?

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The government of Hamsterville would need to decrease taxes by $15 million to restore the full employment level of aggregate output.

To calculate the change in taxes required to restore full employment level of aggregate output in Hamsterville, we need to use the formula for the fiscal multiplier:

Fiscal multiplier = 1 / (1 - MPC)

where MPC is the marginal propensity to consume, which is equal to 1 - MPS (marginal propensity to save). In this case, we are given that MPS is 0.25, so MPC is 1 - 0.25 = 0.75. Therefore, the fiscal multiplier is:

Fiscal multiplier = 1 / (1 - 0.75) = 4

This means that for every dollar change in taxes, the overall aggregate output will change by $4.

Since Hamsterville is experiencing a negative output gap of $60 million, to restore full employment level of aggregate output, we need to increase aggregate output by $60 million. Using the fiscal multiplier, we can calculate the change in taxes required:

Change in taxes = Change in aggregate output / Fiscal multiplier

Change in taxes = $60 million / 4

Change in taxes = $15 million

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if the price of a good rise from 10 dollars to 15 and quantity sold decreases from 10000 to 7000 what is the elastiity

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The elasticity is -0.875. This means that the good is relatively inelastic, as the percentage change in quantity sold (-30%) is less than the percentage change in price (+50%).

The elasticity of a good can be calculated using the formula (Q2 - Q1) / (Q2 + Q1) / 2 ÷ (P2 - P1) / (P2 + P1) / 2 where Q1 and P1 are the original quantity and price, and Q2 and P2 are the new quantity and price respectively.

To find the elasticity when the price of a good rises from $10 to $15 and the quantity sold decreases from 10,000 to 7,000, we can use this formula as follows:

Elasticity = ((7,000 - 10,000) / ((7,000 + 10,000) / 2)) / ((15 - 10) / ((15 + 10) / 2))

Elasticity = (-3,000 / 8,500) / (5 / 12.5)

Elasticity = -0.35 / 0.4

Elasticity = -0.875

Therefore, the elasticity is -0.875. This means that the good is relatively inelastic, as the percentage change in quantity sold (-30%) is less than the percentage change in price (+50%).

This indicates that the demand for this good is relatively insensitive to changes in price, meaning that consumers are not very responsive to price changes.

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poehling medical center has a single operating room that is used by local physicians to perform surgical procedures. the cost of using the operating room is accumulated by each patient procedure and includes the direct materials costs (drugs and medical devices), physician surgical time, and operating room overhead. on january 1 of the current year, the annual operating room overhead is estimated to be: disposable supplies $237,600 depreciation expense 59,500 utilities 25,400 nurse salaries 220,900 technician wages 100,600 total operating room overhead $644,000 the overhead costs will be assigned to procedures, based on the number of surgical room hours. poehling medical center expects to use the operating room an average of eight hours per day, seven days per week. in addition, the operating room will be shut down two weeks per year for general repairs. this information has been collected in the microsoft excel online file. open the spreadsheet, perform the required analysis, and input your answers in the questions below. open spreadsheet determine the predetermined operating room overhead rate for the year. round your answer to the nearest dollar. $fill in the blank 2 per hour bill harris had a five-hour procedure on january 22. how much operating room overhead would be charged to his procedure, using the rate determined in part (a)? round your answer to the nearest dollar. $fill in the blank 3 during january, the operating room was used 220 hours. the actual overhead costs incurred for january were $48,900. determine the overapplied operating overhead or underapplied operating overhead for the period. enter your answer as a positive number. round your answer to the nearest dollar. $fill in the blank 4

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Rounded to the nearest dollar, the underapplied operating overhead for the period is $41,860.

(a) The predetermined operating room overhead rate for the year is calculated as follows:

Total operating room overhead / Expected annual operating room hours

= $644,000 / [(365 days - 2 weeks) x 8 hours per day x 7 days per week]

= $644,000 / (365 - 14) x 8 x 7

= $644,000 / 20,216

= $31.84 per hour

Rounded to the nearest dollar, the predetermined operating room overhead rate for the year is $32 per hour.

(b) The operating room overhead charged to Bill Harris's procedure is:

Operating room overhead rate x Hours of procedure

= $32 per hour x 5 hours

= $160

Rounded to the nearest dollar, the operating room overhead charged to Bill Harris's procedure is $160.

(c) The actual overhead costs incurred for January were $48,900, while the overhead that should have been charged based on actual usage was:

Operating room overhead rate x Actual hours of usage

= $32 per hour x 220 hours

= $7,040

The difference between actual overhead costs and overhead charged based on actual usage is:

Actual overhead costs - Overhead charged based on actual usage

= $48,900 - $7,040

= $41,860

Since actual overhead costs are greater than overhead charged based on actual usage, there is an underapplied operating overhead of $41,860 for the period.

Rounded to the nearest dollar, the underapplied operating overhead for the period is $41,860.

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When measuring the effectiveness of her retailing strategy, Martha decides to measure the sales per square foot, which is calculated by dividing ___________ by selling area in square feet.
a. discounted sales
b. total visits
c. lead to close ratio
d. total sales

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When measuring the effectiveness of her retailing strategy, Martha decides to measure the sales per square foot, which is calculated by dividing discounted sales by selling area in square feet.The answer is option A: Discounted sales.

How to calculate sales per square foot?

Sales per square foot is a measurement of sales efficiency that compares sales to floor space. It is calculated by dividing total sales by the area of the selling space in square feet, as shown below:Selling Area = Total Store Area – Stockroom, Back Office, and Other Unrelated AreasSales per Square Foot = Total Sales / Selling Area

Therefore, when measuring the effectiveness of her retailing strategy, Martha decides to measure the sales per square foot, which is calculated by dividing discounted sales by selling area in square feet.

What is discounted sales?

Discounted sales are items that have had their prices reduced. They are frequently placed on sale, particularly during holidays or the end of the season. Retailers often utilize promotional pricing tactics such as discounts to boost sales and attract more customers. Discounts are frequently used to draw attention to seasonal items that must be sold before the season ends.

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the bookkeeper for company wrote a check for to pay for furnace maintenance. the check was incorrectly recorded in the general journal as . the entry to correct this error would be

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The entry to correct the incorrectly recorded check in the general journal is a debit to Cash and a credit to the expense account that the check was meant to pay.

The entry to correct this error in the general journal would be to debit the account Furnace Maintenance and credit the account Cash for the amount of the check. HTML Version: The entry to correct this error in the general journal would be to debit the account Furnace Maintenance and credit the account Cash for the amount of the check.

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adam's boss tells him that their company is pursuing the strategy of horizontal integration. which of the following is true of this scenario? the company will acquire one of its suppliers. the company will buy or merge with one of its rivals. the company will begin to distribute its own products. the company will change the organizational structure to make it increasingly flat. the company will merge with another company that belongs to a different industry.

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If Adam has been informed by his boss that their organization is following the strategy of horizontal integration, the company will buy or merge with one of its rivals.

Horizontal integration is a strategy in which a company acquires or merges with another company that operates in the same industry and at the same stage of production. This allows the company to increase its market share, reduce competition, and potentially achieve economies of scale.

In the given scenario, the company's strategy of horizontal integration suggests that it will acquire or merge with one of its rivals to increase its market power and gain a larger share of the industry. Therefore, the correct option is that the company will buy or merge with one of its rivals.

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what term is used to mean manufacturing designed to achieve high customer satisfaction with minimum levels of inventory investment?

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The term used to describe manufacturing designed to achieve high customer satisfaction with minimum levels of inventory investment is "lean manufacturing."

Lean manufacturing is a production system that focuses on reducing waste and optimizing the value stream to create a more efficient and effective manufacturing process.

It involves the use of various tools and techniques, such as just-in-time inventory management, kaizen (continuous improvement), and visual management, to identify and eliminate non-value-added activities and processes.

The main objective of lean manufacturing is to increase customer satisfaction by delivering high-quality products on time and at a competitive price while minimizing waste and reducing inventory costs.

Overall, lean manufacturing is a customer-centric approach to production that seeks to optimize the value stream while minimizing waste, inventory, and costs to achieve high customer satisfaction.

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the amount reported on the company's cash flow statement as net cash used by investing activities would total what amount g

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1.Net Cash Flow = Net Cash Flow from Operating Activities + Net Cash Flow from Financial Activities + Net Cash Flow from Investing Activities.

2.Net Cash Flow = Total Cash Inflows – Total Cash Outflows.

3.100,000 + 40,000 – 60,000 = 80,000

The amount reported on the company's cash flow statement as net cash used by investing activities would total the amount "g".

The amount reported on the company's cash flow statement as net cash used by investing activities would total the net amount of cash that was used for investment activities during a particular period.

These investment activities could include the acquisition or disposal of long-term assets, such as property, plant, and equipment, as well as any investments in other companies or securities.The net cash used by investing activities figure can be calculated by subtracting the total cash inflows from investing activities from the total cash outflows from investing activities.

The resulting figure will indicate whether the company is generating more or less cash from its investments than it is spending on those investments. If the net cash used by investing activities is a positive number, it indicates that the company is spending more cash on its investments than it is generating from those investments.

On the other hand, if the net cash used by investing activities is a negative number, it indicates that the company is generating more cash from its investments than it is spending on those investments.

Cash flow statements are an important financial statement that provides investors with valuable information about a company's cash inflows and outflows during a particular period.

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which one is not an integrating and coordinating mechanisms: question 9 options:
a. liaison roles b. behavioral norms c. task forces d. cross-functional teams

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The option that is not an integrating and coordinating mechanism is

(b) behavioral norms. Integrating and coordinating mechanisms are methods used to enhance communication and cooperation between different departments or units within an organization. They facilitate collaboration, problem-solving, and decision-making processes.

(a) Liaison roles are positions designated to serve as a bridge between different departments, facilitating communication and coordination between them.

(c) Task forces are temporary groups of employees formed to address specific issues or problems that require a multidisciplinary approach, promoting collaboration and coordination among different functional areas.

(d) Cross-functional teams are groups of individuals with diverse expertise and backgrounds working together to achieve a common goal, fostering coordination and integration between various functions within an organization.

Behavioral norms, on the other hand, are the shared expectations of appropriate behavior within a group or organization. While they can help shape a collaborative work environment, they are not a specific mechanism used for integration and coordination among different departments or units.

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sean is a community college student and has been saving his tips from his job waiting tables at a restaurant for months to see hamilton. he is willing to pay $705 for a ticket. anca has seen hamilton five times already, but wants to see it again before heading to europe for a month. she is willing to pay $1,250 for a ticket. there is one ticket left, and the seller is charging $700. does sean or anca buying the ticket lead to a more economically efficient outcome?

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Sean is a community college student. He is willing to pay $705 for a ticket. Anca has seen Hamilton five times already but wants to see it again before heading to Europe for a month. She is willing to pay $1,250 for a ticket. There is one ticket left, and the seller is charging $700. Sean buying the ticket leads to a more economically efficient outcome.

What is Economic Efficiency?

Economic efficiency is a term used to describe the state of the economy where the greatest possible amount of goods and services are produced from a limited set of inputs. Economic efficiency occurs when market pricing and equilibrium are aligned with society's preferred resource allocation.

The price of the ticket is $700. Sean is willing to pay $705 for the ticket, which is $5 more than the price. Anca, on the other hand, is willing to pay $1,250, which is considerably more than the ticket's price. Therefore, when Sean buys the ticket, economic efficiency is maximized, whereas when Anca buys the ticket, economic efficiency is diminished because she is overpaying for the ticket.

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suppose the government imposes an excise tax on a good. if the elasticity of supply is 0.57 and the elasticity of demand is -1.52, which party will bear the burden of the tax?

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In this case, the burden of the excise tax imposes of the government will fall on the consumers. This is because the elasticity of demand is -1.52, indicating that the demand for the good is inelastic.

What is the excise tax?

An excise tax is a tax that is imposed on a specific product or service that is being sold by the government. This tax is levied on the production, distribution, and consumption of a particular product, and it is usually in the form of a fixed percentage or a flat fee.

Excise taxes are frequently employed by governments to raise revenue, regulate commerce, or discourage particular practices.

The demand and supply elasticities of the product being taxed will determine who bears the burden of an excise tax. The more elastic the supply or demand, the more likely it is that the burden of the tax will be shifted onto the other party.

In this case, the elasticity of supply is 0.57 and the elasticity of demand is -1.52, the party that will bear the burden of the tax is the consumers, given that the elasticity of demand is greater in magnitude than the elasticity of supply.

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compare this case to the norplant case in chapter 7. what similarities/differ- ences do you see in the marketing campaigns? in the lawsuits?

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The Norplant case, which is covered in Chapter 7, is similar to the case discussed in the question in that both cases involve contraceptives. Both Norplant and the case discussed in the question involve a pharmaceutical company promoting a product that can be used as a form of birth control.

However, there are several differences between the two cases. The Norplant case was focused around the marketing of the product, while the case discussed in the question involves a lawsuit over the product.


The marketing campaigns for the two cases were very different. For Norplant, the pharmaceutical company had an aggressive advertising campaign to promote the product, while the case discussed in the question does not appear to have any specific advertising campaign associated with it.

Additionally, the Norplant case resulted in multiple lawsuits, while the case discussed in the question does not appear to have any related lawsuits.

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while deciding the type of information-sharing technology that a company will be using for its global network, the company's information system manager should keep in mind that:

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While deciding the type of information-sharing technology that a company will be using for its global network, the company's information system manager should keep in mind several factors, including:

Compatibility: The technology must be compatible with existing systems and software, as well as with the systems and software used by suppliers, customers, and partners.Security: The technology must be secure and able to protect sensitive information from unauthorized access or disclosure.Reliability: The technology must be reliable and available to users at all times, regardless of geographic location.Cost: The cost of the technology must be within the company's budget and provide value for money.Scalability: The technology must be able to scale up or down to accommodate changes in the company's size or global network.User experience: The technology must be user-friendly and easy to use, especially for employees in different locations and with different levels of technical expertise.Flexibility: The technology must be flexible enough to accommodate different business processes and adapt to changing business needs.

Overall, the information system manager should choose a technology that best supports the company's global network and ensures seamless communication and collaboration across different locations and time zones.

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camille's coffee shop has a very small share of the market and has no plans for growth. according to the bcg matrix, this business is a .

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Camille's Coffee Shop has a very small share of the market and no plans for growth, according to the BCG matrix, this business is a cash cow.

A cash cow is a business with a relatively low market share, but one that generates a steady and significant amount of cash flow. This is generally because the company's products are established and generate a reliable stream of revenue.

The company does not need to invest heavily in marketing or innovation, as it enjoys a safe profit margin and needs only to keep operations running efficiently.

As Camille's Coffee Shop has a small market share and no plans for growth, it is likely to remain a cash cow.

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bonds that are not secured by specific property are called group of answer choices debentures. blanket mortgage bonds. open-end mortgage bonds. chattel mortgage bonds.

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Debentures are bonds that are not secured by specific property or assets and instead rely on the creditworthiness of the issuer. Thus, Option A is correct.

Debentures are a form of unsecured debt, meaning they do not have any collateral backing them up. Instead, investors rely on the issuer's ability to make interest payments and repay the principal amount at maturity. Debentures are typically issued by corporations or governments to raise funds for various purposes such as capital expenditures, mergers and acquisitions, or to refinance existing debt.

They are considered riskier than secured bonds but often offer higher yields to compensate investors for the added risk.

This question should be provided with answer choices, which are:

A) chattel mortgage bonds.B) open end mortgage bonds.C) debentures.D) blanket mortgage bonds.

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We must address safety concerns before we ____more skilled technicians.

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"We must address safety concerns before we train more skilled technicians" to ensure their safety and the safety of others.

It is crucial to address safety concerns before training more skilled technicians as their work may involve handling potentially dangerous equipment or working in hazardous environments. Neglecting safety can result in accidents, injuries, or even fatalities. By prioritizing safety, we can create a safe working environment for technicians and prevent any potential harm to themselves or others.

This can be achieved by providing safety training, enforcing safety protocols, ensuring proper equipment maintenance, and continuously monitoring safety performance. Ultimately, a safe workplace not only protects employees, but it also increases productivity, reduces costs, and improves overall job satisfaction.

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if i deposit $5,250 into an account today that pays 8.3% interest per annum (i.e., p.a.), how much will be in my account exactly two years from today? question 5 options: $4,476.13 $6,668.75 $5,322.88 $6,157.67 $5,685.75

Answers


If you deposit $5,250 into an account today that pays 8.3% interest per annum (i.e., p.a.), then exactly two years from today the amount in your account will be $6,668.75.  The correct answer is B.

Using the formula for compound interest, we have:

A = P(1 + r/n)^(nt)

where:

A = the amount in the account after time t

P = the principal amount (initial investment)

r = the annual interest rate (as a decimal)

n = the number of times the interest is compounded per year

t = the time (in years)

In this case, P = $5,250, r = 0.083, n = 1 (compounded annually), and t = 2. Plugging in these values, we get:

A = 5,250(1 + 0.083/1)²

A = $6,668.75

Therefore, the amount in the account exactly two years from today would be $6,668.75. The correct answer is B.

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during 2021, lebron corporation accepts the following notes receivable. a. on april 1, lebron provides services to a customer on account. the customer signs a four-month, 9% note for $7,000. b. on june 1, lebron lends cash to one of the company’s vendors by accepting a six-month, 10% note for $11,000. c. on november 1, lebron accepts payment for prior services by having a customer with a past-due account receivable sign a three-month, 8% note for $6,000.
Required: Record the acceptance of each of the note no entry is receivable. If required for a transaction/event, select "No journal entry required" in the first account field.
On April 1, LeBron provides services to a customer on account. The customer signs a four-month, 9% note for $6,900

Answers

During 2021, LeBron Corporation accepts three notes receivable are customer's account receivable,  cash to the vendor, and past-due account receivable.

a. On April 1, LeBron provides services to a customer on account. The customer signs a four-month, 9% note for $7,000.

To record the acceptance of this note receivable, the journal entry would be:

Debit: Notes Receivable - $7,000
Credit: Accounts Receivable - $7,000

This entry records the conversion of the customer's account receivable balance to a note receivable.

b. On June 1, LeBron lends cash to one of the company's vendors by accepting a six-month, 10% note for $11,000.

To record the acceptance of this note receivable, the journal entry would be:

Debit: Notes Receivable - $11,000
Credit: Cash - $11,000

This entry records the lending of cash to the vendor and the creation of a note receivable in return.

c. On November 1, LeBron accepts payment for prior services by having a customer with a past-due account receivable sign a three-month, 8% note for $6,000.

To record the acceptance of this note receivable, the journal entry would be:

Debit: Notes Receivable - $6,000
Credit: Accounts Receivable - $6,000

This entry records the conversion of the past-due account receivable balance to a note receivable.

In summary, LeBron Corporation has accepted three notes receivable during 2021 for various reasons. The journal entries for each of these transactions involve debiting the Notes Receivable account to record the creation of the notes and crediting either Accounts Receivable or Cash accounts to represent the source of the funds. These entries help keep track of the company's financial transactions and ensure accurate financial reporting.

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when operating expenses for an organization are reduced to a rate per day and compared with the amount in accounts payable, this computation:

Answers

When operating expenses for an organization are reduced to a rate per day and compared with the amount in accounts payable, this computation is referred to as operating expense ratio.

The operating expense ratio is calculated by dividing the total operating expenses of the organization in a particular period (usually one year) by the total accounts payable in the same period.

This ratio helps to analyze the financial stability and efficiency of an organization as it measures the extent to which the operating expenses can be covered with existing funds.

The higher the operating expense ratio, the better as it implies that the organization has enough accounts payable to cover its operating expenses. On the other hand, a lower ratio may indicate that the organization may need to seek additional funding sources to cover its operating expenses.

Therefore, the operating expense ratio is an important factor to consider when evaluating an organization's financial situation.

By using this calculation, managers can better understand the financial health of their organization and make better decisions to improve their financial performance.

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Refer to the above diagram, which shows demand and supply conditions in the competitive market for product X. Other things equal, a shift of the supply curve from S0 to S1 might be caused by a(n):
government subsidy per unit of output paid to firms producing X.
increase in the number of firms producing X.
decline in the price of the basic raw material used in producing X.
increase in the wage rates paid to laborers employed in the production of X.

Answers

According to the given graph, a shift of the supply curve from S0 to S1 might be caused by an increase in the wage rates paid to laborers employed in the production of X.

Let's understand how this conclusion was made: The above diagram represents the market for product X. The horizontal axis represents the quantity of product X, while the vertical axis represents the price of product X. The demand curve shows the relationship between the price of the product X and the quantity of X that consumers are willing to buy. It slopes downwards as the price of the product decreases, and the quantity demanded increases. The supply curve shows the relationship between the price of product X and the quantity of X that producers are willing to sell. It slopes upwards as the price of the product increases, and the quantity supplied increases. The point where the supply and demand curve intersects is called equilibrium. It represents the price at which the quantity demanded by the consumer is equal to the quantity supplied by the producer. At equilibrium, there is no shortage or surplus of the product in the market. It is represented by point E in the graph.

Other things being equal, a shift of the supply curve from S0 to S1 might be caused by an increase in the wage rates paid to laborers employed in the production of X. A rise in wage rates will lead to a rise in the cost of production of product X. Hence, firms would need to charge higher prices to cover the higher cost of production. Therefore, the supply curve will shift from S0 to S1.

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there exist important trade-offs between value creation and low cost because value creation and cost tend to be multiple choice independent of each other. inversely related. negatively correlated. positively correlated.

Answers

There exist important trade-offs between value creation and low cost because value creation and cost tend to be B: inversely related.

This means that as the level of value creation increases, the cost of producing that value tends to increase as well. Conversely, if a company wants to lower costs, it may need to reduce the level of value it creates.

Finding the right balance between value creation and low cost is essential for companies that want to achieve sustainable competitive advantage. Companies that can deliver high value at a low cost are often able to capture market share and outperform their competitors.

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