762 words an/Shipping clerk job is the bottleneck. 2. Jefferson Manufacturing machines parts for assembly in air compressors. The process is shown below. Workstation A 20 min/part Workstation C 30 minutes/part Workstation D 15 mints/part Workstation B 48 minutes/part a. Where is the bottleneck workstation? Round your answer to two decimal places. The bottleneck is -Select-Workstation A/Workstation B/Workstation C/Workstation D with the throughput rate of ?? parts/hour. b. What is the longest throughput time for the entire work cell? Round your answer to the nearest whole number.. ??minutes c. If Jefferson Manufacturing works a 40-hour week, can this production cell meet a demand of 55 parts/week? Do not round intermediate calculations. Round your answer to the nearest whole number.. -Select-No/Yes, since the bottleneck workstation throughput rate of 22 parts/week is -Select- lower/higher than the demand.. d. Where should the operations manager spend his or her firm's improvement funds? At-Select-workstation A/workstation B/workstation C/workstation D Focus DE ITX English (United States) I

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Answer 1

The bottleneck workstation is Workstation B with a throughput rate of 0.0208 parts/minute. The longest throughput time for the entire work cell is 113 minutes. The production cell cannot meet the demand of 55 parts/week. The operations manager should spend the improvement funds at Workstation B.

How to identify and address the bottleneck workstation in the production cell?

a. The bottleneck workstation is Workstation B.

b. The longest throughput time for the entire work cell can be calculated by summing the processing times at each workstation. In this case, it would be 20 + 48 + 30 + 15 = 113 minutes.

c. To determine if the production cell can meet a demand of 55 parts/week, we need to calculate the total throughput rate of the work cell.

The throughput rate is calculated by taking the inverse of the bottleneck workstation's processing time, which in this case is Workstation B with 48 minutes/part. So the throughput rate is 1 / 48 = 0.0208 parts/minute.

To convert this to parts/week, we multiply the throughput rate by the total number of minutes in a week (40 hours * 60 minutes/hour) = 2400 minutes.

Throughput rate (parts/week) = 0.0208 parts/minute * 2400 minutes/week = 49.92 parts/week.

Since the throughput rate of the work cell is lower than the demand of 55 parts/week, the production cell cannot meet the demand.

d. The operations manager should spend the improvement funds at the bottleneck workstation, which is Workstation B. Improving the efficiency of Workstation B would help increase the throughput rate of the entire work cell and potentially meet the demand.

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Related Questions

) What risks can you identify? Why are they a risk to Global Green Books Publishing? b) What kind of impacts does each of your identified risks have? Can you categorize these as low impact, medium impact, or high impact? c) How probable are each of your identified risks? You can think about something simple like categorizing these as not very likely, likely, and highly likely to occur. d) What would you advise Global Green Books are their three most critical risks? e) What would you suggest that they do about these three risks? Are there specific actions to deal with these risks? Have you identified a contingency plan to carry out if the risk occurs? In Comment on the following aspects of the case study: a) Why did Global Green Books Publishing struggle? b) What were the specific PM solutions that were introduced by Samantha that worked? c) What kind of suggestions would you give to Brad and Jim if you were the PM? d) Are you aware of other similar start-up businesses that struggle in a similar manner? How did they overcome the challenges? e) Global Green Books Publishing is a technology intensive business, but Samantha is not technically knowledgeable, will she continue to be a successful project manager?

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Poor project planning and low-quality products may drive away potential customers while lack of capital and funding may make it difficult for company to invest in new technology or marketing campaigns.

You can think about something simple like categorizing these as not very likely, likely, and highly likely to occur. The likelihood of each risk varies. Poor project planning - Likely Lack of capital and funding - Highly likely Inability to find investors - Highly likely Inability to attract customers or interest in products - Likely Poor customer feedback due to low quality products - Likely High competition or market saturation - Not very likely. Develop marketing campaign to increase brand awareness and attract customers.

Network with potential investors to gain support and funding. Develop a product improvement plan to improve product quality and customer feedback in order to attract more customers. Samantha implemented a project management software to manage tasks and projects, provided clear communication to stakeholders, and set realistic deadlines to ensure timely completion of tasks. To overcome the challenges, they need to secure funding from alternative sources, improve their products or services, and develop a marketing campaign to attract customers.

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Which of the following is an example of a negative production externality?
a. You are at a restaurant on a romantic date and there are unruly kids running around.
b. Dust from the mine dump is linked to higher rates of asthma in the surrounding communities.
c. You throw all your dog droppings on your compost heap against your neighbour’s fence.
d. Dust from the mine dump causes the malfunction of the mine office air conditioners

Answers

The correct answer is: b. Dust from the mine dump is linked to higher rates of asthma in the surrounding communities.

A negative production externality occurs when the production or activity of one party imposes costs on others without compensation. In this case, the dust from the mine dump is causing harm to the surrounding communities by increasing the rates of asthma. The mine's production activity is generating the dust, and the communities are bearing the negative consequences in the form of health issues.

This situation represents a negative production externality because the costs of the dust pollution are not being accounted for by the mine. The individuals suffering from asthma have to bear the health and medical expenses associated with their condition, which were caused by the mine's operations. The mine is not compensating the affected communities for the harm caused.


Negative production externalities have adverse effects on third parties and often result in costs that are not reflected in the prices of goods or services. In this case, the dust pollution from the mine dump is an example of a negative production externality as it leads to increased asthma rates in the surrounding communities without the mine accounting for these costs.

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Teal Mountain Inc. is constructing a building. Construction began on March 1 and was completed on December 31. Expenditures were $696,000 on March 1, $928,000 on July 1, and $835,200 on December 1.
Compute Teal Mountain’s weighted-average accumulated expenditures for interest capitalization purposes.

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Teal Mountain Inc.'s weighted-average accumulated expenditures for interest capitalization purposes.

We need to consider the expenditures incurred at different times during the construction period and assign weights based on the time each expenditure was made. Here are the expenditures and their respective dates: March 1: $696,000.July 1: $928,000. December 1: $835,200. To calculate the weighted-average accumulated expenditures, we need to determine the proportion of time each expenditure was outstanding during the construction period.Step 1: Calculate the time weights for each expenditure:March 1 to July 1: 4 months (120 days)

March 1 to December 1: 9 months (270 days)

July 1 to December 1: 5 months (150 days)

Step 2: Calculate the weighted-average accumulated expenditures:

($696,000 * 270) + ($928,000 * 150) + ($835,200 * 0) / (120 + 270 + 150)

Calculating the numerator: ($696,000 * 270) + ($928,000 * 150) = $187,920,000 + $139,200,000 = $327,120,000. Calculating the denominator:120 + 270 + 150 = 540. Weighted-average accumulated expenditures:$327,120,000 / 540 = $605,333.33 (approximately)

Therefore, Teal Mountain Inc.'s weighted-average accumulated expenditures for interest capitalization purposes is approximately $605,333.33.

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Teal Mountain Inc.'s weighted-average accumulated expenditures for interest capitalization purposes.

We need to consider the expenditures incurred at different times during the construction period and assign weights based on the time each expenditure was made. Here are the expenditures and their respective dates: March 1: $696,000.July 1: $928,000. December 1: $835,200. To calculate the weighted-average accumulated expenditures, we need to determine the proportion of time each expenditure was outstanding during the construction period.Step 1: Calculate the time weights for each expenditure:March 1 to July 1: 4 months (120 days) March 1 to December 1: 9 months (270 days) July 1 to December 1: 5 months (150 days) Step 2: Calculate the weighted-average accumulated expenditures:($696,000 * 270) + ($928,000 * 150) + ($835,200 * 0) / (120 + 270 + 150)

Calculating the numerator: ($696,000 * 270) + ($928,000 * 150) = $187,920,000 + $139,200,000 = $327,120,000. Calculating the denominator:120 + 270 + 150 = 540. Weighted-average accumulated expenditures:$327,120,000 / 540 = $605,333.33 (approximately)

Therefore, Teal Mountain Inc.'s weighted-average accumulated expenditures for interest capitalization purposes is approximately $605,333.33.

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Read the situation taken from the story, then, TYPE TWO conclusions that can be drawn from it. (2 pts)

Situation:

Lolito enjoys his job when the pace is leisurely but has no patience in doing tasks which use much time like sorting small items.


I will give brainliest for the people who answer it

Answers

The situation taken from the story, then, TYPE TWO conclusions that can be drawn from it. Individual preferences and job satisfaction can vary based on the pace of work and Different individuals have varying levels of patience and tolerance for tasks that require significant time investment.

Based on the given situation, two conclusions that can be drawn are:

1. Individual preferences and job satisfaction can vary based on the pace of work. Lolito enjoys his job when the pace is leisurely, suggesting that he finds satisfaction and enjoyment in a work environment that allows for a slower and more relaxed approach.

2. Different individuals have varying levels of patience and tolerance for tasks that require significant time investment. Lolito's lack of patience in sorting small items indicates that he may prefer tasks that are more time-efficient or have quicker results. This suggests that individuals may have different levels of tolerance for tasks that require attention to detail or extended periods of concentration.

Overall, these conclusions highlight the importance of understanding individual preferences and work styles in creating a conducive and satisfying work environment. Recognizing and accommodating these differences can contribute to increased job satisfaction and productivity.

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Say that a company has treated you unfairly or dishonestly. Which of the following options could help you resolve the issue? I. Report them to the Better Business Bureau. II. Speak to their corporate consumer department. III. Seek the help of the Department of HHS. A. I and II b. II and III c. I and III d. II only Please select the best answer from the choices provided A B C D.

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If a company has treated you unfairly or dishonestly, reporting to the Better Business Bureau and speaking to their corporate consumer department can help you resolve the issue. Here the correct answer is option A

The Better Business Bureau is an organization that aims to create an ethical marketplace where buyers and sellers can trust each other. It collects and provides free information on over 4 million businesses in North America to consumers. It also helps resolve complaints and reviews disputes between consumers and businesses.

To file a complaint with BBB, you need to: Visit BBB’s website and choose “File a Complaint” from the homepage, Search for the company you want to file a complaint against, and fill out a complaint form. Submit your complaint, and the company will have 14 days to respond.

To speak to a company’s corporate consumer department, you need to: Locate the company’s website and look for the “Contact Us” page. Check if there is a dedicated consumer department or customer service line. Call or email the department and explain your situation in detail. Therefore the correct answer is option A.

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assuming no change in government spending, an increase in taxes of $100 billion with an mpc of 0.80 will subtract a total of $_____________ billion from the economy after the multiplier effect.

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When there is an increase in taxes of $100 billion and assuming a marginal propensity to consume (MPC) of 0.80, the total change in the economy after the multiplier effect would be $500 billion.

The multiplier effect refers to the concept that changes in aggregate demand can have a magnified impact on the overall economy. In this scenario, the increase in taxes reduces disposable income for individuals and households. With an MPC of 0.80, it means that people are expected to spend 80% of any additional income they receive. Therefore, the initial $100 billion increase in taxes would result in a decrease in consumption spending by $80 billion (0.80 * $100 billion).

However, the multiplier effect takes into account the subsequent rounds of spending. As people's spending decreases due to higher taxes, it has a ripple effect on other sectors and businesses in the economy. This decrease in consumption spending leads to reduced demand for goods and services, which can result in reduced production and employment in the economy.

The multiplier effect amplifies the initial change in taxes, and in this case, it results in a total decrease of $500 billion ($100 billion / (1 - 0.80)) in the economy. This demonstrates how changes in fiscal policy, such as tax increases, can have significant implications for overall economic activity.

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Under what conditions should the government try to save a declining
industry?

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The government is trying to save a declining industry through strategic importance, employment impact, technological advancement, and market failure.

The decision for the government to save a declining industry should be carefully considered and based on a comprehensive evaluation of various factors. There are certain conditions under which the government may intervene to support a declining industry:

1. Strategic importance: If the industry is critical to national security, defense, or the overall economic stability of the country, the government may choose to intervene to maintain its strategic capabilities and protect vital interests.

2. Employment impact: If the industry is a major employer and its decline could lead to widespread job losses and economic hardship for a significant number of workers, the government may consider providing support to mitigate the negative consequences and facilitate a smoother transition for affected employees.

3. Technological advancement: If the industry is essential for technological innovation and research and development, the government may intervene to foster innovation, maintain competitiveness, and ensure long-term growth potential.

4. Market failure: In cases where the decline of an industry is driven by market failures, such as externalities, information asymmetry, or monopolistic practices, the government may step in to correct these market failures and restore fair competition.

It is important for the government to weigh the costs, benefits, and potential long-term implications of intervention, as well as consider alternative solutions such as retraining programs, investment in emerging industries, or facilitating market restructuring.

The decision to save a declining industry should be based on a careful analysis of both economic and broader societal factors to ensure the best outcomes for the overall economy and its stakeholders.

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The three compensation policies discussed in class are: alignment, competitiveness, compliance. Group of answer choices True False

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The statement "The three compensation policies discussed in class are: alignment, competitiveness, compliance" is TRUE.

What is compensation?

Compensation refers to the benefits and rewards provided to an employee as a result of their work. Compensation can be provided in the form of money, incentives, benefits, or other rewards. The goal of a compensation strategy is to attract, motivate, and retain top talent in an organization. It is critical to have a compensation strategy that is both competitive in the industry and aligns with the goals and values of the organization.There are three main compensation policies discussed in class, and they are as follows:AlignmentCompetitivenessComplianceThe compensation policies of alignment, competitiveness, and compliance can be used by companies to attract and retain employees, maintain legal compliance, and maintain competitiveness in the job market. Each of these policies plays a critical role in achieving the goals of an organization.

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360-degree feedback is:
1. a performance appraisal.
2. an evaluation using a sampling of all the people with whom an employee interacts.
3. both a & b
4. a selection tool.

Answers

360-degree feedback is a process that combines performance appraisal and evaluations from individuals with whom an employee interacts, making option 3, "both a & b," the correct answer.

360-degree feedback is a comprehensive evaluation method that involves gathering feedback from various sources, including supervisors, peers, subordinates, and even customers or clients. This feedback is collected through surveys or assessments and provides a well-rounded perspective on an employee's performance, skills, and behaviors. It goes beyond a traditional performance appraisal conducted solely by a supervisor.

By involving multiple perspectives, 360-degree feedback offers a more holistic view of an employee's strengths, weaknesses, and areas for improvement. It allows individuals to gain insights into how their behavior and actions impact others and helps identify areas where development and growth are needed. The feedback obtained from different sources provides a broader and more accurate assessment of an employee's overall performance and helps inform decisions related to training, career development, and performance improvement.

Therefore, 360-degree feedback serves as both a performance appraisal and an evaluation tool that leverages input from a sampling of all the people with whom an employee interacts. Option 3, "both a & b," correctly captures the essence of this process.

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There are four stations in a process: Station-1, Station-2, Station-3, and Station-4. Three products are produced in this process: Product-A, Product-B, and Product-C. The flow of the three products through 4 stations is shown in the process flow chart.
The total volume of production is 114 products per hour. Product-A is produced at a rate of 47 units per hour. Product-B is produced at a rate of 28 units per hour. The rest of the production is Product-C.
On average, there are 93 units of different products in this system.
There are 11 units of products in Station-1, 22 units of products in Station-2, 25 units of products in Station-3, and the rest are in Station-4.

Answers

It's important to note that additional information is needed to provide a more comprehensive analysis or make any specific recommendations regarding the system's efficiency or potential improvements

Based on the information provided, the production volume of the system is 114 products per hour, with Product-A being produced at a rate of 47 units per hour and Product-B being produced at a rate of 28 units per hour. The remaining production is allocated to Product-C.

The average inventory in the system is 93 units. This includes the inventory at all four stations. Specifically, there are 11 units in Station-1, 22 units in Station-2, 25 units in Station-3, and the remaining units are in Station-4.

To summarize:

Production volume: 114 products per hour

Production rate for Product-A: 47 units per hour

Production rate for Product-B: 28 units per hour

Remaining production for Product-C

Average inventory in the system: 93 units

Inventory distribution:

Station-1: 11 units

Station-2: 22 units

Station-3: 25 units

Station-4: Remaining units

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In Hou, Mo, Xue, and Zhang’s (2019) paper "Which factors?", they argue that their q-model (made up of four factors; the Market, Size, ROE and Investment/Assets) ‘largely subsumes the Fama-French 3-factor and 5-factor model’. (The Fama-French 5-factor model is their 3-Factor model plus two factors called Robust minus Weak, RMW, and Conservative minus Aggressive, CMA. RMW is defined as Operating Profitability/Book Value of Equity and CMA as change in Assets/lagged assets.)
a) Given Hou et al (2019) claim, what would you expect to find if you regressed the returns to Hou et al (2019) q-factors onto the returns to the Fama-French value (HML) factor?
b) With reference to your answer to a) or otherwise, briefly describe what is understood by ‘largely subsumes’ or spans.
c) Describe how you could use the spanning test of Barillas and Shanken (2017) to investigate this same claim.

Answers

If the returns to Hou et al.'s q-factors are regressed onto the returns to the Fama-French value (HML) factor, one would expect to find a statistically significant rleationship between the two. This would suggest that the q-model and the Fama-French value factor share common explanatory power in explaining the returns of asset prices.

What is the expected relationship between the returns of Hou et al.'s q-factors and the Fama-French value factor?

'Largely subsumes' or 'spans' means that the q-model proposed by Hou et al. incorporates or captures most of the explanatory power provided by the Fama-French 3-factor and 5-factor models. In other words, the q-model is expected to explain a significant portion of the variation in asset returns that the Fama-French models explain, suggesting that the additional factors in the Fama-French models may not provide substantial incremental explanatory power beyond what is already captured by the q-model.

Can you briefly explain the concept of 'largely subsumes' or 'spans'?

To investigate the claim made by Hou et al., one could use the spanning test proposed by Barillas and Shanken (2017). The spanning test compares the ability of two models to explain asset returns and assesses whether one model fully subsumes the other. In this case, the test would evaluate whether the q-model of Hou et al. fully subsumes the explanatory power of the Fama-French 3-factor and 5-factor models.

The test examines whether the additional factors in the Fama-French models contribute significantly to the explanation of asset returns beyond what is already explained by the q-model. the spanning test and its application in comparing asset pricing models.

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Triple Net (NNN) leases are often quoted to businesses BUT DO NOT include: a) Real estate taxes b) Building insurance c) Maintenance

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Triple Net (NNN) leases do not include maintenance costs. Real estate taxes and building insurance are typically included in NNN leases.

A Triple Net (NNN) lease is a type of commercial lease where the tenant is responsible for paying the base rent as well as additional expenses associated with the property. These additional expenses usually include real estate taxes and building insurance. The concept behind an NNN lease is that the tenant assumes these costs in addition to the base rent, which is typically lower than a gross lease.

However, maintenance costs are not typically included in NNN leases. Maintenance expenses, such as repairs, upkeep, and general property maintenance, are usually the responsibility of the property owner or landlord. The tenant is not required to cover these costs as part of their lease agreement.

By excluding maintenance costs, NNN leases allow property owners to shift the responsibility for ongoing property maintenance to the landlord. This can be advantageous for tenants as they can accurately budget for their expenses and have more control over the maintenance and repair of the property.

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Jamal wishes to invest an unknown sum in an account where interest is compounded continuously. Assuming that Jamal makes no additional deposits or withdrawals, what annual interest rate will allow his initial investment to double in exactly five years

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Let the initial sum invested by Jamal be P. We can calculate the interest rate needed for doubling the sum P at a continuous compounding by using the cost formula shown below.

A = Pe^(rt), where A is the final amount, P is the principal amount, r is the interest rate, t is the time in years, and e is a mathematical constant equal to 2.71828.

.When Jamal invests an amount P, the final amount that he will get after five years will be equal to 2P. Therefore ,A

= 2P, P

= P, r = r, and t

= 5 years.A = Pe^(rt)2P

= Pe^(5r)2 = e^(5r)ln 2

= 5rln eln 2 / 5 = rln 2r

= (ln 2 / 5)≈ 0.13863 or 13.863%. Therefore, an annual interest rate of about 13.863% will allow Jamal's initial investment to double in exactly five years when compounded continuously.

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Sam Student had borrowed $1,000 from his cousin. Sam and the cousin became involved in a heated disagreement when the cousin began to press Sam for repayment of the loan. Finally, Sam wrote a check for $190 to the cousin and conspicuously wrote on the check in big letters that it was the full and final payment of the $1,000 loan. In need of money, the cousin cashed the check and demanded the remaining $810 from Sam. Sam refused to pay, claiming that they had entered into an accord and satisfaction that discharged Sam’s obligation to pay anything more. The cousin sued Sam.



Required:


Discuss the probable outcome

Answers

It is most likely that Sam would have to pay the remaining $810 as the accord and satisfaction was not completed in this scenario. The cousin has the right to sue Sam for the remaining amount.

In the case of Sam Student, the probable outcome is that he would have to pay the remaining $810 to the cousin even after making a payment of $190 to the cousin.

The legal doctrine of accord and satisfaction applies to this scenario. In this case, the accord is an agreement to settle a debt by paying a lesser amount than the one originally agreed upon. Sam made a payment of $190 to his cousin and conspicuously wrote on the check that it was the full and final payment of the $1,000 loan.

However, it appears that there was no satisfaction. A satisfaction is a second event in which the debtor fulfills the accord and the creditor agrees to discharge the debt. The cousin accepted the payment of $190 but demanded the remaining $810 from Sam, which indicates that there was no satisfaction.

Therefore, it is most likely that Sam would have to pay the remaining $810 as the accord and satisfaction was not completed in this scenario. The cousin has the right to sue Sam for the remaining amount.

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At the present time, Three Waters Company (TWC) has 15-year noncallable bonds with a face value of $1,000 that are outstanding. These bonds have a current market price of $1,555. 38 per bond, carry a coupon rate of 11%, and distribute annual coupon payments. The company incurs a federal-plus-state tax rate of 35%. If TWC wants to issue new debt, what would be a

Answers

To issue new debt, Three Waters Company (TWC) would need to determine the appropriate coupon rate for the bonds, considering the current market price, the coupon rate of the outstanding bonds, and the tax rate.

To issue new debt, TWC would need to set an appropriate coupon rate for the bonds. The coupon rate should be competitive and attractive to investors while also considering the current market conditions. In this case, TWC has 15-year noncallable bonds with a face value of $1,000, a current market price of $1,555.38 per bond, and a coupon rate of 11%.

To determine the new coupon rate, TWC needs to consider factors such as the desired yield for investors, prevailing interest rates in the market, and the company's creditworthiness. TWC should also consider the tax implications of the bond payments, as they incur a federal-plus-state tax rate of 35%. The coupon rate should be set in a way that ensures the bonds' market price remains competitive and aligns with the company's financing objectives.

By carefully assessing these factors, TWC can determine the appropriate coupon rate for the new debt issuance, which would help attract investors and meet the company's funding needs while considering the market conditions and tax implications.

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Joshua Company has a define contribution plan that covers its existing employees. The terms of the plan require Joshua to contribute 5% of the annual employee salaries to the retirement plan each year. The payroll shows the annual salaries and contributions made as follows:
Year Gross Payroll Contributions made
2021 P670,000 670,000
2022 12.200,000 430,000
How much is the benefit expense in 2022 profit or loss and the amount of prepaid (accrued) benefit as of December 31, 2022?
O P610,000 and P10,000 prepaid
O P610,000 and P180,000 accrued
OP430,000 and P10.000 prepaid
OP430,000 and P180,000 accrued

Answers

Benefit expense:Benefit expense is the amount of money that a company pays into its employee benefit schemes in order to keep the plans in force. Benefit expense is generally paid by the company, but it may also be paid by the employee as a portion of the total benefit expense.

As per the data given, Joshua Company contributes 5% of the annual employee salaries to the retirement plan each year.Gross payroll for 2022 is P12,200,000, and Joshua contributed P430,000 (5% of P12,200,000). Benefit expense for 2022 profit or loss:Benefit expense = P430,000Prepaid (Accrued) Benefit as of December 31, 2022:This value is the amount that has been paid into the retirement plan as of December 31, 2022, and has not yet been used to provide benefits to employees.

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which of the following provides a graphical representation of key project roles and reporting relationships?
A. project organizational charts
B. RACI chart
C. responsibility assignment matrix
D. work breakdown structure

Answers

A. Project organizational charts provide a graphical representation of key project roles and reporting relationships.

Project organizational charts visually depict the structure of a project team, showing the positions, job titles, and reporting lines within the project organization. These charts help stakeholders understand the hierarchy and reporting relationships within the project team. By illustrating the roles and responsibilities of individuals or departments involved, organizational charts facilitate effective communication, coordination, and decision-making within the project.

On the other hand, B. RACI charts (Responsible, Accountable, Consulted, and Informed) outline the roles and responsibilities for specific tasks or activities in a project, rather than providing an overall graphical representation of the project roles and reporting relationships. C. Responsibility assignment matrix (RAM) is a matrix that identifies project tasks and associates them with the responsible individuals or roles. D. Work breakdown structure (WBS) is a hierarchical breakdown of project deliverables and tasks, providing a decomposition of the project scope rather than focusing on roles and reporting relationships.

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____________ is defined as monitoring performance, comparing it with goals and taking corrective action as needed. a. Controlling b. Planning c. Leading d. Measuring e. Organising

Answers

Answer:

A) Controlling

Explanation:

Controlling is a function of management and can be described as monitoring performance, comparing performance to pre-determined goals, and taking corrective action as needed.

Answer: Planning

Explanation: planning is the basic step to develop or to grow the company or any of things because without planning we cannot achieve our goals, or complete any of the tasks therefore planning is the basic step which has to take in the beginning.

planning helps an individual to achieve his goals in a proper way and it helps to get a good performance if our planning is good, if our planning is not good then it would effect our goals.

therefore planning is defined as monitoring performance, comparing it with goals and taking corrective as needed

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1. The maturities of commercial bank assets are typically _______ than maturities for their liabilities. This introduces _______ risk.
A. longer; liquidity
B. longer; interest rate
C. shorter; liquidity
D. shorter; interest rate
Which of the following regulators is least involved in bank regulation?
A. OCC
B. SEC
C. FDIC
D. Federal Reserve

Answers

Regarding the regulators involved in bank regulation, the Securities and Exchange Commission (SEC) is the least involved among the options provided.

What is the typical relationship between maturities of commercial bank assets and liabilities, and what risk does it introduce? Which regulator is least involved in bank regulation?

The maturities of commercial bank assets are typically shorter than maturities for their liabilities.

This introduces liquidity risk because if the bank faces sudden demands for withdrawals, it may not have sufficient liquid assets to meet those obligations in the short term.

The SEC primarily oversees securities markets and regulates securities transactions, while the Office of the Comptroller of the Currency (OCC), the Federal Deposit Insurance Corporation (FDIC).

Federal Reserve have more direct involvement in supervising and regulating banks

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If Michelle can buy a woolen jacket for 40 yuan in China, and Rebecca pays $40 for the same jacket in the U.S., it implies that the exchange rate between these two nations is 10 yuan = $1.

Group of answer choices

True

False

Answers

False.

The price difference between the woolen jacket in China and the U.S. does not imply an exchange rate of 10 yuan = $1.

How does the price of a woolen jacket in China compared to the U.S. indicate the exchange rate?

Exchange rates play a crucial role in international trade and finance. They determine the value of one currency in relation to another and impact the cost of goods and services between countries. Exchange rates fluctuate based on various factors, including economic conditions, interest rates, inflation rates, and market speculation.

Understanding exchange rates is essential for businesses engaged in international trade, investors seeking opportunities in foreign markets, and individuals traveling or living abroad. Monitoring exchange rates can help anticipate changes in prices and plan financial transactions effectively.

The given information states that Michelle can buy a woolen jacket for 40 yuan in China, while Rebecca pays $40 for the same jacket in the U.S. To determine the exchange rate, we need to compare the prices of the jacket in both currencies. If 10 yuan were equal to $1, then Michelle would have paid 4 yuan for the jacket (40 yuan / 10 yuan = 4 yuan) and Rebecca would have paid $4 for the jacket (40 yuan / 10 yuan = $4).

However, this contradicts the given information that Rebecca paid $40 for the jacket. Therefore, we can conclude that the exchange rate between these two nations is not 10 yuan = $1.

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terry worked 14 1 2 hr over a three-day period. if she worked 4 1 2 hr the first day and 4 1 4 hr the second, how many hours did terry work on the third day?

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We need to find out how many hours Terry worked on the third day. Given that she worked 14 1/2 hours over a three-day period, and worked 4 1/2 hours the first day and 4 1/4 hours the second day. Let's find out:Let the time worked on the third day be x.

Then, we can form an equation based on the given information. It is given that Terry worked 14 1/2 hours over a three-day period.Thus,4 1/2 hr + 4 1/4 hr + x = 14 1/2 hrSimplifying the above equation,4.5 + 4.25 + x = 14.5 ⇒ 8.75 + x = 14.5 ⇒ x = 14.5 - 8.75 ⇒ x = 5.75Hence, Terry worked 5 3/4 hours on the third day.

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Suppose in a country Real GDP increased from $214,300 to $243,000 while the population increased from 113 to 122. The change in real per-capita GDP would be: _______ **You must report your answer as a whole number - do not include $ a decimal or a dollar sign. Examples of acceptable answers are: 15 or 268 or -173. If you do not report it in this way, it may be marked as incorrect. Note on rounding: 0.5 or higher rounds up; everything else rounds down.** ------ Your Answer:

Answers

In this case, we round down to the nearest whole number, so the answer is 94

The change in real per-capita GDP can be calculated by dividing the change in real GDP by the change in population.

The initial real per-capita GDP is given by: $214,300 / 113 = $1,897.35 (rounded to the nearest cent).

The final real per-capita GDP is given by: $243,000 / 122 = $1,991.80 (rounded to the nearest cent).

To calculate the change in real per-capita GDP, we subtract the initial value from the final value:

$1,991.80 - $1,897.35 = $94.45.

Therefore, the change in real per-capita GDP is $94.

Note that we are instructed to provide the answer as a whole number without a decimal or dollar sign. In this case, we round down to the nearest whole number, so the answer is 94.

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Muzzin Corporation purchases potatoes from farmers. The potatoes are then peeled, producing two products-(1) peels and (2) peeled potatoes. The peels can then be processed further to make a cocktail of organic nutrients. And the peeled potatoes can be processed further to make frozen french fries. A batch of potatoes costs $42 to buy from farmers and $10 to peel in the company's plant. The peels produced from a batch can be sold as is for animal feed for $24 or processed further for $15 to make the cocktail of nutrients that are sold for $44. The peeled potatoes can be sold as is for $35 or processed further for $24 to make frozen french fries that are sold for $56. Required: a. Assuming that no other costs are involved in processing potatoes or in selling products, how much money does the company make from processing one batch of potatoes into the cocktail of organic nutrients and frozen french fries? b. Should Muzzin Corp. process the peels into the nutrient cocktail or sell the peels without further processing? c. Should Muzzin Corp, sell the peeled whole potatoes or process them further into frozen french fries?

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The Muzzin Corporation purchases potatoes from farmers and peels them, producing two products, peeled potatoes, and peels. The peels can be used to make a cocktail of organic nutrients, while the peeled potatoes can be used to make frozen French fries. This essay answers three questions about the company's operations with respect to these products.

No other costs are involved in processing potatoes or selling products, so the company's income is calculated as follows:Peel income = $24/batchNutrient income = $15/batchCocktail income = $44/batchTotal peel income = ($24 x 400 lbs.) / 2000 lbs. per ton = $4.80 per tonTotal nutrient income = ($15 x 400 lbs.) / 2000 lbs. per ton = $3.00 per tonTotal cocktail income = ($44 x 400 lbs.) / 2000 lbs. per ton = $8.80 per tonTotal revenue from the peels = ($4.80 + $3.00) x 5 tons per batch = $38.40Total revenue from the cocktail = $8.80 x 2.5 tons per batch = $22Total revenue from the peeled potatoes = $35 x 5 tons per batch = $175Total revenue from the frozen French fries = $56 x 2.5 tons per batch = $140Total revenue from one batch = $38.40 + $22 + $175 + $140 = $375.40Thus, the company earns $375.40 from processing one batch of potatoes into the cocktail of organic nutrients and frozen French fries.b. The peels should be processed into the nutrient cocktail. Because the nutrient cocktail offers a higher profit margin than the peel alone, it is a more profitable option.c. The whole peeled potatoes should be processed into frozen French fries because it provides a higher profit margin than selling the peeled potatoes as is.

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Year Price of Bread Number of Bread Produced Price of Wine Quantity of Wine Produced 2013 1 50 4 200
2014 2 100 6 300
2015 3 150 10 400
a) Calculate nominal GDP, real GDP and GDP deflator for all three years, using 2014 as the base year. b) Calculate real GDP for 2014 and 2015 by using chain method. c) In real terms, how much did prosperity in the economy increase during 2014? (Use the real figures you calculated by chain method) d) Assume that your salary in 2013 was 500 TL. What should your salary in 2015 be, for your purchasing power to stay constant?

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Nominal GDP = P × QYearPrice of BreadNumber of Bread ProducedPrice of WineQuantity of Wine ProducedNominal GDP (2014 Base Year)2013 1 50 4 200 1002014 2 100 6 300 6002015 3 150 10 400 1350Now to calculate the Real GDP, we need to take 2014 as the base year, which will be 100% of the GDP deflator.

To calculate GDP deflator, we divide nominal GDP by real GDP and multiply the result by 100.YearPrice of BreadNumber of Bread ProducedPrice of WineQuantity of Wine ProducedNominal GDP (2014 Base Year)GDP DeflatorReal GDP2013 1 50 4 200 100 100 1002014 2 100 6 300 600 100 6002015 3 150 10 400 1350 (225/600) × 100 = 37.5 360b)

To calculate the value of salary in 2015 if the purchasing power is to remain the same, we need to use the following formula:Salary in 2013 / GDP deflator of 2013 × GDP deflator of 2015YearPrice of BreadNumber of Bread ProducedPrice of WineQuantity of Wine ProducedNominal GDPGDP Deflator2013 1 50 4 200 1002014 2 100 6 300 600 1002015 3 150 10 400 1350 37.5Salary in 2013 = 500Now, we can calculate the value of salary in 2015 using the formula mentioned above:500 / (100/100) × (37.5/100) = 1250Therefore, the value of salary in 2015 should be 1250 for the purchasing power to stay constant.

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All of the following are indicators of financial statement fraud EXCEPT: Group of answer choices companies with unrealistically large growth in assets, revenues or profits. companies with a principal who has been involved in a bankruptcy. companies whose success depends on a special tax loophole or tax avoidance scheme. companies that report contingent liabilities that have the potential to create a loss.

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Financial statement fraud is the deliberate manipulation or misrepresentation of accounting records to deceive stakeholders. Indicators of financial statement fraud can be identified in the financial statements presented. All of the following are indicators of financial statement fraud EXCEPT companies whose success depends on a special tax loophole or tax avoidance scheme.

Financial statement fraud can be identified through several indicators. These indicators include companies with unrealistically large growth in assets, revenues, or profits, companies with a principal who has been involved in a bankruptcy, and companies that report contingent liabilities that have the potential to create a loss. Companies with unrealistically large growth in assets, revenues, or profits this is an indicators of financial statement fraud. Unrealistically large growth in assets, revenues, or profits could indicate that a company is manipulating its financial records.

The management of a company could be overvaluing assets or understating liabilities. Companies with a principal who has been involved in a bankruptcyA principal who has been involved in a bankruptcy could be an indicator of financial statement fraud. Bankruptcy could be a red flag to stakeholders, as it could indicate that a principal has a history of financial difficulties. Companies that report contingent liabilities that have the potential to create a loss This is an indicator of financial statement fraud.  

Tax avoidance schemes are not necessarily fraudulent, and companies can legally avoid paying taxes using these schemes. However, it is illegal to evade taxes, which involves providing false information to tax authorities to reduce tax liabilities. In summary, the exception is companies whose success depends on a special tax loophole or tax avoidance scheme.

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XYZ State University invites its students, employees, and the public to get a COVID-19 booster shot in the building number 1 on February 1 and 2. As we kick off the spring 2022 semester, xyz State will offer on-campus COVID-19 booster clinics on February 1 & 2 in the Building number 1 10 a.m. to 5 p.m. The clinic is open to Xxz State students, employees, and the general public (age 12 and over). The clinic is free, and no appointments are necessary, but please bring your vaccine card with you so it can be updated. The University strongly encourages all students, faculty, and staff to get a COVID-19 booster as soon as they are eligible. You are eligible for a booster if you received your second dose of the Mederia or fizur vaccine at least five months ago (any time before September 1, 2021), or if you received the single dose Jameson & Jameson vaccine at least two months ago (any time before December 1, 2021). As a reminder, the XYZ state university requires anyone accessing campus facilities to be boosted by February 28, 2022. Boosters will enhance your protection from serious illness and reduce the chance that a COVID-19 exposure disrupts your semester. Those who are not yet eligible by the February 28 deadline will need to provide proof of receiving their booster within 14 days of becoming eligible. The University soon will announce a new platform for students and employees to self-certify and upload proof of having received a booster shot. Stay tuned. In addition, the University has opened a COVID-19 testing site just for XYZ State students and employees. Beginning today, you can get a PCR test with results within 24-48 hours in Colusa Hall, Room 111 from noon to 4 p.m., Monday-Friday. Best Regards, Michale kenny Director, Pandemic Management Team ANSWER THE FOLLOWING QUESTION FROM READING
Audience Analysis Questions:
Who is the primary audience for this message?
Who is the secondary audience or other possible audiences?
How do you think the audience will react to the message?
What are each audience’s values, priorities, and constraints?
What information will be most important to my audience?
How does the sender establish and build credibility with their audience?

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Primary Audience:The primary audience for this message is the XYZ State University students and employees. These individuals are directly affected by the COVID-19 booster shot announcement because they are required to have it by February 28, 2022.Secondary Audience: The secondary audience is the general public, including those who live in the surrounding area of XYZ State University.

They can also benefit from this announcement and attend the clinic, even though they are not required to receive the booster shots.What information will be most important to my audience?The most important information for the audience includes the dates, time, and location of the on-campus COVID-19 booster clinics. Students and employees should know that the clinic is open to the general public, and it's free, and no appointments are required. They should bring their vaccine card with them so it can be updated, and those who are not yet eligible for the booster shots should take a PCR test to receive on-campus facilities access.How does the sender establish and build credibility with their audience?The sender establishes credibility by providing clear and concise information in the announcement. Michael Kenny, the Director of the Pandemic Management Team, is the one delivering the announcement. Since he is a leader, the audience is more likely to believe the information provided. The sender also encourages everyone to get vaccinated, ensuring everyone's safety. The sender aims to build credibility with their audience by showing concern for their health and well-being.

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Consider the following simultaneous-move, one-shot game:

Player 2
Strategy C D
Player 1 A 30, 10 10, 15
B 20, 25 8, 20

1. Determine the Nash equilibrium for this game.

2. Change the game to a sequential-move game in which player 1 moves first and find the sub-game perfect equilibrium (it might help to write the game out in extensive form). Comparing this result to the previous result, what is the maximum amount player 1 should be willing to pay for the right to move first?

3. If the simultaneous-move game were infinitely repeated, would a cooperative agreement be sustainable assuming both players use a discount rate of 10%? Explain as specifically as possible.

4. If both players know the simultaneous-move game will be played exactly 5 times, would a cooperative agreement be possible? Explain why or why not.

Answers

The Nash equilibrium is (B, D).The maximum amount player 1 should be willing to pay  is less than the difference in payoffs between the two equilibria , cooperative agreement is unlikely to be sustainable .If the simultaneous-move game is played  5 times, a cooperative agreement becomes possible.

1. The Nash equilibrium is determined by identifying the strategies that maximize each player's payoff given the other player's choices. The equilibrium in this game is (B, D) because no player has an incentive to deviate unilaterally.

2. In the sequential-move game, player 1's optimal strategy is still B, and player 2's optimal response is D. The maximum amount player 1 should pay for moving first is limited by the difference in payoffs between the two equilibria, as paying more would result in a lower payoff than the Nash equilibrium.

3. In an infinitely repeated simultaneous-move game, cooperation is unlikely to be sustained as there are no mechanisms to enforce agreements or punish defection. The discount rate, representing future values, does not change this fundamental challenge.

4. With a fixed number of interactions (5 times in this case), a cooperative agreement becomes feasible as players can adopt a strategy of reciprocal cooperation and punishment for defection. The limited number of rounds creates incentives for players to cooperate and achieve higher overall payoffs through repeated play.

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Which of the following statements is/are incorrect about project scheduling?
(Note: Penalty point apply to the wrong selections).
Select one or more:
a. Slackvalues are determined after completion of forward pass
b. The length of the critical path is the same as the length of the project
c. Slack is determined after the backward pass has been completed
O d. Predecessor relationships are determined after drawing the projects network diagram
- e. A project cannot have more than one critical path
. The critical path is the longest path to connect the start and finish tasks of a project
g. In critical activities, earliest start is an earlier date from latest start
h. Slack is the amount of time a non-critical activity may be delayed without affecting the project's planned completion date.

Answers

The correct options are b, c, e, f, g, and h. The incorrect statements about project scheduling are : a. Slackvalues are determined after completion of forward pass and d. Predecessor relationships are determined after drawing the project's network diagram.

Thus, options a and d are incorrect. The following are the correct statements related to project scheduling:

1. The critical path is the longest path to connect the start and finish tasks of a project.

2. In critical activities, the earliest start is an earlier date from the latest start.

3. Slack is the amount of time a non-critical activity may be delayed without affecting the project's planned completion date.

4. Slack is determined after the backward pass has been completed.

5. A project cannot have more than one critical path.

6. The length of the critical path is the same as the length of the project.

Therefore, the correct options are b, c, e, f, g, and h.

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Determine the unit break-even point, assuming fixed costs are $30,000 per period, variable costs are $22.00 per unit, and the sales price is $30.00 per unit. (Round to nearest unit if necessary.)

1,364

6,667

3,750

1,000

There is not enough information to calculate this number.

Answers

The unit break-even point, considering fixed costs of $30,000, variable costs of $22.00 per unit, and a sales price of $30.00 per unit, is approximately 3,750 units.

How to determine the unit break-even point?

To determine the unit break-even point, we need to find the number of units that need to be sold in order to cover the fixed costs. The formula to calculate the unit break-even point is as follows:

Break-even point (in units) = Fixed costs / (Sales price per unit - Variable cost per unit)

In this case, the fixed costs are $30,000 per period, the variable cost per unit is $22.00, and the sales price per unit is $30.00.

Using the formula, we can calculate the unit break-even point:

Break-even point (in units) = $30,000 / ($30.00 - $22.00)

                         = $30,000 / $8.00

                         = 3750 units

Rounding to the nearest unit, the unit break-even point is 3,750 units.

Therefore, the correct answer is 3,750.

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stark company's most recent balance sheet reported total assets of $1,920,000, total liabilities of $790,000, and total equity of $1,130,000. its debt-to-equity ratio is: a. 0.89 b. 1.12 c. 0.47 d. 0.53 e. 1.00

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The debt-to-equity ratio of Stark Company can be calculated by dividing the total liabilities by the total equity. Given that the total liabilities are $790,000 and the total equity is $1,130,000, we can compute the debt-to-equity ratio.

The debt-to-equity ratio measures the proportion of a company's financing that comes from debt relative to equity. It is a financial metric that provides insight into a company's capital structure and financial leverage.

To calculate the debt-to-equity ratio, we divide total liabilities by total equity:

Debt-to-Equity Ratio = Total Liabilities / Total Equity

Using the given information, the debt-to-equity ratio for Stark Company is:

Debt-to-Equity Ratio = $790,000 / $1,130,000

Simplifying the division, we find that the debt-to-equity ratio is approximately 0.699 (rounded to three decimal places).

Among the answer choices provided, none of them matches the calculated debt-to-equity ratio of 0.699. Therefore, the answer is not present in the given options, and we cannot determine the precise debt-to-equity ratio based on the provided choices.

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