Go online and search for project life cycle models. Identify at least two that are different from the PMI model, and compare and contrast the phases.

Answers

Answer 1

Agile Model: Iterative and flexible approach, emphasizing collaboration and continuous feedback. Waterfall Model: Sequential and structured approach, with a focus on thorough planning and sign-off at each phase. PMI Model: Comprehensive framework with five process groups, covering various knowledge areas in project management.

Two project life cycle models that are different from the PMI (Project Management Institute) model are the Agile and the Waterfall models. Let's compare and contrast the phases of these two models with the PMI model:

1. Agile Model:

  - Phases: The Agile model typically consists of iterative and incremental phases, such as Discovery, Planning, Development, Testing, and Deployment. However, Agile emphasizes flexibility and adaptability, allowing for continuous feedback and adjustments throughout the project.

  - Characteristics: The Agile model promotes collaboration, customer involvement, and early delivery of working software. It focuses on breaking the project into small iterations or sprints, allowing for frequent inspection and adaptation.

  - Advantages: Agile enables quick response to change, encourages stakeholder engagement, and promotes continuous improvement. It is suitable for projects with evolving requirements, where flexibility and responsiveness are crucial.

  - Limitations: Agile may lack predictability in terms of cost and schedule, as the scope and requirements may evolve during the project. It requires active participation from all stakeholders, and documentation may be relatively minimal.

2. Waterfall Model:

  - Phases: The Waterfall model follows a sequential approach with distinct phases, including Requirements Gathering, Design, Implementation, Testing, Deployment, and Maintenance. Each phase is completed before moving on to the next, and there is limited flexibility for changes once a phase is completed.

  - Characteristics: The Waterfall model emphasizes a structured and linear progression, with an emphasis on thorough planning, documentation, and sign-off at each phase. It assumes a clear and stable understanding of requirements upfront.

  - Advantages: Waterfall offers clarity and predictability, making it easier to estimate costs and schedule. It is suitable for projects with well-defined requirements and where changes are expected to be minimal.

  - Limitations: The Waterfall model can be rigid and less adaptable to changing requirements. It may not accommodate feedback and adjustments well during the project. Late-stage changes can be costly and time-consuming.

In contrast, the PMI model, also known as the PMBOK (Project Management Body of Knowledge) model, consists of five process groups: Initiation, Planning, Execution, Monitoring and Controlling, and Closing. These process groups are executed in a linear or iterative manner based on project needs. The PMI model emphasizes a comprehensive approach to project management, covering various knowledge areas such as scope, time, cost, quality, risk, and stakeholder management.

In summary, while the Agile model focuses on flexibility, collaboration, and iterative development, the Waterfall model follows a sequential and structured approach. The PMI model offers a comprehensive framework covering all aspects of project management. Each model has its own strengths and weaknesses, making their suitability dependent on the project's characteristics and requirements.

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Related Questions

how to apply strategic buckets in biotech portfolio management

Answers

Applying strategic buckets in biotech portfolio management involves categorizing investments into specific groups or "buckets" based on various strategic criteria.

Here are some steps to consider when implementing strategic buckets in biotech portfolio management: Define strategic criteria: Identify the key factors that will drive your investment decisions in the biotech sector. This could include therapeutic area focus, development stage, risk tolerance, revenue potential, or other relevant parameters.

Categorize investments: Based on the defined criteria, sort your biotech investments into different strategic buckets. For example, you may have buckets for early-stage high-risk/high-reward opportunities, late-stage candidates with potential for near-term regulatory approval, or established products generating revenue.

Allocate resources: Determine the allocation of resources (financial, human, etc.) to each strategic bucket based on your risk appetite, investment goals, and available capital. This allocation should reflect your overall investment strategy and portfolio diversification objectives.

Monitor and rebalance: Continuously track the performance and progress of investments within each strategic bucket. Regularly reassess the allocation of resources and make adjustments as needed to ensure alignment with your investment strategy and market conditions.

Consider portfolio optimization: Evaluate the overall portfolio composition and performance regularly. Analyze the risk-return profile, assess diversification, and optimize the allocation of investments across strategic buckets to maximize the potential for returns while managing risks effectively.

By implementing strategic buckets, biotech portfolio managers can effectively structure their investments, align resources, and diversify risks to achieve their investment objectives in the dynamic and high-stakes biotech industry.

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Question 43 Today, the value of U.S. currency is backed by the silver standard due to its role in the international market insurance provided by the Federal Deposit Insurance Corporation the gold standard, with some account for digital currencies people's faith in its ability to be converted into services and goods

Answers

The statement that correctly completes the given sentence is, "the people's faith in its ability to be converted into services and goods.

"The value of U.S. currency is backed by the people's faith in its ability to be converted into services and goods due to its role in the international market, insurance provided by the Federal Deposit Insurance Corporation, and the gold standard, with some account for digital currencies. The U.S. currency has evolved over time from being backed by gold and silver to the current system where the value of the currency is not tied to any physical commodity but rather the trust and confidence that people have in the stability of the U.S. economy and the government's ability to manage the money supply.The value of the U.S. currency is constantly changing due to fluctuations in the foreign exchange market and other factors such as inflation and interest rates. However, it remains one of the most widely used currencies in the world due to its stability and widespread acceptance in international trade.

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Select one store that fits into one of the thirteen types of retailers. example like cosco, publix and sams club then after choosing one that fits one of the thirteen catagories answer the four questions listed below:
1. Supermarkets
2. Supercenters
3. Warehouse Clubs
4. Convenience Stores
5. Online Grocery Retailers
6. Department Stores
7. Full-Line Discount Stores
8. Specialty Stores
9. Drugstores
10. Category Specialists
11. Extreme-Value Retailers
12. Off-Price Retailers
13. Service Retailers
Then answer these questions:
Why does the retailer you selected fit into the category you indicated? (Describe traits).
Based on the type of merchandise it sells, why was or wasn't it a good idea for this company to become this type of retailer?
How does the retail type of this company help it to effectively serve its client base?
Could this company successfully extend into other types of retailing?

Answers

A retailer that fits into the category of "Warehouse Clubs" is Costco. Costco is known for its large warehouse-style stores offering a wide range of products, primarily sold in bulk quantities to members.

Why does Costco fit into the category of Warehouse Clubs?

Costco embodies the traits of a warehouse club by offering a membership-based shopping experience, bulk quantities, and discounted prices. Its large store format and emphasis on providing value through volume purchases align with the characteristics of warehouse clubs.

Based on the type of merchandise it sells, it was a good idea for Costco to become a warehouse club retailer. The company offers a wide variety of products, including groceries, electronics, furniture, and household items. By selling these items in bulk, Costco caters to consumers who are looking for value, convenience, and savings through larger purchases.

The retail type of being a warehouse club helps Costco to effectively serve its client base by providing them with a unique shopping experience and significant cost savings. The membership model allows Costco to cultivate a loyal customer base, and the focus on bulk purchases appeals to small businesses and families who prefer to stock up on necessities at lower prices.

While Costco has successfully expanded its offerings to include services like travel and auto purchases, it may face challenges in extending into other types of retailing. Its business model relies heavily on the warehouse club concept, and venturing into other retail types could dilute its core value proposition. However, there may be opportunities for Costco to explore online retailing and further expand its e-commerce presence to complement its existing brick-and-mortar operations.

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Your estimate of the Market Risk Premium is 4.50%. The Risk-Free Rate of return is 5.50%, and General Motors has a Beta of 0.90. According to the Capital Asset Pricing Model (CAPM), what is its expected return? O 13.60% 9.09% 9.55% 4.60% 9.78%

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According to the Capital Asset Pricing Model (CAPM), the expected return of General Motors is estimated to be 9.55%. Here option C is the correct answer.

According to the Capital Asset Pricing Model (CAPM), the expected return of General Motors will be 9.55%.

According to the Capital Asset Pricing Model (CAPM), the expected return is calculated as; Expected Return = Risk-Free Rate + (Market Risk Premium x Beta)The Risk-Free Rate of return is 5.50%.The estimate of the Market Risk Premium is 4.50%.General Motors has a Beta of 0.90.Substituting the values in the formula;

Expected Return = 5.50% + (4.50% x 0.90) Expected Return = 5.50% + 4.05% Expected Return = 9.55%. Hence, according to the Capital Asset Pricing Model (CAPM), the expected return of General Motors will be 9.55%.Option C is the correct answer.

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Possibilities for New Value Creation (ERRC)
Briefly describe each point with 1~5 areas of the Airbnb company that can be eliminated, reduced, raised, or created, respectively. Put the areas in order of importance (i.e., most important should be first)
Eliminate
___________
Reduce
___________
Raise
___________
Create

Answers

One of the key aspects of the ERRC grid is identifying the possibilities for new value creation. Here are some areas of the Airbnb company that can be eliminated, reduced, raised, or created, respectively:



Eliminate
1. Advertising expenses: Airbnb can eliminate its advertising expenses by leveraging its loyal customer base to bring in new users.
2. Manual background checks: Airbnb can eliminate manual background checks for hosts by partnering with third-party companies to provide automated screening services.
3. Maintenance costs: Airbnb can eliminate maintenance costs by introducing a rating system for guests to rate the cleanliness of the property.
4. Insurance costs: Airbnb can eliminate insurance costs by partnering with insurance providers to offer insurance as an add-on service to hosts.
5. Host Verification Process: Eliminate host verification processes by offering personalized verification options for hosts that are more efficient than current ones.
Reduce
1. Commissions paid by hosts: Airbnb can reduce commissions paid by hosts by offering volume-based discounts for high-volume hosts.
2. Time to onboard new hosts: Airbnb can reduce the time to onboard new hosts by introducing a self-service portal for new hosts to sign up and list their properties.
3. Response time for customer support: Airbnb can reduce response time for customer support by introducing a chatbot that can handle basic customer inquiries.
4. Length of guest stays: Airbnb can reduce the length of guest stays by introducing a minimum stay requirement to encourage short-term stays.
5. Guest acquisition costs: Airbnb can reduce guest acquisition costs by partnering with other travel companies to offer bundled travel packages.
Raise
1. Revenue per booking: Airbnb can raise revenue per booking by offering premium services like airport transfers, concierge services, and local tours.
2. Trust in the Airbnb brand: Airbnb can raise trust in the Airbnb brand by introducing a transparent review system for guests and hosts.
3. Host earnings: Airbnb can raise host earnings by offering hosts a share in the revenue generated by ancillary services like airport transfers.
4. Customer loyalty: Airbnb can raise customer loyalty by introducing a loyalty program that rewards customers for repeat bookings.
5. Upselling: Airbnb can raise upselling by offering personalized recommendations for experiences, tours, and activities to guests based on their preferences and past bookings.
Create
1. Ancillary services: Airbnb can create new ancillary services like airport transfers, local tours, and concierge services to increase revenue.
2. Experiences: Airbnb can create new experiences like cooking classes, adventure tours, and cultural activities to attract new users.
3. Instant booking: Airbnb can create an instant booking feature that allows guests to book without waiting for host approval.
4. Dynamic pricing: Airbnb can create dynamic pricing that automatically adjusts the pricing of listings based on demand and availability.
5. Virtual concierge: Airbnb can create a virtual concierge that can handle basic guest requests like restaurant reservations, directions, and activity recommendations.

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On January 1, Sanchez Corporation purchased a 35% equity interest in Lawton Company for $380,000. At December 31, Lawton declared and paid a $40,000 cash dividend and reported net income of $98,000. Prepare the necessary journal entries for Sanchez Corporation.

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To record the purchase of a 35% equity interest in Lawton Company by Sanchez Corporation and the subsequent cash dividend and net income reported by Lawton, the following journal entries need to be made:

January 1: Record the purchase of the equity interest in Lawton Company.

December 31: Record the receipt of the cash dividend from Lawton Company.

December 31: Record Sanchez Corporation's share of Lawton Company's net income.

On January 1, Sanchez Corporation would record the purchase of the equity interest in Lawton Company by debiting the Investment in Lawton Company account for $380,000 and crediting Cash for $380,000.

Debit: Investment in Lawton Company $380,000

Credit: Cash $380,000

On December 31, when Lawton Company declares and pays a cash dividend, Sanchez Corporation would record the receipt of its share of the dividend by debiting Cash for $14,000 (35% of $40,000) and crediting Dividend Income for $14,000.

Debit: Cash $14,000

Credit: Dividend Income $14,000

On December 31, when Lawton Company reports its net income, Sanchez Corporation would record its share of the net income by debiting Investment in Lawton Company for $34,300 (35% of $98,000) and crediting Equity in Net Income of Lawton Company for $34,300.

Debit: Investment in Lawton Company $34,300

Credit: Equity in Net Income of Lawton Company $34,300

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__________ best explains a ratio of (sales/average net fixed assets) that exceeds the industry average.

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A ratio of (sales/average net fixed assets) that exceeds the industry average can be best explained by the presence of higher efficiency or productivity in utilizing fixed assets.

When a company's ratio of (sales/average net fixed assets) exceeds the industry average, it indicates that the company is utilizing its fixed assets more efficiently or productively. Fixed assets include long-term assets such as buildings, machinery, and equipment. A higher ratio suggests that the company is generating a greater amount of sales revenue per unit of fixed assets, which indicates effective asset management.

There are several factors that can contribute to a higher ratio. Firstly, the company may have implemented more efficient production processes or utilized advanced technology, enabling them to generate higher sales with fewer fixed assets. This could result in increased productivity and cost savings. Additionally, effective inventory management practices may have reduced the need for excessive fixed assets, allowing the company to achieve higher sales with a smaller asset base.

Moreover, a higher ratio can also be indicative of superior sales and marketing strategies. The company may have successfully identified and targeted profitable market segments, resulting in increased sales volumes. Additionally, effective pricing strategies and strong customer relationships may have contributed to higher revenues per fixed asset.

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One of the biggest problems associated with the intangibility aspect of a service is ______________
Question 41 options:
the perceived lack of quality as opposed to a tangible good.
that the unused capacity cannot be stockpiled or inventoried for later use.
that consumers may have a problem evaluating service offerings.
that services are not produced at the same time they are consumed.
that services are not labor-intensive.

Answers

One of the biggest problems associated with the intangibility aspect of a service is that consumers may have a problem evaluating service offerings.

The intangibility of services means that they lack physical presence and cannot be seen, touched, or inspected before purchase. This poses challenges for consumers in evaluating the quality and value of a service.

Unlike tangible goods, which can be examined and assessed based on their physical attributes, services are often experienced and evaluated during or after consumption. Consumers rely heavily on cues such as reputation, reviews, recommendations, and service provider expertise to gauge the quality of service.

However, these indicators may not always be reliable or readily available, leading to uncertainty and difficulty in making informed decisions about service offerings.

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We are evaluating a project that costs $2,130,000, has a 8-year life, and has no salvage value. Assume that depreciation is straight-line to zero over the life of the project. Sales are projected at 90,600 units per year. Price per unit is $38. 85, variable cost per unit is $23. 95, and fixed costs are $860,000 per year. The tax rate is 25 percent, and we require a return of 11 percent on this project.


Suppose the projections are given for price, quantity, variable costs, and fixed costs are all accurate to within ±10 percent. Calculate the best-case and worst-case NPV figures. (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answers to 2 decimal places, e. G. 32. 16. )

Answers

The best-case NPV for the project is $441,700.99, indicating potential profitability, while the worst-case NPV is -$331,646.38, suggesting potential non-viability.

The best-case and worst-case NPV figures for the project can be calculated by considering the upper and lower bounds of the projections for price, quantity, variable costs, and fixed costs. Let's calculate the NPV for both scenarios. In the best-case scenario, we assume the upper bounds of the projections. The sales quantity would be 10% higher than the projected 90,600 units per year, resulting in 99,660 units per year. The price per unit would be 10% higher than $38.85, which is $42.735 per unit. The variable cost per unit would be 10% lower than $23.95, which is $21.555 per unit. The fixed costs would remain the same at $860,000 per year.

To calculate the best-case NPV, we first need to calculate the annual cash flows. The annual revenue would be the sales quantity multiplied by the price per unit, which gives us $4,267,701. The annual variable costs would be the sales quantity multiplied by the variable cost per unit, which gives us $2,150,696. The annual cash flow before taxes would be the revenue minus the variable costs and fixed costs, which gives us $1,257,005. The annual taxes would be 25% of the cash flow before taxes, resulting in $314,251.25. The annual cash flow after taxes would be the cash flow before taxes minus the taxes, which gives us $942,753.75.

Using the formula for NPV, we can calculate the best-case NPV as follows:

[tex]NPV = -Initial Investment + (CF1 / (1+r)^1) + (CF2 / (1+r)^2) + ... + (CFn / (1+r)^n)[/tex]

Where CF1 to CFn are the annual cash flows and r is the required rate of return.

In this case, the initial investment is $2,130,000, the required rate of return is 11%, and n is the 8-year life of the project. Plugging in the values, we can calculate the best-case NPV as $441,700.99.

In the worst-case scenario, we assume the lower bounds of the projections. The sales quantity would be 10% lower than the projected 90,600 units per year, resulting in 81,540 units per year. The price per unit would be 10% lower than $38.85, which is $35.9655 per unit. The variable cost per unit would be 10% higher than $23.95, which is $26.3455 per unit. The fixed costs would remain the same at $860,000 per year.

Following the same calculations as in the best-case scenario, we find that the worst-case NPV is -$331,646.38.

Therefore, the best-case NPV for the project is $441,700.99, indicating a positive net present value and suggesting that the project is potentially profitable. On the other hand, the worst-case NPV is -$331,646.38, which indicates a negative net present value, suggesting that the project may not be viable in the worst-case scenario. It's important to consider these best-case and worst-case scenarios when evaluating the financial feasibility of the project.

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When the U.S. Federal Reserve pushes lower interest rates, the
growth rate in the money supply will increase.
True
False

Answers

The statement, "When the U.S. Federal Reserve pushes lower interest rates, the growth rate in the money supply will increase," is true. Here's an explanation of why:The U.S. Federal Reserve is responsible for setting monetary policy, which involves adjusting the money supply and interest rates.

When the Federal Reserve lowers interest rates, banks and other lending institutions will borrow more from the Fed's discount window. As a result, more money enters the economy, causing the growth rate of the money supply to increase.When interest rates are low, individuals and businesses are more likely to borrow money, which stimulates economic activity and can help boost economic growth. As a result, lowering interest rates can be a useful tool for the Federal Reserve when trying to promote economic growth and prevent recessions. However, it's important to note that lowering interest rates can also lead to inflation, which is why the Federal Reserve carefully monitors economic data and adjusts monetary policy as needed to achieve its dual mandate of price stability and maximum employment.In summary, when the Federal Reserve pushes lower interest rates, it can increase the growth rate of the money supply, which can stimulate economic growth but also has the potential to lead to inflation.

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Brad owns his own financial services firm. The telephone number to the firm is CALL-IRA. He felt this number would be an easy one for his clients to remember because:

Answers

Brad's choice of the telephone number CALL-IRA demonstrates his strategic thinking in creating a memorable and relevant contact point for his financial services firm.

Brad's choice of the telephone number CALL-IRA reflects his intention to make it memorable for his clients. Here's why he may have thought it would be easy to remember:Catchy and mnemonic: The word "CALL" followed by "IRA" forms a memorable phrase. It combines a common action ("CALL") with an abbreviation related to individual retirement accounts ("IRA"), which is relevant to Brad's financial services.

Association with services: By including "IRA" in the telephone number, Brad establishes a connection between his firm and individual retirement accounts. This can help clients associate the number with financial services related to retirement planning.Easy to spell and remember: CALL-IRA is a simple and straightforward combination of letters and numbers. The use of a recognizable and widely understood abbreviation ("IRA") makes it easier for clients to recall and dial the number.

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Which of the following is true of participative budgeting? a.It discourages creativity. b.It imposes budgets on subordinate managers. c.It fosters a sense of responsibility among managers. d.It results in lower goal congruence.

Answers

Participative budgeting is a valuable approach that fosters a sense of responsibility among managers and contributes to a more engaged and motivated workforce.

In participative budgeting, managers and subordinates are involved in the budgeting process, allowing them to contribute their inputs and perspectives. This approach fosters a sense of responsibility among managers as they become actively engaged in the budget creation and decision-making process.

By involving managers in the budgeting process, they have a greater understanding of the budget's objectives and are more likely to take ownership of their roles in achieving those objectives. This can lead to increased motivation, accountability, and commitment to achieving the budgeted goals.

Participative budgeting also encourages collaboration and communication among team members, promoting a culture of teamwork and shared responsibility. It allows for the identification of potential challenges and opportunities, as managers have a better understanding of the budget's constraints and requirements.

By involving subordinates in the budgeting process, it can also stimulate creativity and innovation as different perspectives are considered.

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9.Goal setting states that high performance requires commitment to difficult goals. This may not work well or predict behavior in societies where
a. the level of uncertainty avoidance is high
b. the culture scores high on the femininity dimension
c. a low level of power distance exists
1. a & c
2. a & b

Answers

The correct answer is 2. a & b Goal setting states that high performance requires commitment to difficult goals. This may not work well or predict behavior in societies where

Goal setting theory suggests that high performance is achieved when individuals are committed to challenging goals. However, there are certain societal factors that can affect the effectiveness of goal setting. In societies where the level of uncertainty avoidance is high, individuals may prioritize stability and risk avoidance over setting and pursuing ambitious goals. This can limit the effectiveness of goal setting in predicting behavior and performance.

Similarly, in cultures that score high on the femininity dimension, there may be a greater emphasis on collaboration, nurturing relationships, and maintaining work-life balance. This can result in a lower emphasis on setting and achieving individualistic and challenging goals, which may not align well with the principles of goal setting theory.

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Suppose that people consume and produce only two goods, as shown in the following table: Coffee Bagels 2019 price/unit $3.00 $1.00 2019 quantity 50 2020 price/unit $4.00 $1.50 2020 quantity 55 40 2021 price/unit $5.00 $2.00 2021 quantity 60 50 30 (a) Calculate the CPI in each year, and then use your answer to calculate the inflation rates in 2020 and 2021. Use 2019 as the base year and fix the basket at 50 coffees and 30 bagels. Show all your work. (b) Calculate nominal GDP, real GDP, and the GDP deflator for all three years, using 2019 as the base year. Use your answers to calculate the inflation rates in 2020 and 2021. Show all your work. 4. Suppose GDP is $40 million, private saving is $10 million, consumption is $26 million, and public saving is -$4 million. Assume the economy is closed. (a) Calculate taxes minus transfer payments (T), government purchases (G), national saving (S), and investment (I). (b) Is the government running a surplus or a deficit? Explain.

Answers

In this question, we are given data on prices and quantities of two goods over a three-year period. We are asked to calculate the Consumer Price Index (CPI) and inflation rates for each year using 2019 as the base year.

Additionally, we need to calculate nominal GDP, real GDP, and the GDP deflator for all three years using the same base year. In the second part, we are given information on GDP, private saving, consumption, and public saving, and we need to calculate taxes minus transfer payments, government purchases, national saving, and investment. Finally, we determine whether the government is running a surplus or deficit.

(a) To calculate the CPI, we use the formula CPI = (Cost of Basket in Given Year / Cost of Basket in Base Year) x 100. By plugging in the values from the table, we can calculate the CPI for each year. The inflation rate is then determined by the percentage change in the CPI from the previous year.

(b) To calculate nominal GDP, we multiply the current year's prices by the current year's quantities and sum them. Real GDP is calculated by multiplying the base year's prices by the current year's quantities and summing them. The GDP deflator is the ratio of nominal GDP to real GDP multiplied by 100. The inflation rate is determined by the percentage change in the GDP deflator from the previous year.

In the second part, we can calculate taxes minus transfer payments by subtracting public saving from private saving. Government purchases are given. National saving is the sum of private and public saving, and investment is equal to national saving.

If public saving is negative (-$4 million), it means the government is running a deficit. This indicates that government spending exceeds government revenue and public saving is being financed by borrowing.

Overall, these calculations help us understand changes in prices, economic growth, and the fiscal position of the government.

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Discuss the issues related to ownership of content in an Intranet.

Answers

Issues related to ownership of content in an Intranet is that the ownership of the information is often in question because there are many parties involved in the creation, maintenance, and dissemination of the content.

Furthermore, in many cases, the ownership of the content is unclear because it is created by employees of a company who are paid to create it, but the content is not created specifically for the company.

In such cases, ownership is often unclear and can lead to disputes over the use, dissemination, or modification of the content.

Another issue related to ownership of content in an intranet is the risk of unauthorized access and use of the content. This risk is particularly high when the content is stored on a shared network or server, where multiple people can access it.

Basically, Intranet refers to a private network that is only accessible to an organization's employees, members, or others with authorized access.

An intranet is used for sharing information within an organization. This information is stored on a network server and can include documents, calendars, news, and other relevant information.

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In the economic value added (EVA) equation, the _____ is subtracted from the after-tax operating income to determine the EVA.

Answers

In the economic value added (EVA) equation, the cost of capital is subtracted from the after-tax operating income to determine the EVA. The Economic Value Added (EVA) is a measure of a company's true economic profitability that was developed by Stern Stewart & Co. EVA is calculated by subtracting a company's cost of capital from its net operating profit after taxes (NOPAT).

The idea behind EVA is to determine whether or not a business has created true value for its shareholders. The business's real economic profit, according to Stern Stewart, is the amount by which its operating profit exceeds the opportunity cost of its invested capital. In short, EVA measures how effectively a company is using its resources to generate profits.

EVA = Net Operating Profit After Taxes (NOPAT) - (Capital Invested × Cost of Capital)EVA = NOPAT - (Capital Invested × WACC)where NOPAT = net operating profit after taxes and WACC = weighted average cost of capital.

The cost of capital is the total cost of borrowing for a firm's operations. It includes the interest rate on loans, as well as the cost of equity financing and the cost of debt. This cost is usually expressed as a percentage.

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lpha Corp. has divided its business into a number of sub units. This organization change is an example of change in the area of: ____________


a. structure and design.

b. operations.

c. social responsibility.

d. people.

e. organization mission.

Answers

The organizational changes given in the question "Alpha Corp. has divided its business into a number of sub-units" is an example of change in the area of Structure and Design.

Business refers to the activity of producing, buying, selling, and exchanging goods or services with the aim of generating profit. It involves the organized efforts of individuals and organizations to meet the needs and wants of customers while maximizing their own economic interests. Businesses can take various forms, such as sole proprietorships, partnerships, corporations, or cooperatives.

Successful businesses typically have clear objectives, strategies, and plans to achieve their goals. They engage in activities like market research, product development, marketing, sales, and customer service. They also manage resources, including finances, personnel, and technology, to ensure efficient operations.

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Which statement reflects the situation when the price exceeds the price ceiling?
1. Electrolux air-conditioners have set too high premium prices until their sales volumes growth was -5% this year, even though consumers acknowledge the amount of effort from their research & development investment.
2. Samsung air-conditioners offer 30% discount in summer for the family whose family members exceed 3 persons.
3. Toshiba air-conditioners offers both discounted and premium prices in order to capture totally different segments of Southeast Asia.
4. Mitsubishi air-conditioners has never adjusted their prices in the past 2 years.

Answers

The statement that reflects the situation when the price exceeds the price ceiling is as follows:

Electrolux air-conditioners have set too high premium prices until their sales volumes growth was -5% this year, even though consumers acknowledge the amount of effort from their research & development investment.What is a price ceiling?A price ceiling is a legally binding limit on the price that can be charged for a good or service. The maximum price that a seller is permitted to charge is set by the government. A price ceiling is designed to help customers by making the price of a good or service more affordable. A market may exist without a price ceiling if the equilibrium price is lower than the ceiling.What is a premium price?A premium price is a pricing technique that is used to differentiate a product from others in the market. A high-priced item implies high quality or exclusivity in the consumer's mind. Companies will demand a premium price when they believe their product is unique or provides superior value to consumers.

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Mario worked 48 hours during the work week. He earns wages of​ $18 per hour for straight time​ (40 hours). The company pays​ time-and-half for overtime.​ Mario's gross pay is​ $864. T/F

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The statement that Mario's gross pay is $864 is false. Based on the information provided, Mario's calculated gross pay is $936, which is higher than the given amount. This indicates an error or discrepancy in the statement.

To determine if the statement is true or false, we need to calculate Mario's gross pay based on the given information. Mario worked 48 hours in total, which means he worked 8 hours of overtime (48 - 40).

For the straight time (40 hours), Mario earns $18 per hour. So, his straight time earnings would be:

Straight time earnings = 40 hours * $18/hour = $720

For the overtime (8 hours), Mario earns time-and-a-half, which means he would earn 1.5 times his regular hourly rate of $18. So, his overtime earnings would be:

Overtime earnings = 8 hours * $18/hour * 1.5 = $216

To calculate Mario's gross pay, we add his straight time earnings and overtime earnings:

Gross pay = Straight time earnings + Overtime earnings

Gross pay = $720 + $216 = $936

Since the given gross pay is stated as $864, which is lower than the calculated gross pay of $936, the statement is false.

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With an anticipated 25 years in retirement, an individual wants to spend Php 10,000,000 per year. He will make a deposit of Php 676,677 annually at the end of each of his working years, funding this retirement account at 6% interest rate compounded annually on all investments. Calculate for the minimum number of deposits that are needed to reach his retirement goal and round your answers to the nearest whole number.

Answers

The minimum number of deposits needed to reach the retirement goal is approximately 24 deposits.

How many deposits are required to reach the retirement goal?

To calculate the minimum number of deposits needed to reach the retirement goal, we can use the formula for the future value of an annuity. In this case, the annuity is the annual deposit made at the end of each working year, and the future value is the desired retirement goal of Php 10,000,000 per year.

Using the formula: Future Value = Deposit × [(1 + Interest Rate)^Number of Deposits - 1] / Interest Rate

We can rearrange the formula to solve for the number of deposits:

Number of Deposits = log[(Future Value × Interest Rate / Deposit) + 1] / log(1 + Interest Rate)

Plugging in the given values of Future Value = Php 10,000,000, Deposit = Php 676,677, and Interest Rate = 6%, we can calculate the minimum number of deposits needed.

Number of Deposits = log[(10,000,000 × 0.06 / 676,677) + 1] / log(1 + 0.06)

Number of Deposits ≈ 23.7

Rounding to the nearest whole number, we find that a minimum of 24 deposits are needed to reach the retirement goal of Php 10,000,000 per year.

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list advantages and disadvantages of being involved in a partnership

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A partnership is a type of business in which two or more individuals, including general and limited partners, come together to create and run a company. The following are the advantages and disadvantages of being involved in a partnership.

Advantages of being involved in a partnership Increased sources of capital: Partnerships allow for more than one person to contribute money to the company, which can provide more financial resources.2. Shared decision-making: All partners in a partnership have a say in the decision-making process, which can lead to a more effective and efficient decision-making process.3. Shared responsibility: Partners can share the workload of running a company, resulting in less work for each partner.4. Tax benefits: Partnerships are not required to pay income taxes. Instead, partners pay personal income taxes based on their share of the partnership's profits.

Disadvantages of being involved in a partnership:1. Personal liability: Each partner is personally liable for the company's debts and obligations, which means that personal assets could be at risk if the company fails.2. Shared profits: Profits are divided among all partners, which can lead to disagreements about how to distribute the profits.3. Possible conflict: Partners may have different opinions or goals, which can lead to conflict.4. Joint and several liability: In a partnership, each partner is jointly and severally liable, which means that a partner can be held responsible for the entire partnership's debts and obligations.

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The Bubba Corp. had earnings before taxes of $196,000 and sales of $1,960,000. If it is in the 43% tax bracket, its after-tax profit margin is:

a.8.20%

b.7.70%

c.5.70%

Answers

The after-tax profit margin for The Bubba Corp. is 5.70%. To calculate the after-tax profit margin, we need to determine the amount of taxes paid and subtract it from the earnings before taxes (EBT).

The tax paid can be calculated by multiplying the EBT by the tax rate. In this case, the EBT is $196,000 and the tax rate is 43%. Thus, the tax paid is $196,000 multiplied by 0.43, which equals $84,280.

To find the after-tax profit, we subtract the tax paid from the EBT: $196,000 - $84,280 = $111,720.

The after-tax profit margin is calculated by dividing the after-tax profit by the sales and multiplying by 100 to express it as a percentage. In this case, the after-tax profit is $111,720 and the sales are $1,960,000. Thus, the after-tax profit margin is ($111,720 / $1,960,000) * 100 = 5.70%.

Therefore, the after-tax profit margin for The Bubba Corp. is 5.70%.

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he+natural+rate+of+unemployment+for+a+hypothetical+economy+is+5.4%,+and+the+economy+is+currently+producing+at+105%+of+potential+output.+using+okun's+law,+the+unemployment+rate+is+_____%.

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Okun's law states that for every 1% increase in the output gap (the difference between actual output and potential output), the unemployment rate will increase by a certain percentage. The specific percentage varies depending on the economy and other factors.

In this scenario, the economy is currently producing at 105% of potential output, indicating an output gap of 5%. To calculate the change in the unemployment rate using Okun's law, we need to know the Okun's coefficient, which represents the relationship between the output gap and the change in the unemployment rate.

Without knowing the specific Okun's coefficient for the hypothetical economy mentioned, it is not possible to calculate the exact change in the unemployment rate. The Okun's coefficient can vary across countries and over time.

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The key elements of a Defined Contribution pension plan are listed below:

The employer's obligation to pay retirement benefits in the future

The plan assets set aside by the employer from which to pay the retirement benefits in the future

The periodic expense of having a pension plan

Question 12 options:

True
False

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The given statement "The employer's obligation to pay retirement benefits in the future, the plan assets set aside by the employer from which to pay the retirement benefits in the future and the periodic expense of having a pension plan." is true because a defined contribution plan is a retirement savings plan that is funded by both employees and employers.

They are designed to allow employees to invest a portion of their earnings for retirement and sometimes to receive matching employer contributions. The retirement income for a defined contribution plan is dependent on how much money was contributed and how well the investments have performed.401(k) plans and IRAs are the most commonly used defined contribution plans.

With a 401(k) plan, contributions are made by an employer, an employee, or both. A traditional IRA allows for contributions of up to $6,000 per year in 2021 (or $7,000 for people age 50 or older).

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It is accurate to say that "The employer's obligation to pay retirement benefits in the future, the plan assets set aside by the employer from which to pay the retirement benefits in the future, and the periodic expense of having a pension plan. All the statements are true.

The purpose of these plans is to enable employees to set aside a percentage of their income for retirement and, occasionally, to receive employer contributions that are matched. The amount of contributions made and the performance of the investments both affect the retirement income for a defined contribution plan.The two most often used defined contribution plans are IRAS and 401(k)s.

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The monthly demand for a product is normally distributed with mean of 1200 units and standard deviation of 200 units.
1. Find the probability that demand in a given month is between 961 and 1586 units.
The potential answers are:
A: 46.1%
B: 85.7%
C: 47.2%
D: 86%
E:%
2. If at the beginning of a month 1236 units are stocked, what is the probability that demand exceeds this amount (experiencing stock-out)?
The potential answers are:
A: 31.4%
B: 40.3%
C: 42.9%
D: 0.4%
E:%
3. If we want to set the probability of stock-out at 5%, how many units shall we have in stock at the beginning of the month?
The potential answers are:
A: 1911
B: 2217
C: 1529
D: 1511
E:

Answers

The probability that demand in a given month is between 961 and 1586 units is 85.7%.

The probability that demand exceeds 1236 units is 42.9%.

We should have 1511 units in stock at the beginning of the month to set the probability of stock-out at 5%.

To find the probability that demand in a given month is between 961 and 1586 units, we need to calculate the z-scores for these values and use the standard normal distribution table.

First, calculate the z-score for 961 units:

z₁ = (961 - 1200) / 200 = -1.195

Next, calculate the z-score for 1586 units:

z₂ = (1586 - 1200) / 200 = 1.93

Using the standard normal distribution table, we can find the probabilities associated with these z-scores:

P(z < -1.195) = 0.116

P(z < 1.93) = 0.973

To find the probability between these values, we subtract the smaller probability from the larger probability:

P(-1.195 < z < 1.93) = 0.973 - 0.116 = 0.857

To find the probability that demand exceeds 1236 units, we need to calculate the z-score for 1236 units and use the standard normal distribution table.

z = (1236 - 1200) / 200 = 0.18

Using the standard normal distribution table, we can find the probability associated with this z-score:

P(z > 0.18) = 1 - P(z < 0.18) = 1 - 0.571 = 0.429

To set the probability of stock-out at 5%, we need to find the z-score corresponding to this probability and then calculate the corresponding value using the mean and standard deviation.

From the standard normal distribution table, we find the z-score corresponding to a probability of 0.05 is approximately -1.645.

Using the formula:

z = (x - mean) / standard deviation

We can rearrange the formula to solve for x:

x = z * standard deviation + mean

x = -1.645 * 200 + 1200 = 1511

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CA sells 600 bottles of vitamins per week at $ 100 per bottle. CA's supplier charges $ 30 per order and $ 50 per bottle. CA's annual holding cost percentage is 40 % of unit cost. CA operates 50 weeks in a year. What is CA's total annual ordering and holding cost, if CA orders 500 bottles at a time ? Show all formulas used, calculations and results. Do on canvas

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Let us calculate the total annual ordering and holding cost for CA if it orders 500 bottles at a time.Solution: Calculation of order cost:Order cost = (Number of orders placed in a year) × (Cost per order)

Number of orders placed in a year = (Total demand for the year) / (Quantity per order)= (600 × 50) / 500 = 60Cost per order = $ 30Order cost = 60 × 30 = $ 1800Calculation of holding cost:Average inventory = (Order quantity) / 2= 500 / 2 = 250

Holding cost = (Average inventory) × (Unit cost) × (Holding cost percentage)Unit cost = (Cost per bottle) + (Ordering cost / Quantity ordered)= 50 + (1800 / 500)= 50 + 3.6= $ 53.6Holding cost = 250 × $ 53.6 × 40% = $ 5360

Total annual ordering and holding cost = Order cost + Holding cost= $ 1800 + $ 5360= $ 7160Therefore, CA's total annual ordering and holding cost is $ 7160 if it orders 500 bottles at a time.

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A. Estimate the balance of the Allowance for Doubtful Accounts assuming the company uses 6% of total accounts receivable to estimate uncollectibles, instead of the aging of receivables method. B. Prepare the adjusting entry to record Bad Debts Expense using the estimate from part a. Assume the unadjusted balance in the Allowance for Doubtful Accounts is a $13,800 credit. C. Prepare the adjusting entry to record bad debts expense using the estimate from part a. Assume the unadjusted balance in the Allowance for Doubtful Accounts is a $2,800 debit

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If the company uses the 6% of total accounts receivable method to estimate uncollectibles, the estimated balance of the Allowance for Doubtful Accounts would be $12,000.

A. To estimate the balance of the Allowance for Doubtful Accounts using the 6% of total accounts receivable method, we need to determine the total accounts receivable and then calculate 6% of that amount.

Let's assume the total accounts receivable is $200,000. To estimate the uncollectibles, we multiply the total accounts receivable by 6%:

$200,000 * 6% = $12,000

Therefore, the estimated balance of the Allowance for Doubtful Accounts would be $12,000.

B. To prepare the adjusting entry to record Bad Debts Expense using the estimate from part A, we need to compare the estimated balance of the Allowance for Doubtful Accounts with the unadjusted balance. In this case, the unadjusted balance in the Allowance for Doubtful Accounts is a $13,800 credit.

Since the estimated balance from part A is lower than the unadjusted balance, we need to increase the Allowance for Doubtful Accounts to match the estimate. The adjusting entry would be as follows:

Debit Bad Debts Expense: $12,000

Credit Allowance for Doubtful Accounts: $12,000

This entry recognizes the estimated amount of bad debts as an expense and increases the Allowance for Doubtful Accounts to reflect the expected uncollectible amounts.

C. In this case, the unadjusted balance in the Allowance for Doubtful Accounts is a $2,800 debit. To prepare the adjusting entry using the estimate from part A, where the estimated balance is $12,000, we need to compare these two amounts.

Since the estimated balance from part A is higher than the unadjusted balance, we need to decrease the Allowance for Doubtful Accounts to match the estimate. The adjusting entry would be as follows:

Debit Allowance for Doubtful Accounts: $9,200 ($12,000 - $2,800)

Credit Bad Debts Expense: $9,200

This entry reduces the Allowance for Doubtful Accounts to the estimated amount and recognizes the additional bad debts as an expense.

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Because the motor vehicle assembly industry is typically described as a bulk-gaining industry as well as a just-in-time delivery system, the most important factor when selecting a location for a new Toyota or Honda assembly plant in the United States might be

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The most important factor when selecting a location for a new Toyota or Honda assembly plant in the United States might be proximity to suppliers and distribution centers.

The motor vehicle assembly industry is considered a bulk-gaining industry, meaning that the final product gains more weight and volume during the production process. Therefore, being located close to suppliers is crucial to reduce transportation costs and ensure a smooth supply chain.

Just-in-time delivery is also a key characteristic of the industry, where parts and components are delivered precisely when they are needed in the production process. Being located near suppliers and distribution centers allows for efficient and timely delivery of parts, reducing inventory costs and streamlining production operations.

Additionally, proximity to suppliers enables better collaboration, communication, and control over the supply chain, leading to improved quality and faster response times. Overall, selecting a location near suppliers and distribution centers can optimize the assembly plant's operations and contribute to cost-effectiveness and competitiveness in the motor vehicle industry.

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If a firm finds that increases in output lead to increases in long-run average total cost, then it must be experiencing ____________________ , which could be caused by

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If a firm finds that increases in output lead to increases in long-run average total cost, then it must be experiencing economies of scale, which could be caused by increasing competition, greater demand, and better technology.

When the long-run average total cost rises as production increases, it is referred to as diseconomies of scale. When output rises, firms face both economies and diseconomies of scale. The firm is said to be facing economies of scale when it gains from increased productivity. This happens when a firm produces goods and services in large quantities. The average total cost per unit of output falls as a result of this.

If the economy of scale is high, the average total cost falls quickly. The diseconomy of scale is defined as the opposite of the economy of scale. If a company expands its production operations beyond its capacity, the average total cost per unit of output begins to rise. There are many possible reasons for this. As the number of employees grows, coordination difficulties can arise. As a result, higher output is frequently more expensive than lower output in the long run.

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You are bearish on Telecom and decide to sell short 220 shares at the current market price of $80 per share. a. How much in cash or securities must you put into your brokerage account if the broker's initial margin requirement is 50% of the value of the short position? (Round your answer to the nearest whole dollar.) Cash or securities to be put into brokerage account b. How high can the price of the stock go before you get a margin call if the maintenance margin is 30% of the value of the short position? (Round your answer to 2 decimal places.) Margin call will be made at price or higher

Answers

a. Calculation of cash or securities to be put into the brokerage account: The short position is 220 shares, and the current market price is $80 per share. Thus the market value of the short position is $80 x 220 = $17,600.The initial margin requirement is 50% of the value of the short position. Thus, the cash or securities that must be put into the brokerage account will be: Initial margin = 50% x $17,600 = $8,800 Answer: $8,800 (nearest whole dollar).

b. Calculation of the price at which the margin call will be made: The maintenance margin is 30% of the value of the short position. The value of the short position is still $17,600 since the number of shares shorted has not changed. The margin equity is the difference between the market value of the short position and the amount of funds borrowed from the broker.

Margin equity = $17,600 - $8,800 = $8,800Since the maintenance margin is 30%, the margin equity should be at least 30% of the market value of the short position. Thus, the market value of the short position should not exceed:Margin equity / Maintenance margin = $8,800 / 30% = $29,333.33 (rounded to the nearest cent)Answer: Margin call will be made at $29,333.33 or higher (rounded to 2 decimal places).

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