what communication strategies from the physical world can you utilize in the digital world?

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Answer 1

Written communication, visual communication, voice communication, non-verbal communication, social networking, and virtual reality can be utilized in the digital world.

In the digital world, there are several communication strategies that can be utilized, drawing inspiration from the physical world. Here are some examples:

1. Written Communication: Just like written letters or notes in the physical world, written communication is a key strategy in the digital world. It includes emails, text messages, instant messaging, and any form of written communication that allows individuals to convey their thoughts, ideas, and information.

2. Visual Communication: Visual communication in the digital world includes images, infographics, charts, videos, and other visual content. These forms of communication can effectively convey complex information, emotions, and ideas in a concise and visually appealing manner.

3. Voice Communication: Similar to face-to-face conversations, voice communication can be utilized in the digital world through phone calls, voice chats, or video conferencing. This strategy allows for real-time, interactive communication, enabling participants to convey tone, emotion, and nuances that may be lost in written communication.

4. Non-Verbal Communication: Non-verbal cues play a significant role in the physical world, and some elements can be replicated in the digital world. For instance, the use of emojis, GIFs, and emoticons can help convey emotions, humor, or emphasis in digital conversations. Additionally, techniques such as bolding, italicizing, underlining, or using different font styles or colors can add emphasis or convey tone in written communication.

5. Social Networking: Social networking platforms emulate social interactions and connections found in the physical world. These platforms allow individuals to connect, share thoughts, interests, and engage in conversations with others, similar to socializing in the physical world.

6. Virtual Reality (VR) and Augmented Reality (AR): These technologies aim to simulate physical experiences in the digital realm. They enable users to interact with computer-generated environments or overlay digital information onto the physical world, providing immersive and interactive communication experiences.

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Related Questions

how does price elasticity affect the price-quantity combination and segment of the demand curve that the monopolist would prefer for price and output?

Answers

Price elasticity of demand measures the responsiveness of quantity demanded to changes in price. It plays a crucial role in determining the price-quantity combination and the segment of the demand curve that a monopolist would prefer.

When demand is elastic, meaning that the price elasticity of demand is greater than 1, a monopolist faces a highly responsive market. In this case, a small increase in price would lead to a relatively large decrease in quantity demanded, and vice versa. The monopolist would prefer to operate in the elastic region of the demand curve.

By setting a lower price in the elastic region, the monopolist can attract a larger number of customers due to the significant increase in quantity demanded. This strategy helps the monopolist maximize total revenue, as the increase in the number of units sold compensates for the decrease in price. The monopolist can achieve a larger market share and potentially outperform any competitors in this scenario.

On the other hand, when demand is inelastic, with a price elasticity of demand less than 1, the monopolist faces a relatively unresponsive market. Changes in price have a relatively smaller impact on quantity demanded. In this case, the monopolist would prefer to operate in the inelastic region of the demand curve.

In the inelastic segment, the monopolist can set a higher price without experiencing a significant decline in quantity demanded. This allows the monopolist to maximize its profit margins. However, the monopolist must be cautious not to raise prices too high, as it could potentially lead to a sharp decline in quantity demanded and a negative impact on total revenue.

Overall, a monopolist would prefer to operate in the price-quantity combination and segment of the demand curve where demand is relatively elastic. This allows them to maximize their market share, total revenue, and potentially achieve higher profitability.

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Barry's Steroids Company has \( \$ 1,000 \) par value bonds outstanding at 15 percent interest. The bonds will mature in 30 years If the percent yield to maturity is 13 percent, what percent of the to

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Given,Par value of bond = $1000Interest rate = 15%Time period = 30 yearsYield to maturity = 13%, the percent of the total bond value that will be returned if an investor purchases a bond at par value using yield to maturity formula is 1115.62%.

To calculate: Percent of the total bond value that will be returned if an investor purchases a bond at par value using yield to maturity formula.

Yield to maturity formula can be defined as the rate of return anticipated on a bond if it is held till maturity. Mathematically, it is defined as the discount rate that makes the present value of all future cash flows equal to the market price of the bond.

Mathematically, it is defined as follows,

Where,P = par value of the bond

C = coupon payment

n = number of years to maturity

Y = yield to maturity

M = maturity value of the bond

By using the given formula, the bond's price can be calculated as follows,P = 1000, C = 150, n = 30 years and Y = 13%

Now, using the above formula we can calculate the price of the bond:

Substituting the values in above formula:

P = $1000, C = $150, n = 30 years and Y = 13%P = (150/0.13)[1 – 1/ (1.13)30] + (1000/ (1.13)30)P = $ 1,115.62

Therefore, the percent of the total bond value that will be returned if an investor purchases a bond at par value is as follows,Total bond value = Par value of the bond * Number of bondsOutstanding bond value = Bond price * Number of bonds% of total bond value = (Outstanding bond value/Total bond value)* 100= (1115.62*1000/1000*1)*100= 1115.62%

Therefore, the percent of the total bond value that will be returned if an investor purchases a bond at par value using yield to maturity formula is 1115.62%.

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The following information pertains to BFAR Corp. for the year ended December 31, 2021:
-Accumulated Profits - Free, January 1, 2021: PHP 3,800,000
-Accumulated Profits - Appropriated for contingency, January 1, 2021 : PHP 700,000
-Net income for 2021: PHP 2,221,000
-Share dividends declared November 25, 2021 and distributed on December 15,2021: PHP 370,000
-Cash dividends declared December 1, 2021 and distributable on January 15, 2022: PHP 490,000
-Appropriation of accumulated profits for contractual obligations in 2021: PHP 1,500,000
-Reversal of appropriation for contingency in 2021: PHP 700,000
How much is the total Accumulated Profits as of December 31, 2021?

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The total accumulated profits as of December 31, 2021 is PHP 5,551,000.Explanation:Calculation of Accumulated profits as of December 31, 2021 is:

Accumulated Profits – Free, January 1, 2021: PHP 3,800,000

Add: Net income for 2021: PHP 2,221,000

Less: Appropriation of accumulated profits for contractual obligations in 2021: PHP 1,500,000

Add: Reversal of appropriation for contingency in 2021: PHP 700,000 Accumulated profits as of December 31, 2021 is:

[tex]PHP 3,800,000 + PHP 2,221,000 - PHP 1,500,000 + PHP 700,000 = PHP 5,221,000.[/tex]

Additionally, from the information, the amount of cash dividends declared December 1, 2021, and distributable on January 15, 2022, is PHP 490,000.

And share dividends declared November 25, 2021, and distributed on December 15, 2021, is PHP 370,000.Hence, total Accumulated Profits as of December 31, 2021 is

[tex]PHP 5,221,000 + PHP 490,000 + PHP 370,000 = PHP 5,551,000.[/tex]

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what volume (in l) of cl2 at stp is needed to react with 1.00 mole of na solid?

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The balanced chemical equation for the reaction between Na and Cl2 is:

2 Na(s) + Cl2(g) → 2 NaCl(s)

At STP, one mole of any gas occupies 22.4 liters. Therefore, to find the volume of Cl2 gas at STP that is needed to react with 1.00 mole of Na solid, we need to use the stoichiometry of the reaction.

From the balanced equation, we can see that one mole of Cl2 reacts with two moles of Na. Therefore, we can say that:

1 mole of Cl2 = 2 moles of Na Hence, to react with 1.00 mole of Na,

we need half a mole of Cl2. Therefore, the volume of Cl2 gas at STP that is needed to react with 1.00 mole of Na solid would be:

V = n × Vm = 0.5 mol × 22.4 L/mol = 11.2 L

Therefore, more than 100 words, the volume of Cl2 gas at STP that is needed to react with 1.00 mole of Na solid is 11.2 L.

At STP, the volume of one mole of any gas is 22.4 liters. The chemical equation for the reaction between Na and Cl2 is

2 Na(s) + Cl2(g) → 2 NaCl(s).

One mole of Cl2 reacts with two moles of Na; hence, to react with 1.00 mole of Na, we need half a mole of Cl2. Therefore, the volume of Cl2 gas at STP that is needed to react with 1.00 mole of Na solid would be 11.2 L (0.5 mol × 22.4 L/mol).

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what percentage of payday loan borrowers are forced to renew their loan after two weeks?

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It is difficult to determine the exact percentage of payday loan borrowers who are forced to renew their loan after two weeks, as it varies depending on individual circumstances. However, research suggests that a significant number of borrowers end up renewing their loans due to financial difficulties.


Determining the exact percentage of payday loan borrowers who are forced to renew their loan after two weeks is challenging, as it can vary depending on individual circumstances. However, research suggests that a significant number of borrowers end up renewing their loans due to financial difficulties.

Payday loans are short-term loans that are typically due on the borrower's next payday. Some borrowers may find it difficult to repay the loan in full by the due date, which can lead them to renew or roll over the loan. A study conducted by the Consumer Financial Protection Bureau found that approximately 80% of payday loans are rolled over or followed by another loan within 14 days.

This indicates that a substantial portion of borrowers struggle to repay their loans within the original timeframe, resulting in the need to renew or extend the loan. It is important for borrowers to carefully consider the terms and potential consequences of payday loans before taking them out, as the high interest rates and fees associated with these loans can make it difficult to break free from the debt cycle.

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the conduct rules a) determine who is at fault in disputes that would result in monetary settlements. b) determine how member violations will be heard, reviewed, and addressed. c) establish standard trade practices, including settlement dates, good delivery procedures, and ex-dates. d) set out fair and ethical trade practices that member firms and their representatives must follow.

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The conduct rules means set out fair and ethical trade practices that member firms and their representatives must follow. Option D is the correct answer.

The conduct rules of an organization or industry are designed to establish guidelines and standards of behavior that member firms and their representatives must adhere to. These rules are put in place to promote fair and ethical trade practices and ensure the integrity of the market. Here's an explanation of why option d) is the correct choice:

In summary, conduct rules establish fair and ethical trade practices that member firms and their representatives must follow, promoting integrity and trust in the market. While aspects of disputes, review processes, and trade practices may be addressed within the broader regulatory framework, the primary focus of conduct rules is on setting ethical standards and promoting responsible behavior. Option D is the correct answer.

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opec failed to maintain a high price of oil in the long run, partly because both the supply of oil and the demand for oil are more elastic in the long run than in the short run. a. True b. False

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The given statement  is TRUE.

OPEC is an abbreviation of the Organization of the Petroleum Exporting Countries, which is a permanent intergovernmental organization made up of 14 petroleum-exporting countries.

The key objective of OPEC is to coordinate and unify petroleum policies among member nations, with the ultimate goal of safeguarding the best interests of member countries' petroleum industries.

According to the law of supply and demand, the equilibrium price is reached when the quantity of goods and services that producers want to sell is the same as the quantity that consumers want to buy.

Because of the supply and demand forces, the price of oil varies over time. In the short term, the quantity of oil supplied and demanded is less flexible, but in the long term, both supply and demand become more elastic because of the availability of alternatives, such as electric cars, renewable energy sources, and so on.

In the long run, if the price of oil is excessively high, the quantity of oil supplied will increase as other producers are motivated to enter the market, and the demand for oil will decline as consumers opt for alternative sources.

As a result, the price of oil will fall because of the increased supply and decreased demand. This will eventually affect the revenue of OPEC because they cannot keep the price of oil artificially high.

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A pool in a BPMN model does not actually have to display any activities. True False

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The statement that "A pool in a BPMN model does not actually have to display any activities" is True. In a BPMN model, a pool can be defined as an independent participant in a process, where the processes involve two or more participants.

Pool is also one of the basic building blocks of a BPMN process diagram. It can be used to represent different business units, departments, or organizations involved in a process. Each pool in a BPMN diagram contains lanes that represent each participant's activities or sub-processes.Lanes can be horizontal or vertical and each lane can have its own activities and responsibilities. A pool can have one or more lanes, and each lane represents a participant in the process.

A pool can also represent a high-level view of a process, where the details of the activities are not shown. This can be useful in situations where the focus is on the overall process flow rather than the specific activities or tasks involved. A BPMN diagram can have multiple pools, each representing a different process or participant in the overall process.

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When the price of chicken is $2.00/kg. the quantity demanded of hamburger is 50 units. When the price of chicken is $3.00/kg, the quantity demanded of hamburger is 60 units. The cross-price elasticity of demand between chicken and hamburger then is Select one: a. −50/110. b. +10,0 c. +1/10. d. +5/11.

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Cross-price elasticity of demand = 0.4, Therefore, the cross-price elasticity of demand between chicken and hamburger is 0.4. However, none of the options provided match this result.

To calculate the cross-price elasticity of demand between chicken and hamburger, we use the following formula:Cross-price elasticity of demand = (Percentage change in quantity demanded of hamburger) / (Percentage change in price of chicken)

First, let's calculate the percentage change in quantity demanded of hamburger:Change in quantity demanded of hamburger = 60 - 50 = 10 units

Percentage change in quantity demanded of hamburger = (Change in quantity demanded / Initial quantity demanded) * 100

Percentage change in quantity demanded of hamburger = (10 / 50) * 100 = 20%
Next, let's calculate the percentage change in price of chicken:

Change in price of chicken = $3.00 - $2.00 = $1.00

Percentage change in price of chicken = (Change in price / Initial price) * 100

Percentage change in price of chicken = ($1.00 / $2.00) * 100 = 50%

Now we can calculate the cross-price elasticity of demand:

Cross-price elasticity of demand = (Percentage change in quantity demanded of hamburger) / (Percentage change in price of chicken)

Cross-price elasticity of demand = 20% / 50%

Cross-price elasticity of demand = 0.4

Therefore, the cross-price elasticity of demand between chicken and hamburger is 0.4. However, none of the options provided match this result.

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What is the present worth of each of the given series of payments? (a) \$2.700 at the end of each six-month period for 10 years at 8% compounded semiannually. (b) $10,000 at the end of each quarter for five years at 12% compounded quarterly. (c) $14.000 at the end of each month for eight years at 6% compounded monthly.

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To find the present worth of each series of payments, we need to calculate the present value of each payment using the formula for the present value of an annuity. The formula is:

PV = P * (1 - (1 + r)⁻ⁿ) / r

Where PV is the present value, P is the payment amount, r is the interest rate per compounding period, and n is the number of compounding periods.

(a) For the first series of payments: $2,700 at the end of each six-month period for 10 years at 8% compounded semiannually.

The payment amount is $2,700, the interest rate per period is 8%/2 = 4%, and the number of compounding periods is 10 * 2 = 20.

Using the formula, we can calculate the present value:

PV = 2700 * (1 - (1 + 0.04)⁻²⁰) / 0.04

Simplifying the equation gives us:

PV = 2700 * (1 - 0.5536751) / 0.04

PV = 2700 * 0.4463249 / 0.04

PV = 29,810.05

The present worth of this series of payments is approximately $29,810.05.

(b) For the second series of payments: $10,000 at the end of each quarter for five years at 12% compounded quarterly.

The payment amount is $10,000, the interest rate per period is 12%/4 = 3%, and the number of compounding periods is 5 * 4 = 20.

Using the formula, we can calculate the present value:

PV = 10000 * (1 - (1 + 0.03)⁻²⁰) / 0.03

Simplifying the equation gives us:

PV = 10000 * (1 - 0.4563949) / 0.03

PV = 10000 * 0.5436051 / 0.03

PV = 1,811,701.68

The present worth of this series of payments is approximately $1,811,701.68.

(c) For the third series of payments: $14,000 at the end of each month for eight years at 6% compounded monthly.

The payment amount is $14,000, the interest rate per period is 6%/12 = 0.5%, and the number of compounding periods is 8 * 12 = 96.

Using the formula, we can calculate the present value:

PV = 14000 * (1 - (1 + 0.005)⁻⁹⁶) / 0.005

Simplifying the equation gives us:

PV = 14000 * (1 - 0.4046796) / 0.005

PV = 14000 * 0.5953204 / 0.005

PV = 2,656,347.08

The present worth of this series of payments is approximately $2,656,347.08.

(a) The present worth of the series of payments is approximately $29,810.05.
(b) The present worth of the series of payments is approximately $1,811,701.68.
(c) The present worth of the series of payments is approximately $2,656,347.08.

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(a) Present worth = $22,548.60
(b) Present worth = $86,453.20
(c) Present worth = $920,577.60

To find the present worth of each series of payments, we need to calculate the present value of each payment using the given interest rate and compounding periods. Let's break down each scenario:

(a) $2,700 at the end of each six-month period for 10 years at 8% compounded semiannually:

To find the present worth, we need to calculate the present value of each individual payment and sum them up.

The formula to calculate the present value of a future payment is:

Present Value = Future Value / (1 + interest rate / number of compounding periods) ^ (number of compounding periods * number of years)

In this case, the future value of each payment is $2,700, the interest rate is 8%, and the compounding is semiannual (twice a year).

The number of compounding periods per year is 2, and the total number of periods is 10 years * 2 compounding periods = 20.

Using the formula, we can calculate the present value for each payment:

[tex]PV1 = $2,700 / (1 + 0.08 / 2) ^ (2 * 10) \\= $2,700 / (1.04) ^ 20 \\≈ $1,127.43[/tex]

Since the payments occur at the end of each six-month period, we can multiply the present value of the first payment by the number of periods to find the present worth of the entire series of payments:

Present Worth = PV1 * Number of Periods [tex]= $1,127.43 * 20 = $22,548.[/tex]


Therefore, the present worth of the series of payments is approximately $22,548.60.


(b) $10,000 at the end of each quarter for five years at 12% compounded quarterly:

Using the same formula as above, we can calculate the present value for each payment.

In this case, the future value of each payment is $10,000, the interest rate is 12%, and the compounding is quarterly (four times a year).

The number of compounding periods per year is 4, and the total number of periods is 5 years * 4 compounding periods = 20.

[tex]PV2 = $10,000 / (1 + 0.12 / 4) ^ (4 * 5) \\= $10,000 / (1.03) ^ 20 \\≈ $4,322.66[/tex]

Multiplying the present value of the first payment by the number of periods gives us the present worth of the entire series of payments:

Present Worth = PV2 * Number of Periods

[tex]= $4,322.66 * 20 \\= $86,453.20[/tex]

Therefore, the present worth of the series of payments is approximately $86,453.20.


(c) $14,000 at the end of each month for eight years at 6% compounded monthly:

Using the same formula, we can calculate the present value for each payment.

In this case, the future value of each payment is $14,000, the interest rate is 6%, and the compounding is monthly (12 times a year).

The number of compounding periods per year is 12, and the total number of periods is 8 years * 12 compounding periods = 96.

[tex]PV3 = $14,000 / (1 + 0.06 / 12) ^ (12 * 8) \\= $14,000 / (1.005) ^ 96 \\≈ $9,586.60[/tex]

Multiplying the present value of the first payment by the number of periods gives us the present worth of the entire series of payments:

[tex]Present Worth = PV3 * Number of Periods \\= $9,586.60 * 96 \\= $920,577.60[/tex]

Therefore, the present worth of the series of payments is approximately $920,577.60.

In summary:

(a) Present worth = $22,548.60
(b) Present worth = $86,453.20
(c) Present worth = $920,577.60

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E2-6 (Algo) Finding Unknown Values in the Cost of Goods Manufactured Report [LO 2-3, 2-6) Muligan Manufacturing Company uses a job order cost system with overhead applied to products at a rate of 150

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Therefore, the amount of raw materials used in production during the year is $68,000, the amount of manufacturing overhead applied during the year is $67,500, and the amount of overapplied manufacturing overhead for the year is $37,500.

The cost of goods Manufactured (COGM) report provides information about the costs incurred during the manufacturing process of products. It summarizes the direct material, direct labour, and manufacturing overhead costs that were incurred and transferred to work in process during a specific period. It also shows the total manufacturing costs and the cost of goods completed and transferred to finished goods inventory.

E2-6 (Algo) Finding Unknown Values in the Cost of Goods Manufactured Report [LO 2-3, 2-6) Mulligan Manufacturing Company uses a job order cost system with overhead applied to products at a rate of 150% of direct labour cost. During the year, the following transactions were recorded:

a. Raw materials purchases totalled $80,000.b. Direct materials requisitioned for use in production totalled $68,000.c. Direct labour cost incurred for the year totalled $45,000.d. Actual manufacturing overhead incurred totalled $30,000.e. Manufacturing overhead was applied to jobs at the rate of 150% of direct labor cost.

f. The cost of goods manufactured for the year totalled $140,000.

Required:1. Compute the amount of raw materials used in production during the year.

2. Compute the amount of manufacturing overhead applied during the year.

3. Compute the amount of underapplied or overapplied manufacturing overhead for the year.

1. Raw materials used in production: Raw materials used = Beginning raw materials inventory + Purchases - Ending raw materials inventory

Raw materials used = $0 + $80,000 - $12,000

(Given Ending raw materials inventory)

Raw materials used = $68,0002. Manufacturing overhead applied:Manufacturing overhead applied = 150% × Direct labor cost Manufacturing overhead applied = 150% × $45,000

Manufacturing overhead applied = $67,5003. Underapplied or overapplied manufacturing overhead for the year: Actual manufacturing overhead incurred = $30,000Manufacturing overhead applied = $67,500

Underapplied manufacturing overhead = Actual manufacturing overhead incurred - Manufacturing overhead appliedUnderapplied manufacturing overhead = $30,000 - $67,500 Underapplied manufacturing overhead = -$37,500 (Overapplied)

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2.a. The following diagram shows the economy growing at the potential growth rate with \( 10 \% \) inflation. Illustrate what happens if consumers and investors become more optimistic. Clearly label t

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The potential growth rate is that level of economic expansion at which there is no upward or downward pressure on the inflation rate.

That is, the economy is said to be operating at full capacity. With a 10% inflation rate, the economy is growing at the potential growth rate. If consumers and investors become more optimistic, the economy will shift to the right along the aggregate demand curve. This is because optimistic consumers will buy more goods and services and invest in more capital goods, while optimistic investors will also invest more. At the same time, the aggregate supply curve will shift to the right due to an increase in the potential growth rate.

This increase in aggregate demand and aggregate supply will result in a higher equilibrium output level, with lower inflation than before. This situation is shown in the following diagram:The increase in aggregate demand is represented by the shift from AD to AD1. The increase in aggregate supply is represented by the shift from AS to AS1. The new equilibrium point is E1, where the output level is higher, but the inflation rate is lower than before.

This is because the increase in aggregate supply has more than offset the increase in aggregate demand, resulting in a lower inflation rate. Therefore, when consumers and investors become more optimistic, the economy will grow at a faster rate, with lower inflation than before.

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Having a HIN for holding shares is better than SRN because

A.
the shares can be more easily sold.

B.
investors cannot be easily identified by ATO for their tax.

C.
the dividends are fully franked.

D.
investors can use it for all their holdings of shares

Answers

Having a HIN for holding shares is better than SRN because investors can use it for all their holdings of shares. (Option D). Holding shares gives investors ownership in a company and the potential to earn profits.

A HIN (Holder Identification Number) is a unique identifier that is assigned to each investor by the Australian Securities Exchange (ASX). A HIN can be used to hold shares in any company that is listed on the ASX. An SRN (Security Reference Number) is a unique identifier that is assigned to each holding of shares. An SRN can only be used to hold shares in the company that issued the shares.

Having a HIN is better than an SRN because it allows investors to hold shares in multiple companies using a single identifier. This makes it easier for investors to track their investments and to manage their tax affairs.

If you are an investor, you should consider getting a HIN. It is a free service that can make it easier for you to track your investments and to manage your tax affairs.

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For an answer to be graded as correct, you must use an Excel formula: 1. Begin each formula with an = sign. 2. Reference cells, instead of entering values. Example: =B3+C3

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The general formula syntax is as follows:= (equal sign) operator (operand/number) (operand/number)

When you're working in Excel, formulas are important for performing calculations.

To ensure that your answer is graded as correct, you must use an Excel formula.

The following two steps are to be followed when creating an Excel formula:

Begin each formula with an = sign.Reference cells, instead of entering values.

Example: =B3+C3

You may enter the formula directly into the cell or into the formula bar.

Excel understands most arithmetic operations, such as adding (+), subtracting (-), multiplying (*), and dividing (/).

The general formula syntax is as follows:= (equal sign) operator (operand/number) (operand/number)

In the above syntax, equal sign represents the start of a formula, operator represents the function or operator, and operand represents the data the function or operator works with.

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an overall orderly arrangement of all the format elements of an ad, such as the headline and visuals, is called the

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An overall orderly arrangement of all the format elements of an ad, such as the headline and visuals, is called the "layout". The layout is the structure that depicts the relationship between the headlines, visuals, sub-heads, copy, and other components of an ad.

The layout arranges the design and style of each element within the ad and the balance among the elements so that the ad is visually appealing to the target audience. Laying out an ad necessitates a balance between image and text to ensure that the ad is both visually appealing and attention-grabbing.

The layout also assists in creating and improving readability, which leads to a better understanding of the message being conveyed by the advertisement.

To achieve a successful layout, the advertising agency considers the ad's main objective and target audience. The designer uses typography, images, and colors in a way that reflects the brand's character and message.

The layout is essential to the advertisement design process because it helps in making the ad visually attractive, readable, and understandable to the audience. The components of an ad must have a logical flow to the audience so that they can comprehend the message and engage with the advertisement.

Furthermore, it can boost the ad's efficiency by increasing its attraction to the target audience, which leads to a higher return on investment for the advertiser.

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Suppose the 2022 incomestatement for MCDonald's Corporation shows cost of goods sold \( \$ 4.824 .3 \) million and operating expenses (including depreciation expense of \( \$ 1.294 .0 \) million) \( \

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a. Cash payments to suppliers amount to $4,864.2 million.

b. Cash payments for operating expenses amount to $9,560.7 million.

To compute the cash payments to suppliers and cash payments for operating expenses, we need to consider the changes in inventory, accounts payable, prepaid expenses, and accrued expenses payable.

(a) Cash payments to suppliers:

Cash payments to suppliers can be calculated by adjusting the cost of goods sold (COGS) for the change in inventory and accounts payable.

Cash payments to suppliers = COGS + Increase in accounts payable - Decrease in inventory

COGS = $4,854.0 million

Increase in accounts payable = $15.5 million

Decrease in inventory = -$5.3 million

Cash payments to suppliers = $4,854.0 million + $15.5 million - $5.3 million

Cash payments to suppliers = $4,864.2 million

Therefore, cash payments to suppliers amount to $4,864.2 million.

(b) Cash payments for operating expenses:

Cash payments for operating expenses can be calculated by adjusting the total operating expenses for the changes in prepaid expenses and accrued expenses payable.

Cash payments for operating expenses = Total operating expenses - Increase in prepaid expenses + Increase in accrued expenses payable - Depreciation expense

Total operating expenses = $10,695.9 million

Increase in prepaid expenses = $44.9 million

Increase in accrued expenses payable = $203.7 million

Depreciation expense = $1,294.0 million

Cash payments for operating expenses = $10,695.9 million - $44.9 million + $203.7 million - $1,294.0 million

Cash payments for operating expenses = $9,560.7 million

Therefore, cash payments for operating expenses amount to $9,560.7 million

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The following question may be like this:

Suppose the 2022 income statement for McDonald's Corporation shows cost of goods sold $ 4.854.0 million and operating expenses (including depreciation expense of $ 1.294.0 million) $ 10,695.9 million. The comparative balance sheets for the year show that inventory decreased $5.3 million, prepaid expenses increased $44.9 million, accounts payable (inventory suppliers) increased $ 15.5 million, and accrued expenses payable increased $ 203.7 million. Using the direct method, compute (a) cash payments to suppliers and (b) cash payments for operating expenses. (Enter answers in millions to 1 decimal place, e.g. 527.5.) Cash payments to suppliers $ million Cash payments for operating expenses $ million

suppose that the local government of columbus decides to institute a tax on soda producers. before the tax, 45 billion liters of soda were sold every year at a price of $10 per liter. after the tax, 40 billion liters of soda are sold every year; consumers pay $12 per liter, and producers receive $5 per liter (after paying the tax). the amount of the tax on a liter of soda is $ per liter. of this amount, the burden that falls on consumers is $ per liter, and the burden that falls on producers is $ per liter. true or false: the effect of the tax on the quantity sold would have been larger if the tax had been levied on consumers. true false

Answers

The statement is false, as the tax effect on quantity sold would not be larger if levied on consumers, as quantity sold is determined by factors like demand and product price.

The tax on soda producers affects the price paid by consumers and the revenue received by producers. In this case, the tax causes an increase in price from $10 to $12 per liter, and producers receive $5 per liter after paying the tax.

The tax amount per liter can be calculated by subtracting the price received by producers from the price paid by consumers: $12 - $5 = $7.

The burden of the tax is shared between consumers and producers. Consumers bear the burden through a higher price of $2 per liter ($12 - $10).

Producers bear the burden by receiving $5 per liter instead of the original price of $10 per liter. The burden on producers is $5 per liter ($10 - $5).

The quantity sold decreased from 45 billion liters to 40 billion liters after the tax. However, this change in quantity sold is determined by factors such as consumer demand and the price elasticity of demand, rather than the party on whom the tax is levied.

Therefore, the statement that the effect on the quantity sold would have been larger if the tax had been levied on consumers is false.

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The text discusses the importance of establishing a good compensation plan for foreign employment. Using the quarterly report indices of living cost abroad, housing allowances, hardship differentials and danger pay allowance published by the U.S. Department of State, provide a short- written report for cities Melbourne and Lima. Be sure to cite this and any other sources you use in your answer. Using the quarterly report indices of living cost abroad, housing allowances, hardship differentials and danger pay allowance published by the U.S. Department of State, provide a short-written report for cities Melbourne and Lima. Be sure to cite this and any other sources you use in your answer.

Answers

The U.S. Department of State publishes quarterly reports on living cost indices, housing allowances, hardship differentials, and danger pay allowances for cities around the world. These reports are crucial for establishing a good compensation plan for foreign employment.

For the cities of Melbourne and Lima, we can use these reports to gain insight into the cost of living and the additional allowances needed for employees working in these locations.
1. Living Cost Abroad: The living cost indices provide information on the relative cost of goods and services compared to the United States. This data helps determine the appropriate salary level to ensure employees can maintain their standard of living in these cities.

2. Housing Allowances: The housing allowance information helps estimate the amount needed to provide suitable accommodation for employees. It considers rental costs, utilities, and other housing-related expenses.

3. Hardship Differentials: Hardship differentials reflect the additional compensation needed to account for challenging living conditions or the absence of certain amenities or services in a particular location. This allowance ensures employees are adequately compensated for the difficulties they may face.

4. Danger Pay Allowance: The danger pay allowance recognizes the additional risks associated with working in locations with heightened security concerns or political instability. It provides compensation for employees who may be exposed to greater personal risk.

By analyzing the quarterly reports for Melbourne and Lima, we can tailor the compensation plan to ensure employees' needs are met. It's important to consider all these factors to attract and retain talented employees in foreign assignments.

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Company X borrowed $100M for 5 years at a floating rate but wishes to switch to a fixed rate. Company Y borrowed the same amount for the same period at a fixed rate, but wishes to switch to a floating rate. The following rates are available to X and Y, respectively. Both approached FINM Bank for advice on how to transform their exposures and to potentially receive a better deal.

Answers

As Company X borrowed $100M for 5 years at a floating rate but wishes to switch to a fixed rate, the process is called transforming their exposure. It is used to reduce the risk of interest rates changing unexpectedly. The company may have to pay more interest than they can afford if interest rates go up and the floating rate changes.

In contrast, Company Y borrowed the same amount for the same period at a fixed rate but wishes to switch to a floating rate. This is also known as transforming their exposure, and the bank is likely to help them get a better deal by finding lower interest rates that the company may not have been aware of. They might also be able to find other ways to reduce their exposure risk by looking at other financial products or strategies.

FINM Bank can help Company X and Company Y transform their exposures and potentially receive better deals in the following ways:

Identify available interest rates available to them from other banks

Negotiate with banks on their behalf

Analyze the costs of different options

Help Company X understand the risks of switching to a fixed rate and whether they can afford it based on their current financial situation

Help Company Y understand the risks of switching to a floating rate and how it may affect their business operations

Based on their analysis, FINM Bank will provide both companies with recommendations on the best way to transform their exposures and potentially receive better deals.

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Transcribed image text:
A company purchases a delivery van for $25,000. The van is estimated to have a four-year service life and a residual value of $1,900. During the four-year period, the company expects to diive the van 105,000 miles. Required: Calculate annual depreciation for the four-year life of the van using each of the following methods. 1. Straight-fine 2. Double-declining-balonce 3. Actlivity based (Actual miles dilven each year were 18,000 miles in Year 1; 30,000 miles in Year 2: 23,000 miles in Year 3; and 26,000 miles in Year 4, Note that actual total miles of 97,000 fall short of expectations by 8,000 miles) Complete this question by entering your answers in the tabs below. Calculate annual depreciation for the four-year life of the van using the straight-line method. (Round your final answers to the nearest whole dollar) Calculate annual depreciation for the four-year life of the va depreciation rate to 2 decimal places. Round your final ansu Calculate annual depreciation for the four-year life of the van usir to 2 decimal places. Round your final answers to the nearest who

Answers

The annual depreciation for the four-year life of the van using the straight-line method is $5,525. Straight-line method is one of the methods used to calculate annual depreciation for the four-year life of the van.

In this method, the total depreciation over the life of the asset is divided equally over the number of years the asset is expected to be in use.

The formula used to calculate the annual depreciation of the van is given as;

Annual Depreciation = (Cost of the Asset - Salvage Value) / Useful Life

Cost of the Asset = $25,000,Salvage Value = $1,900, Useful Life = 4 years,

Annual Depreciation = (25000-1900)/4 is $5,525 (rounded to nearest whole dollar)

Therefore, annual depreciation for the four-year life of the van using the straight-line method is $5,525.

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2. (12 points) Assuming that the market for each of the following products is monopolistically competitive, which model do you think is more appropriate for analysis of that market: the representative

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When the market for each of the following products is monopolistically competitive, the representative model that is more appropriate for analysis of that market is the Chamberlin's representative model.

What is Chamberlin's model.In Chamberlin's model, a monopolistically competitive industry is considered to have a larger number of firms that produce and sell a differentiated product. In this industry, every firm can alter its selling price and output volume while being vigilant of the price changes of other competing firms. The presence of similar but not the same products in the market allows businesses to charge prices that are a little higher than the cost of producing the product because consumers are willing to pay for the minor differences. Chamberlin's model applies more to products that are differentiated and not standardized products. Products that are standardized will benefit from the representative firm model, but products that are differentiated will benefit more from Chamberlin's model.

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the us government contracts with airy airplanes to buy 100 new cargo planes for transporting troops and supplies. this action most relates to

Answers

The us government contracts with airy airplanes to buy 100 new cargo planes for transporting troops and supplies. this action most relates to government procurement.

Government procurement refers to the process by which government entities, such as the US government, acquire goods, services, or works from external sources, typically through contracts.

In this case, the US government has entered into a contract with Airy Airplanes to purchase 100 new cargo planes for the purpose of transporting troops and supplies.

Government procurement is a significant aspect of public administration and plays a crucial role in the functioning of government agencies. It involves the acquisition of goods and services needed to fulfill government functions and meet public needs.

Government procurement processes are usually subject to specific rules and regulations to ensure transparency, fairness, and accountability in the allocation of public funds.

In the given scenario, the US government's decision to contract with Airy Airplanes for cargo planes demonstrates its intent to procure a specific type of product to serve its military and logistical requirements.

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Refer to the table below to answer the questions. Please round your numerical answers to two decimal places. a. Which option has the highest rate of return? b. What is the implied price (opportunity cost) of holding money in cash rather that investing a 6 month CD? % c. What is the implied price of holding money in checking rather than putting your money in a 10 -year treasury bond? % d. If the inflation rate is 3%, what is your net return after inflation if you put your money in the corporate bond?

Answers

a. The highest rate of return is on the corporate bond, which is 5.5%.b. The implied price of holding money in cash rather than investing a 6 month CD is 1.10%.c.

The implied price of holding money in checking rather than putting your money in a 10-year treasury bond is 9.9%.d. If the inflation rate is 3%, the net return after inflation if you put your money in the corporate bond is 2.5%.Explanation:a. To find out which option has the highest rate of return, we need to compare the rates given for the three options. The rates are:Corporate bond = 5.5%6-month CD = 2.0%Checking account = 0.1%Therefore, the corporate bond has the highest rate of return, which is 5.5%.b. The implied price of holding money in cash rather than investing a 6 month CD is the difference between the rates given for checking account and 6-month CD. The rates are:6-month CD = 2.0%Checking account = 0.1%Therefore, the implied price of holding money in cash rather than investing a 6 month CD is 1.10%.c. The implied price of holding money in checking rather than putting your money in a 10-year treasury bond is the difference between the rates given for checking account and 10-year treasury bond. The rates are:Checking account = 0.1%10-year treasury bond = 10.0%Therefore, the implied price of holding money in checking rather than putting your money in a 10-year treasury bond is 9.9%.d. The net return after inflation if you put your money in the corporate bond when the inflation rate is 3% can be found by subtracting the inflation rate from the rate given for corporate bond. The rate given for corporate bond is 5.5%, and the inflation rate is 3%.Therefore, the net return after inflation if you put your money in the corporate bond is 2.5%.

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when checking an id for age, which of the following forms of identification would offer you some protection as a seller? a) canadian passport b) texas drivers license issued by the department of public safety c) college id card with no physical description d) expired usa military id card

Answers

When checking an ID for age verification as a seller, the most reliable form of identification that would offer you some protection is a Canadian passport.The correct answer is option A.

A Canadian passport is a government-issued document that undergoes stringent verification processes, making it a highly secure and reliable form of identification.

It contains a photograph, physical description, and various security features such as holograms and watermarks that are difficult to forge.

On the other hand, option (b) - a Texas driver's license issued by the Department of Public Safety - can also provide some level of protection. Driver's licenses are generally reliable forms of identification, as they are issued by government authorities and include key personal information, such as a photograph and physical description.

However, the degree of protection may vary depending on the state and the specific security features of the license.

Option (c) - a college ID card with no physical description - does not offer sufficient protection as it lacks key details for age verification. College ID cards typically do not include physical descriptions or strict security measures, making them easier to counterfeit.

Option (d) - an expired USA military ID card - is not a reliable form of identification for age verification. An expired ID card is no longer valid and cannot be used to establish the individual's current age or identity.

In conclusion, when checking an ID for age verification, the best option among the given choices is a Canadian passport, followed by a government-issued driver's license.

These forms of identification provide more comprehensive information and stronger security measures, offering you a higher level of protection as a seller.

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37
Other things constant, an increase in resource prices will lead
to:
Group of answer choices
reduced profits and a reduction in short-run aggregate
supply.
increased profits and a reduction in short

Answers

An increase in resource prices will lead to reduced profits and a reduction in short-run aggregate supply. Resource prices are a major determinant of a business' production costs and are frequently used to gauge its overall cost efficiency.

A rise in resource prices reduces a firm's profit margins and increases its operating costs. Businesses will attempt to raise prices to cover the additional expenses of production, which will result in lower demand and sales volumes because consumers may search for cheaper substitutes or products.

Consequently, the firm's profits will decline as a result of the decrease in sales. A firm's supply curve will also shift to the left if resource prices increase, which means that it will produce less output.

In conclusion, an increase in resource prices will lead to a reduction in short-run aggregate supply and reduced profits for the business.

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Your firm has sales of $628,000 and cost of goods sold of $402,000. At the beginning of the year, your inventory was $31,000. At the end of the year, the inventory balance was $33,000. What is the inventory turnover rate?
Question 12 options:
a)
11.23 times
b)
12.56 times
c)
18.60 times
d)
19.63 times
e)
29.06 times

Answers

Inventory turnover rate can be defined as the ratio of the cost of goods sold to the average inventory cost during a particular period.

The formula for inventory turnover rate is as  Inventory turnover rate = Cost of goods sold / Average inventory costIn the given question, the cost of goods sold is 402,000, while the inventory at the beginning of the year was 31,000, and the inventory at the end of the year was 33,000.

The average inventory cost can be calculated as Average inventory cost = (Beginning inventory + Ending inventory) / 2= [tex]($31,000 + $33,000) / 2= $64,000[/tex]So, the inventory turnover rate can be calculated as Inventory turnover rate = Cost of goods sold / Average inventory cost=[tex]$402,000 / $64,000= 6.28125[/tex] The inventory turnover rate of the firm is 6.28125 times (rounded off to two decimal places).

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Babs Enterprise received cash from a customer. This transaction requires a:
Select one:
A.
debit to Account Payable and Credit to Cash Account.
B.
debit to Cash Account and Credit to the Capital Account.
C.
debit to Cash Account and a credit to Account Receivable.
D.
debit to Cash Account and a credit to Account Payable.

Answers

The transaction requires a debit to the Cash Account and a credit to the Account Receivable. The correct option is C) Debit to Cash Account and a credit to Account Receivable.

The transaction of Babs Enterprise, which involves receiving cash from a customer, requires a debit to the Cash Account and a credit to the Account Receivable. As a result, the company's Cash Account will be increased by the amount of cash received, while its Account Receivable will be reduced by the same amount of cash. In order to have accurate financial records, every business transaction must be recorded in the general ledger. The general ledger is a financial record-keeping system that is used to keep track of all of a company's financial transactions.

Debits and credits are used in the general ledger to keep track of the financial transactions of a company. Debits are used to increase asset accounts and decrease liability accounts. In contrast, credits are used to decrease asset accounts and increase liability accounts.

A transaction where cash is received requires a debit to the Cash Account and a credit to the Account Receivable. This is because cash is an asset account that is increased when the company receives cash, while the Account Receivable is a liability account that is reduced when cash is received. Therefore, Option C is the correct option.

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what should the auditor do if the unadjusted misstatements exceed one or more materiality thresholds?

Answers

If the unadjusted misstatements exceed one or more materiality thresholds, then the auditor should take several actions. Below are the actions that the auditor should take under these circumstances: Conduct an investigation: The auditor should investigate the misstatements.

This can be done by reviewing audit documentation, conducting additional procedures, and making inquiries to obtain additional information to determine the extent of misstatements. Estimate the effects of the misstatements: The auditor should estimate the effects of the misstatements on the financial statements. This will help the auditor to assess whether the misstatements are material or not. Evaluate the impact on the audit opinion: The auditor should evaluate the impact of the misstatements on the audit opinion. If the misstatements are material, the auditor may need to modify the opinion to include a qualification, adverse opinion, or disclaimer of opinion. Consider management’s response: The auditor should consider management’s response to the misstatements. This includes the management’s decision to adjust the financial statements or disclose the misstatements in the notes to the financial statements.

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Why is important to apply an allowance factor to the normal time during the calculation of: the standard time?

Answers

The allowance factor is also important for minimizing worker fatigue and the risk of work-related injuries. By providing time for breaks, rest, and other personal needs.

The allowance factor is an essential element of time study, which helps to compensate for time that is lost to fatigue, personal needs, delays, and other factors that may affect an operator’s ability to work efficiently. Applying an allowance factor to the standard time allows for the creation of an achievable time that considers all the factors that influence work performance.

The allowance factor, therefore, provides a buffer to enable an operator to work comfortably while maintaining a level of productivity that does not negatively impact the overall performance of the system. The allowance factor is essential to the calculation of standard time because it takes into account the difference between normal work pace and an operator's actual work pace.

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the extra or additional output that is produced as a result of adding one more unit of labor or variable input is called the ______.

Answers

The extra or additional output that is generated by adding one more unit of labor or variable input is referred to as the marginal product. It represents the change in total output resulting from the employment of an additional unit of input, while keeping all other factors constant.

The concept of marginal product is a fundamental concept in economics, particularly in the analysis of production and input usage. It helps measure the productivity of inputs and provides insights into the relationship between input quantity and output quantity.

As more units of labor or variable input are employed, the initial increase in output tends to be significant, reflecting increasing marginal returns. However, as the input continues to increase, the additional output gained from each additional unit may diminish, leading to diminishing marginal returns.

Understanding the concept of marginal product is crucial for businesses and decision-makers. It enables them to assess the efficiency of resource allocation, make informed production decisions, and optimize input usage. By evaluating the marginal product of different inputs, firms can determine the optimal combination of inputs that maximizes output and minimizes costs, contributing to improved productivity and profitability.

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