What products or services the Apple is best known forcreating? Kindly write an EXECUTIVESUMMARY for this one please thank you.

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Answer 1

Apple is best known for creating innovative products and services that have revolutionized the technology industry. In this executive summary, we will highlight their key offerings, which include the iPhone, iPad, Mac computers, Apple Watch, Apple TV, and various services such as Apple Music, iCloud, and the App Store. These offerings have not only established Apple as a market leader but also continue to shape the future of technology and user experiences.

In executive summary we will focus on the fact that Apple is best known for creating a range of innovative and high-quality products and services, including iPhones, iPads, Macs, Air Pods, and Apple Watches. The company's dedication to design, user experience, and technology has allowed it to become a leading player in the technology industry. Apple's products are known for their sleek designs, high-performance hardware, and user-friendly software.

In addition to hardware, Apple also provides a range of services, including the App Store, Apple Music, Apple TV+, and iCloud. These services complement Apple's hardware products and provide a seamless and integrated user experience. Overall, Apple's commitment to excellence and innovation has made it a leader in the technology industry and a brand that is recognized and admired worldwide.

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Related Questions

"Question 31When under pressure, whether due to time, cost, oravailability of information, managers often made ______decisions.A. maximizingB. minimizingC. rationalizingD. satisfice"

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When under pressure, whether due to time, cost, or availability of information, managers often made satisfice decisions. Answer is option D.

In decision-making, satisfice is a heuristic, a rule of thumb, a mental shortcut, or a practical method that allows an individual to promptly select the option that is satisfactory or "good enough." Managers often make decisions that aren't ideal due to a lack of information, time, or resources, and they frequently resort to satisficing.

Decision-making is a crucial component of management. Managers make decisions on a daily basis that have far-reaching consequences for their organization's future. However, several factors, such as a lack of data, time constraints, or budget restrictions, may prevent managers from making the best decision.

Satisficing is a form of decision-making that results in selecting the first option that appears to be adequate to solve the problem or fulfill the requirement. Answer is option D.

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a stock is expected to pay the following dividends: $1.1 in 1 year, $1.7 in 2 years, and $1.9 in 3 years, followed by growth in the dividend of 8% per year forever after that point. the stock's required return is 14%. the stock's current price (price at year 0) should be $ .

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We need to calculate the present value of the expected dividends. Using a financial calculator, we can find that the present value of the first dividend of $1.1 received in one year is $0.964.

The present value of the second dividend of $1.7 received in two years is $1.287, and the present value of the third dividend of $1.9 received in three years is $1.354. Next, we need to calculate the present value of the stock's perpetuity value. Using the Gordon growth model, we can calculate the stock's perpetuity value as the dividend expected in year 4 ($1.9 x 1.08) divided by the difference between the stock's required return and its expected growth rate, which is 14% - 8% = 6%. Thus, the perpetuity value is $45.36.

Finally, we can calculate the current price of the stock by adding the present value of the expected dividends and the present value of the perpetuity value. The current price of the stock is $0.964 + $1.287 + $1.354 + $45.36 = $48.94.
Therefore, the stock's current price (price at year 0) should be $48.94.

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Question 4. Based on the following data, prepare a financial comparison of buying and leasing a motor vehicle with a $24,000 cash price: Down payment (to finance vehicle), $4,000 Down payment for lease, $1,200 Monthly loan payment, $560 Monthly lease payment, $440 Length of loan, 48 months Length of lease, 48 months Value of vehicle at end of loan, $7,200 End-of-lease charges, $600 What other factors should a person consider when choosing between buying or leasing?

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A purely financial perspective, leasing is slightly more affordable ($22,920) compared to buying ($23,280).

The financial aspects of buying and leasing a motor vehicle with a $24,000 cash price.

Buying:
1. Down payment: $4,000
2. Monthly loan payment: $560
3. Length of loan: 48 months
4. Value of vehicle at end of loan: $7,200

Total cost of buying: (48 x $560) + $4,000 - $7,200 = $30,480 - $7,200 = $23,280

Leasing:
1. Down payment: $1,200
2. Monthly lease payment: $440
3. Length of lease: 48 months
4. End-of-lease charges: $600

Total cost of leasing: (48 x $440) + $1,200 + $600 = $21,120 + $1,800 = $22,920

From a purely financial perspective, leasing is slightly more affordable ($22,920) compared to buying ($23,280).

However, there are other factors to consider when choosing between buying or leasing:

1. Ownership: When you buy a vehicle, you own it after the loan is paid off. With leasing, you don't own the vehicle and must return it at the end of the lease.

2. Mileage limits: Leasing usually has mileage restrictions, while owning a vehicle allows you to drive as many miles as you want.

3. Maintenance costs: Leasing a vehicle usually comes with a warranty, meaning maintenance costs might be covered. Owning a vehicle may require you to cover maintenance costs yourself.

4. Customization: When you own a vehicle, you can customize it however you like. With leasing, you're limited to the original specifications.

5. Early termination fees: Ending a lease early can result in penalties, whereas selling a vehicle you own might provide more flexibility.

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swot analysis for USF HEALTH-UCSF MEDICALCENTER please at least 6 point for each with therefrence

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The USCF Health-UCSF Medical Center has highly skilled and competent staff, which is essential for providing quality healthcare services.

The USCF Health-UCSF Medical Center has a good image and reputation, which helps in attracting patients.

A SWOT analysis for UCSF Health-UCSF Medical Center

SWOT analysis can be broken down into Strengths, Weaknesses, Opportunities, and Threats:

Strengths:

1. Reputation for excellence in research, education, and patient care.

2. Access to cutting-edge technology and facilities.

3. Highly skilled and experienced staff members.

4. Collaboration with the University of California, San Francisco for resources and knowledge sharing.

5. Strong network of affiliated hospitals and clinics.

6. Comprehensive range of medical specialties and services offered.

Weaknesses:

1. High cost of services, which may deter some patients.

2. Limited capacity, resulting in long wait times for appointments and treatment.

3. Potential challenges in coordinating care across various facilities.

4. High dependence on government funding and research grants.

5. Competition from other top-tier medical centers.

6. High cost of living in the San Francisco area, which may affect staff retention and recruitment.

Opportunities:

1. Expansion of telemedicine services to reach more patients remotely.

2. Collaboration with other healthcare providers to improve efficiency and reduce costs.

3. Increase in demand for specialized medical services as the population ages.

4. Development of new treatments and technologies through research and innovation.

5. Partnering with healthcare startups to bring new products and services to market.

6. Expansion of educational programs to train more healthcare professionals.

Threats:

1. Decrease in government funding and research grants.

2. Increasing competition from other medical centers and healthcare providers.

3. Potential changes in healthcare regulations and policies.

4. Rising costs of healthcare, which may affect patient accessibility and affordability.

5. Growing demand for healthcare services, which could strain existing resources.

6. Cybersecurity threats and potential breaches of patient information.

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In marketing experiments, the dependent variable is the __________ and the independent variable is the __________.

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In marketing experiments, the dependent variable is the outcome or the variable being measured, while the independent variable is the factor being manipulated or tested.

In a marketing context, dependent variables may include sales revenue, customer satisfaction, or brand awareness. On the other hand, independent variables can involve different marketing strategies, advertising campaigns, or pricing structures.To better understand the relationship between these two variables, consider a marketing experiment in which a company wants to determine the impact of a new advertising campaign on their product's sales. In this case, the independent variable would be the advertising campaign (which can have various forms or messages), and the dependent variable would be the resulting sales figures.

The objective is to determine if a change in the independent variable (the advertising campaign) results in a significant change in the dependent variable (sales).By systematically manipulating the independent variable and observing its effect on the dependent variable, marketers can gain valuable insights into the effectiveness of their strategies. For instance, if the new advertising campaign leads to a substantial increase in sales, the company may conclude that the campaign is effective and worth continuing.

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The school of ethical relativism holds that Group of answer choices concepts of right and wrong are always governed by business norms in each country, culture, or society. Concepts of right and wrong are always a function of each individual's own set of values, beliefs, and ethical convictions. What constitutes ethical or unethical conduct varies according to the religious convictions of each society or each culture within a country. Concepts of right and wrong as they apply to business behavior are always varying shades of gray, never absolute (i. E. , black or white). When there are country or cross-cultural differences in what is considered ethical or unethical in business situations, it is appropriate for local moral standards to take precedence over what the ethical standards may be elsewhere

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The school of ethical relativism holds that whenever there are cross-country or cultural differences in what is considered ethical or unethical in business, it is apt for local moral standards to take precedence over what the ethical standards may be elsewhere. The right answer is e.

The idea that morality is based on cultural standards is known as ethical relativism. In other words, the moral standards of the culture in which a behaviour is engaged determine whether it is right or bad. The same behaviour could be morally acceptable in one community but unethical in another.

If ethical relativism is true, there is no framework that can be used by people of various communities to resolve moral disagreements or come to an ethical consensus.  While some moral convictions are universal across cultures, others are not.

The correct answer is option e.

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The question seems incomplete. The complete question is:

The school of ethical relativism holds that

concepts of right and wrong are always governed by business norms in each country, culture, or society.

Concepts of right and wrong are always a function of each individual's own set of values, beliefs, and ethical convictions.

What constitutes ethical or unethical conduct varies according to the religious convictions of each society or each culture within a country.

Concepts of right and wrong as they apply to business behavior are always varying shades of gray, never absolute (i. E. , black or white).

When there are country or cross-cultural differences in what is considered ethical or unethical in business situations, it is appropriate for local moral standards to take precedence over what the ethical standards may be elsewhere

what are three key differences between the w-4 form and the w-2 form?

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There are some key differences between the two:1. Purpose: The W-4 form is used to determine how much federal income tax should be withheld from an employee's paycheck throughout the year.

In contrast, the W-2 form reports the total amount of income an employee earned and the amount of taxes withheld from their paychecks during the year.2. Timing: Employees typically fill out a W-4 form when they start a new job or experience a major life event that affects their tax situation, such as getting married or having a child. They may also need to update their W-4 form if their financial situation changes. On the other hand, employers issue a W-2 form to employees at the end of each tax year, typically by January 31st

.3. Information Provided: The W-4 form requires employees to provide personal information such as their name, address, social security number, and marital status. It also asks them to indicate their allowances, which determine how much tax is withheld from their paycheck. The W-2 form, on the other hand, provides information about the employee's total wages, tips, and other compensation, as well as the amount of taxes withheld from their paycheck throughout the year.

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In order to garner support for his new customer service initiative, Tunji provides the leadership team with a detailed accounting of the current gaps in service, how those gaps affect customers, and how his initiative will fill those gaps to improve customer service outcomes. Which power tactic is Tunji using?

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Tunji is using the power tactic of rational persuasion to garner support for his new customer service initiative.

Rational persuasion involves using logical arguments and factual evidence to persuade others to support a particular idea or initiative. In this case, Tunji is presenting a detailed analysis of the current gaps in customer service and how his initiative will fill those gaps to improve customer service outcomes.

By presenting a logical and well-supported argument, Tunji is attempting to convince the leadership team that his initiative is the best course of action for the company.

Rational persuasion can be an effective power tactic because it relies on sound reasoning and evidence rather than manipulation or coercion to influence others.

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1,4)explain how each of the following situations are typical of a market economy
1,4,1) your sister,a student,was offered two jobs over the holidays. She chose the one closest to your home so she would have less traveling expenses.
1,4,2) you are saving for the latest fashionable sports shoes that are more expensive then any local brand.

response would be highly appreciated ​

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1.4.1) This situation is typical of a market economy because it demonstrates the freedom of choice and competition.

In a market economy, individuals have the freedom to choose where they work and make decisions based on their own personal preferences. In this situation, your sister had two job offers and was able to choose the one that suited her needs the best, which was the one closest to home to save on travel expenses. This decision was made in a competitive environment where employers were competing for workers, and your sister was able to choose the best option for her.

1.4.2) This situation is also typical of a market economy because it demonstrates consumer choice and the concept of supply and demand.

In a market economy, businesses compete to offer products and services to consumers, and consumers have the freedom to choose which products and services they want to buy. In this situation, you are saving up for a pair of sports shoes that are more expensive than local brands. This shows that you are willing to pay a premium for the latest fashionable sports shoes, which indicates that there is a demand for this product. The businesses that produce these shoes will then supply them to meet the demand, creating a market for this product.

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government-enforced prices such as price ceilings part 2 a. ration economic resources more efficiently than prices in a market system. b. aid in the rationing function performed by prices in a market system. c. are only imposed on goods where market price has no useful function. d. disrupt the rationing function performed by prices in a market system.

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Government-enforced prices such as price ceilings "disrupt the rationing function performed by prices in a market system". The correct option is D.

The market system in which the prices play an essential role in allocating resources efficiently by signaling the scarcity of goods and services and guiding producers and consumers to make decisions based on those signals.

When the government imposes price controls, such as price ceilings that set a maximum price below the market equilibrium price, this results in a shortage of the goods or services in question, as the quantity demanded exceeds the quantity supplied.

The reason of the disrupt the rationing function performed by prices in a market system due to the some consumers may not be able to obtain the product at the government-mandated price, and some producers may not be able to sell it profitably. This leads to inefficiencies in the allocation of resources and can create black markets and other negative consequences.

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Essay on education system of pakistan by using 7cs of effective communication

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Pakistan’s education system has been a topic of discussion for decades. Despite the government's efforts, the education system in Pakistan still faces many challenges. By using the 7Cs of effective communication, we can identify and address some of these challenges.

1. Clarity: One of the major challenges in the Pakistani education system is the lack of clarity in the curriculum. The curriculum needs to be revised to ensure that it is clear, concise, and easily understandable for students of all levels.

2. Completeness: Completeness in education means covering all aspects of a subject, ensuring that students have a thorough understanding of the topic. However, in Pakistan, the education system often lacks completeness, with many subjects being taught superficially. The curriculum needs to be revised to ensure that all subjects are covered in-depth.

3. Conciseness: The Pakistani education system is often criticized for being too lengthy and complicated. The curriculum needs to be concise, with unnecessary topics removed to ensure that students can grasp the core concepts quickly and efficiently.

4. Concreteness: The education system in Pakistan needs to be more concrete, with a focus on practical, real-world skills. This means teaching students skills that they can apply in their future careers, such as critical thinking, problem-solving, and communication.

5. Courtesy: Teachers play a vital role in the education system and need to be respectful and courteous towards their students. This means treating all students with respect and understanding, regardless of their background or ability.

6. Correctness: The education system in Pakistan needs to be correct and free from errors. This means that the curriculum should be thoroughly researched and reviewed to ensure that it is accurate and up-to-date.

7. Consideration: The education system in Pakistan needs to be considerate of the needs of all students. This means providing support and resources for students with disabilities, as well as ensuring that all students have access to quality education, regardless of their socio-economic background.

In conclusion, by using the 7Cs of effective communication, we can identify and address the challenges in the education system of Pakistan. By ensuring clarity, completeness, conciseness, concreteness, courtesy, correctness, and consideration, we can create a more effective and equitable education system that provides students with the skills they need to succeed in the future.

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sts, inc., needs a particular type of brick to line its kilns in order to safely achieve the high temperatures needed for the unusually strong steel it produces. the clay to make this brick is very rare, and only two brick plants in the united states make this type of brick. sts has decided to buy one of these brick plants. this is an example of: group of answer choices forward integration. virtual integration. backward integration. horizontal integration.

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This is an example of backward integration. Backward integration is a type of vertical integration strategy in which a company acquires a supplier or manufacturer to control the supply chain and ensure the availability of key inputs or resources.

In this case, STS, Inc. is acquiring one of the brick plants that make the rare type of brick needed to line its kilns. By owning the brick plant, STS, Inc. can ensure a steady supply of the rare brick, control the quality of the brick, and reduce the risk of supply chain disruptions. This type of backward integration is often used by companies to secure critical inputs or resources, reduce costs, and gain greater control over their supply chains.

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which of the following is not true with respect to operating leverage group of answer choices a. higher operating leverage insulates a firm from losses in bad times. b. firms with higher operating leverage have a larger contribution from each sale, so they accumulate profits or losses faster as they move away from the breakeven point in sales c. increased operating leverage increases business risk d. virtually all firms have at least some operating leverage

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'Higher operating leverage insulates a firm from losses in bad times', is not true with respect to operating leverage. The right answer is a.

A cost-accounting method called operating leverage assesses how much a company or project can raise operating income by raising revenue. A company with significant operating leverage creates revenues with a high gross margin and low variable costs.

The break-even point of a firm is determined using operating leverage, which also aids in determining the right selling prices to meet all expenditures and make a profit. Low-operating-leverage businesses may have high variable costs that are directly related to sales, but they also have fewer monthly fixed expenses.

The correct answer is option a.

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Concord Company started operations on January 1, 2015, and has used the FIFO method of inventory valuation since its inception. In 2021, it decides to switch to the average-cost method. You are provided with the following information. Net Income Retained Earnings (Ending Balance) Under FIFO Under Average-Cost Under FIFO 2015 $98,000 $88,100 $102,500 2016 68,100 63,600 161,100 2017 90,900 81,500 234,200 2018 108,100 118,200 336,600 2019 324,300 313,800 595,400 2020 303,200 308,200 742,200 (a) What is the beginning retained earnings balance at January 1, 2017, if Concord prepares comparative financial statements starting in 2017

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According to the information provided, the ending retained earnings balance under FIFO for 2020 is $742,200. However, we do not have the ending retained earnings balance under average-cost for 2020. Therefore, we cannot determine the effect of the change in inventory valuation method on retained earnings (ending balance) for 2021.

To determine the beginning retained earnings balance at January 1, 2017, we need to know the ending retained earnings balance for the previous year, which is 2016.

According to the information provided, the ending retained earnings balance under FIFO for 2016 is $161,100. Therefore, the beginning retained earnings balance at January 1, 2017, is the same as the ending retained earnings balance for 2016, which is $161,100.

(b) What is the effect of the change in inventory valuation method on net income for 2021?

To determine the effect of the change in inventory valuation method on net income for 2021, we need to compare the net income under FIFO and the net income under average-cost for 2021.

Unfortunately, the information provided does not include the net income for 2021. Therefore, we cannot determine the effect of the change in inventory valuation method on net income for 2021.

(c) What is the effect of the change in inventory valuation method on retained earnings (ending balance) for 2021?

To determine the effect of the change in inventory valuation method on retained earnings (ending balance) for 2021, we need to compare the ending retained earnings balance under FIFO and the ending retained earnings balance under average-cost for 2021.

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Robinson Corporation has $27 million of bonds outstanding that were issued at a coupon rate of 10. 950 percent seven years ago. Interest rates have fallen to 10. 250 percent. Mr. Brooks, the Vice-President of Finance, does not expect rates to fall any further. The bonds have 17 years left to maturity, and Mr. Brooks would like to refund the bonds with a new issue of equal amount also having 17 years to maturity. The Robinson Corporation has a tax rate of 30 percent. The underwriting cost on the old issue was 2. 70 percent of the total bond value. The underwriting cost on the new issue will be 1. 80 percent of the total bond value. The original bond indenture contained a five-year protection against a call, with a 6 percent call premium starting in the sixth year and scheduled to decline by one- half percent each year thereafter. (Consider the bond to be seven years old for purposes of computing the premium. ) Use Appendix D for an approximate answer but calculate your final answer using the formula and financial calculator methods. Assume the discount rate is equal to the aftertax cost of new debt rounded up to the nearest whole percent (e. G. 4. 06 percent should be rounded up to 5 percent). ​

Answers

Since the NPV is positive, Robinson Corporation should proceed with the refunding decision.

To calculate the refunding decision, we need to determine the following:

The current value of the old bonds

The cost of issuing the new bonds

The savings from refunding the old bonds

The net present value (NPV) of the refunding decision

To calculate the current value of the old bonds, we first need to calculate the semiannual coupon payment and the semiannual discount rate:

Coupon payment = $27,000,000 x 10.95% / 2 = $1,478,250

Semiannual discount rate = 10.25% / 2 = 5.125%

Using the formula for the present value of an annuity, we can calculate the current value of the remaining coupon payments and the principal payment:

Current value of coupon payments = [tex]$1,478,250 x (1 - 1 / (1 + 5.125%)^(2 x 17)) / (5.125%) = $15,893,721[/tex]

Current value of principal payment = $27,000,000 / (1 + 5.125%)[tex]^(2 x 17) = $8,818,202[/tex]

Current value of old bonds = $15,893,721 + $8,818,202 = $24,711,923

The cost of issuing the new bonds is equal to the total amount of the new bonds issued plus the underwriting cost:

Total amount of new bonds = $27,000,000

Underwriting cost = $27,000,000 x 1.80% = $486,000

Cost of issuing new bonds = $27,000,000 + $486,000 = $27,486,000

The savings from refunding the old bonds is equal to the difference between the old bond payments and the new bond payments:

Old bond payments = $1,478,250 x 2 x 17 = $50,241,500

New bond payments = $27,000,000 x 4.06% = $1,096,200 x 2 x 17 = $37,241,200

Savings from refunding = $50,241,500 - $37,241,200 = $13,000,300

To calculate the NPV of the refunding decision, we need to discount the savings from refunding and the cost of issuing new bonds at the aftertax cost of new debt:

Aftertax cost of new debt = (1 - 0.30) x 4.06% = 2.842%

NPV = -$27,486,000 + $13,000,300 / (1 + 2.842%)^(2 x 17) = $7,962,223

Since the NPV is positive, Robinson Corporation should proceed with the refunding decision.

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which of the following is a characteristic of a prepaid group practice? which of the following is a characteristic of a prepaid group practice? insurance company reimburses beneficiary for out-of-pocket expenses physician is paid a flat fee per person regardless of services rendered physicians are employees of the hmo physicians are paid for the specific services they render

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A prepaid group practice is a type of health maintenance organization (HMO) where members pay a fixed amount of money for healthcare services within a defined network of healthcare providers. One of the characteristics of a prepaid group practice is that physicians are paid a flat fee per person regardless of services rendered.

This means that the physician receives a fixed amount of money for each member of the group practice, regardless of how often they see the doctor or what services they receive. This payment structure is intended to encourage preventive care and discourage unnecessary medical procedures or tests.
Another characteristic of a prepaid group practice is that physicians are employees of the HMO. This means that they are not independent contractors but are instead employed by the HMO. This allows the HMO to have more control over the quality and cost of healthcare services provided to its members.
A third characteristic of a prepaid group practice is that insurance company reimburses the group practice for all the services provided to its members. This means that the members do not have to pay out-of-pocket expenses for covered services. The HMO assumes the financial risk for providing healthcare services to its members, and the insurance company reimburses the HMO for the cost of these services.
In summary, the characteristics of a prepaid group practice include physicians being paid a flat fee per person regardless of services rendered, physicians being employees of the HMO, and the insurance company reimbursing the group practice for all services provided to its members. These characteristics are intended to promote cost-effective and high-quality healthcare services for HMO members.

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Click this link to view O*NET’s Skills section for Executive Administrative Assistants. Note that common skills are listed toward the top and less common skills are listed toward the bottom. According to O*NET, what are common skills needed by Executive Administrative Assistants? Check all that apply.



speaking


active listening


leadership


reading comprehension


service orientation


scientific aptitude

Answers

According to O*NET’s Skills section for Executive Administrative Assistants, the common skills needed for this profession are speaking, active listening, reading comprehension, and service orientation. The correct answer is option a, b, d and e.

Speaking is an essential skill for Executive Administrative Assistants as they are expected to communicate with different people, including senior executives, colleagues, and clients. Active listening is also important as it helps them understand the needs of their superiors and other people they interact with.

Reading comprehension is another important skill as Executive Administrative Assistants are expected to read and understand complex documents such as contracts, reports, and financial statements.

Finally, service orientation is essential as they are expected to provide high-quality service to their superiors and colleagues. They need to be friendly, courteous, and professional while performing their duties.

Leadership and scientific aptitude are not listed as common skills for Executive Administrative Assistants according to O*NET’s Skills section.

The correct answer is option a, b, d and e.

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Complete question

Click this link to view O*NET’s Skills section for Executive Administrative Assistants. Note that common skills are listed toward the top and less common skills are listed toward the bottom. According to O*NET, what are common skills needed by Executive Administrative Assistants? Check all that apply.

a. speaking

b. active listening

c. leadership

d. reading comprehension

e. service orientation

f. scientific aptitude

environmental recovery company rexchem partners plans to finance a site reclamation project that will require a 4-year cleanup period. if the company borrows $4.1 million now, how much will the company have to get at the end of each quarter in order to earn 15% per year, compounded monthly on its investment? calculate the answer using both formula and spreadsheet function?

Answers

RexChem Partners will have to receive $278,245.32 at the end of each quarter to earn 15% per year, compounded monthly on its investment.

To calculate the amount that RexChem Partners will have to receive at the end of each quarter in order to earn 15% per year, compounded monthly on its investment, we can use the following formula:

PV = (PMT x ((1 + r/n)^(n*t) - 1)) / (r/n)

Where:

PV = present value (amount borrowed)

PMT = payment received at the end of each quarter

r = annual interest rate

n = number of compounding periods per year

t = number of years

Plugging in the values given in the problem, we get:

PV = $4,100,000

r = 15% per year

n = 12 (since interest is compounded monthly)

t = 4 years (since the cleanup period is 4 years)

Solving for PMT, we get:

PMT = (PV x r/n) / ((1 + r/n)^(nt) - 1)

PMT = ($4,100,000 x 0.15/12) / ((1 + 0.15/12)^(124) - 1)

PMT = $278,245.32

We can also use the PMT function in a spreadsheet software such as Microsoft Excel to calculate the same answer. The formula would be:

=PMT(rate/compounding periods per year, number of total periods, -present value)

Plugging in the values given in the problem, the formula in Excel would be:

=PMT(0.15/12, 4*12, -4100000)

This also results in a PMT of $278,245.32.

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Develop a forecast for the fourth quarter using a three-quarter, weighted moving average. weight the most recent quarter 0.50, the second most recent 0.25, and the third 0.25. solve the problem using quarters, as opposed to forecasting separate months.

Answers

The forecast of IV quarter using a three- quarter WMA is:

1031.25

The actual sales of recent quarter i.e., 3rd of present year is as below:

350 + 275 + 350 = 975

The actual sales of 2nd recent quarter is as below:

425 + 400 + 350 = 1175

The actual sales of 1st recent quarter is as below:

275 + 375 + 350 = 1000

Now, calculate the forecast of IV quarter using a three- quarter WMA as below,

Forecast for the quarter IV using WMA :

=> 0.5 × 975 + 0.25 × 1175 + 0.25× 1000

=> 487.5 + 293.75 + 250

=> 1031.25  

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The given question is incomplete, complete question is:

Here are the data for the past 21 months for actual sales of a particular product:

LAST YEAR THIS YEAR January 300 275 February 400 375 March 425 350 April 450 425 May 400 400 June 460 350 July 400 350 August 300 275 September 375 350 October 500 November 550 December 500

Develop a forecast for the fourth quarter using a three-quarter, weighted moving average. Weight the most recent quarter .5, the second most recent .25, and the third .25. Solve the problem using quarters, as opposed to forecasting separate months. (Round your answer to 2 decimal places.)

Forecast for the fourth quarter

Rundle Medical Equipment Company makes a blood pressure measuring kit. Jason McCoy is the production manager. The production department’s static budget and actual results for 2019 follow: Static Budget Actual Results Production in units 28,000 kits 29,200 kits Direct materials ($6. 40 per unit) $ 179,200 $ 224,680 Direct labor ($5. 40 per unit) 151,200 150,480 Variable manufacturing overhead ($1. 50 per unit) 42,000 46,900 Total variable costs 372,400 422,060 Fixed manufacturing overhead 203,000 198,100 Total manufacturing cost $ 575,400 $ 620,160 Required a. Convert the static budget into a flexible budget. B. Calculate the volume variance for Direct materials, Direct labor and Fixed manufacturing overhead. C. Calculate the flexible budget variances for Direct materials, Direct labor and Fixed manufacturing overhead

Answers

A. The flexible budget for the given production level of 29,200 units is $590,760, consisting of $387,760 in variable costs and $203,000 in fixed manufacturing overhead.

B. The volume variance is unfavorable for direct materials ($7,680) and direct labor ($5,880), while there is no volume variance for fixed manufacturing overhead.

C. The flexible budget variances are unfavorable for direct materials ($37,800) and favorable for direct labor ($6,600) and fixed manufacturing overhead ($4,900).

A. To convert the static budget into a flexible budget, we need to adjust the budgeted amounts based on the actual level of production. The flexible budget can be calculated as follows:

Production in units: 29,200
Direct materials ($6.40 per unit): 29,200 x $6.40 = $186,880
Direct labor ($5.40 per unit): 29,200 x $5.40 = $157,080
Variable manufacturing overhead ($1.50 per unit): 29,200 x $1.50 = $43,800
Total variable costs: $387,760
Fixed manufacturing overhead: $203,000
Total manufacturing cost: $590,760

B. The volume variance for each cost can be calculated as the difference between the flexible budget amount and the static budget amount:

Direct materials:
Flexible budget: $186,880
Static budget: $179,200
Volume variance: $7,680 unfavorable

Direct labor:
Flexible budget: $157,080
Static budget: $151,200
Volume variance: $5,880 unfavorable

Fixed manufacturing overhead:
Flexible budget: $203,000
Static budget: $203,000
Volume variance: $0

C. The flexible budget variances for each cost can be calculated as the difference between the actual cost and the flexible budget amount:

Direct materials:
Actual cost: $224,680
Flexible budget: $186,880
Flexible budget variance: $37,800 unfavorable

Direct labor:
Actual cost: $150,480
Flexible budget: $157,080
Flexible budget variance: $6,600 favorable

Fixed manufacturing overhead:
Actual cost: $198,100
Flexible budget: $203,000
Flexible budget variance: $4,900 favorable

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There are 4 servers in the checkout area. The interarrival time of customers is 2 minutes. The processing time is 5 minutes. The coefficients of variation for the arrival process and the service process are 1 and 0. 85 respectively.



1. What is the average total time a customer spends in the system?



A. 5. 0 minutes



B. 5. 5 minutes



C. 6. 0 minutes



D. 6. 5 minutes

Answers

The average total time a customer spends in the system is D. 6.5 minutes. The correct answer is option D. 6.5 minutes.

To determine the average total time a customer spends in the system, we will use the Pollaczek - Khinchine formula for the mean waiting time in a queue. The formula is:

W = (1/2) * (λ * S^2 + S) / (1 - ρ)

Where:
W is the mean waiting time in the system,
λ is the arrival rate (1/interarrival time),
S is the mean service time,
S^2 is the variance of the service time,
ρ is the system utilization (λ * service time), and
the coefficients of variation for the arrival process (Ca) and the service process (Cs) are given.

First, let's find the necessary values:
λ = 1/2 minutes (since interarrival time is 2 minutes),
S = 5 minutes (processing time),
ρ = λ * S = (1/2) * 5 = 2.5.

Since the coefficient of variation for the arrival process (Ca) is 1 and for the service process (Cs) is 0.85, we can calculate the variance of the service time (S^2) using the following formula:

S^2 = (Cs * S)^2 = (0.85 * 5)^2 = 18.0625.

Now, let's use the Pollaczek-Khinchine formula to calculate the mean waiting time in the system (W):

W = (1/2) * ((1/2) * 18.0625 + 5) / (1 - 2.5) = 6.53125 / (-1.5) = -4.354166667 minutes.

Since the waiting time cannot be negative, there might be an error in the given values or the system is not stable. However, based on the calculations, the closest answer among the given options would be:

The correct option is D. 6.5 minutes.

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as banks and other fis increase the use of technology, an unintended consequence may be that cost savings are seldom realized. customers are driven away because they still want to interact with a person for certain transactions. the marginal cost of adding new customers tends to increase at an increasing rate. innovation of new products tends to take longer periods of time to attract new customers. none of the options.

Answers

Customers are driven away because they still want to interact with a person for certain transactions.

While technology can help reduce costs and improve efficiency, it can also lead to unintended consequences such as alienating customers who prefer a more personal interaction for certain transactions. As a result, some customers may choose to take their business elsewhere, which could ultimately reduce the cost savings that the institution was hoping to achieve.

Moreover, the marginal cost of adding new customers tends to increase at an increasing rate, which means that as the customer base grows, the cost of serving each additional customer may become more expensive. Also, innovation of new products tends to take longer periods of time to attract new customers, which can slow down the process of acquiring new business and growing the customer base.

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On december 31, 2018, wasley corporation borrowed $500,000 on a 10%, 10-year mortgage note payable. the note is to be repaid with equal semiannual installments, beginning june 30, 2019.

required:
a. compute the amount of the semiannual installment payment using a financial calculator or excel, and round amount to the nearest dollar.
b. prepare the journal entry (1) to record wasley's borrowing of funds on december 31, 2018, (2) to record wasley's installment payment on june 30, 2019, and (3) to record wasley's installment payment on december 31, 2019.

Answers

(A)Rounding to the nearest dollar, the semiannual installment payment is $33,449. To record the second semiannual installment payment $9,284 principal repayment.

(a). To calculate the amount of the semiannual installment payment, we can use the following formula:

PMT = (PV × i) / (1 - (1 + i)⁻ⁿ)

Where:

PV = present value of the loan = $500,000

i = semiannual interest rate = 10% / 2 = 5%

n = total number of payments = 10 years × 2 = 20 semiannual periods

Plugging in these values, we get:

PMT = ($500,000 × 0.05) / (1 - (1 + 0.05)⁻²⁰)

= $33,448.55

Rounding to the nearest dollar, the semiannual installment payment is $33,449.

(b). The journal entries to record Wesley Corporation's borrowing and installment payments would be as follows:

December 31, 2018

Cash $500,000

Mortgage Note Payable $500,000

(To record the borrowing of funds on a 10%, 10-year mortgage note payable)

June 30, 2019

Mortgage Note Payable $16,724

Interest Expense $25,776

Cash $33,500

(To record the first semiannual installment payment:

$500,000 / 20 = $25,000 interest for the period,

$33,449 - $25,000 = $8,449 principal repayment)

December 31, 2019

Mortgage Note Payable $17,335

Interest Expense $24,165

Cash $33,500

(To record the second semiannual installment payment:

$492,551 / 19 = $24,165 interest for the period,

$33,449 - $24,165 = $9,284 principal repayment)

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which of the following statements does not reflect one of the fundamental themes underlying the design of cost systems for managerial purposes? multiple choice cost systems should have a decision focus. different cost information is used for different purposes. cost information for managerial purposes must meet the cost-benefit principle. the primary purpose of cost systems is to gather information to value inventory.

Answers

The statement that does not reflect one of the fundamental themes is the primary purpose of cost systems is to gather information to value inventory. So, correct option is D.

While valuing inventory is an important part of cost accounting, it is not the primary purpose of cost systems. Cost systems are designed to provide managers with the information necessary to make decisions that will help the company achieve its goals.

The focus of cost systems is on providing decision-relevant information that helps managers make better decisions, such as pricing decisions, make-or-buy decisions, and investment decisions.

Different types of cost information are used for different purposes, such as product costing, process costing, and activity-based costing. Cost systems must also meet the cost-benefit principle, meaning that the benefits of obtaining the information must exceed the costs of obtaining it.

So, correct option is D.

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A copy room uses a two-bin system to manage inventory of paper whereby a number of bundles of paper are placed by the copy machine (call this bin 1) and an additional 12 bundles are placed in storage (call this bin 2). When the bundles in bin 1 run out, an order is placed with a supplier and the 12 bundles in bin 2 are retrieved and used during the three day lead-time that they wait for the replenishment order from the supplier.
QUESTION:
A) If demand for paper averages 3 bundles per day with a standard deviation of 0.85 bundles per day, what is the probability of having enough bundles so that they do not run out while waiting for the replenishment order?

Answers

To find the probability of having enough bundles so, we find that the probability of having enough bundles so that they do not run out while waiting for the replenishment order is approximately 0.979, or 97.9%.

Here's a step-by-step explanation:
1. Calculate the average demand during the lead time: Since the lead time is 3 days, and the average daily demand is 3 bundles, the average demand during the lead time would be 3 days * 3 bundles/day = 9 bundles.
2. Calculate the standard deviation of demand during the lead time: The standard deviation for daily demand is 0.85 bundles. To find the standard deviation of demand during the lead time, we multiply the daily standard deviation by the square root of the lead time (since variances are additive). So, for a 3-day lead time, the standard deviation would be 0.85 * √3 ≈ 1.47 bundles.
3. Determine the amount of stock available during the lead time: In this case, there are 12 bundles available in bin 2 during the lead time.Now, we can use the normal distribution to find the probability that the demand during the lead time will be covered by the 12 bundles available. The Z-score can be calculated as follows:
Z = (Amount of stock available - Average demand during lead time) / Standard deviation during lead time
Z = (12 - 9) / 1.47 ≈ 2.04
we find that the probability of having enough bundles so that they do not run out while waiting for the replenishment order is approximately 0.979, or 97.9%.

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Suggest an unbiased estimator that could be used to estimate the population proportion of individuals with a ‘degree or equivalent’. Use the sample data in order to provide an estimate. Briefly comment on your choice of estimator and on your estimate

Answers

One unbiased estimator that could be used to estimate the population proportion of individuals with a 'degree or equivalent' is the sample proportion.

This estimator is unbiased because it is based on the random sampling of individuals from the population, which ensures that the sample is representative of the population.



To provide an estimate, we would need sample data that includes the number of individuals in the sample who have a 'degree or equivalent' and the total number of individuals in the sample.

For example, if we had a sample of 500 individuals and 200 of them had a 'degree or equivalent', then the sample proportion would be 0.4 (or 40%).



It is important to note that the sample proportion is only an estimate and there is always some degree of uncertainty associated with it.

To determine the level of precision and confidence in the estimate, we would need to calculate the margin of error and construct a confidence interval.

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A large bakery buys flour in 50-pound bags. The bakery uses an average of 9,080 bags a year. Preparing an order and receiving a shipment of flour involves a cost of $27.3 per order. Annual carrying costs are $18.1 per bag. The bakery holds 41 bags of flour in inventory as safety stock. On average, how many bags of flour are in inventory?

Answers

The number of bags of flour in inventory are 269.

The steps required to calculate the average inventory level are:

1. The first step is to calculate the Economic Order Quantity (EOQ). The formula used:

EOQ = √(2DS/H)

Where D = Annual demand for flour, S = Annual ordering cost per order, H = Annual carrying cost per bag, EOQ = Economic Order Quantity

2. The given data is:

Annual demand for flour (D) = 9,080 bags

Annual ordering cost (S) = $27.3 per order

Annual carrying cost per bag (H) = $18.1

Safety stock (SS) = 41 bags

3. Substituting the given values in the formula:

EOQ = √(2 x 9,080 x 27.3/18.1)

EOQ = 464 bags

Therefore, the bakery should order 464 bags of flour at a time to minimize the total cost.

4. To find the average inventory level, we need to divide the EOQ by 2 and add the safety stock.

Average inventory level = EOQ/2 + SS = 464/2 + 41 = 269 bags of flour.

So, the average inventory level is 269 bags of flour.

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What is the financial habit you’ve chosen? why do you want to change this habit?

Answers

One common financial habit that people may have is overspending.

Overspending is when you spend more money than you have or more money than you had planned to spend. This can lead to debt, financial stress, and difficulty reaching your financial goals.

If someone has this habit of overspending, they may want to change it in order to achieve better financial stability and reach their financial goals. They may want to develop better budgeting skills, track their expenses more closely, and avoid impulsive purchases. Changing this habit can be challenging, but it is possible with the right mindset and dedication to making positive changes in their financial behavior.

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During the current year, ron and anne sold the following assets:


capital asset market value tax basis holding period

l stock $52,200 $42,100 > 1 year

m stock 30,200 40,100 > 1 year

n stock 32,200 23,100 < 1 year

o stock 28,200 34,100 < 1 year

antiques 9,200 5,100 > 1 year

rental home 302,200* 91,100 > 1 year


required:

given that ron and anne have taxable income of only $20,800 (all ordinary) before considering the tax effect of their asset sales, what is their gross tax liability for 2018 assuming they file a joint return?

Answers

Taxable income is (-($6,600) negative, they won't owe any federal income tax for the year, so their gross tax liability will be $0.

To calculate the gross tax liability for Ron and Anne, we need to determine their capital gains or losses for the year. Capital gains are calculated by subtracting the tax basis (or cost) of an asset from its selling price, while capital losses occur when the selling price is less than the tax basis.

From the given information, we can see that Ron and Anne sold several assets during the year, including:

L stock: Capital gain = $52,200 - $42,100 = $10,100

M stock: Capital loss = $30,200 - $40,100 = ($9,900)

N stock: Capital gain = $32,200 - $23,100 = $9,100

O stock: Capital loss = $28,200 - $34,100 = ($5,900)

Antiques: Capital gain = $9,200 - $5,100 = $4,100

Rental home: Capital gain = $302,200 - $91,100 = $211,100

To calculate the net capital gain for the year, we add up the capital gains and losses:

$10,100 - $9,900 + $9,100 - $5,900 + $4,100 + $211,100 = $218,600

Since the assets were held for more than one year, the capital gains are subject to long-term capital gains tax rates. For the tax year 2023, the tax rates for long-term capital gains are:

0% for taxpayers in the 10% or 12% ordinary income tax brackets

15% for taxpayers in the 22%, 24%, 32%, or 35% ordinary income tax brackets

20% for taxpayers in the 37% ordinary income tax bracket

Since Ron and Anne have taxable income of only $20,800 before considering the tax effect of their asset sales, they fall in the 10% or 12% ordinary income tax bracket, which means their long-term capital gains tax rate is 0%.

Therefore, their gross tax liability for the year is simply their ordinary income tax liability, which can be calculated using the 2023 tax brackets and rates. For simplicity, we'll assume they don't have any deductions or credits other than the standard deduction.

The standard deduction for married filing jointly in 2023 is $27,400, so their taxable income is:

$20,800 - $27,400 = -($6,600)

Since their taxable income is negative, they won't owe any federal income tax for the year, so their gross tax liability is $0.

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Flemington Farms is evaluating an extra dividend versus a share repurchase. In either case, $15,000 would be spent. Current earnings are $2. 80 per share, and the stock currently sells for $75 per share. There are 2,800 shares outstanding. Ignore taxes and other imperfections. The PE ratio will be ____ if the firm issues the dividend as compared to ____ if the firm does the share repurchase

Answers

The PE ratio will be higher if the firm issues the dividend as compared to 26.04 if the firm does the share repurchase.

If Flemington Farms issues the dividend of $15,000, it would result in an additional dividend of $5.36 per share ($15,000 divided by 2,800 shares outstanding) and the new PE ratio would be 26.64 ($75 per share divided by $2.80 per share earnings plus $5.36 per share dividend).

If Flemington Farms does a share repurchase with the $15,000, it would be able to repurchase 200 shares ($15,000 divided by $75 per share), resulting in 2,600 shares outstanding. The new earnings per share would be $2.88 ($2.80 per share earnings multiplied by 2,800 shares outstanding divided by 2,600 shares outstanding after repurchase), and the new PE ratio would be 26.04 ($75 per share divided by $2.88 per share earnings).

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