what are the strong points of the behavioral critique of the efficient market hypothesis?what are some problems with the critique?

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Answer 1

The behavioral critique of the efficient market hypothesis suggests that markets are not always fully efficient due to the presence of human biases and irrational behaviors.

This perspective highlights several strong points, such as the ability to explain market anomalies and the potential for profitable investment strategies based on these anomalies.

One of the key arguments of the behavioral critique is that human emotions and cognitive biases can lead to irrational behavior in financial markets. For example, investors may overreact to news or market events, leading to exaggerated price movements that cannot be explained by fundamental analysis.

The behavioral critique can also explain the presence of momentum and value effects, which are inconsistent with the efficient market hypothesis. However, there are also some problems with the behavioral critique. Critics argue that the behavioral perspective is based on anecdotal evidence and lacks a clear theoretical foundation.

Additionally, some suggest that the behavioral critique can be self-fulfilling, as investors may use behavioral models to justify their own biases and irrational behavior. Overall, while the behavioral critique of the efficient market hypothesis offers a compelling alternative perspective on market efficiency, it is important to consider both the strengths and limitations of this approach.

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Selected data for Kris Corporation’s comparative balance sheets for Year 1 and Year 2 are as follows:Year 1 Year 2Assets Cash $100,000 $(50,000 )Accounts receivable (net) 50,000 100,000 Inventory 100,000 250,000 Equipment (net) 300,000 350,000 Total assets $ 550,000 $ 650,000 Liabilities and Equity Accounts payable $ 150,000 100,000 Income taxes payable 80,000 30,000 Bonds payable 100,000 80,000 Common stock 100,000 200,000 Retained earnings 120,000 240,000 Total liabilities and Equity $ 550,000 $ 650,000 Using the indirect method to create the operating activities section of the statement of cash flows, the cash flow recorded based on the change in inventory would be:a. a decrease of $400,000b. an increase of $400,000c. an increase of $150,000d. a decrease of $150,000.

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The cash flow recorded based on the change in inventory using the indirect method to create the operating activities section of the statement of cash flows would be an increase of $150,000.

This is because inventory increased by $150,000 from Year 1 to Year 2, and since inventory is considered a current asset, an increase in inventory would be subtracted from net income in the operating activities section of the statement of cash flows.

Therefore, the increase in inventory would result in a decrease in net income of $150,000, which would be added back to net income to calculate the cash flow from operating activities.

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The actual number of patients at Omaha Emergency Medical Clinic for the first six weeks of this year follows: Clinic administrator Marc Schniederjans wants you to forecast patient numbers at the clinic for week 7 by using this data. You decide to use a weighted moving average method to find this forecast. Your method uses four actual demand levels, with weights of 0.500 on the present period, 0.250 one period ago, 0.125 two periods ago, and 0.125 three periods ago. a) What is the value of your forecast? The value of the forecast is _____ patients (round your response to two decimal places). b) If instead the weights were 40, 20, 10, and 10, respectively, how would the forecast change? A. The value of the forecast will decrease.B. The value of the forecast will remain the same.C. The value of the forecast will increase. c) What if the weights were 0.60, 0.20, 0.10, and 0.10, respectively? Now what is the forecast for week 7? The value of the forecast is ____ patients (round your response to two decimal places).

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Therefore, the value of the forecast is 73.6 patients (rounded to two decimal places).

a) Using the weighted moving average method with the given weights, the forecast for week 7 would be:

Forecast = (0.5 x 76) + (0.25 x 70) + (0.125 x 64) + (0.125 x 72) = 70.25

Therefore, the value of the forecast is 70.25 patients (rounded to two decimal places).

b) If the weights were changed to 40, 20, 10, and 10, respectively, the forecast for week 7 would change. The new forecast would be:

Forecast = (0.4 x 76) + (0.2 x 70) + (0.1 x 64) + (0.1 x 72) = 70.4

Therefore, the value of the forecast will increase.

c) If the weights were 0.60, 0.20, 0.10, and 0.10, respectively, the forecast for week 7 would be:

Forecast = (0.6 x 76) + (0.2 x 70) + (0.1 x 64) + (0.1 x 72) = 73.6

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Therefore, the value of the forecast is 73.6 patients (rounded to two decimal places).

a) Using the weighted moving average method with the given weights, the forecast for week 7 would be:

Forecast = (0.5 x 76) + (0.25 x 70) + (0.125 x 64) + (0.125 x 72) = 70.25

Therefore, the value of the forecast is 70.25 patients (rounded to two decimal places).

b) If the weights were changed to 40, 20, 10, and 10, respectively, the forecast for week 7 would change. The new forecast would be:

Forecast = (0.4 x 76) + (0.2 x 70) + (0.1 x 64) + (0.1 x 72) = 70.4

Therefore, the value of the forecast will increase.

c) If the weights were 0.60, 0.20, 0.10, and 0.10, respectively, the forecast for week 7 would be:

Forecast = (0.6 x 76) + (0.2 x 70) + (0.1 x 64) + (0.1 x 72) = 73.6

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Brooklyn files as a head of household for 2021. She claimed the standard deduction of $18,800 for regular tax purposes. Her regular taxable income was $80,000. What is Brooklyn's AMTI?

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Brooklyn's AMTI (Alternative Minimum Taxable Income) is calculated by adding certain tax preference items to her regular taxable income.

These items include items such as tax-exempt interest, certain deductions, and other adjustments. To calculate Brooklyn's AMTI, we first need to add back her standard deduction of $18,800 to her regular taxable income of $80,000. This gives us a preliminary AMTI of $98,800.

Next, we need to add any tax preference items that Brooklyn may have. For example, if Brooklyn had any tax-exempt interest income, we would need to add that to her AMTI.

Once we have added all of Brooklyn's tax preference items, we can compare her AMTI to the AMT exemption amount for the tax year. If her AMTI exceeds the exemption amount, she may be subject to the alternative minimum tax (AMT).

In summary, Brooklyn's AMTI for 2021 is $98,800, which is calculated by adding back her standard deduction to her regular taxable income. If she has any tax preference items, those would also need to be added to her AMTI.

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if the number of ice cream bars demanded increases from 19 to 21 when the price decreases from $1.50 to $0.50, the price elasticity of demand is: -5. -0.2. -0.1.

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When the number of ice cream bars demanded increases from 19 to 21 when the price decreases from $1.50 to $0.50, the price elasticity of demand is approximately -0.158, which is closest to -0.1.

To find the price elasticity of demand, we need to use the following formula:

Price Elasticity of Demand (PED) = (% Change in Quantity Demanded) / (% Change in Price)

First, let's find the percentage change in quantity demanded and the percentage change in price.
% Change in Quantity Demanded = (New Quantity - Old Quantity) / Old Quantity
% Change in Quantity Demanded = (21 - 19) / 19 ≈ 0.1053 (or 10.53%)

% Change in Price = (New Price - Old Price) / Old Price
% Change in Price = (0.50 - 1.50) / 1.50 ≈ -0.6667 (or -66.67%)

Now, we can plug these values into the formula for PED:
PED = (10.53%) / (-66.67%) ≈ -0.158

So, the price elasticity of demand for the ice cream bars is approximately -0.158. Since this value is not one of the given options, I will provide the closest option:

When the number of ice cream bars demanded increases from 19 to 21 when the price decreases from $1.50 to $0.50, the price elasticity of demand is approximately -0.158, which is closest to -0.1.

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Make a list of three tasks using health information systems that would need to be completed by a healthcare manager on a daily basis. How would you prioritize them?

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Healthcare managers need to prioritize tasks based on their impact on patient care, overall health of the organization, and the smooth running of the healthcare organization. Monitoring patient records should be the top priority followed by analyzing data and managing staff schedules.

As a healthcare manager, there are several tasks that need to be completed using health information systems on a daily basis. Three of these tasks include:

1. Monitoring patient records - The healthcare manager needs to ensure that patient records are up-to-date and accurate. This helps to provide quality care to patients and ensures compliance with regulations. This task should be prioritized as it directly impacts patient care and safety.

2. Analyzing data - Health information systems provide a wealth of data that can be analyzed to identify areas for improvement. The healthcare manager should analyze this data on a daily basis to identify trends and areas for improvement. This task should be prioritized as it helps to improve the overall health of the organization.

3. Managing staff schedules - Health information systems can be used to manage staff schedules and ensure that there is adequate coverage at all times. The healthcare manager should prioritize this task as it directly impacts the smooth running of the healthcare organization.

In summary, healthcare managers need to prioritize tasks based on their impact on patient care, overall health of the organization, and the smooth running of the healthcare organization. Monitoring patient records should be the top priority followed by analyzing data and managing staff schedules.

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Three tasks that a healthcare manager may need to complete on a daily basis using health information systems are:

Reviewing patient records: Healthcare managers may need to review patient records daily to ensure that patients are receiving appropriate care, that documentation is accurate and complete, and that privacy and security regulations are being followed. This task may be prioritized as high, as it is critical to patient safety and compliance with regulations.

Monitoring financial metrics: Healthcare managers may also need to monitor financial metrics such as revenue, expenses, and billing information on a daily basis to ensure that the organization is operating efficiently and effectively. This task may be prioritized as medium, as it is important for the financial health of the organization, but may not require immediate attention every day.

Communicating with staff: Healthcare managers may need to use health information systems to communicate with staff members, such as sending messages or assigning tasks. This task may be prioritized as low, as it can be delegated to other staff members and may not require daily attention.

Overall, the prioritization of these tasks may vary depending on the specific needs and priorities of the health information system. However, the criticality of patient safety and regulatory compliance may generally make reviewing patient records a top priority for healthcare managers.

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T/F; when a customer pays a seller a significant period of time after the goods are delivered, the consideration received by the seller always includes both transaction revenue and interest income.

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False.

When a customer pays a seller for a significant period of time after the goods are delivered, the consideration received by the seller may include both transaction revenue and interest income, but it does not always include both.

Transaction revenue refers to the amount of money received by a seller for the sale of goods or services. Interest income, on the other hand, is the additional money earned by the seller as a result of the customer's delay in payment.

If a seller offers credit terms to a customer, allowing them to pay for goods at a later date, the seller may earn interest income as a result of the delay in payment. However, if the customer pays within the credit terms period, the seller would only receive transaction revenue and no interest income.

Therefore, it cannot be assumed that the consideration received by the seller always includes both transaction revenue and interest income when a customer pays for a significant period of time after the goods are delivered. It depends on the credit terms offered by the seller and the payment behaviour of the customer.

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Nichole was the owner of Nicho Manufacturing Incorporated (NMI), which produced car tires. They averaged $500,000 in profits per month NMI contacted American Manufacturing Equipment (AME), which produced the main machine that made their tires, and told them that their current AME tire manufacturing machine was about to break down and she needed a new one. Nichole advised the things needed to be done quickly because $500,000 in profits a month were at stake Martha, the CEO of AME, assured Nichole that they would have a new machine out to her company within two weeks. The machine was worth $700.000 and that was the contract price for the machine that AME promised to deliver Martha later contacted Nichole and told her they would not be able to deliver the promised machine NMI's machine then broke down, and Nichole had to purchase a machine from a competitor of AME, and paid a premium for the rush" as it read better order the compethor's machine Cost NMI $800.000 NMI was down for one month total as a result of AME's breach and as a result lost $500,000 in profits. What type of damages can Nichole recover? Multiple Choice $600.000 consequential $100,000 compensatory $500.000 consequential $100.000 consequential, 5500,000 compensatory No damages, as AME did not interminal defraud NM

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Option (a), Nichole might seek $100,000 in compensatory damages and $500,000 in consequential damages.

What do consequential and compensatory damages mean?

By asserting consequential damages, often referred to as special damages, the plaintiff may file a lawsuit against the defendant for harm sustained as a result of the defendant's actions. Consequential damages, also known as special damages, are losses that may be proven to have occurred as a result of a party's breach of contract or failure to keep a contractual obligation.

Actual damages are monetary judgments granted by a judge that are equivalent to the loss a party incurred. They are also known as compensatory damages in tort law. In the alternative, if a party's right was technically violated but they did not suffer any harm or lose anything, the court may only award nominal damages. Punitive damages, often referred to as exemplary damages or exemplary punishment, are monetary fines imposed on the defendant for egregious conduct and/or to punish or deter the offender and others from committing the offenses that sparked the legal action.

Consequential damages, on the other hand, are those that were foreseen but are nonetheless connected to the agreement when a contract is violated. Compensatory losses are those that are immediately experienced. In this case, the compensatory damages would be the difference between the contract price ($700,000) and the amount they would have had to pay to buy the equipment ($800,000), or a total of $100,000 in compensatory damages. An example of a consequential harm that is anticipated but unrelated to the contract is the loss of $500,000 in profits.

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The correct question is:

Nichole was the owner of Nicho Manufacturing Incorporated (NMI), which produced car tires. They averaged $500,000 in profits per month. NMI contacted American Manufacturing Equipment (AME), which produced the main machine that made their tires, and told them that their current AME tire manufacturing machine was about to break down and she needed a new one. Nichole advised them things needed to be done quickly because $500,000 in profits a month were at stake. Martha, the CEO of AME, assured Nichole that they would have a new machine out to her company within two weeks. The machine was worth $700,000 and that was the contract price for the machine that AME promised to deliver. Martha later contacted Nichole and told her they would not be able to deliver the promised machine. NMI's machine then broke down, and Nichole had to purchase a machine from a competitor of AME, and paid a premium for the rush" as it read better. order, the competitor's machine cost NMI $800,000. NMI was down for one-month total as a result of AME's breach and as a result lost $500,000 in profits. What type of damages can Nichole recover?

$100,000 compensatory, $500,000 consequential

$100,000 consequential, $500,000 compensatory

$600,000 consequential

No damages, as AME did not intentionally defraud NMI.

identify some examples in your life and in business of win-win scenarios. how were these scenarios achieved? what were the greatest threats to these scenarios?

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Win-win scenarios occur when both parties involved in a transaction or negotiation benefit from the outcome.

Examples of win-win scenarios in life include situations where two friends share their resources to achieve a common goal. In business, a supplier offering discounts to a customer who buys in bulk can also be considered a win-win scenario.

To achieve win-win scenarios, it is essential to have open communication, trust, and a willingness to find common ground. Both parties must focus on the outcome and the benefits that can be achieved together.

The greatest threats to win-win scenarios include a lack of trust, failure to communicate effectively, and a focus on individual gain rather than mutual benefits. When either party becomes too focused on their own interests, it can lead to a breakdown in negotiations and a failure to achieve a mutually beneficial outcome.

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For fixed costs of $10,000, revenue per unit of $20, and variable cost per unit of $10, the break-even quantity is___ a. 10 b. 500 c. 1,000 d. 2,000 e. 10,000

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Based on the provided information, the break-even quantity is 1,000. Therefore, the correct option is C.

To calculate the break-even quantity with fixed costs of $10,000, revenue per unit of $20, and variable cost per unit of $10, you can use the break-even formula:

Break-even quantity = Fixed costs / (Revenue per unit - Variable cost per unit)

Plug in the given values in the given break-even formula:

Break-even quantity = $10,000 / ($20 - $10)

Simplify the equation:

Break-even quantity = $10,000 / $10

Solve for the break-even quantity:

Break-even quantity = 1,000

So, the break-even quantity is 1,000 units which corresponds to option C.

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Carolina​ Logistics, Inc. is considering three investment opportunities with the following payback​ periods:Project XProject YProject ZPayback period3 years2.5 years2.8 yearsUse the decision rule for payback to rank the projects from most desirable to least​ desirable, all else being equal.

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The decision rule for payback states that the shorter the payback period, the more desirable the investment. Using this rule, Project Y is the most desirable, with a payback period of 2.5 years.

Project Z is the second most desirable with a payback period of 2.8 years. Project X is the least desirable with a payback period of 3 years. All else being equal, this means that Project Y should be chosen over Project Z, and Project Z should be chosen over Project X.

This makes sense, as shorter payback periods are generally indicative of a less risky investment, providing a corporation with a larger chance of seeing a return on its investment.

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experience shows that runaway inflation is always associated with negative growth.(T/F)

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The statement "experience shows that runaway inflation is always associated with negative growth" is true.

Runaway inflation is characterized by a rapid increase in the general price level of goods and services, which decreases the purchasing power of consumers and businesses. This can lead to a decrease in economic growth, as it becomes more expensive for businesses to produce goods and services, and consumers have less money to spend. In extreme cases, runaway inflation can lead to economic instability and even collapse.
Runaway inflation, also known as hyperinflation, occurs when the general price level of goods and services in an economy increases rapidly over a short period of time. This can lead to a loss of confidence in the currency, reduced investment, and ultimately, negative growth in the economy.

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The statement "experience shows that runaway inflation is always associated with negative growth" is true.

Runaway inflation is characterized by a rapid increase in the general price level of goods and services, which decreases the purchasing power of consumers and businesses. This can lead to a decrease in economic growth, as it becomes more expensive for businesses to produce goods and services, and consumers have less money to spend. In extreme cases, runaway inflation can lead to economic instability and even collapse.
Runaway inflation, also known as hyperinflation, occurs when the general price level of goods and services in an economy increases rapidly over a short period of time. This can lead to a loss of confidence in the currency, reduced investment, and ultimately, negative growth in the economy.

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how many quarters does it take to set up a new sales outlet?

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The number of quarters required to set up a new sales outlet can vary depending on various factors.

Establishing a new sales outlet involves multiple stages such as planning, site selection, construction, staffing, and operational setup. Each stage can take several months to complete.

Generally, it could take anywhere from two to four quarters, or six months to a year, to set up a new sales outlet. However, this timeline can be influenced by factors like the complexity of the project, availability of resources, local regulations, and the efficiency of the implementation process.

It is essential to consider these variables when estimating the duration of setting up a new sales outlet.

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Complete question is as follow:

How many quarters does it take to set up a new sales outlet?

What is the dollar-weighted return over the entire time period? (Assume no dividends) Year Beginning of Year Price # of Shares Bought or Sold 2016 $45.00 100 bought 2017 $50.00 50 bought 2018 $51.00 75 sold 2019 $58.00 75 sold

Answers

Investment will grew by 16.8% over the four-year period. Which means that every every the amount invested will increase by 16.8%.

To calculate the dollar-weighted return over the entire time period, we need to take into account the amount of money invested and the timing of the investments.


In this case, we bought 100 shares at $45.00 per share in 2016, which cost a total of $4,500. Then, in 2017, we bought 50 more shares at $50.00 per share, which cost an additional $2,500.


In 2018, we sold 75 shares at $51.00 per share, which earned us $3,825. Finally, in 2019, we sold another 75 shares at $58.00 per share, which earned us $4,350.



To calculate the dollar-weighted return, we need to take the sum of all the money earned ($3,825 + $4,350 = $8,175) and divide it by the sum of all the money invested ($4,500 + $2,500 = $7,000).



So the dollar-weighted return over the entire time period is:

($8,175 / $7,000) - 1 = 0.168 or 16.8%

Therefore growth rate will be 16.8%.

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Trader Dan's is all set on planning for the upcoming pierogi season (Summer 2021), however no one has decided in this past year how inventory should be managed. Pitch an inventory management model that we discussed in class that Dan should implement for the production of pierogi (3 pts). Justify your answer (10 pts).

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One inventory management model that Trader Dan's could implement for the production of pierogi is the Economic Order Quantity (EOQ) model.

The EOQ model is a commonly used inventory management technique that helps businesses determine the optimal order quantity that minimizes the total cost of inventory, while maintaining sufficient stock levels to meet customer demand.

To implement the EOQ model, Trader Dan's would need to calculate the following variables:

Demand: The expected demand for pierogi during the pierogi season (Summer 2021).

Lead time: The time it takes to receive an order of pierogi ingredients.

Ordering costs: The costs associated with placing and receiving an order, such as shipping and handling fees.

Holding costs: The costs associated with storing and maintaining inventory, such as rent, utilities, and insurance.

Unit cost: The cost per unit of pierogi ingredients.

Using these variables, Trader Dan's can calculate the optimal order quantity that minimizes the total cost of inventory using the following formula:

EOQ = √(2DS/H)

Where:

D = demand

S = ordering cost per order

H = holding cost per unit per period (usually per year)

Once the EOQ has been calculated, Trader Dan's can determine the reorder point, which is the level of inventory at which a new order should be placed. This ensures that there is sufficient inventory to meet customer demand while minimizing the risk of stockouts or overstocking.

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One inventory management model that Trader Dan's could implement for the production of pierogi is the Economic Order Quantity (EOQ) model.

The EOQ model is a commonly used inventory management technique that helps businesses determine the optimal order quantity that minimizes the total cost of inventory, while maintaining sufficient stock levels to meet customer demand.

To implement the EOQ model, Trader Dan's would need to calculate the following variables:

Demand: The expected demand for pierogi during the pierogi season (Summer 2021).

Lead time: The time it takes to receive an order of pierogi ingredients.

Ordering costs: The costs associated with placing and receiving an order, such as shipping and handling fees.

Holding costs: The costs associated with storing and maintaining inventory, such as rent, utilities, and insurance.

Unit cost: The cost per unit of pierogi ingredients.

Using these variables, Trader Dan's can calculate the optimal order quantity that minimizes the total cost of inventory using the following formula:

EOQ = √(2DS/H)

Where:

D = demand

S = ordering cost per order

H = holding cost per unit per period (usually per year)

Once the EOQ has been calculated, Trader Dan's can determine the reorder point, which is the level of inventory at which a new order should be placed. This ensures that there is sufficient inventory to meet customer demand while minimizing the risk of stockouts or overstocking.

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rinetti corporation has a break-even point at $900,000 in sales revenue had fixed costs of $225,000. When actual sales were $1,000,000, variable costs were $750,000. Determine the following: a. Margin of safety expressed in dollars b. Margin of safety expressed as a percentage of sales c. Contribution margin ratio d. Operating income

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Rinetti Corporation has a margin of safety of $100,000 or 10% of sales, a contribution margin ratio of 25%, and an operating income of $25,000.

Firstly, the break-even point is the point at which a company's total revenue equals its total expenses, resulting in neither a profit nor a loss. In this case, Rinetti Corporation's break-even point is $900,000 in sales revenue, and it incurs fixed costs of $225,000.

Margin of safety refers to the amount by which actual sales exceed the break-even point. To calculate this, we subtract the break-even point from actual sales. Therefore, the margin of safety for Rinetti Corporation is $1,000,000 - $900,000 = $100,000.

Margin of safety as a percentage of sales can be calculated by dividing the margin of safety by actual sales and then multiplying by 100. Therefore, the margin of safety expressed as a percentage of sales is ($100,000 / $1,000,000) x 100 = 10%.

The contribution margin ratio is the percentage of sales revenue that is available to cover fixed costs and contribute towards profits. It can be calculated by dividing the contribution margin by the total sales revenue. The contribution margin is the difference between total sales revenue and total variable costs. Therefore, the contribution margin ratio for Rinetti Corporation is ($1,000,000 - $750,000) / $1,000,000 = 25%.

To calculate the operating income, we need to subtract the total expenses (fixed and variable costs) from the total sales revenue. Therefore, the operating income for Rinetti Corporation is $1,000,000 - ($225,000 + $750,000) = $25,000.
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employee performance is generally a product of: group of answer choices an employee's ability to evaluate leadership and his or her compliance toward the job description. a leader's ability to provide employee benefits and the application of cross-training. a leader's ability to reduce employee supervision and the application of fair wages. an employee's ability to do a job and the application of positive motivation.

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Employee performance is generally a product: of an employee's ability to do a job and the application of positive motivation. So the right option is  an employee's ability to do a job and the application of positive motivation.

While a leader's ability to reduce employee supervision and the application of fair wages can also have an impact, it is ultimately up to the employee to have the necessary skills and drive to perform well. Additionally, while employee benefits and cross-training can certainly contribute to overall job satisfaction and engagement, they may not necessarily directly impact an individual's performance.

Finally, while evaluating leadership and complying with job descriptions are important factors, they are more reflective of an employee's overall work ethic and adherence to company policies rather than their specific performance in their role.

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successful salespeople always make great negotiators. true or false?

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The statement successful salespeople are usually great negotiators is true because they have developed the skills and strategies needed to close deals and meet their clients' needs.

A successful salesperson may have strong communication and persuasion skills, but negotiating involves more than just persuasion. It involves understanding and managing emotions, problem-solving, and finding mutually beneficial solutions.

On the other hand, a successful negotiator may not necessarily possess the same level of sales skills as a successful salesperson. They may have other skills, such as the ability to gather and analyze information, find creative solutions, and maintain relationships with key stakeholders.

They know how to communicate effectively, build relationships, and create win-win situations for both parties. Additionally, they are skilled at reading people's body language and adapting their approach accordingly. All of these qualities make them effective negotiators who can navigate difficult situations and come out on top.

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QUESTION 2 Which one of the following variables is not a factor in calculating defined benefit liabilities? O Investment results O Employee turnover O Number of participating employees. O Employee lifespan.

Answers

The variable that is not a factor in calculating defined benefit liabilities is "investment results." Employee turnover, the number of participating employees, and employee lifespan,are all factors that influence defined benefit liabilities.


Defined benefit liabilities are calculated based on several factors, including employee turnover (the rate at which employees leave the organization), the number of participating employees (those who are eligible for the defined benefit plan), and employee lifespan (the expected length of time employees will live after retirement, which impacts the duration and amount of benefit payments). These factors help determine the present value of future pension payments that the organization is obligated to pay to its employees.


On the other hand, investment results pertain to the performance of the pension fund's investments. While they can impact the funding status of the pension plan, they do not directly factor into the calculation of defined benefit liabilities. Instead, investment results help to determine the plan's assets, which are used to offset the plan's liabilities.

In summary, employee turnover, the number of participating employees, and employee lifespan are all factors in calculating defined benefit liabilities, while investment results are not.

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assuming constant returns to scale and same cost functions for all firms in this industry, this firm's economic profit is equals to $_____ at the current demand curve in short run.

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To calculate a specific economic profit for the firm, more information on revenue and costs is required.Cost functions represent the relationship between a firm's output and the cost of production, taking into account both fixed and variable costs. If all firms in the industry have the same cost functions and constant returns to scale, they will experience similar production costs and efficiency levels.  

Hi! In order to provide a specific dollar amount for the firm's economic profit under constant returns to scale and identical cost functions, I would need more information on the firm's revenue and costs, as well as the shape of the demand curve in the short run. However, I can help you understand the concepts involved in your question.Constant returns to scale mean that when a firm increases its input, its output increases proportionally. In other words, if all inputs double, output also doubles.Economic profit is the difference between a firm's total revenue and its total economic costs (explicit and implicit costs). It indicates the efficiency of a firm in using its resources.Cost functions represent the relationship between a firm's output and the cost of production, taking into account both fixed and variable costs.

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Ashna Singh is the vice president of HR for Arcadia Bakeries, a large bread manufacturer. Recently, Adelaide Kramer, one of the best bakers in the company, approached her with a problem.
"Ashna, I’ve got several people on my team who are having a hard time balancing their work and family lives. Either they have children at home or they care for elderly parents, and it’s just too hard for them to work a regular schedule. Is there anything we can do?"
Ashna thought about it for a minute and responded, "I think so. I’ve been hearing about some innovative flexible work schedules recently. Let me put some ideas together, and we can talk about it at the next company meeting."
At the next company meeting, Ashna announced, "Starting next month, we’re going to implement a new flexible work schedule. All employees will be able to request part-time assignments. We will pair people who want to work part-time so that each work shift is covered."
PART 1:
Ashna is proposing a _____ plan.
A. flextime
B. telecommuting
C. job-sharing
D. variable work schedule

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in the given cases and circumstances Ashna is proposing a D. variable work schedule plan

A variable work schedule is a type of work schedule that allows employees to have flexibility in the hours they work, which may vary from day to day or week to week. Variable work schedules are often used in industries such as healthcare, retail, hospitality, and other service industries where customer demand varies and shifts need to be adjusted accordingly. In a variable work schedule, employees may have different start and end times for their shifts, work different numbers of hours each day or week, and have days off that may not be consistent from week to week.

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in the given cases and circumstances Ashna is proposing a D. variable work schedule plan

A variable work schedule is a type of work schedule that allows employees to have flexibility in the hours they work, which may vary from day to day or week to week. Variable work schedules are often used in industries such as healthcare, retail, hospitality, and other service industries where customer demand varies and shifts need to be adjusted accordingly. In a variable work schedule, employees may have different start and end times for their shifts, work different numbers of hours each day or week, and have days off that may not be consistent from week to week.

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Recording the Sale of PPE Assets As part of a renovation of its showroom, O'Keefe Auto Dealership sold furniture and fixtures that were eight years old for $3,500 in cash. The assets had been purchased for $40,000 and had been depreciated using the straight-line method with no residual value and a useful life of ten years.Show how the sale of the furniture and fixtures affects the balance sheet and income statement. Note: Use negative signs with answers, when appropriate.

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To record the sale of PPE assets for O'Keefe Auto Dealership, we need to consider the initial cost, depreciation, and sale price. The furniture and fixtures were purchased for $40,000 and depreciated using the straight-line method with a 10-year useful life and no residual value.

Calculate annual depreciation. Annual Depreciation = (Initial Cost - Residual Value) / Useful Life ,Annual Depreciation = ($40,000 - $0) / 10 = $4,000

Calculate accumulated depreciation after eight years. Accumulated Depreciation = Annual Depreciation * 8 ,Accumulated Depreciation = $4,000 * 8 = $32,000

Calculate book value of the assets at the time of sale.Book Value = Initial Cost - Accumulated Depreciation.Book Value = $40,000 - $32,000 = $8,000

Determine the gain or loss on the sale. Gain/Loss = Sale Price - Book Value.Gain/Loss = $3,500 - $8,000 = -$4,500 (Loss)

On the balance sheet, the PPE account decreases by $8,000, and the accumulated depreciation account decreases by $32,000. The cash account increases by $3,500.On the income statement, a loss of $4,500 is recorded, reducing net income.

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Suppose you have a long list of text values in column A. You want to calculate how many times the word "overstock" appears in column A. What function should you use?
Select an answer:
=COUNTIF(A:A,A1)
=COUNTIF(overstock,A:A)
=VLOOKUP(B1,"overstock")
=COUNTIF(A:A,"overstock")

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The correct answer is =COUNTIF(A:A,"overstock"). This function will count how many times the word "overstock" appears in column A.

To calculate the number of times the word "overstock" appears in a long list of text values in column A, you can use the COUNTIF function in Excel. The COUNTIF function counts the number of cells within a range that meet a specified criteria. To use the COUNTIF function to count the number of times "overstock" appears in column A, you can follow these steps: Select an empty cell where you want the result to appear. Type the following formula: =COUNTIF(A:A,"*overstock*") Press Enter. This formula will count the number of times the word "overstock" appears in column A. The asterisks (*) before and after "overstock" are wildcards that allow the formula to count any text that contains the word "overstock", regardless of whether there are any other characters before or after it.

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find the optimal stock index futures hedge ratio if the portfolio is worth $2,400,000, the beta is 1.15 and the s&p 500 futures price is 450.70 with a multiplier of 250

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To find the optimal stock index futures hedge ratio, the optimal stock index futures hedge ratio is 2.76. We need to use the formula:

Hedge ratio = (Portfolio value x Portfolio beta) / (Futures price x Futures multiplier)

Given that the portfolio is worth $2,400,000 and the beta is 1.15, and the S&P 500 futures price is 450.70 with a multiplier of 250, we can substitute these values into the formula and calculate the hedge ratio:

Hedge ratio = (2,400,000 x 1.15) / (450.70 x 250)

Hedge ratio = 2.76

Therefore, the optimal stock index futures hedge ratio is 2.76. This means that for every $1 of the portfolio's value, we should sell 2.76 dollars worth of S&P 500 futures contracts to hedge against market risk.

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the uberpool approach to ridesharing is an application of lean principles.true of false

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The given statement "the uberpool approach to ridesharing is an application of lean principles" is true because the UberPool approach to ridesharing is an application of lean principles.

Lean principles involve maximizing value for customers while minimizing waste and inefficiencies in the production or service delivery process. In the context of UberPool, the lean approach involves optimizing the use of Uber vehicles by enabling multiple passengers to share a ride and splitting the cost of the trip, thus reducing the number of vehicles on the road and reducing traffic congestion.

This approach can improve the efficiency of the transportation system while reducing costs for customers.

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The given statement "the uberpool approach to ridesharing is an application of lean principles" is true because the UberPool approach to ridesharing is an application of lean principles.

Lean principles involve maximizing value for customers while minimizing waste and inefficiencies in the production or service delivery process. In the context of UberPool, the lean approach involves optimizing the use of Uber vehicles by enabling multiple passengers to share a ride and splitting the cost of the trip, thus reducing the number of vehicles on the road and reducing traffic congestion.

This approach can improve the efficiency of the transportation system while reducing costs for customers.

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Imagine you were buying a used car. If you didn’t want to pay more than $10,000 and you knew your counterpart wouldn’t accept less than $7,000, what would a good target be?
a. $3,000
b. $14,000
c. $7,000
d. $10,000

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When purchasing a used car with a maximum budget of $10,000 and knowing the seller won't accept less than $7,000, a good target would be:c) $7,000.This target price is within your budget and meets the seller's minimum requirement, making it a reasonable and feasible option.

What is sellers minimum requirements

Seller’s Requirements means Seller’s then-current requirements for the Services for all of Seller’s existing businesses as of the date hereof, excluding requirements of (i) Seller’s outsourcing to its Xxxxxxxx-Xxxxx division in the United Kingdom and (ii) any businesses acquired by Seller after the date hereof, provided that Seller does not divert to any such business any requirements that would ordinarily be provided by Buyer under this Agreement. For the avoidance of doubt, Seller’s Requirements shall (i) include any requirements resulting from the Conversion portion (consisting of the types of Services contemplated to be provided by Buyer under this Agreement) of any contract entered into by Seller with a third party that provides for both (A) Conversion and (B) distribution of Periodicals, Newspapers or Research Collections, regardless of whether the Conversion portion of such contract is performed by Buyer, and (ii) exclude any requirements of Seller after the date hereof arising as a result of any contract with any third party identified on Schedule A.

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When purchasing a used car with a maximum budget of $10,000 and knowing the seller won't accept less than $7,000, a good target would be:c) $7,000.This target price is within your budget and meets the seller's minimum requirement, making it a reasonable and feasible option.

What is sellers minimum requirements

Seller’s Requirements means Seller’s then-current requirements for the Services for all of Seller’s existing businesses as of the date hereof, excluding requirements of (i) Seller’s outsourcing to its Xxxxxxxx-Xxxxx division in the United Kingdom and (ii) any businesses acquired by Seller after the date hereof, provided that Seller does not divert to any such business any requirements that would ordinarily be provided by Buyer under this Agreement. For the avoidance of doubt, Seller’s Requirements shall (i) include any requirements resulting from the Conversion portion (consisting of the types of Services contemplated to be provided by Buyer under this Agreement) of any contract entered into by Seller with a third party that provides for both (A) Conversion and (B) distribution of Periodicals, Newspapers or Research Collections, regardless of whether the Conversion portion of such contract is performed by Buyer, and (ii) exclude any requirements of Seller after the date hereof arising as a result of any contract with any third party identified on Schedule A.

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provide a detailed explanation of the algorithm that is used to fit a regression tree.

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The algorithm used to fit a regression tree is known as recursive partitioning.

It is a top-down, greedy approach that recursively divides the data into smaller and smaller subsets, based on the value of a predictor variable, in order to create a tree-like model that predicts the response variable.

Here are the detailed steps of the algorithm:

Start with the entire dataset and select the predictor variable that best splits the data into two subsets, based on some criterion such as the reduction in the sum of squared errors or the Gini impurity.Divide the dataset into two subsets based on the split criterion and create two child nodes in the tree.Repeat step 1 and step 2 for each child node until some stopping criterion is met, such as a minimum number of observations in a node or no further reduction in the split criterion.Assign the response variable value of each terminal node (i.e., a node with no children) to be the mean (or median) value of the response variable in that node.The resulting tree model can then be used to predict the response variable for new observations by traversing down the tree based on the values of the predictor variables.

The key advantage of the regression tree algorithm is that it can capture nonlinear relationships between the predictor and response variables, as well as interactions between multiple predictors. However, it is susceptible to overfitting and can produce trees that are too complex, leading to poor predictive performance on new data. To address this, various techniques such as pruning, cross-validation, and ensembling can be used to improve the performance of the regression tree model.

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Given the following data:Average operating assets $ 252,000Total liabilities $ 32,760Sales $ 126,000 Contribution margin $ 73,080Net operating income $ 30,240 Return on investment (ROI) is: Multiple Choice O 29.0% O 29.0% O 12.0% O 24.0% O 58.0%

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Average operating assets: $252,000
Total liabilities: $32,760
Sales: $126,000
Contribution margin: $73,080
Net operating income: $30,240

ROI is calculated as follows:
ROI = (Net Operating Income / Average Operating Assets) * 100

Step 1: Identify the Net Operating Income, which is given as $30,240.
Step 2: Identify the Average Operating Assets, which is given as $252,000.
Step 3: Divide the Net Operating Income by the Average Operating Assets: $30,240 / $252,000 = 0.12
Step 4: Multiply the result by 100 to get the percentage: 0.12 * 100 = 12.0%

So, the Return on Investment (ROI) is 12.0%.

What is meant by the liability?

A liability is an obligation of a company that results in the company’s future sacrifices of economic benefits to other entities or businesses. A liability, like debt, can be an alternative to equity as a source of a company’s financing. Moreover, some liabilities, such as accounts payable or income taxes payable, are essential parts of day-to-day business operations.

Liabilities can help companies organize successful business operations and accelerate value creation. However, poor management of liabilities may result in significant negative consequences, such as a decline in financial performance or, in a worst-case scenario, bankruptcy.

Contingent liabilities are a special category of liabilities. They are possible liabilities that may or may not arise, depending on the outcome of an uncertain future event. A contingent liability is recognized only if both of the following conditions are met. The outcome is probable The liability amount can be reasonably estimated.

If one of the conditions is not satisfied, a company does not report a contingent liability on the balance sheet. However, it should disclose this item in a footnote on the financial statements.

One of the most common examples of contingent liabilities is legal liabilities. Suppose that a company is involved in litigation. Due to the stronger evidence provided by the opposite party, the company expects to lose the case in court, which will result in legal expenses.

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You have a choice between selecting heads or tails. If your guess is correct, you earn $2,000. But you earn nothing if you are incorrect. Alternatively, you can simply take $750 without the gamble.
(a) If you decide to gamble, what would be your expected value? $_____
(b) Instead of gambling, you decide to take the $750. By doing so you demonstrate (risk-taking/ risk-aversion/ risk-neutral) behavior.

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If you decide to gamble, the expected value can be calculated by finding the probability of each outcome and multiplying it by the corresponding value, then adding these products together. There are two possible outcomes: heads (correct guess) and tails (incorrect guess).

The probability of guessing correctly is 1/2, and the value for a correct guess is $2,000. The probability of guessing incorrectly is also 1/2, and the value for an incorrect guess is $0.

Expected Value = (Probability of Correct Guess * Value of Correct Guess) + (Probability of Incorrect Guess * Value of Incorrect Guess)

Expected Value = (1/2 * $2,000) + (1/2 * $0) = $1,000 + $0 = $1,000

Instead of gambling, you decide to take the $750. By doing so, you demonstrate risk-aversion behavior. This is because you prefer a guaranteed $750 over a gamble with a higher expected value of $1,000, indicating that you prefer to avoid the risk associated with the gamble.

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If you decide to gamble, the expected value can be calculated by finding the probability of each outcome and multiplying it by the corresponding value, then adding these products together. There are two possible outcomes: heads (correct guess) and tails (incorrect guess).

The probability of guessing correctly is 1/2, and the value for a correct guess is $2,000. The probability of guessing incorrectly is also 1/2, and the value for an incorrect guess is $0.

Expected Value = (Probability of Correct Guess * Value of Correct Guess) + (Probability of Incorrect Guess * Value of Incorrect Guess)

Expected Value = (1/2 * $2,000) + (1/2 * $0) = $1,000 + $0 = $1,000

Instead of gambling, you decide to take the $750. By doing so, you demonstrate risk-aversion behavior. This is because you prefer a guaranteed $750 over a gamble with a higher expected value of $1,000, indicating that you prefer to avoid the risk associated with the gamble.

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Is it possible for you to learn the pre-master secret from a Wireshark trace? If yes, provide the steps to getting the pre-master secret. If not, explain your answer.

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It is possible to capture the master secret from a Wireshark trace if you have access to the client and server machines.

No, it is not possible to learn the pre-master secret from a Wireshark trace. The pre-master secret is an encryption key that is generated during the SSL/TLS handshake process, which is used to create the master secret. The master secret is then used to generate the session keys that are used for encryption and decryption.

During the SSL/TLS handshake process, the pre-master secret is exchanged between the client and the server in an encrypted format, so it cannot be intercepted or decoded by a third party. Even if you have access to the Wireshark trace of the SSL/TLS handshake, you will not be able to extract the pre-master secret.

However, it is possible to capture the master secret from a Wireshark trace if you have access to the client and server machines. You can do this by configuring Wireshark to decrypt the SSL/TLS traffic using the private key of the server. Once you have the master secret, you can use it to decrypt the entire session and view the decrypted traffic.

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if the exchange rate between us dollars and japanese yen goes from 109 yen to a dollar to 107, then the japanese yen ____ versus the dollar and japanese exports probably _____ .

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If the exchange rate between US dollars and the Japanese yen goes from 109 yen to a dollar to 107 yen to a dollar, then the Japanese yen appreciates (strengthens) versus the dollar, and Japanese exports probably decrease.

1. The initial exchange rate is 1 US dollar = 109 Japanese yen.

2. The new exchange rate is 1 US dollar = 107 Japanese yen.

3. Since fewer yen are needed to exchange for 1 US dollar, the yen has appreciated (gained value) compared to the dollar.

4. When a currency appreciates, its exports tend to become more expensive for foreign buyers, which can lead to a decrease in demand for those exports.

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If the exchange rate between US dollars and the Japanese yen goes from 109 yen to a dollar to 107 yen to a dollar, then the Japanese yen appreciates (strengthens) versus the dollar, and Japanese exports probably decrease.

1. The initial exchange rate is 1 US dollar = 109 Japanese yen.

2. The new exchange rate is 1 US dollar = 107 Japanese yen.

3. Since fewer yen are needed to exchange for 1 US dollar, the yen has appreciated (gained value) compared to the dollar.

4. When a currency appreciates, its exports tend to become more expensive for foreign buyers, which can lead to a decrease in demand for those exports.

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