CHAPTER 27 Nerds Galore ROB QUAIL, BASc Director, Enterprise Risk Management, Hydro One Networks Inc. What were some of the risk sources that emerged repeatedly in evaluating the risks? How is this helpful?

Answers

Answer 1

In evaluating the risks, some of the risk sources that emerged repeatedly were cyber risks, information security risks, vendor risks, and third-party risks. This is helpful in ensuring that proper measures are put in place to mitigate these risks.

What is Risk Management?

Risk management is a term that refers to the systematic process of identifying, assessing, and mitigating the risks that arise from various sources within an organization or enterprise. It is a process that involves identifying the risks that an organization faces, assessing their potential impact, and developing strategies to mitigate them.

Risk management is important because it allows organizations to identify potential threats and vulnerabilities, and develop strategies to reduce or mitigate them. This helps organizations to minimize the impact of risks on their operations, finances, reputation, and stakeholders.

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Related Questions

Draw the major product formed in the reaction. Use wedge‑and‑dash bonds to show the stereochemistry of the chirality center in the product. Please!

Answers

The major product of the reaction is 3-hydroxy-3-methyl pentane nitrile, which results from an epoxide ring opening. (Refer the image)

The reaction in which ring opening is caused by a nucleophilic assault is illustrated by epoxide opening. During the epoxide opening, the presence of acidic or basic circumstances determines the reaction's course. The attack of a hydroxide nucleophile during a SN₂ reaction opens the epoxide under aqueous basic conditions.

The 3-hydroxy-3-methyl pentane nitrile is the product that is created when water protonates the alkoxide created by the epoxide oxygen. Depending on the type of epoxide and the conditions of the reaction, ring-opening reactions can happen via SN₂ or SN₁ processes. If the epoxide is asymmetric, the product's structure will change depending on which process takes precedence.

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Complete question is:

Draw the major product formed in the reaction. Use wedge‑and‑dash bonds to show the stereochemistry of the chirality center in the product. Refer the image which shows half reaction for the complete reference.

the price of a samsung washing machine includes an express warranty that covers defective parts (and the labor to replace them) for 1 year. in what component of the marketing mix does an express warranty occupy?

Answers

An express warranty occupies the "Promotion" component of the marketing mix.

An express warranty is a form of promotion that is used to create a positive image of a product or service by guaranteeing a certain degree of quality. It is also used to attract new customers and encourage loyalty in existing customers.

Express warranties are typically included in the product's price and provide consumers with specific rights and assurances related to product performance.

In the case of a Samsung washing machine, the express warranty covers defective parts and the labor to replace them for one year, providing a level of assurance for customers who purchase the product.

The express warranty provides customers with the peace of mind that if something goes wrong, they have some level of protection. As such, it is a key component of the product's promotion and marketing mix.

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For the past several years, Bill Reynolds has retained accountant Chelsea Jones for help in preparing his personal income tax forms. Bill's boss recommended Chelsea because she had done a good job setting up the company's new accounting system. Bill is very satisfied with Chelsea's work and feels that the fees she charges are quite reasonable. Chelsea would be classified as a(n):

Answers

Chelsea Jones would be classified as a service provider, specifically an accountant or tax preparer.

As per the given information, Bill Reynolds has retained Chelsea for help in preparing his personal income tax forms, which indicates that Chelsea provides accounting and tax preparation services to her clients.

It is also mentioned that Bill's boss recommended Chelsea based on her successful work in setting up the company's new accounting system. This indicates that Chelsea has a background in accounting and financial management, and has the knowledge and expertise required to provide accounting and tax services to individuals and businesses.

Overall, Chelsea's role is to provide professional accounting and tax services to her clients, and help them manage their financial affairs in compliance with applicable laws and regulations.

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Do you think leadership skills would be more or less important at
Zappos under holoc- racy? How so?

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Leadership skills would still be important at Zappos under holacracy, but the nature of leadership would be different.

In holacracy, the emphasis is on self-management, distributed decision-making, and continuous improvement. Therefore, the role of a traditional leader as a decision-maker and controller is replaced with a facilitator who helps the team to identify and address organizational tensions.

This requires a different set of skills, including active listening, conflict resolution, and empowering others to make decisions. In holacracy, everyone is a leader in their own domain, which means that leadership is more distributed and collaborative.

Therefore, leadership skills are still essential but they are applied in a different way that is more aligned with the principles of self-management and autonomy.

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a key benefit of resource typing to describe specific resources is that it allows resource managers to do what?

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A key benefit of resource typing to describe specific resources is that it allows resource managers to allocate the required resources efficiently and cost-effectively.

By organizing resources by type and standardizing how they are identified and classified, it's easier to understand what resources are available and what they can be used for.

Resource typing is the process of categorizing and describing equipment and personnel resources to ensure they can be quickly and effectively allocated to an incident. It allows for a systematic approach to the use of resources and provides a means of ensuring the right type and amount of resources are deployed to an incident.

By establishing a standard language for describing and categorizing resources, resource managers are better equipped to assess the available resources and allocate them to the incident based on the priorities.

A key benefit of resource typing is that it allows resource managers to allocate the required resources efficiently and cost-effectively. This, in turn, helps to save money and make the most effective use of the resources available.

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true/false. A business plan is a detailed written statement that describes the nature of the business, the target market, the advantages the business will have in relation to competition and the resources and qualifications of the owner(s)

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Answer:

True

Explanation:

You should look these up in quizlet, they usually have most answers or similar questions

A business plan is indeed a detailed written statement that describes the nature of the business, the target market, the advantages the business will have in relation to competition, and the resources and qualifications of the owner(s).  

This statement is true because it  is an essential document for any business, as it outlines the goals and objectives of the business and provides a roadmap for how to achieve those goals.

A business plan also helps to secure funding and attract investors, as it demonstrates the viability and potential profitability of the business.

Therefore, it is crucial for any business owner to create a comprehensive and well-written business plan.

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FILL IN THE BLANK. Leon is the creative director for an agency that has just been hired by a manufacturer of golfing equipment to create a new advertising campaign for the company's titanium clubs. Before developing any creative ideas, Leon reads some golfing magazines and spends time talking to friends and co-workers who play golf. These activities are part of the _____ step of the creative process outlined by Graham Wallas.

Answers

Answer: Preparation

Explanation:

I'm smart

Leon is the creative director for an agency that has just been hired by a manufacturer of golfing equipment to create a new advertising campaign for the company's titanium clubs. Before developing any creative ideas, Leon reads some golfing magazines and spends time talking to friends and co-workers who play golf. These activities are part of the preparation step of the creative process outlined by Graham Wallas.

According to Wallas, the creative process consists of four steps: preparation, incubation, illumination, and verification. The activities that Leon is doing before developing any creative ideas for the advertising campaign are part of the preparation step of the creative process outlined by Graham Wallas.

In the preparation step, the individual gathers information and resources related to the problem or task at hand. This can include reading materials, talking to others, and doing research. The goal of this step is to build a foundation of knowledge and understanding that can be used to generate creative ideas according to Graham Wallas.

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company a makes an upfront investment of $3m to launch development of a new product line. after 2 years of development, the company must invest $2m to setup a production line for the new product. sales will last for 10 years. first year sales are expected to be $1m. they will grow at 25% per year for the next 4 years and then decline at 25% per year for the final 5 years. using an interest rate of 10%, what this the npv for this project?

Answers

When company a makes an upfront investment of $3m to launch the development of a new product line then -$6.082 million is the net present value (NPV) of the project.

The upfront investment refers to the costs a company has to bear before starting the business or new product development.

The given problem can be solved using the following steps.

Step 1: Calculate annual sales for 10 years

Sales in the first year = $1 million

Sales will grow at 25% for the next four years, which is calculated as:

Year 2: $1 million x 1.25 = $1.25 million

Year 3: $1.25 million x 1.25 = $1.5625 million

Year 4: $1.5625 million x 1.25 = $1.953125 million

Year 5: $1.953125 million x 1.25 = $2.44140625 million

Sales will decline by 25% for the final five years, which is calculated as:

Year 6: $2.44140625 million x 0.75 = $1.83105469 million

Year 7: $1.83105469 million x 0.75 = $1.37329052 million

Year 8: $1.37329052 million x 0.75 = $1.02996789 million

Year 9: $1.02996789 million x 0.75 = $0.772475918 million

Year 10: $0.772475918 million x 0.75 = $0.579356939 million

Step 2: Calculate the cash flows, the cash flow for each year is the difference between the sales revenue and the investment made, which is calculated as:

Year 0: -$3 million

Year 1: $1 million - $2 million = -$1 million

Year 2: $1.25 million - $2 million = -$0.75 million

Year 3: $1.5625 million - $2 million = -$0.4375 million

Year 4: $1.953125 million - $2 million = -$0.046875 million

Year 5: $2.44140625 million - $2 million = $0.44140625 million

Year 6: $1.83105469 million - $2 million = -$0.16894531 million

Year 7: $1.37329052 million - $2 million = -$0.62670948 million

Year 8: $1.02996789 million - $2 million = -$0.97003211 million

Year 9: $0.772475918 million - $2 million = -$1.22752408 million

Year 10: $0.579356939 million - $2 million = -$1.42064306 million

Step 3: Calculate the present value of each cash flow can be calculated using the formula PV = CF / (1+r)t

Where PV is the present value,

CF is the cash flow, r is the interest rate and t is the time period in years.

Year 0: PV = -$3 million / (1+0.1)0 = -$3 million

Year 1: PV = -$1 million / (1+0.1)1 = -$0.909 million

Year 2: PV = -$0.75 million / (1+0.1)2 = -$0.620 million

Year 3: PV = -$0.4375 million / (1+0.1)3 = -$0.310 million

Year 4: PV = -$0.046875 million / (1+0.1)4 = -$0.029 million

Year 5: PV = $0.44140625 million / (1+0.1)5 = $0.248 million

Year 6: PV = -$0.16894531 million / (1+0.1)6 = -$0.085 million

Year 7: PV = -$0.62670948 million / (1+0.1)7 = -$0.309 million

Year 8: PV = -$0.97003211 million / (1+0.1)8 = -$0.437 million

Year 9: PV = -$1.22752408 million / (1+0.1)9 = -$0.504 million

Year 10: PV = -$1.42064306 million / (1+0.1)10 = -$0.509 million

Step 4: Add the present values of all cash flows to get the net present value (NPV)NPV = Sum of PV = -$6.082 million. Therefore, the net present value (NPV) of the project is -$6.082 million.

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what are four examples of temporary marketable security investments utilized by firms to invest idle cash? multiple select question. land u.s. treasury bills eurodollar deposits commercial paper mutual funds certificates of deposit inventory

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Four examples of temporary marketable security investments utilized by firms to invest idle cash are as follows: U.S. Treasury bills; Certificates of deposit; Eurodollar deposits; Commercial paper.

All the four examples of temporary marketable security investments utilized by firms to invest idle cash are discussed below:

The U.S. Treasury bills are regarded as the most secure temporary marketable securities. They are issued in maturities that range from 4 to 52 weeks, and they are sold at a discount from their par value. Certificates of Deposit (CDs) is an instrument of deposit that is commonly issued by banks and is used to invest idle cash. CDs are used to lock in a set interest rate for a specified period.The Eurodollar is the most common type of deposit. It is a time deposit that is held in a bank that is outside of the United States. Eurodollars provide a higher yield on deposits, but they also provide more risks. Commercial paper is an unsecured short-term debt instrument that is issued by a corporation to fund short-term obligations, such as payroll expenses or inventories. Commercial paper has maturities that range from one to nine months.

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We need to acquire 5000 additional monthly active customers (Textile Manufacturers) and 2000 additional monthly active suppliers (Cotton Yarn Manufacturers, Agents, Traders, and Brokers) in the upcoming quarter. Our Marketing team has to build a channel-wise targeting strategy to push our value proposition that we are the go-to platform to get the best rates for our buyers and at the same time we enable our suppliers to gain access to a far greater market size via our platform than they could have earlier. In light of our value proposition, the strategy should address the following questions: 1. What should be the theme of our campaign? 2. What channels would we use to target the respective audiences? 3. What would be the estimated budget required for the quarter? (Please define all line items) 4. What would be the Cost per Impression (Buyer and Supplier), Cost per Acquisition (Buyer and Supplier), Cost per Active User (Buyer and Supplier – 30 days, 60 days, and 90 days) *Please provide a funnel view of the above Submission Guidelines:
It is required to submit a strategy plan presentation that covers the above-mentioned questions along with a week-wise campaign calendar for the quarter.

Answers

The theme of your campaign should be focused on your value proposition: the go-to platform to get the best rates for buyers, and enabling suppliers to gain access to a far greater market size.

To reach your target audience, you should use a combination of online and offline channels, such as search engine marketing, email, SMS, print and radio campaigns.

The estimated budget should include line items such as media buying, content creation, platform/tool costs, salaries, marketing technology, and other costs.

The cost per impression (buyers and suppliers), cost per acquisition (buyers and suppliers), and cost per active user (buyers and suppliers for 30, 60, and 90 days) should be calculated for each channel.

Finally, a strategy plan presentation should be created that covers the above-mentioned questions and a week-wise campaign calendar for the quarter.

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ALM811S
LOGISTICS AND MANAGEMENT
QUESTION 5 (25 marks) Justify with examples the view that the
nexus between Transport infrastructure and Logistics Management to
be linear and positive. (25 Marks)

Answers

The nexus between transport infrastructure and logistics management is indeed linear and positive. Transport infrastructure provides the backbone for the movement of goods and people, and logistics management ensures that those movements are efficient, effective, and timely.

Here are a few examples to illustrate this point:

Efficient transportation infrastructure leads to cost-effective logistics management, When transport infrastructure is well-maintained and efficient, it leads to cost-effective logistics management.Advanced logistics management enhances the utilization of transport infrastructure Effective logistics management enhances the utilization of transport infrastructure.Investment in transport infrastructure leads to economic growth through logistics management Investment in transport infrastructure can lead to economic growth through logistics management.

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what if, instead, on january 1, year 4, the partnership sells the building for $1,100 and liquidates. what are the appropriate tax allocations and distributions to g and l?

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On January 1, Year 4, if the partnership sells the building for $1,100 and liquidates, the appropriate tax allocations and distributions to G and L would be determined by the gain or loss that results from the sale.

In a partnership, if a property is sold, the gain or loss is allocated to the partners based on the ownership ratio of the partnership. For example, if G and L owned the partnership in a 1:1 ratio, the gain or loss would be split evenly between them. In this scenario, let us assume that the building was sold for $1,100, resulting in a profit of $100. In this case, the tax allocation and distribution to G and L would be:

Tax Allocation: The $100 gain would be allocated between G and L in their ownership ratio. Let us assume G and L own the partnership in a 1:1 ratio. Therefore, $50 would be allocated to each partner.

Distribution: The $50 gain would be distributed to each partner in their ownership ratio. Therefore, $50 would be distributed to G, and $50 would be distributed to L. The partnership would then be dissolved because there is no property to maintain. The partners must pay their individual taxes on the $50 profit they earned.

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Poor project managers end up spending much of their time
negotiating with other departments and individuals to ensure their
projects have adequate resources. True or false?

Answers

The given statement "Poor project managers end up spending much of their time negotiating with other departments and individuals to ensure their projects have adequate resources. " is false because poor project managers may indeed have difficulty securing adequate resources for their projects, but it is not necessarily the case that they spend most of their time negotiating with other departments and individuals.

Effective project managers prioritize communication and collaboration with stakeholders to ensure that their projects have the necessary resources, support, and buy-in from all involved parties. They work to build relationships and establish trust with team members, executives, and external partners, and they proactively identify and address potential obstacles and challenges that could impact project success.

On the other hand, poor project managers may struggle with communication, delegation, and leadership skills, which can make it difficult for them to secure buy-in and support from stakeholders. They may also lack the ability to anticipate and address potential obstacles, which can result in project delays, cost overruns, and quality issues.

Overall, the success of a project manager depends on their ability to effectively lead and manage their team, communicate with stakeholders, and ensure that the project has the necessary resources and support to achieve its objectives.

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A 3 year project requires a capital outlay of £4,200k and generates £2,100k annual cash inflows:
Tax is payable at 20%, 1 year in arrears
The company has a cost of capital of 5%
calculate the Net Present Value. (Ignore capital allowances)
You MUST show ALL of your workings.
HInt: Build a table

Answers

The net present value of the given project is £374.93.

To calculate the net present value (NPV) of the given 3-year project that requires a capital outlay of £4,200k and generates £2,100k annual cash inflows and has tax payable at 20%, 1 year in arrears, and the company has a cost of capital of 5%, you need to follow the steps below:

Step 1: Calculate the net cash inflows

Year 1 cash inflow = £2,100k, Year 2 cash inflow = £2,100k, Year 3 cash inflow = £2,100k

Total cash inflow (C) = £6,300k

Step 2: Calculate the tax payable at 20%

Tax payable on year 1 cash inflow = £2,100k x 20% = £420k

Tax payable on year 2 cash inflow = £2,100k x 20% = £420k

Tax payable on year 3 cash inflow = £2,100k x 20% = £420k

Total tax payable (T) = £420k x 3 = £1,260k

Step 3: Calculate the net cash inflows after tax

Year 1 cash inflow after tax = £2,100k - £420k = £1,680k

Year 2 cash inflow after tax = £2,100k - £420k = £1,680k

Year 3 cash inflow after tax = £2,100k - £420k = £1,680k

Total cash inflow after tax (C') = £5,040k

Step 4: Calculate the present value of each cash flow using the formula:

PV = FV / (1 + r)^n

Where FV is the future value of cash flow, r is the rate of interest, and n is the number of years.

Cash inflow after tax £ in thousandYears Cash inflows after tax, C' Present value factor at 5% Present value of cash inflow PV1 1,680 0.9524 1,598.952 1,680 0.907 1,524.403 1,680 0.8638 1,450.58Total 4,574.93

Step 5: Calculate the NPV using the formula:

NPV = PV - C0 Where C0 is the initial cash outflow

NPV = 4,574.93 - 4,200 = 374.93

Thus, the net present value of the given project is £374.93.

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a) An activity has a duration estimate that is best case = 3
days, most likely = 4 days, and worst case=6 days. What
is the standard deviation for the activity in
days ?

Answers

The formula for calculating the standard deviation (SD) of a PERT (Program Evaluation and Review Technique) activity is:SD = (Worst case – Best case) / 6 where the best case, most likely case, and worst case are represented as optimistic time (TO), most likely time (TM), and pessimistic time (TP), respectively.

What are the  days ?

"Days" is a unit of time measurement. It refers to a period of 24 hours, typically used to measure the duration of activities or events. It is often used in conjunction with other units of time measurement, such as weeks, months, and years, to describe longer time periods.

What are the periods ?

In general, "periods" can refer to any defined or measurable interval of time. The specific meaning of the term depends on the context in which it is used. For example:

In accounting, a "period" usually refers to a specific time frame used for financial reporting purposes, such as a month, a quarter, or a year.

In finance, a "period" can refer to the duration of time over which an investment's return is measured or a loan's interest is calculated.

In mathematics and statistics, a "period" often refers to a repeating cycle or pattern that occurs over a specific interval of time or space.

In history or other fields that involve a timeline, a "period" usually refers to a specific era or time period, such as the Renaissance or the Industrial Revolution.

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You are thinking about investing in a mine that will produce $10,000 worth of ore in the first year. As the ore closest to the surface is removed it will become more difficult to extract the ore. Therefore, the value of the ore that you mine will decline at a rate of 8% per year forever. If the appropriate interest rate is 6%, then the value of this mining operation is closest to:


A) $71,429


B)$500,000


C) $166,667


D) This problem cannot be solved

Answers

This problem cannot be solved, as the mining operation has a negative present value and is not a viable investment option.

The value of the mining operation can be calculated using the perpetuity formula, which is:

PV = CF / (r - g)

where PV is the present value of the mining operation, CF is the cash flow in the first year ($10,000), r is the discount rate (6%), and g is the annual decline rate of the value of the ore (8%).

Plugging in the values, we get:

PV = $10,000 / (0.06 - 0.08) = -$500,000

This result is negative, indicating that the mining operation has a trade negative present value and is not a good investment at the given discount rate and decline rate. Therefore, the answer is (D) This problem cannot be solved, as the mining operation has a negative present value and is not a viable investment option.

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group of answer choices (a) the prices are reasonable. (b) the store is too far out of town. (c) he would like the woman to repeat what she said. (d) he agrees with the woman.

Answers

The statement "the prices are reasonable" is the group of answer choices that is a relevant and appropriate answer to this question. The most appropriate option among the group of answer choices provided in the question is "the prices are reasonable" as it is relevant and appropriate to the given question.

The reason being that it is not clear what the woman said, whether she is in agreement or disagreement with what the man said, or how far the store is from town, and hence, these options are not the most appropriate for this question.

The option "he agrees with the woman" is not an appropriate answer to the question because it is unclear what the woman said, so it is impossible to determine if he agrees with her or not.

The option "he would like the woman to repeat what she said" is not an appropriate answer to the question because it is unclear what the woman said, so it is impossible to determine if he wants her to repeat it or not.

The option "the store is too far out of town" is not an appropriate answer to the question because it does not address the price of the product or service offered by the store. Hence, the most appropriate answer to the question is "the prices are reasonable".

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According to your textbook, how many years may it take to develop an employee into a senior executive?
Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer.
a
1 to 3 years
b
5 to 10 years
c
15 years
d
25 years

Answers

According to the textbook, it may take 15 years to develop an employee into a senior executive. The answer is option c.

What is an employee?

An employee is an individual who has been hired to work for a business or organization for a salary, wages, or other types of compensation. Employees are typically classified into two types: regular employees and contract workers. The employer-employee relationship is defined by the terms of the employment agreement, which outlines the responsibilities and obligations of both parties.

There are a variety of career advancement possibilities available to employees, but becoming a senior executive may take years of hard work and dedication. In general, senior executives are responsible for overseeing the operations of an organization and making strategic decisions to ensure its continued growth and success. According to the textbook, it may take 15 years to develop an employee into a senior executive.

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customer demands have no impact on a company international business strategy. group of answer choices true false

Answers

The statement customer demands have an impact on a company's international business strategy is false.

This is because customer needs and demands vary depending on the location and region of the market. As a result, companies need to adjust their strategies to meet the changing needs of their target audience. As a result, it can be concluded that customer demands have an impact on a company's international business strategy.Companies that ignore the demands of their customers will lose market share, and their reputation will be harmed. Companies must, therefore, recognize the importance of customer satisfaction and demands. This necessitates the development of new products and services that meet the needs of consumers. Furthermore, customer feedback can be used to enhance the company's reputation and provide insights into future trends. In a nutshell, customer demands are critical to a company's success in the international market.

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List three market practices that the govemment

regulates or bans to protect competition

Answers

Three market practices that the government regulates or bans to protect competition are Price fixing, Monopolies and Predatory Pricing.

Price fixing: As price fixing techniques are anticompetitive and detrimental to consumers, the government regulates them. Price fixing may result in increased costs, decreased output, and inefficient markets. The government may levy penalties or even bring legal action against the businesses and people involved in this conduct.

Monopolies: To stop them from exploiting their dominant market position, the government may regulate or even dismantle monopolies. Monopolies can result in increased costs, less innovation, and less consumer choice. Governments may limit mergers and acquisitions or control the actions of powerful companies.

Predatory Pricing: When a business sets prices below what it actually costs to produce a good or service, it is engaging in predatory pricing, which the government may outlaw. In the long term, higher prices may result from this technique since the dominant firm can increase prices after driving out its rivals, which hurts competition. The government may fine or prosecute businesses that engage in this conduct.

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Class discussion and participation are required as part of our learning experience.Post your answers/opinions in the discussion forum.Your first post is due by Wednesday, and 2 other meaningful posts are due between Thursday & Sunday at 11:59 PM Eastern Time. The minimum requirement is 3 posts for the week.TOPICPOINT/COUNTER-POINT: Should MNCs Avoid DFI in Countries without Child Labor Laws?POINT: Yes. An MNC should maintain its hiring standards, regardless of what country it is in. Even if a foreign country allows children to work, an MNC should not lower its standards. Although the MNC forgoes the use of low-cost labor, it maintains its global credibility.COUNTER-POINT: No. An MNC will not only benefit its shareholders but will create employment for some children who need support. The MNC can provide reasonable working conditions and perhaps may even offer educational programs for its employees.WHO IS CORRECT? Use the Internet to locate two or more sources regarding this issue. Which argument do you support? Offer your own professional opinion on this issue and support your statement with APA citations and references to the sources you located.

Answers

Class discussion and participation are required as part of our learning experience, and this question is about whether multinational corporations (MNCs) should avoid direct foreign investment (DFI) in countries without child labor laws.

The point of view is that MNCs should maintain their hiring standards, regardless of the country they are in, and forgo the use of low-cost labor in order to maintain their global credibility.

The counter-point is that an MNC would benefit its shareholders and create employment for some children who need support, and provide reasonable working conditions.

According to the International Labour Organization (ILO), it is illegal to employ children under the age of 15, regardless of the country. It is also prohibited to employ adolescents under the age of 18 in hazardous work. Therefore, it is important that MNCs maintain their standards, and not exploit child labor in foreign countries without child labor laws.

According to the U.S. Department of Labor, “Children are a precious resource, and their well-being should not be sacrificed in the pursuit of corporate profits.”

In conclusion, I support the point of view that MNCs should maintain their hiring standards and avoid DFI in countries without child labor laws.

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the marketplace has become saturated with competing products and the number of new customers is reduced while the industry sales reach a plateau. what stage in the product life cycle is this? introductory growth revitalization decline maturity

Answers

The stage in the product life cycle in which the marketplace has become saturated with competing products and the number of new customers is reduced while the industry sales reach a plateau is the maturity stage. The maturity stage of the product life cycle is characterized by a slowdown in sales growth as the product has been widely accepted by consumers.

The product has matured in the market and its growth has stabilized, with the majority of customers being repeat customers. The market has become saturated with competitors as new entrants join the market, causing the number of new customers to decline. As a result, businesses in the maturity stage of the product life cycle must focus on retaining existing customers and maximizing profits by cutting costs wherever possible.

The maturity stage is also characterized by intense competition between rivals as they struggle to maintain their market share. This can lead to price wars, which can result in declining profits for all businesses involved. Companies in the maturity stage must also focus on differentiation to stand out from their competitors and maintain market share. They can achieve this by adding new features to the product, improving quality, offering superior customer service, or developing new marketing campaigns.

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3. Polymath Associates arranged a $9 million revolving credit agreement with a group of banks. The firm must pay an annual commitment fee of 0.25% on the unused balance of the loan commitment. On the used portion of the revolver, it must pay 0.25% above the prime rate. The prime rate is expected to be 4.0% over the year. The firm faces a compensating balance requirement of 12% and its normal deposit balance is $100,000. a. If the firm borrows $6 million immediately once the revolver is signed, and repays at the end of one year, what is the AFC of the revolver? b. If the firm borrows $9 million immediately once the revolver is signed, and repays at the end of one year, what is the AFC of the revolver?

Answers

a. AFC of the revolver is 2.838%.b. AFC of the revolver is 3.229%.

A revolving credit agreement refers to a contract between a bank and a borrower under which the bank agrees to lend up to a specific limit over a specified period. The borrower can borrow, repay, and re-borrow funds as needed, often with no restrictions on the frequency or quantity of cash withdrawals.

The formula to calculate AFC is: 

Cost of borrowing (COB) / Amount of loan * 100%

a) When the firm borrows $6 million immediately once the revolver is signed, and repays at the end of one year:

The average balance is $4.5 million because ($6 million + $3 million) / 2 = $4.5 million

The unused balance is $3 million because $9 million - $6 million = $3 million

The commitment fee for unused balance is 0.25%*3,000,000 = $7,500

The total interest payment on the used balance is 4%+0.25% = 4.25%

Total interest cost on $6 million = 6,000,000 * 4.25% = $255,000

The compensating balance requirement is 12%, and the normal deposit balance is $100,000.

So, the total required deposit is $900,000 ($6 million*12% - $100,000)

Total cost of borrowing = $255,000 + $7,500 + $900,000 = $1,162,500

AFC of the revolver = Cost of borrowing (COB) / Amount of loan * 100%

= $1,162,500 / $6 million * 100% = 2.838%

b) When the firm borrows $9 million immediately once the revolver is signed, and repays at the end of one year:

The average balance is $9 million because ($9 million + $0) / 2 = $4.5 million

The unused balance is $0 because all of the $9 million is used

The commitment fee for unused balance is $0 because there is no unused balance

The total interest payment on the used balance is 4%+0.25% = 4.25%

Total interest cost on $9 million = 9,000,000 * 4.25% = $382,500

The compensating balance requirement is 12%, and the normal deposit balance is $100,000.

So, the total required deposit is $1,080,000 ($9 million*12% - $100,000)

Total cost of borrowing = $382,500 + $0 + $1,080,000 = $1,462,500

AFC of the revolver = Cost of borrowing (COB) / Amount of loan * 100%

= $1,462,500 / $9 million * 100% = 3.229%

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A will is a way to:
A. give others your advance directives for
extreme medical cases.
B. tell others of your preferences for medical
treatment.
C. give others some of your assets while
you're still alive.
O D. tell others of your wishes for your property
after your death.

ITS D

Answers

ITS A THE ANSWER IS A

Your financial advisor came up with the following savings plan for you: make a total of 8 annual deposits of $40,000 each, with the first deposit being made one year from today. The bank pays a nominal interest rate of 8% annually. How much your account with the bank be if you leave the money in the bank to be withdrawn all in 20 years from today?
Round to the nearest $0.01. DO NOT use the $ sign. DO NOT USE commas to separate thousands. For example if you obtain $1,433.728 then enter 1433.73; if you obtain $432 then enter 432.00

Answers

Your account with the bank will have $1,748,537.34 if you leave the money in the bank to be withdrawn all in 20 years from today.

To solve this problem, we need to use the formula for compound interest:

[tex]FV = PV(1 + r/n)^(n*t)[/tex]

where FV is the future value, PV is the present value (the amount of the first deposit), r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years.

In this case, we have:

PV = $40,000r = 8% = 0.08n = 1 (interest is compounded annually)t = 20

We need to make 8 annual deposits, so the total amount of money we will have in 20 years is:

[tex]FV = 8 * PV + PV(1 + r/n)^(nt) * ((1 + r/n)^(n) - 1) / (r/n) FV = 8 * 40000 + 40000 * (1 + 0.08/1)^(120) * ((1 + 0.08/1)^(1) - 1) / (0.08/1) FV = $1,748,537.34[/tex](rounded to the nearest $0.01)

Therefore, your account with the bank will have $1,748,537.34 if you leave the money in the bank to be withdrawn all in 20 years from today.

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"Crazy Eddie Fraud"
When establishing a set of records for a merchandising company, describe what procedures we would implement to ensure ethical decisions were made?

Answers

It is important to establish a set of records for a merchandising company that supports ethical decision-making.

These records should include written policies and procedures that ensure compliance with laws and regulations, such as anti-corruption policies, conflict of interest guidelines, and customer privacy protections.

Additionally, company executives and managers should be trained on these policies and procedures and be held accountable for upholding them. Finally, internal audits should be conducted to verify that policies and procedures are being followed.  

By following these procedures, a merchandising company can ensure ethical decision-making and a culture of integrity.

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You have just completed a bootcamp organised in conjunction with
the SUSS Impact Startup Challenge in Sustainability. A key
theme, during the bootcamp, was the need to achieve a balance between the profit-oriented nature of a business while ensuring the sustainability of the environment and the earth’s limited non-renewable resources. Spurred by the knowledge gained and motivated by the sharing from various founders and mentors, you are considering starting your own venture upon graduation. Furthermore, coupled with the numerous reports in recent years about the worsening climate change and excessive waste generated by consumerism, you are convinced that a business in its pursuit of financial goals must also play its part, no matter how small, to minimise waste, reduce its carbon footprint and contribute to a sustainable future for all.
During the bootcamp, one of the mentors invited aspiring entrepreneurs to contact him for future funding opportunities. Being keen to seize this opportunity, you decided to apply what you have learnt from the bootcamp to develop a preliminary start-up proposal to pitch to the mentor.
You are to construct a business model canvas and analyse the opportunities for launching a sustainability-focused business or a business with sustainable practices. In your report, you should appraise in detail each section of the business model canvas. The report should also include a detailed financial analysis to demonstrate the financial viability of the venture.
Guidelines and Assumptions
1. The business concept must not be a (i) Franchise, (ii) Wholesaler/Distributor or (iii) F&B-related (where the primary business activity includes dine-in or takeaway such as restaurants, cafes, pastries and confectioneries, bakeries, food kiosks, etc.).
2. The proposed business must operate out of a rented unit that is located at Sunset Way (operating as a home-based business is not permitted). The unfurnished vacant unit of 1,000 square feet is available for rent at $8,000 per month for the entire unit, fixed for a minimum 3-year lease. The landlord has also offered you the option to rent half the unit (500 square feet) at $5,000 per month.
3. In deciding the space required, you need to consider the current requirements of the proposed business, the maximum foreseeable operating capacity and ability to accommodate future expansion of the business. Changes to the space leased during the tenancy term is not permitted.
4. Rental deposit required is equivalent to 2 months’ rental, to be paid together with the first month’s rental upon commencement of the lease. Sub-letting is not allowed by the landlord.
5. The first month of operations is the gestation period of the new business, e.g., staff recruitment, renovation, staff training and etc. The first revenue can only be received by the new business from the second month onwards in the financial forecast.
6. The depreciation for any capital investment is a straight line over three (3) years.
7. You managed to pool together $30,000 as your initial equity capital. The investor is willing to invest between 50% to 75% of the balance of capital
required as his equity stake (you will need to propose the amount). The remaining shortfall in capital will be extended as a loan to the business at the
start, with only interest payable each month (see further for cost of debt) and the full repayment of the principal on the 36th month.
8. The following Cost of Capital (Weighted Average Cost of Capital, WACC) formula must be used (no marks will be awarded if any other WACC formula
is used):
WACC = E/V * Re + D/V * Rd x (1 - Tc). 9. Specific Tax Exemptions, Credits and Reliefs (e.g., Tax Exemption Scheme for New Start-Up Companies), Concessions, Rebates, Loss-Carrying Forward and similar Schemes are to be ignored in computations.
10. Assumptions made must be supported by appropriate references shown in the appendices. All sources must be properly cited in the text, and included in the reference list.
Ques:
(a) Executive Summary
(b) The Business Model
(b) (i) Business Model Canvas
(b) (ii) Analysis of the Business Model Canvas Components based on Research Data
(c) Sustainability Actions and Goals
(d) (i) 3-Year Pro-forma Income Statement (1st to 3rd year on monthly basis)
(d) (ii) 3-Year Pro-forma Cash Flow Statement (1st to 3rd year on monthly basis)
(e) Total Capital Required, Sources and Justification
(f) Expected Financial Returns: Valuation (based on the discounted cash flow method), NPV and IRR (Cost of Equity at 8.0% (Re), Cost of Debt (Rd) at 5% and Corporate Tax Rate (Tc) at 17%)
(g) Percentage Shareholding Offered to Investor

Answers

This report presents a preliminary start-up proposal for a sustainability-focused business or a business with sustainable practices.

The proposed business will operate out of a rented unit located at Sunset Way, with an available space of 1,000 square feet.

The report includes a detailed analysis of each section of the business model canvas, sustainability actions and goals, and 3-year pro-forma financial statements for the income statement and cash flow statement.

The total capital required, sources and justification, expected financial returns, and percentage shareholding offered to the investor are also presented. The proposed business aims to achieve a balance between profit and sustainability, contributing to a sustainable future for all.

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Click this link to view o*net’s skills section for chefs. according to o*net, what are other common skills chefs need? check all that apply installation monitoring management of personnel resources critical thinking time management technology design

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According to O*NET, other common skills chefs need include: Installation, Monitoring, Management of personnel resources, Critical thinking, Time management, Technology design, Operation monitoring, Equipment maintenance, communication.

Meaning: The O*NET programme is the main repository for occupational data in the country. The O*NET database, which contains data on hundreds of standardized and occupation-specific characteristics, is essential to the project. By polling a wide range of employees from each occupation, the database is continuously updated.

The most important soft skill for chefs and head cooks is to possess is time management, Excellent listeners, communicators who use proper language, and relationship builders.

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The following question may be like this:

Click this link to view o*net’s skills section for chefs. According to O*NET, what are common skills needed by Chefs and Head Cooks? check all that apply

Answer: monitoring

management of personnel resources

critical thinking

time management

Explanation: trust me

Holding inventory has an associated cost. we can sometimes reduce those costs by: producing smaller batches of products more frequently using expedited or faster modes eliminating slower moving products, and or creating product by demand pull versus supply push. choose any two of these options and discuss the impacts of adopting them. please offer at leasst three impacts of reducing inventory costs

Answers

Adopting two of the following options can help to reduce inventory costs: producing smaller batches of products more frequently, using expedited or faster modes, eliminating slower moving products, and/or creating product by demand pull versus supply push.

Impacts of reducing inventory costs by producing smaller batches of products more frequently may include:

Reduced risk of spoilage and wastage due to overproduction.More efficient use of resources as resources can be allocated to other activities.Better customer satisfaction due to more frequent delivery of products.

Impacts of reducing inventory costs by using expedited or faster modes may include:

Decreased lead times.Reduced transportation costs due to shorter delivery time.Faster response time to changing customer demands.

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shale miner co. acquired mineral rights for $72,000,000. it is estimated that there are 80,000 tons of the resource; during the current year, 10,750 tons were mined and sold. what is the amount of depletion for the current year?

Answers

The depletion amount of the acquired mineral rights for the current year is $9,675,000.

Depletion rate is a measure of how much of a natural resource has been extracted by a business over time. Mineral resources are essential to businesses in several sectors, including manufacturing, construction, and technology.

Depletion rate is the amount of depletion that occurs over a specified period. The depletion rate is determined by dividing the total cost of the mineral rights by the estimated amount of the resource.

Example:

Depletion rate = Total cost of mineral rights / Estimated resource amount= $72,000,000 / 80,000 tons= $900 per ton

The depletion expense is determined by multiplying the depletion rate by the amount of the mineral extracted. Example:

Depletion expense = Depletion rate x Amount extracted= $900/ton x 10,750 tons= $9,675,000

Therefore, the depletion amount for the current year is $9,675,000.

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