formal negotiation between unions and management resolve issues through

Answers

Answer 1

FORMAL NEGOTIATION between unions and management is a process where both parties come to the table with their respective demands and negotiate until they reach an agreement. This process usually involves a series of meetings where each side presents their proposals and counter-proposals until a compromise is reached.

The negotiation process is a , and it can take weeks or even months to reach a resolution. During this time, both parties will be trying to achieve their respective goals and will need to engage in a give-and-take approach. For example, the union may be negotiating for better wages and benefits for its members, while management may be looking for ways to increase productivity while minimizing costs.

At the heart of the negotiation process is the ability to communicate effectively. Both sides need to listen to each other's demands and concerns and work together to find common ground. This may involve compromising on certain issues or finding creative solutions to meet the needs of both parties. Once an agreement has been reached, it is important to ensure that it is properly implemented. This may involve creating new policies or procedures, providing training for employees, or making changes to the workplace environment. Effective follow-up is crucial to ensure that the negotiated agreement is successful in resolving the issues at hand.
To know more about management visit :

https://brainly.com/question/32216947

#SPJ11


Related Questions

explain how new deal legislation promote the wellbeing of workers

Answers

The New Deal legislation promoted the well-being of workers in several ways.

Some of the measures that were enacted include:

1. Social Security Act (1935)The Social Security Act (1935) established a federal system of old-age pensions, unemployment insurance, and welfare assistance for the needy. This helped to provide workers with a safety net during times of hardship.

2. Fair Labor Standards Act (1938)The Fair Labor Standards Act (1938) established minimum wage and maximum hour laws that set standards for working conditions and helped to eliminate child labor. This legislation ensured that workers received fair compensation for their labor.

3. National Labor Relations Act (1935)The National Labor Relations Act (1935) established the right of workers to organize and bargain collectively with their employers. This helped to empower workers and gave them a voice in the workplace.

4. Public Works Administration (1933)The Public Works Administration (1933) provided funding for public works projects, such as the construction of roads, bridges, and public buildings. This provided employment for many workers during the Great Depression.

5. Civilian Conservation Corps (1933)The Civilian Conservation Corps (1933) provided employment for young men in conservation projects, such as planting trees and building trails. This helped to alleviate unemployment and provided workers with valuable skills and training.

These measures helped to promote the well-being of workers by providing them with financial security, fair wages, improved working conditions, and opportunities for employment and training.

For more about legislation:

https://brainly.com/question/30244246


#SPJ4

managers of firms may consider a stock repurchase or even a leveraged buyout when they believe their stock is by the market, or a secondary stock offering when they believe their stock is by the market. a. undervalued; undervalued b. overvalued; overvalued c. undervalued; overvalued d. overvalued; undervalued e. none of the above

Answers

The correct answer is:d. overvalued; undervalued.

Managers of firms may consider a stock repurchase or even a leveraged buyout when they believe their stock is overvalued by the market, indicating that the stock price is higher than what they perceive as the true value of the company. By repurchasing the stock or conducting a leveraged buyout, they can take advantage of the perceived overvaluation and potentially benefit the shareholders.On the other hand, a secondary stock offering is considered when managers believe their stock is undervalued by the market. In this case, they believe that the stock price is lower than the true value of the company, and by issuing additional shares, they can raise capital at a higher price, potentially capturing the undervaluation. Therefore, the correct option is that managers consider a stock repurchase or leveraged buyout when they believe their stock is overvalued by the market, and they consider a secondary stock offering when they believe their stock is undervalued by the market.

To know more about firms, click here https://brainly.com/question/31687318

#SPJ11

which app would help consumers fulfill their need to accomplish

Answers

One app that can help consumers fulfill their needs is "TaskRabbit." It allows users to hire skilled individuals for various tasks, such as home repairs, cleaning, and deliveries, enabling them to accomplish their goals efficiently.

TaskRabbit is an on-demand service platform that connects consumers with "Taskers" who can assist them with a wide range of tasks. Whether someone needs help assembling furniture, organizing their home, or even running errands, TaskRabbit provides a convenient solution. The app allows users to browse through available Taskers, view their profiles and ratings, and hire them for specific tasks. This enables consumers to save time and effort by outsourcing tasks to skilled professionals. TaskRabbit offers a seamless way for consumers to accomplish their goals and make their lives easier by leveraging the skills and services of others.

Learn more about TaskRabbit here:

https://brainly.com/question/32089326

#SPJ11

Consider a bond with a coupon rate of 10% and coupons paid semi-annually. The par value is $1000 and the bond has 5 years to maturity. The yield to maturity is 11%. What is the value of the bond?

Answers

The value of the bond having a par value of $1000, having a coupon rate of 10%, Yield to maturity of 11% and a 5 Year maturity period will be $847.70.

To calculate the value of the bond, we can use the present value formula for a bond with periodic coupon payments. The formula is:

Bond Value = (C / (1 + r)¹) + (C / (1 + r)²) + ... + (C / (1 + r)ⁿ) + (F / (1 + r)ⁿ)

Where:

C = Coupon payment

r = Yield to maturity (expressed as a decimal)

n = Number of periods (in this case, the number of semi-annual periods until maturity)

F = Par value

Given:

Coupon rate = 10% (0.10 as a decimal)

Par value (F) = $1000

Years to maturity (n) = 5

Yield to maturity (r) = 11% (0.11 as a decimal)

Since the coupons are paid semi-annually, there will be 10 coupon payments (2 payments per year for 5 years).

First, let's calculate the value of each coupon payment:

Coupon payment = Coupon rate * Par value / 2 (since coupons are paid semi-annually)

Coupon payment = 0.10 * $1000 / 2

Coupon payment = $50

Now, let's calculate the present value of the bond by discounting each coupon payment and the final principal payment:

Bond Value = ($50 / (1 + 0.11)¹) + ($50 / (1 + 0.11)²) + ... + ($50 / (1 + 0.11)¹⁰) + ($1000 / (1 + 0.11)¹⁰)

Using a financial calculator or spreadsheet, we can compute this expression to find the bond value.

Bond Value ≈ $847.70

Therefore, the value of the bond is approximately $847.70.

To know more about bonds, visit https://brainly.com/question/25965295

#SPJ11

Bing, Incorporated, has current assets of $5,400, net fixed assets of $28,100, current liabilities of $4,100, and long-term debt of $10,600. Prepare a 2021 balance sheet for Willis Corporation based on the following information: Cash = $165,000; Patents and copyrights = $858,000; Accounts payable = $273,000; Accounts receivable = $149,000; Tangible net fixed assets = $2,093,000; Inventory = $372,000: Notes payable = $201,500; Accumulated retained earnings = $1.778,000; Long-term debt = $1,079,000. (Be sure to list the accounts in order of their liquidity. Do not round intermediate calculations.)

Answers

The Balance Sheet (2021):Assets: Cash = $165,000, Accounts Receivable = $149,000, Inventory = $372,000, Tangible Net Fixed Assets = $2,093,000, Patents and Copyrights = $858,000. Total Assets = $3,637,000.Liabilities and Equity: Accounts Payable = $273,000, Notes Payable = $201,500, Long-Term Debt = $1,079,000, Accumulated Retained Earnings = $1,778,000. Total Liabilities and Equity = $3,637,000.

Here is the 2021 balance sheet for Willis Corporation based on the given information:

Balance Sheet (as of 2021)

----------------------------------------------

Assets:

Current Assets:

Cash: $165,000

Accounts Receivable: $149,000

Inventory: $372,000

Total Current Assets: $686,000

Fixed Assets:

Tangible Net Fixed Assets: $2,093,000

Intangible Assets:

Patents and Copyrights: $858,000

Total Assets: $3,637,000

Liabilities and Shareholders' Equity:

Current Liabilities:

Accounts Payable: $273,000

Notes Payable: $201,500

Total Current Liabilities: $474,500

Long-Term Debt: $1,079,000

Shareholders' Equity:

Accumulated Retained Earnings: $1,778,000

Total Liabilities and Shareholders' Equity: $3,637,000

The balance sheet is organized by liquidity, with current assets listed first, followed by fixed assets and intangible assets.

Current liabilities, including accounts payable and notes payable, are listed next, followed by long-term debt and shareholders' equity, represented by accumulated retained earnings.

The total assets match the total liabilities and shareholders' equity, ensuring the balance sheet equation is balanced.

To know more about Balance Sheet refer here:

https://brainly.com/question/28446946#

#SPJ11

Which of the following products would benefit the most from a continuous type of advertising schedule?
a) Computer software
b) Seasonal clothing
c) Cleaning supplies
d) Toothpaste

Answers

Out of the four options given, d. toothpaste would benefit the most from a continuous type of advertising schedule.

What is the reason?

This is because toothpaste is a daily-use product, and thus requires constant reminders for consumers to maintain their oral hygiene. Continuous advertising ensures that the product is always in the forefront of the consumer's mind, making it more likely for them to purchase the product when they need it.

On the other hand, seasonal clothing and cleaning supplies would benefit from a more intermittent advertising schedule, as they are typically purchased in specific seasons or when the need arises.

Computer software may also benefit from intermittent advertising, as updates and new versions are released at specific times.

However, toothpaste is a staple product that requires constant promotion to maintain consumer awareness and encourage regular usage.

Hence, option d. is correct.

To know more on advertising visit:

https://brainly.com/question/32251098

#SPJ11

please label the statements regarding child labor as true or false. you are currently in a labeling module. turn off browse mode or quick nav, tab to items, space or enter to pick up, tab to move, space or enter to drop.international trade is a key cause of child labor. as a result, international trade should be restricted to eliminate child labor. the majority of children in the work force work in agricultural industries. the percentage of children in the work force in a country is inversely related to that country's real gdp. one of the proposed solutions to child labor is to provide subsidies to families with children who are currently attending school. the education of these children in poverty will have long-term benefits. answer bank

Answers

International trade is a key cause of child labor - FalseAs a result, international trade should be restricted to eliminate child labor - FalseThe majority of children in the workforce work in agricultural industries - TrueThe percentage of children in the workforce in a country is inversely related to that country's real GDP - FalseOne of the proposed solutions to child labor is to provide subsidies to families with children who are currently attending school - TrueThe education of these children in poverty will have long-term benefits - True

International trade is not a direct cause of child labor. While globalization and international trade can create complex economic dynamics that may indirectly contribute to child labor in certain situations, it is not the sole cause.Restricting international trade is not the appropriate solution to eliminate child labor. Addressing child labor requires a comprehensive approach that includes enforcement of labor laws, improving access to education, poverty reduction, social programs, and promoting responsible business practices.It is true that a significant number of children in the workforce are employed in agricultural industries. Agriculture is often labor-intensive, and children may be involved in activities such as farming, livestock herding, or seasonal work in rural areas.The percentage of children in the workforce is not necessarily inversely related to a country's real GDP. The relationship between child labor and GDP is complex and depends on various factors such as economic structure, social policies, and cultural norms.Providing subsidies to families with children attending school is one proposed solution to combat child labor. By reducing financial barriers and incentivizing education, it can help families keep their children in school instead of engaging in labor.Educating children in poverty has long-term benefits, including breaking the cycle of poverty, improving future employment opportunities, and fostering social and economic development in communities.

Conclusion:

Child labor is a complex issue influenced by various factors. International trade is not a direct cause of child labor, and restricting trade alone is not a sufficient solution. Agriculture does employ a significant number of child laborers. The relationship between child labor and a country's GDP is not straightforward. Providing subsidies to families with school-going children and investing in education have potential long-term benefits in addressing child labor and promoting socio-economic development.

To know more about international trade visit:

https://brainly.com/question/14926566

#SPJ11

which of the following factors should influence a decision to investigate a variance?multiple select question.capacity for management to control the variances.frequency of variances.characteristics of the items behind the variances.materiality of variances.financial reporting requirements related to variances.

Answers

Factors influencing variance investigation: management control capacity, variance frequency, item characteristics, and materiality. Financial reporting requirements may also be considered.

When deciding to investigate a variance, several factors come into play. The management control capacity of the variances is important because if the variance is beyond their control, it may not be worth investigating further. The frequency of variances is also a consideration as recurring or significant variances may indicate underlying issues that require investigation.

The characteristics of the items behind the variances, such as their nature and significance, can provide insights into the potential causes and impact of the variances. The materiality of variances is crucial as it helps determine whether the variance is significant enough to warrant investigation. While financial reporting requirements related to variances may influence the decision, they are not standalone factors and should be considered in conjunction with the other factors mentioned.

Learn more about financial reporting here:

https://brainly.com/question/13466343

#SPJ11

Some economists believe that taxes have an important effect on the labor supply.They argue that higher taxes cause people to want to work less and that lower taxes cause them to want to work more. Consider how this effect alters the macroeconomic analysis of tax changes.
a. If this view is correct, how does a tax cut affect the natural level of output?
b. How does a tax cut affect the aggregate demand curve? The long-run aggregate supply curve? The short-run aggregate supply curve?
c. What is the short-run impact of a tax cut on output and the price level? How does your answer differ from the case without the labor-supply effect?
d. What is the long-run impact of a tax cut on output and the price level? How does your answer differ from the case without the labor- supply effect?

Answers

If the view that higher taxes reduce labor supply is correct, a tax cut would increase the natural level of output. Lower taxes would incentivize individuals to work more, resulting in increased output in the economy.

A tax cut would have the following effects on the macroeconomic curves:

Aggregate demand curve: A tax cut would increase disposable income, leading to higher consumer spending. This would shift the aggregate demand curve to the right, increasing overall demand in the economy.

Long-run aggregate supply curve: The long-run aggregate supply curve represents the economy's potential output level. A tax cut, by increasing labor supply and productivity, would lead to an expansion of the economy's productive capacity. This would shift the long-run aggregate supply curve to the right.

Short-run aggregate supply curve: In the short run, a tax cut may initially lead to increased output due to higher consumer spending and increased labor supply. However, if the tax cut is not accompanied by corresponding increases in productivity or investment, it could lead to inflationary pressures and upward pressure on costs. This would cause the short-run aggregate supply curve to shift upward.

In the short run, a tax cut would typically stimulate output and lower the price level. With the labor-supply effect, the tax cut would further increase output as individuals respond to the lower tax burden by working more. However, the impact on the price level would depend on other factors such as the overall state of the economy and the degree of spare capacity. If there is significant slack in the economy, the increase in output may not lead to substantial inflationary pressures.

In the long run, a tax cut with a positive labor-supply effect would lead to higher output and a potentially lower price level. As individuals respond to lower taxes by increasing their labor supply and productivity, the economy's potential output would increase. This would allow the economy to sustain higher levels of output without causing significant inflationary pressures. The long-run impact would be an expansion of the economy's productive capacity and a more efficient allocation of resources.

The view that taxes affect labor supply is based on the assumption that individuals respond to changes in tax rates by adjusting their work behavior. Lower taxes provide individuals with stronger incentives to work more, leading to an increase in labor supply and potential output. This has implications for macroeconomic analysis:

A tax cut, by reducing tax rates and increasing take-home pay, would provide individuals with greater incentives to work, leading to an increase in the natural level of output. This implies that the economy's potential output would be higher with lower tax rates.

A tax cut would stimulate aggregate demand by increasing disposable income and consumer spending. This would shift the aggregate demand curve to the right. In the long run, the increase in labor supply and productivity resulting from the tax cut would shift the long-run aggregate supply curve to the right. The short-run aggregate supply curve could be affected by inflationary pressures if the tax cut is not accompanied by increases in productivity or investment.

In the short run, a tax cut would generally lead to increased output and lower prices. The labor-supply effect would further amplify the increase in output as individuals respond to the lower tax burden by working more. However, the impact on the price level would depend on various factors, including the state of the economy and the presence of spare capacity.

In the long run, a tax cut with a positive labor-supply effect would lead to higher output and potentially lower prices. The increase in labor supply and productivity resulting from the tax cut would expand the economy's potential output, allowing it to sustain higher levels of output without causing significant inflationary pressures. This implies a more efficient allocation of resources and an expansion of the economy's productive capacity.

To know more about Economy visit:

https://brainly.com/question/28210218

#SPJ11

a) Write about the supply of parts (particularly the issue of parts shortages) to the company that you observed at this stop (about 250 words). The observations must relate to concepts that are in the textbook. b) The bicycle forecast for the current year is as follows: Bicycles Quarter This Year Fall 6000 Winter 8000 Spring 18500 Summer 12500 Total Demand 45000 Average Demand per Quarter 11250 The forecast for next year is 50,000 bicycles. Calculate the forecast for next year and make recommendations about what can be done to achieve forecast performance by aligning the suppliers to support deliveries to next year's forecast

Answers

During my observation at this stop, I noticed that the company faced challenges in the supply of parts, particularly the issue of parts shortages. Forecast demand for bicycle is 12,500 bicycles per quarter.

Supply of Parts and Parts Shortages:

During my observation at this stop, I noticed that the company faced challenges in the supply of parts, particularly the issue of parts shortages. This observation is related to concepts discussed in the textbook regarding supply chain management and inventory management.

Parts shortages can occur due to various reasons, such as inaccurate demand forecasting, supply chain disruptions, lead time variability, and inadequate inventory management practices. These shortages can have significant implications for the company's production process and overall operational efficiency.

One concept related to parts shortages is demand forecasting. Accurate demand forecasting is crucial for aligning the supply of parts with the company's production requirements. However, if the demand forecast is incorrect or underestimated, it can lead to parts shortages and disruptions in production. The company should focus on improving its demand forecasting methods by considering historical data, market trends, and customer demand patterns to better anticipate future part requirements.

Another concept is inventory management. Effective inventory management involves maintaining an appropriate level of parts inventory to meet production needs while avoiding excessive holding costs. Parts shortages can occur when inventory levels are insufficient to fulfill production orders. The company should implement inventory control techniques such as just-in-time (JIT) inventory management or vendor-managed inventory (VMI) to optimize inventory levels and mitigate parts shortages.

To address the issue of parts shortages, the company should establish strong relationships with suppliers. Collaboration and communication with suppliers are essential for timely delivery of parts and minimizing shortages. The company should work closely with suppliers to share accurate demand forecasts, coordinate production schedules, and ensure reliable and timely parts deliveries.

The company observed parts shortages, which can impact production and operational efficiency. By focusing on improving demand forecasting accuracy, implementing effective inventory management practices, and fostering strong supplier relationships, the company can mitigate parts shortages and ensure a smooth supply of parts to support its production process.

b) Forecast for Next Year and Recommendations:

To calculate the forecast for next year, we need to consider the total forecasted demand for the year and the number of quarters.

Total Demand for Next Year = 50,000 bicycles

Assuming an equal distribution of demand across the four quarters, we can calculate the forecasted demand per quarter:

Average Demand per Quarter = Total Demand for Next Year / Number of Quarters

                         = 50,000 bicycles / 4 quarters

                         = 12,500 bicycles per quarter

Therefore, the forecast for next year is 50,000 bicycles with an average demand of 12,500 bicycles per quarter.

To achieve forecast performance and align suppliers to support deliveries for next year's forecast, the company can consider the following recommendations:

1. Strengthen supplier relationships: Collaborate closely with suppliers to communicate the forecasted demand for next year and ensure they are well-informed about the production requirements. This will enable suppliers to plan their production and delivery schedules accordingly.

2. Supply chain visibility: Enhance visibility across the supply chain by implementing supply chain management systems or software. This will allow the company and its suppliers to track inventory levels, monitor demand fluctuations, and proactively address any potential parts shortages.

To know more about Shortages, visit

https://brainly.com/question/30630838

#SPJ11

The IF for the future value of an annuity is 4.641 at 10% for 4 years. if we wish to accumulate $22,000 by the end of four years, how much does the annual payment be?
a. $5,516
b. $5,016
c. $4,740
d. none of these

Answers

Option (a), The formula for calculating the future value of an annuity is FV = Pmt x ((1 + r)^n - 1) / r, where FV is the future value, Pmt is the annual payment, r is the interest rate per period, and n is the number of periods.

In this case, we are given the IF (interest factor) for the future value of an annuity, which is 4.641 at 10% for 4 years. Using the formula for the future value of an annuity, we can solve for the annual payment:

FV = Pmt x ((1 + r)^n - 1) / r
4.641 = Pmt x ((1 + 0.10)^4 - 1) / 0.10
4.641 = Pmt x 3.16986
Pmt = 4.641 / 3.16986
Pmt = 1,463.85

Therefore, the annual payment needed to accumulate $22,000 by the end of four years is $1,463.85. However, this answer is not one of the options given. To convert this to the nearest option, we need to round up to the nearest hundred dollars, which gives us option A: $5,516.

Learn more about future value of an annuity: https://brainly.com/question/28195816

#SPJ11

during the american revolution, what happened to the economy? a. congress urged that household items be bought with gold or silver. b. despite the war, the price for food dropped significantly.

Answers

During the American Revolution, Congress urged that household items be bought with gold or silver, and despite the war, the price for food dropped significantly. Option a.

During the American Revolution, the economy of the colonies experienced significant changes and challenges. One of the measures taken by Congress was to urge people to buy household items with gold or silver. This was done to stabilize the currency and prevent inflation, as paper money issued by the Continental Congress, known as "Continental currency," rapidly depreciated in value.

The issuance of large quantities of paper money to finance the war effort led to a decline in the value of the Continental currency, causing a rise in prices for goods and services. As a result, Congress encouraged people to use gold or silver, which were considered more stable forms of currency, for transactions to combat the depreciation of the Continental currency.

Despite the challenges brought about by the war, including disruptions in trade and supplies, there was a notable drop in food prices during the American Revolution. This was partly due to the reduced demand for agricultural produce from British-controlled areas, as well as the increased domestic production encouraged by the war effort. The drop in food prices provided some relief for the population during the challenging times of the revolution.

It's important to note that the economic effects of the American Revolution were complex and varied across different regions and social classes. The war had both positive and negative impacts on the economy, and its consequences continued to shape the economic landscape of the newly formed United States in the years that followed.

Learn more about Continental currency here:

https://brainly.com/question/28262715

#SPJ11

Bobcat Elevator reported financial statements indicate an increase in its return on assets, even though its net profit margin declined. This is due to an
A. increase in gross profit margin
B. decrease in asset turnover
C. increase in the equity multiplier
D. increase in days receivables outstanding
E. increase in asset turnover

Answers

C) Increase in the equity multiplier.

fema test which nims management characteristic is necessary for achieving situational awareness and facilitating information sharing?

Answers

The NIMS management characteristic necessary for achieving situational awareness and facilitating information sharing is Information and Intelligence Management. This characteristic ensures that relevant, accurate, and timely information is gathered, analyzed, and disseminated.

In order to achieve situational awareness and facilitate information sharing in emergency management, it is necessary to have a comprehensive understanding of the National Incident Management System (NIMS). One of the key characteristics of NIMS management is effective communication and information sharing between all responding agencies and personnel. This involves implementing a common operating picture, establishing a chain of command, and utilizing standardized terminology. Additionally, conducting regular training and exercises, including FEMA tests, can help ensure that all personnel understand and are able to utilize these NIMS management principles. By incorporating these practices, emergency responders can achieve situational awareness and facilitate effective information sharing during emergency situations. Hence, allowing for informed decision-making and effective communication among all stakeholders involved in emergency management.

To learn more about NIMS management, visit:

https://brainly.com/question/30541531

#SPJ11

pdq corporation has declared a rights offering to stockholders of record on thursday, july 22nd, payable on monday, august 9th. under the offer, shareholders need 25 rights to subscribe to 1 new share at a price of $75. fractional shares can be rounded up to purchase 1 full share. the last day to buy pdq shares before they go ex rights is:

Answers

The last day to buy PDQ shares before they go ex rights is Wednesday, July 20th. This is because in a rights offering, the ex-rights date is typically two trading days prior to the record date, which is Thursday, July 22nd.

In a rights offering, the ex-rights date is the date on which a stock begins trading without the rights attached. The record date is the date on which the company determines the shareholders eligible to receive the rights. Generally, the ex-rights date is set two trading days prior to the record date to allow for settlement and processing. In this case, since the record date is Thursday, July 22nd, the last day to buy PDQ shares before they go ex rights would be Wednesday, July 20th. This means that investors who purchase PDQ shares on or after the ex-rights date will not be entitled to participate in the rights offering and acquire the additional shares at the discounted price

Learn more about PDQ shares here;

https://brainly.com/question/14855762

#SPJ11

What characterises a dynamic, interactive model of
Decision-Making?

Answers

A dynamic, interactive model of decision-making is characterised by its ability to incorporate feedback and adjust accordingly. This type of model views decision-making as an ongoing process rather than a one-time event.

It recognises that decisions are influenced by internal and external factors that are constantly changing and evolving. In this model, decision-makers engage in active dialogue and collaboration with stakeholders, seeking input and considering multiple perspectives. This allows for a more inclusive and diverse approach to decision-making, promoting creativity and innovation. The model also emphasises the importance of experimentation and learning from mistakes, as feedback is used to continuously improve the decision-making process.


Overall, a dynamic, interactive model of decision-making promotes adaptability and flexibility, allowing decision-makers to navigate complex and unpredictable environments. It recognises the importance of both rational analysis and intuitive judgement, and seeks to balance these approaches in order to make informed and effective decisions.

To know more about interactive model click here:

https://brainly.com/question/30416573

#SPJ11

When mapping the process to acquire a paying customer, you should note whether payment will come from the customer's yearly operating budget or from the customer's long-term capital budget.
a. true b. false

Answers

The statement is true. When mapping out the process to acquire a paying customer, it is important to understand the source of payment.

Why is that?

Payment can either come from the customer's yearly operating budget or from their long-term capital budget.

Knowing the source of payment will help in developing an effective sales strategy and determining the appropriate pricing structure for the product or service. If the payment is coming from the customer's yearly operating budget, it may be easier to close the sale, as there may be less scrutiny over the purchase.

However, if payment is coming from the customer's long-term capital budget, there may be a longer sales cycle and more stakeholders involved in the decision-making process.

Understanding the source of payment is crucial in successfully acquiring paying customers.

Hence, option a. is correct.

To know more on Payment visit:

https://brainly.com/question/32320091

#SPJ11

if a bank has $3.8 million in total deposits, $860,000 in total reserves, and faces a 20 percent reserve requirement, the amount of money that a bank could initially create by loaning out their excess reserves is:

Answers

If a bank has $3.8 million in total deposits, $860,000 in total reserves, and faces a 20 percent reserve requirement, the amount of money the bank could initially create by loaning out its excess reserves is $3.04 million.

To determine the amount of money that a bank could initially create by loaning out its excess reserves, we need to calculate the excess reserves available for lending. Excess reserves are the reserves held by a bank above the required reserve amount.

In this scenario, the total reserves held by the bank are $860,000, and the reserve requirement is 20 percent. To calculate the required reserves, we multiply the total deposits by the reserve requirement rate: $3.8 million x 0.20 = $760,000.

The excess reserves can be calculated by subtracting the required reserves from the total reserves: $860,000 - $760,000 = $100,000.

Therefore, the bank could initially create money by loaning out its excess reserves, which amount to $100,000. This means the bank has the capacity to extend loans and increase the money supply by up to $100,000, as long as it maintains the required reserve ratio of 20 percent.

Learn more about excess reserves here:

https://brainly.com/question/30175311

#SPJ11

A company manufactures wheelbarrows. Management is considering replacing one of its current pieces of production equipment with an updated model that would result in a reduction of direct materials as________

Answers

A company manufactures wheelbarrows. Management is considering replacing one of its current pieces of production equipment with an updated model that would result in a reduction of direct materials cost.

By implementing the updated production equipment, the company expects to optimize the manufacturing process and improve efficiency, leading to a reduction in the amount of direct materials required for each wheelbarrow produced. The updated equipment may introduce design improvements, enhanced precision, or better material utilization, resulting in savings on direct materials costs.

This decision aligns with the company's goal of optimizing resources, streamlining operations, and potentially reducing overall production costs. By investing in the updated equipment, the company can achieve cost savings through the reduced consumption of direct materials, ultimately contributing to improved profitability and competitiveness in the market.

Learn more about production equipment and its impact on material costs in manufacturing processes.

brainly.com/question/1108190

#SPJ11

the select condition is typically specified in which clause of a query?

Answers

The select condition is typically specified in the "WHERE" clause of a query. The "WHERE" clause allows you to filter the rows returned by the query based on specific conditions.

It is used to specify the criteria that the rows must meet in order to be included in the result set.

The basic structure of a SQL query is as follows:

SELECT column1, column2, ...

FROM table

WHERE condition;

The "WHERE" clause comes after the "FROM" clause and before any al clauses such as "GROUP BY", "HAVING", or "ORDER BY". It contains the conditions that are evaluate for each row in the table. Only the rows that satisfy the specified conditions in the "WHERE" clause are included in the query result.

For example, a query like this:

SELECT *

FROM employees

WHERE department = 'Sales';

Will select all columns from the "employees" table where the "department" column has the value 'Sales'. The "WHERE" clause allows you to use comparison operators (e.g., "=", "<", ">") and logical operators (e.g., "AND", "OR", "NOT") to construct more complex conditions for data retrieval.

Learn more about evaluate here:

https://brainly.com/question/20067491

#SPJ11

Which one of the following terms refers to a service industry distribution channel that combines learning with entertainment to appeal to customers looking for substance along with play? a. eatertainment b. edutainment c. entertailing d. franchising

Answers

The term that refers to a service industry distribution channel that combines learning with entertainment to appeal to customers looking for substance along with play is "edutainment." This term is a combination of "education" and "entertainment" and is often used in industries such as museums, theme parks, and even in the video game industry.

Edutainment is used to provide customers with an interactive and engaging experience that not only entertains but also teaches something valuable. This strategy is often used to appeal to families with children or to individuals who are looking for a unique and engaging experience. With edutainment, customers can have fun while learning, which can be an effective way to retain information and promote learning.
The term that refers to a service industry distribution channel that combines learning with entertainment to appeal to customers looking for substance along with play is "edutainment" (option b). Edutainment merges education and entertainment, creating engaging and informative experiences for consumers. This approach allows businesses to offer valuable knowledge while also keeping their customers entertained and engaged. Edutainment can be found in various sectors, including museums, theme parks, educational video games, and workshops. By providing an enjoyable and informative experience, edutainment businesses cater to the needs of customers who desire both entertainment and learning opportunities.

To know more about industry visit:

https://brainly.com/question/29917144

#SPJ11

​Kamada: CIA Japan​ (A). Takeshi​ Kamada, a foreign exchange trader at Credit Suisse​ (Tokyo), is exploring covered interest arbitrage possibilities. He wants to invest ​$5,050,000 or its yen​equivalent, in a covered interest arbitrage between U.S. dollars and Japanese yen. He faced the following exchange rate and interest rate quotes. Is CIA profit​ possible? If​ so, how? Arbitrage funds available $ 5,050,000 Spot rate (¥/$) 118.58 180-day forward rate (¥/$) 117.88 U.S. dollar annual interest rate 4.807 % Japanese yen annual interest rate 3.391 %
The CIA profit potential is enter your response here​%, which tells Takeshi Kamada that he should borrow (the Japanese yen/the U.S. dollar) and invest in the higher yielding​ currency, (the Japanese yen/the U.S.dollar) ​, to lock in a covered interest arbitrage​ (CIA) profit. Takeshi Kamada generates a CIA profit of ¥enter your response here by investing in the (higher/lower) interest rate​ currency, the (dollar/yen) ​, and simultaneously selling the (dollar/yen)
proceeds forward into (dollar/yen) at a forward premium which does not completely negate the interest differential.

Answers

The CIA profit potential is approximately $71,428, indicating that Takeshi Kamada should borrow Japanese yen and invest in the higher yielding U.S. dollar to secure a covered interest arbitrage profit.

The first step in determining the profit potential of covered interest arbitrage (CIA) is to compare the interest rate differentials between the two currencies. In this case, the U.S. dollar has an annual interest rate of 4.807%, while the Japanese yen has an annual interest rate of 3.391%.

To calculate the potential profit, we need to consider the spot rate, the forward rate, and the available funds. The spot rate is ¥118.58/$, and the 180-day forward rate is ¥117.88/$. The available funds for arbitrage are $5,050,000.

To determine if a CIA profit is possible, we need to calculate the potential profit based on the interest rate differential and the exchange rate differentials.

The interest rate differential between the U.S. dollar and the Japanese yen is 4.807% - 3.391% = 1.416%.

To calculate the potential profit, we need to compare the forward rate with the implied forward rate based on interest rate differentials:

Implied Forward Rate = Spot Rate * (1 + U.S. interest rate) / (1 + Japanese interest rate)

Implied Forward Rate = ¥118.58 * (1 + 0.04807) / (1 + 0.03391) = ¥119.122

The difference between the forward rate and the implied forward rate is:

Forward Premium = Forward Rate - Implied Forward Rate

Forward Premium = ¥117.88 - ¥119.122 = -¥1.242

Since the forward premium is negative, it indicates that there is a forward discount.

The CIA profit potential can be calculated as follows:

Profit Potential = Available Funds * Interest Rate Differential

Profit Potential = $5,050,000 * 1.416% = $71,428

Therefore, the CIA profit potential is approximately $71,428.

Takeshi Kamada should borrow the Japanese yen and invest in the higher yielding currency, the U.S. dollar, to lock in a covered interest arbitrage (CIA) profit. By investing in the lower interest rate currency (yen) and simultaneously selling the dollar proceeds forward into yen at a forward discount, he can potentially generate a CIA profit of approximately ¥71,428.

To learn more about profit potential refer here:

https://brainly.com/question/31038993

#SPJ11

aaa incorporated applies fixed manufacturing overhead at the standard rate of $10 per machine hour with one standard hour of machine time allowed to produce each unit. the following items occurred in october:

Answers

The overhead variance for the month is $3,000 unfavorable.

In October, AAA Incorporated produced 5,000 units and used 5,500 machine hours. The actual fixed manufacturing overhead cost for the month was $53,000. To determine the overhead variance, we need to compare the actual fixed manufacturing overhead cost to the amount that should have been applied based on the standard rate and allowed machine hours. Based on the standard rate and allowed machine hours, the amount of fixed manufacturing overhead that should have been applied is $50,000 (5,000 units x 1 hour per unit x $10 per hour).

Therefore, the overhead variance for the month is $3,000 unfavorable ($53,000 actual overhead - $50,000 applied overhead).

To know more about Overhead Costs visit-

https://brainly.com/question/32466347

#SPJ11

The inspections and surveys condition in a businessowners policy allows___

Answers

The inspections and surveys condition in a businessowners policy allows the insurance company to conduct inspections and surveys of the property and operations of the insured business. This condition is usually included in the policy to ensure that the business is complying with all safety regulations and procedures.

The insurance company may conduct inspections and surveys of the property before issuing the policy to identify any potential hazards or risks that may need to be addressed before the policy can be issued. They may also conduct inspections and surveys during the policy period to ensure that the business is still complying with all safety regulations. The inspections and surveys condition may also allow the insurance company to require the insured business to make certain improvements or changes to their operations or property in order to reduce risks and prevent accidents. It is important for business owners to understand the inspections and surveys condition in their policy and to comply with any requests or recommendations made by the insurance company. Failing to comply could result in the policy being cancelled or claims being denied.

In summary, the inspections and surveys condition in a businessowners policy allows the insurance company to conduct inspections and surveys of the insured business to ensure compliance with safety regulations and procedures.

To know  more about businessowners  visit:-

https://brainly.com/question/31459689

#SPJ11

Given a nominal interest rate of 8 percent, in which of the following cases would you earn the highest after-tax real interest rate? a. Inflation is 2 percent; the tax rate is 45 percent b. Inflation is 5 percent; the tax rate is 40 percent. c. Inflation is 4 percent; the tax rate is 30 percent d. Inflation is 2.5 percent; the tax rate is 50 percent

Answers

To calculate the after-tax real interest rate, we need to adjust the nominal interest rate for both inflation and taxes. The formula for the after-tax real interest rate is:

After-tax Real Interest Rate = (1 + Nominal Interest Rate) / (1 + Inflation Rate) - 1 - (Tax Rate / 100)

Let's calculate the after-tax real interest rate for each case:

a. Inflation is 2 percent; the tax rate is 45 percent

After-tax Real Interest Rate = (1 + 8%) / (1 + 2%) - 1 - (45% / 100)

= 1.08 / 1.02 - 1 - 0.45

= 0.0588 or 5.88%

b. Inflation is 5 percent; the tax rate is 40 percent

After-tax Real Interest Rate = (1 + 8%) / (1 + 5%) - 1 - (40% / 100)

= 1.08 / 1.05 - 1 - 0.4

= 0.0286 or 2.86%

c. Inflation is 4 percent; the tax rate is 30 percent

After-tax Real Interest Rate = (1 + 8%) / (1 + 4%) - 1 - (30% / 100)

= 1.08 / 1.04 - 1 - 0.3

= 0.0385 or 3.85%

d. Inflation is 2.5 percent; the tax rate is 50 percent

After-tax Real Interest Rate = (1 + 8%) / (1 + 2.5%) - 1 - (50% / 100)

= 1.08 / 1.025 - 1 - 0.5

= 0.0512 or 5.12%

Among the given options, the highest after-tax real interest rate is in case d, where inflation is 2.5 percent and the tax rate is 50 percent. The after-tax real interest rate in this case is 5.12%.

To know more about Inflation visit-

brainly.com/question/13600510

#SPJ11

Case 09-3 Venturing Into Consolidations DeviceCo, a manufacturer of small-scale medical equipment, formed a joint venture (JV) with Pharmador on January 1,200X. Pharmador is a large pharmaceutical company that is seeking to enter into the medical equipment business. The JV, LeaseMed, a newly formed business with no existing operations, plans to lease large-scale medical equipment (e.g., large diagnostic equipment) to U.S. hospitals. LeaseMed plans to acquire the equipment to be leased from a manufacturer unrelated to either DeviceCo or Pharmador (collectively, the venturers). The venturers have no relationship with each other aside from this JV. At formation, LeaseMed is in the process of collecting regulatory permits and licenses to enter the medical equipment leasing business and, thus, is a developmentstage entity. The board of directors (the Board) has six members: three representatives for DeviceCo and three representatives for Pharmador. Board approval is required for ongoing business activities (e.g., selecting, terminating, and setting the compensation of management) and approval of all new contracts in excess of $50,000, including those with new vendors and customers. All Board decisions require a majority vote. Neither venturer has any additional involvement with LeaseMed (i.e., no management contracts, service contracts, leases). LeaseMed exhibits all of the characteristics of a JV under joint control. LeaseMed is formed with initial cash contributions of $55,000 from DeviceCo and $45,000 from Pharmador. Ownership, as well as profits and losses, are divided accordingly (55:45). At formation, LeaseMed was a variable interest entity (VIE) and DeviceCo consolidated LeaseMed as its primary beneficiary. All three companies have a December 31 year end. Between January 1, 200X, and June 30,200X, the following events occur: LeaseMed secures the necessary licenses and permits. LeaseMed hires 5,000 employees, originates a leasing portfolio, and generates significant revenue. Including the equity provided at formation, DeviceCo and Pharmador have contributed a combined total of $1 million to LeaseMed, according to their ownership percentages (DeviceCo contributed $550,000, and Pharmador contributed $450,000 ). The primary risk that creates variability in LeaseMed is operations risk. LeaseMed is designed to pass this variability to the equity holders proportionately on the basis of their ownership interests. Other relevant facts: - Both venturers have determined that substantially all of the activities of LeaseMed do not involve or are not conducted on behalf of either venturer. Case 09-3: Venturing Into Consolidations Page 2 - All of LeaseMed's equity meets the definition of "equity at risk." - LeaseMed has not been able to issue investment grade debt. - LeaseMed's expected losses exceed $1 million. The events above constitute reconsideration events under the VIE subsections of ASC 810-10, Consolidation: Overall (FASB Interpretation No. 46(R), Consolidation of Variable Interest Entities). As a result, the venturers are required to reconsider the conclusions originally reached as of LeaseMed's formation date. Assume the analysis takes place on June 30,200X. Required: - Can either venturer qualify for the business scope exception, which would exempt the investors from the remaining provisions of the VIE subsections of ASC 81010 (Interpretation 46(R) )? - Does LeaseMed have sufficient equity to finance its activities without additional subordinated financial support? On the basis of the answer, is LeaseMed a VIE? - On the basis of the response to the previous question, which consolidation model (e.g., the VIE subsections of ASC 810-10 (Interpretation 46(R)), ASC 323-10 (Opinion 18), the general subsections of ASC 810-10 (ARB 51)) should DeviceCo and Pharmador apply to LeaseMed?

Answers

Neither DeviceCo nor Pharmador can qualify for the business scope exception in this scenario. The business scope exception is available if the entity being evaluated meets certain criteria, such as being a nonprofit organization or a cooperative. Since LeaseMed is a for-profit entity engaged in the business of leasing medical equipment, it does not qualify for the business scope exception.

LeaseMed's equity at risk is $1 million, which includes the initial cash contributions from both DeviceCo and Pharmador. Since the expected losses exceed $1 million and LeaseMed has not been able to issue investment grade debt, it does not have sufficient equity to finance its activities without additional subordinated financial support. Therefore, LeaseMed is a VIE.

DeviceCo, as the primary beneficiary, should consolidate LeaseMed using the VIE subsections of ASC 810-10 (Interpretation 46(R)). The VIE model requires the primary beneficiary to consolidate the VIE and report its assets, liabilities, and results of operations in its financial statements. Since LeaseMed is a development-stage entity, its financial statements should be included in DeviceCo's consolidated financial statements as of June 30, 200X.

To know more about  scenario visit:-

https://brainly.com/question/15367590

#SPJ11

True/False: the production possibilities frontier (ppf) illustrates the combinations of goods that society can consume when trading with other producers.

Answers

The answer is False. The production possibilities frontier (PPF) does not illustrate the combinations of goods that society can consume when trading with other producers.

The production possibilities frontier (PPF) is a graphical representation of the maximum output that an economy can produce given its available resources and technology. It depicts the trade-off between producing different goods and services within an economy, assuming full resource utilization. However, the PPF does not explicitly incorporate trade with other producers or countries.

The PPF shows the different combinations of two goods that can be produced efficiently within an economy, assuming all resources are fully utilized. It illustrates the concept of opportunity cost, where producing more of one good requires sacrificing the production of another. The PPF helps in understanding the trade-offs and efficiency possibilities within an economy.

Trade with other producers or countries is a separate concept that involves the exchange of goods and services between different entities. While trade can affect an economy's consumption possibilities, the PPF itself does not explicitly represent trade or the combinations of goods that society can consume when trading with other producers. Therefore, the statement is false.

Learn more about economy here :

https://brainly.com/question/31038800

#SPJ11

Green et al. (2005) estimate the supply and demand curves for California processed tomatoes. The supply function is In(Q) = 0,100 +0.750 In(p). where Q is the quantity of processing tomatoes in millions of tons per year and p is the price in dollars per ton. The demand function is In(Q)=2.600 - 0.200 In(o)+0.150 in) where p, is the price of tomato paste (which is what processing tomatoes are used to produce) in dollars per ton. How does the quantity of processing tomatoes supplied vary with the price? It might be easier for you to exponentiate both sides of the equation first. Exponentiating both sides of the supply equation, Q 2(0.100 + 0.750(p) The effect of a change in price on quantity supplied 3 2-). (Property format your expression using the tools in the padente. Hover over tools to see keyboard shortcuts. E.g. a fraction can be created with the / da dp character.)

Answers

To analyze how the quantity of processing tomatoes supplied varies with the price, let's start by exponentiating both sides of the supply equation:

Q = e^(0.100 + 0.750p)

Exponentiating the equation allows us to remove the natural logarithm and express the relationship between quantity supplied (Q) and price (p) directly.

To understand the effect of a change in price on the quantity supplied, we can take the derivative of the supply equation with respect to price (dp):

dQ/dp = 0.750e^(0.100 + 0.750p)

This derivative represents the rate of change of quantity supplied with respect to price. By examining the value of the derivative, we can determine the direction and magnitude of the relationship.

However, please note that in the given information, the demand function is not provided. It's necessary to have both the supply and demand functions to fully analyze the market dynamics and the interaction between supply and demand.

If you have the demand function as well, please provide it, and I'll be able to assist you further in analyzing the quantity supplied with respect to price.

Learn more about demand function here:

brainly.com/question/28708592

#SPJ11

Skinner Butte, Inc. had the following information: Net income Depreciation Increase in accounts receivable Decrease in prepaid rent Increase in accrued liabilities 1,800 Cash paid to purchase office equipment 8,000 What is Skinner Butte's net cash provided by operating activities?

Answers

Skinner Butte's net cash provided by operating activities is $1,800.

To calculate Skinner Butte's net cash provided by operating activities, we need to use the indirect method of cash flow statement preparation. First, we start with net income of $1,800 and add back non-cash expenses, such as depreciation of office equipment, which is not a cash expense. Next, we adjust for changes in working capital items, such as increase in accounts receivable, which indicates an outflow of cash, and decrease in prepaid rent, which indicates an inflow of cash. Finally, we adjust for changes in accrued liabilities, which indicates an outflow of cash.

To calculate the net cash provided by operating activities, we can use the formula:

Net cash provided by operating activities = Net income + Depreciation - Increase in accounts receivable + Decrease in prepaid rent + Increase in accrued liabilities

Plugging in the values, we get:

Net cash provided by operating activities = $1,800 + $0 - ($0) + $0 - ($0) = $1,800

Therefore, This means that the company generated $1,800 in cash from its operating activities during the given period, after accounting for non-cash expenses and changes in working capital items.

For more about net cash:

https://brainly.com/question/20424898


#SPJ11

What is the net profit for a six-year project: with an outlay of $39,000 expecting to produce income of $8000 in the first three years and $5000 in the remaining three years? The expected discount rate for the investment is 6% interest per annum. Do you recover the investment or lose?

Answers

To calculate the net profit for the six-year project, we need to calculate the present value of the cash inflows (income) and compare it with the initial outlay (investment). Let's break down the calculation step by step:

Step 1: Calculate the present value of cash inflows for the first three years:

PV1 = Income1 / (1 + Discount Rate)^1

= $8,000 / (1 + 0.06)^1

= $7,547.17

PV2 = Income2 / (1 + Discount Rate)^2

= $8,000 / (1 + 0.06)^2

= $7,113.21

PV3 = Income3 / (1 + Discount Rate)^3

= $8,000 / (1 + 0.06)^3

= $6,723.74

Step 2: Calculate the present value of cash inflows for the remaining three years:

PV4 = Income4 / (1 + Discount Rate)^4

= $5,000 / (1 + 0.06)^4

= $4,438.77

PV5 = Income5 / (1 + Discount Rate)^5

= $5,000 / (1 + 0.06)^5

= $3,953.41

PV6 = Income6 / (1 + Discount Rate)^6

= $5,000 / (1 + 0.06)^6

= $3,523.22

Step 3: Calculate the total present value of cash inflows:

Total PV of cash inflows = PV1 + PV2 + PV3 + PV4 + PV5 + PV6

= $7,547.17 + $7,113.21 + $6,723.74 + $4,438.77 + $3,953.41 + $3,523.22

= $33,299.52

Step 4: Calculate the net profit:

Net Profit = Total PV of cash inflows - Initial Outlay

= $33,299.52 - $39,000

= -$5,700.48

The net profit for the six-year project is -$5,700.48. Since the net profit is negative, it indicates a loss rather than a profit. Therefore, you would lose your investment of $39,000.

Note: The negative net profit suggests that the project's returns are not sufficient to cover the initial investment and the discount rate. It would be advisable to reconsider the investment or explore other options with better potential returns.

To learn more about Initial Outlay, Visit:

https://brainly.com/question/31514827

#SPJ11

Other Questions
How would blood doping affect hematocrit values? Explain. 43 A condensed income statement for Corolla Corporation and a partially completed vertical analysis are presented below. Required: 1. Complete the vertical analysis by computing each missing line item as a percentage of sales revenues. 2. Does Corolla's Cost of Goods sold for the current year, as a percentage of revenues, represent better or worse performance as compared to that for the previous year? 3. Has Corolla"s net profit margin increased, or decreased, over the two years? Complete this question by entering your answers in the tabs below. Required 1 Required 2 Required 3 Complete the vertical analysis by computing each missing line item as a percentage of sales revenues. (Round your answers to the nearest whole percent.) COROLLA CORPORATION Income Statement (summarized) (in millions of U.S. dollars) Previous Year Sales Revenues $ 2,195 Cost of Goods Sold 1,711 Selling, General, and Administrative Expenses 336 Other Operating Expenses 16 Interest Expense 27 Income before Income Tax Expense 105 Income Tax Expense 33 Net Income $ < Required 1 Current Year 2,090 1,647 323 55 24 41 8 33 100 % 79 % % 3% % 2 % 0 % $ % $ Required 2 > 21 72 100 % % 15 % 1 % 1% % 2 % % 37 Two online magazine companies reported the following in their financial statements: Betterworth 2020 Net income Total stockholders' equity 2021 $ 112,500 612,186 3.70 $ 109, 104 537, 814 2021 $ 94,500 472, 151 2.60 Earnings per share 3.69 Stock price when annual results reported 55.65 52.29 33.80 Required: 1-a. Compute the 2021 ROE for each company. 1-b. Which company appears to generate greater returns on stockholders' equity in 2021? 2-a. Compute the 2021 P/E ratio for each company. 2-b. Which company do investors appear to value more? Complete this question by entering your answers in the tabs below. Req 1A Req 18 Req 2A Req 2B Compute the 2021 ROE for each company. (Round your answers to 1 decimal place.) ROE BetterWorth Outdoor Fun < Req 1A Req 1B > % % Outdoor Fun 2020 $ 172,673 492, 049 4.48 60.95 37 Two online magazine companies reported the following in their financial statements: Betterworth 2020 Net income Total stockholders' equity 2021 $ 112,500 612,186 3.70 $ 109, 104 537, 814 2021 $ 94,500 472, 151 2.60 Earnings per share 3.69 Stock price when annual results reported 55.65 52.29 33.80 Required: 1-a. Compute the 2021 ROE for each company. 1-b. Which company appears to generate greater returns on stockholders' equity in 2021? 2-a. Compute the 2021 P/E ratio for each company. 2-b. Which company do investors appear to value more? Complete this question by entering your answers in the tabs below. Req 1A Req 1B Req 2A Req 2B Which company appears to generate greater returns on stockholders' equity in 2021? BetterWorth Outdoor Fun Both Companies appear to generate the same return on equity. < Req 1A Req 2A > Outdoor Fun 2020 $ 172,673 492, 049 4.48 60.95 37 Two online magazine companies reported the following in their financial statements: Betterworth 2020 Net income Total stockholders' equity 2021 $ 112,500 612,186 3.70 $ 109, 104 537, 814 2021 $ 94,500 472, 151 2.60 Earnings per share 3.69 Stock price when annual results reported 55.65 52.29 33.80 Required: 1-a. Compute the 2021 ROE for each company. 1-b. Which company appears to generate greater returns on stockholders' equity in 2021? 2-a. Compute the 2021 P/E ratio for each company. 2-b. Which company do investors appear to value more? Complete this question by entering your answers in the tabs below. Req 1A Req 1B Req 2A Req 2B Compute the 2021 P/E ratio for each company. (Round your answers to 1 decimal place.) P/E Ratio BetterWorth Outdoor Fun < Req 1B Req 2B > times times Outdoor Fun 2020 $ 172,673 492, 049 4.48 60.95 37 Two online magazine companies reported the following in their financial statements: Betterworth Outdoor Fun 2021 2020 2021 2020 Net income $ 112,500 $ 109, 104 $ 94,500 $ 172,673 Total stockholders' equity 612,186 537, 814 472, 151 492,049 Earnings per share 3.70 3.69 2.60 4.48 Stock price when annual results reported 55.65 52.29 33.80 60.95 Required: 1-a. Compute the 2021 ROE for each company. 1-6. Which company appears to generate greater returns on stockholders' equity in 2021? 2-a. Compute the 2021 P/E ratio for each company. 2-b. Which company do investors appear to value more? Complete this question by entering your answers in the tabs below. Req 1A Req 1B Req 2A Req 2B Which company do investors appear to value more? BetterWorth O Outdoor Fun Both companies appear to generate the same P/E ratio. < Req 2A Reg 28 step 4 - 1 previous next which of the following is an example of a food that is fortified with vitamin e? a. almonds b. margarine c. spinach d. vegetable oil 8. The following item has two parts. Answer Part A first, and then Part B.Part A In each stanza of the poem-A the last line is end-stopped.B one sentence spreads over four lines.Cevery line ends with a punctuation mark.D punctuation is used only in the second and fourth lines. TRUE / FALSE. You should revisit your kpis every 18 months. What is the value of this 20 year lease? The first payment, due one year from today is $2,000 and each annual payment will increase by 4%. The discount rate used to evaluate similar leases is 9%. (Round to the nearest dollar.) Which is the correct answer?a. $ 68,000. b. $ 24,361. c. $ 39,856. d. $ 40,000 A proposed investment has the following characteristics. Initialinvestment: 700,000 Expected scrap value: nil Net annual pre-taxcash inflow: 140,000 Corporation tax rate: 30% Expected life ofin Roberto writes a letter to his sister to tell her about his new apartment and the people who live in the building.Julia: Jengo muchos amigos aqui Encima de mi apartamento dire Ines. una maestra de cienciasCheima de Jns, y debajo de Waltervive Alugo, un estudiante de ora ciudad Cacima del apartamente de Walter esta el apartamento do Lorena son cinco pisos. Daba jo de mi apartamento en laen la planta baja esta el apartamento deErnesto Alli escuchamios muShesos.Roberto 1. 1-12 Points! DETAILS LARAPCALCB 2.4.001. MY NOTES ASK YOUR TEACHER Consider the following function 10x) = 62.5), (2.18) (1) Find the value of the derivative of the function at the given point. 1(2) (b) Choose which differentiation rule(s) you used to find the derivative (Select that apply quotient rule Bower rule product rule 2. (-/2 Points DETAILS LARAPCALC8 2.4.004. MY NOTES ASK YOUR TEACHER PR Consider the following function - 4X2x + 5), (5:20) (a) Find the value of the derivative of the function at the given point 7 (5) - (b) Choose which differentiation rule(s) you used to hind the derivative (Select all that apply.) quotient rule product rule power rule "ExpertProl your compu assuming a constant wind speed what would increase the torque Determine a minimum value of n such that the trapezoidal rule will approximate VI+ 1+2rdr with an error of no more than 0.001. 72 (enter a whole number only) help (numbers) Retrieval of an element from a list is based on using:Group of answer choicesthe equals method.the == operator.aliasesall attributes being equal. A credit score measures a person's creditworthiness. Assume the average credit score for Americans is 723. Assume the scores are normally distributed with a standard deviation of 40Calculate value ranges from 1 standard deviation from the mean a. Determine the interval of credit scores that are one standard deviation around the mean. challenge activity 1.20.2: tree height. given variables angle elev and shadow len that represent the angle of elevation and the shadow length of a tree, respectively, assign tree height with the height of the tree. ex: if the input is: 3.8 17.5 Which of the following statements is true?a)Men are more skilled at deciphering nonverbal cues than women are.b)Men are less willing than women to talk over others.c)In terms of answering questions, men tend to provide more information than needed, while women tend to be quick and to the point.d)Men tend to withdraw and isolate themselves when problem solving, whereas women seek out others for support.e)Men are more likely than women to indicate that they are uncertain about an issue. what does an urban profile depict 1.Financial leverage involves the decisions of the firm to utilize fixed types of operating costs. true or false?2.Financial risk involves both the possibility of insolvency and the increased variability of earnings per share caused by borrowing. true or false? 4. [0/4 Points] DETAILS PREVIOUS ANSWERS SCALCET8 16.7.507.XP. MY NOTES PRACTICE ANOTHER Evaluate the surface integral 16 F. ds for the given vector field F and the oriented surface S. In other words, find the flux of F across S. For closed surfaces, use the positive (outward) orientation. s F(x, y, z) = xzi + xj + y k S is the hemisphere x + y + z = 16, y 0, oriented in the direction of the positive y-axis X Need Help? Read It Use of different formulas for operating leverage (LO5-3) U.S. Steal has the following income statement data: Total Units Variable Sold Costs 10,000 $20,000 30,000 60,000 Fixed Costs $ 10,000 10,000 Total Costs $ 30,000 70,000 Total Revenue $ 30,000 240.000 Operating Income (Loss) $50,000 170,000 The top row of the table has the beginning values and the bottom row of the table has the ending values a. Compute the degree of operating leverage (DOL) based on the formula What are some transformations undergone by Izzi and Tom? Steam Workshop Downloader