Small businesses are more nimble than corporations. this allows them to operate on a flatter organization chart. what is an advantage to this structure?
A. Fluctuation is less likely.
B. Response to customer demands is faster.
C. Fewer employees requires fewer communication skills.

Answers

Answer 1


Brainliest?
Answer: B. Response to customer demands is faster.

Explanation: The advantage of a flatter organization chart in small businesses is that decision-making and communication lines are shorter, which enables the company to be more agile and respond more quickly to customer demands. With fewer layers of management, small businesses can make decisions faster, implement changes more quickly, and be more flexible in their operations. This is especially important in today's fast-paced business environment, where companies need to be able to adapt to changing market conditions and customer needs in order to stay competitive.


Related Questions

Axei plc, a leading producer of quality cements in Ghana has recently identified a positive not present value project.As a financial advisor of the company, you think the company needs to sell bonds in order to raise the needed money to excute the project.Concisely and unambiguously, Discuss the steps and process the company has to go through in order to sell bonds in Ghana

Answers

To sell bonds in Ghana, Axei plc must follow certain steps and processes. First, the company needs to appoint an issuing house, which is a licensed broker-dealer, to manage the bond issuance.

The issuing house will then conduct due diligence on the company to determine its creditworthiness and structure the bond issue.

Next, Axei plc will prepare a prospectus detailing the terms and conditions of the bond issue, including the amount of the bond, the interest rate, and the repayment schedule. The prospectus will be filed with the Securities and Exchange Commission (SEC) for approval.

Once approved,Axei plc the bond issue will be marketed to potential investors through roadshows and other promotional activities. Investors will then subscribe to the bond issue through the issuing house.

Finally, once the bond issue is fully subscribed, Axei plc will receive the proceeds and use them to finance the identified project. The company will then make periodic interest payments to bondholders until the bond matures and the principal is repaid.

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A water desalination plant can produce 2 x 10^6 gallons of water in one day. How many gallons can it produce in 77 days? Write your answer in scientific notation.​

Answers

If a water desalination plant can produce 2 x 10^6 gallons of water in one day, then in 77 days, it produces 1.54 x 10^8 gallons of water.

Given,

Gallons of water produced per day = 2 x 10^6

No of days = 77

To find out the number of gallons of water the plant can produce in 77 days, we should multiply the daily production by the number of days.

2 x 10^6 gallons/day x 77 days = 1.54 x 10^8 gallons

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A large tank holds 1.7 x 107 gallons of oil. How much oil can be stored in 7 tanks? Write your answer in scientific notation.​

Answers

Answer

17000000

Explanation:

it can hold 17000000 gallons of oil hope this can help

Need help with 1.) to 2.) calculations

Answers

The monthly profits at maximum capacity is  $3,600,000

The Break-even revenue is $2,400,000

What is the change in prices about?

a) Total revenue at maximum capacity = selling price x maximum capacity

= $20 x 180,000 units

= $3,600,000

Total variable costs at maximum capacity = variable cost per unit x maximum capacity

= $15 x 180,000 units

= $2,700,000

Note that Total fixed costs = $600,000

Hence, Monthly profit at maximum capacity = total revenue - total variable costs - total fixed costs

= $3,600,000 - $2,700,000 - $600,000

= $300,000

b) Break-even quantity:

Break-even quantity = fixed costs / contribution per unit

Contribution per unit

= $20 - $15

= $5

Break-even quantity

= $600,000 ÷ $5

= 120,000 units

c)  Break-even revenue = break-even quantity x selling price

= 120,000 units x $20

= $2,400,000

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Student workpoint 3.8

Be a thinker

XYZ Ltd has the capacity to produce 180,000 units of its key product per month. The fixed costs amount to $600,000 per month, while the variable costs are $15 per unit. The selling price for each product is $20.

1. Calculate the:

a) monthly profits at maximum capacity

20 -15

b) break-even quantity 000, 000/2015)=120000

c) break-even revenue.

When you create your brand, you should consider:

SELECT ALL THAT APPLY

- Logo
- Marketing Budget
- Fonts
- Social Media Handles
- Colors

Answers

Logo

Fonts

Social Media Handles

Colors

When creating a brand, it is important to consider a number of elements that contribute to its visual and marketing identity. These elements include a logo, fonts, social media handles, and colors.

A logo serves as the visual representation of a brand and can convey important information about its values and mission. Fonts are also important in creating a consistent visual identity, as they can be used in everything from marketing materials to website design. Social media handles are important for establishing a consistent presence across multiple platforms, while colors can evoke certain emotions and associations that contribute to a brand's overall identity.

While marketing budget is also an important consideration when establishing a brand, it is not directly related to its visual identity. Nonetheless, it is still important to consider as it will impact the reach and visibility of the brand.

if the most likely reason customers will purchase a company's product is its many useful attributes, what advertising focus would likely be more effecitve

Answers

Answer:

If the most likely reason customers will purchase a company's product is its many useful attributes, an advertising focus that highlights the product's features and benefits would likely be more effective.

Explanation:

If the most likely reason customers will purchase a company's product is its many useful attributes, an advertising focus that highlights the product's features and benefits would likely be more effective. This approach involves emphasizing the specific attributes and benefits of the product, such as its quality, functionality, durability, convenience, and other useful characteristics. By highlighting these features, the advertising can appeal to the customer's desire for a product that meets their needs and provides practical benefits. Additionally, providing specific details and comparisons of the product's attributes with those of competitors can help to differentiate the product and increase its appeal to potential customers.

A disadvantage of a partnership is that of ‘mutual agency’ which means:

Select one:

each partner must contribute the same capital and skills to the partnership.


each partner has the right to enter into contracts on behalf of the partnership.


each partner has limited liability for the debts incurred on a contract entered into by any other partner.


only the partner with the highest cash contribution has the right to enter into contracts on behalf of the partnership.

Answers

Answer:

each partner has the right to enter into contracts on behalf of the partnership. i think

Employees who coordinate training activities are managed by John. He requires registrants to be notified within two weeks of the start date if a training program is canceled due to low enrollment. Mike, one of John's staff, is still notifying attendees under the two-week mark despite an alert and a time of retraining. John has agreed to issue Mike a final written notice and inform him that if he does not change, he will be fired. This is an example of which phase of the controlling process?



A. Establish Objectives and Standards

B. Measure Actual Performance

C. Compare Results with Objectives and Standards

D. Take Corrective Action

Answers

D. Take Corrective Action.

This is an example of taking the Corrective Action phase of the controlling process. The correct option is D.

What is the importance of control in an organization?

Organizational control plays a crucial role in identifying mistakes and deviations from norms so that corrective measures can be done to attain objectives. Ensuring that a particular task is carried out in accordance with predetermined criteria is the goal of organizational control.

An employee may get verbal or written communications from you that are intended to help the employee address the "problem" or concern, such as performance, attendance, or conduct. removing the root of nonconformity and preventing recurrence. Action is taken in advance to stop a potential nonconformity or other undesirable situation from happening.

Any type of Correction is detected by controlling, and appropriate corrective measures are then put in place. By doing so, it makes it easier to achieve organizational goals by closing the gap between expected and actual performance.

Thus, the ideal selection is option D.

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Which of these sets of characteristics does a company have?

Select one:

Owners have shared control and unlimited liability.


Difficulty raising funds, owners have full control.


Separate legal entity and owners have limited liability.


Simple to set up and mutual agency.

Answers

Answer:

Separate legal entity and owners have limited liability. I think

Limited ability I think atleast

jamie asks, "what are the latest trends in the stock market?" in other words, jamie is asking...​

Answers

Answer:

Jamie is asking about the current developments, movements, and changes in the stock market that have been observed over a recent period of time. Specifically, Jamie is interested in knowing the latest trends that are influencing the performance of the stock market. This may include changes in the prices of stocks, the direction of the market, the sectors that are performing well, and other factors that are affecting the overall performance of the stock market.

Explanation:

no answer choices so this is the best I can help you

When an operator acts on one operand, it is called a (what)
operator?

Answers

When an operator acts on one operand, it is called a unary operator.

Suppose you purchase a 9-year AAA-rated Swiss bond for par that is paying an annual coupon of 8 percent and has a face value of 1,200 Swiss francs (SF). The spot rate is U.S. $0.66667 for SF1. At the end of the year, the bond is downgraded to AA and the yield increases to 10 percent. In addition, the SF depreciates to U.S. $0.74074 for SF1.

a. What is the loss or gain to a Swiss investor who holds this bond for a year?
b. What is the loss or gain to a U.S. investor who holds this bond for a year?

Answers

Given, a 9-year AAA-rated Swiss bond for par that is paying an annual coupon of 8 percent and has a face value of 1,200 Swiss francs (SF). The spot rate is U.S. $0.66667 for SF1. At the end of the year, the bond is downgraded to AA and the yield increases to 10 percent. In addition, the SF depreciates to U.S. $0.74074 for SF1.

The explanation is

SWISS BOND

FV.  2600

Year 9

Coupon 5%

After a year

YTM 7

Year 8

Pv of bond 2600

FV. 2600 (PO)

YEAR.  9

COUPON 5%

AFTER A YEAR

YTM 7%

YEAR 8

PV OF BOND $2,289.49 (P1)

C1-COUPON 2600 X 5%-130

AS BOND PRICE HAS COME DOWN, THERE WILL BE A LOSS TO SWISS INVESTOR

LOSS TO INVESTOR [P1+C1-PD)-(2289.49 +130-2600) - LOSS TO INVESTOR (%)-(P1+C1-PO)/PO 100

LOSS TO INVESTOR (2289.49+130-2600)/2600*100 -6.94%

SPOT RATE 0.66667

AFTER A YEAR

RATE 0.74074

2600 X 0.66667- 2289.49 X 0.74074- 1733.34 1695.92

VALUE OF BOND IN S (PO) - VALUE OF BOND INS (P1)= COUPON-130 X 0.74074- 96.30

PROFIT/LOSS TO US INVESTOR

(P1+C1-PO)-(1695.92+96.30-1733.34)= 58.88

PROFIT

PROFIT/LOSS TO US INVESTOR (P1+ C1-PO)/PO*100 PROFIT/LOSS TO US INVESTOR(1695.92+96.30-1733.34)/1733.34*100 3.40%

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The Cambro Foundation, a nonprofit organization, is planning to invest $209710 in a project that will last for three years. The project will produce net cash inflows as follows:
Year 1 $ 65000
Year 2 $ 79000
Year 3 ?
Assuming that the project will yield exactly a 7% rate of return, what is the expected net cash inflow for Year 3?

Answers

solve for the cash inflow in Year 3.

The present value of an investment is the current value of all future cash inflows discounted at the required rate of return. For this problem, we can use a discount rate of 7%.

The present value of the investment can be calculated as follows:

PV = Year 1 cash inflow / (1 + r)^1 + Year 2 cash inflow / (1 + r)^2 + Year 3 cash inflow / (1 + r)^3

where r is the discount rate.

Substituting the given values, we get:

$209710 = $65000 / (1 + 0.07)^1 + $79000 / (1 + 0.07)^2 + Year 3 cash inflow / (1 + 0.07)^3

Simplifying the equation, we get:

Year 3 cash inflow / (1 + 0.07)^3 = $209710 - $65000 / (1 + 0.07)^1 - $79000 / (1 + 0.07)^2

Year 3 cash inflow / (1 + 0.07)^3 = $32825.66

Multiplying both sides by (1 + 0.07)^3, we get:

Year 3 cash inflow = $32825.66 x (1 + 0.07)^3

Year 3 cash inflow = $32825.66 x 1.225

Year 3 cash inflow = $40205.09

Therefore, the expected net cash inflow for Year 3 is $40205.09.

To calculate the expected net cash inflow for Year 3, we need to use the present value formula:

PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the rate of return, and n is the number of years.

We know that the present value of the investment is $209,710, and we know the net cash inflows for the first two years ($65,000 and $79,000). We can use the present value formula to solve for the future value of the third year's net cash inflow:

$65,000 / (1 + 0.07)^1 = $60,747.66
$79,000 / (1 + 0.07)^2 = $63,063.84

$209,710 = $60,747.66 + $63,063.84 + FV / (1 + 0.07)^3

Solving for FV, we get:

FV = $209,710 - $60,747.66 - $63,063.84 * (1 + 0.07)^3
FV = $209,710 - $60,747.66 - $63,063.84 * 1.225043
FV = $209,710 - $60,747.66 - $77,261.51
FV = $71,700.83

Therefore, the expected net cash inflow for Year 3 is $71,700.83.

Harrison Company calculated the following amounts concerning its financial information for the years ending December 31, 2017 and 2016: Current ratio Net Profit margin 2017 3.1 to 1 22% 2016 2.0 to 1 18% Required: SHOW YOUR WORKINGS 1- Examine Harrison's ratios. Is the change in the current ratio favorable or not? Explain your answer. (2 points) 2- Examine Harrison's ratios. Is the change in the net profit margin favorable or not? Explain your answer. (2 points)​

Answers

The current ratio has increased from 2.0 to 1 in 2016 to 3.1 to 1 in 2017. A higher current ratio indicates that the company has more current assets available to pay off its current liabilities.

To determine whether the change in the current ratio is favorable or not, we need to compare the ratios for 2017 and 2016.

Current Ratio = Current Assets / Current Liabilities

2017 Current Ratio = 3.1 to 1

2016 Current Ratio = 2.0 to 1

This is generally seen as favorable, as it suggests that the company is in a better position to meet its short-term obligations. Therefore, the change in the current ratio is favorable for Harrison Company.

To determine whether the change in the net profit margin is favorable or not, we need to compare the ratios for 2017 and 2016.

Net Profit Margin = Net Profit / Total Revenue

2017 Net Profit Margin = 22%

2016 Net Profit Margin = 18%

The net profit margin has increased from 18% in 2016 to 22% in 2017. A higher net profit margin indicates that the company is generating more profit for each dollar of revenue it generates. This is generally seen as favorable, as it suggests that the company is more efficient in managing its costs and generating profit. Therefore, the change in the net profit margin is favorable for Harrison Company.

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Jesse has a good job and pays off his one credit card every month. He was surprised that when he applied for a loan to buy a car, he was rejected. Explain the steps the he should take to check his credit report for errors. How can he resolve any errors that he discovers?

Answers

It should be remembered that a credit report is just a record of a borrower's payments. When Jesse discovers the problem in his credit report, he needs to notify the credit reporting agency in writing.

A credit report is a document that contains details on your credit history, credit use, and other aspects of your credit behavior and circumstances. You should be able to check your credit score by going into your account online or looking over your monthly statement if your bank or credit card provider gives free credit ratings.

You may view your credit score or report for free using other services as well. Creditors such as lenders, credit card issuers, and other financial institutions send financial information about you to credit reporting firms, commonly referred to as credit bureaus or consumer reporting agencies, who then collect and store it.

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Nu-Concepts, Inc., a southeastern advertising agency, is considering the purchase of new computer equipment and software to enhance its graphics capabilities. Management has been considering several alternative systems, and a local vendor has submitted a quote to thc company of $15,000 for the equipment plus $16,800 for software. Assume that the equipment can be depreciated for tax purposes over three years as follows: year 1, $5,000; year 2, $5,000; year 3, $5,000. The software can be written off immediately for tax purposes. The company expects to use the new machine for four years and to use straight-line depreciation for financial reporting purposes. The market for used computer systems is such that Nu-Concepts could sell the equipment for $2,000 at the end of four years. The software would have no salvage value at that time Nu-Concepts management believes that the introduction of the computer system will enable the company to dispose of its existing equipment, which is fully depreciated for tax purposes. It can be sold for an estimated $200 but would have no salvage value in four years. If Nu-Concepts does not buy the new equipment, it would continue to use the old graphics system for four more years. Management believes that it will realize improvements in operations and benefits from the computer system worth per year before taxes. Nu-Concepts uses a 10 percent discount rate for this investment and has a marginal income tax rate of 40 percent after considering both state and federal taxes. a. Prepare a schedule showing the relevant cash flows for the project. b. Indicate whether the project has a positive or negative net present value.

Answers

a. Schedule of Relevant Cash Flows:

| Year | Cash Inflows | Cash Outflows | Depreciation | Tax Shield | Net Cash Flow |

|------|-------------|--------------|-------------|------------|---------------|

| 0 | - | $15,000 | - | $6,000 | -$9,000 |

| 1 | $5,000 | $5,600 | $5,000 | $2,000 | -$2,600 |

| 2 | $5,000 | $5,600 | $5,000 | $2,000 | -$2,600 |

| 3 | $5,000 | $5,600 | $5,000 | $2,000 | -$2,600 |

| 4 | $2,000 | $5,600 | $- | $- | -$3,600 |

| Total| $17,000 | $37,000 | $20,000 | $12,000 | -$8,000 |

b. Calculation of Net Present Value:

NPV = -Initial Investment + Present Value of Cash Flows

NPV = -$9,000 + [$2,600/(1+0.1)^1] + [$2,600/(1+0.1)^2] + [$2,600/(1+0.1)^3] + [$3,600/(1+0.1)^4]

NPV = -$9,000 + $2,363 + $1,933 + $1,590 + $2,106

NPV = $992

Since the NPV is positive, the project has a positive net present value and would be considered a good investment for Nu-Concepts, Inc.

In an unrelated acquisition, if five firms are interested in acquiring a firm and each of the bidding firms had a current market value of $30,000 while the current market value of the target firm is $20,000, this acquisition is likely to generate economic profits of ________ for the acquiring firm.

Answers

Answer:

It is not possible to determine the economic profits that the acquiring firm will generate from the acquisition based on the information provided.

The economic profits of an acquisition depend on various factors such as the price paid for the target firm, the synergies and efficiencies that can be realized by combining the two firms, and the potential growth and profitability of the target firm in the future.

In this scenario, it is only stated that five firms are interested in acquiring a firm with a current market value of $20,000, and each bidding firm has a current market value of $30,000. This information alone does not provide enough detail to calculate the expected economic profits for the acquiring firm.

Therefore, additional information such as the final acquisition price and other factors that could impact the acquisition's profitability would be needed to determine the economic profits generated by the acquisition.

Explanation:

PLEASE ANSWER FAST
DUE TODAY
You are writing an information guide for young students titled Banking in the United States Made Easy!


Explain each of the following terms in your own words.


Currency -


Interest -


Money supply -


Profit -


Stock -


Answer each of the following questions in complete sentences.


Banks are businesses. Like other businesses, they seek profit. How do they earn profit?


Why might an individual want to use a bank? Give an example of why a person would use a bank.


Why might a business want to use a bank? Give an example of why a business owner would use a bank.


What is the Federal Reserve?


The money supply is the total amount of money available in the economy. How do changes in the money supply affect people and businesses?


How does banking affect the money supply?


What would happen if banking didn’t exist?


This chart shows a sequence of causes and effects in how banking can affect society. Complete the chart by selecting the correct word.


1. The Fed reduces interest rates.

2. Banks will make (more or fewer?) loans.

3. The money supply (increases or decreases?).

4. People and businesses are (more or less) likely to spend and borrow money.

5. The number of jobs will (decrease or increase?).

6. People will buy (more or fewer?) cars, homes, and fun stuff.

7. Growth of the economy speeds up.

8. Inflation will (decrease or increase?).

Answers

Answer:

Currency - Currency refers to the paper money and coins that are used to buy goods and services in the United States.

Interest - Interest is the fee that is charged by a bank when a person or a business borrows money. It is the cost of borrowing money.

Money supply - Money supply refers to the total amount of money available in the economy, including cash, coins, and bank deposits.

Profit - Profit is the money that a business makes after all its expenses have been paid. It is the amount that is left over.

Stock - A stock is a share in the ownership of a company. When someone buys a stock, they own a small part of the company.

How do banks earn a profit?

Banks earn a profit by charging interest on loans and by investing the money that people deposit in their accounts.

Why might an individual want to use a bank?

An individual might want to use a bank to keep their money safe, to earn interest on their savings, or to take out a loan to buy a car or a home.

Why might a business want to use a bank?

A business might want to use a bank to keep its money safe, to borrow money to invest in the business, or to process payments from customers.

What is the Federal Reserve?

The Federal Reserve is the central bank of the United States. It is responsible for regulating the country's financial system, including setting monetary policy and supervising banks.

How do changes in the money supply affect people and businesses?

Changes in the money supply can affect people and businesses by causing inflation, which is a general increase in prices, and by affecting interest rates.

How does banking affect the money supply?

Banking affects the money supply by creating and destroying money through the process of lending and borrowing.

What would happen if banking didn’t exist?

If banking didn't exist, people would have to keep their money in their homes or in other places, and businesses would have to find other ways to borrow money and process payments.

1. The Fed reduces interest rates.

2. Banks will make more loans.

3. The money supply increases.

4. People and businesses are more likely to spend and borrow money.

5. The number of jobs will increase.

6. People will buy more cars, homes, and fun stuff.

7. Growth of the economy speeds up.

8. Inflation will increase.

Explanation:

1. Which of the following is not a step of the process of Controlling?
a. Setting Objectives
b. Analyzing deviations
c. Comparing actual performance with the standards
d. Establishing relationship of Planning and Controlling
e. Controlling

Answers

d. Establishing relationship of Planning and Controlling is not a step of the process of Controlling.

The steps of the process of Controlling are:
a. Setting Objectives
b. Establishing standards
c. Measuring actual performance
d. Analyzing deviations
e. Taking corrective action.

Today is the last day of the month and you have yet to meet your sales goal. While your goal is still
within reach, you have not been able to close any sales today and are beginning to fear that you won't
be able to meet your goal. What would you mostly do and least likely do?

Answers

Most likely, I would try to identify the reasons why I have not been able to close any sales today and develop a plan to address those reasons. I would also reach out to my manager or colleagues for support and advice.

Least likely, I would give up on my sales goal for the month and stop trying to close any sales for the rest of the day.

Answer:

All I can do at that particular moment is just to try and identify the reason why I wasn't able to achieve that goal and create a more better plan so that such won't repeat itself again

Explanation:

what I am trying to say is that I will try and meet my manager and my colleagues for advice and also think of what to do then I am going to join everything together and create a better plan so such won't repeat itself

HELPPPP ASAPPP!!!!! Have you ever wanted to propose a business idea, service, or product? If you were to run your own business, what would it be? How would you persuade potential buyers that your product or service was worth their time and money?

Answers

To persuade buyers that my product is worth their resources, I would focus on building trust and showcasing the value my business brings to their lives.

How can I build trust and showcase value to potential buyers?

To build trust, I would likely prioritize transparency and honesty in all my interactions with customers which would include being clear about what my product or service can and cannot do and making sure that I am always delivering on my promises.

I would also make sure that my business has a strong online presence with a well-designed website and active social media accounts where customers can easily find information about my product or service.

To showcase  value my business brings, I would highlight unique benefits of my product and provide evidence of its effectiveness through customer testimonials and case studies.

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The personal traits now considered important for managerial success include ______________.


a. self-confidence

b. character reference

c. caring

d. always present

Answers

a. self-confidence is the answer
The answer is A self-confidence

Attempts
Do No Harm/1
7. Identifying costs of inflation
Jin manages a grocery store in a country experiencing a high rate of inflation. To keep up with inflation, he spends a lot of time every day updating the
prices, printing new price tags, and sending out newspaper inserts advertising the new prices. His employees regularly deal with customer annoyance
of inflation.
over the frequent price changes. This is an example of the

Answers

As his employees regularly deal with customer annoyance over the frequent price changes. This is an example of Menu Costs of inflation.

What does Menu Costs of inflation means?

This means the expenses incurred by businesses in adjusting their prices to keep up with inflation. These costs can include the time and effort required to change prices such as updating menus, printing new price tags, or reprogramming computer systems.

It also extends to potential loss of customers who are unhappy with price increases and the costs of marketing and advertising price changes. Inflation can lead to more frequent price adjustments which can be a significant burden for small businesses, so, menu costs of inflation are seen as one of the costs of inflation that can harm economic growth and stability.

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benefits of division of labour to an organisation​

Answers

There are many benefits of the division of labour to an organisation:

1) Productivity

2) Cheap Company Products.

3) New Ideas and Innovation.

Including these Positive points, there are some disadvantages of the division of labour for an organisation.

Differentiate a regular savings account from a CD, a money market fund, and a money market deposit account.

Answers

Savings accounts, money market accounts, and CDs all have different interest rates, limits, benefits, fees, and risk levels. Furthermore, a savings or money market account may be appropriate for short-term savings, whilst a CD is better suited for long-term savings.

Savings accounts, money market accounts, and CDs are all viable options for putting money aside and seeing it grow. These three types of accounts are similar in appearance, yet they function differently and may serve different purposes.

CDs are deposit accounts similar to savings and money market accounts that are offered from banks and credit unions. Both money market funds and CDs provide higher interest rates than ordinary savings accounts.

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Write a management report on global business strategy of Adidas that includes following points:
• Introduction and background
• Challenges faced, major actions taken or events in the external environments of Adidas in past 2-3 years.
• focus on responses to the challenges and an assessment of the company’s internal environments to confirm the capability of the company to deal with the challenges.
• Brief some specific courses of action for Adidas as recommendations to continue or promote growth and development.
Also add at least 15 references in Harvard referencing style with citations within the report.

Answers

Answer: With sport playing an increasingly important role in more and more people’s lives, both on and off the field of play, we operate in a highly attractive industry. Based on the authenticity of the Adidas brand and our constant efforts to understand our consumers’ needs, we aim at capitalizing on the acceleration of favorable long-term structural trends by pushing the boundaries of products, experiences, and services.

Since the creation and launch of our ‘Own the Game’ strategy, the economic and political environment we operate in has significantly changed. Macroeconomic challenges as well as geopolitical tensions have hurt our business, our consumers, and our business partners. Paving the way for a restart, Bjørn Gulden joined Adidas as new CEO in January 2023. In this context, we are currently conducting a thorough strategic review, which also includes the financial ambition for 2025. We will provide an update on the outcome of this review in the course of the second half of 2023 and, in the meantime, continue to diligently execute our functional priorities.

Managing the environmental impacts at our sites and along the entire value chain is a key focus of our work. We are committed to decarbonization by reducing our absolute energy consumption and CO2e emissions as well as transitioning to clean energy. We are also committed to steadily increasing the use of more sustainable materials in our products and expanding our circular services. We continue to address water efficiency and quality, with an advanced chemical management program in place.

Explanation:

For a better grade please add more, I have a timer of 15 minutes to write an answer. This is a help.

George came up with a secret banana bread recipe that he sells in his bakery. Which intellectual property law would best protect his recipe?

Answers

George's secret banana bread recipe could be protected under trade secret law. A trade secret is confidential information that provides a competitive advantage to its owner, and is not generally known or readily ascertainable by others. Trade secret law protects against the unauthorized use, disclosure, or misappropriation of such information by others. To protect his recipe as a trade secret, George would need to take reasonable measures to keep it confidential, such as limiting access to the recipe, using nondisclosure agreements, and implementing security measures to prevent theft or hacking.
Final answer:

The intellectual property law that would best protect George's secret banana bread recipe is trade secret law. Trade secret protection is based on keeping information confidential, rather than registering it. Examples include Coca-Cola's secret recipe.

Explanation:

The intellectual property law that would best protect George's secret banana bread recipe is trade secret law. Trade secret law protects confidential information that gives a business a competitive advantage and is kept secret. In this case, George's recipe is his trade secret.

Unlike patents, trademarks, or copyrights, trade secrets do not require any registration or governmental filings. The recipe remains protected as long as it is kept confidential and not disclosed to the public. Trade secret protection can last indefinitely, as long as the information remains a secret.

For example, Coca-Cola's formula, which is a closely guarded secret, is protected under trade secret law. Other companies may use different ingredients, but they do not have access to the exact recipe and process used by Coca-Cola.

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1. Identify the controlling tools described.
Method of maintaining the appropriate number of parts and goods in storage in order to prevent shortages, overstocks, and other costly issues.


2. Identify the controlling tools described.
Process of ensuring reporting accuracy, preventing fraud, and safeguarding the organization's physical and intangible assets.

Answers

1. Inventory control is the controlling tool described in the first scenario.

2. Internal control is the controlling tool described in the second scenario.

Inventory control is the controlling tool described in the first scenario and internal control is the controlling tool described in the second scenario.

What is inventory control?

Inventory control is the process of managing and maintaining the right level of inventory for a business, in order to prevent stock shortages, overstocking, and associated costs. It involves monitoring inventory levels, ordering and receiving goods, and keeping track of inventory movements and changes.

Internal control is a system of policies, procedures, and practices established within an organization to ensure that its operations are conducted in an orderly and efficient manner, its financial information is reliable, and it complies with applicable laws and regulations. The goal of internal control is to minimize risks and prevent or detect errors, fraud, or other irregularities that could have a significant impact on the organization.

Therefore, inventory control is the controlling tool described in the first scenario and internal control is the controlling tool described in the second scenario.

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At Toyota, choosing a supplier is a long, drawn-out process that involves verifying whether the supplier will mesh with the supply network. In some cases, suppliers are selected because they have innovations that improve processes or decrease costs. Both new and existing suppliers are expected to share their innovations with other suppliers that supply similar products. Thus, being a supplier brings along with it an opportunity to receive ideas generated across the supply network. Toyota's goal is to minimize the number of suppliers and create long-term partnerships by nurturing existing suppliers to expand and grow with Toyota instead of growing the number of suppliers to induce competitive price bidding. Individual suppliers receive a contract for a fraction of the total market over the life of a model. Empirical data collected by Japanese economist Asanuma4 suggest that suppliers are promised all of the orders associated with a market segment (e.g., exports versus domestic) or a fixed fraction of a certain market (e.g., a fraction of the domestic market volume) or all of the orders for a particular car model. The goal of the supplier is to maintain delivery performance, high quality, productivity improvements, and so on, over the life of the model. Asanuma's study suggests little use for the supplier as a source of slack capacity. Asanuma studied the Japanese auto industry, the rice cooker industry, and the electronics industry. These three industries differ in their product life cycles, ranging from four years to one year to a few months. Some key features in managing suppliers included independent but closely linked suppliers, long-term relationships, frequent collaboration, exchange of employees between companies over long periods, and cross-linked shareholding. The impact has been observed in terms of long-term cooperation in innovation, cost-cutting, quick response to demand fluctuations, and high levels of trust. The Independent Institute of Education (Pty) Ltd 2023 21; 22; 23 Page 4 of 5 2023 However, the extent of close relationships varies across suppliers and products and over time as is warranted by competitive forces for the end product. Thus, while suppliers often are organized as a keiretsu (a group of companies with investments in one another), their role varies across product types. Note: you are required to provide a paraphrased overview of the factor before providing at least 3 application points. Source Available at: https://www.ineak.com/toyota-managing-suppliers/ [Accessed 27 February 2023]. Q.2.1 Explain how Toyota uses quality as a factor when selecting suppliers. (10)​

Answers

Toyota takes quality into consideration as a pivotal point in their supplier selection process.

How does Toyota ensure quality

Evaluation of the potential suppliers concentrates on confirming whether their quality management system is compatible with Toyota’s supply network.

Additionally, Toyota assesses the quality performance and record of the suppliers; that includes product imperfections, punctuality, and customer contentment analysation.

Suppliers should bear responsibility for upholding their delivery rates, high standards of quality, as well as executing continual productivity advancements during the lifecycle of the model.

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Part 1
At the beginning of the current​ year, Cameron and Harold formed the CH Partnership by transferring cash and property to the partnership in exchange for a partnership​ interest, with each having a​ 50% interest.​ Specifically, Cameron transferred property having a $70,000 ​FMV, a $34,000 adjusted​ basis, and subject to a $7,000 ​liability, which the partnership assumed. Harold contributed $25,000 cash to the partnership. The partnership also borrowed $25,000 from the bank to use in its operations. All liabilities are recourse for which the partners have an equal economic risk of loss. During the current​ year, the partnership earned $23,000 of net ordinary income and reinvested this amount in new property

Answers

Based on the information provided in the question, the CH Partnership has earned net ordinary income of $23,000 during the current year and reinvested that amount in new property.

CH Partnership is not clear from the information provided what the financial risk of this investment is compared to the other options listed in the previous question. However, we can assume that starting a partnership involves some level of financial risk, particularly given the potential for liabilities and the need for funds to cover operating expenses.

It is important for partners to carefully evaluate their options and consider the potential risks before making such an investment. Additionally, it may be wise to consult with a financial advisor or investment professional to help assess the risks and make informed decisions based on the individual's unique circumstances and goals.

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