The United States can best be described as having a
a.)modified private enterprise system
b.)traditional system
c.)command economy
d.)pure free enterprise system

Answers

Answer 1

The United States can best be described as having a modified private enterprise system. This means that while the country operates within the framework of capitalism and free enterprise, there are certain regulations and government interventions in place to ensure that the system is fair and works for the benefit of everyone.

For example, the government may regulate certain industries to prevent monopolies, ensure workplace safety, and protect the environment. Additionally, the government provides public goods such as infrastructure, education, and healthcare. This modified system allows for innovation and competition, while also ensuring that the market operates in a way that benefits society as a whole. While the United States is not a pure free enterprise system, it is not a traditional system or command economy either. A traditional system is one where economic decisions are based on customs and traditions, while a command economy is one where the government controls all aspects of the economy. In the United States, private enterprise is the main driver of the economy, but the government plays an important role in regulating and supporting it.

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(Please No handwriting, Please type the answers)
A. What is a mark-up and VAT?
B. A retailer buys a table from the wholesaler at OMR 210 and the wholesaler charges a VAT at the rate prescribed rate of 5%. The retailer fixes the price at OMR 250 and charges VAT at the same rate. Answer the following questions.
1. What is the price that a consumer must pay to buy the table?
2. How much is the input and output tax?
3. How much VAT does the retailer pay to the government?

Answers

A. Mark-up is the difference between the cost price and the selling price of a product. VAT (Value Added Tax) is a type of tax that is added to the value of goods or services at each stage of production or distribution.

B.
1. The price that a consumer must pay to buy the table is OMR 262.50.
2. Input tax  = OMR 10.50
   Output tax = OMR 12.50
3. The retailer pays OMR 2 in VAT to the government.

A.

Mark-up: The difference between the cost price of a product and its selling price. It is the amount added to the cost price to cover the overheads and profits of the retailer.

VAT (Value Added Tax): It is a tax that is charged on the value added to a product at each stage of the production and distribution process. It is ultimately paid by the end consumer.

B.

The price that a consumer must pay = Selling price + VAT

Selling price = OMR 250

VAT = 5% of selling price = 5% of OMR 250 = OMR 12.50

Price that a consumer must pay = OMR 250 + OMR 12.50 = OMR 262.50

Input tax:

The retailer pays input tax on the purchase of the table from the wholesaler. Input tax is the tax paid on purchases and is deducted from the tax collected on sales. Input tax = 5% of OMR 210 = OMR 10.50

Output tax:

The retailer collects output tax on the sale of the table to the consumer. Output tax is the tax collected on sales. Output tax = 5% of OMR 250 = OMR 12.50

VAT payable to the government:

VAT payable to the government = Output tax - Input tax

VAT payable to the government = OMR 12.50 - OMR 10.50 = OMR 2.00

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The largest amount of spending for alternative advertising in the United States focuses on:
A) brand entertainment
B) online/mobile
C) interactive marketing
D) social media

Answers

According to current research, the largest amount of spending for alternative advertising in the United States focuses on online/mobile advertising.

This includes various forms of digital marketing such as banner ads, video ads, social media ads, and mobile app advertising. While brand entertainment, interactive marketing, and social media also play important roles in alternative advertising, online/mobile advertising currently receives the highest amount of investment and attention from marketers.
The largest amount of spending for alternative advertising in the United States focuses on B) online/mobile.

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a bank has an interest rate spread of 150 basis points on $30 million in earning assets funded by interest-bearing liabilities. however, the interest rate on its assets is fixed and the interest rate on its liabilities is variable. if all interest rates go up 50 basis points, the bank's new pretax net interest income will be . $300,000 $600,000 $250,000 450,000

Answers

The bank's new pretax net interest income will be $450,000.

How to determine the bank's new pretax net interest income

Based on the given information, if all interest rates go up by 50 basis points, the bank's new pretax net interest income will be $450,000.

Interest rate spread: 150 basis points (1.50%)

Earning assets: $30 million

Interest rate on assets: fixed

Interest rate on liabilities: variable

When interest rates increase by 50 basis points, the interest rate on the bank's liabilities will also increase by 50 basis points.

Since the interest rate on assets is fixed, it remains unchanged. The new interest rate spread will be 100 basis points (1.50% - 0.50% = 1.00%).

To calculate the new pretax net interest income, multiply the new interest rate spread by the amount of earning assets:

New pretax net interest income = (New interest rate spread) x (Earning assets) = 1.00% x $30 million = $300,000

However, since the original net interest income was based on a 150 basis point spread, we need to add that to the $300,000 to find the total:

Original net interest income = 1.50% x $30 million = $450,000

The difference between the original and new net interest income is:

$450,000 (original) - $300,000 (new) = $150,000

Adding this difference back to the original net interest income, we get:

$450,000 + $150,000 = $450,000 (after the increase)

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ampbell argues that selection may operate against women who take great physical risks such as inflicting physical aggression on others because

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Campbell argues that selection may operate against women who take great physical risks such as inflicting physical aggression on others because historically, women have been the primary caregivers and providers of offspring.

Engaging in physical aggression could lead to injury or death, making it difficult for women to care for and provide for their children. Additionally, women who display aggressive behavior may be viewed negatively by potential mates, making it harder for them to reproduce and pass on their genes.

Therefore, natural selection may favor women who avoid physical aggression and instead use alternative strategies to protect themselves and their offspring, such as forming alliances or using verbal communication.

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part 4- loanable funds- fill out the chart. demand or supply or real interest rate 17. to decrease unemployment, the government deficit spends 18. political unrest causes foreigners to take money out of the economy. 19. businesses expect lower sales and worse economic conditions. 20. in anticipation of longer life expectancy, people begin to save more

Answers

To decrease unemployment, the government deficit spends: Demand for loanable funds ↑ and Real Interest Rate ↑

The given scenarios, considering the impact on demand or supply of loanable funds and the real interest rate:

To decrease unemployment, the government deficit spends:


- Demand for loanable funds ↑ (The government needs to borrow more funds to finance its deficit spending)


- Real Interest Rate ↑ (Higher demand for loanable funds will increase the real interest rate)

Political unrest causes foreigners to take money out of the economy:


- Supply of loanable funds ↓ (Foreigners withdrawing their money reduces the available funds in the economy)


- Real Interest Rate ↑ (With a lower supply of funds, the real interest rate will rise)

Businesses expect lower sales and worse economic conditions:


- Demand for loanable funds ↓ (Businesses will be less likely to borrow funds for investment due to lower expected returns)
- Real Interest Rate ↓ (Decreased demand for loanable funds will lead to lower real interest rates)

In anticipation of longer life expectancy, people begin to save more:


- Supply of loanable funds ↑ (More savings means an increased supply of funds available for lending)
- Real Interest Rate ↓ (With a higher supply of loanable funds, the real interest rate will decrease)

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Complete question:

Loanable Funds- Fill out the chart. Demand or Supply ↑ or ↓ Real Interest Rate?

To decrease unemployment, the government deficit spends

Political unrest causes foreigners to take money out of the economy.

Businesses expect lower sales and worse economic conditions.

In anticipation of longer life expectancy, people begin to save more

compute cost of goods sold using the cost of goods method and perpetual system. input your numerical answer. do not use dollar signs, commas or decimals. round to the nearest whole dollar.

Answers

To compute the cost of goods sold using the cost of goods method and the perpetual system, I need the following information:

1. Beginning inventory cost
2. Purchases made during the period
3. Ending inventory cost

The cost of goods sold is the difference between the beginning inventory added to the period's purchases or finished goods while subtracting the ending inventory.

In other words, the cost of goods sold is the difference between the cost of goods available for sale and the ending inventory.

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using the pilot studys result as the guess value for p^, how large a random sample is required to obtain a margin of error?

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Using the pilot study's result as the guess value for p^ can help estimate the population proportion, but the sample size required to obtain a margin of error depends on other factors such as the confidence level, desired margin of error, and population size.

To determine the sample size required to obtain a margin of error, you need to know the confidence level, desired margin of error, and the population size. Using the pilot study's result as the guess value for p^ can be helpful in estimating the population proportion, but it does not affect the calculation of the sample size needed for a certain margin of error.

For example, if you want a margin of error of +/- 3% with a 95% confidence level and a population size of 100,000, you would need a sample size of approximately 1,067. This calculation takes into account the variability of the population and ensures that the sample is large enough to accurately estimate the population proportion within the desired margin of error.

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When marketing researchers consider sampling techniques, they are preparing to collect ___________ data.
a) census
b) statistical
c) internal secondary
d) external secondary
e) primary

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When marketing researchers consider sampling techniques, they are preparing to collect primary data. Primary data is collected for the first time by the researcher or their team through various methods such as surveys, focus groups, interviews, and observations.

It is specific to the research question and objective, and therefore, it is relevant to the research problem. Researchers select participants through sampling techniques such as random sampling, stratified sampling, or convenience sampling.

On the other hand, secondary data is data that already exists and is collected by someone else for their purposes. External secondary data is collected by sources outside the organization, such as government agencies, industry associations, or research firms, and internal secondary data is collected within the organization, such as sales records, customer complaints, or feedback.

A census is a type of survey that collects data from all members of a population. Statistical data refers to data that has already been analyzed and presented in a statistical form. Therefore, the correct answer to the question is primary data as marketing researchers use sampling techniques to collect primary data for their research projects.

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The Everly Equipment Company's flange-lipping machine was purchased 5 years ago for $80,000. It had an expected life of 10 years when it was bought and its remaining depreciation is $8,000 per year fo As the older flange-lippers are robust and useful machines, it can be sold for $20,000 at the end of its useful life.d. A new high-efficiency digital-controlled flange-lipper can be purchased for $130,000, including installation costs.e. During its 5-year life, it will reduce cash operating expenses by $50,000 per year, although it will not affect sales.f. At the end of its useful life, the high-efficiency machine is estimated to be worthless. MACRS depreciation will be used, and the machine will be depreciated over its 3-year class life rather than its 5-year economic life, so the applicable depreciation rates are 33.33%, 44.45%, 14.81%, and 7.41%.g. The old machine can be sold today for $55,000. The firm's tax rate is 35%, and the appropriate WACC is 15%.

Answers

You would need to conduct a net present value (NPV) analysis, taking into account the cash flows, tax savings from depreciation, and the cost of capital (WACC), in order to make an informed choice.

Based on the information provided, I understand that you are comparing the old flange-lipping machine with a new high-efficiency machine. Let me summarize the key points for each option:

Old Machine:
- Purchased 5 years ago for $80,000
- Remaining depreciation is $8,000 per year
- Can be sold for $20,000 at the end of its useful life
- Can be sold today for $55,000

New Machine:
- Purchase cost is $130,000 (including installation)
- Reduces cash operating expenses by $50,000 per year for 5 years
- Worthless at the end of its useful life
- MACRS depreciation rates: 33.33%, 44.45%, 14.81%, and 7.41%
- Firm's tax rate: 35%
- WACC: 15%

To make an informed decision, you would need to perform a net present value (NPV) analysis by considering the cash flows, tax savings from depreciation, and the cost of capital (WACC). Comparing the NPV of both options will help you determine whether it is financially beneficial to replace the old machine with the new high-efficiency machine.

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if current assets equal current liabilities and other things are held constant, which of the following will not affect the quick ratio?

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If current assets equal current liabilities and other things are held constant, the factor that will not affect the quick ratio is: changes in long-term liabilities.

The quick ratio is calculated as follows:
Quick Ratio = (Current Assets - Inventory) / Current Liabilities

Since current assets equal current liabilities, any changes in long-term liabilities will not affect the quick ratio because long-term liabilities are not part of the quick ratio formula. The quick ratio focuses on the company's short-term liquidity and its ability to meet short-term obligations without relying on the sale of inventory.

Quick Ratio, also known as Acid-Test Ratio, is a financial metric that measures a company's ability to pay its current liabilities using its most liquid assets. It excludes inventory from current assets as it is not easily convertible to cash. A higher quick ratio indicates that a company can meet its short-term obligations without having to sell inventory.

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a progressive tax system is one where
a. mariginal tax rates are low
b. marignal tax rates are high
c. higher income taxpayers pay more taxes than do lower income taxpayers
d. higher income taxpayers pay a greater percentage of their income in taxes than do lower income taxpayers

Answers

A progressive tax system is one where:
d. higher income taxpayers pay a greater percentage of their income in taxes than do lower income taxpayers.

In a progressive tax system, as an individual's income increases, the tax rate applied to their income also increases. This results in higher-income taxpayers paying a larger percentage of their income in taxes compared to lower-income taxpayers.

A progressive tax is a tax system where the percentage of tax paid by an individual increases as their income increases. The idea behind a progressive tax is that those with higher incomes should pay a higher percentage of their income in taxes than those with lower incomes. This system is designed to promote fairness and redistribute wealth by ensuring that those who can afford to pay more taxes do so.

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20. Pro forma financial statements are not:
A. the most comprehensive means of financial forecasting.
B. often required by prospective creditors.
C. projections of financial statements for a future period.
D. part of the year end filing with the securities regulator.

Answers

Pro forma financial statements are projections of financial statements for a future period.

Pro forma financial statements are used to estimate the future financial performance of a company based on certain assumptions and hypothetical scenarios. These statements are not actual financial statements but rather a way of projecting how a company's financial statements would look if certain events or transactions took place. Pro forma financial statements are useful for evaluating the potential impact of mergers, acquisitions, or other significant business transactions.

While pro forma financial statements can be useful, they are not the most comprehensive means of financial forecasting. Other methods, such as detailed financial models and scenario analysis, may provide a more detailed and accurate view of a company's financial future. Additionally, pro forma financial statements are not always required by prospective creditors and are not part of the year-end filing with the securities regulator.

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6. A firm has forecasted sales of $3,000 in April, $4,500 in May, and $6,500 in June. All sales are on credit. 30% is collected the month of sale and the remainder the following month. What will be the balance in accounts receivable at the end of June?
A. $1,950
B. $6,500
C. $4,550
D. $5,100

Answers

The balance in accounts receivable at the end of June can be calculated using the given information on forecasted sales and collection percentages. In April, sales are $3,000, so 30% is collected that month ($3,000 * 0.30 = $900), and the remaining 70% ($3,000 * 0.70 = $2,100) is collected in May.

In May, sales are $4,500, so 30% is collected that month ($4,500 * 0.30 = $1,350), and the remaining 70% ($4,500 * 0.70 = $3,150) is collected in June. In June, sales are $6,500, and 30% is collected that month ($6,500 * 0.30 = $1,950). To find the accounts receivable balance at the end of June, we need to add the uncollected amounts from May and June. The uncollected amount from May is $3,150, and the uncollected amount from June is 70% of June sales ($6,500 * 0.70 = $4,550). Therefore, the balance in accounts receivable at the end of June is $3,150 + $4,550 = $7,700. However, this value does not match any of the given options (A, B, C, or D), indicating an error in the options provided.

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Camber Company habcnt Account that control account of 510 500 on January 1, 2022. The bary ledger contain the counts Border Company balance 53000, Cuber Compact 1.000 and Free Company Ouring January the following reciented transaction Gredit Sales Collection de Company $9.200 $8,100 50 Cuddyer Company 7.000 2500 2.300 Free Company 3.200 9.200 0 What is the January 1 balance in the Free Company Subsidiary account? Balance in the Freeze Company Subsidiary account 5 e Textbook and Media What is the January 31 balance in the control account? Batang Glance in the control account Textbook and Media Compute the balances in the subsidiary accounts at the end of the month Bader $ Cuddyer 5 Free $ RTextbook and Media Which January transaction would not be recorded in a specialjoumal

Answers

The January 1 balance in the Free Company subsidiary account is $0 since it is not mentioned in the ledger.

To find the January 31 balance in the control account, we need to add up all the debits and credits in the subsidiary accounts:

Border Company: $53,000

Cuber Compact: $1,000

Free Company: $3,200 (credit sales) - $9,200 (collections) = -$6,000

Total debits = $61,200, total credits = $17,800. Therefore, the January 31 balance in the control account is $43,400 (debit balance).

The balances in the subsidiary accounts at the end of the month are:

Bader Company: $9,200 - $8,100 = $1,100 (debit balance)

Cuddyer Company: $7,000 - $2,500 = $4,500 (debit balance)

Free Company: $0 - $3,200 + $9,200 = $6,000 (credit balance)

The transaction that would not be recorded in a special journal is the "Collection from de Company" for $8,100 since it is a cash receipt and would be recorded in the cash receipts journal.

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A(n) _____ shows the proportion of employees in different job categories at different times.
A) invertible matrix
B) transitional matrix
C) definite matrix
D) task role matrix
E) orthogonal matrix

Answers

A option B) transitional matrix shows the proportion of employees in different job categories at different times.

A transitional matrix, also known as a Markov matrix, is a square matrix that shows the proportion of employees in different job categories at different times. It is used to analyze workforce changes over time and predict future workforce trends. The matrix is often used in HR analytics to monitor and improve workforce diversity, retention rates, and career development opportunities. It helps organizations identify skill gaps, plan for succession, and make informed decisions about workforce planning. A transitional matrix is created by dividing the number of employees in each job category by the total number of employees and arranging them in a matrix format. It is a valuable tool for HR professionals to ensure that their organization's workforce is aligned with their strategic goals.

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mendez company has identified an investment project with the following cash flows. year cash flow 1 $ 900 2 1,290 3 1,550 4 1,725 a. if the discount rate is 7 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. what is the present value at 20 percent? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c. what is the present value at 30 percent? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The present value of these cash flows at a discount rate of 30 percent is $2,025.04.

Mendez Company has identified an investment project with the cash flows listed below:
Year Cash Flow1 $9002 $1,2903 $1,5504 $1,725a. To find the present value of these cash flows at a discount rate of 7 percent, we use the formula:PV = CF1 / (1+r)^1 + CF2 / (1+r)^2 + CF3 / (1+r)^3 + CF4 / (1+r)^4where PV is the present value, CF is the cash flow, r is the discount rate.Plugging in the numbers, we get:PV = 900 / (1+0.07)^1 + 1,290 / (1+0.07)^2 + 1,550 / (1+0.07)^3 + 1,725 / (1+0.07)^4PV = $4,108.02

Therefore, the present value of these cash flows at a discount rate of 7 percent is $4,108.02.b. To find the presentvalue of these cash flows at a discount rate of 20 percent, we use the same formula but with a different discount rate:PV = 900 / (1+0.20)^1 + 1,290 / (1+0.20)^2 + 1,550 / (1+0.20)^3 + 1,725 / (1+0.20)^4PV = $2,618.50Therefore, the present value of these cash flows at a discount rate of 20 percent is $2,618.50.c. To find the present value of these cash flows at a discount rate of 30 percent,

PV = 900 / (1+0.30)^1 + 1,290 / (1+0.30)^2 + 1,550 / (1+0.30)^3 + 1,725 / (1+0.30)^4PV = $2,025.04Therefore, the present value of these cash flows at a discount rate of 30 percent is $2,025.04.

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T/F withdrawing employee accounts receivable from the employee paycheck is an acceptable form of payment

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The statement "withdrawing employee accounts receivable from the employee paycheck is an acceptable form of payment" is false.

Employee accounts receivable are amounts owed to the employee by the company, typically for expenses that the employee has incurred on behalf of the company, such as travel expenses or supplies. These amounts are not wages or salaries that are earned by the employee for their work, and therefore cannot be withheld from their paycheck as payment.

Instead, employee accounts receivable should be managed separately from payroll and reimbursed to the employee as soon as possible. The company may have policies and procedures in place for managing employee expenses and reimbursements, such as requiring receipts or setting limits on expenses. It is important for both the company and the employee to accurately track and document these transactions to ensure proper accounting and tax reporting.

Withdrawing employee accounts receivable from the employee paycheck could also violate labor laws and employment contracts. It is important for employers to understand their legal obligations and responsibilities when it comes to payroll and employee compensation. Any deviations from these requirements could result in legal and financial consequences for the company.

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Q2. What is the concept of "Fair Value? Outline the basicdifference between fair value and book value of an asset. Explainthe key features of fair value defined by FASB ASC.(

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Fair value is a financial concept that is used to determine the market value of an asset or liability at a specific point in time. It represents the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

The basic difference between fair value and book value of an asset is that book value is the historical cost of an asset, which is adjusted for depreciation, amortization or impairment, whereas fair value is the current market value of an asset, which is determined by supply and demand forces in the market.

According to FASB ASC (Financial Accounting Standards Board Accounting Standards Codification), fair value is defined as "the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date." The key features of fair value defined by FASB ASC include:

1. Market-Based: Fair value is based on the price that would be received in an active, orderly market for the asset or liability being valued.

2. Exit Price: Fair value represents the price that would be received to sell the asset or paid to transfer the liability, not the price that would be paid to acquire the asset.

3. Valuation Techniques: Fair value can be determined using various valuation techniques, including market approaches, income approaches, and cost approaches.

4. Disclosure: Fair value measurements require extensive disclosures that provide users of financial statements with information about the inputs, assumptions, and methods used to determine fair value.

In summary, fair value is an important concept in accounting that is used to determine the market value of an asset or liability. It is different from book value, which represents the historical cost of an asset. The key features of fair value defined by FASB ASC include market-based, exit price, valuation techniques, and disclosure.

Fujio Mitarai, Chairman and CEO of Canon has turned around Canon’s fortunes and multiplied its net profit since becoming chairman and CEO at this global camera, printer and photostat machine maker. Mitarai has made many changes in Canon that reflects his conscientiousness and openness to experience. To revitalise Canon he needed to take bold steps by shutting down weak businesses and divisions and pushing employees to find ways to cut costs and for rewarding employees for increasing sales and profitability. His openness to experience has served him well all his life. As a child who only knew the Japanese language and culture, he longed to go overseas. After a few years in Canon Japan, he transferred to Canon New York where he served for 23 years, building the camera and copier business for canon in USA. Mitarai’s openness to both the Japanese and the American ways of managing has led him to be role model for other executives and he has been named one of Business Week’s "Best Managers". For example, consistent with American practices, he believes in merit pay to reward high performers and consistent with Japanese practices, he values loyalty and lifetime employment. Rather than appoint outsiders to the board of directors, he prefers the contributions insiders can make. At the same time he empowers auditors to play a more active role in corporate governance. Mitarai’s openness to experience is pushing Canon in new directions. For example, he envisions by 2020, equipment used in medical fields will be a significant part of Canon’s business. Researchers in Canon are working with researchers in Japanese and American universities to create medical imaging technologies and Mitarai hopes to create a major Research and Development centre in United States to develop new technologies and products. Protecting the environment is also important for Mitarai. He says, "We want to create a more environmentally friendly cycle for our products. " Thus, Canon has built a new factory in United States to make toners and cartridges so that cartridges will no longer be needed to be shipped from Asia in ocean freighters that pollute the environment. (Source: adapted from George J. M, Jones G. R (2012) Understanding and managing Organisational Behaviour, 6th edition, Pearson Education, pg 46)

Question 1 Using The Big Five Model of Personality, explain Fujio Mitarai’s personality. (30 marks)

Question 2 Explain how Mitarai has integrated elements of American and Japanese culture in Canon. (30marks)

Question 3 Describe how Mitarai’s personality contributes to Canon’s success. (40marks)

Answers

Using The Big Five Model of Personality, Fujio Mitarai’s personalities are Openness to Experience, Conscientiousness, Extraversion, Agreeableness, Neuroticism.

According to the Big Five Model of Personality, Fujio Mitarai’s personality can be explained as follows:

Openness to Experience: Mitarai’s openness to experience is evident in his desire to learn about different cultures and his willingness to take bold steps to revitalize Canon. He has also demonstrated openness to new business directions, such as entering the medical imaging field.

Conscientiousness: Mitarai’s conscientiousness is evident in his focus on cutting costs and increasing profitability at Canon. He has also emphasized the importance of creating environmentally friendly products.

Extraversion: While there is limited information about Mitarai’s extraversion, his success in building the camera and copier business for Canon in the USA suggests that he is comfortable in networking and socializing with others.

Agreeableness: Mitarai’s agreeableness is demonstrated by his belief in valuing loyalty and lifetime employment for employees, as well as his preference for having insiders on the board of directors.

Neuroticism: There is limited information about Mitarai’s neuroticism, but his success in turning around Canon’s fortunes suggests that he is able to handle stress and adversity effectively.

Mitarai has integrated elements of American and Japanese culture in Canon in the following ways:

Rewarding high performers with merit pay is a practice that is consistent with American culture, while valuing loyalty and lifetime employment is consistent with Japanese culture. Mitarai has also demonstrated openness to both Japanese and American ways of managing, and has been able to incorporate the best practices from both cultures.

While preferring insiders on the board of directors is consistent with Japanese culture, empowering auditors to play a more active role in corporate governance is a practice that is more consistent with American culture. Canon’s focus on creating environmentally friendly products reflects a global concern that is not specific to either Japanese or American culture.

Mitarai’s personality has contributed to Canon’s success in the following ways:

His openness to experience has allowed him to identify new business directions and opportunities for growth, such as entering the medical imaging field. His conscientiousness has led him to focus on cutting costs and increasing profitability at Canon, which has helped to turn the company around.

His agreeableness is reflected in his belief in valuing loyalty and lifetime employment for employees, which has helped to create a positive work environment. Mitarai’s ability to integrate elements of both American and Japanese culture in Canon has allowed the company to benefit from the best practices of both cultures. Mitarai’s leadership style and personality have contributed to a positive organizational culture at Canon, which has helped to drive the company’s success.

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The [answer] will determine whether or not an apprentice succeeds in becoming a Journeyman Electrical Worker.

Answers

The answer to this question lies in the apprentice's dedication and commitment to their education and training. While passing exams and completing courses are important components of the journey to becoming a Journeyman Electrical Worker, it is the individual's attitude and work ethic that ultimately determines their success.

A positive attitude, strong work ethic, and willingness to learn and improve are essential traits for any successful apprentice. Additionally, having a supportive mentor and a strong network of colleagues in the industry can greatly benefit an apprentice's growth and development. Ultimately, it is up to the apprentice to put in the effort and hard work necessary to become a skilled and knowledgeable Journeyman Electrical Worker.

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Alpha Company owns 30% of the outstanding common stock of Bravo Company. During the year, Bravo Company reports net income of $150,000 and pays dividends of $50,000. When the consolidated statement of cash flows is prepared, Alpha will reduce operating income by what amount due to the "undistributed subsidiary income"? $30,000 $50,000 $100,000 $150,000

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Alpha Company owns 30% of the outstanding common stock of Bravo Company. , when the consolidated statement of cash flows is prepared, Alpha will reduce operating income by $30,000 due to the "undistributed subsidiary income."

Undistributed Earnings are defined as, as of any date, the greater of (but not less than zero):

(i) the retained earnings (or similar entry) shown on the Company's audited financial statements for the prior Fiscal Year plus an estimated by the Company of additions to or subtractions from such retained earnings through such date of computation; and

(ii) the "accumulated adjustments account" (or similar computation) of the Company for the prior taxable year of the Company P.

1. Calculate Alpha's share of Bravo's net income: 30% x $150,000 = $45,000

2. Calculate Alpha's share of Bravo's dividends: 30% x $50,000 = $15,000

3. Determine the undistributed subsidiary income: Alpha's share of net income - Alpha's share of dividends = $45,000 - $15,000 = $30,000

So, when the consolidated statement of cash flows is prepared, Alpha will reduce operating income by $30,000 due to the "undistributed subsidiary income."

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Cornwell Industries stock has a beta of 115. The company just paid a dividend of $.45, and the dividends are expected to grow at 4%. The expected return on the market is 11%, and Treasury bills are yielding 3.7%. The most recent stock price for the company is $72. a. Calculate the cost of equity using the dividend growth model method. (Do not round intermediate calculations.

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Pretax cost of debt is therefore 10.809% of YTM. The recent dividend payment from the corporation was $1.44, and a 4% growth in dividends is anticipated. 10% is what the market is predicted to return.

1.5% of dividends are paid out by Dorpac Corporation. In addition to dividends expected to increase steadily, Dorpac's equity cost of capital is 8%.It is possible to determine the price using the Dividend Discount Model (DDM). a measure of how quickly earnings per share are expected to increase in the long run. A $.30 dividend was just paid by the corporation, and annual dividend growth is anticipated to be 4%.

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You need to inform several individuals about a new set of government regulations that will soon affect them. Which of these options would most likely be both efficient and effective? Check all that apply.
a.Use social media
b.Send an email, including a link to details about the new regulations
c.Send a memorandum, including information about the new regulations

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All three options could be effective in informing individuals about new government regulations.

However, the most efficient and effective option would depend on the specific audience and their preferred methods of communication. Here are some considerations for each option:

a. Use social media: This option can be a quick and efficient way to reach a large number of people. However, it may not be the most effective option if the audience is not active on social media or if the information is complex and requires detailed explanation.

b. Send an email, including a link to details about the new regulations: This option is more targeted than social media and can allow for more detailed information to be shared. However, it may not be the most efficient option if the audience is large and individual emails need to be sent.

c. Send a memorandum, including information about the new regulations: This option can be effective for a more formal communication, particularly if the audience is within an organization or business. However, it may not be the most efficient option if the audience is widespread and the information is time-sensitive.

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Benefits of being a member of a common market, or "trading bloc" include:

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There are several benefits of being a member of a common market, or "trading bloc," including:

Increased trade: Members of a common market can trade goods and services with each other more easily and with fewer barriers, which can lead to increased trade volumes and greater economic growth.

Access to a larger market: By joining a common market, companies in member countries can access a larger market of consumers, which can provide new opportunities for growth and expansion.

Increased investment: Common markets can attract increased investment from both domestic and foreign investors, who may be attracted by the larger market and more favorable business conditions.

Shared resources: Members of a common market can share resources and expertise in areas such as research and development, infrastructure, and education, which can lead to greater innovation and competitiveness.

Political cooperation: Common markets can foster greater political cooperation and stability among member countries, which can help to promote peace and security in the region.

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Krell Industries has a share price of $22.03 today. If Krell is expected to pay a dividend of $0.98 this year and its stock price is expected to grow to $24.96 at the end of the year, what is Krell's dividend yield and equity cost of capital? The dividend yield is%. (Round to one decimal place.) The capital gain rate is%. (Round to one decimal place.) The total return is%. (Round to one decimal place.)

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Krell Industries' dividend yield is 4.45%, the capital gain rate is 13.32%, and the total return is 17.77%.

To calculate Krell Industries' dividend yield, we divide the expected dividend by the current stock price:

Dividend Yield = (Expected Dividend / Current Stock Price) x 100%
Dividend Yield = ($0.98 / $22.03) x 100%
Dividend Yield = 4.45%

To calculate the capital gain rate, we subtract the current stock price from the expected stock price and divide by the current stock price:

Capital Gain Rate = ((Expected Stock Price - Current Stock Price) / Current Stock Price) x 100%
Capital Gain Rate = (($24.96 - $22.03) / $22.03) x 100%
Capital Gain Rate = 13.32%

The total return is the sum of the dividend yield and capital gain rate:

Total Return = Dividend Yield + Capital Gain Rate
Total Return = 4.45% + 13.32%
Total Return = 17.77%

Therefore, Krell Industries' dividend yield is 4.45%, the capital gain rate is 13.32%, and the total return is 17.77%.

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The Summit Petroleum Corporation will purchase an asset that qualifies for three-year MACRS depreciation. The cost is $160,000 and the asset will provide the following stream of earnings before depreciation and taxes for the next four years: Use Table 12-12. Year 1 $ 70,000 Year 2 85,000 Year 3 42,000 Year 4 40,000 The firm is in a 35 percent tax bracket and has an 8 percent cost of capital. Use Appendix B for an approximate answer but calculate your final answer using the formula and financial calculator methods. a. Calculate the net present value

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The net present value of the asset purchase is -$123,893, which means that the investment is not profitable at the current cost of capital and tax rate.

To calculate the net present value (NPV) of the asset purchase, we need to calculate the present value of the cash flows and subtract the initial cost of the asset.

First, we need to calculate the depreciation expense for each year using the MACRS method for a 3-year asset. According to Table B-2, the depreciation percentages are 33.33%, 44.45%, 14.81%, and 7.41% for years 1 to 4, respectively. Therefore, the annual depreciation expenses are:

Year 1: $160,000 x 33.33% = $53,328

Year 2: $160,000 x 44.45% = $71,120

Year 3: $160,000 x 14.81% = $23,696

Year 4: $160,000 x 7.41% = $11,856

Next, we need to calculate the earnings after depreciation and taxes (EADT) for each year. To do this, we subtract the depreciation expense from the earnings before depreciation and taxes (EBDT) and then subtract the taxes, which are calculated as 35% of the EBDT.

Year 1: ($70,000 - $53,328) x (1 - 0.35) = $8,669

Year 2: ($85,000 - $71,120) x (1 - 0.35) = $8,546

Year 3: ($42,000 - $23,696) x (1 - 0.35) = $9,982

Year 4: ($40,000 - $11,856) x (1 - 0.35) = $19,684

Now we can calculate the present value of each cash flow using the formula:

PV = CF / (1 + r)t

where PV is the present value, CF is the cash flow, r is the discount rate (8%), and t is the number of years in the future.

Year 1: $8,669 / (1 + 0.08)1 = $8,022

Year 2: $8,546 / (1 + 0.08)2 = $7,489

Year 3: $9,982 / (1 + 0.08)3 = $7,453

Year 4: $19,684 / (1 + 0.08)4 = $14,143

Finally, we can calculate the NPV by summing the present values and subtracting the initial cost of the asset:

NPV = -$160,000 + $8,022 + $7,489 + $7,453 + $14,143

NPV = -$123,893

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which of the following is a true statement concerning the employer fica taxes: multiple choice question. the employer must pay fica tax in an amount less than the amount paid by the employee. the employer must pay fica tax in an amount greater than the amount paid by the employee. the employer must pay fica tax in an amount equal to that paid by the employee. employers do not have to pay fica taxes.

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The correct answer is "the employer must pay fica tax in an amount equal to that paid by the employee."

FICA stands for the Federal Insurance Contributions Act, which is a payroll tax that funds two programs: Social Security and Medicare. Both employees and employers are required to pay FICA taxes.

For Social Security, the employee and employer each pay 6.2% of the employee's wages, up to a certain amount. For Medicare, the employee and employer each pay 1.45% of the employee's wages, with no wage limit.

Therefore, the employer is required to pay FICA taxes in an amount equal to what the employee pays for both Social Security and Medicare.

The employer is responsible for withholding the employee's portion of FICA taxes from the employee's wages and then remitting the total FICA taxes (employee and employer portions) to the government on a regular basis.

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According to the text, ___________ interpretation focuses on what is typical or what deviates from the average.
a) statistical
b) descriptive
c) exploratory
d) secondary
e) primary

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Statistical interpretation is an important tool for making sense of data and drawing conclusions based on evidence. By focusing on what is typical or what deviates from the average, researchers can gain valuable insights into a particular population or phenomenon, and use this information to inform future research or decision-making.

According to the text, statistical interpretation focuses on what is typical or what deviates from the average. Statistical interpretation involves analyzing and summarizing data using various statistical methods to draw conclusions about a population or sample. This type of interpretation typically focuses on measures of central tendency, such as mean, median, and mode, as well as measures of variability, such as standard deviation and range.

Statistical interpretation is often used in scientific research to analyze data and draw conclusions about a particular phenomenon or population. For example, a researcher might use statistical interpretation to determine the average age of participants in a study, or to identify any significant differences between groups of participants.

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Chhom Corporation makes a product whose direct labor standards are 0.8 hours per unit and $25 per hour. In November the company produced 7,200 units using 5,260 direct labor-hours. The actual direct labor cost was $110,460. The labor efficiency variance for November is: Multiple Choice a. $33,540.0 U b. $12,500. F c. $12,500. U d. $33,540. F

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The labor efficiency variance for November is $12,500 U (option c).

The labor efficiency variance measures the difference between the actual amount of direct labor used and the standard amount of direct labor allowed for the actual production. It is calculated as follows:Labor Efficiency Variance = (Standard Hours - Actual Hours) x Standard Rate

For Chhom Corporation in November:Standard Hours = 0.8 hours per unit x 7,200 units = 5,760 hours,Actual Hours = 5,260 hours,Standard Rate = $25 per hour

Labor Efficiency Variance = (5,760 - 5,260) x $25 = $12,500 U.Therefore, the labor efficiency variance for November is $12,500 U (option c).

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llcs, s corporations, and partnerships do not pay taxes at the organization level; rather these types of activities are - entities whose operating income and losses are allocated to the owners of the entities. (enter only one word per blank.)

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llcs, s companies, and partnerships do not pay taxes at the organisational level; instead, these kinds of operations are carried out by entities that pass through the organisation.

Limited Liability Company (LLC) business structures have gained popularity all over the world. Limited Liability Partnerships (LLPs) and Private or Public Limited Companies are two legal entities that can be registered as LLCs in India. The LLC must submit Form 100S (California S Corporation Franchise or Income Tax Return), which is required because it will be considered by the state as a S corporation. These businesses are regarded as corporations under California corporation tax legislation under both federal and California law.

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