to boost innovation, myriad sales, a third-party sales firm, has focused on hiring for creativity, intrinsic motivation, and demonstrated ability to maintain professional relationships. myriad sales is concentrating on which aspect of its innovation system?

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Answer 1

The Necessary Human Capital component of Myriad Sales' innovation system is its primary focus.

How Does Human Capital Work?

Resources like instruction, preparing, insight, abilities, and wellbeing are instances of human resources, as are different characteristics that businesses esteem, like dedication and dependability. As a result, it is an intangible asset or quality that cannot be listed on a business's balance sheet. Human capital is thought to increase productivity and profitability. The more money a company spends on its employees, the more likely it is to be productive and successful. Human capital is so crucial to a business because, from the top down, it is often said that an organization is only as good as its employees. It typically falls under the purview of an organization's human resources (HR) department, which is in charge of recruiting, managing, and optimizing its workforce. Workforce planning and strategy, recruitment, employee training and development, and reporting and analytics are some of its other directives.

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based on the static theory, what should the managers attempt to maximize and minimize while developing capital structure policy?

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The static theory of capital structure suggests that a company's capital structure should be based on the minimization of the cost of capital while attempting to maximize the market value of the company's equity.

The cost of capital is reduced when more debt is added to the capital structure, however the risk of default rises with increasing debt. Therefore, managers must strike a balance between increasing debt and the associated cost of capital versus the risk of default.

The objective of a firm's capital structure policy should be to find the optimal debt-to-equity ratio, or the balance between debt and equity that maximizes the market value of the firm.

This optimal capital structure will result in the lowest cost of capital for the firm, as it reduces the cost of debt financing and provides access to less expensive sources of capital.

In terms of minimizing, the main thing to minimize is the risk of default. This can be done by managing the firm's debt-to-equity ratio and avoiding taking on too much debt. Taking on too much debt increases the cost of debt financing, as well as the likelihood of default.

Managers must also keep in mind the tax implications of their capital structure decisions, as debt financing is generally tax-deductible, thus resulting in a tax savings for the firm.

In summary, the static theory of capital structure suggests that managers should aim to maximize the market value of the firm's equity by finding the optimal debt-to-equity ratio and minimizing the risk of default, all while keeping in mind the tax implications of their decisions.

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assume a bond's stated rate is 5% and the yield to maturity is 6%, will the bonds sell for par value, above par value, or below par value?

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The bonds will sell at a price above par value since the yield to maturity is higher than the stated rate.

This is because investors are willing to pay a higher price to obtain the higher yield.

In order for a bond to sell at par value, the stated rate and yield to maturity must be the same. When the yield to maturity is higher than the stated rate, the bond will sell at a premium because investors are willing to pay a higher price for the higher yield.

The higher the premium, the higher the yield to maturity is above the stated rate. In the case of this bond, the yield to maturity is 6%, higher than the stated rate of 5%, so the bonds will sell at a price above par value.

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determine net income using the following amounts: rent revenue is $1,760; interest expense is $2,870; and operating income is $71,120.

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To find the net income using the given amounts, we need to follow the steps given below:Give.Net Income = Operating Income - Total Expenses = $71,120 - $4,630 = $66,490Therefore, the net income is $66,490.

Net income is the difference between a company's revenues and its expenses. To calculate net income, use the following formula:Net Income = Revenue - Expenses In this case, the revenue is $1,760 and the expenses are $2,870 + $71,120 = $73,990.Therefore, the net income is: $1,760 - $73,990 = -$72,230.

Rent Revenue = $1,760Interest Expense = $2,870Operating Income = $71,120First, we need to calculate the total expenses using the given interest expense. Total Expenses = Rent Revenue + Interest Expense = $1,760 + $2,870 = $4,630Now, we can find the Net Income using the Operating Income and Total Expenses Net income is calculated using the formula: Operating Income - Expenses = Net Income.

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a tsunami in thailand destroys its tourist industry. in response, tourists who previously went to thailand, now choose to go on vacation to china. what can the chinese government do to prevent inflationary pressures within the chinese economy?

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A tsunami in Thailand destroys its tourist industry. In response, tourists who previously went to Thailand, now choose to go on vacation to china. The Chinese government do to prevent inflationary pressures within the Chinese economy is "Manage exchange rates" and "Control money supply".

The  economy due to an increase in tourism as a result of the tsunami in Thailand, the Chinese government can take the following steps:

The Chinese government can control the money supply by adjusting interest rates or using open market operations to buy or sell government securities. This can help to prevent excessive inflation due to increased demand and increase the supply of goods and services.

The reason is to manage exchange rates and  increase the supply of goods and services of the Chinese government can manage exchange rates to prevent the Chinese currency from appreciating too much, which could lead to inflation. This can be done through interventions in the foreign exchange market or through policies that promote export competitiveness.

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what would be the gdp per working person have been in 1997,given that workforce was 55% of the population

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The GDP per working person in 1997 was approximately 9,761 US dollars.

How did we get the value?

To calculate the GDP per working person in 1997, we need to use the following formula:

GDP per working person = GDP / number of people in the workforce

We also need to know the GDP and the size of the workforce in 1997.

According to the World Bank, the GDP of the world in 1997 was approximately 31.7 trillion US dollars. However, since you haven't specified a particular country or region, I will assume that you are asking about the world GDP.

To determine the size of the workforce, we need to know the total population and the percentage of the population that was in the workforce. You have stated that the workforce was 55% of the population, but you haven't specified whether this is the global population or the population of a particular country or region.

Again, since you haven't specified a particular country or region, I will assume that you are asking about the global workforce.

According to the World Bank, the global population in 1997 was approximately 5.9 billion people.

To calculate the number of people in the global workforce, we multiply the global population by the percentage of the population that was in the workforce:

Number of people in the global workforce = 5.9 billion * 0.55 = 3.245 billion

Now we can use the formula to calculate the GDP per working person:

GDP per working person = 31.7 trillion / 3.245 billion = 9,761 US dollars

Therefore, the GDP per working person in 1997 was approximately 9,761 US dollars.

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providing support to the community is an example of a(n) responsibility for a small business. a. discretionary b. legal c. ethical d. economic

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Providing support to the community is an example of a(n) ethical responsibility for a small business. The correct answer is option c.

What is meant by small business?

A small business is a privately held organization that typically employs fewer than 500 employees. The vast majority of small businesses have fewer than 20 employees. Small businesses are crucial to the nation's economy since they generate income, employment, and growth. These businesses are often founded by entrepreneurs who seek to make their mark in the business world, provide a valuable service, or fill a niche in the marketplace.

Ethical responsibility is the obligation of a company to be ethical in its dealings with the community and the environment in which it operates. A small business has a moral responsibility to protect the environment, foster equality, provide fair labor conditions, and operate with integrity.

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which of the following refers to a name, a term, a symbol, or any other unique element of a product that identifies one firm's product(s) and sets it apart from the competition? group of answer choices brand equity brand trademark brand meaning brand storytelling

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The term that refers to a name, a term, a symbol, or any other unique element of a product that identifies one firm's product(s) and sets it apart from the competition is brand.

A brand is an identifying symbol, name, logo, or slogan that companies use to differentiate their products from competitors.

The aim of a brand is to establish a substantial and distinguished presence in the market that draws and retains loyal consumers. In terms of understanding the concept of the brand, the following aspects are to be taken into consideration:

- The name, mark, or symbol that identifies the product or service distinguishes it from others

- The design and packaging elements that support and enhance the brand's image

- The messaging that helps define the brand and convey its message

- The overall reputation that the brand builds and maintains over time

Brand equity

Brand equity refers to the intangible value that a company brand adds to its products or services. It is a measure of how much a brand's image is perceived to be worth in the eyes of its customers.

Brand storytelling

Brand storytelling is a method of using a narrative to communicate the brand's story, personality, and benefits to consumers. It aims to create an emotional connection with the target audience by using elements of drama, character, and plot.

Brand meaning

Brand meaning refers to the set of associations that customers hold about a brand, including its attributes, benefits, personality, and quality. It is a reflection of the brand's image and reputation in the market.

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persistent earnings identify each of the following items as either (p) persistent, or (t) transitory. persistent or transitory a. sale of merchandise. answer b. settlement of a lawsuit. answer c. interest income. answer d. payment to vendors. answer e. loss from expropriations of property by a foreign government. answer

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The persistent earnings refer to earnings that are considered relatively consistent over the long term. In general, persistent earnings reflect a company's operational performance over a period of time.

For instance, persistent earnings may arise from sales revenue or ongoing activities of a company. Transitory, earnings are those that are not expected to continue into the future. These earnings can arise from one-time transactions or unique occurrences.

a. Sale of merchandise: Persistent (P) as it is a recurring source of income for businesses that sell merchandise. b. Settlement of a lawsuit: Transitory (T) as it is a one-time occurrence and not a recurring source of income. c. Interest income: Persistent (P) as it is a recurring source of income for businesses that earn interest on investments or savings.

d. Payment to vendors: Transitory (T) as it is a one-time occurrence and not a recurring source of income. e. Loss from expropriations of property by a foreign government: Transitory (T) as it is a one-time loss and not a recurring expense.

Such losses are typically the result of one-time events that are unlikely to repeat in the future. Thus, they are not considered a sustainable source of earnings.

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in forming a portfolio of two risky assets, what must be true of the correlation coefficient between their returns if there are to be gains from diversification? explain.

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The correlation coefficient between the two risky assets in a portfolio must be less than one in order for there to be gains from diversification.

This means that the returns of the assets are not perfectly correlated, so that their movements can be partially independent and their risks can be reduced through diversification.

When the correlation coefficient is one, then the two assets have the same return, so diversification does not lead to any risk reduction. When the correlation coefficient is less than one, then the returns of the two assets are somewhat independent, so that when one asset goes up, the other may not follow suit.

This helps to reduce risk, leading to potential gains from diversification.

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which of the following is true of a probationary period? a. it is exclusively used on part-time workers. b. it cannot be used on employees who are being hired for full-time jobs. c. it cannot be used in small businesses. d. its time period is typically dictated by state laws.

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The time period of Probationary period is typically dictated by state laws. This is a true conclusion from the given options. The correct option is d.

A probationary period is a time period in which a new employee is being evaluated to determine if they are suitable for the position. This period usually lasts from three to six months, but the exact time period depends on the state in which the employee is located. During this period, the employee is still officially employed by the company, but may have limited job security. They may be released from the job if their performance does not meet the expectations of the company.

During the probationary period, the employer is allowed to assess the new hire’s skills and abilities in order to make an informed decision on whether they should be permanently employed. It is important to note that this type of evaluation is used in full-time jobs, not just part-time, and it is also used in small businesses.

In conclusion, a probationary period can benefit both employers and employees in the hiring process. It can be used for both full-time and part-time employees, and the length of the probationary period can vary depending on state laws. Hence, the correct option is d.

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which of the following is not a consequence of an increase in the government's budget deficit? question 3 options: exports increase while imports and all other variables are held constant private savings increases while holding everything else constant investment falls while holding everything else constant imports increase while exports and all other variables are held constant question 4 (1 point)

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The consequence of an increase in the government's budget deficit that is not a consequence is: Private savings increases while holding everything else constant. Explanation: An increase in the government's budget deficit results in numerous consequences.

Private savings increases while holding everything else constant is not one of them. Private savings refer to disposable income that households save in bank accounts, pension funds, and other investment opportunities. The effect of an increase in the government's budget deficit on private savings is not direct as it is related to various economic factors.

On the other hand, exports increase while imports and all other variables are held constant, and imports increase while exports and all other variables are held constant. Investment falls while holding everything else constant, due to an increase in the government's budget deficit. Import and exports are greatly affected by an increase in government budget deficits.

In this case, a budget deficit increases interest rates, making the domestic currency more attractive. This has the effect of increasing the demand for the currency, which drives up the value of the domestic currency. Imports become more affordable when a country's currency weakens since it reduces the cost of goods and services produced in foreign countries.

Exports become less affordable when a country's currency strengthens, as it makes goods and services more expensive for foreign countries to buy. Finally, investment tends to fall with an increase in the government's budget deficit, as a government that borrows more money has less money to invest.

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the goal seems to be a nonstarter for the team because they have never mishandled fewer than 200 bags, let alone hitting the goal of 100 bags. based on expectancy theory, this is a(n) problem.

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According to expectancy theory, low expectations lead to low motivation and effort, which results in poor performance.

The problem here is that the team has low expectations or low self-efficacy when it comes to the goal of handling fewer than 100 bags.

This is why the team has never mishandled fewer than 200 bags, because their expectations are too low and they are not motivated to do better.

Low expectations lead to poor performance because they cause individuals to lack motivation and effort. When a goal is deemed too difficult or too far out of reach, people tend to give up before they even begin. This leads to a lack of effort and commitment, resulting in subpar performance.

In order to raise expectations and improve performance, the goal needs to be broken down into smaller, more manageable chunks. For example, the team should set smaller goals, such as handling 150 bags the first week and then gradually decreasing the number until they reach the ultimate goal of 100 bags.

Additionally, the team should have clear goals and timelines for each objective, which should be discussed and agreed upon by all team members. This will ensure that each member is committed to reaching the final goal. Lastly, the team should be praised and rewarded for successes along the way in order to motivate them and boost morale.  

By following these steps, the team can achieve their goal of handling fewer than 100 bags.

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if the price of a good decreases and the total revenue of the firms that produce that good increase then we know the demand for that good is

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If the price of a good decreases and the total revenue of the firms that produce that good increases, then we know that the demand for that good has increased. This is because when the price decreases, more people are willing to buy the good, and thus, more revenue is generated.

When the price of a good decreases, it becomes more attractive to potential buyers due to its lower cost. This increased demand leads to more people buying the good, which in turn increases the total revenue of the firms that produce that good.

This is because with more buyers, the firms are able to sell more of their product and therefore generate more revenue. In other words, when the price of a good decreases and the total revenue of the firms that produce that good increases, it shows that the demand for that good has increased.

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[chapter 19] when the government places price controls on hospitals and physicians, what is the next step the government must take to make those controls effective?

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When the government places price controls on hospitals and physicians, the next step the government must take to make those controls effective is to ensure compliance with those controls.

The government can ensure compliance with price controls by conducting inspections and audits. Price controls are regulations or laws that limit the prices charged for goods and services. The goal of price controls is to protect consumers from being charged exorbitant prices and to ensure that goods and services are affordable for everyone.

The most common types of price controls are price ceilings and price floors. Price ceilings and price floors are the two types of price controls. A price ceiling is a legal maximum on the price at which a good or service can be sold.

Price ceilings are typically implemented during times of crisis or emergency, such as during war or natural disasters, to prevent suppliers from taking advantage of consumers by charging exorbitant prices. A price floor is a legal minimum on the price at which a good or service can be sold.

Price floors are used to ensure that suppliers receive a fair price for their products or services. Examples of price floors include minimum wage laws and agricultural subsidies.

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gamma has gathered and analyzed large amounts of competitive intelligence about ardent, its main competitor. it has observed as much of the firm's internal functioning and technology as it can legally, yet it cannot understand why ardent has a competitive advantage. the source of ardent's success is

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Because it cannot understand why ardent has a competitive advantage. the source of ardent's success is causally ambiguous

What makes the success ambiguous?

There could be several reasons why Ardent has a competitive advantage that is not apparent to Gamma despite its efforts. Here are some possibilities:

Unique Capabilities or Technology: Ardent may have unique capabilities or proprietary technology that gives it an edge in the market. This could be something that Gamma has not been able to observe or understand through its competitive intelligence efforts.

Strong Brand or Reputation: Ardent may have a strong brand or reputation in the market that gives it an advantage over Gamma. This could be the result of years of building relationships with customers, suppliers, and partners.

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redistribution involves a centralized authority collecting goods and services, and redistributing the. group of answer choices true false

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The given statement "redistribution involve a centralized authority collecting goods and services and redistributing them" is True.

This means that the authority in charge collects resources from some people or organizations and then redistributes them to other people or organizations, typically to promote social welfare.

This redistribution is typically done in a way that is fair, equitable, and promotes equality among those who receive the resources. The centralized authority has the power to decide who receives the resources and how the resources are distributed.

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solve for the present value of the 10-year bond on its issue date. the bond has a par value of $1,000, coupon rate of 10%, and a discount rate of 8%.

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The present value of the 10 year old bond is $603.90.


To solve for the present value of the 10-year bond on its issue date, you need to use the present value formula. Present value is the current value of a future payment or stream of payments given a specified rate of return. The formula for present value is:


PV = FV / (1 + r)n

where:

PV = Present Value

FV = Future Value, or par value of the bond (in this case, $1,000)

r = Discount Rate (in this case, 8%)

n = Number of periods (in this case, 10 years)

Therefore, the present value of the 10-year bond on its issue date is:
PV = $1,000 / (1 + 0.08)10 = $603.90

Thus, the value of 10 year old bond is $603.90

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2. race to the bottom refers to which of the following? a. countries will compete with each other to offer incentives to firms b. firms will underpay workers in low-income countries c. countries have the incentive to conform to the standards of the lowest income country d. firms have an incentive to relocate to countries with lower standards

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As per the concept of investment, race to the bottom refers countries have the incentive to conform to the standards of the lowest income country. (option c).

The "race to the bottom" is often associated with competition between countries to attract foreign investment. In this context, countries may offer tax breaks, subsidies, and other incentives to attract multinational corporations to set up operations in their territory.

The idea behind this is that the presence of foreign firms can create jobs and boost the economy, leading to increased prosperity for all.

The "race to the bottom" can also occur within a country, as firms compete with each other to reduce costs. This can lead to a situation where firms try to undercut each other by paying lower wages, reducing benefits, and cutting corners on safety and environmental standards.

Therefore, the correct option is (c).

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how do positive externalities affect demand curves? multiple choice question. demand curves become vertical lines. demand curves shift to the right. demand curves shift to the left. demand curves become horizontal lines.

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Positive externalities can cause demand curves to shift to the right. This means that at each given price, there is a higher quantity demanded than what was initially predicted by the demand curve.

This is because positive externalities create additional benefits for consumers that make the good more desirable. Positive externalities can cause the demand curve to shift to the right. When there are positive externalities, the benefits of a good or service extend beyond the direct buyer and seller. As a result, the social benefits of consuming the good or service are greater than the private benefits, and the demand curve shifts to the right to reflect this additional benefit. The shift in the demand curve indicates that consumers are willing to pay a higher price and buy more of the good or service at every price level. Therefore, the correct answer is: demand curves shift to the right.

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when writing a long report, you should expect to do which of the following? group of answer choices keep a calendar and a checklist. work independently. none of these choices focus on an audience of mid-level coworkers.

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When writing a long report, it is important to keep a calendar and a checklist. Therefore, the correct option is to keep a calendar and a checklist.

A long report is a document that requires a lot of time and effort to complete. A long report can be a formal document that contains an introduction, literature review, methodology, findings, and conclusion, among other things. It can also be a technical report or a scientific report. It can also be an essay. The amount of information to be communicated and the style used to do so are influenced by the length of a report.

Writing a report can be a long and challenging process that requires a great deal of preparation and hard work. A well-written report is clear and concise, and it provides the reader with all of the necessary information. As a result, when writing a long report, it is critical to keep a calendar and a checklist. This will assist you in staying on track and completing the report on time.

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an example of closed-end credit is . question 2 options: incidental credit revolving check credit credit cards installment sales credit

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An example of closed-end credit is credit cards.

Closed-end credit is a loan or extension of credit with a fixed limit and fixed repayment schedule.
Closed-end credit is a one-time loan, commonly called an installment loan, that is intended to be repaid within a fixed period of time, usually between one and 15 years.

The interest rate on a closed-end loan is typically lower than that on a credit card, making it a popular alternative for people who want to make a large purchase.

A type of loan in which a fixed amount is lent to the borrower, which must be repaid in equal monthly payments over a specified period of time, with interest is known as closed-end credit.

The borrower must repay the entire amount of the loan, as well as any interest and fees, during the life of the loan. Installment sales credit is an example of closed-end credit.

The following options were provided in the question: Incidental credit revolving check credit cards installment sales credit

The correct option is: a credit card

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willie offers to sell his house to leopold for $100,000. leopold says he is interested but unsure. he offers willie $200 to hold the offer open for three weeks to let him think about it. willie agrees and takes the $200. which phrase best describes willie and leopold's deal?

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Options contract best describes willie and Leopold's deal as per the given records and information.

An option contract is an agreement between two parties to facilitate a potential trade in the underlying security at a pre-determined price, called the strike price, before or on the expiration date.

An options contract is an agreement between two parties to facilitate a potential transaction in an asset at a pre-determined price and date.

The terms of an option contract specify the underlying security, the price at which that security can be traded (the strike price), and the expiration date of the contract. For stocks, the standard contract is 100 shares, but the number of shares can be adjusted for stock splits, special dividends, or mergers.

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if contribution margin is 240000 sales revenue is 260000 and net income is 210000 then variable and fixed expenses are g

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The fixed expenses and variable expenses are $190,000 and $20,000, respectively.

The contribution margin is a measure of how much an organization's revenue exceeds its variable expenses. Contribution margin is used to calculate the break-even point and the number of units a company must produce to earn a profit of zero.

What are fixed and variable costs?

Fixed expenses: A fixed cost is a cost that does not change as the quantity of the product changes. Regardless of the company's production volume, the cost of a fixed cost remains constant. Rent, utilities, wages, and insurance are all examples of fixed costs.

Variable costs: A variable cost is a cost that changes as the quantity of the product changes. Direct labor, raw materials, and variable overhead costs are examples of variable costs.

What are the formula for calculating contribution margin, net income, and sales revenue?

The formula for calculating contribution margin is:

Contribution margin = sales revenue - variable expenses

The formula for calculating sales revenue is:

Sales revenue = price per unit x quantity sold

The formula for calculating net income is:

Net income = sales revenue - cost of goods sold - fixed expenses

The given figures for contribution margin, sales revenue, and net income are:

$240,000 = Contribution margin   $260,000 = Sales revenue   $210,000 = Net income

Calculation:

Contribution margin = Sales revenue - variable expenses

Variable expenses = Sales revenue - Contribution margin

Variable expenses = $260,000 - $240,000

Variable expenses = $20,000

Fixed expenses = Total expenses - Variable expenses

Fixed expenses = $210,000 - $20,000

Fixed expenses = $190,000

Therefore, the fixed expenses and variable expenses are $190,000 and $20,000, respectively.

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as markets mature, group of answer choices costs continue to increase. application for patents increase. differentiation opportunities increase. there is increasing emphasis on efficiency.

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As markets mature, there is increasing emphasis on efficiency. This can be explained by the fact that as markets mature, costs continue to increase.

Therefore, it becomes important to increase efficiency in order to remain competitive and maintain profitability. Additionally, as markets mature, there may be fewer opportunities for differentiation. This makes efficiency an even more important factor for companies looking to stand out in the marketplace.

What is efficiency?

Efficiency is a measure of how well a system or process performs in relation to the resources used. It is a measure of the degree to which output is obtained from inputs. A system or process is said to be efficient if it produces the desired output with minimal waste or cost. In the context of markets, efficiency can refer to a number of factors including production efficiency, supply chain efficiency, and marketing efficiency.

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all of the following are drawbacks of promoting from within except, group of answer choices if the current workforce lacks diversity, eeo problems may be perpetuated when an internal candidate is promoted, it causes a cascade of vacancies within the firm. internal recruiting costs tend to be higher than external recruiting costs because of the extensive databases and employee skills inventories required an employee's good performance on one job may not be a good predictor of his/her performance on another job.

Answers

The drawbacks of promoting from within the company can have many drawbacks, but one of them is not that it causes a cascade of vacancies within the firm.

What is the meaning of promoting from within?

Internal promotion is when an employee is promoted from a lower-level position to a higher-level position within the same company. Promoting from within helps employees advance their careers while also reducing the cost of recruitment and training new hires.

One of the drawback of promoting from within is that if the current workforce lacks diversity, EEO problems may be perpetuated when an internal candidate is promoted.Internal recruiting costs tend to be higher than external recruiting costs because of the extensive databases and employee skills inventories required.

An employee's good performance on one job may not be a good predictor of his/her performance on another job

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many firms choose to protect or enhance the natural environment as they go about their business activities. this practice is known as: question 94 options: green marketing natural marketing consumer marketing social marketing

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Green marketing is the practice of firms protecting or enhancing the natural environment as they go about their business activities. This practice is also known as environmental marketing, eco-marketing, or sustainability marketing.

This can be achieved through a variety of methods, such as using biodegradable or recycled materials, promoting ethical sourcing practices, and more efficient packaging. Additionally, green marketing can help to bring attention to the importance of environmental protection and inspire others to join in making a difference.

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given the following information for smith company's northern division, what is the division's ebitda margin? revenue $44,140 operating income 18,112 depreciation 5,000 amortization 1,422 tax rate 20% a.85% b.56% c.44% d.28%

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The division's EBITDA margin is 55.6%, which is closest to option (b).

The EBITDA Margin is a financial ratio that compares a company's earnings before interest, taxes, depreciation, and amortization (EBITDA) to its net revenue. In other words, the EBITDA margin represents a company's earnings before accounting for interest, taxes, depreciation, and amortization as a percentage of its revenue.

The EBITDA Margin can be calculated by using the following formula:

EBITDA Margin = EBITDA / Revenue

The formula to calculate EBITDA is: EBITDA = Operating Income + Depreciation + Amortization(1)

EBITDA = $18,112 + $5,000 + $1,422= $24,534(2)

EBITDA Margin = (EBITDA / Revenue) x 100

= ($24,534 / $44,140) x 100

= 55.6%

Therefore, the division's EBITDA margin is 55.6%, which is closest to option (b).

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cash flow 19,000 11,300 10,200 6,700 what is the profitability index for the set of cash flows if the relevant discount rate is 11%

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The profitability index for the set of cash flows given with a discount rate of 11% is 1.33.

The profitability index is a financial measure used to calculate the return on investment of a given project or asset. It is calculated by dividing the present value of all future cash flows of a project by the initial investment. In this case, the initial investment is 19,000.

To calculate the present value of future cash flows, we need to discount each of the future cash flows at the 11% discount rate. The discounted cash flows are 10,286, 9,493, 8,765 and 6,282 respectively.

When added together, these cash flows total to 34,826. Dividing this amount by the initial investment of 19,000, the profitability index is 1.33.

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time, cost, and project data are recorded by computers on the jobsite. question 4 options: true false

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True. Computers can be used on the job site to record time, cost, and project data, which can aid in project management and decision-making.

Advancements in technology have altered the way project management is carried out, and the use of computers to record time, cost, and project data is now standard on jobsites. By using digital tools to track project progress, contractors can monitor and manage their operations more effectively, enabling them to make more informed decisions about resource allocation, scheduling, and budgeting. Computerized real-time data recording can also offer more accuracy and dependability than more conventional techniques, such paper-based documentation or human data entry. Project managers and other stakeholders can access and analyse this data, giving them the ability to spot patterns and trends, monitor performance, and make adjustments as necessary to keep the project on track.

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because of their pivotal role in international trade, firms can and do exert a strong influence on government policy toward trade. t/f

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The answer to the given student question is "firms can and do exert a strong influence on government policy towards trade." is True.

The influence of business corporations on public policy decisions is a major subject of study in political science and other fields of research. The state and business organizations often collaborate, making it difficult to discern the border between public and private interests.

In general, businesses use both direct and indirect approaches to exert their influence. Direct approaches are those where business entities express their views to decision-makers or lobbyists, engage in informal conversations or hearings, provide assistance in the form of expertise, or contribute to political campaigns. Business firms, for instance, have several options for influencing international trade policy.

The most basic is to express their views directly to policymakers. They can use lobbyists to influence decision-making or make donations to political candidates who support free trade policies. Indirect approaches, on the other hand, are those in which businesses seek to shape the broader public environment in which political decisions are made. This may involve, for example, making their case in the media, engaging with civil society organizations, or producing research and analysis that supports their views.

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