what is the glue that holds organizations together and allows them to focus on efficiency, productivity, and profits?

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Answer 1

The glue that holds organizations together and allows them to focus on efficiency, productivity, and profits is often a combination of strong leadership, clear communication, shared vision, and a positive organizational culture.

What's leadership, clear communication, shared vision, and a positive organizational culture.

Leadership is crucial in setting the direction and guiding team members towards common goals

. Clear communication ensures that everyone understands their responsibilities and expectations, preventing misunderstandings that can hinder progress.

A shared vision unites employees in working towards a common objective, creating a sense of purpose and increasing motivation.

Lastly, a positive organizational culture fosters trust, collaboration, and innovation among team members.

These elements, when effectively combined, create a strong foundation for organizations to achieve efficiency, productivity, and ultimately, increased profits.

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marketers of new, low-priced, fast fashion companies like shein and romwe want to expand their consumer reach at a low cost. a good choice for their marketing channels would be: select one: a. telemarketing b. b2b channels c. trade shows d. consumer retailers and department stores e. digital marketing channels

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A good choice for the marketing channels of new, low-priced, fast fashion companies like Shein and Romwe would be e. digital marketing channels. The correct option is e.

These companies are targeting younger, tech-savvy consumers who are likely to be active online and on social media platforms. Digital marketing channels such as social media advertising, influencer marketing, email marketing, and search engine optimization can reach a large audience at a relatively low cost.

These channels also allow for targeted messaging and data analysis, which can help these companies to understand their audience and adjust their marketing strategies accordingly. In comparison, telemarketing, B2B channels, trade shows, and consumer retailers and department stores may not be as effective or efficient for reaching the desired target audience. The correct option is e.

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Q.3.2 You would like to use your savings to invest in shares. Q.3.2.1 What are the three (3) most common ways to invest in shares? Provide a brief explanation for each method. Q.3.2.2 The Price/ Earnings (P/E) ratio is often used by individuals wanting to invest in shares (2) Briefly describe why the P/E ratio is considered to be useful to investors. You are not required to provide the formula for this ratio.

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The three most common ways to invest in shares are through direct stock purchase, mutual funds, and exchange traded funds (ETFs).

Direct Stock Purchase involves buying shares directly from the issuing company. Mutual Funds are a pool of funds collected from multiple investors and managed by a professional fund manager.

The fund manager will invest in a variety of stocks and bonds. Exchange Traded Funds (ETFs) are similar to mutual funds, but they are traded on an exchange, which means they can be bought and sold like stocks.

The Price/Earnings (P/E) ratio is a popular metric used by investors to help assess the potential of a stock. It is calculated by dividing the stock price by the company's earnings per share. It tells investors how much they are paying for a company’s earnings.

The P/E ratio can help investors identify potentially undervalued stocks, as well as those that may be overvalued. For example, if a stock has a low P/E ratio compared to other stocks in its industry, it could be a good indication that it is undervalued.

Conversely, if the P/E ratio is higher than other stocks in its industry, it could indicate that it is overvalued. Therefore, the P/E ratio is an important factor to consider when investing in shares.

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3.2.1. The three most common ways to invest in share is Direct share purchase, ETFs, Managed funds.

3.2.2. Valuation, Growth potential, Risk assessment.

3.2.1 Direct Share Purchase: In this scenario, shares are purchased directly from a company's listing on the stock market. Shares are kept in the investor's personal name and can be purchased through a broker or internet trading platform.

ETFs, or exchange-traded funds, are investment vehicles that are exchanged on stock exchanges. Investors can purchase and sell ETFs much like ordinary shares because they track a particular market index or industry.

Managed Funds: Managed funds are collective investment vehicles that aggregate the money of a number of investors to purchase stock in a variety of businesses. On behalf of the investors, qualified fund managers handle the investments and make decisions. Investors are thought to find the Price/Earnings (P/E) ratio valuable for a number of reasons:

3.2.2. The P/E ratio is frequently used to determine if a stock is overvalued or undervalued in terms of valuation. A stock may be overpriced if its P/E ratio is higher, whereas a stock may be undervalued if its P/E ratio is lower. When comparing stocks within the same sector or business, the P/E ratio is helpful. P/E ratios of comparable companies can be compared by investors to determine which might be a better investment.

Growth potential: While a low P/E ratio may suggest lesser growth prospects, a high P/E ratio may suggest that a company has tremendous growth potential.

Complete Question:

Q.3.2 You would like to use your savings to invest in shares.

Q.3.2.1 What are the three most common ways to invest in shares? Provide a brief explanation for each method.

Q.3.2.2 The Price/ Earnings (P/E) ratio is often used by individuals wanting to invest in shares 2 Briefly describe why the P/E ratio is considered to be useful to investors. You are not required to provide the formula for this ratio.

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suppose the growth rate of consumption falls by x% and an increase in government spending of y% is able to exactly offset it and restore aggregate demand to its original level. if x is greater than y, the increase in the growth rate of government spending led to: please choose the correct answer from the following choices, and then select the submit answer button. answer choices an increase in the growth rate of consumption. a decrease in the growth rate of consumption. an increase in the growth rate of the money supply. a decrease in the growth rate of the money supply.

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If the growth rate of consumption falls by x% and an increase in government spending of y% is able to exactly offset it and restore aggregate demand to its original level, and x is greater than y, the increase in the growth rate of government spending led to: an increase in the growth rate of consumption.

Growth rate of consumption Increased:

If the growth rate of consumption falls by x% and an increase in government spending of y% is able to exactly offset it and restore aggregate demand to its original level, and x is greater than y, the increase in the growth rate of government spending led to: an increase in the growth rate of consumption.

Explanation:
1. The growth rate of consumption falls by x%.
2. Government spending increases by y%.
3. This increase in government spending exactly offsets the decrease in consumption growth and restores aggregate demand to its original level.
4. Since x is greater than y, the increase in the growth rate of government spending must have led to an increase in the growth rate of consumption.

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The current price of stock in Company XYZ is $45 and no ex-dividend dates are to occur for the next three months. The risk-free rate is 4.00% per year. The standard deviation for the period in question is 0.4. You are a financial advisor and one of your best clients is Mr. John Smith who is a senior-level manager at a Fortune 500 company. A portion of Mr. Smith’s incentive compensation is paid in restricted stock in the company he works for which he cannot sell for a period of three years from the date of the award of the shares. Smith has been employed at the company for 35 years and he has been in a senior position for the last 20 years. Mr. Smith has a concentrated equity position in the company owning 1,000,000 shares. More than 80% of his wealth is in the company stock. Assume that due to contractual obligations, he cannot sell his stock over the next three months. Due to his concentrated position, he wants to hedge against the price of XYZ stock falling more than 20%. He can do this by buying put options with a strike price of $36.
1. Assume that Mr. Smith does not have the necessary amount of liquid assets (other than his stock which he cannot sell) to be able to purchase these put options so he will have to enter into an equity collar. At what strike price should he strike the corresponding call options?
2. If Mr. Smith decides that he can raise enough cash to put up $200,000 to pay for some of the puts, how will it affect the strike price on the call?
3. If instead of three months, the restriction on his stock is six months, how will this change the hedge? Solve for the appropriate put and call strikes.
4. Using your answers from a) above, assume that after one month, the stock price goes up to $70 and Mr. Smith wants to unwind his hedge. Describe how you would go about terminating this hedge. Determine what it would cost to terminate this hedge.
5. Again, using your answers from a) above, if after one month the stock price went down to $28 instead and Mr. Smith wanted to terminate this hedge, what would be the economic repercussions? Calculate this amount.
6. As Mr. Smith’s financial advisor, would you recommend this strategy to Mr. Smith? Why or why not?
7. List down the benefits and advantages of this strategy.

Answers

Okay, here are the solutions to the questions:

1. Since Mr. Smith cannot sell his stock for 3 months and wants to hedge against a drop of more than 20%, a put option with a strike price of $36 would be appropriate. To collar this with call options, we would want the call strike to be $54 ( $45 current price + 20% hedge).

So put strike = $36 and call strike = $54.

2. If Mr. Smith can put up $200,000 for the puts, he can buy more put options which will allow a lower put strike, e.g. $32.

So now put strike = $32 and call strike = $51.

3. If the restriction is for 6 months instead of 3 months, a longer dated put and call would be needed.

For a 6 month hedge, put strike could be $30 and call strike $50.

4. If the stock price goes up to $70 after a month, Mr. Smith can:

- Buy back the put options at a lower price since the strike is now out of the money. This will cost less than the original purchase price.

- Sell the call options which are now in the money. This can generate a profit.

The total cost to terminate the hedge would be the amount spent buying back the puts plus any loss from selling the calls in the money.

5. If the stock price drops to $28, Mr. Smith would:

- Lose the $200,000 put premium since the puts are now deep in the money.

- Potentially have to exercise the puts and sell the stock at $28, taking a $17 per share loss.

- Lose the value of the call options which would expire worthless.

The economic loss could be substantial in this scenario.

6. I would recommend this strategy to Mr. Smith with some cautions:

Pros: Provides downside protection for a concentrated position. Allows Mr. Smith to keep the stock long-term.

Cautions: The strategy is complex and expensive. There are opportunities for losses as shown above. Mr. Smith needs to monitor the position closely. The hedge may not provide full downside protection.

Overall, for a large concentrated position, a hedge could provide some comfort but needs to be done carefully with full understanding of the risks and costs. Close monitoring is required.

The benefits of the strategy are downside protection and the ability to keep a large long-term stake in the company. But there are also risks of losses and the costs of implementing and unwinding the hedge. Proper evaluation of these pros and cons is necessary before employing this strategy.

A stock currently trades at $100. It is expected that dividends of $2.00/share will be paid to owners of the stock at 1 month and at 4 months from the current date. Consider these dates as ex-dividend dates as well. The continuously compounded risk free rate is 5%. European call and put options on the stock with exercise prices of $96 and 6 months to the expiration date are currently trading. Question 24 Suppose that the European call option has a market price (premium) of $4.00. Based on put-call parity, the price of a European put on the stock with the same exercise price and time to expiration should be closest to: O a $1.5884 Ob. $1.2942 O c. $1.7942

Answers

The main answer is option C. $1.7942.

Put-call parity states that the price of a European call option minus the present value of the exercise price equals the price of a European put option plus the current stock price. Using the given information, we can write the put-call parity equation as:

4 - 96e^(-0.050.5) = P + 100

Solving for P, we get:

P = 1.7942

Therefore, the price of a European put option with the same exercise price and time to expiration should be closest to $1.7942.

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Consider a risky portfolio. The end-of-year cash flow derived from the portfolio will be either $60,300 or $160,500, with equal probabilities of 0.5. The alternative riskless investment in T-bills pays 5.8%. Required: (a)lf you require a risk premium of 6.5%, how much will you be willing to pay for the portfolio? (Round your answer to the nearest dollar amount. Omit the "$" sign in your response.) Price (b) Suppose the portfolio can be purchased for the amount you found in (a). What will the expected rate of return on the portfolio be? (Round your answer to 2 decimal places. Omit the "%" sign in your response.) Rate of return % (c) Now suppose you require a risk premium of 9.5%. What is the price you will be willing to pay now? (Round your answer to the nearest dollar amount. Omit the "$" sign in your response.) Price

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To find the price you're willing to pay for the portfolio with a risk premium of 6.5%, we first need to determine the expected return on the portfolio and then discount the cash flows.

1. Calculate the expected cash flow:
E(CF) = (0.5 * $60,300) + (0.5 * $160,500) = $110,400

2. Calculate the required return:
Required return = Risk-free rate + Risk premium = 5.8% + 6.5% = 12.3%

3. Discount the expected cash flow:
Price = E(CF) / (1 + Required return) = $110,400 / (1 + 0.123) = $98,252

So, the price you're willing to pay for the portfolio is $98,252.

For the expected rate of return, we can use the formula:
Expected rate of return = (E(CF) - Price) / Price = ($110,400 - $98,252) / $98,252 = 12.36%

If you require a risk premium of 9.5%, follow the same steps as before:
Required return = 5.8% + 9.5% = 15.3%
Price = $110,400 / (1 + 0.153) = $95,694

With a risk premium of 9.5%, you'd be willing to pay $95,694 for the portfolio.

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an ad agency tracks the complaints, by week received, about the billboards in its city. what type of control chart should be used to monitor this process?

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To monitor the complaints about billboards in a city, a type of control chart that can be used is the "c-chart."

The c-chart is used for monitoring the count of defects in a sample of items or events, where the size of the sample is constant. It is particularly useful for processes where the number of occurrences of a defect is rare, but the opportunity for the defect to occur is high.

In this case, the number of complaints about the billboards may be relatively low compared to the total number of billboards in the city, but there is a high opportunity for complaints to occur. By using a c-chart, the ad agency can monitor the number of complaints per week and detect any unusual changes in the complaint rate.

The c-chart is constructed using the formula;

Upper Control Limit (UCL) = c + 3sqrt(c)

Lower Control Limit (LCL) = c - 3sqrt(c)

Where "c" is the average number of complaints per week. The chart is then plotted with the number of complaints per week on the y-axis and the week number on the x-axis. Any data points which fall outside the control limits indicate that the process may be out of control and to require investigation.

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Herman Rithmetic, CFO of Fluffy Teddie Bear Company is concerned whether their company may have an accounts receivable problem. He noted that days in accounts receivable is currently at just over 33 days. The credit terms extended by Fluffy Teddie Bear Company to their top customers is 30 days same as cash. Last year their days in accounts payable was 29.2 days. Herman is unsure what this means and turns to you for advice. Don’t let him down.A. Herman can safely ignore the problem, since their receivables balance is just 3 days higher than their policy for paying receivables.B. Herman should not send any correspondence to their customers sothey won’t get mad.C. none of the above.D. The days in accounts receivable should always be more than the current terms offered by the company..E. Herman’s company should stay on top of the receivables and provide any necessary follow-up to customers to ensure they pay on time.

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Based on the provided case, the advice to Herman is that Herman’s company should stay on top of the receivables and provide any necessary follow-up to customers to ensure they pay on time. Therefore, the correct option is E.

The fact that Fluffy Teddie Bear Company's days in accounts receivable is just over 33 days, while their credit terms are 30 days, indicates that the company may have an accounts receivable problem. It means that customers are taking longer than the agreed-upon time to pay their bills, which could negatively impact the company's cash flow and profitability.

Therefore, Herman should not ignore the problem and should take necessary steps to ensure that customers pay on time. This may involve sending reminders or follow-up messages to customers who have not paid on time, or even implementing more stringent credit policies for customers who consistently pay late. Ultimately, it is important for the company to stay on top of its accounts receivable to maintain a healthy cash flow and financial position.

Hence, the correct advice is option E: Herman’s company should stay on top of the receivables and provide any necessary follow-up to customers to ensure they pay on time.

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The 9-month LIBOR rate is 5%, and the 6-month LIBOR rate is 4%, on the basis of continuous compounding and 365 days a year. Use this information to answer this and the next three questions. The forward rate on a 3 month investment that starts in 6 months on a quarterly compounded basis and a 360 day year is closest to: O a. 7.0616% O b. 7.0000% O c. 6.9649%

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The closest answer is (a) 7.0616%.

Using the formula for calculating a forward rate, we have:(1 + 0.05)^9/12 = (1 + 0.04)^6/12 * (1 + f)^3/12Solving for f, we get:f = (1.070616^(12/3) / 1.040000^(6/3)) - 1 = 0.070616 - 0.039285 = 0.031331 or 3.1331%However, since the question asks for the quarterly compounded basis and a 360-day year, we need to adjust the continuous compounding rate to a quarterly compounded rate by using the following formula:r = (e^c/q - 1) * q

where r is the quarterly compounded rate, c is the continuous compounded rate, and q is the number of compounding periods per year (in this case, 4).Plugging in the continuous compounded rate of 3.1331%, we get:r = (e^(0.031331/4) - 1) * 4 = 0.077561 or 7.7561%Therefore, the closest answer is (a) 7.0616%.

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The general ledger of MPX, Inc., provides the following information relating to purchases of merchandise:
End of Year Beginning of Year
Inventory $820,000 $780,000
Accounts payable to merchandise suppliers 430,000 500,000
The company's cost of goods sold during the year was $2,975,000. Compute the amount of cash payments made during the year to suppliers merchandise.

Answers

The amount of cash payments made during the year to suppliers of merchandise for MPX, Inc. is $3,085,000.Cash payments are made to the provider of services or products by the recipient in the form of banknotes or coins.

It may also entail paying employees within a company for the hours they worked or compensating them for tiny expenses that are too little to be processed through the accounts receivable system.

To compute the cash payments, we need to use the following formula:

Cash Payments = Beginning Accounts Payable + Purchases - Ending Accounts Payable

First, we need to find the Purchases value using the following formula:

Purchases = Cost of Goods Sold + Ending Inventory - Beginning Inventory

Now, plug in the given values:

Purchases = $2,975,000 (Cost of Goods Sold) + $820,000 (Ending Inventory) - $780,000 (Beginning Inventory)

Purchases = $3,015,000

Now, plug in the values into the Cash Payments formula:

Cash Payments = $500,000 (Beginning Accounts Payable) + $3,015,000 (Purchases) - $430,000 (Ending Accounts Payable)

Cash Payments = $3,085,000

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the four key areas of world systems include all but which of the following? a. expansion in economic domains b. formation of an ideology supporting free trade c. demise of the hegemonic power and restructuring of the system d. growth of the military e. a ban on free trade

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The four key areas of world systems exclude option (e) a ban on free trade.

The four key areas include: a. expansion in economic domains, b. formation of an ideology supporting free trade, c. demise of the hegemonic power and restructuring of the system, and d. growth of the military. These key areas represent important aspects of global systems. Expansion in economic domains (a) refers to the growth of international trade and commerce. Formation of an ideology supporting free trade (b) indicates the development of intellectual and philosophical beliefs that promote economic liberalization, where nations are encouraged to reduce trade barriers and enhance international cooperation. The demise of the hegemonic power and restructuring of the system (c) is a critical process in which the dominant power loses its ability to maintain control and influence over other countries, leading to a shift in the global order.

Lastly, growth of the military (d) represents the increase in military capabilities and defense spending among countries to protect their interests and assert their power in the world system. Overall, these four areas provide a comprehensive understanding of the dynamics of world systems, emphasizing the interdependence of economic, ideological, political, and military factors in shaping global relations. A ban on free trade (e) is not included as it contradicts the ideology supporting free trade (b) and would not be considered a key area of world systems.

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Homework: HW7 Question 2, Problem D.16 Part 1 of 2 HW Score: 0% 0 of 110 points O Points: 0 of 35 Save Renuka wants to know Renuka Jain's Car Wash takes a constant time of 40 minutes in its automated car wash wyde. Auton anive following Pohon detribution at the rate of 10 pet haar a) The average wat time in the line minutes (round your response to two decimal places)

Answers

The average waiting time in the line is 0.06 minutes or approximately 4 seconds. To solve this problem, we need to use the M/M/1 queueing model. M/M/1 stands for Markovian arrival process/Markovian service process/1 server.

Given that the arrival rate follows a Poisson distribution at the rate of 10 per hour, we can calculate the arrival rate as follows:  λ = 10/60 = 1/6 per minute. Since there is only one server, the service process can also be modeled as a Poisson process with a rate of μ = 1/40 per minute.

Using the formula for the average waiting time in an M/M/1 queue, we can calculate the average waiting time in the line as: W = (ρ/μ) * (1/μ - 1/λ), where ρ is the utilization factor, defined as ρ = λ/μ. Plugging in the values, we get: ρ = (1/6) / (1/40) = 6.67, W = (6.67/1/40) * (1/1/40 - 1/1/6) = 0.063 minutes.

Rounding to two decimal places, the average waiting time in the line is 0.06 minutes or approximately 4 seconds.

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blake is a manager at a sporting goods store and needs to fill an open position for an assistant manager. austin works in the store as a sales associate and blake thinks he would be perfect for the job. why might blake be hesitant about promoting austin and giving him the job?

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The reasons why Blake is hesitant towards the promotion of Austin and providing him with the job are

Blake might think that Austin still lacks experience in the line of work following this thought Blake might be hesitant cause if he did promote Austin it will bring resentment among other employees who in comparison have stayed longer than Austin in the company. There could be another possibility that Blake considers Austin important and valuable concerning his current role working as a sales associate, promoting Austin now will only hamper his current position.

From the above reasons, it is clear why Blake is reluctant in providing a promotion to Austin.

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at the present time, omni consumer products company (ocp) has 15-year noncallable bonds with a face value of $1,000 that are outstanding. these bonds have a current market price of $1,555.38 per bond, carry a coupon rate of 11%, and distribute annual coupon payments. the company incurs a federal-plus-state tax rate of 25%. if ocp wants to issue new debt, what would be a reasonable estimate for its after-tax cost of debt (rounded to two decimal places)? (note: round your ytm rate to two decimal place.)

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8.28% would be a reasonable estimate for its after-tax cost of debt (rounded to two decimal places).

What is tax cost?

Tax cost refers to the amount of money an individual or business must pay in taxes. This includes income taxes, property taxes, capital gains taxes, and other taxes. Tax costs can also be referred to as tax liability or tax burden. The total tax cost for an individual or business is the sum of all applicable taxes.

The after-tax cost of debt for OCP would be approximately 8.28%. This can be calculated using the bond's current market price, coupon rate, and the tax rate.

The Yield to Maturity (YTM) rate for these bonds is 9.39%. This can be calculated using the bond's current market price, coupon rate, and the time to maturity.

The after-tax cost of debt can then be calculated by subtracting the tax rate from the YTM rate.

After-tax cost of debt = YTM Rate - Tax Rate

= 9.39% - 25%

= 8.28% (rounded to two decimal places)

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what is the primary difference between singular channel distribution and multichannel distribution in ebook self-publishing?

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The primary difference between singular channel distribution and multichannel distribution in ebook self-publishing is the number of platforms used to distribute your ebook.

In singular channel distribution, you choose to self-publish your ebook on only one platform (e.g., Amazon Kindle Direct Publishing). This limits your audience reach, but it can be easier to manage.

In multichannel distribution, you self-publish your ebook on multiple platforms (e.g., Amazon Kindle Direct Publishing, Apple iBooks, Barnes & Noble Nook, etc.). This increases your audience reach and potential sales, but it may require more management and coordination among the different platforms.

To summarize:

1. Singular channel distribution: Publishing on one platform, easier to manage, limited audience reach.

2. Multichannel distribution: Publishing on multiple platforms, increased audience reach, more management and coordination required.

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a familiar example of an agent is a: group of answer choices gardener hired to maintain the grounds at a large industrial complex. corporate officer who serves in a representative capacity for the owners of the corporation. no answer text provided. janitorial employee who does not deal with third parties.

Answers

The correct answer is option (A) A familiar example of an agent is a: Gardener hired to maintain the grounds at a large industrial complex.

A person who acts on behalf of another person or thing, known as the principal, is known as an agent.

The agent has been granted permission to carry out specific tasks for the principal, including decision-making, the purchase and sale of products, and the rendering of services. Agents might be people, businesses, or other types of entities.

The gardener in this illustration is a representative of the industrial complex. The complex hires a gardener to take care of the grounds, and the gardener is given permission to operate in particular ways on the complex's behalf.

Among other things, the gardener may be in charge of mowing the grass, pruning the hedges, and planting flowers.The gardener may be held accountable for any losses or damages as a result of their conduct and is required to behave in the complex's best interests.

Complete Question:

A familiar example of an agent is a:

Group of answer choices

(A) Gardener hired to maintain the grounds at a large industrial complex

(B) Corporate officer who serves in a representative capacity for the owners of the corporation

(C) Janitorial employee who interacts with third parties

(D) Janitorial employee who does not deal with third parties

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bookmark question for later the hr department at clearwater electronics has received several complaints from new employees who say their job descriptions do not match what they are doing. they say they feel misled, and some of them have indicated they are thinking of quitting. the hr department is currently conducting a review of the job descriptions, in conjunction with the line managers. how can hr professionals best help to avoid a situation like this?

Answers

The best way for HR professionals to avoid a situation where new employees feel misled by their job descriptions is to conduct a thorough job analysis before writing job descriptions.

This will involve obtaining information about the tasks, duties, and responsibilities involved in a job, as well as the knowledge, skills, and abilities required to perform the job successfully. This information can be gathered through interviews with current employees and supervisors, observations of the job being performed, and surveys.

By conducting a job analysis, HR professionals can ensure that the job descriptions accurately reflect the job requirements and are not misleading. The job analysis can also help to identify any gaps in knowledge or skills that need to be addressed through training or other development programs.

HR professionals can also help to ensure that line managers are properly trained in how to write effective job descriptions, and that they are updated regularly to reflect changes in the job requirements.

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A stock has expected return of 0.05. If its expected dividend growth increases from 0.01 to 0.02, its price changes by a. -25% b. 33% c. 100% d. it depends on the current dividend of the stock

Answers

Changes in the price of a stock depend upon the current dividend of the stock. The correct answer is option D " it depends on the current dividend of the stock"

The price of a stock is determined by its expected future cash flows, which include both the expected dividends and the expected price appreciation. If the expected dividend growth rate increases, it means that the company is expected to pay out more dividends in the future.

However, if the current dividend of the stock is already high, the impact of the increased dividend growth rate on the stock price may be smaller than if the current dividend is low. Therefore, depending on the stock's current dividend prices vary.

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Consider a 30-year, fixed-rate mortgage for $125,000 at a nominal rate of 6% with monthly payments. If the borrower pays an additional $120 with each monthly payment, what will be the amount of the last monthly payment?
A. $872.00
B. $357.03
C. $869.44
D. $420.90
E. $873.79
F. $357.77
G. $418.81
H. $355.99

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We can calculate the last monthly payment by subtracting the balance from the monthly payment, which gives us $869.16 - $79,572.42 * 0.005 = $420.90. Therefore, the answer is option D, $420.90.

To solve this problem, we need to first calculate the monthly payment for the mortgage. We can use the formula PMT = PV*r/(1-(1+r)^(-n)), where PV is the present value (the mortgage amount), r is the monthly interest rate (6%/12 = 0.005), and n is the total number of payments (30*12 = 360). Plugging in the values, we get a monthly payment of $749.16.

Next, we need to add an additional $120 to each monthly payment. Therefore, the new monthly payment will be $749.16 + $120 = $869.16.

Now, we can use the formula for the remaining balance of a mortgage to calculate the amount of the last monthly payment.

The formula is Balance = PV*(1+r)^n - PMT*[(1+r)^n-1]/r, where n is the number of remaining payments. Since this is a 30-year mortgage with monthly payments, the number of remaining payments will be 360 - 1 = 359. Plugging in the values, we get a balance of $79,572.42.

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4.5 PRICE/EARNINGS RATIO A company has an EPS of $2.00, a BV per share of $3.00, and a price/BV ratio of 8.ox. What is its P/E ratio? 4.6 Du Pont and ROE A firm has a profit margin of 2 percent and an equity multiplier of 2.0. Its sales are $100 million and it has total assets of $50 million. What is its ROE?

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For 4.5:  the P/E ratio of the company is 12.0.                                                                            
For 4.6:  the ROE of the firm is 8.0%.

For 4.5: To calculate the P/E ratio, we need to divide the market price per share by the EPS. Since we don't have the market price per share, we can use the price/BV ratio to calculate it.

Market price per share = Price/BV ratio * BV per share = 8.0 * $3.00 = $24.00

P/E ratio = Market price per share / EPS = $24.00 / $2.00 = 12.0

Therefore, the P/E ratio of the company is 12.0.

For 4.6: ROE (Return on Equity) can be calculated using the Du Pont formula: ROE = Profit margin * Asset turnover * Equity multiplier

We are given the profit margin and equity multiplier, but we need to calculate the asset turnover:

Asset turnover = Sales / Total assets = $100 million / $50 million = 2.0

Now we can plug in the values and solve for ROE:

ROE = 0.02 * 2.0 * 2.0 = 0.08 or 8.0%

Therefore, the ROE of the firm is 8.0%.

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1 - Is improving bond ratings an important objective for themanagement of Goldman Sachs Inc?

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Improving bond ratings is an important objective for the management of Goldman Sachs Inc, as it has a significant impact on the cost of borrowing and access to capital markets.

A higher bond rating allows Goldman Sachs to borrow money at a lower interest rate, which reduces the cost of debt and increases profitability. In addition, a higher bond rating can improve the company's reputation and increase investor confidence, which can lead to increased demand for its securities.

Goldman Sachs has historically maintained a high bond rating, which has allowed it to issue debt at competitive rates and access the capital markets as needed.

The company has also taken steps to maintain and improve its bond rating, such as managing its balance sheet and reducing risk exposure. In recent years, Goldman Sachs has focused on strengthening its financial position and improving its credit rating, in part due to increased regulatory scrutiny and the potential impact on its business operations.

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if msu decides to expand the undergraduate student population from 40,000 to 50,000 the expected effect on the child-care market in east lansing is a. an increase in the price of child care and a corresponding increase in the number of students supplying the service. b. a reduction in the price of child care because of an increase in supply c. a surplus of workers resulting from decreased demand for the service d. no effect

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If MSU decides to expand the undergraduate student population from 40,000 to 50,000, the expected effect on the n market in East Lansing is b. a reduction in the price of child care because of an increase in supply.

As the number of undergraduate students increases, there will likely be an increased demand for child care services in the area. This, in turn, may encourage more individuals to supply child care services to meet the increased demand. The increased supply of child care services will lead to greater competition among providers, which is likely to drive down prices. Thus, an increase in the undergraduate student population is likely to result in a reduction in the price of child care.

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Redesign Corp. Is considering a new strategy that would increase its expected return from 12% to 13. 9%, but would also increase its beta from 1. 2 to 1. 8. If the risk-free rate is 5% and the return on the market is expected to be 10%, should Redesign change its strategy?

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Redesign Corp. should not change its strategy as it would not provide sufficient return to justify the increased risk. Instead, the company should consider other strategies that provide a higher expected return with a manageable level of risk.

To determine whether Redesign Corp. should change its strategy, we need to calculate the company's required return using the Capital Asset Pricing Model (CAPM). The CAPM formula is as follows:

Required return = Risk-free rate + (Market return - Risk-free rate) x Beta

Using the given information, we can calculate Redesign Corp.'s required return before and after the proposed strategy change.

Before the strategy change:

Required return = 5% + (10% - 5%) x 1.2 = 11%

After the strategy change:

Required return = 5% + (10% - 5%) x 1.8 = 14%

Comparing the required return before and after the strategy change, we can see that Redesign Corp. would need to achieve a higher return to justify the increased risk. However, the expected return from the new strategy is only 13.9%, which is lower than the required return of 14%.

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which policy is appropriate when a rising aggregate price level is a concern and gdp is not growing at an acceptable rate? it is unclear which type of monetary policy is appropriate. expansionary monetary policy contractionary monetary policy contractionary monetary policy will cause interest rates to increase sometimes and decrease sometimes. decrease. increase.

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The appropriate monetary policy is a contractionary monetary policy. A contractionary monetary policy is used when the central bank aims to reduce inflation and stabilize the economy.

This policy typically involves raising interest rates, which can help decrease the aggregate price level and control inflation. However, it's important to note that contractionary monetary policy can also lead to slower GDP growth, as higher interest rates may discourage borrowing and investment.

The statement "contractionary monetary policy will cause interest rates to increase sometimes and decrease sometimes" is not accurate. In a contractionary monetary policy, the central bank typically raises interest rates to discourage borrowing and spending, which reduces the money supply in the economy

To summarize, when the aggregate price level is rising and GDP growth is a concern, a contractionary monetary policy can be appropriate to stabilize prices and control inflation, even though it may result in slower GDP growth.

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In October, 2013, Bandit Corporation distributed profits to its preferred shareholders before its common shareholders. What is the name of the preference that allows this?
Select one:
A. Dividend preference
B. Treasury preference
C. Liquidation preference
D. Profits preference

Answers

The preference that allows preferred shareholders to receive dividends before common shareholders is called dividend preference. Therefore, the answer is A. Dividend preference.

Dividend preference is a term used to describe a provision in a company's bylaws or articles of incorporation that gives preferred shareholders the right to receive dividend payments before any dividends can be paid to common shareholders.

Preferred shareholders typically receive a fixed dividend rate, which is often higher than the dividend rate paid to common shareholders.

In some cases, preferred shareholders may also receive a dividend that is calculated as a percentage of the company's profits.

Dividend preference is just one of the rights that preferred shareholders may have. Another important right is liquidation preference, which gives preferred shareholders the right to receive their investment back before common shareholders if the company is liquidated.

Overall, dividend preference is an important consideration for investors when deciding whether to invest in a company's common or preferred shares. While preferred shares may offer higher dividends and greater security, they may also come with more restrictions and limitations compared to common shares.

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what are the economic benefits of investing in cleaner air, and how can these benefits be maximized?

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Investing in cleaner air has numerous economic benefits, including increased productivity, improved health outcomes, and reduced healthcare costs. These benefits can be maximized through investment in renewable energy sources, such as solar and wind power.

Cleaner air also attracts more businesses and residents to an area, leading to job creation and economic growth. To maximize these benefits, governments, and businesses can take a variety of actions. One key strategy is to invest in renewable energy sources, such as solar and wind power, which not only reduce air pollution but also create jobs and spur economic growth.

Another approach is to promote public transportation and other alternatives to driving, which reduces traffic congestion and air pollution while also reducing the cost of transportation for individuals and businesses.

In addition, policies such as emissions trading and carbon taxes can incentivize businesses to reduce their emissions and invest in cleaner technologies, while also generating revenue that can be used to support further environmental initiatives.

Overall, investing in cleaner air is a smart economic choice that can lead to long-term benefits for both businesses and communities.

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what creates comparative advantage? a. specialization b. scarcity c. lower costs d. population growth e. higher opportunity costs

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Comparative advantage is created through specialization. The correct option is a.

When countries or individuals specialize in producing goods or services that they are relatively more efficient at, they can produce them at a lower cost than others. This allows them to trade with other countries or individuals who have a different comparative advantage, resulting in mutual gains from trade.

Scarcity, lower costs, and population growth can all affect a country's comparative advantage, but specialization is the key factor that creates it. Higher opportunity costs can also impact comparative advantage by encouraging countries or individuals to specialize in areas where they have a lower opportunity cost, resulting in greater efficiency and productivity.

The correct option is a. specialization.

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julie is a first year business student doing a project for her marketing class. she is carrying out industry analysis for her project based on grocery stores in france. what tool should she use?

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The third option, industry analysis, is right.Value chain analysis is a method of examining each activity in a company's value chain in order to identify areas for development.

What exactly is value chain analysis?

A value chain is a representation of all the actions and processes that go into making a product or providing a service. As such, it includes every stage of a product's or service's lifespan, from design to manufacturing and distribution. Companies that want to increase their profit margins or gain a competitive edge can undertake a value-chain analysis to identify each stage (or link) in the chain and look for methods to improve it.

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julie is a first year business student doing a project for her marketing class. she is carrying out industry analysis for her project based on grocery stores in france. what tool should she use?

A. Customer service life cycle analysis

B. Five forces framework

C. Value chain analysis

D. none of the above

ABC Exports Ltd. was struggling to receive payments from importers in time as required by them. Their management decided to implement strict and harder accounts receivables management policy, which of the following will not take place: A. Faster accounts payables than before B. Increase in bad debt expense C. Increase in the cost of cash discounts D. b & c only E. a & b only

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The correct answer is E. a & b only. Implementing a stricter accounts receivables management policy should result in faster accounts payables than before, as the company would be better able to manage their cash flow and pay their own bills on time.

However, increasing the stringency of the policy may also result in an increase in bad debt expense, as some customers may not be able to meet the new requirements and default on their payments.

There should not be an increase in the cost of cash discounts, as the policy should help the company better manage their cash flow and offer discounts more selectively.

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Accounts payable is a liability and represents the amount of money that a company owes to its suppliers or vendors for goods or services received on credit. The Correct option is E

However, increasing the stringency of the policy may also result in an increase in bad debt expense, as some customers may not be able to meet the new requirements and default on their payments.

There should not be an increase in the cost of cash discounts, as the policy should help the company better manage their cash flow and offer discounts more selectively.

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Kitchen Innovations, inc. is considering introducing a new line of toaster ovens Before proceeding with a more thorough analysis, the company wants to know what the financial break even quantity is for the project. The data they have gathered are as follows: • The company believes it will be able to produce and sell 10,000 units per year at a retail price of $100 each • Variable costs for the project are $25 per unit • Fixed costs have been estimated as $200.000 per year • The production equipment needed for the project will cost $400,000, which will be depreciated to cover its 5 year estimated life on a straight line basis . The company tax rate is 27%. A. 8,740 B. 7.617 C. 3,734 D. 10,814 E. 8,684

Answers

The break-even quantity for the project is 8,740 units.

This is calculated by dividing the fixed costs of $200,000 and the variable costs of $25 per unit, and then adding the amount of the initial investment of $400,000 divided by the depreciation amount over five years. This amount is then divided by the difference between the retail price of $100 and the variable cost of $25.

The break-even quantity is important in understanding the project's financial viability. If the company can sell more than 8,740 units, then they will be able to make a profit. If they are unable to sell 8,740 units, then they will not be able to cover their costs and the project will not be profitable. This is why it is important for the company to understand the break-even quantity before proceeding with a more thorough analysis.

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