The power tactic being used when a manager indicates that a request corresponds with a corporate policy or rule is option E. Legitimacy.
Legitimacy is a power tactic that relies on the manager's position or authority to influence others. By referring to a corporate policy or rule, the manager is invoking their legitimate power and asserting that the request aligns with established guidelines or regulations.
This power tactic leverages the perception that the manager has the authority to make decisions and enforce compliance with organizational policies. It implies that the request is not based solely on the manager's personal preference but is grounded in legitimate guidelines set by the organization.
The other power tactics mentioned:
A. Consultation: Involves seeking input or advice from others before making a decision.
B. Inspirational appeals: Relies on inspiring or appealing to the emotions, values, or ideals of others to gain their support or commitment.
C. Rational persuasion: Involves using logical arguments, evidence, or facts to convince others of the validity of a request or proposal.
D. Exchange: Involves offering something in return for compliance or cooperation.
Among these tactics, only option E (Legitimacy) accurately describes the situation where a manager references corporate policies or rules to support their request.
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Megamart, a retailer of consumer goods, provides the following information on two of its departments (each considered an investment center).Investment Center Sales Income AverageInvested AssetsElectronics $ 34,200,000 $ 2,907,000 $ 17,100,000 Sporting goods 16,768,000 2,096,000 13,100,000 1. Compute return on investment for each department. Using return on investment, which department is most efficient at using assets to generate returns for the company?2. Assume a target income level of 12% of average invested assets. Compute residual income for each department. Which department generated the most residual income for the company?3. Assume the Electronics department is presented with a new investment opportunity that will yield a 14% return on investment. Should the new investment opportunity be accepted?Compute return on investment for each department. Using return on investment, which department is most efficient at using assets to generate returns for the company?
1. The computation of the return on investment for each department is as follows:
Return on Investment:Electronics = 17%
Sporting goods = 16%.
Using the return on investment, Electronics Department appears to be most efficient at using its assets to generate returns for the company.
2. The computation of the residual income for each department is as follows:
Residual Income:Electronics = $855,000
Sporting goods = $524,000.
The Electronics Department generated the most residual income for the company.
3. If the Electronics Department is presented with a new investment opportunity that will yield a 14% return on investment, it should be accepted since its target income is 12%.
What is the residual income?The residual income is the difference between the net income and the cost of capital (equity).
Investment Center Sales Income Average Invested Assets
Electronics $ 34,200,000 $ 2,907,000 $ 17,100,000
Sporting goods 16,768,000 2,096,000 13,100,000
Return on Investment:Electronics = 17% ($2,907,000/$17,100,000 x 100)
Sporting goods = 16% ($2,096,000/$13,100,000 x 100)
Using the return on investment, Electronics Department appears to be most efficient at using its assets to generate returns for the company.
Target income level = 12%
Income based on the target income level of 12%:
Electronics = $2,052,000 ($17,100,000 x 12%)
Sporting goods = $1,572,000 ($13,100,000 x 12%)
Residual Income:Electronics = $855,000 ($2,907,000 - $2,052,000)
Sporting goods = $524,000 ($2,096,000 - $1,572,000)
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Which of the following goods would be considered non-excludable (not to be confused with goods we choose to make non-excludable legally)? a.School b. MBTA/public transportation c. Street sweeping d. Street parking e. Police enforcement f. Street art/murals g. Concert at the Hatch Shell
b. MBTA/public transportation A non-excludable good is one that cannot be effectively restricted or denied to anyone. Public transportation, such as the MBTA, would be considered non-excludable because it is accessible to anyone who wishes to use it.
It is generally not feasible to exclude certain individuals from using public transportation, as it is designed to serve the public at large. Therefore, public transportation is available to all individuals without discrimination or the ability to prevent someone from using it.
Public transportation systems are typically funded through public funds, such as taxes or government subsidies, to ensure accessibility to all members of the community. While there may be fare systems in place to cover operational costs, the service itself remains non-excludable in nature.
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If a bond pays interest semi-annually, when determining the price of a bond, the present value of interest payments will equal the present value of an annuity x ______.
If a bond pays interest semi-annually, when determining the price of a bond, the present value of interest payments will equal the present value of an annuity multiplied by the periodic interest payment amount.
When determining the price of a bond with semi-annual interest payments, the present value of interest payments is calculated by multiplying the present value of an annuity by the periodic interest payment amount.
The present value of interest payments on a bond refers to the current worth of all future interest payments that the bondholder will receive. In the case of a bond with semi-annual interest payments, the interest is paid twice a year.
To calculate the present value of interest payments, the periodic interest payment amount is multiplied by the present value of an annuity. The present value of an annuity represents the current value of a series of future cash flows . In this context, it is used to discount the semi-annual interest payments back to their present value.
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Hal has just graduated from four years of college. For the last two years, he took out a Stafford loan to pay for his tuition. Each loan had a duration of ten years and interest compounded monthly, and Hal will pay each of them back by making monthly payments, starting as he graduates. Hal’s loans are detailed in the table below. Year Loan Amount ($) Interest Rate (%) Subsidized? Junior 4,048 5. 9 N Senior 5,295 7. 6 Y Once all of his loans are paid off, what will Hal’s total lifetime cost be? Round all dollar values to the nearest cent. A. $9,023. 28 b. $8,467. 20 c. $11,498. 40 d. $13,615. 20.
Answer: The answer is D, $13,615.
A u.S. Manager is upset with the company's overseas representative for paying a small "access fee" to a local customs official to ensure the expedited release of a customer order. The manager's belief such payments are wrong reflects a sense of _____.
Answer: ethical imperialism
Explanation:
A U.S. Manager is upset with the company's overseas representative for paying a small "access fee" to a local customs official to ensure the expedited release of a customer order. The manager's belief such payments are wrong reflects a sense of ethical imperialism.
Ethical imperialism is used to describe a situation that occurs when an attitude or a code of ethical behavior is being imposed on another society. In ethical imperialism, regardless of one's culture or location, there's one moral standard which is universal.
write the basic processes of project planning.
Project planning is a critical step in managing a successful project. It involves defining the scope, objectives, and requirements, as well as setting deadlines, allocating resources, and identifying risks.
Here are the basic processes of project planning:
Define Project Scope: This involves outlining the project's purpose, goals, and deliverables. Clearly defining the scope helps avoid scope creep and ensures the project remains on track.Develop Project Objectives: Establish measurable and achievable objectives that align with the project's purpose. Objectives help guide the project team and provide a basis for evaluating progress.Identify Stakeholders: Determine the individuals and organizations directly or indirectly affected by the project. Engage with stakeholders to gather their input, expectations, and concerns.Establish Project Requirements: Gather and document the specific needs, expectations, and constraints for the project. These requirements serve as a reference for decision-making and help avoid misunderstandings.Develop a Project Schedule: Create a timeline for the project by defining the start and end dates of each task, dependencies between tasks, and milestones. The schedule helps ensure timely project completion and enables monitoring of progress.Allocate Resources: Identify the human, financial, and material resources required for the project, and allocate them appropriately. Proper resource allocation helps prevent delays and cost overruns.Identify and Assess Risks: Evaluate potential risks, including their likelihood and impact on the project. Develop strategies to mitigate or address these risks to minimize their impact on the project's success.Establish Communication Channels: Determine the communication methods and frequency for sharing project updates, progress, and issues with stakeholders and team members. Effective communication helps maintain engagement and resolve issues promptly.Create a Monitoring and Control Plan: Develop a plan to track project performance and progress, comparing it against the objectives and schedule. This plan enables proactive adjustments to stay on track and achieve project success.Learn more about project planning:
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The most important ethical considerations associated with criminalising hate speech is
The criminalization of hate speech raises important ethical considerations, including concerns about freedom of expression, the potential for selective enforcement, and the impact on marginalized communities.
Firstly, freedom of expression is a fundamental human right, and restrictions on speech must be carefully balanced with the need to protect individual and community rights. Criminalizing hate speech can limit the ability of individuals to express their opinions and ideas, even when those ideas may be unpopular or offensive. This raises important questions about the appropriate balance between protecting individuals and groups from harm and preserving freedom of expression.
Secondly, there is a risk of selective enforcement when criminalizing hate speech, which may disproportionately impact certain groups or individuals. Law enforcement and other authorities may apply hate speech laws in a discriminatory or arbitrary manner, which can undermine public trust in the justice system and exacerbate social divisions.
Finally, the impact of hate speech on marginalized communities must be considered when evaluating the ethics of criminalizing hate speech. Hate speech can contribute to the marginalization, discrimination, and violence against vulnerable groups, and may have lasting psychological and social impacts. Criminalizing hate speech can send a strong message that such behavior is not acceptable, and can help to protect individuals and communities from harm.
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the countries response to high food and energy prices during the russian ukranian war in 2022
During the Russian-Ukrainian war in 2022, countries around the world faced challenges due to high food and energy prices.
In response, governments implemented various measures to mitigate the impact on their economies and citizens. Firstly, many countries sought to increase domestic production of food and energy to reduce dependence on imports and stabilize prices. This involved investing in agricultural and energy sectors, promoting renewable energy sources, and implementing policies to support local producers.
Additionally, governments took steps to manage and control inflation by implementing price controls, subsidies, or direct financial assistance to vulnerable populations. Some countries also formed strategic alliances and engaged in international cooperation to ensure a steady supply of essential commodities at affordable prices. Overall, the response to high food and energy prices during the war involved a combination of domestic production efforts, economic policies, and international collaborations to alleviate the economic burden on the population.
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how are wages determined in a free market?
Answer:
Classical economists argue that wages—the price of labor—are determined (like all prices) by supply and demand. They call this the market theory of wage determination. ... Long story short: the price of labor is determined in the free market just like every other price, by the intersection of supply and demand.
Explanation:
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Which statement explains a reason why the United States relies more heavily on expensive, high-tech medical treatments as compared to European countries
The main reason why the U.S. relies more on this is because the its health care costs are paid from a mixture of sources which leaves no single source primarily responsible for controlling health care costs.
In Europe, the countries does not rely more heavily on expensive and high-tech medical treatments as United States does.
In conclusion, the main reason why the U.S. relies more on this is because the its health care costs are paid from a mixture of sources which leaves no single source primarily responsible for controlling health care costs.
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Appleville is a village that specializes in all forms of apple products. Suppose that each winter, when no apples are being produced, aggregate output falls below the long-run equilibrium output level. What type of fiscal policy might be most effective in correcting this problem
The type of fiscal policy which might be most effective in correcting this problem is:
C) Increasing government spending in order to increase aggregate demand.According to the given question, we are asked to state the type of fiscal policy which might be most effective in correcting this problem of the village which loses its aggregate output.
As a result of this, we can see that the fiscal policy which can solve this problem is by increasing the government spending so that the aggregate demand would be increased.
Therefore, the correct answer is option C
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Brandon owes his brother $120. He has a stamp collection worth $1,250 and he has $300 in a bank account. He also has a skateboard worth $95.
Answer:
Complete the problem. What are you trying to solve for?
Explanation:
2. analyzing occupancy rates as you can see from the article in the prior problem, "rents hit all-time highs amid job growth and low vacancy rates," some people move out as a result of rent increases, while others are ready to pay an even higher rent. rent control adds yet another aspect by setting a ceiling on what the rental price can ultimately rise to. the supply and demand model can be used to illustrate the mechanism that leads to all these different market outcomes. consider the market for rental properties in los angeles and orange counties in southern california. suppose that while average earnings increased by about 10% in los ang
The demand for rental apartments and flats would increase, rent would go to an all-time high, and let's assume that average earnings in Los Angeles increased by around 10%.
What is meant by a pricing ceiling?The imposed maximum price a seller is allowed to keep for a good or service is known as a price ceiling. Price ceilings are often imposed to necessities like food and energy supplies when they become unaffordable for average customers. Price ceilings are typically established by law. In short, a price cap is a form of pricing control.
Who stands to gain from a price cap?The product will benefit those who are able to purchase it at the reduced price set by the price ceiling, but suppliers of will be in loss.
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in addition to the defenses against fraud that due care has been exercised and the auditor followed gaas, the auditor must show that (select all that apply):
GAAS helps to ensure that an auditor's actions and reports are accurate, consistent, and verifiable. GAAS is divided into three sections: general standards, fieldwork, and reporting.
What role do the generally accepted auditing standards GAAS play in the audit function?An independent auditor plan executes, and reports on audit results in accordance with auditing standards (GAAS). Auditing standards define audit quality and audit objectives.
To perform the audit, the auditor must have sufficient technical training and proficiency. The auditor must maintain mental independence in all audit-related matters.
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Answer:
1.) the auditor did not know the representation was untrue.
2.) the third party did not suffer any damages.
3.) the third party did not rely on the representation.
Explanation:
A set of exam marks has mean 70, median 65, inter-quartile range 25 and standard
deviation 15 marks. It is decided to subtract 10 from all the marks. For the new set of marks,
i) what is the new mean?
ii) what is the new median?
I
iii) what is the new inter-quartile range?
iv) what is the new standard deviation?
The new mean is 60.The new median is 65.The new inter-quartile range is 25.The new standard deviation is 15.
Given Data:Set of exam marks Mean = 70 Median = 65 Inter-quartile range = 25 Standard deviation = 15 marks
Subtract 10 from all the marks Formula Used:New mean = Old mean - a New median = Old median - a New inter-quartile range = Old inter-quartile range
New standard deviation = Old standard deviation Step-by-step solution to the given problem:
i) The new mean formula is given by New mean = Old mean - a.Put the given values in the formula New mean = 70 - 10= 60.Therefore, the new mean is 60.
ii) The new median.Since we are subtracting a constant value, the median will also be the same. Hence, the new median will be 65.
iii) The new inter-quartile rangeThe new inter-quartile range formula is given by New inter-quartile range = Old inter-quartile range.Put the given values in the formula New inter-quartile range = 25.Therefore, the new inter-quartile range is 25.
iv)The new standard deviation formula is given by New standard deviation = Old standard deviation.Put the given values in the formula New standard deviation = 15.
Therefore, the new standard deviation is 15.Answer:The new mean is 60.The new median is 65.The new inter-quartile range is 25.The new standard deviation is 15.
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Alicia is conducting research on consumer behavior. The study requires her to note the number of people who shop at Fresnas Mart, a grocery store, in the afternoons during weekdays. She also needs to pay attention to the customers' preferred brands, the customer service, and the arrangement of items in the store. She needs to conduct the study without interacting with the customers so that she does not influence their behavior and choices. In this scenario, Alicia is conducting a(n) _____.
Answer:
Observational study.
Explanation:
In Statistics, sampling can be defined as a process used to collect or select data (objects, observations, or individuals) from a larger statistical population using specific procedures.
There are various types of sampling used by researchers and these are;
1. Random sampling.
2. Systematic sampling.
3. Stratified sampling.
4. Cluster sampling.
5. Opportunity or convenience sampling.
An observational study can be defined as a type of study in which a researcher observes and measures the effect of a diagnostic test, risk factors, or treatments on individuals without intervening, changing or manipulating who are or aren't exposed to it (controlled conditions).
In this scenario, Alicia is conducting an observational study because the study was required to be conducted without interacting with the customers so as to avoid influencing their behavior and choices.
When a corporation repurchases its bonds from the bondholders, the corporation the bonds.
These bonds are called retired bonds. The bonds are referred to be retired bonds when a corporation repurchases them from the bondholders. They are called so because they have been repurchased from the investors.
- More about retired bonds :
- Repurchasing previously issued bonds from investors is referred to as retired bonds. At the time of the instruments' scheduled maturity, the issuer retires the bonds. Another method of retirement is for the issuer to repurchase the bonds sooner if the bonds are callable.
- In the case of bonds, it means that the corporation is effectively returning the principal to the investors who purchased loans from them and discharging its debt obligations. Retired securities are those that have undergone this type of purchase back.
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- The complete question is :
When a corporation repurchases its bonds from the bondholders, the bonds are called ____ bonds.
worker being fired for actions ranging from filing a workers' compensation claim to reporting safety violations to government agencies is called
A worker being fired for actions ranging from filing a workers' compensation claim to reporting safety violations to government agencies is called retaliatory discharge.
Retaliatory Discharge is a shape of wrongful termination relating to retaliation or revenge in opposition to an employee for an act now not related to their work performance. this can consist of conduct that includes filing a workers comp claim or requesting for legally-required repayment.
Retaliation happens whilst an organization (via a supervisor, supervisor, administrator, or directly) fires a worker or takes another kind of damaging movement against an employee for carrying out a covered pastime. Retaliation is whatever your organization does to punish you for exercising your rights and standing up for yourself. if you have exercised certainly one of your prison rights as an employee, and soon thereafter, your corporation takes a destructive motion against you, that is corporation retaliation.
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cutter enterprises purchased equipment for $99,000 on january 1, 2021. the equipment is expected to have a five-year life and a residual value of $6,600. using the straight-line method, depreciation for 2022 and the equipment's book value at december 31, 2022, would be:
The depreciation for 2022 is $18,480, and the equipment's book value at December 31, 2022, is $62,040.
To calculate the depreciation for 2022 and the equipment's book value at December 31, 2022, using the straight-line method, we need to determine the annual depreciation expense and subtract it from the initial cost.
Step 1: Calculate the annual depreciation expense:
The depreciable cost of the equipment is the initial cost minus the residual value:
Depreciable cost = $99,000 - $6,600 = $92,400
The annual depreciation expense is the depreciable cost divided by the expected useful life:
Annual depreciation expense = $92,400 / 5 years = $18,480 per year
Step 2: Calculate the depreciation for 2022:
Since the equipment was purchased on January 1, 2021, the depreciation for 2022 will be for the full year. Therefore, the depreciation for 2022 is $18,480.
Step 3: Calculate the equipment's book value at December 31, 2022:
The book value is the initial cost minus the accumulated depreciation. As of December 31, 2022, the equipment will have been in use for 2 years.
Accumulated depreciation = Annual depreciation expense * Number of years
Accumulated depreciation = $18,480 * 2 = $36,960
Book value = Initial cost - Accumulated depreciation
Book value = $99,000 - $36,960 = $62,040
Therefore, the depreciation for 2022 is $18,480, and the equipment's book value at December 31, 2022, is $62,040.
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Last year Dania Corporation's sales were $525 million. If sales grow at 10.5% per year, how large (in millions) will they be 8 years later
In 8 years, Dania Corporation's sales would be $936.33 million.
Solution:
Since last year sales = $525 million,
Let last year be Year 0
So, in year 0 = $525 million.
Sales grow = 7.5% per year,
Year 1,
525 x 1.075 = $564.375 million.
Year 2,
564.375 x 1.075 = $606.7 million
Year 3,
606.7 x 1.075 = $652.2 million
Year 4
652.2 x 1.075 = $701.12 million
Year 5
701.12 x 1.075 = $753.7 million
Year 6
753.7 x 1.075 = $810.23 million
Year 7
810.23 x 1.075 = $871 million
Finally in year 8
871 x 1.075 = $936.33 million
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A company reported total stockholders' equity of $435,000 on its Dec 31, 2018, balance sheet. The following information is available for the year ended Dec 31, 2019: Revenues: $930,000 Expenses: 495,000 Liabilities, on Dec 31. 2019: 216,000 What are the total assets of the company on December 31, 2019?
The total assets of the company on December 31, 2019, are $1,086,000.
To find the total assets of the company on December 31, 2019, we can use the accounting equation:
Total Assets = Total Liabilities + Stockholders' Equity
Given information:
Total stockholders' equity on Dec 31, 2018 = $435,000
Revenues for the year ended Dec 31, 2019 = $930,000
Expenses for the year ended Dec 31, 2019 = $495,000
Liabilities on Dec 31, 2019 = $216,000
To calculate the change in stockholders' equity for the year 2019, we need to consider the net income (revenues - expenses): Net Income = Revenues - Expenses
Net Income = $930,000 - $495,000
Net Income = $435,000
Now, let's calculate the stockholders' equity on December 31, 2019:
Stockholders' Equity on Dec 31, 2019 = Stockholders' Equity on Dec 31, 2018 + Net Income - Dividends
Stockholders' Equity on Dec 31, 2019 = $435,000 + $435,000 - Dividends
Since the information about dividends is not provided, we'll assume no dividends were paid. Therefore:
Stockholders' Equity on Dec 31, 2019 = $870,000
Finally, we can calculate the total assets:
Total Assets = Total Liabilities + Stockholders' Equity
Total Assets = $216,000 + $870,000
Total Assets = $1,086,000
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Carl, a partner at Bacrabs, an advertising agency, plans to open a branch of the agency in his hometown. He understands that the human resource (HR) requirements of the new branch would differ from that of its main office because of the differences in the nature and volume of work. Hence, he decides to examine what needs to be done in each position in the new branch according to the nature and volume of work. In the context of HR planning, which of the following concepts does this scenario best illustrate?
A. Internal recruitment
B. Management development
C. Employee selection
D. Job analysis
Answer:
D.
Explanation:
In Human Resource management, the term Job Analysis refers to process of analyzing and collecting the information of requirement and responsibility of a job. One of the duty of an HRM is to analyze the responsibilty that a job would require. It helps in identifying and studying the nature of a job and the right person to fill that position.
In Job analysis scenario, HRM is able to form what level of experience would a person need to have for the job, and necessary skills and knowledge that's required. HR in Job analysis is able to differ from the nature and volume of work.
So, the correct answer would be option D in the given scenario. It is because Carl is examining and analyzing the nature of new branch that would be different from its main office.
How can we get the price received and the RoR using excel
Convert historical Treasury bond yields into annualized rates of return. Data source: sheet Problem2 in the HW3.xls file available on Blackboard in the "Data" folder. The file contains historical end-of-year yields on the 10-year US government bond. Assumptions: 1) coupon rate is equal to the bond yield that year (hint: this automatically implies that price paid for the bond is always its face value, $1000); 2) holding period is one year meaning that investor buys a bond with 10 year maturity and in one year he sells it when the bond has 9 years to maturity left; 3) yield on the bond the investor is selling one year after he bought it is equal to the yield of the newly issued 10-year bond that year. Fill in the table (four empty columns). Make the plots of both yields and newly computed rates or return on the same graph and see the difference. Denote axes and put on a legend on the graph to see which plot is the bond yield and which one is the rate of return. G ROR Year, end of TBond rate price paid coupon price received 1927 3.17% 1928 3.45% $31.70 1929 3.36% $34.50 1930 3.22% $33.60 1931 3.93% $32.20 1932 3.35% $39.30 1933 3.53% $33.50 1934 3.01% $35.30 1935 2.84% $30.10 1936 2.59% $28.40 1937 2.73% $25.90 1938 2.56% $27.30
The graph will visually represent the difference between the bond yields and the rates of return over the specified years. It allows you to observe the fluctuations in yields and the corresponding rates of return, providing insights into the performance of the bond investments over time.
Open the HW3.xls file and navigate to the "Problem2" sheet that contains the historical end-of-year yields on the 10-year US government bond.
In the empty columns of the table, you need to calculate the price paid, coupon, and price received.
The price paid is always the face value of the bond, which is $1000.
The coupon rate is equal to the bond yield for that year.
To calculate the price received, you need to use the yield on the bond one year after it was bought, which is equal to the yield of the newly issued 10-year bond for that year.
Use Excel formulas to perform the calculations. For example, in the "price paid" column, you can simply enter $1000 in each corresponding cell since it remains constant. In the "coupon" column, you can refer to the bond yield for that year. In the "price received" column, you can use the yield of the newly issued 10-year bond for that year.
Once you have filled in the table with the calculated values, you can create a line graph in Excel to plot both the bond yields and the computed rates of return on the same graph. Label the axes appropriately and include a legend to distinguish between the two plots.
The graph will visually represent the difference between the bond yields and the rates of return over the specified years. It allows you to observe the fluctuations in yields and the corresponding rates of return, providing insights into the performance of the bond investments over time.
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If a company would need to increase net working capital to start a potential new project how should it be treated in the project's cash flow analysis? a. The increase in net working capital should be an inflow as part of the project's initial cash flow. b. The increase in net working capital should be an outflow as part of the project's initial cash flow c. The increase in net working capital times (one minus the company's tax rate) should be an outflow as part of the project's initial cash flow. d. The increase in net working capital times (one minus the company's tax rate) should be an inflow as part of the project's initial cash flow.
Answer:
C
Explanation:
Working capital is the capital used in the daily running of a business.
Working capital = current assets - current liabilities
Working capital is a form of expenditure for the firm.
Thus it is an outflow.
Working capital should be recorded after tax. tax should be subtracted from working capital to determine the eventual outflow
An increase in working capital means more cash is being used in the business. this cash cannot be used elsewhere. this reduces the amount of cash the business can use for other activities. this is why it is an outflow
What is the difference between a wholesaler and a retailer?
Answer:
The main difference between wholesaler and retailer is that wholesaler are people who buy products in large quantities for reselling purpose to earn a profit whereas retailer is a person who sells products to the final consumer in small quantities.
Explanation:
Which product is more scarce (limited and desirable) A table or pizza? Why?
Answer:
A table could be scarce since its not on demand and not everyone wants a table while the pizza will be on demand since it is a popular fast food and everyone wants it.
With ______, an organization can parcel out the entire complex work effort to be performed by specialists, which results in greater efficiency.
With division of labor, an organization can parcel out the entire complex work effort to be performed by specialists, which results in greater efficiency.
What is division of labor?Division of labor can simply be defined as the division of tasks in order to enable different person or individual to be involved in the tasks.
Division of labor tend to lead to efficiency when task are allocated to separate individual.
With division of labor an organization or company can allocate or assigned the whole tasks to be performed to different individual which are specialists in the field they are.
Inconclusion with division of labor, an organization can parcel out the entire complex work effort to be performed by specialists, which results in greater efficiency.
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in evaluating the four factors, it seems that grey’s decision was select answer . if grey had thought through his options as if all food manufacturers would make the same decision, he would be applying select answer . if grey had analyzed his options using select answer , he would have evaluated the costs and benefits of each option to determine the select answer for the select answer and most likely select answer shipped the food.
A business should evaluate four different aspects of a decision in order to maximize profits and be a good corporate citizen.
Grey should consider whether his failure to report the results to the Food and Drug Administration is a violation of the law when evaluating the first of the four factors. Nowadays, decision making has a wide application in management, business, and engineering majors, so researchers have directed several multiple criteria/attributes decision making (MCDM) methods to sort optimal decisions. These methods are classified as outranking-based, distance-based, and pairwise comparisons-based.
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ACTUAL EXPLANATIONS ONLY PLEASE // You project revenue to start at $5,000 for the first month and grow by $200 each month thereafter. You project expenses
to begin at $7,000 per month and grow by $50 per month. In what month will you break even (revenue equal to expenses)?
Answer:
13.33
Explanation:
We have to write 2 equations to set equal to each other.
The first one will look like this:
200x + 5,000
The x will go with the 200 because the project revenue grows by $200 each month thereafter the start of $5,000.
The second equation will look like this:
50x + 7,000
The project begins at $7,000 and grows by $50 every month so the x will go with the 50.
Now, set them equal to each other
200x + 5,000 = 50x + 7,000
Solve
150x + 5,000 = 7,000
150x = 2,000
x = 13.333
Therefore, in the thirteenth month the project will breakeven.
Hope this helps!!
- Kay :)
Kadeem bought snacks for his team's practice. He bought a bag of oranges for $2.07 and a 24-pack of juice bottles. The total cost before tax was $33.03. Write and solve an equation which can be used to determine xx, how much each bottle of juice cost
Each bottle of juice cost are 1.29 per bottle.
What is tax?
The term tax refers to the government charge the extra money for goods and services. The tax is also called as financial charge. The public pay tax is compulsory. There are two categories of tax such as direct tax and indirect tax.
The equation are the given are:
oranges for $2.07
total cost before tax was $33.03
24-pack of juice bottle
X = (tax-oranges) ÷ juice bottle
X = ($33.03—$2.07) ÷ 24
X = (30.96) ÷ 24
X = 1.29 per bottle.
As the result, the tax was the included the per bottle price is the $1.29.
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Answer:
Here's the equation and everything
Explanation: