Employee engagement refers to the level of emotional commitment and dedication that an employee has towards their work and their organization. Engaged employees are highly motivated, productive, and loyal to the company.
What drives employee engagement?Here are some factors that drive employee engagement:
A supportive work environment: Employees who work in an environment that supports their personal and professional development tend to be more engaged. Supportive work environments foster a sense of belonging, encourage creativity, and inspire employees to give their best performance.
Job clarity and alignment: Employees need to understand their role within the organization and how their role contributes to the overall success of the company. When employees know what is expected of them and understand how their work fits into the larger picture, they are more likely to be engaged.
Communication: When leaders are transparent and communicate openly with their team, employees are more likely to feel valued and connected to the company. Effective communication can create a sense of community and trust in the workplace.
Recognition: Acknowledging and rewarding employees for their hard work is a simple yet powerful way to boost employee engagement. When employees feel appreciated, they are more likely to be engaged.
Why does employee engagement matter?Employee engagement is essential to the success of an organization. Engaged employees are more productive, innovative, and motivated to achieve their goals. They are also more likely to stay with the company and contribute to the growth and success of the organization.
On the other hand, disengaged employees can lead to low productivity, high absenteeism, and low morale, which can negatively impact the bottom line of the company.
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In what ways might accounting frauds be similar to cases of academic dishonesty?
The dishonesty attitude is not only displayed by the practitioner or accountant but it is also preceded by a fraud committed by students in formal schooling.
This unethical action occurs when accountants breach the professional code of ethics issued by the Indonesian Accountants Association (IAI). The purpose of this study is to examine the links between attitudes toward academic dishonesty, attitudes toward unethical behavior, and attitudes regarding the likelihood of accounting fraud from the perspective of public accountants.The vignette was used to collect data from the IAPI community of registered public accountants. The sample includes 43 public accountants who attended the IAI XI Congress in Jakarta, as well as public accountants in Surabaya.It was discovered that there is a significant association between views about academic dishonesty and unethical behavior and attitudes toward accounting fraud.
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Cash is an _____.
A) asset
B) expense
C) none of the above
(question is from small business entrepreneurship A)
A. Asset
Explanation:
-asset is a useful or valuable thing
When a corporation or government wishes to borrow money from the public on a long-term basis, it usually does so by issuing or selling debt securities that are generically called.
When a corporation or government wishes to borrow money from the public on a long-term basis, it usually does so by issuing or selling debt securities that are generically called bonds.
In a business, bonds are formed in order to represent the money that is borrowed from a lender by the borrower. Bonds make it easier to track how much debt has been taken and what will be the terms and conditions that will be applied in returning the money.
Bonds provide debt securities and are used by corporations and governments when they have to borrow money from the public on a long-term basis.
It becomes easier to get back the money that a lender has provided through the formation of bonds. It also helps in assessing the terms and conditions that are formed while making an agreement.
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How are existing resources allocated to meet people’s needs
Answer:
Allocation of resources, apportionment of productive assets among different uses. Resource allocation arises as an issue because the resources of a society are in limited supply, whereas human wants are usually unlimited, and because any given resource can have many alternative uses.
Why are typical indifference curves negatively sloped when a consumer likes both goods? (a) Because utility decreases as consumption of one good decreases. (b) Because if consumption of one good decreases, consumption of the other must increase to hold utility constant. (c) Because utility increases as you trade consumption between goods. (d) Because utility doesn't change as you increase one consumption of good, holding consumption of the other good constant.
The correct answer is (b) Because if consumption of one good decreases, consumption of the other must increase to hold utility constant.
Indifference curves are typically negatively sloped when a consumer likes both goods because if consumption of one good decreases, consumption of the other must increase to hold utility constant.Why are typical indifference curves negatively sloped when a consumer likes both goods?Indifference curve is the graphical representation of the different combinations of two goods that provide the same level of satisfaction to the consumer.
It is negatively sloped when a consumer likes both goods. It indicates that the consumer is willing to give up some of one good to get more of the other and still remain equally satisfied.There are two reasons why the typical indifference curves are negatively sloped when a consumer likes both goods:i. If consumption of one good decreases, consumption of the other must increase to hold utility constant: If a consumer wants to stay equally satisfied as they reduce consumption of one good, they will have to consume more of the other.
For example, if you reduce consumption of food, you will have to consume more clothing to maintain the same level of satisfaction.ii. The marginal rate of substitution (MRS) decreases as you move down along the indifference curve: MRS is the rate at which a consumer can trade one good for another while still maintaining the same level of utility. The trade-off is not one for one. The more of one good that you have, the less you will be willing to trade it for the other good.
Therefore, the correct answer is (b) Because if consumption of one good decreases, consumption of the other must increase to hold utility constant.
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Write a paragraph about the financial impact of the coronavirus on our country. What evidence have you seen?
Answer:
2.9 million more Americans have filed for unemployment, bringing the two-month total to more than 36 million. The US April unemployment rate has risen to a record 14.7%, with more than 20 million jobs lost last month.if more people keep being unemployed the world would be chaotic. And even worse millions can die from starvation and lose their homes.
Explanation:
Gallonte Inc. began operations in April of this year. It makes all sales on account, subject to the following collection pattern: 20% are collected in the month of sale; 70% are collected in the first month after sale; and 10% are collected in the second month after sale. If sales for April, May, and June were $80,000, $120,000, and $110,000, respectively, what were the firm's budgeted collections for May
The total budgeted cash collections for the month of May are equal to $80,000.
What do you mean by budgeted cash collections?Budgeted cash collections refers to the quantities of cash it is assumed to gather primarily based totally on the forecasted income for your income budget. You can calculate your budgeted cash receipts to assist decide how good deal cash you need to use for your cash budget.
As per the given information:
May: April collections - $80000 * 70/100 = $56000
May Collections $120,000 * 20/100 = $24,000
Total budgeted collections for the month of MAY - $80,000
Therefore, the total budgeted cash collections for the month of May are equal to $80,000.
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what is marketing management?why is it important?
Its help to stand competent in highly thriving competition in the market.
Answer:
Marketing management is especially important for smaller businesses because it gives them a level footing to complete with larger players in the field.Thorough customer research,creative campaigns and marketing strategies and positive branding can go a long way in providing a brand with an edge over its competition.
Explanation:
hope it helps you
6. Identify a change in technology during each of the time periods in history below that you believe improved the
way marketing activities were completed. List the example and explain how it contributed to marketing during
that time.
(a) 1900s to 1930s
(b) 1930s to 1950s
(c) 1950s to 1980s
(d) 1980s to today
Answer:
Answer:
Prior to the 1950s, the production orientation generally held true due to the growing numbers of affluent and middle class people that capitalism had created.
Say’s Law states that the “production of commodities creates, and is the one and universal cause which creates, a market for the commodities produced”.
The emphasis of firms adopting a production orientation of marketing would have been based on the theory of economies of scale, which are the cost advantages that an enterprise obtains due to expansion.
In a free market economy, the market, not the
determines prices. The interactions of
and
determine the price in the market?
Answer: 1. government , 2. consumers , 3. producers
Explanation: edmentum / plato
Explain the importance of team dynamics (plz help)
Team dynamics in the workplace are important because they impact creativity, productivity and effectiveness. Since group work is integral to organisations, improving group dynamics can lead to better work outcomes, customer satisfaction and an improved bottom line.
Exercise 3. An investor has EUR 10,000 and can expect to earn a 4% annual interest on that sum each year for the next 10 years with interest compounded semi-annually, what is the future value (FV)?
The future value (FV) of the investment after 10 years with compound interest at a rate of 4% compounded semi-annually is approximately EUR 14,859.46.
The formula to calculate the future value of an investment with compound interest is:
FV = P * (1 + r/n)^(n*t)
Where:
FV = Future value
P = Principal amount (initial investment)
r = Annual interest rate (in decimal form)
n = Number of compounding periods per year
t = Number of years
In this case, the principal amount (P) is EUR 10,000, the annual interest rate (r) is 4% (or 0.04 in decimal form), the compounding periods per year (n) is 2 (semi-annually), and the number of years (t) is 10.
Plugging the values into the formula:
FV = 10,000 * (1 + 0.04/2)^(2*10)
FV = 10,000 * (1 + 0.02)^(20)
FV = 10,000 * (1.02)^(20)
FV ≈ 10,000 * 1.485946
FV ≈ EUR 14,859.46
Therefore, the future value (FV) of the investment after 10 years with compound interest at a rate of 4% compounded semi-annually is approximately EUR 14,859.46.
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O Which of the following is true of grapevine communication? a. It is primarily used by supervisors. O b. It only occurs at times of crisis. . OC. It can happen online O d. It can be easily controlled by managers.
Answer:
Option C
Explanation:
Grapevine communication is an informal mode of communication in corporates offices premises. It can occur at any level and across all directions irrespective of the designation of an individual.
The common example of this form of communication is gossip or rumor
Gossip and rumor can happen online hence, option C is correct
What's the main reason to use a personal budget?
O A. To keep costs below benefits
O B. To stay out of debt
C. To appropriate discretionary funds
O D. To maximize investment returns
Answer: B, stay out of debt
Explanation: A budget reveals areas where you're spending too much money so you can refocus on your most important goals. A budget can keep you out of debt or help you get out of debt. A budget actually creates extra money for you to do use on things that matter to you.
the size of the deadweight loss will get smaller when output is increased and
When output is increased, the size of the deadweight loss will get smaller. This is because the gap between the marginal benefit and the marginal cost decreases. When output is increased, the deadweight loss gets smaller as the market becomes more competitive and welfare increases.
Deadweight loss is the measure of economic inefficiency. It occurs when the equilibrium quantity of a good or service is not produced or consumed, leading to a welfare loss for society. The size of the deadweight loss will get smaller when output is increased and the market becomes more competitive. The main reason behind this is that when output increases, the marginal cost of production decreases, and the marginal revenue of the seller increases.
This means that the seller can produce more output while charging a lower price, leading to an increase in the quantity of goods or services consumed. This increase in the quantity consumed leads to a reduction in the deadweight loss as the gains to consumers outweigh the losses to producers. In contrast, when output is reduced, the marginal cost of production increases, and the marginal revenue of the seller decreases. This means that the seller can produce less output while charging a higher price, leading to a decrease in the quantity of goods or services consumed. This decrease in the quantity consumed leads to an increase in the deadweight loss as the losses to consumers outweigh the gains to producers.
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3M stock started the year at $147, and by the end of the year
had increased to $166. 3M also paid 5 in dividends during the year.
What was the percent return for 3M?
The percent return for 3M stock is approximately 16.33%.
To calculate the percent return for 3M stock, we need to consider both the change in stock price and the dividends paid.
The initial stock price of 3M was $147, and by the end of the year, it had increased to $166. This represents a price increase of $166 - $147 = $19 per share. In addition, 3M paid $5 in dividends during the year.
To calculate the percent return, we can use the formula:
Percent Return = ((Change in Price + Dividends) / Initial Price) * 100
In this case, the change in price is $19, and the dividends paid is $5. The initial price is $147.
Using the formula:
Percent Return = (($19 + $5) / $147) * 100
Percent Return = ($24 / $147) * 100
Percent Return ≈ 16.33%
Therefore, the percent return for 3M stock is approximately 16.33%.
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Mutual fund fees are disclosed in the fund prospectus.
a. true
b. false
Mutual fund fees are disclosed in the fund prospectus. This statement is true.
The prospectus is a legally required document that provides detailed information about a mutual fund, including its investment objectives, risks, performance history, and fees. It is designed to help investors make informed decisions about whether to invest in a particular mutual fund.
When it comes to fees, the prospectus will typically disclose various types of charges associated with investing in the fund. These may include management fees, which compensate the fund manager for overseeing the portfolio, as well as administrative fees for operational expenses.
The prospectus will also disclose any sales charges or loads that investors may incur when buying or selling mutual fund shares. This information is important because it affects the total cost of investing in the fund and can impact investment returns.
Additionally, the prospectus may provide details about other fees, such as redemption fees or account maintenance fees. These fees vary by fund and can have a significant impact on the overall cost of investing.
It is crucial for investors to review the fund prospectus carefully and understand the fees associated with a mutual fund before making any investment decisions. By doing so, investors can make informed choices and select funds that align with their investment goals and risk tolerance.
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Help what is the answer?
Based on the given table on the different costs of shoes, the marginal cost for the 4th units of shoes is c. $4.
How to find the marginal cost?The marginal cost refers to the amount of production expenses that a company incurs in order to be able to make an additional unit of a good or service.
This means that the marginal cost of a unit can be found by subtracting the total cost of making all the units excluding the additional unit from the total cost of making all the units including the additional units.
The marginal cost here is:
= Total cost of 4th shoe - Total cost at 3 units of shoes
= 10 - 6
= $4
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This table can be used to organize Gigi’s credit card balances and payments over 6 months. The annual percentage rate on the credit card is 14%. Gigi’s Credit Card Payments Month Balance Payment Interest Rate Interest Charged 1 $650 $300 0.01167 $4.08 2 $354.08 $50 0.01167 3 $307.63 $50 0.01167 4 $260.64 $50 0.01167 5 $213.10 $50 0.01167 6 $165 $50 0.01167 What is the amount of interest charged for the first 6 months? $
Answer:
-16.34
Explanation:
Disclaimer: I am not sure, sorry. It might be -16.34, 16.34, or 15.75. Once again, sorry.Answer:
$16.34
Explanation:
HAVE A GOOD DAY!!!!
Analyze risk and its measurement. Why must managers be
conscious of risk and understand how to properly measure it? What
could potentially happen if risk assessment did not
occur?
200 word minimum
Managers must be conscious of risk and understand how to properly measure it because it is essential for effective decision-making and overall organizational success. Risk refers to the potential for loss or negative outcomes, and analyzing risk helps managers identify potential hazards and make informed decisions to mitigate them.
By understanding and measuring risk, managers can make strategic choices to minimize potential negative impacts and maximize opportunities. If managers are not conscious of risk and fail to properly measure it, several potential consequences can occur. First, they may make decisions without considering potential risks, which can lead to unforeseen problems and losses for the organization. This can include financial losses, reputational damage, or even legal issues. Without risk assessment, managers may overlook important factors that could impact the success of their decisions. Second, without proper risk measurement, managers may overestimate or underestimate the level of risk involved. The overestimating risk may result in missed opportunities or overly cautious decision-making, which can limit growth and innovation. On the other hand, underestimating risk can lead to poor planning and decision-making, increasing the likelihood of negative outcomes. Lastly, without risk assessment, managers may not be able to prioritize resources effectively. By understanding the level of risk associated with different activities or projects, managers can allocate resources accordingly and focus on areas that require more attention or resources. In summary, managers must be conscious of risk and understand how to properly measure it to make informed decisions and minimize potential negative impacts. Failure to conduct risk assessment can lead to unforeseen problems, missed opportunities, poor decision-making, and inefficient resource allocation.
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m corporation has an employee benefit plan for compensated absences that gives each employee 15 paid vacation days. vacation days can be carried over indefinitely. employees can elect to receive payment in lieu of vacation days. at december 31, 2024, m's unadjusted balance of liability for compensated absences was $37,200. m estimated that there were 200 total vacation days available at december 31, 2024. m's employees earn an average of $186 per day. in its december 31, 2024, balance sheet, what amount of liability for compensated absences is m required to report? multiple choice $37,200 $279,000 $0 $558,000
In its December 31, 2024, balance sheet, the amount of liability for compensated absences that M is required to report is $279,000.
According to the problem, each employee is entitled to 15 vacation days, and there are 200 vacation days available. Thus, there are 200/15 = 13.33 employees.
The $186 per day average pay rate is multiplied by 15 days per employee to determine the compensated absence liability for one worker.
This equates to $2,790 in compensated absence liability for one worker, as $186 x 15 = $2,790.
M, therefore, has $37,200 in unadjusted liability, which represents a liability of $2,790 per worker.
As a result, the number of workers at M is calculated to be 13.33.
Then multiply $2,790 by 13.33 to get $37,200.
The following formula should be used to determine the compensated absence liability on the balance sheet:
Compensated absence liability = Employee's daily pay rate x Number of unused vacation days x Number of employees
= $186 x 15 x 13.33= $37,196.20
The final answer is rounded to the nearest thousandth, which is $37,196. The $37,196 amount is then multiplied by the number of unused vacation days, 185, to obtain the correct compensated absence liability of $6,861,860. This amount is then multiplied by 2 (for the carried over unused vacation days), resulting in $13,723,720.
Finally, the $13,723,720 is added to the unadjusted balance of $37,200 to obtain the correct amount of liability for compensated absences of $279,000, which must be reported on M's December 31, 2024, balance sheet.
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On September 30, 2021, the San Fillipo Corporation issued 8% stated rate bonds with a face amount of $300 million. The bonds mature on September 30, 2041 (20 years). The market rate of interest for similar bonds was 10%. Interest is paid semiannually on March 31 and September 30. (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided. ) Required: Determine the price of the bonds on September 30, 2021. (Enter your answers in whole dollars. Round your final answers to nearest whole dollar amount. )
The price of the bonds is determined using the Present Value of a 20-year annuity formula with an 8% interest rate is $278,743,846.
The price of the bonds is determined using the Present Value of a 20-year annuity formula with an 8% interest rate. The calculation is: Price = $300,000,000 × [PVIFA 20%, 8%] = $300,000,000 × 0.7547 = $278,743,846.
The Present Value Interest Factor of Annuity (PVIFA) is used to calculate the present value of a series of payments over a certain period of time. In this case, the PVIFA is 20 years and the interest rate is 8%, which is the stated interest rate of the bond.
Therefore, the price of the bonds on September 30, 2021 is $278,743,846.
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The first step in identifying appropriate assessment strategies is to:a. consult with a colleague about which tests he or she uses.b. examine the Mental Measurements Yearbook..c. identify what information is needed.d. order an introductory kit from the publisher.
The first step in identifying appropriate assessment strategies is to c. identify what information is needed.
This is crucial because, before selecting any specific assessment tools or methods, you must have a clear understanding of the objectives and desired outcomes of the assessment. By knowing what information is needed, you can then choose assessment strategies that are tailored to meet those specific needs.
Consulting with a colleague or examining resources like the Mental Measurements Yearbook may be helpful in finding appropriate assessments, but they should not be the first step. These options should be considered after identifying the necessary information, as they can provide insights into which tests or assessment strategies have been proven effective in similar situations.
Ordering an introductory kit from a publisher without first understanding the required information would not be an efficient or effective approach, as the kit may not address the specific needs of the assessment. In conclusion, always start by identifying the information needed to ensure the chosen assessment strategies align with your objectives and provide accurate and reliable results.
Therefore, the correct answer is c. identify what information is needed.
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a company has a product that is geared toward 18- to 21-year-old women, who are all college students. this group would be considered a(n)
A business sells a product that is intended for ladies between the ages of 18 and 21, all of whom are enrolled in college. This demographic would be regarded as a target market.
Age segmentation – what is it?a method of demographic segmentation where a product market is divided into age-based divisions so the organization may more accurately tailor its offers to the needs and goals of each stage of life that interests it.
What does gender segmentation look like in practice?For instance, Nike, a sportswear firm, maintains separate product lines for men and women. Nike will need to develop distinct marketing plans for its items to appeal to both men and women. The business even has to establish a distinct division
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Question:
In marketing, a company has a product that is geared toward 18- to 21-year-old women, who are all college students. This group would be considered a(n) ________?
If the required reserve ratio is a uniform 25 percent on all deposits, the money multiplier will be: a. 4.00. b. 2.50. c. 0.25. d. 0.40.
If the required reserve ratio is a uniform 25 percent on all deposits, the money multiplier will be: a. 4.00.
Money multiplierUsing this formula
Money multiplier=1/required reserve ratio
Where:
Required reserve ratio=25% or 0.25
Let plug in the formula
Money multiplier=1/.25
Money multiplier= 4.00
Inconclusion if the required reserve ratio is a uniform 25 percent on all deposits, the money multiplier will be: a. 4.00.
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Kendra is trying to decide whether to go to Abby's house to watch a movie or to go to Samuel's house to play board games. They live about the same
distance away, and there is no cost for either event. If she chooses to go to Abby's house, what is the opportunity cost? (1 point)
There is no opportunity cost because there is not cost associated with either option.
Economics do not apply to this kind of decision.
The difference in value to Kendra of the two options.
The net value to Kendra of going to Abby's house to watch a movie
The net value to Kendra of going to Samuel's house to play games
Answer: The net value to Kendra of going to Samuel's house to play games
Kendra decision to go to Samul
The person named Kendra is trying to decide whether she should go to her abbeys house or whether to watch a movie. The first the option of going to the Samul house and playing a board game and can also go for a movie as she stays at the same distance. There are no costs involved in both events.
Thus answer is the net value to Kendra of going to Samuel's house for playing games.
The concept of the opportunity cost can be seen when the loss of a valve product for the cost of another more valuable item or an important product is considered to benefit. It often gives us a much higher value.Thus the option C is correct.Learn more about the decision whether.
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Finish this sentence... I believe car loans are
conflicts between two mutually exclusive projects occasionally occur, where the npv method ranks one project higher but the irr method puts the other one first. in theory, such conflicts should be resolved in favor of the project with the higher npv. t or f
Theoretically, these disputes ought to be settled in favor of the project with the larger NPV. The given statement is True.
Define an NPV.A set of cash flows is said to have a net present value or net present worth if they occur at diverse times. The present value of a cash flow depends on how long it will be before it occurs. Another element is the discount rate. The temporal value of money is considered by NPV.
Using the internal rate of return is one method of calculating the rate of return on an investment. The formula is "internal" because it does not account for external factors like the risk-free rate, inflation, the cost of capital, or financial risk. Applications of the method can be either ex-post or ex-ante.
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"Development has a negative impact on our environment" Motivate why you agree with the
statement
[8]
industrial lead to water pollution
Which balance shows the amount of money you can use now? Checking balance Current balance Available balance Pending balance
The balance that shows the amount of money you can use now is Available balance.
What is available balance?Available balance can be defined as the amount of money that is available for you to use.
This simply means that you can carryout transaction on you account based on the money in your account such as withdrawing.
Inconclusion the balance that shows the amount of money you can use now is Available balance.
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