In a market with external benefits, the actual market price is less than the socially optimal market price, which leads to a lower market output.
In this situation, the market output is 800 units, and the actual market price is $49. When the market has external benefits, the actual market price will be lower than the optimal market price, which will be higher than $49. The optimal market price will provide the best balance between the benefits and costs for all parties involved and result in an optimal market outcome. The optimal market output, on the other hand, will be greater than 800 units because the external benefits imply that the total benefits for society are greater than what is being produced and consumed in the market.
The socially optimal market output will, therefore, be higher than the market output of 800 units and will result in a more efficient, ideal equilibrium.
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Automated teller machine to provide all the following services except
Answer:
b. statement printouts
Multiple-choice answers for this question are:
a. Account balance checks b. statement printouts c. cash withdrawals d. money transfers
Explanation:
An ATM ( automated teller machine) provides a convenient way to perform some basic banking operations outside the banking hall. Customers can check their account balance, do transfers, deposit, and withdraw from their accounts from an ATM. A debit card is required to access the bank account via ATM.
An ATM does not print bank statements. A customer requiring a bank statement will need to walk into the banking hall to request the inquiries desk.
Answer:
Statement Printouts
Explanation:
Your father obtained a car loan payable in lump sum in 5 years at a total amount of P800,000 with an annual rate of 15%. What is the present value?
Answer:
the present value is $397,741.39
Explanation:
The computation of the present value is shown below
As we know that
Present value = Future value ÷ (1 + rate of interest)^years
= 800,000 ÷ (1 + 0.15)^5
= 800,000 ÷ 1.15^5
= $397,741.39
Hence, the present value is $397,741.39
Question 8 Real GDP measures the market value of goods and services produced. standard of living actual quantity of goods and services produced. level of productivity. If real GDP was $17.500 billion in 2016 and $17,800 billion in 2017, the economic growth rate was approximately percent. 0.8 1.7 3.2 4.6 If real GDP was $17,200 billion in 2015 and $17,500 billion in 2016, the economic growth rate was approximately ___ percent. 0.8 1.7 3.2 4.6 If GDP was $19.39 trillion in 2017 and the population was 325.7 million, then GDP per capita was approximately $33,333 $47,042 $59.533. $68,500
If the real GDP was $17.500 billion in 2016 and $17,800 billion in 2017, the economic growth rate was approximately 1.7 percent. The GDP per capita was approximately $59.533.
If the real GDP was $17,200 billion in 2015 and $17,500 billion in 2016, the economic growth rate was approximately 1.7 percent.
Both growth rates can be calculated using the formula: (New GDP-Old GDP) / Old GDP x 100.
To calculate the GDP per capita in 2017, we will divide the GDP by the population as follows: $19.39 trillion / 325.7 million = $59.533 approximately.
Therefore, the economic growth rate was approximately 1.7 percent in both years, and the GDP per capita was approximately $59.533.
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(The answer!! :)) Select the examples that best demonstrate likely tasks for Energy Transmission workers. Check all that apply.
a. Rosalee responds quickly to fix electrical wires in emergencies.
b. Grover loads coal into carts and containers in a mine.
c. Shawn inspects oil pipeline equipment.
d. Constance designs methods for drilling to reach an underground deposit of natural gas.
e. Jack visits customers’ homes to explain the heating and electrical systems his company will install.
f. Mae follows safety instructions carefully.
-----------
Answers:
a. Rosalee responds quickly to fix electrical wires in emergencies.
c. Shawn inspects oil pipeline equipment.
f. Mae follows safety instructions carefully.
Answer:
Rosalee responds quickly to fix electrical wires in emergencies.
Shawn inspects oil pipeline equipment.
Mae follows safety instructions carefully.
The examples that best demonstrate the likely tasks for Energy Transmission workers include "Rosalee responds quickly to fix electrical wires in emergencies."
Other examples that best demonstrate the likely tasks for Energy Transmission workers include the following:
Shawn inspects oil pipeline equipment.Mae follows safety instructions carefully.This is because Energy Transmission is a form of energy transfer from the point of the energy generation process to the point of the energy distribution process.
It usually involves the flow of energy generated from coal, the hydro, nuclear, wind, and solar through power grids.
Hence, in this case, it is concluded that the correct answer is options A, C, and F.
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What is a mutual fund
Answer: A mutal fund is a professionally managed investment fund that pools money from many investors to purchase securities. the term is typically used in the United States, Canada, and India while simular structures across the globe include the SICAV in Europe and open-ended investment company in the UK.
Explanation:
Which of the following is an example of the ethical issue of gift-giving in the
health care industry?
Answer:
Patient Privacy and Confidentiality. The protection of private patient information is one of the most important ethical and legal issues in the field of healthcare. ...
Transmission of Diseases. ...
Relationships. ...
End-of-Life Issues
etc.
Answer:
A doctor prescribes medication to patients after the pharmaceutical company present tickets to a basketball game to the doctor.
Explanation:
good luck with your homework <3
Shirley Lach and Lynwood wiseman formed Man O’ war Limited Partnership
In 1986, Shirley Lach and her then husb-and, Lynwood Wise-man, formed Man O’War Limited Partner-ship for the purpose of leasing real property and devel-oping and operating shop-ping centers.
Robert Miller be-came a general partner along with Wiseman. Lach was one of 8 limited partners. The partners’ owner-ship percentages were Miller, 1%, Wiseman, 32%, Lach, 27%, Jonathan Miller, 9%, Harry B. Miller, 12%, Harvey Morgan, 1 percent, Penny Mill-er, 3 percent, Jeffery Mullens, 1%, Jennifer Miller, 9%, and Sophie Wiseman, 5%. Wiseman, Lach, and Robert Miller also form-ed M.O.W. Place, Ltd., to lease a shop-ping center from the joint venture. In 1988, Wise-man and Lach were divorced, but cont-inued in business together.
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Which best diagrams the correct obstacle to the example?
economic trade this is your answer hope it's helpful to you
Economic Trade is the answer.
Why is compound interest preferable to simple interest when investing?
оооо
Compound interest pays at least double the interest on the principal during each month.
Compound interest is paid by the week or by the month, not only once during a year.
Compound interest is based on the entire principal, not just a percentage of the principal.
O Compound interest pays interest both on the principal and the interest earned in each period.
Answer:
O Compound interest pays interest both on the principal and the interest earned in each period.
Explanation:
Compound interest is preferred as it measures the interest on the principal amount and the accrued interest. In the compounding interest, the interest i.e. earned should be added to the principal in order to create the new principal amount. The interest earned at the closing of every year should be more than the last period as the principal amount rises at the starting of the period
Also, the interest earned via the compound interest should be grown much faster as we compared to the fixed rate interest
Therefore the last option is correct
Answer:
d. Compound interest pays interest both on the principal and the interest earned in each period
Explanation:
suppose you bought a put option with a strike price of $35 for $4. what would be your payoff if the underlying stock is worth $48 at option expiration? (payoff, not profit)
The striking price, which establishes the price at which the option holder can buy or sell the underlying securities, is a crucial component of call and put options.
There are various options listed with strike prices above and below the current market value. Let's say that the share price of a stock is $100. The holder of the call option with a strike price of $110 would be entitled to purchase the shares at that price on or before the contract's expiration date. In other words, if the stock price drops, the option would be worth less, and if the price of the underlying stock rises, it would be worth more. The call will expire worthless if the price never rises beyond $110 before the expiration date, though. Considering that you might purchase the shares.
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If Treasury bills are currently paying 5.2 percent and the inflation rate is 2.7 percent, what is the approximate real rate of interest?
Answer:
2.43 %
Explanation :
Real Interest rate = (1 + nominal rate) / (1 + inflation rate) - 1
therefore,
Real Interest rate = 1.052 / 1.027 - 1
= 2.43 %
the approximate real rate of interest is 2.43 %
________systems strive to interconnect the computing systems of upstream and downstream entities. O A) SCM OB) SRM OC) CRM D) ERP
The system that strives to interconnect the computing systems of upstream and downstream entities is ERP, or Enterprise Resource Planning. ERP systems provide a centralized platform for managing various business functions such as accounting, human resources, procurement, and inventory management. They integrate data and processes across departments and business units to improve overall efficiency and productivity.
In the context of supply chain management, ERP systems facilitate the sharing of information among suppliers, manufacturers, distributors, and retailers. They provide real-time visibility into inventory levels, production schedules, shipping status, and other critical data that enable organizations to make informed decisions and respond quickly to changes in demand or supply.
By integrating disparate systems and streamlining business processes, ERP systems help organizations reduce costs, minimize errors, and improve customer satisfaction. They provide a foundation for digital transformation initiatives and enable organizations to leverage emerging technologies such as artificial intelligence, machine learning, and the Internet of Things to gain a competitive advantage. Overall, ERP systems are critical for managing complex supply chains and ensuring business success in today's fast-paced and interconnected world.
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The system that strives to interconnect the computing systems of upstream and downstream entities is ERP, or Enterprise Resource Planning. ERP systems provide a centralized platform for managing various business functions such as accounting, human resources, procurement, and inventory management. They integrate data and processes across departments and business units to improve overall efficiency and productivity.
In the context of supply chain management, ERP systems facilitate the sharing of information among suppliers, manufacturers, distributors, and retailers. They provide real-time visibility into inventory levels, production schedules, shipping status, and other critical data that enable organizations to make informed decisions and respond quickly to changes in demand or supply.
By integrating disparate systems and streamlining business processes, ERP systems help organizations reduce costs, minimize errors, and improve customer satisfaction. They provide a foundation for digital transformation initiatives and enable organizations to leverage emerging technologies such as artificial intelligence, machine learning, and the Internet of Things to gain a competitive advantage. Overall, ERP systems are critical for managing complex supply chains and ensuring business success in today's fast-paced and interconnected world.
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The Jenkins Division recorded operating data as follows for the past year: Sales $600,000 Net operating income $30,000 Average operating assets $200,000 Stockholders; equity $50,000 Residual income $14,000 For the past year, the return on investment was: 5% 15% 30% 25%
To calculate the return on investment (ROI), we need the net operating income and the average operating assets. ROI is calculated by dividing the net operating income by the average operating assets and expressing it as a percentage.
Given:
Net operating income = $30,000
Average operating assets = $200,000
ROI = (Net Operating Income / Average Operating Assets) * 100
Substituting the values:
ROI = ($30,000 / $200,000) * 100
ROI = 0.15 * 100
ROI = 15%
Therefore, the return on investment (ROI) for the past year is 15%.
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cash transactions involving the purchase and sale of long-term assets and current investments are classified on the statement of cash flows as
The purchase/sale of long-term assets and current investments are classified as Investing activities under the statement of cash flows.
Basically, a cash-flow statement is a financial statement that records the cash and cash equivalent that goes in and out of the business.
The section of the cash-flow statement is divided into:
Operating activitiesInvesting activitiesFinancing activitiesThe Investing activities entails transactions that includes purchase and sale of long-term assets and other business investment.
Therefore, the Investing activities is the answer.
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a company has total interest-bearing debt of $1.7 million. if it has $800,000 in equity, then what is its debt-to-capital ratio?
The company's debt-to-capital ratio is 0.68.
The debt-to-capital ratio is a financial ratio that measures a company's financial leverage, which is the amount of debt it has relative to its overall capital.
The formula for the debt-to-capital ratio is:
Debt-to-Capital Ratio = Total Interest-Bearing Debt / (Total Interest-Bearing Debt + Total Equity)
In this case, the company has total interest-bearing debt of $1.7 million and total equity of $800,000. So, the debt-to-capital ratio would be calculated as follows:
Debt-to-Capital Ratio = $1.7 million / ($1.7 million + $800,000)
Debt-to-Capital Ratio = $1.7 million / $2.5 million
Debt-to-Capital Ratio = 0.68
Therefore, the company's debt-to-capital ratio is 0.68. This means that the company has 68% of its capital in the form of debt and 32% in the form of equity.
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Why is strength an internal force
Answer:
Because it comes from within the person.
Explanation:
In business, we learn about the concept of internal force and external force as two factors that could influence the outcome of a certain event.
External forces are the type of influences that come from our environment. Generally, it's not something that we can control. We have to make proper adaptation to address the external forces to prevent it from ruining our goals.
Example of External Goals : Natural disaster, Future laws made by the government, etc.
Internal forces on the other hand are the type of influences that come from within ourselves as a person. It is something that we can control and constantly thrive to improve in order to make it easier for us to achieve our goals.
Example of internal goals: Strength, Emotional stability, Motivation, etc.
Shepherds company. Manufactures two types of shoes sneakers and boots .Each sneakers requires 2 direct labor hours and boots require 1.5 direct labor hours.The overhead rate. Per direct hour is $2 .Direct materials for sneakers and boots is $15-$20 .Respectivelay.The total unit cost for each product.
The question is incomplete. The complete question is :
Shepherd Company manufactures two types of shoes - sneakers and boots. Each sneaker requires 2 direct labor hours and boots require 1.5 direct labor hours. The overhead rate per direct labor hour is $2. Direct materials for sneakers and boots is $15 and $20, respectively. Direct labor for sneakers and boots is $5 and $7, respectively. The total unit cost for each product is:
Solution :
The total unit cost for a product = direct materials cost + direct labor cost + overhead cost
The total unit cost for the sneakers and the boots are :
Particulars Sneakers Boots
Direct material cost $15 $20
Direct labor cost $5 $7
Overhead cost $4 $3
Total unit cost $24 $30
The overhead rate per direct labor hour is $2
So, the overhead cost per unit of :
Sneakers : 2 hours at the rate $2 per hour = $4
Boots : 1.5 hours at the rate of $2 per hour = $3
Hence the answer is : total unit cost = Sneakers: $24; Boots: $30
The LIFO reserve is the difference between the inventory valuation as reported under: Multiple choice question. LIFO and the amount that would have been reported under weighted-average. FIFO and the amount that would have been reported under LIFO. weighted-average and the amount that would have been reported under LIFO. LIFO and the amount that would have been reported under FIFO.
Answer:
One Of Them, I Think, Is Called The LIFO reserve
Explanation:
Conflict should always be minimized in family-controlled businesses to minimize the danger of damaging a family member’s ego.
True
False
The given statement "Conflict should always be minimized in family-controlled businesses to minimize the danger of damaging a family member's ego" is True because minimizing conflict in family-controlled businesses is crucial to protect family relationships, enhancing decision-making, improving communication, retaining talent, and ensure the long-term sustainability of the business.
In family-controlled businesses, conflicts can arise due to various reasons such as differences in opinions, power struggles, or personal relationships. These conflicts can have a significant impact on both the business and the family dynamics.
When conflicts occur within a family-controlled business, there is a higher risk of damaging a family member's ego. Family members often have personal and emotional investments in the business, and conflicts can be taken more personally, leading to hurt feelings and damaged relationships. This can create a toxic work environment, affecting productivity, decision-making, and overall business performance.
Minimizing conflict in family-controlled businesses is essential to maintain a healthy work environment and preserve family relationships. Here are a few reasons why conflict should be minimized:
1. Enhanced decision-making: When conflicts are minimized, family members can focus on making rational and objective decisions for the betterment of the business. This ensures that decisions are made based on merit rather than personal biases or grudges.
2. Improved communication: Minimizing conflict encourages open and effective communication among family members. It allows them to express their thoughts and concerns in a respectful and constructive manner, leading to better understanding and collaboration.
3. Retention of talent: Conflict within a family-controlled business can lead to the loss of valuable employees who may feel uncomfortable or discouraged by the toxic work environment. By minimizing conflict, businesses can retain skilled employees and promote positive company culture.
4. Long-term sustainability: Family-controlled businesses often have the goal of passing on the business to future generations. Minimizing conflict helps ensure the continuity and long-term sustainability of the business by maintaining harmony and unity among family members.
In conclusion, minimizing conflict in family-controlled businesses is crucial to protect family relationships, enhance decision-making, improving communication, retain talent, and ensure the long-term sustainability of the business. By creating a harmonious work environment, family-controlled businesses can thrive and succeed both professionally and personally.
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Why is it better to have 10 new businesses with 10 employees each than to have a factory with 100 workers?
Answer:
100 workers can help get the job done a lot easier
Explanation:
10x10=100
Emotional intelligence refers to the capacity for monitoring our own feelings and those of others, along with motivating ourselves and managing our emotions. (T/F)
Emotional intelligence refers to the capacity for monitoring our own feelings and those of others, along with motivating ourselves and managing our emotions - True
Emotional intelligence (EI) is the potential to recognize, comprehend, express, manage, and make use of emotions in interpersonal interactions and communication. As important as it is to be able to express and regulate one's emotions, it is also crucial to be able to comprehend, and react to the emotions of others.
Emotional intelligence requires empathy, or the effective capacity to understand the feelings of others. High emotional intelligence people are easily able to utilize their emotions to help them concentrate and think critically, which helps them achieve their goals. The ability to perceive, use, interpret, and effectively control one's feelings and emotions is the most typical definition of emotional intelligence
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x corporation discovers that a product it manufactures has exposed its employees to asbestos for decades. it must decide what to do with this information. if it suppresses its discovery, the business will remain successful and the company's owners will continue to profit, but current and former employees will continue to endure negative health effects. according to josephson's core values model for ethical decision-making, what should x corporation do next? evaluate how likely the corporation is to successfully suppress this information and determine the consequences of being caught. determine if the benefits to the owners from suppressing the information outweigh the consequences to employees, or if the reverse is true. evaluate whether the decision to suppress the information would satisfy any core values and contrast it to other possible decisions. decide which core values are at stake in the decision to suppress the information and rank them in order of importance
Based on the fact that x corporation discovers that a product it manufactures has exposed its employees to asbestos for decades, it must decide what to do with this information. if it suppresses its discovery, the business will remain successful, the best decision to take that would be ethical would be to determine if the benefits to the owners from suppressing the information outweigh the consequences to employees, or if the reverse is true.
What is an Ethical Decision?This refers to the term that is used in order to show the decision that is taken by a person, group or organization that is fair and right and proper to all parties involved.
Hence, it can be seen that based on the given scenario, it is discovered that x corporation discovers that a product it manufactures has exposed its employees to asbestos for decades, according to josephson's core values model for ethical decision-making,, it should be investigated to check if the benefits outweighs consequences.
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Select the correct answer.
Helen is the head of the accounts department in a small business. She is calculating the various expenses that the business has incurred in the past quarter. On which asset would she need to calculate the expense of depreciation?
A. Cash
B. Inventory
C. Machinery
D. Accounts receivable
As a head of the accounts department in a small business. In machinery asset helen need to calculate the expense of depreciation. so option c is correct.
What exactly does accounting depreciation mean?Depreciation is a type of non-cash business expense that is computed throughout the time that an asset is valuable to your company. Using up a portion of an asset's worth at a cost that may be deducted from taxable income allows every organization to benefit from depreciation.
Depreciation is an accounting phrase that covers two distinct but related ideas: firstly, the real decline in an asset's fair value, such as the annual decline in the value of factory equipment.
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compound interest is a very important concept when evaluating the return on an investment you plan to hold for a long time. T/F
True.
Compound interest is a crucial concept in evaluating the return on long-term investments. It refers to the interest earned not only on the initial investment but also on the accumulated interest from previous periods. As time progresses, compound interest has the potential to significantly increase the overall value of an investment. This is because the interest earned in each period is added to the principal, resulting in a larger base for interest calculations in subsequent periods. Therefore, the longer an investment is held, the more pronounced the effect of compound interest becomes, making it an important consideration when evaluating long-term investment returns.
Compound interest is a powerful concept that can have a significant impact on the growth of an investment over time. Here are some additional points to consider:
1. Compounding Period: Compound interest typically accrues over specific compounding periods, such as annually, semi-annually, quarterly, or monthly. The more frequently interest is compounded, the greater the effect on the investment's growth.
2. Time Value of Money: Compound interest takes into account the time value of money, recognizing that a dollar received in the future is worth less than a dollar received today. By reinvesting the interest earned, the investment has the potential to grow exponentially over time.
3. Long-Term Investments: Compound interest is particularly relevant when evaluating long-term investments because it allows for the compounding effect to maximize the growth potential. The longer the investment is held, the more time there is for compound interest to work in favor of the investor.
4. Growth Amplification: Compound interest amplifies the growth of an investment by earning interest not only on the original principal but also on the accumulated interest. This compounding effect can significantly increase the value of the investment over time.
5. Investment Strategy: Understanding compound interest can influence investment decisions and strategies. Investors may opt for long-term investment vehicles, such as retirement accounts or compounding investments, to take advantage of the potential growth through compounding.
It's important to note that while compound interest can work in favor of investors, it can also work against them when it comes to debt or loans with compound interest. In those cases, interest accumulates on the outstanding balance, increasing the overall amount owed over time.
Overall, compound interest is a crucial concept to consider when evaluating the potential return on long-term investments, and it highlights the benefits of allowing investments to grow and compound over time.
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A thrift makes long term fixed rate mortgages funded with short term deposits and then interest rates rise. Which of the following is true?
A) Profitability would decline
B) Profitability would increase
C) The market value of equity increases
D) Interest income would fall
E) Answer:
Both B and C would occur
When a thrift makes long-term fixed-rate mortgages funded with short-term deposits, it is exposed to interest rate risk. The correct answer is E) Both B and C would occur.
This is because the interest rates on the deposits and the mortgages may not move in the same direction or at the same pace. If interest rates rise, the cost of funding the mortgages will increase while the interest income earned on the mortgages remains the same. This can lead to a decline in profitability.
However, if thrift has already originated a large number of fixed-rate mortgages at lower interest rates, it can benefit from the increase in interest rates. This is because the thrift's cost of funding will remain low while the interest income earned on the mortgages will increase. This can lead to an increase in profitability. In addition, when interest rates rise, the market value of the thrift's equity can also increase. This is because the value of the thrift's assets (such as the fixed rate mortgages) will increase, while the value of its liabilities (such as the short-term deposits) will remain the same. This can lead to an increase in the market value of the thrift's equity.
When interest rates rise, the cost of funding for thrifts increases because they need to pay higher interest rates on short-term deposits. However, the income generated from long-term fixed-rate mortgages remains the same. This results in a lower net interest margin and reduced profitability.
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Sheffield Company’s standard materials cost per unit of output is $8.20 (2.00 pounds x $4.10). During July, the company purchases and uses 2,700 pounds of materials costing $14,580 in making 1,500 units of finished product.
Compute the total, price, and quantity materials variances.
The total materials variance for Sheffield Company in July was $2,280 unfavorable, comprising a price variance of $3,780 unfavorable and a quantity variance of $1,500 favorable.
Sheffield Company experienced materials variances in July. The standard materials cost per unit of output is $8.20, calculated as 2.00 pounds multiplied by $4.10. During the month, the company purchased and utilized 2,700 pounds of materials, costing $14,580, to produce 1,500 units of finished products.
The total materials variance can be calculated by comparing the actual cost of materials used to the standard cost. In this case, the actual cost of materials is $14,580, while the standard cost should have been $12,300 (1,500 units x $8.20). The total materials variance is $2,280 unfavorable.
To break down the variance further, the price variance measures the difference between the actual price paid for materials and the standard price. The actual price is $14,580, while the standard price would have been $10,800 (2,700 pounds x $4.10). Therefore, the price variance is $3,780 unfavorable.
The quantity variance, on the other hand, assesses the difference between the actual quantity of materials used and the standard quantity. The actual quantity used is 2,700 pounds, while the standard quantity should have been 3,000 pounds (1,500 units x 2.00 pounds). Hence, the quantity variance is $1,500 favorable.
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1. identify how overreliance on the employment-at-will doctrine can create problems for supervisors and employees. 2. what are the ramifications if company's default to eaw rather than dealing directly with employee conduct problems?
The problems of over-reliance on the employment-at-will (EAW) doctrine for supervisors and employees can be employee turnover, sense of insecurity, hindrance of development, while the ramifications would be damage to goodwill, legal challenges and increased hiring costs.
1. Over-reliance on the employment-at-will doctrine can create problems for supervisors and employees in several ways. First, it can lead to high employee turnover, as employees may be terminated without cause, creating an unstable work environment.
Second, it may foster a sense of insecurity among employees, which can negatively impact morale and productivity.
Third, supervisors might use EAW as an easy way to dismiss employees without addressing underlying issues or providing feedback, which can hinder the growth and development of employees.
2. The ramifications of a company defaulting to EAW rather than dealing directly with employee conduct problems are manifold. For the company, it can result in a loss of valuable employees and institutional knowledge, as well as increased recruitment and training costs.
Moreover, it can create a negative company culture where employees feel undervalued and mistrusted.
Additionally, if a company continually relies on EAW instead of addressing employee conduct issues, it may face legal challenges and potential damage to its reputation.
In summary, over-reliance on the employment-at-will doctrine can have negative consequences for supervisors, employees, and the company as a whole.
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Diego invests $5500 in two different accounts. the first account paid 11 %, the second account paid 7 % in interest. at the end of the first year he had earned $429 in interest. how much was in each account
Diego invested $1100 in the account that paid 11 percent interest and $4400 in the account that paid 7 percent interest. Let's assume that Diego invested x dollars in the account that paid 11 percent interest and invested (5500 - x) dollars in the account that paid 7 percent interest.
Since we know that the total interest earned is $429, we can set up an equation for the interest earned in each account and add them together to get the total interest earned.
11% of x + 7% of (5500 - x) = 4290.11x + 385 - 0.07x = 4290.04x = 44x = 1100
Therefore, Diego invested $1100 in the account that paid 11 percent interest and invested (5500 - 1100) = $4400 in the account that paid 7 percent interest.
Another way to check our answer is to calculate the interest earned on each account and add them up:11% of
$1100 = $1217% of $4400 = $308
Total interest earned = $121 + $308 = $429
Thus, our answer is verified. Hence, Diego invested $1100 in the account that paid 11 percent interest and $4400 in the account that paid 7 percent interest.
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Lena is a salesperson. As part of negotiation with her prospect during the sales process, Lena finds out what other competitors' products or services the prospect is considering. Thus, she gains insight into what the prospect is looking for and willing to pay. In this scenario, Lena is most likely in the _____ phase of negotiation.
Lena is most likely in the Investigative phase of negotiation.
In business, negotiation refers to the strategic discussion that takes place between the potential buyer and sellers who are trying to reach an agreement which favors both party.
The phase of Negotiation includes;
The investigation phase is the phase whereby both party are deciding the best price for themselves.The phase of determining the Best Alternative to a Negotiated Agreement (BANA)The presentation phaseThe bargaining phase is the phase of stating price from both partyThe closure phase.is the phase where conclusion have been reached.Therefore, in this case, Lena is most likely in the Investigative phase of negotiation.
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can someone help . i know I'm dumb:) x-5=7
Answer:
Hey Army
Nice to meet you:)
your answer is 12
as x-5=7
so x=7+5
x is 12
Stream life goes on and Dynamite. :)
Answer:
x=12
Explanation:
x-5=7
x-5+5=7+5
x=12