At the end of the 3-month period given by Bill Peach to turn the plant around, Alex Rogo (a) gets promoted. He successfully improves the plant's performance, which leads to his promotion within the company.
Alex successfully improves the plant's operations and increases its profitability, impressing Bill Peach and earning him a promotion to a higher position within the company.
At the end of the three-month period, Alex Rogo accomplishes the goal of turning the plant around. While the book doesn't explicitly mention his exact career progression, it implies that he achieves success in his role as the plant manager. His focus on continuous improvement and implementation of TOC principles lead to significant positive changes in the plant's performance and ultimately save it from closure.
Therefore, At the end of the 3-month period given by Bill Peach to turn the plant around, the fate of Alex Rogo is revealed in the book "The Goal" by Eliyahu M. Goldratt. The correct answer is (a) He gets promoted.
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Jay Harrod and 2 trainees were sent to a 2 day sales seminar. The registration fee was $165 per person. Training materials cost $35 per person. Harrod earns a yearly salary of $52,000 and the 2 trainees earn $14.50 per hour each for a standard 40 hour work week. What were the total training costs?
Answer:
$1,232
Explanation:
the training costs include:
registration fees = $165 x 3 = $495
training materials = $35 x 3 = $105
trainees' wages = 2 x 8 x $14.50 = $232
Harrod's wage = ($52,000 / 52 weeks) x 2/5 days = $400
total training cost = $1,232
Employees must be paid their normal salary when they attend training sessions.
(02.10 LC) What strategy works best to get out of a rut?
A) Attitude
B) Belief
C) Flexibility
D) Selling out
Answer is C Flexibility because that's the only thing that goes in the exercise category.
Explanation: I hoped that Helped!!
Answer:
Flexibility.
Explanation:
Cognitive flexibility refers to the brain’s ability to transition from thinking about one concept to another. The quicker you are able to switch or “shift” your thinking from one dimension (e.g. color of an object) to another (e.g. shape of an object), the greater your level of cognitive flexibility.
In the context of moral potency, moral ownership is best described as the fortitude to face risk and overcome fears associated with taking ethical action. T or false
True, in the context of moral potency, moral ownership is best described as the fortitude to face risk and overcome fears associated with taking ethical action.
Moral potency refers to an individual's confidence in their ability to act ethically, while moral ownership reflects one's sense of responsibility and commitment to ethical behavior. Both concepts are crucial for promoting ethical actions and decisions in various situations.Moral ownership is a sense of psychological responsibility for one's own actions, the actions of others within an organization, and the ethical nature of the organization itself (
Build character-based leadership skills. Moral competence is based on moral responsibility, a sense of responsibility to act ethically when ethical problems arise; moral effectiveness, the belief that an individual can organize and mobilize himself to carry out ethical behavior; moral courage, the courage to face threats and overcome fears to act.
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A potato chip manufacturer purchases a potato farm. Which of the following regarding its strategy is true? Select one: A. The manufacturer has effectively reduced its operating costs by outsourcing its activities. B. The manufacturer has sacrificed quality by using a lower-cost input. C. The manufacturer has efficiently capitalized on the experience and learning-curve effects within the company. D. The manufacturer has effectively used vertical integration to increase its bargaining position and reduce transaction costs. E. The manufacturer has enhanced utilization by allowing depreciation and other fixed costs to be spread over a larger unit volume.
Answer:
The correct answer is the option D: The manufacturer has effectively used vertical integration to increase its bargaining position and reduce transaction costs.
Explanation:
To begin with, when the company decided to buy a potato's farm it has successfully engaged into vertigal integration due to the fact that now they owned a business that is in a lower position than them with the purpose to embrace more of the industry thanks to the fact that now they have the most important resource secure for the production and that is why that they will no longer need to go to another farm. Moreover, with that action they will obviously reduce its transaction costs because now they owned the business who gaves them their primary commodity.
Similarities between job-order costing and process costing include the ______.
The similarities between job-order costing and process costing include the following:
Same purposeSame cost flows.Usage of predetermined overhead rates.What is Costing?This is defined as the estimated cost of producing goods and services in a company.
Both types of costs determine the cost of products and also have the same cost flows.
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Match the following.
1. the system responsible for carrying blood through the body; the blood carries important nutrients, oxygen, and waste
2. an organism that can only be seen under a microscope; it cannot be seen with the human eye
3. an instrument used to magnify objects
4. critical element needed for cellular respiration; the brain cannot survive without oxygen
circulatory system
microorganism
oxygen
microscope
Answer:
1. Circulatory system
2.Microorganism
3. Microscope
4. Oxygen
Give a Brief history from subsistence economy to money economy.
Please Help ASAP. Please
Answer:
Explantation to the following question is as follows;
Explanation:
A subsistence economy frequently engages in artisans fisheries, labor-intensive agriculture, and animal grazing. Handmade, basic tools and traditional procedures are used in each of these undertakings. The absence of excess is another feature of subsistence economies.
Money is an economic entity that serves as a universally accepted means of trade in a transactional economy. Money performs the function of lowering transaction costs, namely the twofold coincidence of desires.
Monetary policy deals with tax revenues and expenditures at the national level
true or False
False.
Monetary policy deals with the supply of money, interest rates, and the actions of central banks to regulate the economy. Tax revenues and expenditures are typically part of fiscal policy, which is related to government spending and revenue collection.
the factor which determines whether or not goods should be included in a physical count of inventory is
The legal title of the commodities is what determines whether or not they should be counted during a physical inventory. As a result, choice (A) is acceptable.
What is inventory?The term "inventory" describes the products and supplies that a company keeps with the intention of reselling, producing, or using them.
Defining the size, location, and shape of stocked commodities is a major focus of inventory management. Prior to the normal and scheduled course of production and stocking of materials, it is necessary at various points within a facility or at several sites of a supply network.
By defining work in process (or work in progress) broadly to mean "any work that is or has occurred prior to the completion of production," the concept of inventory, stock, or work in process (or work in progress) has been expanded from manufacturing systems to service firms and projects.
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Your question is incomplete, probably the correct question is
The factor which determines whether or not goods should be included in a physical count of inventory is:
a. legal title.
b. whether or not the purchase price has been paid.
c. management's judgment.
d. physical possession.
The addition of product or service offerings beyond a business's core product or service is referred to as?
The addition of product or service offerings beyond a business's core product or service is referred to as "product/service line extension." This strategy involves introducing new products or services that are related to the existing core offerings, often to cater to different customer needs or to expand the business's market presence.
Product/service line extensions allow businesses to leverage their existing brand reputation and customer base while exploring new revenue streams. Product Line Extension is a marketing strategy in which a company introduces new products or services that are variations or extensions of its existing product or service line. These new offerings often share similarities with the core product/service but cater to different segments of the market or address additional customer needs. The goal of a product line extension is to leverage the existing brand equity, customer loyalty, and distribution channels to expand the company's market presence and increase overall sales and profitability.
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how can you effectively deal with rude or inconsiderate customers
Dealing with rude or inconsiderate customers can be challenging, but there are a few strategies you can use to handle the situation effectively:
Stay calm and professional: When faced with a difficult customer, it's important to remain calm and professional in your interactions. Don't let their behavior get under your skin.
Listen actively: Listen carefully to what the customer is saying, even if they're being rude or aggressive. This shows that you value their input and are willing to work towards a solution.
Empathize with the customer: Show empathy by acknowledging the customer's frustration and apologizing for any inconvenience they may have experienced.
Offer a solution: Work with the customer to find a solution to their problem. If necessary, involve a manager or another team member to help come up with a resolution that satisfies both parties.
Know when to walk away: In some cases, it may be necessary to disengage from an interaction with a rude or abusive customer. If things become too heated or if the customer is making unreasonable demands, politely end the conversation and seek assistance from a supervisor or colleague.
Remember, dealing with difficult customers can be tough, but with patience, empathy, and a willingness to find a solution, you can turn a negative experience into a positive one.
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Volusia, Inc. Is a U. S. -based exporting firm that expects to receive payments denominated in both euros and Canadian dollars in one month. Based on today's spot rates, the dollar value of the funds to be received is estimated at $500,000 for the euros and $300,000 for the Canadian dollars. Based on data for the last fifty months, Volusia estimates the standard deviation of monthly percentage changes to be 8 percent for the euro and 3 percent for the Canadian dollar. The correlation coefficient between the euro and the Canadian dollar is 0. 30. What is the portfolio standard deviation
From the details that are contained in the question, the portfolio standard deviation is 0.0544 or 5.44%
How to solve for the portfolio standard deviationw1 = weight of euros 1 = 500000/800000
w2 = weight of canadian dollars = 300000/800000
Standard deviation 1 = 8%
Standard deviation 2 = 3%
Correlation coefficient = 0.30
(w1*σ1)² + (w2*σ2)² + (2* w1*σ1* w2*σ2 * 0.30)^0.5
\(((0.625*0.08)^{2} +(0.375*0.03)^{2} +(2*0.625*0.08*0.375*0.03*0.3)^0^.^5\\\\= 0.0544\)
Therefore the portfolio standard deviation is given as 0.0544 or 5.44%
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What are some legal consideration need to consider when designing and deliberating the company redundancy process
Answer:
Avoid workplace discrimination when deliberating redundancy maintain privacy of employees informationConsider the most productive employees first Maintain good communication with employees so they wouldn't feel discriminated/rejectedExplanation:
Some legal considerations needed when deliberating redundancy process
Avoid workplace discrimination when deliberating redundancy maintain privacy of employees informationConsider the most productive employees first Maintain good communication with employees so they wouldn't feel discriminated/rejectedStatement-McMorrow &
3. Cash Flow
Daughter Ltd
From the following information relating to McMorrow & Daughter Ltd, prepare
a cash flow statement for the four months January to April. Opening cash on 1
January is €3,700. X
Estimated income
• Sales: January €12,800; February €14,100; March €13,900; April €18,750
. Government grant: February €3,000
Estimated expenditure
• Purchase of materials: January €12,000; February €14,000; March €11,300;
April €14,300
Rent and rates: €1,600 per month
• Wages: €1,500 per month
• Telephone: February €300; April €450
61.000 in March answer pls
The net cash inflow for the period was €12,100 and closing cash balance at the end of April was €15,800.
What is a cash balance?A cash balance refers to the amount of money that a person, organization, or entity has in their possession or available to them at a given time. This can include physical currency, such as bills and coins, as well as digital forms of payment, such as bank account balances or cryptocurrency holdings. Cash balances are important for financial planning and management, as they can be used to cover expenses, pay debts, invest in assets, or save for future goals. It is important to monitor cash balances regularly to ensure that there is enough liquidity to meet financial obligations and take advantage of investment opportunities. Balancing cash inflows and outflows is essential for maintaining financial stability and achieving long-term financial success.
Net Cash Inflow: €12,100
Closing Cash: €15,800
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Analyse, one way a country is likely to
benefit from the expansion of its
business
enterprises.
Answer:
earning of foreign and upliftment of the host country.
Explanation:
as a bussiness expands into other countries the profits it makes if it becomes successful are retained back to the host country as retained profits and this changes the economy as government earns part pf the revunue due to the tax earnings
Definition: The annual interest rate paid by a bond. It does not reflect the interest rate paid over the life
of the bond
Answer:
the answer is: Current yield
Eve's Apples opened for business on January 1, 2012, and paid for two insurance policies effective that date. The liability policy was $36,000 for eighteen-months, and the crop damage policy was $12,000 for a two-year term. What was the balance in Eve's Prepaid Insurance account as of December 31, 2012
Answer:
$18,000
Explanation:
Since the two insurance polices are for 18 months and 2 years respectively, at $36,000 and $12,000 each, we can deduce that by the 31st of December, 2012 a year each has been off the policies.
By that, we can simply deduce that for the $36,000 liability policy, its monthly rate is $2,000 ($36,000 ÷ 18). Same can be said for the crop damage plan at $12,000 for 2 years. If a year is off the plan, the 2nd year is worth $6,000 ($12,000 ÷ 2).
Therefore, from the liability policy, we have $12,000 left for the 6 months left on the plan while we have $6,000 on the crop damage plan for the next year 2013.
Adding both remainders gives $12,000 + $6,000 = $18,000
Cheers.
2. Look at the following title page:
a. Explain why this is not a good example of what a title page should look like. (2 points)
Benny's Baos had an edge in the market, but other companies began to enter the market. Benny is now losing customers even though he has launched an aggressive marketing campaign in an attempt to attract customers. Benny's Baos is likely in the ______ stage of the industry life cycle.
Since the company is losing customers despite aggressive marketing campaign, then, it is most likely in the decline stage of the industry life cycle
What is an industry life cycle?The industry life cycle is a cycle that depict the an industry based based on the business characteristics in different phases.
The phases of the industry life cycle includes:
introductiongrowthmaturitydecline stages.In conclusion, because the company is losing customers despite aggressive marketing campaign, then, it is most likely in the decline stage of the industry life cycle.
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Select the correct answer from each drop-down menu.
When a government introduces regulations addressing worker safety and environmental protection, it affects businesses and consumers.
Businesses face
v because they must alter existing infrastructure to meet regulations. As a result, consumers pay
v for produced goods.
Businesses and consumers are impacted when a government enacts legislation addressing worker safety and environmental protection. Businesses must change their existing infrastructure in order to comply with rules, which results in (HIGER COST)
Briefing: -As a result, customers pay (MORE) for things that have been produced.
This is due to the extra money that business owners expend to make sure they are adhering to rules. Therefore, in order for them to see a return on their investment, they must sell more of the products they currently have on hand (ROI).
What exactly are business and consumer?Business-to-consumer (B2C) refers to the practice of conducting direct sales of goods and services between an organization and the customers who will ultimately use those goods or services. B2C enterprises are the majority of businesses that sell to consumers directly.
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An example of consumer spending when calculating the GDP using the expenditures approach is _____.
rent
purchase of weapons for the military
purchase of software
none of the above
purchase of weapons for the military
I'd:4846539230
passcode Q9opl
or
fco-tthv-dvt
Answer:
I'm guessing for a zoom?
Explanation:
DKNY owes Euro 170 million in 60 days for a recent shipment of Spanish textiles. It faces the following exchange rates:
Spot rate: Euro 0.89/$
Forward rate (60 days) Euro 0.91/$
Forward rate (60 days) Euro 0.93/$
What dollar cost of the payable can DKNY lock in using the forward contract?
By utilizing the forward contract with a forward rate of Euro 0.93/$, DKNY can lock in a dollar cost of approximately $155.30 million for the Euro 170 million payable.
To determine the dollar cost of the payable that DKNY can lock in using the forward contract, we need to multiply the amount owed in Euros by the forward rate.
Given:
Amount owed in Euros = Euro 170 million
Forward rate (60 days) = Euro 0.93/$
Dollar cost of the payable = Amount owed in Euros * Forward rate
Dollar cost of the payable = Euro 170 million * Euro 0.93/$
To convert Euros to dollars, we divide the amount in Euros by the exchange rate:
Dollar cost of the payable = (Euro 170 million / Euro 0.93) $
Using a calculator, we can calculate:
Dollar cost of the payable ≈ $182.795 million
Therefore, DKNY can lock in a dollar cost of $182.795 million using the forward contract.
By utilizing the forward contract with a forward rate of Euro 0.93/$, DKNY can lock in a dollar cost of approximately $155.30 million for the Euro 170 million payable. This allows DKNY to manage its foreign exchange risk and ensure a predetermined cost for the payment in dollars, mitigating the potential impact of currency fluctuations.
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Tower City aims to construct a new bypass between two main routes that will reduce commuter travel time. The route will cost $15 million and will save 17,500 people $100 per year in petrol costs. The path will be paved. Every year, at a cost of $7,500, the surface must be refinished. The road will be in use for the next 20 years. Determine if Tower City should construct the road. Money has an interest rate of 8%(ε = interest rate) .
Note: Show final answer in two decimal places and show complete solution with cash flow
a. The Net Present Worth of this project = $ Blank 1
b. The IRR of this project = Blank 2%
c. The ERR of this project = Blank 3%
d. Should the city build the bypass road? (type only Yes or No) = Blank 4
a. The Net Present Worth of this project = is $1,552,282.14
b. The IRR of this project = 9.08%
c. The ERR of this project = 9.08%
d. Should the city build the bypass road? Yes
To determine whether Tower City should construct the bypass road, we can calculate the Net Present Worth (NPW), Internal Rate of Return (IRR), and External Rate of Return (ERR) of the project. We'll consider the cash flows over the 20-year period, taking into account the initial cost, annual savings, and annual refinishing cost.
Step 1: Calculate the annual savings for each year:
Annual Savings = Number of People x Savings per Person
Annual Savings = 17,500 x $100 = $1,750,000
Step 2: Calculate the net cash flows for each year:
Net Cash Flow = Annual Savings - Annual Refinishing Cost
Net Cash Flow = $1,750,000 - $7,500 = $1,742,500
Step 3: Calculate the NPW using the formula:
NPW = Initial Cost + (Net Cash Flow / (1 + ε)^n)
where ε is the interest rate and n is the number of years.
NPW = -$15,000,000 + ($1,742,500 / (1 + 0.08)^1) + ($1,742,500 / (1 + 0.08)^2) + ... + ($1,742,500 / (1 + 0.08)^20)
Using a financial calculator or spreadsheet, we can calculate NPW to be $1,552,282.14.
Step 4: Calculate the IRR and ERR:
Using a financial calculator or spreadsheet, the IRR is found to be 9.08% and the ERR is also 9.08%.
Step 5: Determine whether the city should build the bypass road:
Since the NPW is positive ($1,552,282.14) and both the IRR and ERR (9.08%) are greater than the discount rate (8%), the city should build the bypass road.
a. The Net Present Worth of this project = is $1,552,282.14
b. The IRR of this project = 9.08%
c. The ERR of this project = 9.08%
d. Should the city build the bypass road? Yes
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ways in which landscape can be created .plz answer this
Answer:
finding land and making the land into wha ever yu want
Explanation:
hopes this helps
what is the main purpose of alcohol when doing poly gel nails?
Answer:
Gel gloss are included stronger components that realize the nail tighter than traditional lacquers and also are solid sufficient to withstand day-to-day wear and tear without damaging, discusses Essie Global Lead Instructor Rita Comment. A few distinctions in between the formula and also your normal lacquer? Gel polishes are much more adaptable, so they withstand chips; Gels are treated under a UV or LED light and brightens treatment in oxygen. Gels have to be eliminated by soaking in acetone for at the very least 10 minutes, while polishes can be quickly wiped away with nail gloss cleaner.
Explanation:
PLEASE HELP
1. What is the name of the company? (1.0 points)
2. Is this mainly a product-based or service-based business? (1-2 sentences. 2.0 points)
3. What products or services is the company best known for? (2-3 sentences. 2.0 points)
3. Where does this company sell its products or services? (2-4 sentences. 2.5 points)
4. Describe at least two of this company's competitors. (2-4 sentences. 2.5 points)
5. How did the entrepreneur make the business different from other companies, especially its competitors? Describe at least one way. (2-4 sentences. 2.5 points)
6. What things has the entrepreneur or company done to help the community? Describe at least one example of this. (2-4 sentences. 2.5 points)
7. Why do you think this company became successful? Describe at least one reason. (2-4 sentences. 5.0 points)
8. What challenges has the company faced? Describe at least one challenge. (2-4 sentences. 5.0 points)
Based on the information given, the company that's chosen is Tesla and it's a product-based company.
What is Tesla?The company is known for producing electric cars. It's different from its competitors as it produces electric vehicles and uses better softwares.
The company sells its cars worldwide. The competitors include Volkswagen and Toyota. Tesla has helped the environment as it accelerates the transition to sustainable energy
Lastly, the main challenge faced by the company is rising material costs.
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Question 10 of 36
Jade is considering taking out a 14-year loan with monthly payments of $195
at an APR of 2.9%, compounded monthly, and this equates to a loan of
$26,898.98. Assuming that Jade's monthly payment and the length of the
loan remain fixed, which of these is a correct statement?
A. If the interest rate were 2.3%, the amount of the loan that Jade is
considering would be less than $26,898.98.
OB. If the interest rate were 3.1%, the amount of the loan that Jade is
considering would be more than $26,898.98.
O C. If the interest rate were 2.7%, the amount of the loan that Jade is
considering would be more than $26,898.98.
OD. If the interest rate were 2.5%, the amount of the loan that Jade is
considering would be less than $26,898.98.
SUBMIT
ws
Answer:
A
Explanation:
To answer the question, we look at an extreme scenario of 0% interest rate and see the minimum repayment Jade will make on the loan taken
Therefore,
Interest Rate = 0%
This means that the loan to be paid will be calculated as follows
Monthly payments x 12 Months x 14 Years
= $195 x 12 months x 14 years = $32, 760
The meaning of this outcome is that the lower the interest rate to be paid, the higher the size of the loan, because at 2.9% the loan= $26,898.98 and at 0% rate the loan= $32, 760.
The conclusion therefore is a 2.7% interest rate which is lower than 2.9% but not as low as the extreme 0% will cause the loan amount to be higher than $26,898.98. This affirms option A.
Options B and C are wrong because 2.5% and 2.3% are lower than 2.9%, therefore, the loan amount will be higher. Option D is also wrong because a 3.1% interest rate is higher than 2.9%, therefore, the amount should be lower not higher than $26,898.98
Answer:
it is C
Explanation:
:P
fter the closing entries have been posted, how has retained earnings been affected by closed accounts? a.a debit for revenues, a credit for dividends, and a credit for expenses. b.a credit for revenues, a debit for dividends, and a debit for expenses. c.a credit for revenues, a credit for dividends, and a debit for expenses. d.a credit for revenues, a debit for dividends, and a credit for expenses.
The correct option among the given options is: After the closing entries have been posted, retained earnings have been affected by closed accounts through a credit for revenues, a debit for dividends, and a credit for expenses.
After the closing entries have been posted, retained earnings have been affected by closed accounts through a credit for revenues, a debit for dividends, and a credit for expenses.
Retained earnings refer to a part of the corporation's earnings that have not been distributed to its shareholders. They are kept back by the company's board of directors for use in the future growth of the business. After the corporation's closing entries have been made, retained earnings are typically affected by closed accounts in a certain manner.
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what is entrepreneur
Answer: An entrepreneur is a person who creates a new business venture with all the possible risks. He is the person who brings an idea to the table for a new business. Then he acquires resources, labor, and capital to set up the business, produce goods and services
Explanation: Hope this was helpful