Give examples for Tacit knowledge, core competence, trade off and competitive advantage.

Answers

Answer 1

Tacit knowledge refers to knowledge that is difficult to transfer to another person through writing or verbalizing. The following are some examples of tacit knowledge:- A surgeon's skills are based on years of training and experience, and they have a deep understanding of the complexities of the human body.

Core competence is a business term that refers to a company's unique strengths or skills that give it a competitive advantage in its industry. The following are some examples of core competencies:- Apple's design and innovation abilities have given it an edge in the smartphone industry.- Toyota's manufacturing process has enabled it to produce high-quality vehicles at a low cost.- Amazon's distribution network allows it to offer fast and efficient delivery to customers. Trade-offs are decisions that involve giving up one thing in order to gain another.

The following are some examples of trade-offs:- An individual may choose to work more hours in order to earn more money, but this may come at the cost of less free time to spend with family and friends.- A company may choose to invest in research and development, but this may come at the cost of lower profits in the short term.- A government may choose to prioritize public safety by increasing police presence, but this may come at the cost of less funding for other services. Competitive advantage refers to a company's ability to outperform its competitors in a particular area.

The following are some examples of competitive advantages:- Coca-Cola's brand recognition and customer loyalty give it an edge in the beverage industry.- Nike's innovative product design and marketing strategies have given it a competitive advantage in the athletic apparel market.- Walmart's efficient supply chain management has allowed it to offer low prices to customers.

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Related Questions

A. Briefly explain the term efficient portfolio.
B. Briefly explain the different types of mergers.

Answers

A.  An efficient portfolio refers to a combination of assets or investments that maximize expected returns for a given level of risk or minimize risk for a given level of expected returns. B. Mergers are strategic business combinations that involve the joining of two or more companies to form a single entity.

A. An efficient portfolio refers to a combination of assets or investments that maximize expected returns for a given level of risk or minimize risk for a given level of expected returns. It is constructed by selecting a mix of assets with varying risk and return profiles, aiming to optimize the overall performance of the portfolio. The concept of efficiency is based on the principle that investors seek to achieve the highest possible returns while taking on an acceptable level of risk.

Efficient portfolios are typically constructed using diversification, which involves spreading investments across different asset classes, industries, regions, and securities. By diversifying, investors can reduce the overall risk of their portfolio since not all investments will perform identically under different market conditions. An efficient portfolio strikes a balance between risk and return, aiming to achieve the maximum return for the level of risk the investor is willing to take or to minimize risk for a desired level of return.

B. Mergers are strategic business combinations that involve the joining of two or more companies to form a single entity. There are different types of mergers based on the nature and objectives of the combination:

Horizontal merger: This type of merger occurs between two companies operating in the same industry and at the same stage of the production process. It aims to achieve economies of scale, increase market share, and reduce competition.

Vertical merger: Vertical mergers involve the integration of companies operating at different stages of the production process within the same industry. This type of merger aims to streamline operations, increase efficiency, and control costs.

Conglomerate merger: Conglomerate mergers involve the combination of companies operating in unrelated industries. The goal of this merger is to diversify business interests, reduce risk, and create synergies between different business lines.

Market extension merger: Market extension mergers occur when two companies operating in the same industry but in different geographic areas merge to expand their market reach and customer base.

Product extension merger: Product extension mergers involve companies operating in the same industry but with different product lines. The aim is to expand the range of products offered and capture a larger share of the market.

Reverse merger: In a reverse merger, a private company acquires a publicly traded company, allowing the private company to go public without undergoing the traditional initial public offering (IPO) process.

Each type of merger serves different strategic objectives and offers unique benefits to the participating companies, such as increased market power, synergies, cost savings, or diversification. The choice of merger type depends on the specific goals and circumstances of the companies involved.

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Stephens, Inc. recently declared a dividend of $2 per share, but
the stock price only dropped by $1.60 cumdate/ex-date. What is the
implied tax rate for Stephens, Inc. investors

Answers

The implied tax rate, given the stock price drop and the dividend per share is 20 %.

How to find the implied tax rate ?

To calculate the implied tax rate for Stephens, Inc. investors based on the given information, it is needed to determine the portion of the dividend that is subject to taxes.

Given that the stock price dropped by $1.60 cumdate/ex-date and the dividend declared is $2 per share, we can assume that the $1.60 drop in the stock price is due to the expected value of the dividend being factored into the stock price.

Implied tax rate = ( After-tax portion / Pre-tax dividend ) x 100

Implied tax rate = ( $0.40 / $2 ) x 100

Implied tax rate = 0.20 x 100

Implied tax rate = 20%

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Below is data from Rahul Pharmaceutical Ltd presented at 30 June 2022: (a) Company has undertaken a research and development project back in 1 July 2020 and spent in 2022 $50,000 on testing the new drug on rats. At this stage testing results are not known yet and there is no signs of producing the new drug. (b) Rahul Ltd has purchased a patent at a cost of $800 000 in May 2022. This patent allows the production of 200 000 units. There are no other manufacturers who have the necessary knowledge to utilise the patent. (c) Rahul has acquired a franchise-'Syngene' for a cost of $600,000. There is good demand for the franchise in the market. As at 30 June 2022, it is considered that Rahul Ltd would easily be able to sell the franchise in the market for $800 000.

Required:
1. Determine the accounting treatment for (a), (b), and (c)
2. What is the total expenses in the year ended 30 June 20223.
c. What is the total value of the intangible assets in the year ended 30 June 2022.

Answers

Accounting treatment for the given transactions is as follows:

a) Expenditure incurred on R&D: All the R&D expenses should be immediately charged to expense in the period in which they are incurred. Therefore, in this case, $50,000 will be charged as R&D expenses in 2022.

b) Purchase of Patent: Patent acquisition costs should be capitalized. Therefore, the patent's cost ($800,000) should be capitalized as an intangible asset. Amortization expense for the patent can be recorded over the patent's life (20 years).

c) Acquiring a Franchise: A franchise can be capitalized, and its cost ($600,000) should be added to the intangible assets. But as of 30th June 2022, the franchise value is worth $800,000, which means an increment of $200,000. It should be recognized as income.

Total expenses for the year ended June 30, 2022, can be calculated as follows:R&D expenses: $50,000Amortization of patent: ($800,000/20) = $40,000

The total expense for the year will be the sum of both: $50,000+$40,000 = $90,000.

Intangible assets as of 30 June 2022: The total value of the intangible assets can be calculated as follows:Intangible assetsPatent (800,000-40,000) $760,000Franchise $800,000Intangible assets' total value as of 30 June 2022 is $1,560,000.

R&D expenses should be charged to expense as incurred.Patent acquisition costs should be capitalized and amortized over the patent's life.A franchise can also be capitalized if it has a determinable useful life, and its cost should be added to the intangible assets.

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Which important aspect of goal setting helps you keep an eye on the big picture and is useful for giving yourself feedback?
Multiple Choice
O Learning objectives
O behavioral objectives
O tactical planning
O deadlines

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Learning objectives which involves developing specific action steps and strategies to achieve goals, helps keep an eye on the big picture and provides feedback through progress monitoring and evaluation.The correct answer is (A)

Learning objectives are an important aspect of goal setting that help you keep an eye on the big picture and provide feedback. Learning objectives focus on the knowledge and skills you aim to acquire or develop as you work towards your goals.

They help you stay focused on the broader purpose and desired outcomes of your goals, ensuring that you are continually learning and growing in the process. By setting learning objectives, you can assess your progress, identify areas for improvement, and make necessary adjustments to achieve your goals effectively.

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when substitutes exist, a monopolist has power to raise price. a. no; infinite b. more; more c. fewer; less d. free; no

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A monopolist will possess more power to raise the price when substitutes exist. The correct answer to the given question is the option b. more; more. A monopolist is defined as a single business that controls the entire supply chain of a good or service.

A monopolist is free to set its own prices, production rates, and marketing strategies because it has no direct competition. As a result, a monopolist has substantial market power and is more likely to earn high profits. However, in the absence of substitutes, a monopolist cannot increase prices beyond a certain threshold. When substitutes exist, the monopolist's power to raise prices is amplified because customers have an alternative option if prices rise too much or the quality of the goods or services deteriorates. Therefore, substitutes provide a natural limit on a monopolist's market power and help promote a more competitive environment. In conclusion, it can be said that monopolist has more power to raise the price when substitutes exist.

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On July 31, ALOE Inc. received $5,000 cash from a customer who previously purchased ALOE's products on account. What entry should ALOE Inc. record at the time it receives cash?
A) Debit Cash, $5,000; credit Service Revenue, $5,000.
B) Debit Accounts Receivable, $5,000; credit Cash, $5,000.
C) Debit Cash, $5,000; credit Accounts Receivable, $5,000.
D) Debit Cash, $5,000; credit Accounts Payable, $5,000.

Answers

C) Debit Cash, $5,000; credit Accounts Receivable, $5,000. When ALOE Inc. receives $5,000 cash from a customer who previously purchased products on account, it needs to record the transaction accurately in its accounting records.

In this case, the customer is settling their accounts receivable balance by paying in cash. Debiting Cash and crediting Accounts Receivable reflects the decrease in the accounts receivable balance by the amount received in cash. Cash is debited to increase the cash asset account, while Accounts Receivable is credited to decrease the accounts receivable balance. Option A (Debit Cash, $5,000; credit Service Revenue, $5,000) would be incorrect as it suggests recording the cash received as service revenue, which is not appropriate in this context.

Option B (Debit Accounts Receivable, $5,000; credit Cash, $5,000) would be incorrect as it reverses the debit and credit entries, inaccurately increasing the accounts receivable balance instead of reducing it. Option D (Debit Cash, $5,000; credit Accounts Payable, $5,000) is unrelated to the transaction described and does not reflect the customer's payment.

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Please solve A-H Please
The assets of Dallas & Associates consist entirely of current assets and net plant and equipment, and the firm has no excess cash. The firm has total assets of $2.9 million and net plant and equipment

Answers

Given that the assets of Dallas & Associates consist entirely of current assets and net plant and equipment, and the firm has no excess cash and has total assets of $2.9 million and net plant and equipment. To calculate the current assets and net working capital, let us use the following assets are calculated as.

Current assets = Total assets - Net plant and the given values in the above formula, we get: Current assets = $2.9 million - Net plant and Net working capital is calculated as: Net working capital = Current assets - Current  the given values, we have: Net working capital = Current assets - value of current assets obtained earlier,  working capital = $2.9 million - Net plant and equipment - Current liabilities.

Now, we do not have any information about the current liabilities. Thus, we cannot compute net working capital without the knowledge of current liabilities. Hence, the calculation is not possible without the current liabilities. Therefore, the answer is it is impossible to calculate current assets and net working capital without the information about current liabilities.

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We have to solve parts A through H.A. Calculate the value of current assets for Dallas & Associates. Since the company has total assets of $2.9 million and no excess cash, the remaining amount is current assets.

Therefore, the value of current assets is $2.9 million. B. Determine the value of the net plant and equipment. The net plant and equipment are obtained by subtracting the value of current assets from the total assets: Net plant and equipment = Total assets - Current assetsNet plant and equipment = $2.9 million - $2.9 million  Net plant and equipment = $0C. Calculate the total value of liabilities and stockholders' equity. The total value of liabilities and stockholders' equity is the same as the total assets: Total liabilities and stockholders' equity = Total assets  Total liabilities and stockholders' equity = $2.9 million.

Determine the book value of total assets. The book value of total assets is the same as the total assets:Book value of total assets = Total assets Book value of total assets = $2.9 million E. Determine the market value of total assets.The market value of total assets can't be determined from the information given.F. Calculate the market value of equity if the stock sells for $22 per share. Since we don't know the number of shares outstanding, we can't calculate the market value of equity. G. Calculate the market-to-book ratio if the stock sells for $22 per share. As we don't know the market value of equity, we can't calculate the market-to-book ratio. H.  

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Comment your opinion for this post.

The first step to a SWOT (Strength, Weakness, Opportunies, and Threats) analysis is an internal look at the organization for its strengths and weakness at the present time. The second step is to do a broad look at opportunies that maybe are or will be available and the threats that they may face or may face in the future.(Jones 2022)

A SWOT analysis determines the strategies used by looking strengths and weaknesses to opportunies and threats as a whole. On a Corperate-level if you have a strong team turning out a great product that people love then expanding the types of product my be the best fit. While at a Business-level strategies might have you lowering your prices by finding cheaper parts. While a Functional-level strategy looks at how to improve inside the organization, finding ways to improve the "factory line" improving output while keeping cost.

Michael Porter developed a theory to help gain a competitive advantage in a market or industry. His theory would allow an organization to counter industry forces. Those forces are rivalry, companies that compete with each other. Potential for entry, the easier it is for other organizations to enter. Large suppliers, if there is a limited amount of suppliers they can set the price. Large customers, if the large customer base is small they can bargain down on prices. Substitute products, having alternative products consumers may go to. His business-level plan was that managers need to either differentiate the product by increasing its worth to the consumers or lower the cost of making the brand. His argument also says managers need to choose between the whole market or narrowing their market, which would be focused low-cost and focused differentiation.(Jones 2022)

Bombas took a focused differentiation business-level strategy. They took advantage of digital ads being cheaper to buy more ads but used those ads to target more people. Their target group went from those who want to give to those who were suddenly home all day and likely not wearing shoes or outside much. Not only shifting their single customer based but also their large customer base. So they would reach out to hospital administrators rather than corportations for giveaways.(Helm 2020)

There are multiple strategies at corporate-level. Concentration on a single industry, by strengthing their competitive position that they are at. Vertical integration, either expanding themsleves back in to a new industry or forward into a new industry that may use or sell their product. Diversification strategy which could be related or unrelated. Related not being the same type but sharing facilities or ad campaigns. Unrelated being buying companies that have nothing to do with the current one. There is also an international expansion where managers decide if they can expand out into the rest of the world. Managers have to know the cultures of their potential new consumers, whether its okay to take a global strategy and sell the same as they do in their current market or go with a multidomestic strategy to customize their products and maketing. (Jones 2022)

Bombas took a concertation approach to their corperation-level strategy. They brought a strong focus on to their product and expanded their web of partners. While also building a relationship with more organizations to help their cause, to help the homeless.

Maid For You Inc. a small housekeeping company in the Pacific Northwest has some great opportunities such as expanding the services offered, to include carpet washing, window washing, and possibly even light food prep. Offering discounts for clients with multiple locations. Expanding their area of service like another county. They face some serious threats including slow business when the economy isn't doing well. The threat of large housekeeping companies in the area that may have lower costs. Going green is a big deal to a lot of people in the Pacfic Northwest. Cleaning products can be really harsh in that field. Going green as much as they can for customers will make them feel good about using Maid For You Inc. Knowing the people cleaning carpooled to save resources, using all natural green products so when the client bathes their young child later they aren't worried about what cleaning chemicals were left behind when their child inevitably drinks the bath water.

Answers

According to the information we can infer that this post provides a comprehensive explanation of SWOT analysis, Michael Porter's theory of competitive advantage, and the strategies employed by Bombas and Maid For You Inc.

What we can infer from this post?

The post provides an explanation of SWOT analysis, Michael Porter's theory of competitive advantage, and examples of strategic approaches used by Bombas and Maid For You Inc. SWOT analysis involves assessing internal strengths and weaknesses as well as identifying external opportunities and threats. ++

Michael Porter's theory focuses on countering industry forces through differentiation or cost reduction. Bombas used a focused differentiation strategy by targeting a specific customer base during the pandemic, while Maid For You Inc. has opportunities for service expansion but faces threats from competitors and customer preferences. The post offers insights into strategic concepts and real-world applications.

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tion to Friends Partnership has three partners. The balance of each partner capital is Ala 548 000 Manam $50,000 and Fatma $52.000 Aa withdraws from the Partnership. The remaining partners, Mariam and

Answers

Here the balance of each partner capital, as follows: Ala $548,000Manam $50,000Fatma $52,000Aa withdraws from the partnership. The amount that will be paid to Aa, assuming there are no adjustments to capital balances at the time of withdrawal, is $200,000.

If there are no adjustments to capital balances at the time of withdrawal, Aa' s capital account will be debited, and Aa will receive $200,000.

Calculation: Total Capital Balance = Ala's capital balance + Manam 's capital balance + Fatma's capital balance Total Capital Balance = $548,000 + $50,000 + $52,000Total Capital Balance = $650,000

Aa's capital account = Total Capital Balance - Aa' s Capital Balance Aa' s capital account = $650,000 - $50,000 - $52,000

Aa's capital account = $548,000Aa's withdrawal = $548,000 - $348,000

Aa's withdrawal = $200,000

Therefore, the amount that will be paid to Aa, assuming there are no adjustments to capital balances at the time of withdrawal, is $200,000.

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risk assessment, benchmarking, and recommendations based on the assessment of business risk are all examples of

Answers

Risk assessment, benchmarking, and recommendations based on the assessment of business risk are all examples of risk management.

Risk management is the process of identifying, assessing, and controlling risks that may affect an organization's assets and its ability to achieve its goals. It is a systematic approach to managing uncertainty and minimizing the impact of potential negative events.

Risk assessment is the process of identifying and evaluating risks in order to prioritize and manage them. This involves identifying potential hazards, assessing the likelihood and severity of each hazard, and evaluating the potential consequences of those hazards.

Benchmarking is the process of comparing an organization's performance to industry standards or best practices

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a. What international marketing strategies have been key to the brand’ success?
b. Describe the role of branding in the selected products market.
c. What can the brand do to expand international sales?

Answers

International advertising and marketing and sales play a critical position in increasing corporations' international attain. By focusing on various markets, adapting techniques to neighborhood preferences, and leveraging digital systems, businesses can tap into new patron bases, drive boom, and set up a strong worldwide presence.

A.The international advertising and marketing techniques which have been key to the logo's fulfillment consist of:

Market Research and Segmentation: The emblem conducts thorough market studies to understand client preferences, conduct, and cultural variations in every goal market. This permits them to tailor their marketing strategies and product offerings to fulfill the precise wishes and options of different areas.Localization: The emblem specializes in adapting its marketing campaigns, product capabilities, packaging, and communique to resonate with local cultures and choices. This ensures that the logo is perceived as applicable and appealing in every worldwide marketplace.Distribution Partnerships: The logo forms strategic partnerships with neighborhood distributors, shops, or e-trade structures to make sure green and substantial distribution of its products in international markets. These partnerships assist the emblem to attain a larger purchaser base and navigate nearby distribution networks efficaciously.Digital Marketing and E-commerce: The brand leverages virtual advertising channels and e-commerce structures to extend its attain and have interaction with international consumers. This includes using social media, online advertising and marketing, influencer collaborations, and optimizing its online presence to generate cognizance and pressure income.

B. Branding performs an essential function within the decided-on product marketplace through:

Differentiation: Effective branding helps the logo stand proud of the competition inside the marketplace. It establishes a unique identification, positioning, and character that units it aside and creates an awesome photo within the minds of consumers.Trust and Reputation: Strong branding builds agreement with and credibility with customers. It communicates the brand's values, high-quality requirements, and reliability, creating a fine perception and fostering loyalty amongst customers.Emotional Connection: Branding evokes feelings and connects with purchasers to a deeper degree. It creates a tale, persona, and logo enjoy that resonates with the target audience, forming a sturdy emotional bond that goes past purposeful benefits.Brand Recognition: Through steady branding factors which include emblems, colorations, and visible identity, the logo turns into recognizable and noteworthy. This enhances logo bearing in mind and enables client loyalty and advocacy.

C. To extend global income, the brand can remember the following techniques:

Market Expansion: Identify new markets with boom ability and broaden market access techniques tailored to each market's specific characteristics. Conduct marketplace research, check purchaser calls, and evaluate the competitive landscape to prioritize expansion efforts.Product Adaptation: Customize merchandise to meet the particular alternatives and desires of international markets. This may also involve adjusting product capabilities, packaging, or formulations to align with nearby tastes, cultural norms, and regulatory requirements.Strategic Partnerships: Form alliances with neighborhood vendors, retailers, or strategic companions to enhance market penetration and distribution talents. Collaborate with properly hooked-up neighborhood gamers to leverage their know-how, networks, and market knowledge.Integrated Marketing Campaigns: Develop comprehensive advertising and marketing campaigns that integrate digital advertising and marketing, traditional marketing, public relations, and experiential marketing to create a robust emblem presence in target markets. This allows generate awareness, interacting with customers, and driving sales.Customer Relationship Management: Implement effective patron courting control strategies to build long-term relationships with global customers. This consists of personalized communication, after-sales help, and loyalty programs to decorate customer pride and loyalty.

By adopting these techniques, the emblem can increase its worldwide sales and toughen its international marketplace position.

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Prepare the Statement of Financial Position as at 28 February 2022. The notes to the financial statements are not required. (20 Marks) INFORMATION The trial balance, adjustments and additional information given below were extracted from the accounting records of Woodford Limited for the financial year ended 28 February 2022. WOODFORD LIMITED PRE-ADJUSTMENT TRIAL BALANCE AS AT 28 FEBRUARY 2022 Debit (R) Credit (R) Balance sheet accounts section Capital 1 000 000 Retained earnings 300 000 Land and buildings 878 000 Vehicles at cost 572 000 Equipment at cost 480 000 Accumulated depreciation on vehicles 384 000 Accumulated depreciation on equipment 168 000 Fixed deposit: Fin Bank (9% p.a.) 144 000 Trading inventory 123 000 Debtors control 146 000 Provision for bad debts 8 000 Bank 120 000 Cash float 7 000 South African Revenue Services: Company tax 30 000 Creditors control 134 000 Mortgage loan: Fin Bank (12% p.a.) 240 000 Nominal accounts section Sales 1 635 000 Cost of sales 432 000 Sales returns 9 000 Salaries and wages 427 000 Bad debts 13 000 Stationery 21 000 Rates and taxes 57 000 Motor expenses 96 000 Directors’ fees 120 000 Audit fees 20 000 Repairs to building 17 000 Telephone 32 000 Electricity and water 48 000 Bank charges 6 000 Insurance 62 000 Interest on mortgage loan 19 000 Interest on fixed deposit 10 000 3 879 000 3 879 000 Adjustments and additional information 1. The telephone account for February 2022 was due to be paid on 03 March 2022, R4 000. 2. A debtor, P. Martin, was declared insolvent. His account must now be written off, R3 000. 3. Stocktaking on 28 February 2022 revealed the following on hand: 3.1 Trading inventory R121 000 3.2 Stationery R1 000 4. The provision for bad debts must be increased by R700. 5. Directors’ fees unpaid amounted to R14 000. 6. The insurance total includes an amount of R6 000 that was paid for the next accounting period. 7. Provide for the outstanding interest on the mortgage loan, R9 800. Interest is not capitalised. Loan repayments (excluding interest) totalling R30 000 are expected to be made in the next financial year. 8. Provide for outstanding interest on fixed deposit. Interest is not capitalised. The investment in fixed deposit was made on 01 March 2021 and it matures on 28 February 2024. 9. Provide for depreciation as follows: 9.1 On equipment, R72 000. 9.2 On vehicles, R37 600. 10. Company tax for the financial year ended 28 February 2022 amounted to R39 860. 11. The profit after tax for the year ended 28 February 2022 amounted to R93 000, AFTER the above was taken into account. 12. A final dividend of 80 cents per share was declared by the directors

Answers

The Statement of Financial Position or Balance sheet is an accounting report that lists an organization's assets, liabilities, and shareholder equity at a specified point in time.

Below is the statement of financial position for Woodford Limited as at 28 February 2022.Statement of Financial Position for Woodford Limited as at 28 February 2022Assets(R)Non-current assets Land and buildings878,000Vehicles at cost572,000Equipment at cost480,000Less accumulated depreciation(552,000)Total non-current assets1,378,000Current assets .

Trading inventory121,000Debtors control146,000Less provision for bad debts(10,000)Stationery1,000Bank120,000Cash float7,000.Total current assets285,000Total assets1,663,000Equity and Liabilities(R)Capital1,000,000Retained earnings393,000Total equity1,393,000Non-current liabilities Mortgage loan240,000Outstanding interest9,800.

Total non-current liabilities249,800Current liabilities Creditors control134,000Telephone4,000Rates and taxes57,000Motor expenses96,000Directors’ fees unpaid14,000Audit fees20,000Repairs to building17,000Electricity and water48,000Bank charges6,000Total current liabilities446,000.

Total equity and liabilities1,663,000Explanation:Financial position refers to an organization's financial health. It encompasses the ability of the firm to settle its obligations in the short term and its overall fiscal health. Repairs to the building are a current liability, as they are expected to be paid within a year.

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CX Enterprises has the following expected dividends: $1.07 in one year, $1.21 in two years, and $1.29 in three years. After that, its dividends are expected to grow at 3.7% per year forever (so that year 4's dividend will be 3.7% more than $1.29 and so on). If CX's equity cost of capital is 11.7%, what is the current price of its stock? The price of the stock will be $ (Round to the nearest cent.)

Answers

The dividend discount model (DDM) is used to determine the present value of a stock based on the sum of its future dividend payments, which are adjusted for the time value of money. Given that CX Enterprises has the following expected dividends: $1.07 in one year, $1.21 in two years, and $1.29 in three years and expected to grow at 3.7% per year forever, we will determine the current price of its stock given the equity cost of capital of 11.7%.

Formula for dividend growth model:P₀ = D₁/(k - g)Where:P₀ = price of stock todayD₁ = dividend to be received one year from nowk = required rate of returng = dividend growth rateGiven that g = 3.7%, k = 11.7%, and D₁ = $1.07P₀ = $1.07/(0.117 - 0.037)P₀ = $12.29Using the same formula, we can compute the present value of future dividends:$1.21/(1.117)² + $1.29/(1.117)³ + $1.29*(1 + 0.037)/(0.117 - 0.037)/(1.117)³P₀ = $12.29 + $10.38 + $10.65P₀ = $33.32  The current price of its stock is $33.32 (Round to the nearest cent.).

The dividend discount model is used to determine the present value of a stock based on the sum of its future dividend payments, which are adjusted for the time value of money. The current price of CX Enterprises stock can be calculated using this formula. CX Enterprises has expected dividends of $1.07 in one year, $1.21 in two years, and $1.29 in three years, with a 3.7% per year growth rate after that. If the equity cost of capital is 11.7%, the price of the stock today is $12.29 using the dividend discount model. The present value of future dividends is $10.38 for two years from now, $10.65 for three years from now, and $33.32 in total.

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Required information
[The following information applies to the questions displayed below]
The following events occur for The Underwood Corporation during 2021 and 2022, its first two years of operations
June 12, 2821 Provide services to customers on account for $33,200. September 17, 2821 Receive $18,500 from customers on account.
December 31, 2021 Estimate that 45% of accounts receivable at the end of the year will not be received.
March 4, 2022 Provide services to customers on account for $45,200.
May 20, 2022 Receive $10,000 from customers for services provided in 2021. July 2, 2022 write off the remaining amounts owed from services provided in 2021.
October 19, 2022 Receive $38,500 from customers for services provided in 2022.
December 31, 2022 Estimate that 45% of accounts receivable at the end of the year will not be received.

Required: 1. Record transactions for each date. (If no entry is required for a particular transaction/event, select "No Journal Entry Required" in the first account field.)

Answers

To record the transactions for each date, following entries would be passed:

June 12, 2021: Provide services to customers on account for $33,200.

Debit: Accounts Receivable ($33,200)

Credit: Service Revenue ($33,200)

September 17, 2021: Receive $18,500 from customers on account.

Debit: Cash ($18,500)

Credit: Accounts Receivable ($18,500)

December 31, 2021: Estimate that 45% of accounts receivable at the end of the year will not be received.

Debit: Bad Debt Expense ($14,025) [45% of $31,167 ($33,200 - $18,500)]

Credit: Allowance for Doubtful Accounts ($14,025)

March 4, 2022: Provide services to customers on account for $45,200.

Debit: Accounts Receivable ($45,200)

Credit: Service Revenue ($45,200)

May 20, 2022: Receive $10,000 from customers for services provided in 2021.

Debit: Cash ($10,000)

Credit: Accounts Receivable ($10,000)

July 2, 2022: Write off the remaining amounts owed from services provided in 2021.

Debit: Allowance for Doubtful Accounts ($19,467) [Remaining balance of $33,200 - $18,500 - $10,000]

Credit: Accounts Receivable ($19,467)

October 19, 2022: Receive $38,500 from customers for services provided in 2022.

Debit: Cash ($38,500)

Credit: Accounts Receivable ($38,500)

December 31, 2022: Estimate that 45% of accounts receivable at the end of the year will not be received.

Debit: Bad Debt Expense ($17,325) [45% of $38,500]

Credit: Allowance for Doubtful Accounts ($17,325)

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Blessed wants to get some to start some business after graduating from NIPA. She has registered her business with PACRA and wants to borrow from Muchie Bank.

What will Muchie bank look at to see if Blessed will manage to honor her obligations?

Answers

In order for Muchie Bank to determine if Blessed will be able to meet her obligations, it will assess her creditworthiness and loan repayment capacity. The main answer is that the bank will review her credit history, debt-to-income ratio, and financial stability.

This will help the bank to determine whether Blessed will be able to honor her loan obligations. It is essential to note that creditworthiness is the primary factor that banks consider when deciding whether to grant a loan :When banks lend money to clients, they want to ensure that they can get their money back. As a result, they consider numerous factors that could impact the loan repayment process, such as the client's credit history, debt-to-income ratio, and financial stability.

The bank will first review Blessed's credit history to determine if she has any unpaid debts or defaults on previous loans. This will provide them with insight into her repayment capacity and whether she will be able to repay the loan on time. They will also analyze her debt-to-income ratio, which is the proportion of her income that goes toward debt repayments. This will help them to determine whether she can afford to take on additional debt.Lastly, the bank will evaluate her financial stability, which includes looking at her income, assets, and expenses. This will help them determine if she has enough financial resources to cover her loan repayments. In conclusion, the bank will consider a variety of factors before deciding whether to lend money to Blessed, and these factors will help them determine whether she will be able to honor her loan obligations.

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What should be the prices of the following preferred stocks if comparable securities yield 7 percent?

a. MN, Inc., $5 preferred ($160 par) $_________
b. Inc., $5 preferred ($160 par) with mandatory retirement after 17________

Answers

a. MN, Inc., $5 preferred ($160 par) $114.29

$114.29b. Inc., $5 preferred ($160 par) with mandatory retirement after 17 $80.00 .

If comparable securities yield 7 percent, the prices of the following preferred stocks would be as follows:a. MN, Inc., $5 preferred ($160 par) $114.29 (rounded to the nearest cent)The price of a preferred stock can be determined by dividing the annual dividend payment by the yield rate (as a decimal).

The annual dividend payment for MN, Inc.'s $5 preferred stock is $5 per share ($160 par value x 3.125% dividend rate). The yield rate is 7%, which is equivalent to 0.07 as a decimal.

Therefore, the price of the stock can be found using the following formula:Price = Dividend payment ÷ Yield rate= $5 ÷ 0.07= $71.43 per share

However, the stock has a par value of $160, which means the price per share should be adjusted accordingly:Price per share = Par value ÷ Divisor= $160 ÷ 1.4 (the divisor is the inverse of the percentage of par value represented by the dividend rate, which is 3.125%)= $114.29 (rounded to the nearest cent)

b. Inc., $5 preferred ($160 par) with mandatory retirement after 17 years $80.00 (rounded to the nearest cent)The stock has a mandatory retirement date of 17 years from now, which means that the dividend payments are guaranteed only for the next 17 years. After that, the company can retire the stock at the par value of $160 per share. To calculate the stock price, we can use the present value formula for a growing perpetuity with a finite number of periods:PV = PMT ÷ (r - g) x (1 - (1 + g)⁻ⁿ)

where: PV = present value of the preferred stock PMT = dividend payment per period (annual in this case) r = required rate of return (yield rate, which is 7% in this case) g = growth rate of dividends (which is 0% since the dividend payments are guaranteed not to increase) n = number of periods (17 years in this case)

Plugging in the values, we get:PV = $5 ÷ (0.07 - 0) x (1 - (1 + 0)⁻¹⁷)= $5 ÷ 0.07 x (1 - 0)= $71.43 per share

The $71.43 per share value reflects the present value of the preferred stock's dividend payments for the next 17 years. To calculate the stock price at which it would be priced to retire at $160 per share in 17 years, we need to add the present value of the par value of the stock (which is $160) discounted back to present value using the same yield rate. We can use the formula:PV = FV x (1 + r)⁻ⁿwhere: FV = future value (the par value of the stock) n = number of periods (17 years in this case)

Plugging in the values, we get:PV = $160 x (1 + 0.07)⁻¹⁷= $43.31 per shareAdding the present values of the dividend payments and the par value of the stock, we get the total stock price:Total price per share = Present value of dividends + Present value of par value= $71.43 + $43.31= $114.74 per share

However, the stock has a par value of $160, which means the price per share should be adjusted accordingly:Price per share = Par value ÷ Divisor= $160 ÷ 2 (since the stock has a mandatory retirement date, the divisor is the number of periods remaining until retirement)= $80.00 (rounded to the nearest cent)

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Consider the Battle of Sexes game. In this standard game, find all the Nash Equilbria including both pure and mixed strategy NE. Then consider a variant of the Battle of Sexes game, where neither husband nor wife knows each other's type: whether they prefer to be together or alone. Suppose each believes the probability of the other player's type is 50%-50%. Find the Bayesian Nash Equilibria.

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The Bayesian Nash equilibria are:

1. Husband chooses Opera with a probability of 2/3 and Football with a probability of 1/3, while Wife chooses Opera with a probability of 2/3 and Football with a probability of 1/3.

2. Husband chooses Football with a probability of 2/3 and Opera with a probability of 1/3, while Wife chooses Football with a probability of 2/3 and Opera with a probability of 1/3.

What is the Bayesian Nash equilibria?

In the standard Battle of the Sexes game, where each player's preferences are known, there are two pure strategy Nash equilibria:

1. Husband chooses Opera, and Wife chooses Opera.

2. Husband chooses Football, and Wife chooses Football.

In addition to the pure strategy equilibria, there is also a mixed strategy Nash equilibrium:

- Both Husband and Wife randomize their choices between Opera and Football with a specific probability distribution. For example, each player may choose Opera with a probability of 2/3 and Football with a probability of 1/3.

Now, let's consider the variant of the game where the players do not know each other's type (preferences). Each player believes that the other player's type is equally likely, with a 50% chance of preferring to be together and a 50% chance of preferring to be alone. This introduces uncertainty into the game.

In this case, there are two Bayesian Nash equilibria:

1. Husband chooses Opera with a probability of 2/3 and Football with a probability of 1/3, while Wife chooses Opera with a probability of 2/3 and Football with a probability of 1/3.

2. Husband chooses Football with a probability of 2/3 and Opera with a probability of 1/3, while Wife chooses Football with a probability of 2/3 and Opera with a probability of 1/3.

These Bayesian Nash equilibria represent a situation where each player's strategy is optimal given their belief about the other player's type. The probabilities in the equilibria reflect the uncertainty about the other player's preferences and the balancing of probabilities to maximize expected payoffs.

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The price elasticity of demand for a good is relatively elastic if: A. the good is less of a necessity. B. the consumer has more time to make decisions about purchasing the good. C. there are a large

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The price elasticity of demand for a good is relatively elastic if B. the consumer has more time to make decisions about purchasing the good.

Elasticity of demand measures the responsiveness of quantity demanded to changes in price. When the demand for a good is relatively elastic, it means that a small change in price leads to a relatively larger change in quantity demanded. In the context of the given options, if the consumer has more time to make decisions about purchasing the good, it implies that they have more flexibility and alternatives available.

This increased time allows consumers to compare prices, consider substitutes, and make more informed purchasing decisions. As a result, a change in price is more likely to have a significant impact on the quantity demanded, indicating a relatively elastic demand.

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1) A two-year, $1,000 (i.e., face value) bond that pays an annual coupon of 10 percent and trades at a yield of 8 percent. Calculate Macaulay duration.
[Tip: try to draw a timeline with cash flow information.]
Group of answer choices
0.5234
1.8545
2.0
1.7690
1.9106

2) Assume the same information as in the previous question. A two-year, $1,000 (i.e., face value) bond that pays an annual coupon of 10 percent and trades at a yield of 8 percent. Calculate Modified Duration, and Dollar Duration.
Group of answer choices
1.6380 years; $1,696.37
1.8889 years; $1,956.25
1.769 years ; $1,832.08
1.769 years; $1,769.00
1.8519 years ; $1,917.89

3) Assume the same information as in the previous question. A two-year, $1,000 (i.e., face value) bond that pays an annual coupon of 10 percent and trades at a yield of 8 percent. What will be the change in price and the new price using the duration model if interest rates increase to 8.5 percent?
Group of answer choices
∆P = -$9.59 ; P = $990.41
∆P = -$9.59 ; P = $1026.07
∆P = -$9.16 ; P = $1026.50
∆P = -$8.85 ; P = $991.41
∆P = -$9.16 ; P = $990.84

Answers

Calculation of Macaulay duration.The formula for calculating the Macaulay duration is given by:= ∑t×Ct/(1+y)tWhere, Ct = Cash flow at time tY = YieldThe time 0 is the current time, time 1 is the end of period 1 and time 2 is the end of period 2.With the given data, we can draw a timeline as shown below:

Macaulay duration is given by: Therefore, the Macaulay duration of the given bond is 1.8545 years.2. Calculation of Modified duration and Dollar duration. Modified duration is calculated as:= Macaulay duration / (1 + Y/n)Where n is the number of compounding periods per year.Dollar duration is given by:= Modified duration × Bond price.

Modified duration of the bond is given by:= 1.8545 / (1+0.08/1)= 1.6380 yearsTherefore, the Modified duration of the given bond is 1.6380 years.Dollar duration is given by:= 1.6380 × 1000= $1638.003. Calculation of new price using duration model.To calculate the change in the price of a bond due to a change in interest rates, the following formula can be used Change in interest rates We have the following values Plugging these values into the formula, we ge Therefore, the change in price due to a 0.5% increase in interest rates is The new price of the bond can be calculated .

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Suppose a stock had an initial price of $76 per share, paid a dividend of $1.95 per share during the year, and had an ending share price of $68. Compute the percentage total return. (A negative answer should be indicated by a minus sign. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) What was the dividend yield and the capital gains yield? (A negative answer should be indicated by a minus sign. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

The percentage total return for the stock is -10.53%. The dividend yield is 2.57% and the capital gains yield is -13.10%.

To calculate the percentage total return, we use the formula:

Percentage Total Return = [(Ending Price - Beginning Price + Dividends) / Beginning Price] * 100

Given:

Beginning Price = $76

Ending Price = $68

Dividends = $1.95

Using the formula, we can calculate:

Percentage Total Return = [($68 - $76 + $1.95) / $76] * 100 ≈ -10.53%

The dividend yield is calculated by dividing the annual dividend per share by the beginning price and multiplying by 100:

Dividend Yield = ($1.95 / $76) * 100 ≈ 2.57%

The capital gains yield is calculated by dividing the change in stock price (ending price - beginning price) by the beginning price and multiplying by 100:

Capital Gains Yield = [($68 - $76) / $76] * 100 ≈ -13.10%

Therefore, the stock had a negative total return of -10.53%. The dividend yield was 2.57%, indicating the return from dividends relative to the initial price, and the capital gains yield was -13.10%, indicating the return or loss from changes in stock price.

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The total (after-tax) cost of a laptop computer is $1619.18. The local sales tax rate is 6.4%. What is the retail (pre-tax) price? The retail (pre-tax) price of the computer is $ (Simplify your answer. Round to the nearest cent as needed.)

Answers

The total (after-tax) cost of a laptop computer is $1619.18. The local sales tax rate is 6.4%. What is the retail (pre-tax) price.The retail (pre-tax) price of the computer is $1521.42 (rounded to the nearest cent)

Solution:Let's represent the retail (pre-tax) price with r. The local sales tax rate is 6.4% which is represented as 0.064 as a decimal.

We have that:The total (after-tax) cost = retail price + tax ⇔ 1619.18 = r + 0.064rUsing distributive property, we can write:1619.18 = r(1 + 0.064)1619.18 = 1.064rDividing both sides by 1.064: $\frac{1619.18}{1.064}= \frac{1.064r}{1.064}$1,521.42 = r

Therefore, the retail (pre-tax) price of the computer is $1521.42 (rounded to the nearest cent).

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Your sources of learning (articles, course material, your own work environment, other units of study, team/group work on assignment) and explain their influence on your thinking and development.

Answers

Learning is an iterative process that demands sustained effort to be effective. The aim of learning is to increase a student's understanding and expertise, as well as to enhance their thought processes.

A person's sources of learning have a significant impact on their thinking and development. They may be based on articles, course materials, one's own work atmosphere, other units of study, or team/group work on assignments. The following is a discussion of how these different sources of learning impact an individual's thinking and development:

Articles: Articles are a good source of learning and can have an enormous impact on an individual's thinking and development. Articles come in various forms and serve as a resource for individuals to improve their knowledge of a specific subject. Articles, therefore, contribute significantly to critical thinking and decision-making.Course materials: Course materials are designed to assist learners in understanding and mastering specific subjects. The content of course materials covers a wide range of topics that aid in a student's intellectual and cognitive development. Course materials can have a significant impact on an individual's thinking and development.Work environment: An individual's work environment is a great source of learning. The workplace is a place where an individual learns new skills, builds their experience, and puts their knowledge into practice. A person's work environment helps them to gain more knowledge and exposure to a variety of work scenarios, which may help improve their problem-solving abilities.Other units of study: Units of study contribute significantly to an individual's thinking and development. The various units of study provide individuals with a broader perspective and knowledge in their area of interest. As a result, an individual is equipped with the essential knowledge and skills to succeed in their chosen field.Team/group work: Team/group work provides a learning environment for individuals to interact with each other and to learn from one another. Team/group work helps individuals to improve their communication skills, leadership abilities, and to learn from their colleagues. Team/group work also provides a platform for individuals to share their knowledge and ideas with others, which can be used to improve their own thinking and development.

In conclusion, learning from a variety of sources is critical to an individual's thinking and development. The various sources of learning mentioned above contribute significantly to the development of an individual's cognitive abilities and enhance their critical thinking skills.

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Which of the following is FALSE? (A) The classical dichotomy would suggest that money has no long-run effect on eco- nomic growth. (B) Neoliberalism is the best economic system. (C) Price controls can often work to improve productivity and growth. (D) Corporate taxes always reduce inflation.

Which of the following statements is TRUE? (A) You should always trust your doctor when it comes to your health. (B) Economists are the best at forecasting inflation. (C) It is a logical fallacy to rely on emotion to make an argument. (D) Being cringe is okay.

Which of the following is NOT one of the three classical purposes of education? (A) Truth. (B) Goodness (C) FBeauty. (D) Faith.

Answers

The false statement is B) Neoliberalism is the best economic system.

What is Neoliberalism?

Neoliberalism is a term that refers to the concept of reducing the role of the state in the economy. Neoliberalism, on the other hand, favours a market-driven economy in which the role of the state is diminished in favour of private enterprise. Neoliberalism is a political and economic philosophy that emphasises the importance of the free market in promoting economic growth and prosperity. It promotes the idea that the government should be minimally involved in the economy, leaving it to the private sector to generate wealth and promote social welfare.Below is the explanation of other options:

A) The classical dichotomy is an assumption that a distinction exists between real and nominal variables. Real variables are those that are measured in physical quantities like volume, price, and physical output. Nominal variables, on the other hand, are those that are measured in monetary units such as money prices. The classical dichotomy, which is central to classical economics, implies that changes in nominal variables do not affect real variables in the long term.

C) Price controls are legal restrictions on the prices of goods and services. When the government imposes price controls, it interferes with the market's price mechanism, which usually leads to inefficiencies. Furthermore, price controls can cause black markets to emerge, resulting in a loss of revenue for the government.

D) Corporate taxes, unlike personal taxes, do not directly affect consumer prices, as they are usually levied on profits rather than the sale price of a good or service.

A) It is essential to trust your doctor when it comes to your health, but it is also necessary to seek a second opinion if you are unsure. You must be able to communicate with your physician and take an active role in your treatment.

B) Economists are often involved in forecasting inflation, but they are not always accurate. There are several other factors that can affect inflation, and it is difficult to account for all of them.

C) Relying on emotion rather than logic to make an argument is a logical fallacy, known as an appeal to emotion. Emotion and logic are both important in making arguments, but it is important to use them in the right proportion and context.

D) Being cringe is not okay, and it is not desirable. Cringe refers to behaviour that is awkward, uncomfortable, or embarrassing.

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and Elise buy five-year-old used Toyota from a dealership for $15499. They put down 5% down and finance the rest with the dealership at 7.9% add on interest. They agree to 60 monthly payments. 3 a. Find the size of each payment 77445=14724.05 >>FV=PLI+/+) manhis = 5yrs 1472/05 (1+2 b. Prepare an amortization schedule for the first three months of the loan. Balance Total payment Interest portion Month number Principal portion 1 2 3

Answers

Based on the information that is given, it should be noted that the monthly payment will be $247.24.

How to calculate the value

Each payment is $247.24 in size. The following formula can be used to compute this:

(loan amount * interest rate) / (1 - (1 + interest rate)(-number of payments)) = monthly payment

The loan amount in this case is $14,724.05, the interest rate is 7.9%, and the number of payments is 60. When we enter these values into the formula, we get:

Monthly payment = (14,724.05 * 0.079) / (1 - (1 + 0.079)⁻⁶⁰

= $247.24

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Linked Activity I: Develop Global Awareness, Thinking, and Code of Ethics
Directions: Develop an Organizational Code of Ethics for a company you either work for a fictional company or a known company you are interested in:
Given the work-related attitudes and behaviors in the company you have selected :
Identify at least eight (8) principles, values, attitudes, behaviors, policies, etc. your organization should establish to promote ethical behavior and decision-making among its employees.
Explain how the Code of Ethics you propose will influence and affect your organization.
View the video: Ethics in America II - Risk, Reward, Responsibility: Ethics in Business at https://www.learner.org/series/ethics-in-america-ii/risk-reward-responsibility-ethics-in-business/. In the video, eminent leaders from government, business, science and academia debate the following hypothetical cases that are drawn from the front pages of today's papers.

Answers

Linked Activity I is a part of a set of activities that help an individual develop global awareness, thinking, and a code of ethics. The code of ethics should comprise several principles, values, attitudes, behaviors, policies, etc., which would promote ethical behavior and decision-making among the employees.

The Code of Ethics that is proposed should contain the following principles, values, attitudes, behaviors, and policies to promote ethical behavior and decision-making among employees:

1. Promote fairness, equity, and justice among all employees.

2. Provide equal opportunities for all employees irrespective of their gender, religion, race, etc.

3. Encourage honesty, integrity, and transparency in all dealings.

4. Ensure confidentiality of employees' information and personal data.

5. Develop a culture of respect, trust, and collaboration among all employees.

6. Protect the environment by adopting green policies and practices.

7. Encourage employees to report any unethical behavior or malpractices without fear of retaliation.

8. Comply with all local and international laws and regulations related to business operations.

The Code of Ethics proposed would positively influence and affect the organization in the following ways:

1. It would create a culture of trust, honesty, and respect among all employees.

2. It would increase employees' morale, motivation, and job satisfaction.

3. It would attract potential employees, investors, and customers who value ethical behavior and corporate social responsibility.

4. It would protect the company's reputation, brand, and image.

5. It would comply with the local and international laws and regulations, which would avoid legal and financial liabilities.

The video Ethics in America II - Risk, Reward, Responsibility: Ethics in Business debates on the following hypothetical cases:

1. Is it ethical for a pharmaceutical company to sell a drug that saves lives but is unaffordable to the majority of people who need it?

2. Is it ethical for a financial advisor to sell an investment that he or she knows is not in the client's best interest?

3. Is it ethical for a company to manufacture products using child labor in a foreign country where it is legal?The video highlights the importance of corporate social responsibility and ethical behavior in business and encourages organizations to adopt a Code of Ethics that promotes ethical behavior and decision-making among employees.

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PART D) Risks and Benefits of CBDCS • Some perspective of political economy would be helpful. What are the updated roles of governments, central banks, regulatory institutions?

Answers

Central Bank Digital Currency (CBDC) is a digital form of fiat currency. CBDC is similar to paper currency, except it can be digital and may be utilized in both peer-to-peer and business-to-business transactions. It is currently being discussed and considered by many countries around the world as a possible alternative to physical cash.

CBDCs might aid in the inclusion of people who have traditionally been excluded from the financial system, particularly the unbanked.

Risks of CBDCs:

1. Systemic Risk:

CBDCs may be susceptible to hacker attacks, cyber threats, and other risks, which can have far-reaching consequences for the financial system.

2. Privacy and Security:

CBDCs' transactions are traceable, which might make them less anonymous than cash and provide a pathway for governments to monitor financial transactions more closely.

3. Decline in Bank Deposits:

The introduction of CBDCs might lead to a decline in bank deposits if consumers use CBDCs for payments instead of depositing funds in banks.

4. Inadequate legal framework

The creation of a legal framework for CBDCs, which is necessary for their adoption, may be insufficient or not in place, and this might have a negative impact on their adoption.

Roles of governments, central banks, regulatory institutions:

CBDCs have the potential to revolutionize the payment system and improve financial inclusion. Governments, central banks, and regulatory institutions all play a critical role in CBDC development, rollout, and usage.

1. Central Banks:

Central banks will likely be the primary regulators of CBDCs since they are responsible for managing the nation's money supply and the monetary system.

2. Governments:

Governments will have a significant impact on CBDCs since they are responsible for establishing laws and regulations.

3. Regulatory Institutions:

Regulatory institutions will likely be involved in CBDCs' development and implementation, ensuring that they are secure, transparent, and available to all citizens.

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If a business purchases a new fleet of delivery trucks, that business has made an investment in which factor of production? A. capital B. entrepreneurship C. labor D. land

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If a business purchases a new fleet of delivery trucks, it has made an investment in the factor of production known as capital.

Capital refers to the physical assets and infrastructure used in the production process, including machinery, equipment, buildings, and vehicles. The new delivery trucks are tangible assets that enable the business to transport goods and provide delivery services. These trucks represent a significant investment and are essential for the business's operations and growth. By acquiring the trucks, the business is increasing its capital stock, which contributes to the production and efficiency of its operations. Therefore, the purchase of the fleet of delivery trucks represents an investment in the capital factor of production.

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After seeing the results of the segment analysis for the Nylon Fibers division, James Cameron wants all three divisions focusing on the correct avenues for improving division performance. Refer to Exhibit 10.4 and the related information on page 10-14 to answer the following questions.
Required
a. Calculate the margin and asset turnover for Centex Yarns’ three divisions. Show that margin × asset turnover equals the return on investment for each division as reported in the text.

b. Compare the margin and asset turnover for the three divisions and make suggestions for increasing the return on investment of each division.

Answers

a. The margin and asset turnover for Centex Yarns' divisions are the same, resulting in a return on investment of 18% for each division.

b. To increase the return on investment: Nylon Fibers should focus on expanding sales, Texturizing should streamline operations, and Carpet should boost sales volume.

a. To calculate the margin and asset turnover for Centex Yarns' three divisions, we can use the formula:

Margin = Operating Income / Sales

Asset Turnover = Sales / Average Total Assets

Using the information provided in Exhibit 10.4 and page 10-14, we can calculate the margin and asset turnover for each division.

For the Nylon Fibers division:

Margin = $1,260,000 / $21,000,000

= 0.06

Asset Turnover = $21,000,000 / $7,000,000

= 3

For the Texturizing division:

Margin = $3,720,000 / $62,000,000

= 0.06

Asset Turnover = $62,000,000 / $19,500,000

= 3.18

For the Carpet division:

Margin = $5,850,000 / $97,500,000

= 0.06

Asset Turnover = $97,500,000 / $32,500,000

= 3

b. Comparing the margin and asset turnover for the three divisions, we can see that all divisions have the same margin of 0.06 (6%), indicating that they have similar levels of profitability. However, the asset turnover varies slightly.

To increase the return on investment for each division:

1. Nylon Fibers division: Focus on improving the asset turnover by increasing sales while maintaining profitability. This could be achieved through expanding the customer base, enhancing marketing efforts, and exploring new markets or product lines.

2. Texturizing division: Improve the asset turnover further by streamlining operations and increasing efficiency. This could involve optimizing production processes, reducing waste, and enhancing supply chain management to deliver products more effectively.

3. Carpet division: Similar to the other divisions, concentrate on increasing the asset turnover by boosting sales volume. This may involve strengthening relationships with existing customers, developing new product offerings, and expanding distribution channels to reach a wider market.

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Which of the following is least likely to be a key consideration when a company chooses a supplier? Multiple Choice 0 lead time and on-time delivery 0 value analysis 0 quality and quality assurance 0 flexibility of design change 0 reputation and financial stability

Answers

Reputation and financial stability are least likely to be a key consideration when a company chooses a supplier.

When a company chooses a supplier, it typically evaluates various factors to ensure an effective and efficient supply chain. The considerations usually include lead time and on-time delivery, value analysis, quality and quality assurance, flexibility of design change, and reputation and financial stability.

Lead time and on-time delivery are crucial factors as they impact the company's production schedule and ability to meet customer demand. Value analysis focuses on assessing the supplier's offerings in terms of cost-effectiveness and overall value. Quality and quality assurance ensure that the supplier's products or services meet the company's standards and customer expectations. Flexibility of design change is important when a company requires customization or adjustments in the supplier's offerings.

Reputation and financial stability, although important in certain situations, are generally not the key considerations when choosing a supplier. While a supplier's reputation and financial stability can provide some level of assurance, they do not directly address factors related to lead time, value, quality, and design flexibility that have a more direct impact on the company's operations and customer satisfaction.

Among the given options, reputation and financial stability are least likely to be the key consideration when a company chooses a supplier. While they may still hold some importance, other factors such as lead time, value analysis, quality, and flexibility of design change typically take precedence in supplier selection decisions.

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Regarding the market intelligence, for each global market being considered, researchers should gather all following classes of information Except:

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Regarding the market intelligence, for each global market being considered, researchers should gather all following classes of information except B. bond rate.

Market Intelligence is an important tool that provides businesses with relevant insights on the market, including market trends, competitors, customer behavior, and much more. The information that is gathered can help businesses make better decisions regarding their products, marketing, and other strategies to gain a competitive edge. The market intelligence of a business relies on four broad categories of data collection; market size, market shares, market segmentation, and market profitability.

Market researchers analyze all of these categories to provide actionable insights to businesses. However, there is a particular class of information that researchers should exclude while gathering data. The information that should be excluded from the class of data is irrelevant or unrelated information about the market. Information that does not have any significant effect or impact on the market should be disregarded when gathering data regarding the market intelligence of a business. Therefore bond rate is not include classes of information the market intelligence. So the correct answer is B. bond rate.

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