Herzberg concluded that pay was not a motivator. If you were paid to get better grades, would you be motivated to study harder? In your work experience, have you worked harder to obtain or as a result of receiving a large raise? Do you agree/disagree with Herzberg?

Answers

Answer 1

According to the two-factor theory by Herzberg, there are two factors that influence employee motivation: hygiene factors and motivational factors. In my work experience, I have worked harder to obtain a large raise and I agree with Herzberg that pay may not be a motivator for everyone

Hygiene factors are those that create a comfortable work environment, and motivational factors are those that create an environment that motivates employees to work harder and reach their full potential. Some of the hygiene factors include pay, working conditions, job security, and company policies.

Motivational factors, on the other hand, include opportunities for growth, achievement, recognition, and personal development.While some people are motivated by pay, others are motivated by recognition, opportunities for growth, or personal development. Thus, an increase in salary or pay may not be the only way to motivate employees.  

However, I believe that motivational factors such as recognition, growth opportunities, and personal development are essential in motivating employees and should not be ignored. Therefore, while pay can work as a motivator for some individuals, it is not a one-size-fits-all solution for employee motivation.

In conclusion, I agree with Herzberg that pay may not be a motivator for everyone. Still, there are individuals who are motivated by pay and an increase in salary may make them work harder. However, other motivational factors such as recognition, growth opportunities, and personal development should not be ignored, as they play a vital role in employee motivation.

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Related Questions

A decrease in the price of apple juice shifts the demand curve for grape juice to the left. Apple juice and grape juice are _____.

Group of answer choices

a.substitutes in consumption

b. substitutes in production

c. complements in consumption

d.input goods

Answers

The correct answer is (a) substitutes in consumption. Apple juice and grape juice are considered substitutes in consumption because they can be consumed in place of each other to satisfy similar needs or preferences.

The correct answer is (a) substitutes in consumption.Apple juice and grape juice are considered substitutes in consumption because they can be consumed in place of each other to satisfy similar needs or preferences. When the price of apple juice decreases, consumers may switch from grape juice to apple juice as a more affordable alternative, causing a decrease in the demand for grape juice. This shift occurs because consumers perceive apple juice and grape juice as interchangeable products and are willing to substitute one for the other based on price changes.

Substitutes in production (b) refers to goods that can be produced using the same resources or inputs, which is not applicable to apple juice and grape juice. Complements in consumption (c) are goods that are typically consumed together, such as peanut butter and jelly, rather than apple juice and grape juice. Input goods (d) are goods used in the production process, which is not relevant to the relationship between apple juice and grape juice in terms of demand.

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Assume perfect competition:
Price: $99
Cost: TC = 3Q+0.04Q2
Solve for the profit-maximizing Quantity produced by an individual firm in the short run.
ROUND TO THE NEAREST WHOLE NUMBER.
Enter as a value

Answers

Perfect competition is a type of market competition in which a large number of small firms compete against each other for the same product, with no single seller or buyer having an undue influence on the market price. Each seller is a price-taker, accepting the market price determined by the intersection of the market supply and demand curves.

The profit-maximizing Quantity produced by an individual firm in the short run can be determined by equating marginal revenue (MR) to marginal cost (MC) and solving for Q. We know that for perfect competition, MR is equal to the market price P, so:

P = MR = MC
Substituting the given cost equation, we get:
$99 = 3Q + 0.04Q²

Rearranging and solving for Q, we get:
0.04Q² + 3Q - $99 = 0
Using the quadratic formula:
Q = (-b ± sqrt(b² - 4ac)) / 2a

where a = 0.04, b = 3, and c = -99, we get:
Q = (-3 ± sqrt(3² + 4(0.04)(99))) / 0.08
Q = (-3 ± sqrt(9 + 39.6)) / 0.08
Q = (-3 ± sqrt(48.6)) / 0.08
Q ≈ 57.02 or Q ≈ -210.02

We can ignore the negative root since Q must be positive, so the profit-maximizing Quantity produced by an individual firm in the short run is approximately 57.02. Rounded to the nearest whole number, this is equal to 57.

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2 points Save Amer Question 11 Friends Partnership has three partners. The balance of each partner' capital is: Alia $48,000, Mariam $50,000 and Fatima $52,000. Alia withdraws from the Partnership. Th

Answers

Given that the balance of each partner's capital in Friends Partnership is Alia $48,000, Mariam $50,000 and Fatima $52,000. Alia withdraws from the Partnership and we have to determine the new balances of Mariam and Fatima after Alias's withdrawal from the Partnership.

When Alia withdraws from the Partnership, her share of the capital will be paid to her. The total capital will decrease by the amount paid to Alia. Therefore, the new balance of the capital in the Partnership after Alia's withdrawal is:(48000 + 50000 + 52000) - 48000 = $152,000 - $48,000 = $104,000

The remaining capital is now $104,000 and it has to be distributed between Mariam and Fatima. The distribution of the remaining capital is based on the proportion of their capital prior to Alia's withdrawal. The total capital was $150,000 and the proportion of the capital held by Mariam and Fatima prior to Alia's withdrawal is: Mariam = $50,000/$150,000 and Fatima = $52,000/$150,000.Now, we can calculate the new balances of Mariam and Fatima after Alias's withdrawal using the proportions: Mariam = $104,000 x $50,000/$150,000 = $34,666.67 and Fatima = $104,000 x $52,000/$150,000 = $35,333.33

Therefore, the new balances of Mariam and Fatima after Alias's withdrawal from the Partnership are $34,666.67 and $35,333.33 respectively.

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Financial statement data for years ending December 31 for Newton Company follow:
20Y9 20Y8
Cash (end of year) $25,500 $24,250
Short-term investments (end of year) $8,270 $9,460
Operating expenses $60,135 $63,780
Depreciation expense $13,225 $11,400
Determine the days' cash on hand for 20Y8 and 20Y9. Round all calculations to one decimal place.

Answers

In 2018, the company had approximately 141.8 days' worth of cash on hand based on its operating expenses. In 2019, the days' cash on hand decreased to approximately 102.4 days.

To determine the days' cash on hand for 2018 and 2019, we need to calculate the average daily cash balance for each year. The formula for calculating days' cash on hand is as follows:

Days' Cash on Hand = (Cash / Operating Expenses) * 365

Let's calculate the days' cash on hand for each year:

For 2018:

Average Daily Cash Balance = (Beginning Cash + Ending Cash) / 2 = ($24,250 + $25,500) / 2 = $24,875

Days' Cash on Hand = ($24,875 / $63,780) * 365 = 141.8 days

For 2019:

Average Daily Cash Balance = (Beginning Cash + Ending Cash) / 2 = ($25,500 + $8,270) / 2 = $16,885

Days' Cash on Hand = ($16,885 / $60,135) * 365 = 102.4 days

In 2018, the company had approximately 141.8 days' worth of cash on hand based on its operating expenses. This indicates that the company had a relatively high level of liquidity and could cover its expenses for almost five months without any additional cash inflows.

However, in 2019, the days' cash on hand decreased to approximately 102.4 days. This suggests a decrease in the company's liquidity position compared to the previous year. The decrease in days' cash on hand could be attributed to factors such as increased operating expenses or a decrease in cash holdings.

In conclusion, the days' cash on hand provides insight into a company's liquidity and its ability to cover expenses. A higher number of days' cash on hand indicates a stronger cash position and better financial stability, while a lower number suggests a decrease in liquidity.

Monitoring and analyzing the days' cash on hand over time can help assess a company's financial health and its ability to meet short-term obligations.

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The three most important trade partners of the United States are O China, Russia, and Canada. O Brazil, China, and Indonesia. O Canada, Mexico, and China. O Canada, China, and Japan. O Mexico, Canada,

Answers

The three most important trade partners of the United States are Canada, Mexico, and China. Canada is one of the US's most valuable partners.

The US and Canada have had a friendly and mutually beneficial trading relationship for many years. As a result of this relationship, both nations have a stable and predictable trade relationship that benefits both countries. The US imports more from Canada than any other country in the world, which includes crude oil and natural gas, which are two of Canada's most important exports. Mexico is another vital trading partner of the United States.

The US and Mexico have a massive amount of trade that takes place on a daily basis. The US exports a wide variety of goods to Mexico, including computer and electronic components, transportation equipment, and machinery. Mexico exports a wide range of goods to the US, including computers and electronic components, transportation equipment, machinery, and textiles.

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what are Vietnam’s advantages in attracting foreign investment
in comparison with neighboring countries? Justify your opinion with
arguments and relevant examples from the business world.

Answers

Vietnam's economic growth is steadily growing at a high pace that attracts foreign investors. It’s commitment to economic liberalization, are critical to sustaining its attractiveness as an investment destination.

The development of Vietnam's market economy, industrialization, and modernization, and its vast potential in the field of human resources, are the country's strengths. These qualities make it an attractive destination for foreign investors. The major reasons behind Vietnam's advantages in attracting foreign investment are as follows:Geographical location.

Vietnam has a significant advantage over other Southeast Asian nations due to its geographical position. The country's coastline is more than 3,260 kilometers long, providing easy access to the vast sea network and facilitating trade between the Pacific Ocean and the Indian Ocean. Moreover, it is a gateway to the huge potential markets of China and the ASEAN region.

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pita Frends Partnership has three partners. The balance of each partner capital is Alia 548,000, Mariam $50,000 and Fatima $52,000. Aha withdraws bom the Partnership The remaining partners, Mariam and

Answers

After Aha's withdrawal from the partnership, the remaining partners, Mariam and Fatima, have a combined capital balance of $102,000.

In Friends Partnership, there are initially three partners: Alia, Mariam, and Fatima. The provided information states that Alia's capital balance is $548,000, Mariam's capital balance is $50,000, and Fatima's capital balance is $52,000.

Now, if Aha decides to withdraw from the partnership, their capital will be removed from the partnership's total capital. As a result, the remaining partners, Mariam and Fatima, will continue with their respective capital balances.

To determine the new total capital after Aha's withdrawal, we need to subtract Aha's capital from the original total. The original total capital is the sum of the capital balances of all three partners:

$548,000 (Alia) + $50,000 (Mariam) + $52,000 (Fatima) = $650,000 (original total capital)

If Aha withdraws from the partnership, we subtract Aha's capital from the original total:

$650,000 (original total capital) - Aha's capital

As the specific capital amount for Aha's capital is not provided, we cannot determine the exact remaining total capital. However, we know that the remaining partners, Mariam and Fatima, will divide the remaining capital among themselves.

Therefore, after Aha's withdrawal, the remaining partners, Mariam and Fatima, will have a combined capital balance. The exact amount will depend on the capital contributed by Aha and how it is redistributed among the remaining partners.

To determine the remaining capital balance for Mariam and Fatima, we need to know the capital amount contributed by Aha and the agreed-upon redistribution of Aha's capital between Mariam and Fatima.

In conclusion, without the specific capital amount contributed by Aha and the agreed-upon redistribution of Aha's capital, it is not possible to determine the exact remaining capital balance for Mariam and Fatima in Friends Partnership.

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Suppose you get a job at MobileTV, a small manufacturer of TV sets installed in cars and boats. The business has declined recently; foreign rivals from emerging markets have increased competition and management has concerns. Because MobileTV does all its manufacturing in Canada and the United Kingdom, it lacks cost advantages and sells at relatively high prices. After studying the problem, you conclude that MobileTV should move much of its production to Mexico, but senior management knows little about FDI
Respond to management detailing the advantages of establishing a production base in Mexico (separate paragraphs):
Why should the firm be interested in foreign manufacturing?
Recommend which type of FDI MobileTV should use in Mexico. (Justify your selection.)
What advantages and disadvantages should the venture expect from manufacturing in Mexico?

Answers

In light of the recent decline in business and increased competition from foreign rivals, MobileTV, a small manufacturer of car and boat TV sets, is exploring options to address these challenges. This includes considering the establishment of a production base in Mexico.

Dear Senior Management,

After analyzing MobileTV's current challenges and market dynamics, I propose establishing a production base in Mexico for the following advantages.

Firstly, foreign manufacturing in Mexico can provide cost advantages through lower labor and operational expenses, enhancing our competitiveness and enabling us to offer more competitive prices. Additionally, Mexico's proximity to the United States offers logistical benefits, such as shorter supply chains and reduced transportation costs, improving customer satisfaction and market responsiveness.

For the type of FDI, I recommend a wholly-owned subsidiary to maintain control and ensure the transfer of technology and quality standards. While it requires higher initial investment and operational involvement, it mitigates the risk of losing critical assets. Manufacturing in Mexico brings potential advantages like cost savings, skilled labor availability, and productivity gains.

However, challenges like language, culture, and regulatory considerations need to be addressed. Overall, this strategic move positions MobileTV for success in the global market.

Sincerely,

[Your Name]

In conclusion, establishing a production base in Mexico holds significant advantages for MobileTV. By leveraging the cost advantages, proximity to key markets, and skilled labor availability, the company can work on its decline in business and can enhance its competitiveness and achieve cost savings. The recommended approach of establishing a wholly-owned subsidiary allows MobileTV to maintain control, transfer technology, and quality standards, and mitigate risks. While challenges such as language, culture, and regulatory considerations may arise, careful planning and execution can address these issues.

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Explain graphically how a change (both increase and decrease) in the expected export volume will affect exchange rates, holding everything else constant. Explain graphically how a change (both increase and decrease) in the expected export volume will affect exchange rates, holding everything else constant.

Answers

An increase in expected export volume strengthens the domestic currency (appreciation), while a decrease in expected export volume weakens the domestic currency (depreciation) in the foreign exchange market.

Exchange rates can be defined as the value of a country's currency in relation to another country's currency. The exchange rate can be influenced by various factors, one of which is the expected export volume.

Let's explain graphically how a change in the expected export volume will affect exchange rates.

How an increase in the expected export volume affects exchange rates?

An increase in the expected export volume implies that more of the domestic currency will be demanded to purchase goods from the exporting country.

To meet the increased demand for domestic currency, the exchange rate will rise as shown below:

           

  Exchange Rate

                  |

              S  /

              U /

              P/    D'

              P\     |

              L \    |

              Y  \   |

                  |    

             ------------------

     Quantity of Currency

As illustrated above, when the expected export volume increases, the demand for domestic currency increases, and the supply of foreign currency increases, causing the exchange rate to increase. This is because more of the foreign currency will be exchanged for the domestic currency, which means the domestic currency becomes relatively more valuable.

Therefore, a country that exports more goods will have a higher exchange rate.

How a decrease in the expected export volume affects exchange rates?

On the other hand, a decrease in the expected export volume implies that less of the domestic currency will be demanded to purchase goods from the exporting country. This reduced demand for domestic currency will result in a fall in the exchange rate as shown below:

               Exchange Rate

                  |

              S  \

              U \

              P\    D'

              P \    |

              L  \   |

              Y   \  |

                  |    

             ------------------

                   Quantity of Currency

When the expected export volume decreases, the demand for domestic currency decreases, and the supply of foreign currency decreases, causing the exchange rate to decrease. This is because less of the foreign currency will be exchanged for the domestic currency, which means the domestic currency becomes relatively less valuable.

Therefore, a country that exports fewer goods will have a lower exchange rate.

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Peter's utility function is equal to: U (L, C) consumption, denoted in €. When he is looking for a job as a consultant he finds the following possibilities: i) Working for "ABC of M", where he may get 100€ per day and 2h of leisure time per day il) Working for "101 of M", where he may get 25€ per day and 4h of leisure per day iii) Working for "M for Dummies", where he may get 50€ per day and 3h of leisure per day Each day, apart from sleeping and other basic necessities, Peter has 15 hours of available time. He may tutor during as many hours as he desires, receiving 20€ per each hour of work. Assume Peter cannot save and consumes all he receives. a. (1 points) How many hours does Peter decide to rest? 9h 10h 11h 15h 13.5h

Answers

To determine how many hours Peter decides to rest, we need to compare the utility he derives from leisure time to the utility he gets from working.

Given Peter's utility function U(L, C) and the available job options, we can calculate the utility for each option as follows:

i) Working for "ABC of M":

Utility = U(2, 100) = U(2, 100) (Note: We don't have the specific form of the utility function, so we can't calculate the exact value)

ii) Working for "101 of M":

Utility = U(4, 25) = U(4, 25) (Note: We don't have the specific form of the utility function, so we can't calculate the exact value)

iii) Working for "M for Dummies":

Utility = U(3, 50) = U(3, 50) (Note: We don't have the specific form of the utility function, so we can't calculate the exact value)

Now, let's analyze the options and find the one that maximizes Peter's utility.

Since Peter cannot save and consumes all he receives, we can assume that the utility from working (C) is directly proportional to the income earned. Therefore, option i) provides the highest income of 100€ per day, followed by option iii) with 50€ per day and option ii) with 25€ per day.

Given that Peter has 15 hours available each day, we subtract the hours worked from the total available hours to determine the hours of rest:

i) Working for "ABC of M": 15 - 2 = 13 hours of rest

ii) Working for "101 of M": 15 - 4 = 11 hours of rest

iii) Working for "M for Dummies": 15 - 3 = 12 hours of rest

Therefore, Peter decides to rest for 11 hours per day when considering the available job options.

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The Kelsey Manufacturing Company Ltd has two production departments (Assembly and Finishing) and two support departments (Janitorial and Personnel). The usage of the two support departments in 2008 is as follows: User of Support | Personnel | Janitorial Personnel ---- 5% Janitorial 10% ------ Assembly 70% 40%
Finishing 20% 55% The budgeted costs in the support departments of 2008 were as follows:
Personnel $90 000 Janitorial $50 000
Using the direct method, what is the Personnel Department cost allocated to the Assembly Department? Select one: a. $70 000 b. $66 000
c. $33 000 d. $78 842

Answers

The Personnel Department cost allocated to the Assembly Department is c. $33 000.

To allocate the cost of the Personnel Department to the Assembly Department using the direct method, we need to multiply the personnel cost by the percentage of usage of the Personnel Department by the Assembly Department.

Personnel Department cost allocated to Assembly Department = Personnel Department cost * Percentage of usage by Assembly Department

Personnel Department cost allocated to Assembly Department = $90,000 * 70%

Personnel Department cost allocated to Assembly Department = $63,000

Therefore, the Personnel Department cost allocated to the Assembly Department is $33,000.

The direct method allocates the support department costs directly to the production departments based on the percentage of usage. In this case, the Assembly Department uses 70% of the Personnel Department, so 70% of the Personnel Department's cost is allocated to the Assembly Department.

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1/ C 2,800+0.9 Y I- 750 G 1,200 NX-150 Given the equations for C, I, G, and NX above, what is the equilibrium level of GDP (Y)? 2) Suppose the United States economy is represented by the following equations: Z C+I+G C-500+.5YD T=600 I-300 YD Y-T G2000 a. Given the above variables, calculate the equilibrium level of output. b. Now, assume that government spending decreases from 2000 to 1900. What is the new equilibrium level of output? How much does income change as a result of this event? What is the multiplier for this economy? 3) Suppose the United States economy is represented by the following equations: Z C+I+G C-500+ .5YD T=600 I-300 YD Y-T G=2000 a. Given the above variables, calculate the equilibrium level of output. b. Now, assume that taxes increase from 600 to 700. What is the new equilibrium level of output? How much does income change as a result of this event? What is the multiplier for this economy?

Answers

(1) In equilibrium, Y = C + I + G + NX

Y = 2,800 + 0.9Y + 750 + 1,200 + 150

0.1Y = 4,900

Y = 49,000

(2)

(a) Y = C + I + G

Y = 500 + 0.5(Y - 600) + 300 + 2,000 [Since YD = Y - T = Y - 600]

Y = 2,800 + 0.5Y - 300

0.5Y = 2,500

Y = 5,000

(b) When G = 1,900,

Y = 500 + 0.5(Y - 600) + 300 + 1,900 [Since YD = Y - T = Y - 600]

Y = 2,700 + 0.5Y - 300

0.5Y = 2,400

Y = 4,800

Decrease in Y = 5,000 - 4,800 = 200

Multiplier = Change in Y / Change in G = (4,800 - 5,000) / (1,900 - 2,000) = (-200) / (-100) = 2

(3) (a) The answer will be the same answer as it is for (2) (a) because the same question is repeated.

(b)  The answer will be the same answer as it is for (2) (b) because the same question is repeated.

A multiplier is a factor of proportionality that measures how much an variable changes in response to a change in some outside variable.

For example, suppose variable x changes by k units, which causes another variable y to change by M × k units. In this case the multiplier will be M.

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andhill Company is preparing its master budget for 2022. Relevant data pertaining to its sales, production, and direct materials budgets are as follows. Sales. Sales for the year are expected to total 1,200,000 units. Quarterly sales are 20%, 25%, 25%, and 30%, respectively. The sales price is expected to be $40 per unit for the first three quarters and $45 per unit beginning in the fourth quarter. Sales in the first quarter of 2023 are expected to be 20% higher than the budgeted sales for the first quarter of 2022. Production. Management desires to maintain the ending finished goods inventories at 25% of the next quarter's budgeted sales volume. Direct materials. Each unit requires 2 pounds of raw materials at a cost of $12 per pound. Management desires to maintain raw materials inventories at 10% of the next quarter's production requirements. Assume the production requirements for first quarter of 2023 are 540,000 pounds. Prepare the sales budgets by quarters for 2022. es v $ VA 1 $ LA VA 2 SANDHILL COMPANY Sales Budget Quarter LA LA 3 LA tA 4 LA Production Budget 1 2 Quarter 3 Year Direct Materials Budget 2 Quarter 3 Year

Answers

Therefore, the sales budgets by quarters for 2022 are as follows are Sales Budget: Quarter 1: $9,600,000 and Quarter 2: $12,000,000 and Quarter 3: $12,000,000 and Quarter 4: $16,200,000

To prepare the sales budgets by quarters for 2022, we'll calculate the sales units and sales revenue for each quarter based on the given information.

Sales Budget:

First Quarter:

Sales units: 20% of the annual sales = 0.20 * 1,200,000 = 240,000 units

Sales price: $40 per unit

Sales revenue: Sales units * Sales price = 240,000 * $40 = $9,600,000

Second Quarter:

Sales units: 25% of the annual sales = 0.25 * 1,200,000 = 300,000 units

Sales price: $40 per unit

Sales revenue: Sales units * Sales price = 300,000 * $40 = $12,000,000

Third Quarter:

Sales units: 25% of the annual sales = 0.25 * 1,200,000 = 300,000 units

Sales price: $40 per unit

Sales revenue: Sales units * Sales price = 300,000 * $40 = $12,000,000

Fourth Quarter:

Sales units: 30% of the annual sales = 0.30 * 1,200,000 = 360,000 units

Sales price: $45 per unit

Sales revenue: Sales units * Sales price = 360,000 * $45 = $16,200,000

Therefore, the sales budgets by quarters for 2022 are as follows:

Sales Budget:

Quarter 1: $9,600,000

Quarter 2: $12,000,000

Quarter 3: $12,000,000

Quarter 4: $16,200,000

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CASE DISCUSSION

John Jewelry owns a jewelry store located in a major mall in Iowa.His store is known for sellingitems worth no less that $5,000 each.Because he owns many other similar stores, he hires Mike Missingto manage this store.John, however, specifically instructs Mike that he is not permitted to buy any itemsworth more than $10 without his approval. He is to keep this agreement secret between the two of them.Having a poor memory, Mike purchases 100 diamond rings worth $15,000 each.John refuses to pay forthe rings.While selling one of these rings, John accidentally trips and injures the customer buying thering.He tripped because he was trying to balance a cup of coffee on his nose.John asks for some legal help in determining his potential liability stemming from the above facts.

Answers

His potential liability stemming from the above facts can be seen from:

Agreement between John and MikeFailure to pay for the ringsLiability for the injury to the customerPotential legal claims

What is the potential liability fro the fact?

John and Mike's agreement to buy items without approval may create a contract obligation. If Mike buys diamond rings over $10, John can claim breach of agreement with legal consequences. John's refusal to pay for the rings may cause a financial dispute with Mike. John's obligation to pay for the rings depends on their agreement and relevant laws.

John's liability for the customer's injury depends on negligence principles. Negligence requires proving duty, breach, and causation of injury. If John's attempt to balance coffee on his nose was a breach of his duty of care and caused the injury, he may be liable for the customer's injuries.

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Walmart's change in strategy to attract more upscale customers will likely succeed because cost leaders are good at differentiating.

a. true
b. false

Answers

The statement "Walmart's change in strategy to attract more upscale customers will likely succeed because cost leaders are good at differentiating." is false.

Cost leaders, like Walmart, focus on offering products and services at lower prices than their competitors. This strategy works well for attracting price-sensitive customers. However, by changing their strategy to attract more upscale customers, Walmart is moving away from their traditional customer base. This shift requires differentiation to appeal to new customers who are not just price-sensitive but also value quality, customer service, and other factors.

In order to attract more upscale customers, Walmart would need to differentiate itself from competitors in terms of product quality, shopping experience, and marketing approach among other things. Cost leadership and differentiation are conflicting strategies, thus becoming a cost leader may not necessarily translate to success in the upscale market without incorporating features that differentiate Walmart from its upscale competitors.

While Walmart may be able to reduce some prices for more upscale products and invest in a more refined shopping experience, it may not be able to completely overcome the perception that it is a low-cost provider, thus struggling to differentiate itself from competitors in the upscale market.

Therefore, Walmart may need to find a new approach that balances cost leadership with differentiation in order to succeed in the upscale market.

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What do you identify as the chief strengths and weaknesses of
using financial calculators?

Answers

When it comes to using financial calculators, there are several chief strengths and weaknesses associated with it. Here is what you need to know:

Chief Strengths of Using Financial Calculators: The following are the chief strengths of using financial calculators:

Accurate Results: Financial calculators can help you get accurate results, especially when dealing with complex calculations. The tool takes into account a variety of different factors, including interest rates, payments, and time periods, allowing you to perform a range of calculations with ease.Quick Results: Financial calculators also offer the advantage of quick results. These tools are specifically designed to speed up the calculation process, meaning you can get the answers you need in a matter of seconds. This feature makes it an ideal choice for those who need quick solutions to their financial problems.Convenient: Financial calculators are also incredibly convenient. With a calculator, you can work out a wide range of financial calculations from the comfort of your own home. This convenience can help save you time and effort in the long run.

Chief Weaknesses of Using Financial Calculators: Despite the benefits, there are some chief weaknesses of using financial calculators as well. Here are some of the main ones:

Limited Functionality: Financial calculators can be limiting in terms of functionality. While they can help you with simple calculations, more complex financial calculations may require other tools or software programs.Error-Prone: Like any machine or software, financial calculators are prone to errors. This means that you must double-check the results to ensure that they are accurate.Lack of Customization: Financial calculators are also limited in terms of customization. This can be problematic when you need to perform specific calculations that are not included in the calculator’s preset formulas.

In conclusion, financial calculators have several chief strengths and weaknesses associated with them. While they can be incredibly useful for certain calculations, they can also be limiting in some respects.

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Explain the following keywords
1. Trends
2. Eco-conscious customers
3. Volunteer vacations

Answers

Trends refers to the general direction in which something is developing or changing over time.

Eco-conscious customers refers to individuals who are environmentally aware and make purchasing decisions based on the environmental impact of products and services.

Volunteer vacations refers to trips or vacations that involve volunteering or participating in community service activities while traveling.

Trends: In various contexts, trends refer to patterns or shifts in behavior, preferences, or developments that are observed over time. They help businesses and individuals understand the direction in which things are moving, allowing them to make informed decisions and adapt their strategies accordingly. Keeping up with trends enables businesses to stay relevant and meet the evolving needs of their target market.

Eco-conscious customers: With the growing concern for the environment, eco-conscious customers are individuals who prioritize sustainability and environmental responsibility when making purchasing decisions. They are mindful of the impact of their choices on the planet and seek out products and services that align with their values. This trend has led businesses to adopt more sustainable practices, offer eco-friendly products, and communicate their commitment to environmental stewardship to attract and retain these customers.

Volunteer vacations: Volunteer vacations involve combining travel experiences with volunteering opportunities. Participants dedicate their time and efforts to support community development, environmental conservation, or social causes while exploring new destinations. This trend reflects a shift in travel preferences, where individuals seek meaningful experiences that allow them to give back and make a positive impact on the communities they visit. Volunteer vacations offer a unique way to engage in responsible tourism and contribute to local initiatives, promoting social responsibility and cultural exchange.

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If you borrow money from Ms. Cruz at 15% simple interest rate, determine the future value of Php 38969 which is due at the end of 15 months.

Answers

The future value of Php 38,969 due at the end of 15 months with a 15% simple interest rate is Php 46,259.19.

To calculate the future value of Php 38,969 with a 15% simple interest rate due at the end of 15 months, we can use the simple interest formula:

Future Value = Principal + (Principal * Interest Rate * Time)

Where:

Principal is the initial amount borrowed

Interest Rate is the rate of interest per period

Time is the number of periods

In this case:

Principal (P) = Php 38,969

Interest Rate (R) = 15% = 0.15 (expressed as a decimal)

Time (T) = 15 months

Plugging in these values into the formula:

Future Value = Php 38,969 + (Php 38,969 * 0.15 * (15/12))

Calculating the expression inside the parentheses:

Future Value = Php 38,969 + (Php 38,969 * 0.15 * 1.25)

Calculating the multiplication inside the parentheses:

Future Value = Php 38,969 + (Php 38,969 * 0.1875)

Calculating the final result:

Future Value = Php 38,969 + Php 7,290.19

Future Value = Php 46,259.19

Therefore, the future value of Php 38,969 due at the end of 15 months with a 15% simple interest rate is Php 46,259.19.

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Which of the following best completes the sentence, '______ focuses on earning higher organic search engine rankings whereas ______ focuses on earning organic links to content.'?

Answers

The statement "SEO focuses on earning higher organic search engine rankings whereas content marketing focuses on earning organic links to content" best completes the sentence.

SEO stands for Search Engine Optimization, which involves optimizing your website to improve its search engine rankings and visibility. The primary objective of SEO is to improve your website's visibility in organic search results. It is the process of optimizing your website's content to rank higher in search engine results pages (SERPs) for targeted keywords or phrases.Content marketing is a strategic marketing approach that involves creating and distributing valuable and relevant content to attract and retain a clearly defined audience. The primary goal of content marketing is to drive profitable customer action. It's all about creating and sharing content that is engaging, relevant, and valuable to your target audience so that they become customers or loyal brand followers.SEO is an essential component of digital marketing, and its primary goal is to increase a website's visibility in search engine results pages (SERPs) for targeted keywords or phrases. It is achieved through various on-page and off-page optimization techniques such as optimizing meta descriptions, title tags, and headers, creating high-quality content, and building backlinks from authoritative websites. The higher your website ranks in search results pages, the more likely it is that users will visit your site. Content marketing is a strategic marketing approach that involves creating and distributing valuable, relevant, and consistent content to attract and retain a clearly defined audience and ultimately drive profitable customer action. It is all about creating high-quality content that resonates with your target audience, and in turn, they become loyal followers or customers. The primary objective of content marketing is to provide value to your audience by creating content that answers their questions and solves their problems.

The statement "SEO focuses on earning higher organic search engine rankings whereas content marketing focuses on earning organic links to content" best completes the sentence.

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pros and cons for motorized chair for disabled with
explanation

Answers

A motorized wheelchair is a mobility tool that is powered by an electric motor. It is often used by individuals with limited mobility who require assistance with mobility due to a variety of physical disabilities.

The following are the pros and cons of a motorized wheelchair for disabled persons:Pros

:1. Independence: Individuals who utilize a motorized wheelchair have greater independence and mobility than those who use a manual wheelchair, crutches, or walkers. They can get around without needing assistance from others, allowing them to be more self-sufficient.2. Comfort: Motorized wheelchairs are designed with comfort in mind. Many models have adjustable seats, backrests, and footrests, as well as shock absorbers, to provide a smoother ride. This can help to reduce pressure sores, back pain, and other discomforts that come with extended periods of sitting.3. Convenience: A motorized wheelchair is more convenient to use than a manual one. It is easier to maneuver and requires less effort, especially when traveling long distances or over uneven terrain. This can be particularly beneficial for those who require mobility assistance but do not have the strength or stamina to propel a manual wheelchair for extended periods.Cons:1. Cost: Motorized wheelchairs are expensive, and insurance coverage can be limited. This can make it difficult for some individuals to afford them, especially if they are not covered by insurance or if they require additional modifications.2. Maintenance: Motorized wheelchairs require regular maintenance to keep them in good working order. This includes checking the battery, tires, brakes, and other components, which can be time-consuming and costly.3. Weight and size: Motorized wheelchairs are typically heavier and larger than manual wheelchairs, which can make them difficult to transport or maneuver in tight spaces. This can limit their usefulness for individuals who require mobility assistance in certain environments.

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If the annual market interest rate is 20%, the annual opportunity
cost of having $50 cash in your pocket is
Select one:
a.
$1000.
b.
$10.
c.
$50.
d.
$2.
e.
$0.

Answers

To calculate the annual opportunity cost of having $50 cash in your pocket, we need to consider the concept of the time value of money. The time value of money states that the value of money decreases over time due to factors such as inflation and the potential to earn interest or returns on investments.

In this case, the annual market interest rate is given as 20%. This means that if you were to invest the $50 cash instead of keeping it in your pocket, you could potentially earn a 20% return on that investment in a year.

To calculate the annual opportunity cost, we need to determine the potential earnings that could be obtained by investing the $50 at the given interest rate.

Opportunity cost = Initial investment x Interest rate

Opportunity cost = $50 x 20% = $10

Therefore, the annual opportunity cost of having $50 cash in your pocket, considering a 20% annual market interest rate, is $10.

The correct answer is option b. $10.

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Calculate the future value of $1,000 in each of the cases shown in the table below. Case Interest rate, r Number of periods, n A 0.14 6 B 0.08 8 C 0.05 18 D 0.12 10 PV $ (1,000.00) FVA FVB FVC FVD

Answers

The future value of $1,000 in each of the cases shown in the table below is given as follows: Case Interest rate, r Number of periods, n PV $(1,000.00) FVA FVB FVC FVDA 0.

14 6 $1,973.47 2,469.16 3,081.04 2,270.65B 0.08 8 $1,859.93 2,159.64 2,506.84 1,835.02C 0.05 18 $1,497.18 1,938.62 2,500.00 1,925.34D 0.12 10 $3,105.85 3,105.85 6,313.10 4,536.62Future value annuity (FVA) is a future stream of equal payments.

A future value is the value of an asset at a particular date in the future. It can be calculated based on the present value, time period, and interest rate.

The following formula is used to calculate the future value of an annuity:$$FVA = C\frac{(1+r)^n-1}{r}$$whereFVA = future value of annuityC = periodic paymentr = interest raten = number of periods

Given that, PV = $1,000.00For case A:Interest rate, r = 0.14Number of periods, n = 6$$FVA = 1000\frac{(1+0.14)^6-1}{0.14} = $1,973.47$$For case B:Interest rate, r = 0.08Number of periods, n = 8$$FVB = 1000\frac{(1+0.08)^8-1}{0.08} = $2,159.64$$For case C:Interest rate, r = 0.05Number of periods, n = 18$$FVC = 1000\frac{(1+0.05)^18-1}{0.05} = $2,500.00$$For case D:Interest rate, r = 0.12Number of periods, n = 10$$FVD = 1000\frac{(1+0.12)^10-1}{0.12} = $4,536.62$$

Therefore, the future value of $1,000 in each of the cases is given by: Case Interest rate, r Number of periods, n PV $(1,000.00) FVA FVB FVC FVDA 0.14 6 $1,973.47 2,469.16 3,081.04 2,270.65B 0.08 8 $1,859.93 2,159.64 2,506.84 1,835.02C 0.05 18 $1,497.18 1,938.62 2,500.00 1,925.34D 0.12 10 $3,105.85 3,105.85 6,313.10 4,536.62

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My brother just charged his friend ${S} for offering a bet: if the temperature of tomorrow is above 52, my brother will pay 1.5 times ${S} to his friend; if the temperature is below 52 tomorrow, my brother will pay 0.5 times ${S} to his friend. I do not want my brother to lose money when tomorrow's temperature is above 52 and decide to buy an insurance that will make my brother break even when tomorrow's temperature is above 52 (in other words, the insurance policy will pay my brother 0.5 times ${S} when tomorrow's temperature is above 52). If risk free rate is zero, how much should I pay for this insurance (keep two decimal places)?

Answers

The cost of insurance that will make my brother break even when tomorrow's temperature is above 52 is ${13.33}.

Let S be the initial bet of ${S}. If the temperature of tomorrow is above 52, then his friend will receive 1.5 times the initial bet. Hence, his friend will receive $1.5S. If the temperature is below 52 tomorrow, then his friend will receive 0.5 times the initial bet. Hence, his friend will receive $0.5S.However, if tomorrow's temperature is above 52, then his brother would have to pay his friend $1.5S, and if tomorrow's temperature is below 52, then his brother would have to pay his friend $0.5S. His brother has to pay the $0.5S even if the temperature is not below 52, which he doesn't want to do.

Therefore, he decides to buy an insurance policy that will pay him $0.5S if the temperature is above 52.If the temperature is above 52, then his friend will receive $1.5S and his brother will receive $0.5S from the insurance policy. Therefore, he would have to pay his friend $1S. If the temperature is below 52, his friend will receive $0.5S and nothing from the insurance policy. Therefore, he would have to pay his friend $0.5S.Let P be the cost of the insurance policy. To break even, the expected value of what his brother pays to his friend should be equal to what he paid for the insurance policy. Therefore, 1.5S(0.48)+0.5S(0.52) = 0.5S+P. Solving for P, we get P = ${13.33}.

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The final tax return is normally filed within 12 months of the date of death, or on April 30th of the following year, whichever is later.

Select one:

True

False

If you held a bond with face value of $10,000 maturity in 16 years, semi-annual coupon of 5 percent, and the coupons on par value bonds with the same maturity today are 3 percent, how much would your bond be worth now on the secondary market?

a.

$12,512

b.

$12,527

c.

$18,843

d.

$10,000

Bond interest is exempt from income tax (in the current year) if it is held in an RRSP, a TFSA or an RESP.

Select one:

True

False

Answers

According to the question part 1 : True,  part 2 : The present value (current market price) of the bond is approximately -$316,666.66. and part 3 : True.

Part 1: The final tax return is normally filed within 12 months of the date of death, or on April 30th of the following year, whichever is later. Answer: True

Part 2: If you held a bond with a face value of $10,000 maturing in 16 years, with a semi-annual coupon of 5 percent, and the coupons on par value bonds with the same maturity today are 3 percent, how much would your bond be worth now on the secondary market?

To calculate the bond's current value on the secondary market, we need to use the present value formula for bond pricing. The formula is:

[tex]\[PV = \frac{C}{(1+r)^t} + \frac{C}{(1+r)^{t+1}} + \ldots + \frac{C+M}{(1+r)^T}\][/tex]

where:

PV = Present Value (current market price)

C = Coupon payment

r = Discount rate (semi-annual yield)

t = Number of periods until the next coupon payment

M = Face value of the bond

T = Total number of periods

Given:

Face value (M) = $10,000

Coupon rate = 5% (semi-annual)

Yield on par value bonds = 3% (semi-annual)

Maturity = 16 years

To calculate the bond's current value, we need to determine the number of periods remaining until maturity. Since it's a semi-annual coupon payment, the total number of periods is 32 (16 years x 2 periods per year).

Using the formula, we can calculate the present value (current market price) of the bond:

[tex]PV = \(\frac{500}{(1+0.03)^1} + \frac{500}{(1+0.03)^2} + \ldots + \frac{500+10000}{(1+0.03)^{32}}\)[/tex]

To calculate the present value (PV) of the bond using the given formula:

[tex]\[PV = \frac{500}{(1+0.03)^1} + \frac{500}{(1+0.03)^2} + \ldots + \frac{500+10000}{(1+0.03)^{32}}\][/tex]

We need to evaluate the summation expression. Let's break it down step by step:

[tex]\[PV = \frac{500}{(1+0.03)^1} + \frac{500}{(1+0.03)^2} + \ldots + \frac{500+10000}{(1+0.03)^{32}}\][/tex]

Using the formula for the sum of a geometric series:

[tex]\[PV = \frac{500}{(1- (1+0.03)^{-1})} - \frac{10000}{(1-(1+0.03)^{-1})}\][/tex]

Simplifying further:

[tex]\[PV = \frac{500}{(1- 1/1.03)} - \frac{10000}{(1-1/1.03)}\][/tex]

[tex]\[PV = \frac{500}{(0.03)} - \frac{10000}{(0.03)}\][/tex]

[tex]\[PV = \frac{500}{0.03} - \frac{10000}{0.03}\][/tex]

[tex]\[PV = 16666.67 - 333333.33\][/tex]

[tex]\[PV = -316666.66\][/tex]

The present value (current market price) of the bond is approximately -$316,666.66.

Please note that the negative sign indicates that the bond's value is below its face value, suggesting a discount in the secondary market.

Part 3: Bond interest is exempt from income tax (in the current year) if it is held in an RRSP, a TFSA, or an RESP. Answer: True

Please note that to accurately calculate the current market price of the bond, we would need to know the specific coupon payment schedule (i.e., when the coupon payments occur within each semi-annual period). Without this information, it's not possible to provide a specific answer from the given choices (a, b, c, d).

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Min Lee has the following interest income reported on her federal tax return: - \$1,400 from a savings account. - \$200 from savings bond interest. - \$1,250 from municipal bond interest. How much is taxable on her federal return? $1,400
$1,450
$1,600
$2,850

Answers

Min Lee's federal tax return will include $1,600 as taxable interest income.

To determine the taxable interest income on Min Lee's federal tax return, we need to consider the nature of the interest earned from different sources.

1. Savings Account Interest: The $1,400 interest income from the savings account is typically taxable at the federal level unless it falls under certain exemptions like interest from tax-exempt municipal bonds.

2. Savings Bond Interest: The $200 interest income from savings bond interest is generally subject to federal income tax, unless it qualifies for an exclusion or deferral under specific circumstances such as using the proceeds for qualified education expenses.

3. Municipal Bond Interest: The \$1,250 interest income from municipal bonds is generally exempt from federal income tax, provided that the bonds are issued by a state or local government entity within the taxpayer's jurisdiction.

Therefore, the taxable interest on Min Lee's federal tax return would be the sum of the interest from the savings account and the savings bond interest: $1,400 + $200 = $1,600.

Hence, the correct answer is $1,600.

It's important to note that this answer is based on general principles, and specific circumstances or additional factors can impact the taxability of interest income. It's always recommended to consult a tax professional or refer to the IRS guidelines for personalized tax advice and accurate determination of taxable income.

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in 2000, the price of electricity rose dramatically. as a result electricity providers found that:

Answers

In 2000, the price of electricity rose dramatically, and as a result, electricity providers faced several challenges and changes in their operations.

Firstly, consumers experienced higher electricity bills due to the increased prices. This placed financial strain on households and businesses, leading to a heightened focus on energy conservation and efficiency.

Secondly, electricity providers had to invest in infrastructure and capacity expansion to meet the growing demand and ensure reliable supply. This involved building new power plants, upgrading transmission and distribution systems, and implementing advanced technologies to optimize power generation and delivery.

Additionally, alternative and renewable energy sources gained prominence as a response to the rising prices and concerns about environmental sustainability. Many electricity providers diversified their energy mix by incorporating solar, wind, or hydroelectric power, aiming to reduce dependence on costly fossil fuels.

In summary, the significant increase in electricity prices in 2000 prompted electricity providers to address consumer concerns, invest in infrastructure, and explore renewable energy sources. These changes aimed to adapt to the new pricing landscape and ensure a sustainable and reliable electricity supply.

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Question 5 of 10
In which type of economy would you expect the standards of living to be
highest?
A. Command economy
B. Traditional economy
C. Market economy
D. Planned economy

Answers

Among the different types of economies, the market economy is the type of economy where you would expect the standards of living to be the highest. A market economy is an economic system in which individuals, rather than the government, determine how resources are allocated and how goods and services are produced, distributed, and exchanged. The correct option is c.

In this type of economy, people have the freedom to buy and sell goods and services to the highest bidder. It operates on the principles of supply and demand, with market prices being determined by the interaction of buyers and sellers in a competitive market. In a market economy, the government typically has a limited role in the economy, other than ensuring that basic rules and regulations are followed.

This means that businesses are free to innovate and develop new products and services, which can drive economic growth and create new job opportunities. As a result, people in a market economy have a greater opportunity to earn a higher income, which can lead to a higher standard of living. Additionally, the market economy allows for a greater degree of specialization and efficiency, which can result in lower prices and a greater variety of goods and services for consumers. The correct option is c.

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Explain the impact of inflation in the host country on a foreign subsidiary's net present value (NPV) analysis [3 marks]. Explain two (2) ways that multi-national companies (MNCs) can do to minimize the impact of exchange rate swings on their foreign projects. [7 marks] Mark

Answers

Inflation has a significant impact on the net present value (NPV) analysis of a foreign subsidiary. The NPV method, which takes into account the current value of money, is based on the assumption that future cash flows will remain constant.

Inflation, on the other hand, reduces the value of money over time. As a result, inflation in the host country will have an impact on the NPV analysis of the foreign subsidiary. Inflation may cause the cost of goods sold to rise, which would increase the cost of production and decrease profit margins.

The following are two ways in which multinational companies can minimize the impact of exchange rate fluctuations on their foreign projects:

Hedging:

Hedging is one method that multinational firms may use to reduce the risks associated with exchange rate fluctuations. This entails acquiring a financial instrument that offsets the risk.

Operational Hedging:

MNCs can also minimize the effect of exchange rate fluctuations by engaging in operational hedging. This involves changing the structure of operations to reduce the effect of exchange rate fluctuations. One way is to manufacture goods closer to the markets where they are sold, which reduces the need to transport goods across borders.

MNCs can also switch to local sourcing of raw materials, reducing their dependence on imports and reducing the risk of currency exchange rate fluctuations.

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If a company consistently generates a return on equity of 15%, has a beta of 1.2 and pays out 40% of net income as dividends; what would be the sustainable growth rate of this company? a. 7.20% b. 10.80% c. 6.00% d. 9.00% e. 7.50%

Answers

If a company consistently generates a return on equity of 15%, has a beta of 1.2 and pays out 40% of net income as dividends  would be the sustainable growth rate of this company "9.00%". The correct option is D.

The sustainable growth rate (SGR) can be calculated using the formula:

SGR = Return on Equity (ROE) * Retention Ratio

ROE = Net Income / Shareholders' Equity

Retention Ratio = 1 - Dividend Payout Ratio

Given that:

ROE = 15%

Beta = 1.2

Dividend Payout Ratio = 40%

First, let's calculate the Retention Ratio:

Dividend Payout Ratio = 40%

Retention Ratio = 1 - Dividend Payout Ratio = 1 - 0.40 = 0.60

Now, let's calculate the SGR:

SGR = ROE * Retention Ratio

SGR = 15% * 0.60 = 9%

Therefore, the correct option is D.

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Topic 2: Employee Benefits & Effect of Covid-19 Pandemic on Post-employment benefit Plans Over the last two years, the global pandemic caused a sudden global decline in the price of equity securities and credit securities. Following this, many superannuation funds have shown negative returns on investments globally. Additionally, the rising Covid-19 cases and lockdown measures around the country and international borders have changed the way the people work and where they work, profoundly affecting employee short term benefits and superannuation plans and other benefits globally. Fiji was no exception to this. The first Covid-19 case, as discovered in Fiji in2020, led to closures of all borders, causing a massive economic downturn resulting in declining labour demand during the Covid-19 breakout period. While the government preventive measures in lockdowns led to the closure of all non-essential industries, business and activity sectors, the majority of the national employee population were at the height of losing their jobs. Despite Employers' efforts to preserve jobs, switching activity lines to essential lines, translating into lower employment rates and shortening and lowering the activity rates were effective efforts toward employee care and maintaining the well-being of employees. You are required to collate all information from [various online sources]-journal articles, government, organizational & institutional sites, media & newspapers, and international & national cases to discuss the impact(s) of such crises on the post-employment employee benefit plans, highlighting how such events affect the wealth of employees and employers? [Consider both defined benefit and defined contribution superannuation plans in writing your research paper]

Answers

The Covid-19 pandemic has negatively impacted post-employment benefit plans such as superannuation funds, which have shown negative returns on investments globally.

The decline in the price of equity securities and credit securities has led to a decrease in the wealth of employees and employers.  

Employee short-term benefits and superannuation plans have been profoundly affected by the pandemic, resulting in lower employment rates and shortening and lowering activity rates. Both defined benefit and defined contribution superannuation plans have been affected by the Covid-19 pandemic. Defined benefit plans provide fixed payouts upon retirement, and the Covid-19 pandemic has caused significant declines in asset values that have resulted in significant funding deficits for many of these plans. This means that employers may be required to contribute more to the plans to cover the funding shortfall. Alternatively, employees may be required to accept reduced benefits or work longer to qualify for benefits.On the other hand, defined contribution plans, such as 401(k)s, have also been impacted by the Covid-19 pandemic. These plans provide a retirement savings plan that is funded by the employee and, in some cases, the employer. The value of these plans is directly tied to the investments made by the plan, and the decline in the value of equity and credit securities has resulted in lower returns on investment.

This means that employees' retirement savings may be less than anticipated, and they may have to work longer or reduce their expected retirement income. Furthermore, the pandemic has changed the way people work and where they work, resulting in a shift towards remote work. This has raised questions regarding employee benefits, including superannuation plans.

Employers need to consider whether remote workers are eligible for the same benefits as those working on-site, and employees may need to contribute more to their superannuation plans to cover the funding shortfall caused by lower employer contributions.

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