Develop a list of some possible entities and attributes located
in the database
and assess how is using BI to identify trends and
change associated business process.

Answers

Answer 1

Possible entities and attributes located in the database include the following: Entities: Customers Orders Products Suppliers Employees Sales Teams Inventory Attributes: Customer attributes such as name, address, email, phone number, purchase history, and loyalty status.

Order attributes such as order number, date, customer ID, product ID, quantity, and price. Product attributes such as name, description, SKU, price, and quantity. Supplier attributes such as name, address, contact person, and phone number. Employee attributes such as name, position, department, salary, and performance.

Sales team attributes such as name, manager, performance, and target. Inventory attributes such as product ID, quantity, location, and status. Using Business Intelligence (BI) to identify trends and change associated business process can help the organization gain insight into customer preferences, market trends, and operational inefficiencies.

By analyzing data from various sources such as sales transactions, customer feedback, and supply chain logistics, BI can help the organization identify opportunities for growth, streamline operations, and improve customer satisfaction.

For example, BI can help identify trends in product sales and customer behavior that can inform product development, marketing campaigns, and pricing strategies. It can also help identify inefficiencies in the supply chain that can be addressed through process improvement and supplier management.

Overall, BI can help the organization make data-driven decisions that support its strategic goals and improve its performance.

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Related Questions

​(Yield to​ maturity) A​ bond's market price is
​$750.
It has a
​$1,000
par​ value, will mature in
6
​years, and has a coupon interest rate of
9
percent annual​ interest, but makes its interest payments semiannually. What is the​ bond's yield to​ maturity? What happens to the​ bond's yield to maturity if the bond matures in
12
​years? What if it matures in
3
​years?

Answers

The yield to maturity of the bond is found to be 12.10%.

If the bond matures in 12 years, then the yield to maturity would decrease due to the higher time period, and

if the bond matures in 3 years, then the yield to maturity would increase due to the lower time period.

Given data:

The market price of a bond is $750

Par value of the bond is $1,000

Coupon interest rate is 9%

Annual interest is semiannual Maturity of bond is 6 years

Yield to maturity is calculated as PV = (INT / (1 + YTM/2)^t) + (INT / (1 + YTM/2)^(t+1)) + .... + (INT + PAR / (1 + YTM/2)^(t+n))

where

PV = price of the bond

INT = interest received in each period

YTM = yield to maturity

t = the time period

n = the number of periods until maturity

PAR = par value of a bond

In this case, we can use the above equation to calculate yield to maturity of bond:750 = (45 / (1 + YTM/2)^1) + (45 / (1 + YTM/2)^2) + (45 / (1 + YTM/2)^3) + (45 / (1 + YTM/2)^4) + (45 / (1 + YTM/2)^5) + (1045 / (1 + YTM/2)^6)

By using a financial calculator, the yield to maturity of the bond is found to be 12.10%.

If the bond matures in 12 years, then the yield to maturity would decrease due to the higher time period, and if the bond matures in 3 years, then the yield to maturity would increase due to the lower time period.

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The relationships between demand and supply of the Olympios Dollar and the exchange rate with the Terranian Credit are given by the following functions: E = 8.75 -0.03D$ E = 0.02S$3.50 where: E = Exchange rate: = price of Olympios dollar (Terranian credits / Olympios dollars) Ds index of demand for Olympios dollar S$ = index of supply of Olympios dollar. a) i) Determine the exchange rate that would prevail under a clean float. ii) Explain what this exchange rate would mean for the balance of payments of Olympios. [3 marks] b) The government of Olympios elects instead to fix the exchange rate with the Terranian credit at E=1.5 credits per dollar. i) Describe what actions the central bank will need to take in the short run to maintain this exchange rate, and the state of the balance of payments. ii) Explain what measures would be required if the government wishes to maintain this exchange rate in the long run.

Answers

a) i) The exchange rate that would prevail under a clean float is 2.5 - 0.0058S$^(3.5).

  ii) The exchange rate obtained from the equation in part (i) represents the equilibrium rate determined by market forces.

b) i)  In the short run, the central bank will need buy or sell its own currency to maintain this fixed exchange rate:

  ii) To maintain the fixed exchange rate in the long run, the government would need to take additional measures such as: Fiscal and monetary policies, reserves management, and exchange controls.

a) i) The exchange rate that would prevail under a clean float is obtained by equating the supply and demand functions as follows:

0.02S = 8.75 - 0.03D$

0.03D + 0.02S = 8.75

D = 291.67 - 0.67S$^(3.5)

Exchange rate E = 8.75 - 0.03 (291.67 - 0.67S$^(3.5)) / S$3.5

                        E = 8.75 - 8.75 + 0.02 (291.67 - 0.67S$^(3.5)) / S$^(3.5)

                        E = 0.583 (291.67 - 0.67S^$(3.5)) / S^$(3.5)

                       E = 2.5 - 0.0058S$^(3.5)

ii) This exchange rate of 2.5 - 0.0058S$^(3.5) means that the Olympios dollar is strengthening against the Terranian credit, implying that it is appreciating. The balance of payments of Olympios will indicate a surplus because of the appreciating Olympios dollar, leading to an increase in exports and a decrease in imports, which would result in a current account surplus.

b) i)In order to maintain this fixed exchange rate, the central bank will need to carry out the following actions in the short run:

Buy Terranian credits from the market, which will increase the demand for the Terranian credit, thereby raising its price, and Sell Olympios dollars in the market, thereby increasing its supply and lowering its priceThe balance of payments will show a deficit.

ii) In the long run, in order to maintain this fixed exchange rate, the government of Olympios will have to implement certain measures, such as:

Ensure that there is a balance between the demand and supply of foreign currency, which will help in the maintenance of the exchange rate.Limit its imports to reduce the demand for Terranian credit and, by extension, the supply of Olympios dollars by reducing the demand for foreign goods.Raise interest rates to make investments more attractive, which would lead to an inflow of foreign capital, increasing the demand for Olympios dollars.

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should be used to measure the accuracy of a forecast in a case in which the penalty for being a little wrong may be small, but increases severely after a certain point. O MAD O MBA O MSE O MAPE

Answers

In a case where the penalty for being a little wrong may be small initially but increases severely after a certain point, the most appropriate measure to assess the accuracy of a forecast would be the Mean Absolute Percentage Error (MAPE).

MAPE calculates the average percentage difference between the forecasted values and the actual values. This measure is suitable in situations where proportional accuracy is more important than absolute accuracy.

By using MAPE, the penalty for being a little wrong is captured through the percentage difference. If the forecast deviates slightly, the resulting error is represented as a percentage, allowing for a better understanding of the relative impact. As the deviation increases beyond a certain point, the percentage error also increases, reflecting the severity of the penalty.

In contrast, other measures such as Mean Absolute Deviation (MAD), Mean Squared Error (MSE), or Mean Biased Accuracy (MBA) do not explicitly consider the proportional aspect of the error. These measures may not adequately reflect the increasing penalty for larger errors in the given case, making MAPE the most suitable choice.

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Toggle Ltd has engaged you to assist with assessing the impact of a few equity-related transactions it undertook in the financi to June 30, 2021. At the end of its first quarter, the entity declared and paid dividends of four cents per share. Shortly after this dividend declara on November 1, 2021, it undertook a rights issue of two shares for every five held, at $1.15 per share. This was followed three months later by a bonus issue of one share for every seven held. The entity's policy in relation to equity restructuring is to prese retained earnings insofar as is possible. Profit for the year amounted to $17.5 million. At the start of the financial year, it had a bank balance of $31 million, trade receiva of $19 million, PPE of $414.5 million, intangibles of $48 million, and trade payables of $73 million. Its retained earning balance w $78 million, while its share capital, which comprised solely of ordinary shares with a par value of $0.80 each, amounted to $344 million. REQUIRED: • Prepare the journal entries for each of the three adjusting transactions outlined above, supported with the necessary workings. You are required to show the number of shares in issue before each transaction takes place. h • Prepare the statement of financial position at the year end, reflecting all adjustments made. You are required to show the workings or breakdown for any composite figures included.

Answers

Journal Entries for Adjusting Transactions: After the first quarter ended, Toggle Ltd. paid dividends of 4 cents per share. Dividends are regarded as a distribution of profits to the company's shareholders, and as a result, there is a reduction in the retained earnings of the company.

The following is the journal entry: Dividend: 4,400,000(Dr)Retained Earnings: 4,400,000(Cr)After the dividend declaration, Toggle Ltd. launched a rights issue of two shares for every five held at $1.15 per share. As a result of this transaction, the company has received more cash from its shareholders, resulting in an increase in the share capital. The following is the journal entry: Debit Cash: $139,600,000Debit Share Issue Expenses: $1,304,000Credit Share Capital (2/5 * 450,000,000): $180,000,000Credit Share Premium (0.80 + 1.15 - 0.80): $33,504,000Total Credit: $213,504,000Three months later, the company declared a bonus issue of one share for every seven held.

As a result of this transaction, the company has issued more shares, and no cash has been received.

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One problem with fiat money (paper money), as compared to commodity money (gold or silver), is that: a there is frequently too little fiat money available. b more resources are used to create fiat money. c imperfect as a unit of account. d there is a greater potential for inflation with fiat money.

Answers

One problem with fiat money (paper money) compared to commodity money (gold or silver) is that there is a greater potential for inflation with fiat money.

Fiat money derives its value from government decree and does not have any intrinsic value like gold or silver. This means that the supply of fiat money can be easily manipulated by the government or central bank, leading to an increased risk of inflation. When there is an excessive creation of fiat money, it can result in an oversupply of currency in circulation, leading to a decrease in its value and a rise in prices. This is because the increased money supply dilutes the purchasing power of each unit of currency, causing inflationary pressures on the economy.

In contrast, commodity money like gold or silver has limited supply and requires significant resources to extract and produce. This inherent scarcity acts as a natural constraint on the expansion of the money supply, reducing the risk of inflation. Additionally, commodity money often holds its value over time due to its inherent properties, making it a more stable unit of account compared to fiat money.

In summary, one drawback of fiat money is the greater potential for inflation compared to commodity money. The government's ability to manipulate the supply of fiat money can lead to an oversupply, devaluing the currency and causing rising prices. Commodity money, on the other hand, benefits from its limited supply and intrinsic value, providing more stability and a reliable unit of account.

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Which step in the four-step model of ethical decision making do you think leads to most unethical actions? Explain your reasoning.

Answers

Step 3 in the four-step model of ethical decision-making is the one that leads to most unethical actions.

Ethics can be defined as the moral principles that govern a person's behavior or the conduct of an activity. Ethical decision-making is a crucial component of any professional field or industry. The four-step model of ethical decision-making is as follows:Identify the problemGather information and evaluate alternatives Make a decision and test itAct and reflect on the outcome of these four steps, Step 3 - "Make a decision and test it" is the one that leads to most unethical actions.

This is because in this step, individuals are required to evaluate and choose from a set of alternatives, which can be influenced by personal biases, emotions, and situational factors. Sometimes, individuals may choose a decision that may not be the best one but it's the most convenient or easy to implement.In some situations, individuals may choose the decision that benefits them or their company, even if it's at the expense of others or violates ethical principles. In other cases, individuals may fail to recognize the ethical implications of their decision, resulting in an unethical action. Thus, Step 3 is crucial in ethical decision-making, and if not taken seriously, it can lead to ethical violations or actions.

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A country uses its one resource - labor - to produce just one good, hot dog buns. The country has 5 million workers, and each of them can produce ten hot dog buns per day. In this economy, what is productivity equal to? 50 million hot dog buns per day. O 500,000 hot dog buns per day. O 5 million workers per day. ten hot dog buns per worker per day.

Answers

Productivity is equal to ten hot dog buns per worker per day.

Productivity is a measure of the output produced per unit of input. In this case, the input is labor, and the output is hot dog buns. The given information states that each worker can produce ten hot dog buns per day.

To calculate productivity, we divide the total output (hot dog buns) by the total input (workers). In this scenario, there are 5 million workers, and each worker produces ten hot dog buns per day. Therefore, the total output of hot dog buns is:

5 million workers * 10 hot dog buns per worker per day = 50 million hot dog buns per day.

To find productivity, we divide the total output (50 million hot dog buns) by the total input (5 million workers):

Productivity = Total output / Total input

           = 50 million hot dog buns / 5 million workers

           = 10 hot dog buns per worker per day.

Hence, the productivity in this economy is equal to ten hot dog buns per worker per day. This indicates the efficiency and effectiveness with which the labor resource is utilized to produce hot dog buns.

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The Elon Firm (which has a value $379 million) is considering acquiring The Electric Firm (which has a value $164 million) by paying $294 million for all of its assets. The Elon Firm's valuation of the new, more profitable, firm that would be created is that it will be worth $784 million.

The synergy expected from the merger of The Elon Firm and The Electric Firm equals $ ____ million. Put the answer in millions but without "000,000" and without "$". For example, if you got $12,000,000 then simply type 12

Answers

The synergy expected from the merger of The Elon Firm and The Electric Firm equals $221 million.

What is the synergy? Synergy refers to the enhanced performance of two or more companies or organizations combined. Synergy is the resulting increased value that results from the acquisition, merger, or combination of two or more organizations.

It is an important factor in mergers and acquisitions since it may create a combined entity that is more than the sum of its parts.

Therefore, the synergy expected from the merger of The Elon Firm and The Electric Firm equals $221 million.

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Hector needs $12,000 in 9 years. (a) What amount should he deposit at the end of each quarter at 7% compounded quarterly so that he will have his $12,000? (b) Find Hector's quarterly deposit if the money is deposited at 4% compounded quarterly.

Answers

If the money is deposited at a 4% interest rate compounded quarterly, Hector needs to deposit approximately $159.23 at the end of each quarter to accumulate $12,000 in 9 years.

(a) Hector needs to deposit a certain amount at the end of each quarter to accumulate $12,000 in 9 years with a 7% interest rate compounded quarterly. The amount he should deposit is approximately $140.76.

To calculate the quarterly deposit, we can use the formula for the future value of an ordinary annuity:

FV = P * ((1 + r)^n - 1) / r

Where FV is the desired future value, P is the quarterly deposit, r is the interest rate per period, and n is the number of periods.

In this case, FV is $12,000, r is 7% per quarter (or 0.07), and n is 9 years multiplied by 4 quarters per year, which equals 36 quarters.

By substituting these values into the formula, we can solve for P:

$12,000 = P * ((1 + 0.07)^36 - 1) / 0.07

Simplifying the equation gives:

P ≈ $140.76

Therefore, Hector needs to deposit approximately $140.76 at the end of each quarter to accumulate $12,000 in 9 years with a 7% interest rate compounded quarterly.

(b) If the money is deposited at a 4% interest rate compounded quarterly, the amount Hector needs to deposit at the end of each quarter to reach $12,000 in 9 years would be approximately $159.23.

Using the same formula as before, with a few modifications:

FV = P * ((1 + r)^n - 1) / r

Now, FV is still $12,000, r is 4% per quarter (or 0.04), and n remains 9 years multiplied by 4 quarters per year, which equals 36 quarters.

Plugging in these values into the formula, we can solve for P:

$12,000 = P * ((1 + 0.04)^36 - 1) / 0.04

Simplifying the equation yields:

P ≈ $159.23

Therefore, if the money is deposited at a 4% interest rate compounded quarterly, Hector needs to deposit approximately $159.23 at the end of each quarter to accumulate $12,000 in 9 years.

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You have borrowed $41,890 from your parents and have agreed to amortize the loan over 5 years making equal annual payments at the end of each year. Therefore at the end of that time the loan balance must be zero. You agreed to pay 6.43% interest rate on the loan. How many dollars in Interest will you pay during the second year of the loan?

Answers

During the second year of the loan, you will pay $2,694.37 in interest.

To calculate the interest payment for the second year, we can use the amortization formula for an equal annual payment loan. The formula is:
Interest Payment = Loan Balance at the Beginning of the Year * Interest RateIn this case, the loan balance at the beginning of the second year is the remaining balance after the first year's payment. Since you're making equal annual payments, the remaining balance after the first year is the original loan amount minus the first year's payment. Loan Balance at the Beginning of the Second Year = Original Loan Amount - First Year's Payment
First Year's Payment can be calculated using the annuity payment formula:
First Year's Payment = Loan Amount * (Interest Rate / (1 - (1 + Interest Rate)^(-Number of Years)))
Using the given values, we can calculate the first year's payment and then determine the loan balance at the beginning of the second year. Finally, we can calculate the interest payment for the second year. Once we have the loan balance at the beginning of the second year, we multiply it by the interest rate to find the interest payment:
Interest Payment = Loan Balance at the Beginning of the Second Year * Interest RateBy plugging in the numbers, the interest payment for the second year is $2,694.37.

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A put option and call option with an exercise price of $65 expire in one months and sell for $2.89 and $3.97, respectively. If the stock is currently priced at $65.89, what is the annual continuously compounded rate of interest? Multiple Choice 135.17% 3.65% 3.37% 35.83% 3.51%

Answers

A put option and call option with an exercise price of $65 expire in one month and sell for $2.89 and $3.97, respectively. The stock is currently priced at $65.89. The annual continuously compounded rate of interest is 3.65% i.e., the second option.

To determine the annual continuously compounded rate of interest, we can use the put-call parity relationship. Put-call parity states that the difference between the call option price and put option price is equal to the difference between the stock price and the present value of the exercise price.

Let's denote:

C = Call option price = $3.97

P = Put option price = $2.89

S = Stock price = $65.89

X = Exercise price = $65

According to put-call parity, we have the following equation:

C - P = S - X * e^(-rt)

We need to solve for the interest rate 'r'.

Substituting the given values:

3.97 - 2.89 = 65.89 - 65 * e^(-r * (1/12))

0.62 = 0.89 * (1 - e^(-r * (1/12)))

Dividing both sides by 0.89:

0.6978 = 1 - e^(-r * (1/12))

Rearranging the equation:

e^(-r * (1/12)) = 1 - 0.6978

Taking the natural logarithm of both sides:

-r * (1/12) = ln(1 - 0.6978)

Solving for 'r':

r = -12 * ln(1 - 0.6978)

Using a calculator, we find:

r ≈ 0.0365

Therefore, the annual continuously compounded rate of interest is approximately 3.65%. Thus, the correct answer is 3.65%.

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Which of the following is not an aspect of monetary policy? O Setting the reserve requirement Quantitative easing Setting the discount rate O Open market operations These are all aspects of monetary policy

Answers

Among the following options, Quantitative easing is not an aspect of monetary policy.What is monetary policy.

Monetary policy refers to the activities that the Federal Reserve undertakes to influence the amount of money and credit in the United States economy. The Federal Reserve is responsible for stabilizing prices, maximizing employment, and moderating long-term interest rates through monetary policy.Aspects of Monetary Policy:Setting the reserve requirementOpen market operationsSetting the discount rateAll of the options mentioned above are aspects of monetary policy.Quantitative easing:Quantitative easing (QE) is a type of monetary policy in which a central bank purchases securities from the market to reduce interest rates and increase the money supply. However, it is not among the aspects of monetary policy. QE is implemented by central banks to increase the money supply when interest rates are near zero and there are no other monetary policy choices available.

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Project Mangement Includes
A. Cost Management
B. Risk Management
C. Knowlege Management

Answers

Project management is the planning, organizing, and directing of resources (people, equipment, materials) to achieve a particular goal.

It is a dynamic process that involves change and adjustments in response to shifting conditions. Below are the terms included in project management:Content LoadedCost ManagementRisk ManagementKnowledge ManagementA. Cost ManagementCost management is the process of planning and controlling the budget for a project. Cost management involves estimating costs, establishing budgets, tracking expenses, and controlling costs. Project managers need to ensure that their projects are delivered within budget, and cost management helps them to achieve this goal.B. Risk ManagementRisk management is the process of identifying, assessing, and mitigating risks that could impact a project. Risk management involves identifying potential risks, assessing their likelihood and impact, and developing strategies to mitigate or avoid them. By managing risks effectively, project managers can minimize the likelihood of project failure and maximize the chances of success.C. Knowledge ManagementKnowledge management is the process of creating, sharing, and using knowledge and information within an organization. In project management, knowledge management is essential because it enables project teams to leverage the collective knowledge and expertise of team members. By sharing knowledge, project teams can work more efficiently and effectively, and make better decisions based on available data and information.To conclude, Project management includes content loaded, cost management, risk management, and knowledge management.

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Project management includes options (A), (B) and (C), cost management, risk management, and knowledge management. These three concepts are vital for ensuring project success.

Cost management involves the process of planning and controlling project expenses. It includes developing a budget, estimating costs, and tracking spending to ensure that the project stays within budget. Good cost management is important because it helps ensure that the project is completed on time and within budget, which is crucial for project success. Risk management involves identifying potential risks that could impact the project and developing a plan to mitigate those risks. It includes analyzing risk, creating a risk management plan, and implementing risk mitigation strategies. Good risk management is important because it helps ensure that the project is completed on time and within budget, despite unexpected events. Knowledge management involves capturing, sharing, and using knowledge to improve project outcomes. It includes creating a knowledge base, documenting best practices, and providing training and support to project teams. Good knowledge management is important because it helps ensure that the project team has the information and tools they need to complete the project successfully. In conclusion, project management includes cost management, risk management, and knowledge management. Each of these concepts is essential for ensuring project success by managing expenses, mitigating risks, and using knowledge to improve outcomes.

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If a country has a positive capital inflow, it: O has an inflow amount equal to its X +IM O lends more than it borrows from foreigners O has an outflow amount equal to x +IM borrows more than it lends to foreigners.

Answers

If a country has a positive capital inflow, it borrows more than it lends to foreigners.What is capital inflow?The amount of money flowing into a country from overseas investments and lenders is referred to as capital inflows. Capital inflows can include investment in the equity market, in the government bond market, or in the corporate bond market.

Investment in these markets might be made by international investors such as pension funds, hedge funds, and other financial intermediaries. When capital inflows are greater than capital outflows, the country is said to have a positive capital inflow.What is a capital outflow?The outflow of capital from a country or the liquidation of assets to acquire capital is known as capital outflow. This can occur as a result of the sale of goods, services, and capital assets overseas. Capital outflows can be prompted by investors' desire to seek greater returns on their investment in countries with higher interest rates. Capital outflows can also occur if there is a significant economic or political risk in a country.

A positive capital inflow refers to a situation when a country has more foreign investments or loans than it invests or lends to other countries. When a country has a positive capital inflow, it borrows more than it lends to foreigners. Hence, the correct option is:borrow more than it lends to foreigners.Capital outflows can also occur if there is a significant economic or political risk in a country.

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The LHS value of a constraint represents the resource by the decision variables. a. upper limit b. C. lower limit d. usage predicted value of an associated

Answers

The LHS value of a constraint represents the usage of a resource by the decision variables. The resource can be limited, and it is represented by either an upper limit or a lower limit or both.

Therefore, the answer to the given question is a) upper limit and c) lower limit.

The linear programming is a method of solving mathematical optimization problems that involve linear programming constraints. The constraints are represented by inequalities that can be either upper or lower limits. The decision variables of the objective function are subject to these constraints.

The constraints limit the possible values that the decision variables can take. The LHS value of a constraint represents the resource that is being used or limited by the decision variables. The RHS value of the constraint represents the usage predicted value of the resource.

In simple terms, the LHS value of a constraint refers to the quantity of the resource that is available for use. It can be the maximum amount of a resource that can be used or the minimum amount that must be used. The RHS value, on the other hand, refers to the actual usage predicted value of an associated resource.

This usage predicted value must be less than or equal to the LHS value to satisfy the constraints.In conclusion, the LHS value of a constraint represents the resource by the decision variables, and it can be represented by either an upper limit or a lower limit or both.

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Prompt:
If you were a small business owner which of the determinants of
EBDAT would be your priorities in order to breakeven and explain
why?

Answers

As a small business owner, the key determinants of EBDAT (Earnings Before Depreciation, Amortization, and Taxes) that would be priorities to achieve breakeven are revenue generation and cost control.

By focusing on increasing revenue and effectively managing costs, a small business can maximize its profitability and reach the breakeven point.

For a small business owner, revenue generation is crucial as it directly contributes to the top line. Increasing sales, expanding customer base, and exploring new markets or products/services can help generate more revenue. Additionally, cost control plays a significant role in achieving breakeven. By closely monitoring and managing expenses such as overhead costs, inventory, and labor, a small business can optimize its cost structure and improve profitability. Prioritizing these determinants ensures that the business is generating sufficient revenue and managing costs efficiently to reach the point of breakeven, where expenses equal revenue.

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XYZ is considering buying a new, high efficiency interception system. The new system would be purchased today for $47,900.00. It would be depreciated straight-line to $0 over 2 years. In 2 years, the system would be sold for an after-tax cash flow of $13,800.00. Without the system, costs are expected to be $100,000.00 in 1 year and $100,000.00 in 2 years. With the system, costs are expected to be $75,300.00 in 1 year and $65,500.00 in 2 years. If the tax rate is 45.90% and the cost of capital is 8.70%, what is the net present value of the new interception system project? Selected Answer: $15113.80 (plus or minus $50)
$12692.40 (plus or minus $50) $15915.31 (plus or minus $50) $15113.80 (plus or minus $50) $11285.92 (plus or minus $50) None of the above is within $50 of the correct answer

Answers

To calculate the net present value (NPV) of the new interception system project, we need to calculate the present value of the cash inflows and outflows associated with the project. The NPV is the sum of the present values of these cash flows.

Calculate the cash flows:

Year 0: Initial investment = -$47,900

Year 1: Cost difference = $100,000 - $75,300 = $24,700

Year 2: Cost difference = $100,000 - $65,500 = $34,500

Year 2: After-tax salvage value = $13,800 * (1 - 0.459) = $7,459.22

Calculate the present value factor for each year using the cost of capital (8.70%):

Year 0: PV factor = 1 / (1 + 0.087)^0 = 1

Year 1: PV factor = 1 / (1 + 0.087)^1 ≈ 0.919

Year 2: PV factor = 1 / (1 + 0.087)^2 ≈ 0.846

Calculate the present value of each cash flow:

Year 0: PV of initial investment = -$47,900 * 1 = -$47,900

Year 1: PV of cost difference = $24,700 * 0.919 ≈ $22,676.30

Year 2: PV of cost difference = $34,500 * 0.846 ≈ $29,229.00

Year 2: PV of after-tax salvage value = $7,459.22 * 0.846 ≈ $6,314.22

Calculate the net present value by summing up the present values:

NPV = PV of cash inflows - PV of cash outflows

NPV = $6,314.22 - ($47,900 + $22,676.30 + $29,229.00) ≈ -$34,866.08

The net present value of the new interception system project is approximately -$34,866.08. Since none of the given options is within $50 of this value, the correct answer is None of the above is within $50 of the correct answer.

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5. The Solow Model with both Population Growth and Technological Progress in Continuous Time plus Extensions Consider the Solow model in continuous time. The following system of equations fully describe the economy: Y(t) = C(t) + I(t) Y(t) = F[K(t), A(t)L(t)] = K(t)"[A(t)L(t)]¹-a I(t) = S(t) K = -8K (t) + 1(t) S(t) = sy(t) Y defines income, C defines consumption, I investment, S savings, K the capital stock, L labour and A the state of technology; & E (0,1) is the rate of capital depreciation, s E (0,1) the saving rate and a E (0,1) is the capital elasticity of output. The previous equations describe a closed economy with no government. Labour, L, and the state of technology, A, grow at the constant rates n and g, respectively. (a) Derive the fundamental law of motion of the Solow model in per effective labour form and compute capital per effective labour at steady-state equilibrium. For any variable X, let x = X its per effective labour form. AL (25 marks) (b) Solve for capital per labour and output per labour at steady state equilibrium. What determines output per labour in the long run? (25 marks) (c) Derive the growth accounting equation for this production function and determine the Solow residual with respect to growth rates of per worker variables. What does this show? (25 marks) (d) How can the given production function be modified to include also human capital? What does human capital now bring into the analysis? How do the Lucas (1988) and the Mankiw et. al. (1992) models incorporate into their analysis the role of human capital and what are their implications? (25 marks)

Answers

The Solow model is a neoclassical economic growth model and given the information,  (a) k = [tex][s / (n+g+δ)]^{1/a}[/tex] (b) K = k * L & Y = y * L (c) gY/Y = (1-a) * gk/k + n (d) Y = F[K, A*L, H]

(a) The production function as per effective labor form is given by:

y = f(k) = [tex]k^{1-a}[/tex]

where y is output per effective labor and k is capital per effective labor.

The law of motion for capital per effective labor is given by:

∆k/∆t = s * f(k) - (n+g+δ) * k

where s is the saving rate, n is the population growth rate, g is the technological progress rate, and δ is the depreciation rate.

At steady-state equilibrium, the capital per effective labor remains constant (∆k/∆t = 0). Hence,

s * f(k) - (n+g+δ) * k = 0

Substituting the production function,

s * [tex]k^{1-a}[/tex] - (n+g+δ) * k = 0

s * [tex]k^{1-a}[/tex] = (n+g+δ) * k

Dividing both sides by [tex]k^{1-a}[/tex],

s = (n+g+δ) * [tex]k^{a}[/tex]

[tex][s / (n+g+δ)]^{1/a}[/tex]

(b) To find capital per labor (K), we multiply the capital per effective labor (k) by the effective labor (L):

K = k * L

To find output per labor (Y), multiply the output per effective labor (y) by the effective labor (L):

Y = y * L

The effective labor (L) grows at a constant rate (n), and the state of technology (A) also grows at a constant rate (g).

Thus, in the long run, the growth rate of output per labor (Y/L) is determined by the growth rate of technology (g) and not by the growth rate of population (n).

(c) The growth accounting equation for this production function is:

gY/Y = (1-a) * gk/k + n

where gY/Y is the growth rate of output per worker, gk/k is the growth rate of capital per worker, and n is the population growth rate.

The Solow residual measures the portion of output growth that cannot be explained by the growth of capital and labor inputs. It captures the contribution of technological progress (A) to output growth.

(d)  Modify the function to include the level of human capital (H). The modified production function would be:

Y = F[K, A*L, H]

where H represents the level of human capital.

The Lucas (1988) model and the Mankiw et al. (1992) model incorporate human capital by considering it as a factor of production alongside physical capital and labor.

Thus, its implications include the importance of investment in education and training for long-term economic development and the potential for policies that promote human capital formation.

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Which of the following is not a characteristic of managerial accounting?
a) Emphasizes decisions affecting the future.
b) Mandatory for external reports.
c) Need not follow GAAP.
d) Reports to those inside the organization.

Answers

Mandatory for external reports is not a characteristic of managerial accounting. Option B

What is managerial accounting?

Managerial accounting is concerned with furnishing data and evaluations that aid in internal decision-making procedures within a company. This tool is mainly utilized by both the managers and staff in the company to aid in activities such as planning, control, and decision-making.

Hence, external reports that are created for individuals outside of the company, such as investors, creditors, and regulators, are not required as a necessity.

Managerial accounting prioritizes future decisions by supplying prospective data to steer managerial decision-making. Although it is intended for internal purposes and can be tailored to suit the organization's unique requirements, it may not adhere to the Generally Accepted Accounting Principles (GAAP).

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Among the characteristic of Managerial Accounting listed in the option, the one that is not characteristic of managerial accounting is  Mandatory for external reports, because Mandatory for external reports are reports that are not confidential information which are communicated amongst the public and stockholders, option b

What is  Managerial Accounting

Managerial accounting is a procedure of presenting or communicating financial information in order identifying , evaluating , analyzing, interpreting, to managers of a given organization for  the purposing of  pursuing and achieving the  goals of the organization's

Managerial accounting helps in making  important  business decisions most information presented are confidential are not communicate to the public and stockholders

Therefore the correct answer is same above

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QUESTION 4
Bahrain Poultry offers its customers 2/14 net 28 for every BD100 purchase. What is the cost of trade credit to a customer who chooses to pay on day 28?

Answers

The cost of trade credit to a customer who chooses to pay on day 28 is approximately 53.23%.

To calculate the cost of trade credit to a customer who chooses to pay on day 28, we need to determine the effective interest rate associated with the trade credit terms.

The terms "2/14 net 28" mean that the customer can take a 2% discount if they pay within 14 days, otherwise the full payment is due in 28 days.

To calculate the effective interest rate, we can use the following formula:

Effective Interest Rate = (Discount % / (1 - Discount %)) x (365 / (Full Credit Period - Discount Period))

Let's calculate the effective interest rate based on the given terms:

Discount % = 2% = 0.02

Full Credit Period = 28 days

Discount Period = 14 days

Effective Interest Rate = (0.02 / (1 - 0.02)) x (365 / (28 - 14))

= (0.02 / 0.98) x (365 / 14)

= 0.0204 x 26.0714

= 0.5323

The effective interest rate is approximately 0.5323, or 53.23% when rounded to two decimal places.

Therefore, the cost of trade credit to a customer who chooses to pay on day 28 is approximately 53.23%. This means that if the customer delays payment until day 28, they are effectively paying an additional 53.23% in interest or opportunity cost compared to taking advantage of the 2% discount by paying within 14 days.

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If you need to set up your business for the future, a BCG matrix helps in bits of knowledge on what products will be best and how to assist them with gaining market share development.
Explain the BCG Matrix with an industry example

Answers

e BCG Matrix with an industry example

The BCG (Boston Consulting Group) Matrix is a strategic tool used to analyze a company's portfolio of products or business units based on their market growth rate and relative market share. It provides insights into the performance and potential of each product or business unit and helps guide resource allocation and strategic decision-making.

The BCG Matrix categorizes products or business units into four quadrants:

Stars: These are high-growth, high-market-share products or business units that have the potential to generate substantial profits. They typically require significant investment to maintain their growth and market leadership. Stars are considered promising opportunities for future success. Example: In the technology industry, a star product could be a newly launched smartphone with a rapidly growing market share.

Cash Cows: Cash cows are products or business units with high market share but low market growth rates. They generate substantial cash flow and profits but have limited growth potential. Cash cows are mature and established in the market, requiring minimal investment to maintain their position. Example: In the beverage industry, a cash cow could be a well-established soft drink brand with a dominant market share and stable sales.

Question Marks (or Problem Children): Question marks have low market share but operate in high-growth markets. They have the potential to become stars or may eventually become dogs if they fail to gain market share. Question marks require careful evaluation and investment decisions to determine their future viability. Example: In the automotive industry, a question mark product could be an electric vehicle with a small market share but operating in a rapidly growing market segment.

Dogs: Dogs have low market share and low market growth rates. They generate minimal profits and may require significant resources to sustain. Dogs typically have limited growth prospects and may not contribute significantly to the company's overall success. Example: In the personal care industry, a dog product could be a discontinued or outdated cosmetic line with declining sales.

The BCG Matrix helps businesses identify their most promising products (stars) and allocate resources accordingly. It also highlights areas that may require divestment (dogs) or further investment (question marks). By understanding the growth potential and market position of each product or business unit, companies can develop appropriate strategies to maximize their portfolio's overall performance.

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ABC Ltd. makes a television table that sells for $60 per
unit. It has variable costs of $20 per unit and incurs
fixed costs of $110,000 per period.
How much tables must ABC Ltd sells to break even?
a.2750
b. 0
c. 2570
d. 2751

Answers

ABC Ltd must sell 2750 tables to break even. Here are the steps to calculate the break-even point:

Step 1: Identify the variables. In this example, we have the following variables: Selling price per unit = $60Variable cost per unit = $20Total fixed costs = $110,000Step 2: Calculate the contribution margin per unit. The contribution margin per unit is equal to the selling price per unit minus the variable cost per unit. In this case, the contribution margin per unit is:$60 - $20 = $40Step 3: Calculate the break-even point. The break-even point is equal to the total fixed costs divided by the contribution margin per unit. In this case, the break-even point is:$110,000 ÷ $40 = 2,750 units Therefore, ABC Ltd must sell 2750 tables to break even.

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Red Plc bonds have a 6 percent annual coupon rate. The interest is paidsemiannually, and the bond mature in eight year. Their face value is £400. If the market’s yield to maturity on a comparable-risk bond is 8 percent, what isthe value of the bond? What is its value if the interest is paid annually?

Answers

To calculate the value of the bond, we can use the present value formula, which takes into account the coupon payments and the face value of the bond.

Value of the bond with semiannual interest payments:
The bond has a 6 percent annual coupon rate, which is paid semiannually. Therefore, the coupon payment per period is 6%/2 = 3%.
The number of periods is 8 years * 2 = 16 semiannual periods.
Using a financial calculator or a spreadsheet, we can calculate the value of the bond as follows:
N = 16, I/Y = 8%/2 = 4%, PMT = 3% * £400 = £12, FV = £400
Solving for PV, the present value of the bond is approximately £351.48.
Value of the bond with annual interest payments:
If the interest is paid annually, the coupon payment remains the same at 6% * £400 = £24 per year. Using the same formula, but with the annual parameters:
N = 8, I/Y = 8%, PMT = £24, FV = £400
Solving for PV, the present value of the bond is approximately £314.49.
Therefore, the value of the bond is £351.48 with semiannual interest payments and £314.49 with annual interest payments.

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On January 1, 20×1, Powell Company purchased a building and machinery that have the following useful lives, residual value, and costs.
Building, 25-year estimated useful life, $4,000,000 cost, $400,000 residual value Machinery, 10-year estimated useful life, $500,000 cost, no residual value
The building has been depreciated under the straight-line method through 20×5. In 20×6, the company decided to switch to the double-declining balance method of depreciation for the building. Powell also decided to change the total useful life of the machinery to 8 years, with a residual value of $25,000 at the end of that time. The machinery is depreciated using the straight-line method.
Instructions
Prepare the journal entry necessary to record the depreciation expense on the building in 20×6.
Compute depreciation expense on the machinery for 20×6.

Answers

The machinery's depreciated charge for 206 is $75,000 Machinery depreciation costs for 2006

The calculation is as follows:

Formula Cost - salvage value / useful life = ( $4000000 - $400000 ) /25 × 5  = $720000, Book value as on 01/01/2006  = $3280000. expense is $328000Journal entry ,  depreciated expense   $328000 .Accumulated depreciation, Building $328000 ( being accumulated depreciation made)

B) calculation of depreciated  expense of building for 2006 is

 $500000 - 0 /10 × 5  = $250000 book value as on 01/01/2006 Depreciation expense is  $250000 - $25000 / 8 - 5  = $225000 / 3

= $75000 depreciation expense on the Machinery for 2006

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BC Ferries has decided to issue shares to help finance the acquisition of new hybrid ferries for the Swartz Bay run. The corporations has engaged a syndicate of investment dealers to float the new issue. The shares will be issued to the public at a price of $40 and the investment dealers will receive proceeds of $2.00 per share. What rate of return will the investment dealers realize? (answer to 4 decimal places)

Answers

Let us first find the amount received by the investment dealers for the shares:Proceeds received by investment dealers = $2.00 per shareTotal number of shares = Number of shares issued to the publicNumber of shares issued to the public = $40/$1 = 40 sharesAmount received by investment dealers = $2.00/share x 40 shares = $80.00.

BC Ferries has decided to issue shares to finance the purchase of new hybrid ferries for the Swartz Bay run. The company has engaged a group of investment dealers to float the new issue, with the shares set to be made available to the public for $40 per share. The investment dealers will receive $2.00 per share as proceeds.To determine the rate of return that the investment dealers will realize, we need to calculate the amount received by the investment dealers and divide it by the investment made by them. In this case, we can see that the investment dealers will receive $80.00 ($2.00 x 40 shares) for an investment of $40.00. Therefore, the rate of return will be $80.00/$40.00 = 2.0000.This means that the investment dealers will realize a rate of return of 200% on their investment. This is a significant return, which is understandable given that they are taking on risk by purchasing the shares and then reselling them to the public.Overall, it seems that BC Ferries has made a wise decision by engaging investment dealers to float the new share issue. This will help them to finance the acquisition of new hybrid ferries for the Swartz Bay run, while also providing an attractive investment opportunity for the investment dealers.

The investment dealers will realize a rate of return of 200% on their investment. BC Ferries has made a wise decision by engaging investment dealers to float the new share issue. This will help them to finance the acquisition of new hybrid ferries for the Swartz Bay run, while also providing an attractive investment opportunity for the investment dealers.

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a-1. Determine the critical path.
multiple choice 1
• A-C-E-G
• A-B-E-G
• A-B-D-G
• A-C-F-G
a-2. Determine the early completion time in weeks for the project.
For the data shown, reduce the project completion time by three weeks. Assume a linear cost per week shortened.
ACTIVITY NORMAL
TIME NORMAL
COST CRASH TIME CRASH COST
A 5 $ 7,000 3 $ 13,000 B 10 12,000 7 18,000 C 8 5,000 7 7,000 D 6 4,000 5 5,000 E 7 3,000 6 6,000 F 4 6,000 3 7,000 G 4 7,000 3 9,000 b-1. Which activities in order of reduction would be shortened?
multiple choice 2
• G-D-A
• D-G-A
• A-G-D
• D-B-C
b-2. Find the resulting cost to crash.

Answers

a-1. The critical path in the given options is A-C-E-G.

a-2. To determine the early completion time, we need to identify the activities on the critical path and sum up their normal times. From the critical path A-C-E-G, the early completion time would be:

5 weeks (Activity A) + 8 weeks (Activity C) + 7 weeks (Activity E) + 4 weeks (Activity G) = 24 weeks.

b-1. To determine which activities should be shortened in order, we need to analyze the crash costs and choose the activities with the lowest crash costs per week.

The activities in order of reduction to be shortened would be:

1. G (Crash cost: $2,000 per week)

2. D (Crash cost: $1,000 per week)

3. A (Crash cost: $2,000 per week)

b-2. To find the resulting cost to crash, we need to calculate the total cost reduction by multiplying the crash cost per week by the number of weeks reduced for each activity.

Total cost reduction = (Crash cost per week) * (Number of weeks reduced)

For G: $2,000 * 1 week = $2,000

For D: $1,000 * 3 weeks = $3,000

For A: $2,000 * 2 weeks = $4,000

The resulting cost to crash is $2,000 + $3,000 + $4,000 = $9,000.

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A $1,000 convertible bond in Maddy corporation can be exchanged for 50 common shares. If the shares are trading at $26.00 what is the conversion value of the bond?
The $1,000 convertible bonds in Maddy corporation have 8 years to maturity. The bonds make semi annual coupon payments at a rate of j2 = 4% and yield j2-7%. Price this as a bond.
What is the minimum value of the Maddy bonds described in the previous two questions?

Answers

Conversion value of the bond = No. of shares x Share Price

Conversion value of the bond = 50 x 26

Conversion value of the bond = $ 1,300

Year    Cashflows    PVF at 3.5%    Discounted CFs

1            20.00      0.9662                     19.32

2            20.00      0.9335                     18.67

3            20.00      0.9019                     18.04

4            20.00      0.8714                     17.43

5            20.00      0.8420                     16.84

6            20.00      0.8135                     16.27

7            20.00      0.7860                     15.72

8            20.00      0.7594                     15.19

9            20.00      0.7337                     14.67

10            20.00      0.7089                     14.18

11            20.00      0.6849                     13.70

12            20.00      0.6618                     13.24

13            20.00      0.6394                     12.79

14            20.00      0.6178                     12.36

15            20.00      0.5969                     11.94

16      1,020.00      0.5767                   588.24

        Price                   818.59

Bond Price = $ 818.59

Minimum value of the Maddy bonds = min of (a,b) = $ 818.59

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Q 4. Discuss the Doctrine Piercing the Company Veil. What are
the circumstances under which a court will pierce the corporate
veil?

Answers

Circumstances for piercing the corporate veil include fraud, inadequate capitalization, and using the corporation to evade legal obligations. The doctrine is applied when the corporate structure is abused or used to unjustly shield individuals from liability.

How can a court pierce the corporate veil?

The doctrine of piercing the corporate veil is a legal concept that allows a court to disregard the separate legal personality of a corporation and hold its shareholders or directors personally liable for the corporation's actions or debts. This doctrine is typically invoked in situations where it is believed that the corporation is being used to perpetrate fraud, injustice, or to evade legal obligations.

The circumstances under which a court will pierce the corporate veil can vary depending on the jurisdiction and specific case, but there are some common factors that courts consider. These factors include:

1. Fraud or improper conduct: If a corporation is formed or used for fraudulent or illegal purposes, such as to deceive creditors, commit a crime, or defraud individuals, a court may disregard the corporate entity and hold individuals personally liable.

2. Undercapitalization: If a corporation is formed with inadequate capital to conduct its intended business or to meet its potential liabilities, and the shareholders or directors fail to provide additional funds when necessary, a court may disregard the corporate structure and hold individuals accountable for the corporation's obligations.

3. Failure to observe corporate formalities: If a corporation does not observe the necessary legal formalities, such as holding regular shareholder or director meetings, maintaining proper corporate records, or keeping separate financial accounts, a court may disregard the corporate entity and treat the corporation as an extension of its shareholders or directors.

4. Alter ego or sham: When a corporation is merely a facade or alter ego of its shareholders or directors, and there is no real separation between the individuals and the corporation, a court may disregard the corporate form. This can occur when there is a commingling of funds, assets, or operations between the corporation and its individuals, or when the corporation is used to shield personal liability or hide fraudulent activities.

5. Injustice or unfairness: If maintaining the corporate veil would result in an injustice or unfairness to a third party, such as a creditor who relied on the corporation's creditworthiness or a victim of wrongdoing, a court may pierce the veil to ensure that the responsible individuals are held accountable.

It's important to note that courts are generally reluctant to pierce the corporate veil and will only do so under exceptional circumstances. The specific application of the doctrine can vary depending on the jurisdiction and the facts of each case. Therefore, it is advisable to consult with a qualified legal professional for advice tailored to your specific situation.

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When should we employ the chi-squared table? O When seeking a point estimate for means. O When seeking a confidence interval for means O When seeking a point estimate. When seeking a confidence interv

Answers

The chi-squared table is typically used when seeking a confidence interval for the proportion and in goodness-of-fit tests. The correct option for when to employ the chi-squared table is "When seeking a confidence interval."

What is a chi-squared test?

A chi-squared test is a statistical tool that is used to evaluate the relationship between two categorical variables. It measures the difference between observed and expected frequencies in one or more categories of a contingency table.

The chi-squared test determines if the differences are significant and can be used to calculate p-values and confidence intervals.To use the chi-squared test, you'll need to construct a contingency table that summarizes the relationship between two variables.

This table includes rows and columns that represent each category, as well as the observed frequencies. The expected frequencies are computed by assuming independence between the two variables and multiplying the marginal totals.

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Clearly Compare and contrast Michael Armstrong's total reward
model with Tower Perrins's total reward model. Recommend which
model is better?

Answers

The main answer to the comparison between Michael Armstrong's total reward model and Tower Perrin's total reward model can be outlined as follows:Michael Armstrong's Total Reward Model and Tower Perrin's Total Reward Model both help organizations to increase their productivity by optimizing and providing rewards to their employees

.The Michael Armstrong model focuses on an employee's personal development. It is a system that integrates a salary package, benefits, opportunities for growth, and working culture. Armstrong's Total Reward Model aims to maximize employees' satisfaction with their jobs.Tower Perrin's Total Reward Model, on the other hand, emphasizes flexibility and adaptation to the environment. It combines financial and non-financial rewards such as compensation, training and development, benefits, and work-life balance.The explanation of the comparison between Michael Armstrong's total reward model and Tower Perrin's total reward model is given below:Michael Armstrong's Total Reward ModelMichael Armstrong's total reward model has been devised to optimize employees' performance and productivity by meeting their personal development goals. It is a system that includes a salary package, benefits, opportunities for growth, and working culture

Armstrong's Total Reward Model aims to maximize employees' satisfaction with their jobs. In this model, the employees' pay is linked to their performance, while their salary and benefits are tied to their market position.Tower Perrin's Total Reward ModelTower Perrin's Total Reward Model emphasizes flexibility and adaptation to the environment. It combines financial and non-financial rewards such as compensation, training and development, benefits, and work-life balance. This model is a system that includes both financial and non-financial rewards, which aim to optimize employees' performance and productivity.The comparison between the two models is clear in their different emphasis. Armstrong's model focuses on the employee's personal development, while Tower Perrin's model emphasizes flexibility and adaptation to the environment. Hence, both models can be applied in different scenarios depending on the organization's goals and objectives. However, in my opinion, the Tower Perrin model is better, as it provides a more comprehensive solution by combining both financial and non-financial rewards to enhance productivity.

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Provided a comprehensive purpose of the marketing assistant job by explaining its importance in electric bike company (and SME) accurately?Explain how the differentiation and growth strategy of the electric bike company will affect the total reward package for marketing assistant? Find the equation of the tangent line to the graph of f(x) at the (x, y)-coordinate indicated below. f(x)= (-4x + 4x+3)(x-4): (-1,25) nswer 2 Points y = Which of the following about Littlefield Labs in Round #2 is CORRECT? Multiple Choice s. ROQ should be at least as high as ROP. b. ROP should be less than demand for 4 days. c. ROP should not be less than average inventory level. d. ROQ should be set at no less than 600. TheSeptember 30, 2018, adjusted trial balance of steamed sensationInc. is shown belowns am Data table Steamed Sensation, Inc. Adjusted Trial Balance September 30, 2018 Account Cash Accounts receivable Prepaid rent Supplies Equipment Accumulated depreciation, equipment Accounts payable 1. It appears that all of the firms involved with producing green energy devices such as solar cells, wind power and high-speed bullet trains all need government tax breaks and subsidies to survive. Billions of taxpayer dollars are given to such firms every year. Conclusion: These tax breaks and subsidies for these new technologies always guarantee more efficiency, innovation, and lower costs to consumers. TRUE or FALSE2. The marginal product per worker (output) will always increase when there are cuts in the "explicit" costs of production, overhead, and administrative expenses. There has always been a strong correlation between these two factors. TRUE or FALSE3. From 1995 to 2007 the U.S. federal government (CRA Law of 1995) forced banks to lower their standards on credit and income so that they could make more sub-prime mortgage loans to those who couldnt qualify for traditional home loans. The result was that millions of people with bad credit, low income, and no savings were able to buy homes. Conclusion: This "easy financing" helped to push up home prices during this time. T/F4. Which formula below best describes human behavior? Multiple Choicea. E > 1b. MB = MCc. MC = MRd. E = 1 A couple has a $420,000 mortgage amortized over 30 years with monthly payments. They chose to lock in a rate of j2=4% for the first 5 years.Calculate their new monthly payment (rounded up to the next cent) if they refinance at j2=4.50% after the first 5 years are up.with procedure please. where are most students with visual impairment likely to be served? Gary likes to gamble. Donna offers to bet him $52 on the outcome of a boat race. If Gary's boat wins, Donna would give him $52. If Gary's boat does not win, Gary would give her $52. Gary's utility function is px + 2x, where p and p2 are the probabilities of events 1 and 2 and where x and X2 are his wealth if events 1 and 2 occur respectively. Gary's total wealth is currently only $80 and he believes that the probability that he will win the race is 0.2. Which of the following is correct? (please submit the number corresponding to the correct answer). 1. Taking the bet would reduce his expected utility. 2. Taking the bet would leave his expected utility unchanged. 3. Taking the bet would increase his expected utility. 4. There is not enough information to determine whether taking the bet would increase or decrease his expected utility. 5. The information given in the problem is self-contradictory. Suppose you are a strategic manager of your company,what are the ways that would you follow for sustaining rapidcompany growth? Discuss it in details.For Ecommerce Industry Sally owns real property for which the annual property taxes are $9,000. She sells the property to Kate on March 9, 2021, for $550,000. Kate pays the real property taxes for the entire year on October 1, 2021. Assume a 365-day year.How much of the property taxes can be deducted by Sally and how much by Kate? a. Katie b. Sally QUESTION THREE [25]The Constitution of 1996 enshrines the rights of all people within South Africa in relation to dignity and equality. The law further affirms the rights to freedom, religion expression, culture, association, and movement.The Constitution commits government to take reasonable measures, within available means, to ensure that all South Africans have access to basic services.3.1 By referring to the Constitution of 1996, comment on the features and characteristics of development local government and its importance in the provision of service. (15)3.2. With practical examples provide a discussion on the relevance of local economic development. (10) In Stat 1250, the proportion of HD students is 0.16. In the last session, based on a random sample of 55 students, we found 10 of them obtained an HD grade. Use this information and a z-test of a population proportion to determine whether the proportion of HD students in Stat 1250 is 0.16. What is the value of the z-test statistic for testing the population proportion of HD students= ___ (3dp) patient has extensive bladder cancer. she underwent a complete cystectomy with bilateral pelvic lymphadenectomy and creation of ureteroileal conduit. 1.Know the necessary elements to form a contract that will be upheld by a court. 2.Know that oral contracts are just as valid as written contracts unless they fall within one of the 6 categories of contracts that must be in writing as stated in the Statute of Frauds. 3.Know that failure to comply with a valid contract is known as breach of contract. 4.Know that the term "meeting of the minds" is synonymous with mutual assent. 5.Know that courts rarely question the adequacy of consideration unless it is two different quantities of the same thing, such as, for example, $20. and $200. Based on what you have studied in decision analysis theory, solve the following problem: Fatima is considering the possibility of opening a small dress shop the Diplomatic area, a few blocks from the university. She has located a good place to attract students. Her options are to open a small shop, a medium-sized shop, or no shop at all. The market for a dress shop can be good average, or bad. The probabilities for these three possibilities are 0.2 for a good market, 0.5 for an average market, and 0.3 for a bad market. The net profit or loss for the medium-sized and small shops for the various market conditions are given in the following table. Alternatives Small shop State of Nature Good market ($) 75 000 Average market ($) 25 000 Bad market ($) 40 000 100 0000 35 000 60 000 Medium-sized shop No shop 0 0 0 From the table above solve the following questions: a) What is the maxi-max decision Optimistic)? b) What is the maxi-min decision (pessimistic)? c) Determine the EMV criterion if the decision-making environment is under risk. An approach is a point of view that includes specific presumptions (i.e., beliefs) about how humans behave, including how they work, which parts of their behaviour merit study, and which research methodologies are most suited for carrying out this study. Men are more likely to be violent than women, according to a social psychologist, because men are expected to be the "aggressive" sex in society. This viewpoint is most frequently linked to the? Determine the measure of x in the diagram below:x = NO LINKS During 1993, the Japanese yen appreciated by 11 percent against the dollar. In response to the lower cost of the main imported ingredients-beef, cheese, potatoes, and wheat for burger buns-McDonald's Japanese affiliate reduced the price on certain set menus. For example, a cheeseburger, soda, and small order of French fries were marked down to 410 from 530. Suppose the higher yen lowered the cost of ingredients for this meal by 30. a. How much of a volume increase is necessary to justify the price cut from 530 to 410 yen? Assume the previous profit margin (contribution to overhead) for this meal was 220. What is the implied price elasticity of demand associated with this necessary rise in demand? b. Suppose sales volume of this meal rises by 60 percent. What will be the percentage change in McDonald's dollar profit from this meal? c. What other reasons might McDonald's have had for cutting price besides raising its profits? if Sinx + sinx = 1, then Cosx + Cosx is Robert Monks & Nell Minow, define corporate governance as "the relationship among various participants in determining the direction and performance of corporations". Critically explain the corporate governance control system role. Discuss corporate governance mechanisms available for corporate top management.