discounts that are designed to encourage repeat buying by a single customer over a given time period, such as a year, are referred to as

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Answer 1

The discounts that are designed to encourage repeat buying by a single customer over a given time period, such as a year, are referred to as loyalty discounts. These discounts are used by companies to entice customers to continue purchasing their products or services repeatedly.In an attempt to keep their customers loyal to their brand, many businesses have implemented loyalty programs.

A loyalty program is a marketing approach that rewards customers for their frequent purchases and encourages them to continue buying the company's products or services.Loyalty discounts may take several forms, including rebates, free shipping, rewards points, and exclusive promotions. They can also be customized based on the customer's purchasing habits and preferences. The ultimate goal of loyalty discounts is to create a long-term relationship between the customer and the business that is mutually beneficial.A good example of loyalty discounts can be seen in many grocery stores. Customers can sign up for loyalty programs that offer discounts on groceries, exclusive promotions, and even free items. These programs encourage customers to shop at the store repeatedly and create a sense of brand loyalty.Loyalty discounts are an effective marketing tool that businesses use to maintain a strong customer base. They are designed to incentivize customers to continue buying from a company by offering rewards and discounts. In conclusion, loyalty discounts are beneficial for both customers and businesses as they create long-term relationships that are profitable for both parties.

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Related Questions

How would you handle an upset customer? Some of you may have already had experience in this area. Please outline the steps you would take to resolve the customer’s problem in a way that makes them want to continue working with your workplace.

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As a customer service representative, handling an upset customer is a critical part of your job. Resolving customer complaints is one of the most challenging tasks to accomplish. However, it’s essential to know how to handle a difficult customer professionally, so they continue to patronize your workplace.

Below are the steps you should take to resolve the customer’s problem: Step 1: Listen attentively. When a customer calls, give them your full attention. Let them tell you their concerns without interrupting them. Step 2: Empathize with the customer. It’s essential to understand the customer’s issue to help them. Put yourself in their shoes, listen to their problem, and imagine how they are feeling. Step 3: Apologize for the situation. Regardless of who caused the problem, always apologize for the inconvenience caused to the customer. Step 4: Ask for specific information. To resolve the customer’s problem, ask for specific details such as order number, name, or date of purchase. Step 5: Offer a solution. Provide the customer with a solution to their problem. Always ensure that the solution is beneficial to the customer. Step 6: Follow up with the customer. Ensure that the customer is satisfied with the solution offered. Follow up with them to know if the solution worked. Step 7: Keep your promise. Always keep the promises you made to the customer. It builds trust and confidence in your business.

In conclusion, handling an upset customer can be challenging, but following the steps above will help resolve their problem professionally. When you successfully resolve the customer’s issue, they will continue to do business with your workplace.

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Which of the following is most accurate regarding the timing and frequency of risk assessment? Select one: O a. At the start of a project when developing the project management plan O b. At the start of the project followed by at regular intervals throughout the project lifecycle O c. After the risk event has taken place O d. When a risk event is anticipated O e. Should be based on risk triggers

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The most accurate regarding the timing and frequency of risk assessment is B.) at the start of the project followed by at regular intervals throughout the project lifecycle.

This is the best answer as risk management should be conducted in a comprehensive manner throughout the project lifecycle. It should not just be conducted at the start of the project. Instead, it should be continuously conducted and updated at every stage of the project lifecycle.What is risk management?Risk management is the process of identifying, assessing, and controlling risks that threaten an organization's or project's objectives. It is the continuous and systematic application of the management process to recognize, evaluate, and manage risks to optimize the probability of success and reduce negative consequences. The project manager should keep track of risk management progress throughout the project lifecycle to ensure that it is effective and timely.

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Blank Slate Inc produces two types of tablet computers: a basic version and a high-end version. During January the following data are available:

Basic High-end

Actual units sold 10,000 40,000

Budgeted sales 8,820 33,180

Actual selling price $700 $900

Budgeted selling price $710 $930

Budgeted market share 25% 24%

Actual market share 20% 25%

Budget cont. margin /unit $275 $375

Required:

Determine the following:

a) Sales-mix and sales-quantity variances

b) Market-share and market-size variances

Answers

The sales mix variance is favorable and the sales quantity variance is unfavorable. The market-share variance is unfavorable and the market-size variance is unfavorable.

a) The sales mix and sales quantity variances are as follows:

Selling price variance = (Actual selling price - Budgeted selling price) × Actual units sold a.

Sales-mix variance = [(Actual sales mix % - Budgeted sales mix %) × Budgeted unit sales] × Budgeted contribution margin/unit b.

Sales-quantity variance = (Actual units sold - Budgeted unit sales) × Budgeted contribution margin/unit Where;

Budgeted sales mix %

= [(Budgeted sales of Basic version / Total budgeted sales) × 100%]

= [(8820 / 41685) × 100%]

= 21.15%Actual sales mix %

= [(Actual sales of Basic version / Total actual sales) × 100%]

= [(10000 / 50000) × 100%]

= 20%Variance in selling price of Basic version

= ($700 - $710) × 10000 = $-10,000 Favorable variance in selling price of High-end version

= ($900 - $930) × 40000 = $-1,200,000 Favorable sales-mix variance

= [(20% - 21.15%) × 41685] × $275

= $-77190.38 Favorable sales-quantity variance

= (10000 - 8820) × $275 = $32,175 b) The market share and market size variances are as follows:

Market-share variance

= (Actual market share % - Budgeted market share %) × Total units sold × Budgeted contribution margin/unit Market-size variance

= (Actual unit sales - Budgeted unit sales) × Budgeted selling price Where;

Total units sold = 10,000 + 40,000

= 50,000 Budgeted market share % of Basic version

= (8820 / 41685) × 100% = 21.15%Actual market share % of Basic version

= (10000 / 50000) × 100%

= 20%Favorable market-share variance

= (20% - 24%) × 50,000 × $325

= $- market-size variance

= (50,000 - 42,000) × $820

= $-6,560,000

Thus, the sales mix variance is favorable and the sales quantity variance is unfavorable. The market-share variance is unfavorable and the market-size variance is unfavorable.

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The COVID pandemic helped us to move from face-to-face to online leaning. 2.1 Choose the best Learning Management Systems and describe how you will use it for teaching and learning purposes (e.g. Moodle, Edmodo, Schoology, etc.) Artificial Intelligence, Simulations, Nano technology, etc.).

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The COVID pandemic forced the world into an abrupt shift from face-to-face to online learning. While most schools, universities and other institutions were already using some form of a learning management system (LMS), the pandemic accelerated the adoption of more robust and comprehensive LMS.

A good LMS should enable learning to happen even when students are not physically present in the classroom. The LMS should facilitate synchronous and asynchronous learning and should be easily accessible from different devices such as desktop computers, laptops, tablets, and smartphones. It should also offer secure and reliable connectivity, collaboration tools, and assessment features. The best Learning Management Systems are discussed below: Moodle - Moodle is a free and open-source LMS that is widely used in schools, universities, and other educational institutions. Moodle offers a range of features such as grading, course management, reporting, and student collaboration.

Moodle can be customized to fit the specific needs of the teacher or institution. Edmodo - Edmodo is a social learning platform designed for K-12 schools and teachers. It offers a range of features such as course management, grading, and discussion forums. Edmodo also allows teachers to create and share content with their students, and to connect with other teachers. Schoology - Schoology is a cloud-based LMS that is designed for K-12 schools and higher education institutions. Schoology offers a range of features such as course management, assessment, and analytics. Schoology also allows teachers to create and share content with their students, and to connect with other teachers. The LMS of choice will depend on the specific needs of the teacher or institution.  

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Must a contract always be in writing to be enforceable?

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While not all contracts need to be in writing to be enforceable, it is advisable to have important agreements documented in writing to ensure clarity, protect the interests of all parties, and provide stronger evidence in case of disputes.

In general, a contract does not always have to be in writing to be enforceable. Contracts can be formed orally or through conduct, and these types of agreements are known as "oral contracts" or "implied contracts." However, certain types of contracts are required to be in writing to be enforceable under what is known as the "Statute of Frauds."

The Statute of Frauds varies by jurisdiction but typically includes contracts for the sale of real estate, contracts that cannot be performed within one year, contracts for the sale of goods over a certain value, and agreements to pay someone else's debts. These types of contracts must be in writing and signed by the parties involved to be enforceable.

While oral contracts and implied contracts are generally enforceable, they can be more difficult to prove in court due to the lack of written documentation.

Written contracts offer the advantage of clarity, providing a clear record of the terms and conditions agreed upon by the parties. They can help prevent misunderstandings and provide stronger evidence in case of disputes.

It is generally recommended to have important agreements in writing to protect the interests of all parties involved. Having a written contract helps establish the rights and obligations of each party, ensures clarity, and can provide legal protection in case of disagreements or breaches of contract.

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describe the advantages and limitations of scoring models in project selection.

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Scoring models offer objectivity, consistency, and decision support in project selection. However, they may have limitations related to subjective criteria, limited perspective, inflexibility, and potential weighting issues.

Scoring models offer several advantages in project selection, but they also have certain limitations to consider.

Advantages of scoring models:

Objectivity: Scoring models provide an objective and systematic approach to evaluate and compare projects based on predetermined criteria.

Consistency: Scoring models ensure consistency in evaluating projects by applying the same set of criteria to all options.

Decision Support: Scoring models serve as decision support tools, providing a structured framework for project evaluation.

Limitations of scoring models:

Subjective Criteria: The effectiveness of scoring models relies on the quality of criteria chosen.

Limited Perspective: Scoring models typically focus on quantitative factors and may overlook qualitative or strategic aspects.

Lack of Flexibility: Scoring models are static frameworks that may not easily accommodate changes or dynamic circumstances during the project evaluation process.

Weighting Issues: Assigning weights to different criteria involves subjectivity and can influence the overall outcome.

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a. MF Corporation has an ROE of 16% and a plowback ratio of 50%. If the coming year's earnings are expected to be $4 per share, at what price will the stock sell? The market capitalization rate is 12%. (Do not round intermediate calculations. Round your answer to 2 decimal places.) Price ____ b. What price do you expect MF shares to sell for in three years? (Do not round intermediate calculations. Round your answer to 2 decimal places.) Price ____

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a. The stock is expected to sell at a price of $100 based on the Gordon Growth Model. b. In three years, the expected price of MF shares is $25.

a. To calculate the price at which the stock will sell, we can use the Gordon Growth Model (also known as the Dividend Discount Model). The formula for the Gordon Growth Model is:

Price = D1 / (r - g)

Where:

D1 = Expected dividends per share in the next year

r = Market capitalization rate (required rate of return)

g = Growth rate of dividends

In this case, the plowback ratio is 50%, which means that 50% of earnings are reinvested and the remaining 50% is paid out as dividends. Therefore, the growth rate of dividends (g) is given by:

g = ROE * plowback ratio

= 16% * 50%

= 8%

The expected dividends per share (D1) are $4, and the market capitalization rate (r) is 12%.

Now we can calculate the price at which the stock will sell:

Price = $4 / (0.12 - 0.08)

= $4 / 0.04

= $100

Therefore, the stock is expected to sell at a price of $100.

b. To calculate the expected price of MF shares in three years, we can use the Gordon Growth Model again. However, we need to consider the future dividends and growth rate.

The future dividends per share (D4) can be calculated using the plowback ratio and the expected earnings per share:

D4 = Earnings per share * plowback ratio³

= $4 * (50%)³

= $1

The growth rate (g) remains the same at 8%. The market capitalization rate (r) also remains the same at 12%.

Now we can calculate the expected price of MF shares in three years:

Price = $1 / (0.12 - 0.08)

= $1 / 0.04

= $25

Therefore, the expected price of MF shares in three years is $25.

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Question 27 4 pts ABC Pipeline Co. has decided to replace its one foot diameter gasoline pipeline between Birmingham and Atlanta with a two foot diameter pipeline. How much will this increase their ca

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The capacity of a pipeline is determined by its diameter and other factors such as flow velocity and pressure.

Assuming all other factors remain constant, we can estimate the increase in capacity when ABC Pipeline Co. replaces its one-foot diameter gasoline pipeline with a two-foot diameter pipeline.

The capacity of a pipeline is directly proportional to the cross-sectional area of the pipe. The cross-sectional area is calculated using the formula A = πr², where A is the area and r is the radius of the pipe.

For the one-foot diameter pipeline, the radius would be 0.5 feet (0.5 = 1/2). Therefore, the cross-sectional area would be π(0.5)² = 0.785 square feet.

For the two-foot diameter pipeline, the radius would be 1 foot. So, the cross-sectional area would be π(1)² = 3.142 square feet.

The increase in capacity can be calculated by taking the ratio of the areas of the two pipelines: (3.142 sq ft)/(0.785 sq ft) = 4.

Therefore, replacing the one-foot diameter pipeline with a two-foot diameter pipeline would increase the capacity of the pipeline by approximately four times.

Note: This calculation assumes that all other factors remain constant and that the flow velocity and pressure can accommodate the larger diameter pipeline.

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Which of the following statements applies to obtaining an undergraduate college degree?
a. it may be the single best investment you will ever make
b. all of the above
c. They are expensive and rarely pay off in increased earnings
d. there is no relationship between personal wealth and earning a college degree

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The statement that applies to obtaining an undergraduate college-degree is: "It may be the single best investment you will ever make." Therefore, option a is correct.

Earning an undergraduate college degree is generally considered a valuable investment for several reasons. Firstly, obtaining a college degree can significantly enhance career prospects and increase earning potential. Numerous studies have shown that, on average, individuals with a college degree tend to earn higher salaries compared to those without a degree. This higher earning potential can lead to long-term financial stability and a better quality of life.

Moreover, a college degree often provides individuals with a broader range of knowledge, critical thinking skills, and opportunities for personal and professional growth. It equips them with the necessary skills and expertise to excel in their chosen fields, adapt to changing job market demands, and pursue higher-level positions or further education.

While there are differing opinions on the value and return on investment of a college degree, the statement that earning an undergraduate college degree "may be the single best investment you will ever make" holds true for many individuals. It offers the potential for increased earning power, career advancement, and personal development, making it a worthwhile investment for many people pursuing higher education.

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A country loses much of its capital stock to a war. (Do not consider any other potential impact of the war.) a. This event should cause the country's current employment to decrease output to decrease and the real wage to decrease b. The loss of capital will cause desired investment to increase c. The effects on desired national saving of the war-time losses are ambiguous. One reason for desired saving to rise is A. that the decrease in capital stock ultimately causes the marginal propensity to consume to decrease. B. the effect of the change in current output through the consumption-smoothing motive. C. the Ricardian equivalence proposition. D. that anticipated future income decreases.

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The event of a country losing much of its capital stock to a war will have various effects on employment, output, real wage, desired investment, and desired national saving. The specific impacts can be explained as follows:

a. The loss of capital stock due to war will likely decrease current employment as there is a reduction in productive capacity. This, in turn, leads to a decrease in output as the country's ability to produce goods and services is impaired. Additionally, the real wage may also decrease as the decreased capital stock limits productivity and bargaining power.

b. The loss of capital generally reduces the country's desired investment. With a reduced capital stock, there is a need to replenish and rebuild the infrastructure, which requires investment.

c. The effects on desired national saving due to war-time losses are ambiguous. One reason for desired saving to rise is that the decrease in capital stock ultimately causes the marginal propensity to consume to decrease. As individuals anticipate lower future income due to the loss of capital, they may choose to save more to maintain their standard of living or prepare for uncertain times.

Overall, the impact of a war-induced loss of capital on employment, output, real wage, desired investment, and desired national saving is complex and can vary depending on the specific circumstances and dynamics of the economy.

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The market value of John and Barbara's home is currently $210,000. The mortgage balance is $150,000 at 3.5% with 15 years left. What is their home's value in 12 years if its market value increases at 5% per year?

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The market value of John and Barbara's home is currently $210,000 and the mortgage balance is $150,000 at 3.5% with 15 years left. Then their home's value in 12 years if its market value increases at 5% per year is $1,332,999.34.

To solve the above problem, we need to calculate the current market value of their home that will be used in the formula given below.

The formula for calculating the future value of an annuity: FV = A x [(1 + r)n - 1] / r + PV x (1 + r)

where, FV = Future Value, A = Periodic, Payment

r = Rate per, Period

n = Number of Periods, PV = Present Value

Here, Market value (PV) = $210,000

Annual increase rate (r) = 5%Monthly interest rate (i) = 3.5% / 12 = 0.0029167

Period (n) = 12 x 15 = 180

months periodic payment (A) =PV x r / [1 - (1 + r)-n] = $150,000 x 0.0029167/[1 - (1 + 0.0029167)-180] =$991.70

Approximately FV = 991.70 x [(1 + 0.0029167)180 - 1] / 0.0029167 + $210,000 x (1 + 0.05)12= 991.70 x 3.9102 / 0.0029167 + $373,026.74= $1,332,999.34

Therefore, their home's value in 12 years if its market value increases at 5% per year is $1,332,999.34.

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Janice will need to pay $200 at the end of every month for the next 12 months, except for the payment of the 5th month. What is the present value, assuming a rate of 4%, compounded semi-annually? A. $2,160.06 В. $2,152.48 C. $2,254.09 D. $2,348.97

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To calculate the present value of the payments, we can use the formula for the present value of an ordinary annuity:

PV = PMT × [1 - (1 + r/n)^(-nt)] / (r/n)

Where: PV = Present value

PMT = Payment amount

r = Interest rate

n = Number of compounding periods per year

t = Number of years

Given information: PMT = $200

r = 4% (expressed as a decimal, 0.04)

n = 2 (compounded semi-annually)

t = 12 months / 12 = 1 year

Substituting the values into the formula:

PV = $200 × [1 - (1 + 0.04/2)^(-2 × 1)] / (0.04/2)

Simplifying the expression:

PV = $200 × [1 - (1.02)^(-2)] / 0.02

PV = $200 × (1 - 0.9604) / 0.02

PV = $200 × 0.0396 / 0.02

PV = $3.96

Therefore, the present value of the payments is $3.96. None of the given answer choices match this amount. It's possible that there might be an error in the provided answer choices.

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Nordstrom’s is ordering 10,000 parkas. The expected shortage is
500. The fill rate will be
a.
90%
b.
5%
c.
95%
d.
9500

Answers

The fill rate of 95% (c) means that Nordstrom's expects to fulfill 95% of the total order of 10,000 parkas, resulting in a shortage of 500 units.

The fill rate refers to the percentage of the total order that a company is able to fulfill at a given time. In this case, Nordstrom's is ordering 10,000 parkas. The expected shortage is 500 units. To determine the fill rate, we need to calculate what percentage of the order will be fulfilled.

If the fill rate is 90% (a), it means that Nordstrom's will be able to fulfill 90% of the order, resulting in a shortage of 1,000 units (10,000 * 0.1 = 1,000).

If the fill rate is 5% (b), it means that Nordstrom's will only be able to fulfill 5% of the order, resulting in a shortage of 9,500 units (10,000 * 0.95 = 9,500).

If the fill rate is 95% (c), it means that Nordstrom's will be able to fulfill 95% of the order, resulting in a shortage of 500 units (10,000 * 0.05 = 500).

If the fill rate is 9500 (d), it seems to be a typographical error as it is an unusually high value and does not represent a percentage. Therefore, it is not a valid option for the fill rate.

Based on the given options, the correct answer is (c) 95%, which means Nordstrom's expects to fulfill 95% of the 10,000 parkas order, resulting in a shortage of 500 units.

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AAA Corporation is applying Total Quality Management. Which of the following types of change is most likely to be used in this case? A Evolutionary Change. B) Revolutionary Change. Functional Change.

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In the case of AAA Corporation applying Total Quality Management (TQM), the most likely type of change to be used is Evolutionary Change. TQM is a continuous improvement approach that focuses on making incremental changes and adjustments to processes and systems to enhance quality and customer satisfaction.

It involves ongoing evaluation, feedback, and improvement based on the principles of continuous learning and adaptation. Evolutionary change aligns with the philosophy of TQM, as it emphasizes gradual and continuous improvement rather than radical or revolutionary transformations.

Total Quality Management (TQM) is an approach that emphasizes continuous improvement, customer satisfaction, and involvement of all employees in the quality improvement process. It focuses on making incremental changes and adjustments to processes, systems, and behaviors within an organization to enhance quality and meet or exceed customer expectations.

Evolutionary change, in the context of TQM, refers to a gradual and continuous improvement process. It involves identifying areas for improvement, implementing small changes, monitoring the results, and making further adjustments based on feedback and data analysis. This type of change recognizes that achieving significant improvements in quality and organizational performance takes time and requires the involvement and commitment of all employees.

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How do I calculate the income from the subsidiary when trial balance shows one amount.

Answers

When calculating the income from the subsidiary when trial balance shows one amount, you need to use the information available and follow some steps to get an accurate result.

Step 1: Start by identifying the subsidiary company's income statement and balance sheet. The income statement provides information about the company's revenue and expenses, while the balance sheet b information about its assets, liabilities, and equity.Step 2: Next, adjust the subsidiary company's financial statements to conform to the parent company's accounting policies. If the parent company uses a different accounting method than the subsidiary company, it may be necessary to make some adjustments to the subsidiary company's financial statements.Step 3: Eliminate the subsidiary's intercompany transactions. These are transactions between the parent company and the subsidiary company that are reflected in the subsidiary company's financial statements. By eliminating these transactions, you can get a more accurate picture of the subsidiary company's financial performance.Step 4: Use the adjusted financial statements to calculate the subsidiary's net income. This is the amount of money the subsidiary earned after subtracting its expenses from its revenue. The net income is typically found on the income statement.Step 5: Calculate the percentage of ownership that the parent company has in the subsidiary company. This will be used to determine how much of the subsidiary's net income is attributable to the parent company.Step 6: Use the percentage of ownership to calculate the parent company's share of the subsidiary's net income. This will give you an idea of how much money the parent company can expect to receive from the subsidiary company.

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a terminated employee that has exercised the conversion privilege is able to convert

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A terminated employee that has exercised the conversion privilege is able to convert their group health insurance coverage to an individual policy.

When an employee is terminated or leaves a job, they may lose access to the group health insurance coverage provided by their employer. However, many group health insurance plans offer a conversion privilege, which allows terminated employees to convert their group coverage into an individual policy.

The conversion privilege enables the terminated employee to continue their health insurance coverage by converting it to an individual policy with the same or similar coverage benefits. This option provides a seamless transition from the group plan to an individual plan, allowing the employee to maintain their health insurance coverage without any gaps in coverage.

The conversion privilege typically comes with certain conditions, such as a specific timeframe within which the conversion must be requested and the payment of premiums at individual rates. The converted individual policy may have different terms and premiums compared to the group coverage.

A terminated employee who exercises the conversion privilege is able to convert their group health insurance coverage to an individual policy. This option allows the employee to continue their health insurance coverage after leaving their job and helps ensure continuous access to healthcare benefits.

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Final answer:

The conversion privilege allows a terminated employee to convert their group insurance policy into an individual policy, thus preserving their insurance coverage despite the end of employment.

Explanation:

A terminated employee who has exercised the conversion privilege is essentially exercising their right to convert their group insurance policy, typically a life or health insurance, into an individual insurance policy. This means that, despite no longer being employed and eligible for group benefits, they can still access insurance coverage. For instance, an employee could convert their group life insurance policy into an individual one upon termination, thereby maintaining their coverage. It's important for employees to understand their conversion rights in different policies, as this can provide significant benefits and peace of mind in certain life changes and events.

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At which tax rate the yield after taxes will be the same for the following bonds Corporate Bond with 10% coupon Municipal Bond with 7% coupon Seleccione una: O 13% O 7% O 10% O 3% O 70% O not enough data to answer O 30%

Answers

The tax rate at which the yield after taxes will be the same for the given Corporate Bond with 10% coupon and Municipal Bond with 7% coupon can be determined using the formula:

Yield after taxes = Yield before taxes × (1 - Tax rate)

We need to find the tax rate at which the yield after taxes will be the same for both the bonds. Let the tax rate be "r".For the Corporate Bond:

Yield after taxes = 10% × (1 - r)

For the Municipal Bond:

Yield after taxes = 7% × (1 - 0) = 7%Equating the two yields after taxes:10% × (1 - r) = 7%Simplifying the equation:1 - r = 0.7r = 0.3The tax rate at which the yield after taxes will be the same for both the bonds is 30%.

Using the given formula;

Yield after taxes = Yield before taxes × (1 - Tax rate)We can find the tax rate at which the yield after taxes will be the same for the given Corporate Bond with 10% coupon and Municipal Bond with 7% coupon.

In general, the tax rate is different for different bonds, and a bond with a higher coupon rate may be more profitable even if the yield after tax is lower. However, for these specific bonds, we have the following calculation:

For the Corporate Bond:

Yield after taxes = 10% × (1 - r)For the Municipal Bond:

Yield after taxes = 7% × (1 - 0) = 7%

Equating the two yields after taxes:10% × (1 - r) = 7%

Simplifying the equation:1 - r = 0.7r = 0.3

The tax rate at which the yield after taxes will be the same for both the bonds is 30%.

Therefore, the answer is 30%.

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a company issued 70 shares of $100 par value common stock for $8,000 cash. the total amount of paid-in capital is: multiple choice $8,000. $700. $7,000. $1,000. $100.

Answers

A company issued 70 shares of$ 100 par value common stock for$ 8,000 cash. The total quantum of paid- in capital is$ 7,000. thus, the correct option is C.$ 7,000.

What's Paid- in capital?

Paid- in capital is the quantum of plutocrat a company receives from investors when they buy stock. It's the capital that shareholders give to a company in exchange for shares of power. Paid- in capital can also be appertained to as contributed capital, paid- up capital, or capital stock.

How to calculate paid- in capital?

The formula to calculate paid- in capital is as follows

Paid- in Capital = Par Value of Stock x Number of Shares Issued fresh Paid- in Capital

Where, Par value of stock is the face value of a share of stock as determined by the company.

Number of shares issued is the total number of shares a company has issued.

Additional Donated- in Capital is the quantum of capital in excess of par value that's paid by investors for shares of stock.

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Stock X has an expected return of 10.7% and a beta of 0.9. Stock Y has an expected return of 17.9% and a beta of 2.4. Stock Z has an expected return of 13.5% and a beta of 1.5. The market risk premium is 7% and the risk-free rate is 3%. Which of the following statements is true?
A. Stock X is underpriced, Stock Y is overpriced, Stock Z is overpriced.
B. Stock X is fairly priced, Stock Y is underpriced, Stock Z is underpriced.
C. Stock X is over priced, Stock Y is overpriced, Stock Z is underpriced.
D. Stock X is fairily priced, Stock Y is fairly priced, Stock Z is overpriced.
E. Stock X is underpriced, Stock Y is overpriced, Stock Z is fairly priced.

Answers

Answer:

The correct statement is:

E. Stock X is fairly priced, Stock Y is overpriced, Stock Z is fairly priced.

Explanation:

This is determined by comparing the expected returns of the stocks with their respective required returns based on the Capital Asset Pricing Model (CAPM).

Calculating the required returns using the CAPM formula, we find that:

- Stock X has an expected return of 10.7%, which is higher than the required return of 9.3%. Therefore, Stock X is fairly priced.

- Stock Y has an expected return of 17.9%, which is lower than the required return of 19.8%. Therefore, Stock Y is overpriced.

- Stock Z has an expected return of 13.5%, which is equal to the required return of 13.5%. Therefore, Stock Z is fairly priced.

Based on these comparisons, we can conclude that Stock X and Stock Z are fairly priced, while Stock Y is overpriced.

T/F: Public sector organizations are not considered to be not-for-profit organizations.
T/F: The product-market exploitation operation describes attempts by the organization to increase the number of markets to increase the product sales.
T/F: Both small businesses and entrepreneurial ventures play an important role in the global economy

Answers

False. Public sector organizations can be not-for-profit organizations. False. The correct term is "market development operation," which describes attempts by the organization to identify and develop new markets for existing products or services. True. Both small businesses and entrepreneurial ventures play a crucial role in creating jobs.

False: Public sector organizations can be considered not-for-profit organizations. Not-for-profit organizations are those that operate for purposes other than generating profit, and public sector organizations, such as government agencies and public institutions, often fall under this category.

False: The product-market exploitation operation refers to strategies aimed at increasing market share or sales volume in existing markets, rather than increasing the number of markets. It involves maximizing the potential of current products in current markets.

True: Both small businesses and entrepreneurial ventures play crucial roles in the global economy. Small businesses contribute to job creation, economic growth, and innovation, while entrepreneurial ventures introduce new ideas, products, and services, driving competition and economic development.

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Determine the amount of long-term debt for ABC Co. using the following balance sheet information: cash balance of $24,401, accounts payable of $95,387, common stock of $400,803, retained earnings of $501,427, inventory of $205,378, other assets equal to $76,013, net plant and equipment of $706,024, short-term notes payable of $30,000, and accounts receivable of $142,667. Long-Term Debt $

Answers

Based on the provided balance sheet information, ABC Co.'s long-term debt can be calculated by subtracting the sum of its current liabilities (accounts payable and short-term notes payable) from its total liabilities and equity. The long-term debt for ABC Co. is $529,400.

To determine the amount of long-term debt, we need to calculate the total liabilities first. The total liabilities can be obtained by summing up the current liabilities (accounts payable and short-term notes payable) and the long-term debt. Since the balance sheet information does not provide a specific value for long-term debt, we can calculate it by subtracting the sum of current liabilities from the total liabilities and equity.

Total liabilities = Accounts payable + Short-term notes payable + Long-term debt

Using the provided information:

Total liabilities = $95,387 + $30,000 + Long-term debt

Total liabilities and equity = Total assets = Cash + Accounts receivable + Inventory + Net plant and equipment + Other assets + Common stock + Retained earnings

From the given balance sheet information, we have:

Total assets = $24,401 + $142,667 + $205,378 + $706,024 + $76,013 + $400,803 + $501,427

Equating the total liabilities and equity to the total assets, we can solve for the long-term debt:

Total liabilities + Common stock + Retained earnings = Total assets

$95,387 + $30,000 + Long-term debt + $400,803 + $501,427 = $24,401 + $142,667 + $205,378 + $706,024 + $76,013 + $400,803 + $501,427

Simplifying the equation, we find:

Long-term debt = $529,400

Therefore, the long-term debt for ABC Co. is $529,400.

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we import a foreign configuration in a raid array, if:

Answers

We import a foreign configuration in a RAID array if we encounter a situation where the RAID controller detects a configuration that does not match its own or has been imported from another system.

In a RAID (Redundant Array of Independent Disks) array, the configuration refers to the specific arrangement and settings of the disks within the array. Each RAID controller has its own specific configuration that it expects to find when initializing the array. However, there are situations where a foreign configuration is detected, indicating that the array's configuration does not match what the controller expects.

Importing a foreign configuration is necessary to ensure that the RAID array is correctly recognized and accessible by the controller. This process involves the RAID controller identifying the foreign configuration and then importing it into its own configuration. This allows the controller to properly manage the array and ensure data integrity.

Importing a foreign configuration can be triggered by various scenarios, such as replacing a failed RAID controller, moving disks from one system to another, or encountering a configuration mismatch due to changes in the RAID controller settings.

Importing a foreign configuration in a RAID array is required when the RAID controller detects a configuration that does not match its own. This process ensures that the RAID array is correctly recognized and accessible by the controller, allowing for proper management and data integrity within the array.

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Suppose there are 100 firms in a perfectly competitive industry. Each firm has a U-shaped, long-run average cost curve that reaches a minimum of $10 at an output level of 8 units. Marginal costs are given by
and market demand is given by
MC(q) = q + 2 Q = 1000 − 20P.
Find the long-run equilibrium in this market and determine the consumer and producer surplus (in this case, the areas of the triangles).
Suppose instead there was a single supplier whose marginal cost curve is
MC(Q)= 1 Q+2 100
i) Find the monopolist’s total revenue curve, TR(Q).
ii) If the monopolist’s marginal revenue is MR(Q) = 50 − Q , what is its optimal supply?

Answers

The consumer and producer surplus (in this case, the areas of the triangles) are $500 and $125, respectively.

(i) The total revenue curve TR(Q) can be found by multiplying the quantity Q by the price P.

(ii) The monopolist's optimal supply is approximately 16.67 units.

In a perfectly competitive market with 100 firms, the long-run equilibrium occurs when each firm produces at the minimum point of its U-shaped average cost curve. Given the marginal cost equation MC(q) = q + 2Q = 1000 - 20P, we can set it equal to the price P to find the equilibrium quantity. Solving for P, we get P = $50. Substituting this back into the marginal cost equation, we find Q = 25. Thus, each firm produces 25 units, resulting in a total market supply of 2500 units.

Consumer surplus can be calculated as the area above the market price and below the demand curve, which is a triangle with a base of 25 units and a height of $50 - $10 = $40. Therefore, consumer surplus is (1/2) * 25 * 40 = $500. Producer surplus can be calculated as the area below the market price and above the supply curve, which is also a triangle with a base of 25 units and a height of $10. Hence, producer surplus is (1/2) * 25 * 10 = $125.

In the case of a single monopolistic supplier with the marginal cost curve MC(Q) = 1Q + 2/100, the total revenue curve TR(Q) can be found by multiplying the quantity Q by the price P.

Since the monopolist is the sole supplier, the price is determined by the demand curve. Given the marginal revenue MR(Q) = 50 - Q, the monopolist's optimal supply occurs where marginal revenue equals marginal cost. Equating MR(Q) with MC(Q), we have 50 - Q = 1Q + 2/100. Solving for Q, we find Q = 16.67 units. Therefore, the monopolist's optimal supply is approximately 16.67 units.

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Given the evidence on average mutual fund performance and the
size of average fund fees charged, it is clear that the mutual fund
industry is destroying value and should be closed. Discuss

Answers

The mutual fund industry is being accused of destroying value and should be closed based on the evidence on average mutual fund performance and the size of average fund fees charged. It is believed that the industry charges investors more than they deliver and fails to meet its primary objective, which is to deliver higher returns to investors at a lower cost.

The average mutual fund returns have been underwhelming. It has been shown that mutual funds tend to underperform the market indexes against which they are compared. In addition, the average mutual fund has a significant turnover of holdings, which drives up fees and creates additional tax burdens for investors.Average fund fees charged by mutual funds are among the highest in the industry. Expense ratios and other fees charged by mutual funds make them more expensive than other types of investments, such as exchange-traded funds (ETFs) and index funds. The higher costs of mutual funds can erode the returns on investment, leaving investors with less money in their pockets.Mutual funds have also been accused of being opaque in their operations. Many mutual fund managers have been known to engage in practices that are not always in the best interests of their investors. For example, some mutual fund managers have been known to engage in front-running, which is the practice of buying or selling securities for their own accounts before executing trades for their clients. The practice can be profitable for the fund managers but can harm their investors.Given all these factors, some investors believe that the mutual fund industry is not doing a good job of delivering value to its investors and should be closed. They argue that the industry charges investors more than it delivers and fails to meet its primary objective, which is to deliver higher returns to investors at a lower cost.

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Business partners Mike and Ike, have a tax office in Los Angeles, California, Los Angeles county. Usually, they employ four full-time tax professionals in their office. Between early January and late March, demand for their tax service increases significantly. Hence, they hire additional part-time workers during the busy season. Using these part-time employees during busy periods of demand is an example of:
a. Yield Management
b. Chasing capacity
c. Chasing demand
d. Limiting capacity

Answers

Using these part-time employees during busy periods of demand is an example of- c.  Chasing demand.

What is this demand?

Chasing demand is a strategy used by companies to accommodate changes in consumer demand by matching the amount of goods and services available to the amount demanded at any specific time.

In other words, businesses are adapting their production and operations to meet the changing needs of their consumers.

For example, hiring part-time workers during the busy season is an example of chasing demand as Business partners Mike and Ike have done.

Thus, the correct option is c. Chasing demand.

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We need to be able to dream up what the world should look like. How should government in the United States best support families?
If you could create 1 or 2 social policies what would those policies be? Please describe and flesh out the policy/policies, how it/they impact families, and how it/they would be paid for/funded. Dream big!

Answers

Dreaming big, here are two social policies that could potentially support families in the United States: Universal Childcare Program, Guaranteed Paid Family Leave.

Universal Childcare Program: The policy would establish a comprehensive and high-quality universal childcare program available to all families in the United States. The program would ensure affordable and accessible childcare services for children from infancy to school age, supporting working parents and promoting early childhood development.

This policy would be funded through a combination of federal and state investments, potentially through progressive taxation, reallocating funds from other areas, or implementing a small tax on high-income individuals or corporations.

By providing affordable childcare options, this policy would reduce financial burdens on families, support parental workforce participation, and positively impact children's early education and development.

Guaranteed Paid Family Leave: This policy would guarantee paid family leave for all employees in the United States, allowing individuals to take time off work to care for a newborn, adoptive child, or a family member with a serious health condition.

The policy would provide job-protected leave with partial wage replacement to ensure financial security during the leave period. Funding for the program could come from a social insurance system, where employees and employers contribute to a dedicated fund, similar to existing programs such as Social Security.

This policy would support families by promoting work-life balance, allowing parents to bond with their children, and ensuring individuals can provide care during critical family moments without facing financial hardship.

Both policies aim to alleviate financial stressors and provide support for families in different stages of life. By implementing these policies, the government would play a crucial role in creating a more equitable society, ensuring that all families have access to essential services and opportunities for growth.

It's important to note that the funding mechanisms provided here are just suggestions, and a comprehensive analysis and consultation with experts would be necessary to determine the most viable and sustainable funding sources for these policies.

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Calculate the yield to maturity of a bond with the help of the following given information:
- Market Price = $950
- Life of Bond =6
- Coupon Rate =13%
- Face Value = $1000

Answers

The yield to maturity (YTM) of the bond is approximately 5.97%.

ould be:

=YTM = RATE(Total Periods, -Coupon Payment, Market Price, Face Value)

Using the provided values in Excel, we can calculate the YTM:

=YTM = RATE(6, -130, 950, 1000)

The result is approximately 0.0597 or 5.97% (rounded to two decimal places).

Therefore, the yield to maturity (YTM) of the bond is approximately 5.97%.

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On January 1, 2021, Twister Enterprises, a manufacturer of a variety of transportable spin rides, issues $510,000 of 7% bonds, due in 10 years, with interest payable semiannually on June 30 and December 31 each year. 3. If the market interest rate is 6%, the bonds will issue at $547,938. Record the bond issue on January 1, 2021, and the first two semiannual interest payments on June 30, 2021, and December 31, 2021.

Answers

The premium is amortized over the bond's life, so $1,124 (one-half of $2,248) is deducted from the premium account.

On January 1, 2021, Twister Enterprises issued $510,000 of 7% bonds, which will mature in 10 years. Interest will be paid semiannually on June 30th and December 31st of each year.

If the market interest rate is 6%, the bonds will issue at $547,938. The following is the journal entry for the bond issue, as well as the first two semiannual interest payments on June 30, 2021, and December 31, 2021. The premium is $37,938, which is the difference between the selling price of the bond and the face value of the bond. The premium account is credited by this amount, and the remaining amount ($510,000) is debited to cash. At the end of the bond's life, the premium will be amortized over the life of the bond, resulting in a lower interest expense.

January 1, 2021:
Cash.................................... $547,938
Premium on Bonds Payable...................... $37,938
Bonds Payable................................ $510,000

June 30, 2021:
Interest Expense................................ $17,847
Premium on Bonds Payable...................... $1,124
Cash........................................ $18,971

December 31, 2021:
Interest Expense................................ $17,847
Premium on Bonds Payable...................... $1,124
Cash........................................ $18,971

The interest expense of $17,847 for the first semiannual period is calculated as follows: $547,938 * 6/12 = $16,437, and $37,938 * 6% = $1,410. The premium is amortized over the bond's life, so $1,124 (one-half of $2,248) is deducted from the premium account.

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a good example of a firm deploying a global standardization strategy is: group of answer choices unilever ikea amazon mcdonald's

Answers

A good example of a firm deploying a global standardization strategy is McDonald's. McDonald's is the largest and most recognized fast-food chain globally.

It has successfully used the standardization strategy by maintaining the consistency of its products and services worldwide. McDonald's uses the same product recipes, production processes, and marketing strategies across all its outlets globally. Its standardization strategy enables it to offer uniform quality products, giving customers the same experience everywhere.

Additionally, the company's global standardization strategy helps it save on production, marketing, and distribution costs, which ultimately contributes to its profitability. McDonald's business model is replicable and has enabled it to expand to over 100 countries globally.

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Consider the problem of a consumer who must choose between two types of goods, good 1 (x₁) and good 2 (x₂) costing respectively p₁ and p₂ per unit. He is endowed with an income m and has a utility function u defined by u(x₁, x₂) = √x₁ + x₂. 1. Show that the consumer's utility function is quasi-concave. 2. Write down the maximization problem of the consumer.

Answers

The consumer aims to choose x₁ and x₂ to maximize utility while staying within the budget constraint.

To show that the consumer's utility function is quasi-concave, we need to demonstrate that the utility function exhibits diminishing marginal rates of substitution (MRS).

Diminishing Marginal Rates of Substitution (MRS):

The MRS measures the rate at which a consumer is willing to substitute one good for another while keeping utility constant. In this case, the MRS is given by the partial derivative of the utility function with respect to good 1 (x₁) divided by the partial derivative with respect to good 2 (x₂):

MRS = (∂u/∂x₁) / (∂u/∂x₂)

Let's calculate the MRS:

∂u/∂x₁ = (1/2) * (x₁)^(-1/2)

∂u/∂x₂ = 1

Now we can find the MRS:

MRS = (∂u/∂x₁) / (∂u/∂x₂) = [(1/2) * (x₁)^(-1/2)] / 1 = (1/2) * (x₁)^(-1/2)

Since the MRS is positive and decreasing in x₁, it shows that the consumer's utility function is quasi-concave.

Maximization Problem:

The consumer's maximization problem is to choose the quantities of goods 1 and 2 that maximize their utility (u) subject to their budget constraint.

The budget constraint is given by:

p₁ * x₁ + p₂ * x₂ = m

The consumer's maximization problem can be written as:

Maximize u(x₁, x₂) = √x₁ + x₂

subject to p₁ * x₁ + p₂ * x₂ = m

The consumer aims to choose x₁ and x₂ to maximize utility while staying within the budget constraint.

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