In this class we have learnt the Big Five Traits of Leadership. For the purpose of this assignment please prepare a 50-60 seconds elevator pitch, explaining to your classmates: - 1 quality that you presently have which qualifies as one of the Big Five Traits - How often are you successful in putting this trait into practice One example of when you successfully put this trait into practice

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Answer 1

my conscientiousness is a key trait that makes me an effective leader. It helps me to stay organized, responsible, and reliable, and to ensure that tasks are completed successfully and on time.

It helps to stay organized, responsible, and reliable, and to ensure that tasks are completed successfully and on time.  

The Big Five Traits of  Leadership are five major personality traits that have been identified by researchers as important components of effective leadership.

These traits include openness, conscientiousness, extraversion, agreeableness, and neuroticism. One quality that I possess which qualifies as one of the Big Five Traits is conscientiousness. Conscientiousness is the trait of being organized, responsible, and reliable, and it is an important quality for effective leadership.

I am successful in putting this trait into practice on a daily basis, both in my personal life and in my professional life. I am highly organized and I always make sure that I am prepared for any task that I undertake. I am also responsible and reliable, and I always follow through on my  commitments.

One example of when I successfully put this trait into practice was when I was leading a team project in my workplace. I was responsible for organizing the project and ensuring that everyone was on track with their tasks. Thanks to my conscientiousness , the project was completed on time and to a high standard of quality.

In conclusion, my conscientiousness is a key trait that makes me an effective leader. It helps me to stay organized, responsible, and reliable, and to ensure that tasks are completed successfully and on time.  

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Related Questions

You have a project which requires an immediate, up-front investment of $2,969. In 3 years (the end of year 3), the project will pay off $4,336. - Attempt 1/1 Part 1 What is the annual internal rate of return (IRR) of this project?

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Internal Rate of Return (IRR) is a method used in capital budgeting to assess the feasibility of an investment. It is a metric used to determine the profitability of an investment and compare it to other possible investments. The Internal Rate of Return of a project can be defined as the interest rate that makes the Net Present Value of all the cash flows from the project equal to zero.

For the given project which requires an immediate, up-front investment of $2,969. In 3 years (the end of year 3), the project will pay off $4,336. We have to calculate the Annual Internal Rate of Return (IRR). We can calculate IRR by trial and error method by inputting different values into the NPV formula.

By trying different values we arrive at the solution that at 35% discount rate, NPV of cash flows is closest to zero.Therefore, the annual internal rate of return (IRR) of this project is 35%.

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You are considering making a one-time deposit of $7,094 today, in a bank that offers an interest rate of 7% APR. If you leave your money invested for 8 years, how much money will you have at the end of this period? Consider monthly compounding
INCORRECT: $12,398.69

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If you make a one-time deposit of $7,094 today with monthly compounding at an annual interest rate of 7% for 8 years, you would have approximately $12,129.52 at the end of this period.

To calculate the future value of an investment with monthly compounding, we can use the formula:

Future Value = Principal * (1 + (annual interest rate / number of compounding periods))^number of compounding periods

In this case, the principal (initial deposit) is $7,094, the annual interest rate is 7%, and the investment period is 8 years with monthly compounding (12 compounding periods per year).

Let's calculate the future value:

Number of compounding periods = number of years * number of compounding periods per year

Number of compounding periods = 8 years * 12 months per year

Number of compounding periods = 96

Future Value = $7,094 * (1 + (0.07 / 12))^96

Future Value = $7,094 * (1.00583333)^96

Future Value = $7,094 * 1.7091719

Future Value ≈ $12,129.52

Therefore, if you make a one-time deposit of $7,094 today with monthly compounding at an annual interest rate of 7% for 8 years, you would have approximately $12,129.52 at the end of this period.

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The management of the XYZ Company conducted the study to identify the minimum cost for the operation. Currently they have two (2) major products which is product A and product B and each product required three (3) main materials as shows in Table 1. Due to high cost of transportation, both products will be shipped out to customer with minimum 50 parts per shipment. The cost per unit for Product 1 is RM60 and Product 2 is RM50 and the resource available for material 1, 2 and 3 are 100 units, 300 units and 400 units. Table 1: The number of minutes required for each for item X and Y Product Material required Material 1 Material 2 Material 3 Product A 1 2 3 Product B 2 3 4 i. Formulate a linear programming based on above situation Use graphical method to solve this model.

Answers

To formulate the linear programming model based on the given situation, let's define the decision variables, objective function, and constraints:

Decision Variables:

Let X = number of units of Product A produced

Let Y = number of units of Product B produced

Objective Function:

Minimize Cost = 60X + 50Y

Constraints:

Material 1 constraint: 1X + 2Y ≤ 100

Material 2 constraint: 2X + 3Y ≤ 300

Material 3 constraint: 3X + 4Y ≤ 400

Shipment constraint: X + Y ≥ 50 (minimum 50 parts per shipment)

Non-negativity constraint: X ≥ 0, Y ≥ 0

To solve this model graphically, we can plot the feasible region and identify the optimal solution.

Plotting the Graph:

Plot the feasible region by graphing the constraints on a two-dimensional graph (X-Y plane).

Start with the Material 1 constraint: 1X + 2Y ≤ 100. Draw the line representing this constraint on the graph.

Next, plot the Material 2 constraint: 2X + 3Y ≤ 300. Draw the line representing this constraint.

Plot the Material 3 constraint: 3X + 4Y ≤ 400.

Plot the shipment constraint: X + Y ≥ 50.

Finally, add the non-negativity constraint: X ≥ 0, Y ≥ 0. This constrains the solution to the positive quadrant of the graph.

Identifying the Optimal Solution:

Find the intersection points of the lines representing the constraints.

The feasible region is the area where all constraints are satisfied.

Locate the corner points of the feasible region.

Evaluate the objective function at each corner point.

The optimal solution is the corner point with the minimum cost.

By analyzing the graph and evaluating the objective function at the corner points, you can determine the optimal solution that minimizes the cost for the operation.

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"Fastest Motors is an emerging automobile manufacturer in the two-wheeler category. They already have gained a substantial market share in international market. Now they plan to launch their range of bikes in India. They have aggressive plans to set up a dealer network in both metros and non-metros. They are also eyeing the rural market in India. They plan to launch bikes for all the income groups of the society. They plan to launch bikes at the starting price of Rs. 40000 in the basic category, bikes priced between Rs 60000- 80000 for the executive segment and premium bikes priced from Rs 1 lac – Rs 2 lacs for the upper segment.

They have decided to select the channel partners on various thoughtful parameters like their educational background, financial position, image in the market, and the relevant business experience. They generally wanted people from the automobile background. As an exception for Londonpur, they choose Mr. Ram Clinton who is a distributor for a leading FMCG brand. Mr. Ram matched all the requirements of the company except the automobile experience. He accepted this challenge and decided to take the help of a consultant who could establish the sales department for his dealership.
Now imagine that you are a leading sales and distribution consultant and Mr. Ram Clinton has approached you to establish the sales department and establish a cost effective distribution channel for his new dealership.
If the firm sales forecast is 125 million, Annual Sales forecast productivity is 5 million, attrition rate is 20%, and then how many salesperson should be ideally recruited.

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If the firm's sales forecast is INR 125 million, the annual sales forecast productivity is INR 5 million, and the attrition rate is 20%, then the ideal number of salespersons that should be recruited is 31.25.

The formula for calculating the number of salespersons required is: Salespersons required = (Sales forecast/ Sales forecast productivity) / (1 - Attrition rate)Substituting the given values, we have Salespersons required = (125,000,000 / 5,000,000) / (1 - 0.20)= 25 / 0.80= 31.25

Therefore, the ideal number of sales persons that should be recruited is 31.25. Since we can't recruit 0.25 of a person, we can either round up to 32 or round down to 31, depending on the company's preference.

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Overview
Managing and optimizing brand equity is one of the long-term goals of any organization and thus it is a joint responsibility of all the functional departments. Brand equity is the set of assets linked to the brand. These assets include brand awareness, brand loyalty, and brand associations. Appropriate alignment of key departments with marketing is a key element in the brand management and optimization process.
As the regional marketing director leading a phased marketing strategy to reopen parks after a safety incident, you must ensure key functional departments in the organization coordinate for a smooth reopening of the parks. There is a need for clear, concise, and frequent communication for helping departments understand their responsibilities and their interdependencies with other departments. As a part of your initial analysis about the brand implications, create a presentation to help the departmental heads understand the alignment needs and the roles and responsibilities of the cross-functional departments.
Prompt
In this assignment, you will identify the responsibilities of three functional departments of the organization in the course scenario: sales, operations, and marketing. You will also share the need for alignment between these functional departments to ensure the smooth reopening of the park and to improve brand equity.
Specifically, you must address the following rubric criteria:
Describe the need for alignment among the sales, operations, and marketing departments to ensure the successful reopening of the park. Consider the following key elements (1–2 slides):
Interdepartmental communication
Knowledge and feedback sharing
Identify and describe the roles of these cross-functional departments and how they can contribute to improve brand equity. Consider the following points for your description (3–5 slides):
Sales
If the sales department's primary role is to create individual and group sales for the company, what strategy can they undertake to grow sales considering the current situation? Ground your response in research and rich detail.
Operations
If the operations department’s primary role is the safety of the guests and employees, what strategy can they undertake to ensure a safe and fun experience for both guests and employees? Ground your response in research and rich detail.
Marketing
If the marketing department’s primary role is to attract, retain, and grow revenues from the park’s target audience, what strategy can they undertake considering the current situation? Ground your response in research and rich detail.

Answers

Presentation Slide 1: Need for Alignment among Sales, Operations, and Marketing

- The successful reopening of the park requires alignment among the sales, operations, and marketing departments.

- Interdepartmental communication is crucial to ensure a coordinated effort.

- Knowledge and feedback sharing will help address challenges and optimize the reopening process.

Presentation Slide 2: Roles of Cross-Functional Departments

Sales Department's Role:

- Create individual and group sales for the company.

- Strategy to grow sales in the current situation:

  - Develop attractive promotional offers to incentivize visitors.

  - Collaborate with marketing to identify target segments and tailor sales approaches.

  - Provide exceptional customer service to enhance customer satisfaction and generate positive word-of-mouth.

Presentation Slide 3: Roles of Cross-Functional Departments (contd.)

Operations Department's Role:

- Ensure the safety of guests and employees.

- Strategy to ensure a safe and fun experience:

  - Implement rigorous safety protocols and training for staff.

  - Regularly inspect and maintain park facilities and equipment.

  - Optimize operational processes to minimize wait times and maximize guest enjoyment.

  - Continuously monitor and improve safety measures based on feedback and industry best practices.

Presentation Slide 4: Roles of Cross-Functional Departments (contd.)

Marketing Department's Role:

- Attract, retain, and grow revenues from the park's target audience.

- Strategy considering the current situation:

  - Develop targeted marketing campaigns to rebuild trust and confidence among potential visitors.

  - Emphasize the park's commitment to safety and highlight any enhanced safety measures.

  - Utilize digital marketing channels to reach a wider audience and promote special offers.

  - Leverage social media platforms to engage with customers, address concerns, and share positive experiences.

Presentation Slide 5: Conclusion

- Alignment among sales, operations, and marketing departments is vital for the successful reopening of the park.

- Each department plays a crucial role in improving brand equity and ensuring a positive customer experience.

- By working together and implementing appropriate strategies, we can achieve our goal of reopening the park safely and maximizing its success.

Note: Please ensure to conduct further research and provide detailed explanations supported by relevant sources for each department's strategies.

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The price of filet mignon rises from $60 per pound to $90 per pound. In response to this price change, the quantity demanded for filet mignon falls by 60%. The absolute value of the price elasticity of demand for filet mignon ___ is and the price elasticity of demand is _____ 0.67; inelastic 1.2; elastic 1.2; inelastic 0.67; elastic 1.5; inelastic 1.5; elastic

Answers

The absolute value of the price elasticity of demand for filet mignon is 1.5, indicating that the demand is elastic. The price elasticity of demand measures the responsiveness of quantity demanded to changes in price. In this case, a price increase of 50% ($60 to $90 per pound) leads to a 60% decrease in quantity demanded.

This shows that the demand for filet mignon is sensitive to price changes and consumers are responsive by reducing their consumption by a relatively larger proportion than the price increase.

The price elasticity of demand is calculated as the percentage change in quantity demanded divided by the percentage change in price. In this case, the price increased by 50% ($30 increase out of $60 initial price) and the quantity demanded decreased by 60%.

Using the formula, the price elasticity of demand is calculated as:

Elasticity = (Percentage change in quantity demanded) / (Percentage change in price)

Elasticity = (-60% / 50%) = -1.2

Since we are interested in the absolute value of the elasticity, the absolute value of -1.2 is 1.2. This indicates that the demand for filet mignon is elastic, meaning that a change in price has a relatively larger effect on the quantity demanded.

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Determine the rotations of the material. Semi-annual use: 10526 Security Inventory 1000 units Economic Order Quantity 502

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The material rotates 5.263 times in a year.

The term "material rotation" refers to the number of times a company's inventory is used or sold within a specified period. Material rotation can be measured in various ways, depending on the company and its inventory. Material rotation is used to keep track of inventory turns, which can reveal how efficient a company is at selling its goods. In the given scenario, we have an inventory of 1000 units and we use it semi-annually.

The economic order quantity is 502. To determine the rotations of the material, we can use the following formula: Material Rotation = (Annual demand for the material) / (Average inventory level) The annual demand can be calculated by multiplying the semi-annual usage by 2, which gives us 10526 x 2 = 21052 units. The average inventory level can be calculated by dividing the economic order quantity by 2, which gives us 502 / 2 = 251 units.MR = (21052) / (251) MR = 83.787The material rotates 83.787 times in a year.

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(a) The grandparents of a new baby decide that they will try and provide funds for the grandchild’s education. They set up an education savings account with their local credit union. They commit to pay $200 into the account at the start of each month for the next 10 years. The account will yield 9 per cent per annum, compounding monthly. How much will be available for the grandchild’s education in 10 years? Estimate the amount of excess or shortfall if their grandchild education will cost around $35,000 in 10 years. (4 marks)
(b) Henry needs to save up $100,000 as a deposit to purchase a house. If interest rate is 9% pa. compounding month, estimate the following
(i) How much he needs to deposit to his account at the end of each month to achieve the saving target in 4 years. (3 marks)
(ii) Instead if he can manage to deposit 2,000 in his account at the end of each month, will it take more time or less time to save up his house deposit.

Answers

In this scenario, the grandparents have decided to provide funds for their grandchild's education by setting up an education savings account.

(a) To calculate the amount available for the grandchild's education, we can use the formula for the future value of a series of regular deposits with compound interest:

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

Where:

FV = Future Value

P = Monthly deposit amount

r = Monthly interest rate

n = Number of deposits (in this case, 10 years * 12 months/year = 120 deposits)

Plugging in the given values:

P = $200

r = 9% / 12 = 0.0075 (monthly interest rate)

n = 120

FV = 200 * [(1 + 0.0075)^120 - 1] / 0.0075

FV ≈ $34,824.23

(b) In this situation, Henry aims to save up $100,000 as a deposit to purchase a house. The interest rate on his savings account is 9% per annum, compounded monthly. The task involves estimating the following:

(i) To determine how much Henry needs to deposit into his account at the end of each month to achieve his saving target in 4 years, we can use the formula for the future value of a series of regular deposits:

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

Where:

FV = Future Value (target saving of $100,000)

P = Monthly deposit amount (to be determined)

r = Monthly interest rate (9% / 12 = 0.0075)

n = Number of deposits (4 years * 12 months/year = 48 deposits)

Plugging in the given values:

FV = $100,000

r = 0.0075

n = 48

$100,000 = P * [(1 + 0.0075)^48 - 1] / 0.0075

(ii) If Henry manages to deposit $2,000 into his account at the end of each month, we can compare the time it takes to save up his house deposit compared to the previous scenario. Since he is depositing more than the required amount, it will likely take less time to save up his house deposit.

However, to provide an accurate estimate of the time required, we would need to calculate the future value based on the increased monthly deposit of $2,000 and compare it to the target saving of $100,000.

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"What Leaders Really Do" (of Business Leadership, 20), author John Kotter notes that most corporations in the US are over ____ and under ____
Select one: A. staffed organized B. sized: funded. C. bureaucratic innovative
D. managed, led. E. led, managed.

Answers

In the book "What Leaders Really Do," author John Kotter notes that most corporations in the US are over managed and under led.

According to John Kotter, the author of "What Leaders Really Do," most corporations in the US tend to focus more on management functions rather than effective leadership. This means that they are often over-managed, with an emphasis on administrative tasks, processes, and control, but they lack strong leadership that inspires and guides the organization towards its goals.

The term "over managed" refers to an excessive emphasis on managing day-to-day operations and maintaining stability without sufficient attention to strategic direction and vision. Conversely, being "under led" implies a lack of visionary leadership that inspires, motivates, and guides the organization towards necessary changes and adaptation.

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When planning a project, we calculate an activity's latest finish time by considering its:

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When planning a project, we calculate an activity's latest finish time by considering its dependencies with other activities.

Latest Finish Time (LFT) is the maximum finish time that an activity can be finished while not delaying the project's total duration beyond the deadline. This time is used to schedule non-critical activities for completion and thus to avoid delaying project completion. A project network diagram, a critical path analysis, and a backward pass are all used to calculate LFT. The following activities can be undertaken to determine the latest finish time for each activity. The critical path analysis begins with the starting event and ends with the completion of the project. For each activity, the duration is known, but the latest finish time is unknown. The latest finish time of an activity is calculated by calculating the latest finish time of each following activity and then subtracting its duration. This time is called the Late Start Time (LST) of an activity. The LST of an activity is the latest start time that allows the project's completion time to be unchanged. For each activity, we can calculate the LST by subtracting the duration from its LFT. If the LST of an activity is equal to its earliest start time (EST), it is known as a critical activity. The critical path is determined by a sequence of activities with no slack time between them and the longest duration. Critical activities have zero slack time, which implies that any delay will increase the project's completion time. In this way, the late finish time (LFT) of an activity is calculated while planning a project.

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An advantage of work sampling is that: Select one: a. no observation is required. b. a performance rating is necessary. c. the time spent observing the employee is relatively short. d. it involves the study of the equipment only. e. it is more effective than time studies when task times are short

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An advantage of work-sampling is that the time spent observing the employee is relatively short.

Work sampling is a technique used to estimate the proportion of time a worker spends on various tasks or activities without requiring continuous observation. Instead of observing the worker continuously, work sampling involves taking intermittent samples of the worker's activities over a period of time.

One of the advantages of work sampling is that it requires relatively short observation periods compared to continuous observation methods. Instead of monitoring the worker's activities for the entire duration, work sampling allows for periodic sampling, which reduces the amount of time required for observation.

The advantage of work sampling is that it allows for relatively short observation periods. This makes it a practical and efficient method for estimating the proportion of time workers spend on various tasks or activities without the need for continuous observation.

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Five years ago, Michael invested $12,900.00. Today, he has $23,100.00. If Michael earns the same annual rate implied from the past and current values of his invsetment, then in how many years from today does he expect to have exactly $143,900.00 a)8.09 years (plus or minus 0.05 years) b)20.70 years (plus or minus 0.05 years) c)14.11 years (plus or minus 0.05 years) d)15.70 years (plus or minus 0.05 years) e)None of the above is within .05 percentage points of the correct answer

Answers

Five years ago, Michael invested $12,900.00 after 14.11 years (plus or minus 0.05 years) from  today does he expect to have exactly $143,900.00. The correct option is c.

To calculate the number of years it will take for Michael's investment to reach $143,900.00, we can use the concept of compound interest. The formula for compound interest is given by:

A = P(1 + r/n)^(nt)

Where:

A is the future value of the investment,

P is the initial principal (the amount invested),

r is the annual interest rate (expressed as a decimal),

n is the number of times interest is compounded per year, and

t is the number of years.

In this case, we need to solve for t. Given that the initial investment was $12,900.00 and the future value is $143,900.00, we can set up the equation:

$143,900.00 = $12,900.00(1 + r/n)^(nt)

We are assuming the annual rate earned over the past years will be the same going forward. Since we do not have the specific interest rate or compounding frequency provided in the question, we cannot calculate the exact time. However, based on the given answer choices, the closest option is 14.11 years.

Therefore, the correct option is c.

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The most honest way to express profits is to express it as a
percentage of total investment.
Group of answer choices
True
False

Answers

False. The most honest way to express profits is not necessarily as a percentage of total investment. While expressing profits as a percentage of total investment can provide some useful information, it is not the only or always the most accurate measure of profitability.

Profit is typically calculated as the difference between total revenue and total costs incurred in generating that revenue. It represents the financial gain or return obtained from a business or investment activity. Expressing profits as an absolute monetary value, such as in dollars or any other currency, provides a clear and straightforward measure of the actual financial gain.

Using a percentage of total investment as a measure of profitability can be misleading in certain situations. For example, if a business has a low initial investment but generates high returns, expressing profits as a percentage of total investment may make it seem more profitable than it actually is. On the other hand, a high initial investment with relatively low returns may give the impression of lower profitability when expressed as a percentage of total investment.

Therefore, the most honest way to express profits depends on the context and the specific information being conveyed. Different measures, such as absolute profits, return on investment (ROI), or profit margins, may be more appropriate and informative in different situations.

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imagine you are a financial analyst at an investment bank. according to your research of publicly traded companies, 60% of the companies that increased their share price by

Answers

To conduct research and review financial information and market trends are is the major role of financial analyst in the company. The answer is OPTION A

Research is done and market trends and financial data are examined by investment banking professionals. To evaluate agreements and assess profitability, they develop and use financial models. They monitor IPOs, private equity settlements, and merger and acquisition transactions.

Financial analysts are in charge of carrying out a range of research duties to support their clients' or their own companies' investment strategies and make investment judgements. These jobs include a lot of data and call for excellent mathematical and analytical abilities. Traditional MBAs cover a wider range of subjects than the CFA programme, including management, marketing, and strategy.

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The question is incomplete complete question is given below

imagine you are a financial analyst at an investment bank. according to your research of publicly traded companies, 60% of the companies that increased their share price by a reasonable amount, what are is the major role of financial analyst in the company?
A. conduct research and review financial information and market trends.
B. Increase the sale of the company.
C. Helps in management of the company.
D. Establishes rules tobe followed in the company.

what is the number one reason why consumers default on their debts

Answers

While there are multiple reasons why consumers default on their debts, one of the primary reasons is financial hardship resulting from a lack of income or an unexpected financial shock.

When consumers experience a significant decline in their income or face unforeseen expenses, it becomes challenging for them to meet their financial obligations. This can occur due to various factors such as job loss, reduced working hours, medical emergencies, divorce, or other personal crises. In such situations, consumers may struggle to make their debt payments, leading to default.

Financial mismanagement, including overspending, poor budgeting, and excessive borrowing, can also contribute to default. Irresponsible use of credit, failure to prioritize debt payments, and accumulating debt beyond their capacity to repay can put consumers at risk of defaulting on their debts. Other factors that may contribute to default include high interest rates, predatory lending practices, lack of financial literacy, and limited access to resources for debt management and counseling.

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Refer to case study discussion on – ‘The Marvel Way: Restoring a Blue Ocean’ and answer questions #3 and #4
Q3. How Marvel has been successful in breaking the value/cost trade-off? What are the key elements of its blue ocean strategy? Draw and discuss the strategy canvas? Q4. What is the difference between Red Ocean and Blue Ocean strategy? Give two examples (other than Marvel) and explain with the help of ERRC framework?

Answers

The strategy canvas for Marvel would show how it has differentiated itself from its competitors in the entertainment industry. Marvel would be positioned higher than most other companies in the industry. Red Ocean strategy refers to a traditional competitive business environment where companies compete within existing market boundaries, trying to outperform each other by improving their products or services while reducing costs.

Q3. Marvel's Success in Breaking the Value/Cost Trade-off and Key Elements of its Blue Ocean Strategy:

Marvel has been successful in breaking the value/cost trade-off by adopting a blue ocean strategy, which involves creating uncontested market space by simultaneously pursuing differentiation and low-cost strategies. The key elements of Marvel's blue ocean strategy are as follows:

Focusing on Content Creation: Marvel shifted its focus from merely being a comic book publisher to becoming a content creation company. This allowed them to leverage their vast library of characters and storylines across various media platforms.

Embracing Synergy: Marvel recognized the power of synergy by integrating its various media channels, such as comic books, movies, TV shows, and merchandise. This approach allowed them to create a cohesive Marvel Universe and generate cross-promotional opportunities.

Taking Creative Control: Marvel took creative control over its movies and adopted a studio-led production approach, allowing them to maintain consistency and quality across their cinematic universe. This strategy empowered Marvel to deliver compelling stories and characters that resonated with audiences.

Building a Fan-Centric Ecosystem: Marvel prioritized building a strong and loyal fan base by engaging with fans, listening to their feedback, and providing immersive experiences through conventions, fan events, and online communities. This fan-centric approach helped Marvel create a passionate and dedicated following.

The strategy canvas visually illustrates the key elements of Marvel's blue ocean strategy by comparing the industry's competing factors. The strategy canvas shows how Marvel differentiated itself from traditional comic book publishers by focusing on content creation, embracing synergy, taking creative control, and building a fan-centric ecosystem. This differentiation allowed Marvel to break the value/cost trade-off and create a unique market space where it could thrive.

Q4. Difference between Red Ocean and Blue Ocean Strategy with Examples:

Red Ocean Strategy refers to the traditional competitive market space where companies compete within existing industry boundaries. The focus is on outperforming rivals, capturing market share, and exploiting existing demand. In contrast, Blue Ocean Strategy involves creating new market space where competition is irrelevant or less intense, focusing on creating and capturing new demand.

Examples of companies that have adopted Blue Ocean Strategy using the ERRC framework are:

Cirque du Soleil: Cirque du Soleil revolutionized the traditional circus industry by combining elements of theater, music, and acrobatics. They eliminated animals, reduced costs, and targeted a new audience segment by offering a unique entertainment experience. By focusing on artistic performances and creating a new market space, Cirque du Soleil successfully differentiated itself from traditional circuses.

Southwest Airlines: Southwest Airlines redefined the airline industry by offering low-cost, no-frills flights with exceptional customer service. They eliminated unnecessary services, simplified operations, and targeted price-sensitive customers. This allowed Southwest Airlines to differentiate itself and create a blue ocean where they could compete on low costs and customer satisfaction.

Using the ERRC framework (Eliminate, Reduce, Raise, Create), both Cirque du Soleil and Southwest Airlines strategically eliminated or reduced certain industry factors (e.g., animals in circus, in-flight meals), raised other factors (e.g., artistic performances, customer service), and created new factors (e.g., entertainment experience, low-cost flights). These strategic moves allowed them to break away from traditional industry boundaries and create new market spaces, driving their success.

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Consider "control environment." Why it is important for auditors to understand a client’s control environment.

What are some limitations of internal controls? Consider "segregation of duties." Why it is important in an IT environment.

What are some advantages of using IT and audit software when conducting an audit?

Answers

Control environment is an essential element that auditors need to take into account when analyzing their clients’ financial data.

Auditors must have an adequate understanding of their clients’ control environment to recognize and evaluate the risks associated with financial transactions and data processing. Some of the reasons why auditors need to understand a client's control environment are explained below: Control environment lays the foundation for all other internal control elements. It provides guidance, support, and organizational discipline, which sets the tone for the overall control structure. By understanding a client's control environment, auditors can determine how the organization has enforced its policies and procedures to manage its operations. This can assist auditors in establishing audit strategies that consider the risks of material misstatements in financial reporting. The auditor needs to assess the effectiveness of the client’s control environment as it enables the auditor to determine the level of risk associated with the audit engagement. Limitations of Internal Controls Some limitations of internal controls include human error, management override, and cost considerations. Human error and management override can undermine the effectiveness of internal control procedures and lead to misstatements in financial statements. Management override of internal control can be difficult to detect, and it may require auditors to use professional judgment in identifying areas of concern. Segregation of duties is essential in an IT environment as it helps prevent fraud by separating incompatible duties that an individual cannot accomplish alone. Separation of duties reduces the risk of fraud by requiring that no one person has control over all phases of a transaction, making it more difficult to embezzle or misappropriate funds. IT environments are more prone to fraudulent activities, and a strong segregation of duties can prevent unauthorized access to sensitive data. Advantages of using IT and audit software when conducting an audit include; Faster data analysis and processing: Auditing software has the ability to sort, summarize, and manipulate data more efficiently than manual methods, which saves time and increases productivity. Increased accuracy and consistency: IT and audit software reduce the potential for human error and increase accuracy. Consistent data processing enables auditors to compare financial data over different periods without the risk of errors or inconsistencies. Better risk management: Auditing software can generate a variety of reports to assist in identifying areas of potential risk. IT software can also detect unusual transactions that may require further investigation by the auditor.

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Lemke Corp. uses a perpetual inventory system with a (moving) weighted average inventory costing method. The following information is available for the month of April: Apr. 1 On hand, 30 units at $5.00 each $150 8 Purchased 40 units at $5.35 each $214 15 Sold 50 units 22 Purchased 40 units at $5.50 each $220 30 On hand, 60 units Refer to the information provided for Lemke Corp. How much is the cost of goods sold for the units sold on April 15th? Oa. $255 Оb. $270 Oc. $245 Od. $260

Answers

The cost of goods sold for the units sold on April 15th is $255 (option Oa).

To calculate the cost of goods sold using the weighted average inventory costing method, we need to determine the average cost per unit based on the units available and the purchases made during the month.Given information:

April 1: On hand, 30 units at $5.00 each

April 8: Purchased 40 units at $5.35 each

April 15: Sold 50 units

April 22: Purchased 40 units at $5.50 each

April 30: On hand, 60 units

First, we calculate the weighted average cost per unit:

(30 units * $5.00) + (40 units * $5.35) = $150 + $214 = $364

Total units = 30 units + 40 units = 70 units

Weighted average cost per unit = $364 / 70 units = $5.20

Next, we calculate the cost of goods sold for the units sold on April 15th:

Cost of goods sold = 50 units * $5.20 = $260

Therefore, the correct answer is option Oa, which is $255.

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if cleveland motors had an ebit of $22,683,400, interest of $7,235,300 and is taxed at an average rate of 32% what is their net income? round to the nearest cent.

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If Cleveland Motors had an EBIT of $22,683,400, an interest of $7,235,300, and was taxed at an average rate of 32%, then the net income of Cleveland Motors would be approximately $8,194,852.

Net Income = EBIT - Interest - Taxes

EBIT = $22,683,400

Interest = $7,235,300

Tax Rate = 32% (0.32)

Net Income = $22,683,400 - $7,235,300 - ($22,683,400 * 0.32)

Net Income = $22,683,400 - $7,235,300 - $7,253,248

Net Income = $22,683,400 - $14,488,548

Net Income = $8,194,852

Therefore, the net income of Cleveland Motors is approximately $8,194,852 if Cleveland Motors had an EBIT of $22,683,400, interest of $7,235,300, and taxed at an average rate of 32%.

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As of 2020, there are 3.3 million truck drivers. Each drives ~60,000 miles. The current equilibrium price is $2/mile.
Using a competitive firm two graph setup (industry S&D graph side by side with a firm MC & MR graph), show the annual US trucking market
What is the industry equilibrium quantity?
What is the profit maximizing quantity for an individual trucking firm?

Answers

The industry equilibrium quantity in the US trucking market, as of 2020, would depend on the intersection of the industry supply and demand curves. This equilibrium quantity represents the number of trucking services that would be supplied and demanded in the market at the given price of $2 per mile.

On the industry supply and demand graph, the equilibrium quantity is determined at the point where the industry supply curve intersects with the industry demand curve. This represents the quantity at which the quantity demanded by customers matches the quantity supplied by trucking firms in the market.

The profit-maximizing quantity for an individual trucking firm can be determined using the marginal cost (MC) and marginal revenue (MR) graph. The profit-maximizing quantity is where the marginal cost curve intersects with the marginal revenue curve. At this quantity, the firm's marginal cost of providing an additional mile of service is equal to the marginal revenue earned from that mile.

In summary, the industry equilibrium quantity in the US trucking market would be determined by the intersection of the industry supply and demand curves. The profit-maximizing quantity for an individual trucking firm would be determined by the intersection of the firm's marginal cost and marginal revenue curves.

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Which of the following statements about business-to-business (B2B) arbitrations is true?
a. The U.S. Supreme Court has held that in B2B contexts, unequal bargaining power alone is not a sufficient reason to hold that arbitration agreements are unenforceable.
b. Businesses fare better in litigation than in arbitration.
c. In B2B disputes, the subjects of disputes are commercial issues, which may not implicate deeper social and ethical questions.
d. Issues of fairness often arise in B2B dispute situations.
e. Arbitration is unfair to businesses in B2B disputes.

Answers

The correct statement about business-to-business (B2B) arbitrations is:

a. The U.S. Supreme Court has held that in B2B contexts, unequal bargaining power alone is not a sufficient reason to hold that arbitration agreements are unenforceable.

This statement accurately reflects the legal perspective on arbitration agreements in B2B contexts. The U.S. Supreme Court has ruled that the mere presence of unequal bargaining power between the parties involved does not render arbitration agreements unenforceable.

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BOLTON Company has the following investment projects by weights as presented The risk-free rate is 5%, and the market risk premium is % The firm is 100% equiry 3/10 in IT Software with β = 1.8 5/10 in Computer Hard Drive Manufacturer with β = 1.2 2/10 in Electric Utility with β = 0.4 a. Calculate the beta of the Bolton Company. b. Calculate the cost of capital of the Bolton Company using CAPM. c. The Company is considering investing in a new Computer Manufacturing project with and IRR of 14.65% Should BOLTON Company accept or reject the project? Why?

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a) The beta of the Bolton Company is 1.22. b) The value of the market risk premium is used to calculate the cost of capital. c) If the IRR is higher than the cost of capital, it indicates that the project is expected to generate a return greater than the required rate of return and is likely to be acceptable.

a. To calculate the beta of the Bolton Company, we can use the weighted average of the individual betas based on the project weights:

Beta (Bolton Company) = (Weight of IT Software * Beta of IT Software) + (Weight of Computer Hard Drive Manufacturer * Beta of Computer Hard Drive Manufacturer) + (Weight of Electric Utility * Beta of Electric Utility)

Given the project weights and respective betas, the beta can be calculated as follows:

Beta (Bolton Company) = (0.3 * 1.8) + (0.5 * 1.2) + (0.2 * 0.4)

Beta (Bolton Company) = 0.54 + 0.6 + 0.08

Beta (Bolton Company) = 1.22

Therefore, the beta of the Bolton Company is 1.22.

b. To calculate the cost of capital of the Bolton Company using the Capital Asset Pricing Model (CAPM), we need the market risk premium. Since the market risk premium is not provided in the given information, we cannot determine the cost of capital using CAPM accurately. Please provide the value of the market risk premium to calculate the cost of capital.

c. To determine whether the Bolton Company should accept or reject the new Computer Manufacturing project, we need to compare the project's internal rate of return (IRR) to the cost of capital. If the IRR is higher than the cost of capital, it indicates that the project is expected to generate a return greater than the required rate of return and is likely to be acceptable.

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The "OWNES PC" Acronym can be used to classify the type of lease being considered by a lessor

If any of "OWNES" is true, or if the lease term is less than 12 months, then the lessor will consider the lease to be a sales-type lease:

O - Ownership transfer to the lessee at the end of the lease term

W - Written option for the lessee to purchase the asset exists, and is reasonably certain to be exercised

N - NPV of payments and guaranteed residual value equals or exceeds FV of asset being leased

E - Economic life of an asset is at least 75% used up during the lease period

S - Specialized asset was being leased and has no use to the lessor after the end of the lease period

If none of the above were met, then the lessor will consider the lease to be direct-financing if both of the following ("PC") are true:

P - Present value of sum of the lease payments and residual value exceeds the FV of the asset being leased

C - Collection of lease payments in an amount greater than or equal to the residual value of the asset being leased is probable

If either of "PC" are not true, then the lessor will consider the lease to be an operating lease.

Question: What is the difference between the "P" and the "N" of the acronyms above? Describe a leasing scenario which "N" is false but "P" is true, and therefore is considered a direct-financing lease. Correct any mistakes made in describing the acronym. I am studying for FAR and simply hoping for some clarification here!

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The lease would be classified as a direct-financing lease because 'P' is true, but not all conditions of the sales-type lease are met.

The correct acronym is 'OWNES PC' for classifying the type of lease being considered by a lessor.

Let's discuss the difference between 'P' and 'N' in the context of a leasing scenario,

'P' refers to the present value of the sum of lease payments and residual value exceeding the fair value (FV) of the asset being leased.

This condition is met when the total value of the lease payments,

Including any guaranteed residual value, discounted to the present, is higher than the fair value of the asset.

'N' refers to the net present value (NPV) of payments and guaranteed residual value equaling or exceeding fair value of asset being leased.

This condition is met when the present value of the total lease payments.

And the guaranteed residual value, discounted to the present, is equal to or higher than the fair value of the asset.

In a leasing scenario where 'N' is false but 'P' is true, the lease would be considered a direct-financing lease.

Examples,

A lessor leases a specialized asset to a lessee.

The lease term is five years, and the economic life of the asset is expected to be six years.

The present value of the lease payments, including any guaranteed residual value, exceeds the fair value of the asset.

However, the net present value of the payments and the guaranteed residual value falls slightly short of the fair value of the asset.

In this case, 'P' is true because the present value of the sum of the lease payments and residual value exceeds the fair value of the asset.

However, 'N' is false because the NPV of the payments and guaranteed residual value does not equal or exceed the fair value of the asset.

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Please help me to define RESEARCH QUESTIONS for my imperial research study with a topic -
Hospitality Communications in a Time of Coronavirus. Maintaining Trust and Engagement .
Please around 6-7 questions.

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Research questions for a research study on a topic'  Hospitality Communications in a Time of Coronavirus. Maintaining Trust and Engagement' will include aspects such as effects of the pandemic on communication, trust, and engagement,  strategies to maintain these aspects, challenges face, role of technology, etc.

Research questions are the foundation of any research study. The questions guide the entire research process from the development of the research objectives to the collection of data and analysis of findings. For the research study on Hospitality Communications in a Time of Coronavirus, the following research questions can be formulated:

How has the COVID-19 pandemic affected hospitality communications?What strategies have hotels and restaurants employed to maintain trust and engagement during the pandemic?What are the key communication channels used in the hospitality industry during the pandemic?What are the communication challenges faced by the hospitality industry in the era of COVID-19?What role has technology played in hospitality communication during the pandemic?What are the differences in communication strategies employed by large hotel chains and small independent hotels?What are the best practices for hospitality communication during a pandemic?

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Valley Auto sold a used car price at 10,600 for 10% down and the balance to be paid in equal monthly payments over four years at 7.2% compounded monthly. how much does the buyer have to pay at the end of each month?

Answers

Using the formula for the present value of an ordinary annuity, we get: PV = R x [(1 - (1 + i)^-n) / i]Here, PV = present value, R = payment amount, i = interest rate, and n = number of periods.

Based on the given data in the problem, the PV of the car = $9,540The interest rate i = 7.2% compounded monthly. So, we get i = 0.006.The time period n = 4 years = 4 x 12 months = 48 months. Applying the formula for the present value of an ordinary annuity, the buyer has to pay $363.38 at the end of each month.

The formula is given by: PV = R x [(1 - (1 + i)^-n) / i] Substituting the given values, we get: PV = $9,540i = 7.2% / 12 = 0.006n = 4 x 12 = 48R = PV / [(1 - (1 + i)^-n) / i]= $9,540 / [(1 - (1 + 0.006)^-48) / 0.006]= $9,540 / 26.230= $363.38Therefore, the buyer has to pay $363.38 at the end of each month. This answer is to be explained within 120 words.

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Assume that a U.S. firm can invest funds for one year in the U.S. at 12% or invest funds in Brazil at 18%. The spot rate of the Brazilian real is $.1793 while the one-year forward rate of the real is also $.1793. If a U.S. firm uses covered interest arbitrage, which of the following price adjustments should result? O Spot rate of real increases, forward rate of real decreases. O Spot rate of real decreases, forward rate of real decreases. O Spot rate of real increases, forward rate of real increases. Spot rate of real decreases, forward rate of real increases. O Spot rate of real increases; forward rate of real remains constant.

Answers

Covered interest arbitrage is an activity that takes advantage of differences in interest rates and exchange rates between two currencies. There is no profit available from covered interest arbitrage when the forward rate is equal to the spot rate.

Covered interest arbitrage seeks to make a profit by borrowing in one currency, exchanging that currency for another currency, investing the second currency for the duration of the loan term, then returning the second currency to repay the loan. Here is the solution to your given problem:

From the given problem, U.S. firm can invest funds for one year in the U.S. at 12% or invest funds in Brazil at 18%.

The spot rate of the Brazilian real is $.1793 while the one-year forward rate of the real is also $.1793.

According to the given information, the rate of interest that the U.S. firm would receive on investing funds in the U.S. is 12%. The U.S. firm can borrow money in the U.S. at the rate of 12%. The forward rate of the Brazilian real is $.1793 per real. Therefore, if the U.S. firm invested in Brazil and then exchanged the Brazilian real back into U.S. dollars at the forward rate one year from now, it would receive: $1/.1793 = 5.57 reals

                                                                                                  = 5.57 reals × $.1793 per real = $.9998

Therefore, the U.S. firm would invest $1.00 in the U.S., receive $1.12 at the end of the year, exchange $1.12 for 5.57 Brazilian reals, invest the 5.57 reals in Brazil at the interest rate of 18%, and receive 6.58 reals after one year. The 6.58 reals would be exchanged for U.S. dollars at the forward rate of $.1793 per real to receive $1.00.

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Current Attempt in Progress During January, time tickets show that the factory labor of $6,000 was used as follows: Job 1 $2,200, Job 2 $1,600, Job 3 $1,400, and general factory use $800. Prepare a summary journal entry to record factory labor used.

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Prepare a summary journal entry to record factory labor used from the given Current Attempt in Progress During January that mentions job costs and factory overhead expenses.

To prepare a summary journal entry to record factory labor used in a job order costing system, the three cost elements, direct labor, factory overheads, and direct materials must be accumulated separately, assigned to specific jobs, and cost of goods sold, respectively.Job order costing system is a costing system used to compute the total cost of a specific unit of output, such as a construction job or a batch of finished goods. The following is the journal entry to record the use of factory labor on the jobs and the general factory use account.

The three individual job accounts, Job 1, Job 2, and Job 3, are debited to record the labor costs that were incurred in the manufacturing of each job. The cost of goods sold is determined by adding the direct labor, direct materials, and factory overhead costs together to obtain the total cost of each job.Finally, the Factory Overhead account is debited to record the indirect labor costs that were incurred during the period, such as the cost of supervisors, cleaners, or other indirect labor costs that are not directly associated with the manufacturing of the finished goods. The Wages Payable account is credited to record the amount of wages owed to employees for the period.

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Final answer:

To record the factory labor used, you would create a summary journal entry that debits the Jobs 1, 2, and 3 accounts, and the Factory Overhead account. The Factory Labor account would be credited for the total labor used ($6,000).

Explanation:

To record the factory labor used, we will need to create a summary journal entry that lists the different jobs and the general factory use. The entry will debit the Jobs 1, 2, and 3 accounts for their respective amounts, and the Factory Overhead account for the general factory use amount. It will credit the Factory Labor account for the total factory labor used ($6,000).

The summary journal entry would look like this:

Date - January 31

Account           Debit                 Credit

Jobs 1                           $2,200

Jobs 2                           $1,600

Jobs 3                           $1,400

Factory Overhead       $800

Total                        $6,000                          -

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please solve Q4 in 25 mins i will thumb up
Problem 4 (5 marks, 10 mins) Archibald Corporation, a public corporation exchanged an asset with Bass Industries. Archibald Bass Original cost of the asset $ 320,000 $ 430,000 6 Accumulated depreciati

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It should be noted that here are the journal entries on the books of Archibald Corp assuming that the exchange would have commercial substance:

Dr. Asset (new) 80,000Dr. Gain on Exchange 4,000Cr. Accumulated Depreciation 256,000Cr. Asset (old) 320,000How to explain the information

Dr. Asset (new) 80,000: This is to record the new asset that Archibald Corp received in the exchange.

Dr. Gain on Exchange 4,000: This is to record the gain on the exchange, which is the difference between the fair value of the new asset (80,000) and the carrying amount of the old asset (320,000) less accumulated depreciation (256,000).

Cr. Accumulated Depreciation 256,000: This is to remove the accumulated depreciation on the old asset from the books.

Cr. Asset (old) 320,000: This is to remove the old asset from the books.

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Archibald Corporation, a public corporation exchanged an asset with Bass Industries.

The following information was provided by both companies.

Archibald

Bass

Original cost of the

$320,000 $430,000

asset

Accumulated

depreciation

256,000 344,000

Fair value of the

80,000

120,000

interest

Required-

a. Prepare the journal entries on the books of Archibald Corp assuming that the exchange would have commercial substance.

Tridant Ltd. provides waste management solutions to clients. The capital structure of Tridant Ltd is corporate bonds (70%) and equity (30%). The firm is considering undertaking the following activities. If you are a bondholder would you object to any of the following? Explain your answer for each of the following activities in detail by making reference to the material covered in the unit. a Planning to issue new corporate bonds to fund new investments related to liquid waste management. b Planning to distribute part of its profit to shareholders
c Planning to invest in a product that has a very low success rate d Not investing in projects related to managing electronic waste because the NPV of the projects are very low.

Answers

If Tridant Ltd. decides not to invest in projects related to managing electronic waste because the NPV of the projects is very low, bondholders may actually object to this decision.

Bondholders have an interest in the long-term financial health and value of the company. By forgoing investments with low NPV, Tridant Ltd. may miss out on potential future cash flows and growth opportunities. This could negatively impact the company's ability to generate sufficient cash flows to meet its debt obligations. Bondholders typically prefer investments that enhance the company's profitability and cash flow generation, ensuring their claims are adequately protected. Therefore, bondholders may view the decision to not invest in low-NPV projects as potentially detrimental to their interests.

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A machine is producing two different products: A and B. Which
production schedule is likely to lead to lower average
inventory?
Group of answer choices
ABABABABAB
AABBAABBAA
AAAAABBBBB
Average invento

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A production schedule likely to lead to lower average inventory when a machine is producing two different products A and B is AABBAABBAA. The correct answer is answer B.

A production schedule refers to a document that outlines a plan of action for a particular production process over a certain period. It is a plan of action for manufacturing items in order to meet demand while keeping inventory levels under control.A machine is producing two different products, namely, A and B. Here, AABBAABBAA is the production schedule that is likely to lead to lower average inventory.

Here, the two products being produced are A and B. AABBAABBAA is a schedule in which products A and B are produced alternatively .In this schedule, the first product produced is A, the second product produced is A, the third product produced is B, the fourth product produced is B, the fifth product produced is A, and so on. If products are produced alternatively, then it is likely that the inventory level for both products will be the same, leading to lower average inventory.

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