Which one of the following statements is correct? a. If the return on t-bills is 3 percent and the inflation rate is 2 percent and the average return on large-company stocks is 10 percent, the risk premium on large company stocks is 8 percent. b. The rate of return on long-term treasury bonds is normally used as the risk-free rate of return. c. Standard deviation is a measure of volatility. d. Low standard deviation and low risk premium generally correspond to wide frequency distribution. e. In order to convince investors to accept greater volatility, you must decrease the risk premium.

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Answer 1

Statement c. "Standard deviation is a measure of volatility" is the correct statement among the given options.

Among the options provided, statement c. is correct. Standard deviation is indeed a measure of volatility. It is a statistical measure that calculates the dispersion or variability of a set of data points from the mean (average) value. In the context of investments, standard deviation is commonly used to assess the volatility or risk associated with an investment or portfolio.

Statement a. is incorrect. The risk premium is the excess return that investors expect to earn for taking on additional risk. In the given scenario, the risk premium on large company stocks cannot be determined solely based on the provided information about the return on T-bills, inflation rate, and the average return on large-company stocks.

Statement b. is incorrect. While the rate of return on long-term treasury bonds is often considered a relatively low-risk investment, it is not necessarily the only benchmark for the risk-free rate of return. The risk-free rate is typically based on investments with negligible risk, such as short-term government securities.

Statement d. is incorrect. Low standard deviation indicates lower variability or volatility in the data, which corresponds to a narrower frequency distribution. A wide frequency distribution would imply higher variability and potentially higher standard deviation.

Statement e. is incorrect. Convincing investors to accept greater volatility or risk does not necessarily involve decreasing the risk premium. The risk premium is the additional return required to compensate for the higher risk. If investors are expected to accept greater volatility, it would generally require an increase in the risk premium to incentivize them to take on the additional risk.

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Related Questions

Select a company and research recent news items that have been released regarding the company. In a written response, note whether the articles were positive or negative for the company. Describe how the company’s actions may impact an individual’s perception of business in the United States. Identify responsibilities that the company has to various stakeholder groups mentioned in the articles. Finally, note any sustainability issues that confront the company and provide suggestions for how the company should handle these issues.

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The selected company for this answer is Apple.

Apple is one of the largest technology companies in the world and is headquartered in Cupertino, California. In recent news items released regarding the company, Apple's stocks had a big week recently, the stock price rose by 3% in a week, resulting in Apple gaining a trillion-dollar market capitalization again. It is positive news for the company.

The company's action to dominate the market with its premium-priced products may impact the individual's perception of business in the United States. Some individuals might perceive this as a positive factor for the country's economy, while others might view it as a negative factor due to the exclusion of a specific group of consumers.

The company has responsibilities to various stakeholder groups, including shareholders, customers, employees, and communities. The company's responsibility to its customers is to provide quality products and ensure that they are safe. The company's responsibility to its shareholders is to maximize profits, while its responsibility to employees is to provide a safe working environment, competitive wages, and benefits.

The sustainability issue confronting Apple is with its suppliers in China, where human rights and labor practices are a significant concern. The company should consider ensuring that its suppliers provide safe working conditions and competitive wages to their employees. Apple should also consider conducting audits on its suppliers to ensure compliance with its standards. In addition, Apple can consider sourcing supplies locally to reduce its carbon footprint.

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sam's surf shop has total costs of $2,000 when it is not producing any surfboards. this means that multiple choice the shop is very inefficient in its production. variable costs are $2,000. fixed costs are $2,000. fixed costs are zero.

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In the given scenario, the cost is $2,000 when Sam's Surf Shop is not producing any surfboards.

From the given options, the statement "fixed costs are $2,000" is correct as the fixed cost does not change irrespective of the number of units produced. Here, the fixed costs are $2,000 which means it has to pay this cost even when it is not producing any surfboards.

What are fixed costs?

Fixed costs are the expenses that do not change with the change in the level of production or sales volume. It means even if the production level or sales volume is zero, fixed costs will still exist. Examples of fixed costs include salaries, rent, insurance, property taxes, and loan payments.

What are variable costs?

Variable costs are the expenses that change with the change in the level of production or sales volume. It means the variable cost varies with the production level. Examples of variable costs include wages of labor, electricity, raw materials, and packaging.

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Describe the labour theory of the value of goods according to the classical economists and Marxist economists.
What are the advantages of this theory and what are the disadvatages according to your evaluation?

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The labor theory of value emphasizes labor as the source of value, providing insights into wealth distribution, but has limitations in accounting for other factors and market dynamics.

The labor theory of value, proposed by classical economists and further developed by Marxist economists, posits that the value of goods and services is determined by the amount of socially necessary labor required for their production. According to this theory, the value of a commodity is not determined by its use or utility, but rather by the labor expended in its production.

Advantages of the labor theory of value include its emphasis on the role of labor as the source of value, highlighting the importance of human effort and work in economic production. It provides a framework for understanding the distribution of wealth and exploitation within capitalist systems. Additionally, the labor theory of value can be seen as a critique of market-based pricing mechanisms that may not consider the social implications of labor and may lead to inequitable outcomes.

However, there are also notable disadvantages to the labor theory of value. Critics argue that it fails to account for other factors that contribute to value, such as scarcity, natural resources, technological advancements, and subjective preferences of consumers. It does not fully capture the complexities of market dynamics and the interplay of supply and demand. Additionally, the theory's focus on labor as the sole determinant of value may not adequately explain the pricing of non-labor-intensive goods or services.

In evaluating the labor theory of value, it is essential to consider its historical context and its influence on economic thought. While it provides valuable insights into economic systems and power relations, it should be complemented by other theories and perspectives that capture the multidimensional nature of value in contemporary economies.

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Contemporary management theories are an integration and expansion of the key concepts of the classical management theories. Describe the major concepts of the systems and contingency approaches to management.

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The systems and contingency approaches to management are two major contemporary management theories that have evolved from the classical management theories.

Here's an overview of the major concepts associated with these approaches:

Systems Approach to Management:

The systems approach views organizations as complex systems consisting of interconnected and interdependent parts. The major concepts of the systems approach include:

1. System: Organizations are seen as systems composed of various subsystems (departments, teams, individuals) that work together towards common goals.

2. Interdependence: The parts within the system are interconnected and depend on each other to function effectively.

3. Inputs, Processes, and Outputs: Organizations receive inputs (such as raw materials, information, and human resources), which are processed through various activities, and produce outputs (such as products, services, and outcomes).

4. Feedback: Feedback loops are important in systems as they provide information about the performance of the system, enabling adjustments and improvements.

5. Open Systems: Organizations are open systems that interact with their external environment, exchanging inputs and outputs with the environment.

Contingency Approach to Management:

The contingency approach suggests that management practices and decisions should be contingent upon various internal and external factors. The major concepts of the contingency approach include:

1. Contingency: The belief that there is no one best way to manage or organize. Effective management practices depend on the specific situation, context, and the alignment of organizational factors.

2. Fit: The contingency approach emphasizes the need for a fit or match between the management approach and the specific circumstances of the organization.

3. Environment: The external environment, including factors such as industry dynamics, market conditions, and technological advancements, is considered a key determinant of effective management practices.

4. Internal Factors: Internal factors such as organizational structure, culture, resources, and capabilities also influence management practices.

5. Flexibility and Adaptation: The contingency approach emphasizes the importance of being flexible and adaptable in response to changing circumstances and environments.

6. Diagnosis and Analysis: Managers need to diagnose and analyze the specific situation and factors influencing it before determining the most appropriate management approach.

The systems and contingency approaches to management recognize the complexities and uncertainties inherent in organizations and provide frameworks for understanding and adapting to these challenges in a more dynamic and context-specific manner compared to the classical management theories.

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Which of the following investments is clearly preferred to the others? Investment Return Standard Deviation A 18% 20% B 20% 20% C 20% 18% Group of answer choices Investment A. Investment C. Cannot be determined without information regarding the risk aversion of the investor. Investment B.

Answers

Investment B provides the highest return and has the same level of risk as investment C. The correct answer is  B.

To determine the preferred investment, we need to consider both the return and the standard deviation. The return represents the potential profit or gain, while the standard deviation measures the investment's volatility or risk.

In this case, we can see that investments B and C have the same standard deviation of 20%, while investment A has a slightly higher standard deviation of 20%. However, investment B offers the highest return of 20%, followed by investments B and C with a return of 20% as well.

Since investment B provides the highest return and has the same level of risk as investment C, it is the preferred investment choice among the options given. Therefore, the correct answer is Investment B.

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Bricktan Incorporated makes three products, Basic, Classic, and Deluxe. The maximum Bricktan can sell is 722,000 units of Basic, 476,000 units of Classic, and 123,500 units of Deluxe. Bricktan has limited production capacity of 984,000 machine hours. Machine hours per unit are as follows: Basic, 1 hour, Classic, 1.25 hours; and Deluxe 2.5 hours. Contribution margin per unit is $15 for Basic, $25 for Classic, and $55 for Deluxe. What is the most profitable sales mix for Bricktan Incorporated? Multiple Choice O 72,200 Basic, 476,000 Classic and 262,400 Deluxe. O 164,000 Basic, 123.500 Classic and 262,400 Deluxe.
O 352.500 Basic, 262,400 Classic and 123.500 Deluxe. O 617,500 Basic, 0 Classic and 123,500 Deluxe

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The most profitable sales mix for Bricktan Incorporated is Option 4: 617,500 units of Basic, 0 units of Classic, and 123,500 units of Deluxe.

To determine the most profitable sales mix for Bricktan Incorporated, we need to consider the production capacity, machine hours required per unit, and the contribution margin per unit for each product. maximize the total contribution margin while staying within the production capacity.

Let's calculate the contribution margin per machine hour for each product:

- Basic: Contribution Margin per Unit / Machine Hours per Unit = $15 / 1 = $15 per machine hour

- Classic: Contribution Margin per Unit / Machine Hours per Unit = $25 / 1.25 = $20 per machine hour

- Deluxe: Contribution Margin per Unit / Machine Hours per Unit = $55 / 2.5 = $22 per machine hour

Based on the contribution margin per machine hour, we can determine the most profitable sales mix. One should allocate more machine hours to products with a higher contribution margin per machine hour.

Calculate the machine hours required for each product based on the production capacity:

- Basic: 722,000 units * 1 hour = 722,000 machine hours

- Classic: 476,000 units * 1.25 hours = 595,000 machine hours

- Deluxe: 123,500 units * 2.5 hours = 308,750 machine hours

Now,  calculate the total contribution margin for each potential sales mix option:

Option 1: 72,200 Basic, 476,000 Classic, and 262,400 Deluxe

Total Contribution Margin = (72,200 * $15) + (476,000 * $25) + (262,400 * $55) = $11,445,000

Option 2: 164,000 Basic, 123,500 Classic, and 262,400 Deluxe

Total Contribution Margin = (164,000 * $15) + (123,500 * $25) + (262,400 * $55) = $11,112,750

Option 3: 352,500 Basic, 262,400 Classic, and 123,500 Deluxe

Total Contribution Margin = (352,500 * $15) + (262,400 * $25) + (123,500 * $55) = $12,581,250

Option 4: 617,500 Basic, 0 Classic, and 123,500 Deluxe

Total Contribution Margin = (617,500 * $15) + (0 * $25) + (123,500 * $55) = $12,633,750

Based on the calculations, the most profitable sales mix for Bricktan Incorporated is Option 4: 617,500 units of Basic, 0 units of Classic, and 123,500 units of Deluxe.

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A company estimates that it will need $53,000 in 14 years to replace a computer. If it establishes a sinking fund by making fixed monthly payments into an
account paying 5.1% compounded monthly, how much should each payment be?

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Each monthly payment into the sinking fund should be approximately $231.64 to accumulate $53,000 in 14 years, assuming a 5.1% annual interest rate compounded monthly.

To calculate the fixed monthly payments needed for the sinking fund, we can use the formula for the future value of an ordinary annuity.

The future value of an ordinary annuity formula is given by:

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

where:

FV = future value of the annuity (target amount)

P = monthly payment

r = monthly interest rate

n = number of periods (number of months in this case)

In this scenario:

FV = $53,000 (target amount)

r = 5.1% per year, compounded monthly, so the monthly interest rate is 5.1%/12 = 0.425% or 0.00425

n = 14 years * 12 months/year = 168 months

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

$53,000 = P * [(1 + 0.00425)^168 - 1] / 0.00425.

Let's calculate this equation to find the value of P.

P * [(1 + 0.00425)^168 - 1] / 0.00425 = $53,000.

P * (1.00425^168 - 1) / 0.00425 = $53,000.

P * (1.972386 - 1) = $53,000 * 0.00425.

P * 0.972386 = $225.25.

P = $225.25 / 0.972386.

P ≈ $231.64.

Therefore, each monthly payment into the sinking fund should be approximately $231.64 to accumulate $53,000 in 14 years, assuming a 5.1% annual interest rate compounded monthly.

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identify the items on the cash budget that are reported on the pro forma financial statements. multiple select question. cash for capital expenditure cost of goods sold net borrowing cash payments total sales cash receipts ending cash balance

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The cost of goods sold is also included in the pro forma financial statements, which reflects the overall cost of production during a particular time period.

The cash budget is a financial plan that forecasts how much cash the company will receive and spend during a specific time period. It is utilized to estimate the monthly operating expenditures and keep track of cash flow. The pro forma financial statements are based on these figures and contain a pro forma cash budget that is prepared in order to estimate the ending cash balance of the year. The items on the cash budget that are reported on the pro forma financial statements include:Cash receiptsEnding cash balanceNet borrowingCash paymentsThe cash budget, in essence, predicts the company's inflows and outflows of cash for a certain time period. This involves detailed records of expected sales, cash receipts, production costs, operating expenses, and capital expenditures. The cash receipts and cash payments data is utilized to create the ending cash balance, which is included in the pro forma financial statements. The total sales figure is included in the pro forma income statement, which estimates the company's expected profits. Therefore, in order to identify the items on the cash budget that are reported on the pro forma financial statements, the options that should be selected include: cash receipts, ending cash balance, net borrowing, and cash payments. Answer: Cash receipts, ending cash balance, net borrowing, and cash payments.

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Case study, simulation, and programmed learning are all examples of Select one: a. participation learning b. transference C. off-the-job learning techniques Od. role-playing Oe. on-the-job learning techniques

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Case study, simulation, and programmed learning are all examples of: C. off-the-job learning techniques.

What is off-the-job learning techniques?

Strategies for learning that take place outside from the workplace are known as off-the-job learning strategies. Typical methods for learning outside of the workplace include:

Case studies are real-world examples that may be used to instruct staff members in problem-solving or decision-making.

Simulations: Computer-based programmes called simulations let workers hone their abilities in a secure setting.

Programmed learning: This self-paced learning approach teaches new content through a sequence of questions and responses.

Techniques for learning outside of the workplace can be an important aspect of an employee's growth.

Therefore the correct option is C.

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arnold enterprise reported the following amounts on their income statement. calculate arnold enterprise's gross profit.

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The Arnold Enterprise's gross profit can be calculated using the given values from their income statement. The gross profit of Arnold Enterprise can be calculated by subtracting the cost of goods sold from the total revenue. Gross Cost of goods sold Arnold Enterprise's income statement:

Sales revenue = $200,000Cost of goods sold = $70,000Operating expenses = $50,000Interest expenses = $5,000Taxes = $20,000The company's gross profit can be calculated as follows :Gross profit = Sales revenue - Cost of goods sold= $200,000 - $70,000= $130,000 The formula  to calculate the gross profit is given as follows Gross profit = Total revenue - Cost of goods sold .

Total revenue is the amount of money received from the sale of products and services in a business's income statement. Cost of goods sold, on the other hand, is the total cost of making and delivering the products or services sold by the company. For the Arnold Enterprise, the sales revenue is $200,000, and the cost of goods sold is $70,000. By subtracting the cost of goods sold from the sales revenue, the company's gross profit will be $130,000.Therefore, Arnold Enterprise's gross profit is $130,000.

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Assume a firm has earnings before depreciation and taxes of $610,000 and no depreciation. It is in a 30 percent tax bracket.
a. Compute its cash flow.
b. Assume it has $610,000 in depreciation. Recompute its cash flow.
c. How large a cash flow benefit did the depreciation provide? Benefit in cash flow

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a. the cash flow by subtracting taxes from EBDT is $427,000. b.  the cash flow would be equal to EBDT plus the tax savings from the depreciation $793,000. c. the tax savings from depreciation is $183,000.

a. To compute the cash flow, we need to first calculate the earnings before taxes (EBT), which is equal to Earnings Before Depreciation and Taxes (EBDT) minus depreciation. Since there is no depreciation in this case, EBT is simply equal to EBDT.

EBT = EBDT = $610,000

Next, we need to calculate the taxes paid, which is equal to the tax rate multiplied by EBT:

Taxes = 0.30 x $610,000 = $183,000

Finally, we can compute the cash flow by subtracting taxes from EBDT:

Cash flow = EBDT - Taxes = $610,000 - $183,000 = $427,000

b. If the firm has $610,000 in depreciation, the Earnings Before Taxes (EBT) would be:

EBT = EBDT - Depreciation = $610,000 - $610,000 = $0

In this case, the firm would not owe any taxes since it has no taxable income. Therefore, the cash flow would be equal to EBDT plus the tax savings from the depreciation:

Cash flow = EBDT + Tax savings from depreciation

Tax savings from depreciation = Depreciation x Tax rate = $610,000 x 0.30 = $183,000

Cash flow = $610,000 + $183,000 = $793,000

c. The cash flow benefit provided by the depreciation is equal to the tax savings from depreciation. In this case, the tax savings from depreciation is $183,000.

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Probably the safest and most marketable instrument for short-term investment is A. commercial paper. B. large denomination certificates. C. Treasury notes D. Treasury bills.

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The safest and most marketable instrument for short-term investment among the given options is Treasury bills. The correct option is D.

Treasury bills (T-bills) are short-term debt instruments issued by the government, specifically the U.S. Department of the Treasury. They are considered one of the safest investments available in the market.

T-bills have a maturity period of less than one year, typically ranging from a few days to a year. They are issued at a discount from their face value, meaning that investors purchase them for less than their eventual repayment value. The difference between the purchase price and the face value represents the investor's return or interest earned.

T-bills are highly marketable because they are backed by the full faith and credit of the government, making them virtually risk-free. This means that the chances of default on T-bills are extremely low. Additionally, T-bills are highly liquid, meaning they can be easily bought and sold in the secondary market.

While commercial paper (option A) is also a short-term debt instrument, it is issued by corporations rather than the government. Although commercial paper can be a viable investment option, it carries a slightly higher level of risk compared to Treasury bills due to the creditworthiness of the issuing company.

Large denomination certificates (option B) are not specific financial instruments and do not provide clear information about the underlying investment. Therefore, it is difficult to assess their safety and marketability without additional context.

Treasury notes (option C) have longer maturities, typically ranging from 2 to 10 years, and are not classified as short-term investments. They offer higher yields compared to Treasury bills but are also subject to interest rate fluctuations over a longer time horizon.

In summary, Treasury bills (T-bills) are widely recognized as the safest and most marketable instrument for short-term investment due to their low risk, high liquidity, and government backing.

Therefore the correct answer is option D.

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Below is the state of the economy that offer potential to invest in assets X and asset Y. NB: The returns are already converted from the percentages. State of the Economy Return on X Return on Y Depression -0.20 0.05 Recession 0.10 0.20 Normal 0.30 -0.12 Boom 0.50 0.09 Calculate: i. Expected return for X and Y ii. Variance for X and Y iii. Standard deviation for X and Y. iv. Briefly, differentiate between systematic risk and firm specific risk giving examples for each.

Answers

Understanding and differentiating between systematic and firm-specific risks is important for investors to assess their portfolios and make informed investment decisions based on their risk tolerance and diversification strategies.

i. Expected return for X and Y:

To calculate the expected return, we multiply each return by its corresponding probability and sum them up.

Expected return for asset X:

(Probability of Depression * Return in Depression) + (Probability of Recession * Return in Recession) + (Probability of Normal * Return in Normal) + (Probability of Boom * Return in Boom)

= (-0.20 * 0.25) + (0.10 * 0.25) + (0.30 * 0.25) + (0.50 * 0.25)

= -0.05 + 0.025 + 0.075 + 0.125

= 0.125 or 12.5%

Expected return for asset Y:

(Probability of Depression * Return in Depression) + (Probability of Recession * Return in Recession) + (Probability of Normal * Return in Normal) + (Probability of Boom * Return in Boom)

= (0.05 * 0.25) + (0.20 * 0.25) + (-0.12 * 0.25) + (0.09 * 0.25)

= 0.0125 + 0.05 - 0.03 + 0.0225

= 0.055 or 5.5%

ii. Variance for X and Y:

To calculate the variance, we need to calculate the squared deviation from the expected return for each state and multiply it by its corresponding probability. Then, sum up these values.

Variance for asset X:

[(Return in Depression - Expected Return for X)^2 * Probability of Depression] + [(Return in Recession - Expected Return for X)^2 * Probability of Recession] + [(Return in Normal - Expected Return for X)^2 * Probability of Normal] + [(Return in Boom - Expected Return for X)^2 * Probability of Boom]

= [(-0.20 - 0.125)^2 * 0.25] + [(0.10 - 0.125)^2 * 0.25] + [(0.30 - 0.125)^2 * 0.25] + [(0.50 - 0.125)^2 * 0.25]

= [0.075^2 * 0.25] + [(-0.025)^2 * 0.25] + [0.175^2 * 0.25] + [0.375^2 * 0.25]

= 0.00140625 + 0.00015625 + 0.00765625 + 0.0703125

= 0.07953125

Variance for asset Y:

[(Return in Depression - Expected Return for Y)^2 * Probability of Depression] + [(Return in Recession - Expected Return for Y)^2 * Probability of Recession] + [(Return in Normal - Expected Return for Y)^2 * Probability of Normal] + [(Return in Boom - Expected Return for Y)^2 * Probability of Boom]

= [(0.05 - 0.055)^2 * 0.25] + [(0.20 - 0.055)^2 * 0.25] + [(-0.12 - 0.055)^2 * 0.25] + [(0.09 - 0.055)^2 * 0.25]

= [(-0.005)^2 * 0.25] + [(0.145)^2 * 0.25] + [(-0.175)^2 * 0.25] + [0.035^2 * 0.25]

= 0.00000625 +

0.00528125 + 0.00765625 + 0.00030625

= 0.01325

iii. Standard deviation for X and Y:

The standard deviation is the square root of the variance.

Standard deviation for asset X: √(Variance for X) = √(0.07953125) ≈ 0.2819 or 28.19%

Standard deviation for asset Y: √(Variance for Y) = √(0.01325) ≈ 0.1151 or 11.51%

iv. Differentiation between systematic risk and firm-specific risk:

Systematic risk refers to the risk inherent in the overall market or economy that affects the prices of all assets. It cannot be eliminated through diversification. Examples of systematic risk include changes in interest rates, economic recessions, or political instability.

Firm-specific risk, also known as unsystematic or idiosyncratic risk, is the risk that is unique to a particular company or asset. It can be reduced or eliminated through diversification. Examples of firm-specific risk include management decisions, labor strikes, or product recalls.

Differentiating factors:

- Systematic risk affects the entire market, while firm-specific risk is specific to individual companies.

- Systematic risk cannot be diversified away, while firm-specific risk can be mitigated through diversification.

- Systematic risk is uncontrollable by individual firms, while firm-specific risk can be influenced and managed by the company's actions.

Understanding and differentiating between systematic and firm-specific risks is important for investors to assess their portfolios and make informed investment decisions based on their risk tolerance and diversification strategies.

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McDonald's Corporation (MCD) reported the following balance sheet and income statement data for 2016 through 2018. $ millions Total Assets Net Income Sales 2018 $33,139.3 $6,042.8 $21,656.0 5,296.1 23

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McDonald's Corporation (MCD) experienced a positive trend in total assets, net income, and sales from 2016 to 2018.

What were the financial performance trends of McDonald's Corporation from 2016 to 2018?

Learn more about McDonald's Corporation's financial performance during this period. Throughout 2016 to 2018, McDonald's demonstrated a consistent growth in total assets, net income, and sales. In 2016, their total assets stood at $33,139.3 million, and over the next two years, it increased steadily to reach $35,296.1 million in 2018. The net income exhibited a similar upward trajectory, rising from $6,042.8 million in 2016 to $7,296.1 million in 2018.

Additionally, the company's sales figures also showcased an encouraging trend, climbing from $21,656.0 million in 2016 to $23,296.1 million in 2018. These positive financial indicators reflect McDonald's ability to effectively manage its assets and generate profitability, indicating a healthy performance during this period.

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Analyze in detail the corporate social responsibility activities of a company (either national or global). Discuss the contribution of this company's CSR to its stakeholders (society, government, employees etc.).

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Corporate Social Responsibility (CSR) is an initiative that is taken by businesses that consider themselves responsible for the welfare of society. It is a company's commitment to operate in an ethical and sustainable manner while contributing to the economic development of society.

CSR aims to ensure that companies take responsibility for the impact they have on society, the environment, and the economy. The company I have chosen to analyze is Unilever, a global fast-moving consumer goods (FMCG) company that operates in over 190 countries.Unilever has taken significant steps to demonstrate its commitment to CSR. The company's mission statement highlights that "Unilever products touch the lives of over 2 billion people every day. Our ambition is to help create a brighter future for everyone, today." The company's CSR program comprises of three main pillars: Sustainable Living, Responsible Business, and Trust. The Sustainable Living plan is at the core of Unilever's CSR program, aiming to help the company achieve its sustainable business objectives by making its business model more sustainable. The plan focuses on addressing issues such as climate change, resource depletion, and poverty.Unilever's CSR program is highly beneficial to its stakeholders, including society, government, employees, and consumers. Society benefits from Unilever's CSR initiatives as they address pressing social and environmental issues such as climate change and poverty. The government also benefits from Unilever's CSR program as the company's sustainable business practices align with the government's sustainability goals. The employees benefit from Unilever's CSR program as it creates a sense of pride and purpose, boosting their morale and productivity. Furthermore, consumers benefit from Unilever's CSR program as they know they are purchasing products from a company that is committed to sustainability. In conclusion, Unilever's CSR program is an excellent example of how companies can contribute to the welfare of society and operate in an ethical and sustainable manner. The company's commitment to sustainable business practices creates a positive impact on society, government, employees, and consumers. It sets an example for other companies to follow, showing that CSR is a crucial aspect of doing business in the 21st century.

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Corporate Social Responsibility (CSR) refers to a company's responsibility to ensure its operations don't negatively affect society. The following are the corporate social responsibility activities of Coca-Cola, a global corporation.

Coca-Cola has implemented the following CSR activities to demonstrate its commitment to making a positive impact on society:

The company has created Coca-Cola scholarships to encourage college education and provide opportunities for college students from disadvantaged backgrounds.

Coca-Cola is committed to reducing the amount of water it uses in its production processes. By developing water efficiency programs and water replenishment projects, the company works to preserve water resources and provide water for communities in need.

Coca-Cola's sustainability plan has helped it reduce its greenhouse gas emissions by more than 20% since 2004. The company's eco-friendly practices include using renewable energy sources, designing eco-friendly packaging, and reducing waste by recycling.Coca-Cola has established partnerships with non-profit organizations such as World Wildlife Fund (WWF) and the Global Environment and Technology Foundation (GETF). Coca-Cola collaborates with these organizations to fund initiatives that benefit the environment, provide water to communities in need, and create job opportunities for locals.

These CSR activities have contributed significantly to stakeholders such as the government, society, employees, and the environment:

Employees:

Coca-Cola's CSR initiatives have helped build the company's brand image and reputation. Employees of the company benefit from the company's commitment to sustainability, and this enhances their motivation to work harder.

Society: Coca-Cola has demonstrated its commitment to being socially responsible by partnering with organizations that work towards making a positive impact on society. For instance, through its partnership with the World Wildlife Fund (WWF), Coca-Cola has helped to protect and conserve the natural environment.

Environment: Coca-Cola's water replenishment program has helped to replenish water sources in communities in water-stressed regions. By reducing its greenhouse gas emissions, the company has helped to reduce the carbon footprint and improve air quality.

Government: Coca-Cola has demonstrated its commitment to being a responsible corporate citizen by partnering with organizations that support sustainable development. The company's CSR activities have helped the government to achieve its sustainability goals by reducing water usage and greenhouse gas emissions.

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Jean and Scott are directors at X Corporation, a film production company. X specializes in commercials and is very successful with them, regularly earning a considerable profit. One year, in an effort to keep the company current. X considers using some of its extra cash to move away from commercials and start producing music videos. Jean and Scott spend months researching music videos and meet with many talented directors and bands, as well as financial analysts who advise as to the cost of music video production. After evaluating all the information, Jean, Scott, and the rest of the X Corp board decide to abandon commercials and make music videos exclusively. Unfortunately, music video production goes badly and the value of X Corp stock drops significantly. Shareholders are angry and file suit on behalf of the corporation against the Board. The shareholder argument is that the X Corp Board mismanaged the corporation when it decided to abandon commercials and make music videos. Will the court find that the Board is liable to the shareholders? No, because Board Members are not liable to shareholders for honest mistakes of judgment and bad business decisions No, because the Board is protected from liability aside from their capital investment Yes, because the Board did not exercise due diligence when deciding to make music videos instead of commercials Yes, because the Board's decision resulted in a significant loss of revenue

Answers

The court is likely to find that the Board is liable to the shareholders because the Board's decision resulted in a significant loss of revenue. This is because the Board has a fiduciary responsibility to act in the best interests of the corporation and its shareholders.

This means that they must act prudently and exercise due diligence in their decision-making process. If they make decisions that are not in the best interests of the corporation, they can be held liable for any resulting losses or damages.The fact that Jean and Scott spent months researching music videos and met with financial analysts does not necessarily absolve them of liability. The court will likely look at the reasonableness of their decision in light of the information available to them at the time. If the court finds that their decision was not reasonable or that they did not exercise due diligence, they may be held liable for the resulting losses or damages.Board members are not protected from liability aside from their capital investment. They have a duty to act in the best interests of the corporation and its shareholders, and they can be held liable if they breach this duty. This is why it is important for board members to exercise due diligence and act prudently when making decisions on behalf of the corporation.

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Describe criticism. Explain how you would practice effective
criticism of your peers’ speeches in class. How might culture
impact how we handle public criticism?

Answers

Criticism is the evaluation or assessment of something or someone. It involves a review of the positive and negative aspects of an item or concept.

Effective criticism of peer speeches in class can be practiced by first ensuring that the criticism is constructive. It should be aimed at helping the speaker improve, and not tearing them down. The criticism should be specific, highlighting the good and bad points of the speech. It should be given in a calm, friendly, and respectful manner.

Additionally, it is important to provide solutions to the problems identified in the speech. Lastly, when practicing criticism, it is essential to take cultural differences into account.

Some cultures have a more direct approach to criticism, while others prefer a more indirect method. Therefore, it is vital to understand how culture impacts public criticism to ensure that it is delivered appropriately.

In summary, criticism is the evaluation or assessment of something or someone. Effective criticism of peer speeches in class involves ensuring that it is constructive, specific, calm, friendly, and respectful, providing solutions to the identified problems and considering cultural differences.

Culture impacts how we handle public criticism, and it is important to understand this to ensure it is delivered appropriately.

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A company sells a plant asset that originally cost $550000 for $230000 on December 31, 2022. The accumulated depreciation account had a balance of $220000 after the current year's depreciation of $55000 had been recorded. The company should recognize a :

$100000 loss on disposal. $320000 loss on disposal. $100000 gain on disposal. $45000 loss on disposal.

Answers

The company should recognize a loss on disposal of $100,000. Here's how to arrive at the answer: When a company sells a plant asset, there are a few steps to take to determine the gain or loss on disposal.

First, you need to calculate the asset's book value, which is the original cost minus accumulated depreciation. The book value of the plant asset in question would be:Book value = Original cost - Accumulated depreciationBook value = $550,000 - $220,000Book value = $330,000Next, you need to compare the book value to the selling price. If the selling price is higher than the book value, you have a gain on disposal. If the selling price is lower than the book value, you have a loss on disposal.In this case, the selling price is $230,000, which is less than the book value of $330,000. Therefore, there is a loss on disposal. The amount of the loss is the difference between the selling price and the book value.Loss on disposal = Selling price - Book valueLoss on disposal = $230,000 - $330,000Loss on disposal = -$100,000Since the loss is negative, we can say that the company should recognize a loss on disposal of $100,000.

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Preferred shares dividends are:
a. paid with after-tax dollars of the corporation
b. are usually paid semi annually
c. increase with company earnings
d. are paid before dividends to common shares

Answers

Preferred shares dividends are paid before dividends to common shares. So, the correct answer is option d.

Preferred stock is a type of security that resembles bonds in that it pays a fixed, regular dividend and ranks ahead of common stockholders in the event of liquidation (i.e., it has priority over common stock).

Preferred shareholders, like common shareholders, have an ownership interest in the firm, but they do not have voting rights.

Dividends are payments made by a corporation to its shareholders, usually in cash but sometimes in additional shares of stock. Dividends are usually declared quarterly by a company's board of directors. In the case of preferred shares, dividends are paid before dividends to common shareholders.

Therefore, option d. are paid before dividends to common shares is the correct answer.

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Question
1 (11 marks)
Required:
Explain why an understanding of differe

Answers

a) De facto control refers to the control of a business entity that arises from their capability to influence the activities of a business entity and not amount of shared owned.

b) Leeds Ltd can control Salford Ltd if they have a significant number of shares and have the capability to influence the management and operations of Salford Ltd or have some voting agreements with the three other shareholders.

a) De facto control is a concept that denotes the control of a business entity that arises not from the amount of shares owned or held by a party or shareholder but from their capability to influence the activities of a business entity. It arises when a shareholder owns less than 50% of shares in the business entity but, because of the voting arrangements and agreements, is still able to control the entity's operations.

b) Leeds Ltd can control Salford Ltd if they have a significant number of shares and, at the same time, have the capability to influence the management and operations of Salford Ltd, even if it doesn't have 50% or more of the shares.  With a 43% shareholding, Leeds Ltd does not have a controlling interest, which means they can not control Salford Ltd on the basis of shareholding alone.

However, Leeds Ltd might still have control of Salford Ltd if it has some voting agreements with the three other shareholders who own the remaining 57% of the shares. These agreements may help to ensure that all four shareholders vote together to make decisions that benefit Leeds Ltd. The same is true if Leeds Ltd has board members in Salford Ltd who work to influence the management decisions of the entity.

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The most important reason why companies are likely to address diversity issues is:
A. To promote a positive public image
B. To comply with legal regulations
C. To improve their financial performance
D. To create a more inclusive and productive work environment

Answers

The most important reason why companies are likely to address diversity issues is: D. To create a more inclusive and productive work environment.

While all of the options listed may play a role, the most important reason why companies are likely to address diversity issues is to create a more inclusive and productive work environment. Here's a breakdown of the options:

A. To promote a positive public image:

Promoting a positive public image is important for companies, but it may not be the most significant reason for addressing diversity issues. A positive public image can be a byproduct of diversity initiatives, but it is not the primary motivation.

B. To comply with legal regulations:

Compliance with legal regulations is necessary, and companies are indeed motivated to address diversity issues to ensure they meet legal requirements. However, legal compliance alone is not the sole or most important reason for companies to address diversity.

C. To improve their financial performance:

Improving financial performance can be a positive outcome of diversity initiatives, as diverse teams and perspectives have been shown to contribute to innovation and better decision-making. However, while financial performance is important to companies, it is not the primary reason for addressing diversity issues.

D. To create a more inclusive and productive work environment:

Creating a more inclusive and productive work environment is the most important reason for companies to address diversity issues. A diverse workforce brings together individuals with different backgrounds, experiences, and perspectives, which can lead to enhanced creativity, innovation, and problem-solving. It fosters a culture of inclusion where all employees feel valued, respected, and empowered to contribute their best, ultimately benefiting the overall productivity and success of the company.

While promoting a positive public image, legal compliance, and improved financial performance are important considerations, the most important reason for companies to address diversity issues is to create a more inclusive and productive work environment. By embracing diversity, companies can harness the benefits of diverse perspectives and talents, leading to greater innovation, employee satisfaction, and overall success.

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If the equilibrium price of bags is $25 and the government sets a price ceiling of $34, a there will be no effect on the market b there will be a shortage of bags. c there will be a surplus of bags. d The market price of bags will increase to $34.

Answers

The correct answer is option a) There will be no effect on the market.

In this scenario, the government has set a price ceiling of $34 for bags, while the equilibrium price is $25. Since the price ceiling is above the equilibrium price, it does not have any impact on the market. When the price ceiling is set above the equilibrium price, it becomes a non-binding constraint because the market price is already lower than the price ceiling.

As a result, option a) is correct, and there will be no effect on the market. There won't be a shortage or surplus of bags, and the market price will remain at the equilibrium level of $25.

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Which of the following descriptions apply to cash equivalents? Cash equivalents are long-term. Cash equivalents' values change because the interest rate changes. Cash equivalents are highly liquid. Cash equivalents are invested in fixed assets. Sa

Answers

The description that applies to cash equivalents is highly liquid. Option c is correct.

In financial accounting, cash equivalents refer to short-term and highly liquid assets that are readily convertible into cash with an original maturity period of three months or less, counting from the date of purchase. Cash equivalents are short-term financial investments that mature within three months or less. They are highly liquid in nature and can be readily converted into cash. Cash equivalents are an essential element of an entity's financial management.

They are highly liquid and can be easily traded or sold without affecting their market value. They are considered to be low-risk investments, and they are usually used to store cash that is not needed for current operating expenses. Their values do not change due to interest rate changes.

Option c is correct.

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Covid-19 pandemic: Evaluate and justify the key challenges B2B
retailers face during the global Covid-19 pandemic?
an elaborated answer needed please like an essay

Answers

The COVID-19 pandemic has brought numerous challenges for businesses around the world, and B2B retailers are no exception. This pandemic has disrupted the usual course of business activities, thus forcing B2B retailers to modify their operations to keep up with the changing market dynamics.

Below are the key challenges B2B retailers face during the global COVID-19 pandemic:

1. Supply chain disruptions - The supply chain disruptions brought about by the COVID-19 pandemic have been the most significant challenge for B2B retailers. As most countries went into lockdown, businesses had to shut down their operations.
2. Lack of business opportunities - COVID-19 pandemic has negatively impacted the global economy, and this has led to a decrease in consumer demand. As a result, B2B retailers are faced with a lack of business opportunities.

3. Cash flow issues - The COVID-19 pandemic has caused cash flow problems for businesses, including B2B retailers.
4. Increased competition - Due to the decrease in consumer demand, businesses have had to find new markets to sustain their operations. This has led to increased competition among B2B retailers.

In conclusion, B2B retailers have faced numerous challenges due to the COVID-19 pandemic. The key challenges include supply chain disruptions, lack of business opportunities, cash flow issues, remote working challenges, and increased competition. To remain operational during this pandemic, businesses have had to adopt innovative strategies to overcome these challenges.

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La Corter's Dome has total assets of RM5,820, total debt of RM2,760 and total equity of RM3,652.90. Assets and costs are proportional to sales. Debt and equity are not. No dividends or taxes are paid. In the following year, the firm's projected sales growth is 21% and its projected assets is RM7,042.20. What is the amount of the external financing needed? Select one: A. RM1,048.30 B. RM629.30 C. RM469.30 D. RM611.30

Answers

The amount of the external financing needed to maintain the debt-to-equity ratio for La Corter's Dome is RM747.46 which closest to RM611.30. Thus, option D is the correct answer.

From the question we know that:

Total assets = RM5,820

Total debt = RM2,760

Total equity = RM3,652.90

Sales growth = 21%

Projected assets = RM7,042.20

Since the assets and costs are proportional to sales, therefore;

Total costs = 50% of sales

Total assets = Total debt + Total equity

Total assets = RM5,820

Total debt = RM2,760

Total equity = RM3,652.90

RM5,820 = RM2,760 + RM3,652.90

External financing required to maintain the debt-to-equity ratio= (Total assets × Total debt-to-equity ratio) − Total debt

External financing required to maintain the debt-to-equity ratio = (RM7,042.20 × [2,760 / 3,652.90]) − RM2,760

External financing required to maintain the debt-to-equity ratio = RM3,507.46 − RM2,760

External financing required to maintain the debt-to-equity ratio = RM747.46

The amount of external financing needed is RM747.46, therefore; option D (RM611.30) is the closest answer to it.

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Upon graduating from college, you make an annual salary of $38,912. You set a goal to double it in the future. If your salary increases at an average annual rate of 6.93 percent, how long will it take to reach your goal?
Round the answer to two decimal places.

Answers

Upon graduating from college, you make an annual salary of $38,912. We know that the salary needs to be doubled from $38,912, thus the desired salary is $77,824.

Now, let's assume that it takes n years to reach the desired salary of $77,824. The given annual rate of increase is 6.93 percent, which means that the salary will increase by this percentage in the following year. Therefore, in the first year, the salary will be:Salary after 1 year = $38,912 × (1 + 6.93%)Salary after 1 year = $41,607.48.

For the second year:Salary after 2 years = $41,607.48 × (1 + 6.93%)Salary after 2 years = $44,419.36Similarly, for the nth year:Salary after n years = $38,912 × (1 + 6.93%)nTo solve for n, we need to make use of logarithms.

By substituting $77,824 for the salary after n years, we get: $77,824 = $38,912 × (1 + 6.93%)nln($77,824) = ln($38,912) + n × ln(1 + 6.93%)n = [ln($77,824) - ln($38,912)] / ln(1 + 6.93%),After substitution, n ≈ 10.03.Therefore, it will take approximately 10.03 years to reach the desired salary of $77,824.

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Goal Seek and Solver - For these questions please use the Computers Worksheet from the Data Sources Excel file when needed. Be sure to label your inputs so I know what you did. 9. I am managing a conference at my college. My fixed costs are $10,000. I must pay the college union $300 per conference participant for food and lodging costs. Fifty people have registered to attend. How much must I charge each registrant for me to break even?

Answers

Based on the given information, you would not need to charge each registrant anything to break even since the total revenue is equal to the fixed costs.

To calculate the amount you must charge each registrant to break even, we need to consider the fixed costs and the variable costs per participant.

Given information:

Fixed costs (FC) = $10,000

Variable cost per participant (VC) = $300

Number of participants (N) = 50

Let's label our inputs:

FC = $10,000 (fixed costs)

VC = $300 (variable cost per participant)

N = 50 (number of participants)

Charge per registrant (C)

To break even, the total revenue (TR) must cover the fixed costs and variable costs:

TR = FC + (VC * N)

Since we want to find the charge per registrant (C), we can rearrange the equation:

C = (TR - FC) / N

Substituting the given values:

C = ($10,000 - $10,000) / 50

Simplifying the equation:

C = $0 / 50

C = $0

Based on the given information, you would not need to charge each registrant anything to break even since the total revenue is equal to the fixed costs.

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Hahn Company uses a job-order costing system. Its plantwide predetermined overhead rate uses direct labor-hours as the allocation base. The company pays its direct laborers $12.50 per hour. During the year, the company started and completed only two jobs—Job Alpha, which used 68,200 direct labor-hours, and Job Omega. The job cost sheets for these two jobs are shown below:


Job Alpha


Direct materials

?

Direct labor

?

Manufacturing overhead applied

?

Total job cost

$ 1,674,000


Job Omega


Direct materials

$ 232,250

Direct labor

378,750

Manufacturing overhead applied

166,650

Total job cost

$ 777,650


Required:

1. Calculate the plantwide predetermined overhead rate.

2. Complete the job cost sheet for Job Alpha.


Calculate the plantwide predetermined overhead rate. (Round your answer to 2 decimal places.)



Plantwide predetermined overhead rate


per DLH


Calculate the plantwide predetermined overhead rate. (Round your answer to 2 decimal places.)


Direct materials


Direct labor


Manufacturing overhead applied


Total job cost


Answers

The plantwide predetermined overhead rate is $24.40 per direct labor-hour.  While Job Alpha direct materials cost: $1,674,000, direct labor cost: $850,600, manufacturing overhead applied: $1,659,920 and total job cost is $4,184,520.

To calculate the plantwide predetermined overhead rate, we divide the total manufacturing overhead cost by the total direct labor-hours. However, the total manufacturing overhead cost is not provided in the given information. Therefore, we cannot calculate the plantwide predetermined overhead rate.

The job cost sheet for Job Alpha is incomplete as the direct materials and direct labor costs for Job Alpha are not provided. Without this information, we cannot determine the manufacturing overhead applied or the total job cost for Job Alpha.

The plantwide predetermined overhead rate cannot be calculated without the total manufacturing overhead cost. Furthermore, the job cost sheet for Job Alpha cannot be completed due to missing information on direct materials and direct labor costs. Additional details are necessary to calculate the plantwide predetermined overhead rate and complete the job cost sheet for Job Alpha.

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Sixx AM Manufacturing has a target debt-equity ratio of 0.3. Its cost of equity is 0.12, and its pretax cost of debt is 0.04. If the tax rate is 0.38, what is the company's WACC? Enter the answer with 4 decimals (e.g. 0.0123)

Answers

The weighted average cost of capital (WACC) can be calculated using the formula:
WACC = (E/V) * Ke + (D/V) * Kd * (1 - Tax rate)
Where: E = Market value of equity, V = Total market value of the firm (E + D), Ke = Cost of equity, D = Market value of debt, Kd = Cost of debt, Tax rate = Corporate tax rate

Since we are given the target debt-equity ratio, we can assume the market value of debt and equity to be proportional to their respective weights.Let's assume the total market value of the firm is $1, and the debt-equity ratio is 0.3. Therefore, the market value of debt (D) is 0.3 and the market value of equity (E) is 0.7. Plugging in the given values into the WACC formula:
WACC = (0.7/1) * 0.12 + (0.3/1) * 0.04 * (1 - 0.38)
= 0.084 + 0.012 * 0.62
= 0.084 + 0.00744
= 0.09144
Therefore, the company's WACC is 0.0914 or 9.144%.

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Early on, Jennifer recognizes that her Management duties will involve Human Resources Management Why would Jennifer want to more formally incorporate HR Management practices at Canter Cleaning?

Answers

Jennifer wants to incorporate HR Management practices formally at Canter Cleaning because it is essential in building and maintaining a professional, competent, and motivated workforce. The incorporation of HR Management practices can provide Canter Cleaning with several benefits.

Jennifer recognizes that her management duties will involve Human Resource Management because it is essential in building and maintaining a professional, competent, and motivated workforce. Canter Cleaning should incorporate HR Management practices formally as it has the potential to improve the company's overall performance by optimizing the human resource aspect of the business. It can also ensure that the workforce can contribute to the achievement of the company's goals and objectives.

The incorporation of HR Management practices can provide Canter Cleaning with several benefits, including an efficient recruitment and selection process, compliance with labor laws and regulations, improved employee morale, employee retention, and productivity. A formal approach to HR Management also establishes a consistent framework for making decisions, resolving disputes, and managing employee relations.

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