Sustainability progress is harder to make with Tier 2 and 3 suppliers at Bekaert. The correct answer is B.
As the organization moves deeper into its supply chain, the complexity of managing Tier 2 and 3 suppliers increases, and the difficulty of ensuring adherence to high sustainability standards grows. As a result, Bekaert has established a unique approach to assessing the environmental, social, and governance (ESG) performance of its Tier 2 and 3 suppliers.
Bekaert's approach entails gathering ESG data from Tier 2 and 3 suppliers, as well as evaluating the supplier's ESG management strategy and practices. Bekaert's approach allows the company to establish a collaborative and ongoing ESG improvement process with its Tier 2 and 3 suppliers, which aids in the advancement of the company's sustainability efforts.
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When you're selling a covered call is it theta positive or negative?
When selling a covered call, the theta is typically positive. Theta is a measure of time decay, and it represents the rate at which the option's value declines as time passes. Since the seller of a covered call receives a premium upfront, they benefit from the option's value decreasing over time, which results in a positive theta.
A covered call is a popular options trading strategy where an investor sells a call option on an asset that they own. The investor generates income from the premium received for selling the option, while also giving up potential gains above a certain price (the strike price) if the asset's price increases. Theta is just one of several factors that influence the value of an option, and it can change over time based on various market conditions. However, when an investor sells a covered call, they are generally hoping to profit from the option's value decreasing over time. This means that a positive theta is desirable for this strategy. It's important to note that selling covered calls can still involve risks, and investors should carefully consider their goals and risk tolerance before implementing any options trading strategy.
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A grocery store decides to drop its health and beauty section of products because it has been unprofitable. Why might this strategy backfire?
a. The store can readily fill the available space.
b. It has automatically saved fixed cost associated with the department
c. Other sales way suffer by not having this convenience category of products
d. None of the above
The strategy of dropping the health and beauty section of products from a grocery store might backfire due to option c) other sales may suffer by not having this convenience category of products.
The health and beauty section of products in a grocery store may contribute to overall customer satisfaction and convenience. By removing this section, the store may face negative consequences that could impact its profitability and customer experience.
a) The store can readily fill the available space: This option is unlikely to be the reason why the strategy would backfire. While the store may have the ability to fill the space left by the health and beauty section with other products or store features, it doesn't necessarily address the potential negative impact on other sales.
b) It has automatically saved fixed costs associated with the department: This option is also unlikely to be the reason why the strategy would backfire. While dropping the health and beauty section may reduce certain fixed costs associated with that department, it doesn't consider the potential impact on overall store profitability.
c) Other sales may suffer by not having this convenience category of products: This option is a potential reason why the strategy might backfire. The health and beauty section of products may attract customers who value the convenience of being able to purchase these items while doing their grocery shopping. By eliminating this section, the store may lose those customers, resulting in reduced sales across other categories as well.
Dropping the health and beauty section of products from a grocery store may backfire if other sales suffer due to the absence of this convenience category. It is essential for businesses to carefully consider the potential impact on customer satisfaction, overall sales, and profitability when making strategic decisions to remove product categories.
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gateway communications is considering a project with an initial fixed assets cost of $1.49 million that will be depreciated straight-line to a zero book value over the 9-year life of the project. at the end of the project the equipment will be sold for an estimated $246,000. the project will not change sales but will reduce operating costs by $411,000 per year. the tax rate is 34 percent and the required return is 12.1 percent. the project will require $55,000 in net working capital, which will be recouped when the project ends. what is the project's npv?
Answer:
im not for sure but goodluck!
Explanation:
im sorry i just need to answer a random question for something
"__________represents a fundamental shift away from the traditional plan-driven project management approach by adopting a more experimental and adaptive approach to managing projects.
A) Agile project management
B) Extreme project management
C) Uncertain project management
D) Focused project management
E) Interactive project management"
Answer:
A) Agile project management
Explanation:
Hope this helps and have a nice day :)
How did the Virginia Company make money for England? (3 points) a Colonized the west coast of North America b Colonized the east coast of North America and sent resources back to England c Visited the east coast of North American and sold goods to settlers d Visited the west coast of North America.
The Virginia Company made money for England by colonizing the east coast of North America and sending resources back to England. These resources included tobacco, timber, fur, and other natural resources that were in high demand in England.
The Virginia Company was established in 1606 by King James I of England with the aim of establishing settlements in North America. The company had two divisions, the London Company, and the Plymouth Company. The London Company was tasked with colonizing the coast of North America from present-day Maine to South Carolina.
The Virginia Company made money for England by colonizing the east coast of North America and sending resources back to England. These resources included tobacco, timber, fur, and other natural resources that were in high demand in England.
In 1612, John Rolfe successfully cultivated tobacco in Virginia, which became the most lucrative commodity for the Virginia Company. Tobacco became so popular in England that it was called “brown gold”. The Virginia Company sold tobacco to England at a high profit, which helped to generate significant revenue for England.
The Virginia Company also established a headright system in which settlers who paid their way to Virginia were granted 50 acres of land. This encouraged more people to move to Virginia, which led to the growth of the colony and increased the production of tobacco and other resources that the Virginia Company could sell for profit.
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Finding a job that matches your skills and interests, and finding a job that has a positive job outlook are both important things to consider when selecting a career. Which do you think is more important? Why?
<< Read Less
Answer: Finding a job that matches your skill and interest.
Explanation:
This is very important and it majorly one of the key things to consider when applying for jobs. Sometimes, desperation makes people take any job without thinking if they like the job or not and this is bad as it will hinder the success of such person in the firm.
A typical example of this is applying for a job that requires proficiency in microsoft office packages and you literally have no knowledge but you only applied considering the Positive outlook of the firm, they are no two ways about this, you'd perform woefully if being asked simply because you don't possess the skill.
Finding a job that matches your skills and interest tends to make the job more enjoyable as you will be more motivated to keep the job and will find great pleasure in carrying out the task given. It also aids your career development as well, according to the saying practice makes perfect, doing what you love will continually help you to grow and develop yourself in your chosen field.
Carter is the principal broker of a Missouri real estate branch office. Kathleen, a broker-salesperson, was appointed the supervising broker for the branch office. Holly, a salesperson at the branch office, has three active listings. To whom do the listings belong
There are different aspect to being a broker. To whom do the listings belong is Carter as the principal broker.
Who is principal broker? Note that in real estate office, there has to be a principal or designated broker. This is known to be an individual who is responsible for managing or the person who oversees all licensed real estate agents at a specific firm.He or she makes sure that agents are working in compliance with state and national real estate law. Based on the scenario between Carter and Kathleen and Holly, the listings belong is Carter as the principal broker.
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Which of the following is happening when a lending institution gains money from an individual's paycheck to cover outstanding debts?
A. Principal
B. Garnishment
C. APR
D. Harassment
The Garnishment is a disposal institution that obtains money from a person's paycheck to cover outstanding debts.
What is Garnishment?Garnishment is a legal process that allows a plaintiff to collect a monetary judgment from a defendant.
Garnishment allows the plaintiff to take the money or property of the debtor from the person or entity who possesses it.
It is a financial system that moves money from a individual's paycheck to pay off obligations.
Therefore, option B is correct.
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Checkout counters are an example of this operating expense
fixtures
O equipment
O advertising
rent
Answer: Fixtures
Explanation:
Fixtures are a type of fixed assets that are so named because they are fixed to the property they are in, in such a way that it would require substantial work to remove them.
Checkout counters are fixed to the ground in grocery stores and other places that use them and trying to remove a checkout counters takes a lot of effort so they qualify to fall under fixtures.
Answer:
Answer would be fixtures
Explanation:
Fixtures , Equipment and Advertising and Rent are all expenses of an operating business but Fixtures is the only liable answer .
What economic event began in 2007?
the Great Recession
O the Reconstruction
the Progressive Era
the Great Depression
Answer:
The Great Recession
Explanation:
The Great Recession began in December 2007 and ended in June 2009, which makes it the longest recession since World War II. Beyond its duration, the Great Recession was notably severe in several respects. Real gross domestic product (GDP) fell 4.3 percent from its peak in 2007Q4 to its trough in 2009Q2, the largest decline in the postwar era (based on data as of October 2013). The unemployment rate, which was 5 percent in December 2007, rose to 9.5 percent in June 2009, and peaked at 10 percent in October 2009. (Robert Rich, federalreservehistory.org)
What is an investment portfolio?
A. A selection of varied accounts
B. A selection of varied instruments
C. A selection of varied applications
D. A selection of varied stocks and bonds
Answer:
In finance, a portfolio is a collection of investments aka stocks and bonds!
Two savanna communities both contain 15 plant species. In community A, each of the 15 species is represented by 20 individuals. In community B, 10 of the species are each represented by 12 individuals; the remaining 5 species are each represented by 3 individuals. Which statement best describes the two communities?
Answer:
Community A has a higher species evenness
Explanation:
Community A has high species evenness because species evenness is the relative proportion of people of different races in a particular area. In Community A, a total of 15 races are represented equally by 20 individuals, while in Community B, 10 out of 15 races are represented by 12 individuals and 5 other 3 individuals. The relative proportion of individuals of different races is greater than A. So that Community A has more species evenness.what percanetage of my income will likely got o taxes
Answer:
about 22% for federal taxes
How should you dress for a phone interview? (Site 1)
online content
Answer:
You should at least have a nice top on because only the camera will see that. If you are a girl you could just wear a dress, probably a black one because that is what I wore to my interview yesterday because there is no pattern or anything it's just a plain black one, but that was in person. if you're a guy you need to wear a suit and tie,but you could probably just wear shorts because they won't see the bottom half of you
Explanation:
I hope this helps out a little bit :-)
An interview is a formal process by which an employee is assessed for his/her performance by the employer.
For a phone interview, one should be dressed properly as the interviewer can see you through the camera.
For a girl, you should be dressed nicely and no revealing or extra shiny clothes should be wore.
In the case of a man, one should be properly dressed in suits or formal shirts.
Try to wear dark black or blue coloured clothes and sit in a properly lighted area.
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Yamato has an app on his cell phone that allows him to earn points whenever he buys food from a certain restaurant. These points can be used later to purchase additional food items from the restaurant, and they have caused Yamato to buy more food. The points serve as a(n) _____ for Yamato's buying behavior.
The points above serve as a positive reinforcer for Yamato's buying behavior.
What is positive reinforcement?This is often describe as the act that involves adding of a reinforcing stimulus that is accompanied by a behavior that makes it more evidence that the behavior will take place again in the future.
When a good outcome, event, or reward happens after an action, that specific response or behavior is known to be strengthened.
The Examples of Positive Reinforcement is Clapping and cheering.
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What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.
Answer:
A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOUThe risk that a central bank will not make the necessary transfer of foreign currency to complete a currency settlement is known as ________ risk. Group of answer choices settlement exchange rate Interest-rate Herstatt
Answer:
Herstatt.
Explanation:
The risk that a central bank will not make the necessary transfer of foreign currency to complete a currency settlement is known as herstatt risk.
Herstatt risk is also known as cross-settlement risk or settlement risk. It was named after Bankaus Herstatt (a German bank) that failed in June 1974 when it was supposed to settle a contract for a payment received from the other party and consequently, amounting to a loss of about $602,000,000.
Hence, is mainly a loss in foreign exchange transactions where a party defaults after receiving money from another.
10. Determine the break-even volume of work for a com- pany with a fixed overhead of $72,000 and a contribu- tion margin ratio of 14.0%.
The break-even volume of work for a company with a fixed overhead of $72,000 and a contribution margin ratio of 14.0% is 514,286.
To calculate the break-even volume of work, we divide the fixed overhead by the contribution margin ratio. In this case, the fixed overhead is $72,000 and the contribution margin ratio is 14.0%.
Using the formula: Break-even volume = Fixed overhead / Contribution margin ratio, we can substitute the given values to find the break-even volume.
Break-even volume = $72,000 / 0.14 = 514,286
Therefore, the company needs to produce and sell at least 514,286 units of its product or generate equivalent revenue to cover its fixed overhead costs and reach the break-even point. The break-even volume represents the level of production or sales at which the company's total costs equal its total revenue, resulting in neither profit nor loss. It is an important measure for businesses to determine the minimum volume needed to cover costs and start generating profit. In this case, the company needs to achieve a sales volume above 514,286 units to generate a profit.
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which of the following statements about earnings per share is correct? group of answer choices increased net income would cause earnings per share to decrease. issuance of more common shares would cause earnings per share to increase. purchasing treasury shares would cause earnings per share to decrease. it is calculated using weighted average number of common shares outstanding.
The correct statement about earnings per share is that it is calculated using the weighted average number of common shares outstanding.
Earnings per share (EPS) is a financial metric used to evaluate a company's profitability on a per-share basis. It is calculated by dividing the company's net income by the weighted average number of common shares outstanding during the period.
An increased net income would cause earnings per share to increase, not decrease as stated in one of the given statements. Similarly, the issuance of more common shares would cause earnings per share to decrease, not increase.
Purchasing treasury shares would cause earnings per share to increase, not decrease, as the number of outstanding shares decreases, thus increasing the earnings per share for the remaining shares.
In conclusion, the correct statement about earnings per share is that it is calculated using the weighted average number of common shares outstanding.
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According to the video, Acer's strategy to remain competitive against HP is to grow the company through _____
a. customized products
b. global sourcing
c. increased research and development
d.acquisitions
e. economies of scale
According to the video, Acer's strategy to remain competitive against HP is to grow the company through D. Acquisitions. With the acquisition, it will increase market share.
Acquisition is when one company buys most or all of another company's stock in order to gain control of that company. Purchasing more than 50% of the target company's stock and other assets allows the acquirer to make decisions about the newly acquired assets without the approval of the company's other shareholders.
Acquisitions are very common in business, can happen with the target company's approval, or regardless of its disapproval. With approval, there is often a no-shop clause during the process. You're probably more likely to hear about acquisitions of big, well-known companies because they tend to dominate the news. In fact, acquisitions are more common between small to medium-sized companies than between large companies.
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A ______ is a form of malware that fools its victims into thinking that it is useful software from a legitimate source.
a. virus
b. worm
c. trojan horse
d. ransomware
c. trojan horse. A trojan horse is a form of malware that deceives its victims by disguising itself as useful software from a legitimate source.
The term "trojan horse" is derived from the Greek myth of the Trojan War, where the Greeks used a large wooden horse to gain access to the city of Troy.
Similarly, in the context of computer security, a trojan horse appears to be harmless or beneficial software but actually contains malicious code or functions. It often masquerades as legitimate programs, such as antivirus software, system utilities, or games, to trick users into downloading and lling it.
Once lled, a trojan horse can carry out various malicious activities without the user's knowledge or consent. This can include stealing sensitive information, granting unauthorized access to the attacker, damaging files or systems, or facilitating further malware infections.
Unlike viruses or worms, trojan horses do not self-replicate. They rely on social engineering techniques or other means to trick users into executing or lling them. This makes them particularly dangerous as they can bypass security measures and exploit human vulnerabilities.
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as part of a team you are assigned to create appointment to report one of your asses to put people together and another team sent them to you you already have the title page summary and introduction in the place next you should put the A.table of contents B.appendices C.main body D.conclusion and recommendation
Answer: C.
Explanation:
A couple has just purchased a home for $361,700.00. They will pay 20% down in cash, and finance the remaining balance. The mortgage broker has gotten them a mortgage rate of 5.28% APR with monthly compounding. The mortgage has a term of 30 years. How much interest is paid in the first year?
The interest paid in the first year would be approximately $15,284.40.
To calculate the interest paid in the first year, we need to determine the remaining balance after the down payment and then calculate the interest on that balance.
The down payment is 20% of $361,700.00, which is $72,340.00. So, the remaining balance is $361,700.00 - $72,340.00 = $289,360.00.
Next, we need to calculate the monthly interest rate by dividing the annual interest rate by 12. In this case, the monthly interest rate is (5.28% / 100) / 12 = 0.0044.
Using the remaining balance and the monthly interest rate, we can calculate the interest paid in the first year. The monthly interest payment is $289,360.00 * 0.0044 = $1,273.70. Multiply this by 12 to get the interest paid in the first year, which is $1,273.70 * 12 = $15,284.40.
Therefore, the interest paid in the first year is $15,284.40.
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11. What are assets?
O
a business organization owned by two or more persons who agree on a specific division of responsibilities and profits
O
assessments on a partnership such as taxes
money and other valuables belonging to an individual or business
a type of partnership in which partners share equally in both responsibilities and liabilities
Answer:
assessments on a partnership such as taxes
money and other valuables belonging to an individual or business
Explanation:
assets are company possession and fall under micro environment (internal environment)
HOW IS EVERYONE i love u all and enjoy helping you where u may struggle
Answer:
THANK YOU SOOO VERY MUCH. I need assistance with my question
Kyle is a company with four divisions plus Headquarters, which are expected to generate €5.0bn of EBIT in the coming year as shown in the table below. You have been presented with a valuation of the business on a DCF (discounted cash flow) basis of €40.0bn which equates an EV/EBIT multiple of 8.0x, and you have valued the Men's Wear, Women's Wear and Children's Wear businesses on EBIT multiples of 8.4x, 8.6x and 5.2x, and Headquarters costs at 7.0x, as shown below. Determine the implied multiple of the Accessories business. A B Men's Wear Women's Wear Children's Wear Accessories D Central costs Total Implied Group EV/EBIT C 6.0 7.8 5.3 EBIT (€m) % EBIT (€m) EV/EBIT 22E 2,200 44% 8.4 1,800 36% 14% E F 7.6 700 7.1 500 -200 5,000 Which of the following is closest to the implied multiple of the Accessories business? I do not want to answer this question 10% -4% 100% 8.6 5.2 ? 7.0 8.0
To determine the implied multiple of the Accessories business, we need to calculate the EBIT for the Accessories division and divide it by the implied valuation for that division. From the given information, we know that the Accessories division has a negative EBIT of €200 million.
Implied multiple = Implied valuation / EBIT
Implied multiple = €40.0bn / (-€200m) = -200
Based on the calculations, the implied multiple for the Accessories business is -200.
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Commercially reasonable means Multiple Choice observing industry standards and practices that are generally accepted throughout various industries as proper business practices. charging a fair price for goods and not taking advantage of others in the industry. getting the highest price possible for goods without violating the law. observing industry standards and practices that may be unique to the particular industry.
Answer:
observing industry standards and practices that may be unique to the particular industry.
Explanation:
Commercially reasonable activities are based on a standard of reasonableness. It gauges what a reasonable person or entity will do in a given situation.
For example a standard for operation is defined in an industry and used as a basis the determine if business practices of a company are reasonable or not.
It involves good faiths effort on the part of the actors to meet as much as possible a similar objective or activity under similar circumstances.
In this instance commercially reasonable is defined as observing industry standards and practices that may be unique to the particular industry.
In a free market system, the concept of consumer sovereignty means that.
The concept of sovereignty in a free market system means that consumers have the power to decide through their actions which goods and products will be produced.
Free market systemIt corresponds to the independent and decentralized economic system where exchanges and negotiations between individuals and companies take place without government interference.
Therefore, in a free market system, it is impacted by the law of supply and demand, where the consumer regulates decisions through his actions.
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Vane's income tax rate is 30%. In Vane's 20X3 multiple-step income statement, what amount should Vane report as income after income taxes from continuing operations
Answer:
The correct option is A. $126,000.
Explanation:
Note: This question is not complete. The complete question is therefore provided before answering the question. See the attached pdf file for the complete question.
The explanation to the answer now provided as follows:
A multi-step income statement can be described as an income statement that provides gross profit and each category of expenses and incomes in details to determine the net income of a business for a specified period.
The to determine the amount should Vane report as income after income taxes from continuing operations, we prepared its year-end multiple-step income statement as follows:
Vane Co.
Year-end multiple-step income statement
Particulars $ $
Sales 575,000
Cost of sales (240,000)
Gross income 335,000
Administrative expenses (70,000)
Selling and distribution exp.:
Sales commissions (50,000)
Freight out (15,000) (65,000)
Operating income 200,000
Interest income:
Interest revenue 25,000
Other expenses:
Uncollectible accounts expense (15,000)
Other income (loss):
Loss on sale of equipment (10,000)
Loss on early retirement of LT debt (20,000)
Income before tax 180,000
Tax ($180,000 * 30%) (54,000)
Income after tax 126,000
Therefore, Vane should report $126,000 as income after income taxes from continuing operations. That is, the correct option is A. $126,000.
The best order fulfillment processes reduce order cycle time as much as possible. The shorter lead times are beneficial in that they allow firms to carry___________
a. reduced inventory levels and minimize investment in newer, untested projects
b. reduced inventory levels and free up cash that can be used on other projects
c. increased inventory levels and borrow cash for newer, more promising projects
d. increased inventory levels and generate greater profits by meeting sudden demands
The best order fulfillment processes reduce order cycle time as much as possible. This is because shorter lead times have several benefits for firms, including the ability to carry reduced inventory levels and minimize investment in newer, untested projects.
When order cycle time is shorter, firms can reduce their inventory levels since they are not required to stockpile products in anticipation of customer demand. This reduces the risk of excess inventory and associated costs, such as storage, handling, and obsolescence. Additionally, shorter lead times free up cash that can be used on other projects. This is because firms can use the cash that would have been spent on inventory to invest in other areas of their business, such as research and development, marketing, or expansion.
In contrast, increased inventory levels and borrowing cash for newer, more promising projects (option C) may increase the risk of excess inventory, and borrowing cash may result in higher interest rates and associated costs. Similarly, option D (increased inventory levels to generate greater profits by meeting sudden demands) may result in higher costs associated with storage, handling, and obsolescence, which can reduce profits.
In summary, reducing order cycle time through the best order fulfillment processes has several benefits, including the ability to carry reduced inventory levels and free up cash for other projects.
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