In my opinion, understanding strategy and being able to contribute to strategic decision-making is beneficial for a manager, regardless of their specific role within the company.
While it may not be the sole responsibility of a manager to develop the overall corporate strategy, being familiar with strategic concepts and contributing to the strategy formulation process can enhance their effectiveness in managing their respective teams or departments.
A manager plays a crucial role in implementing the company's strategy within their area of responsibility. They translate the broader strategic objectives into actionable plans, allocate resources, set goals, and monitor progress towards achieving strategic targets. By aligning their team's efforts with the overall strategy, managers ensure that the organization moves in the intended direction.
However, it's important to note that strategy formulation and implementation are typically collaborative efforts involving multiple stakeholders, including executives, senior leaders, and cross-functional teams. While managers are involved in decision-making and implementation, they often work alongside others in the organization to develop and execute strategic initiatives.
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Why is it important for a human resource manager to carefully maintain
employee records?
Answer:
Certain records require employee privacy to be protected. Not maintaining and following best practices for employee record keeping leaves you vulnerable to defending yourself against lawsuits, labor investigations or audits.
Explanation:
Which type of human resources job is likely to grow at a slower rate in the future?
OA. training and development manager
O B. labor relations specialist
OC. compensation, benefits, and job analysis specialist
OD. career counselor
The timeline you provide with a grant application is just an initial estimate included for your own planning
purposes and is often amended later.
O False
O True
A company sells machinery for a loss. What impact does this have on the company’s net income on the income statement?
A. It is decreased by the sale amount.
B. It is not changed.
C. It equals the sale amount.
D. It is increased by the sale amount.
Answer:
A. It is decreased by the sale amount.
Explanation:
An income statement reports the profits or loss realized by a business in a particular period. In preparing the income statement, accountants consider all the revenues and expenses for that period. A loss occurs when expenses exceed revenues.
Gains or losses from sales of assets are reported in the income statement. Gain or profit is reported as income, while a loss is an expense. A loss from the sale of an asset increases expenses thereby, reducing the profits for that period.
Answer: D. It is increased by the sale amount.
Explanation:
Kim placed an order with her broker for 550 shares of each of three ipos being offered this week. each of the ipos has an offer price of $27. the number of shares allocated to kim along with the closing prices on the first trading day are: stock shares allocated price a 550 $ 26.15 b 400 30.43 c 320 33.43 what is kim's total profit on these three stocks at the end of the first day of trading?
Kim's total profit on these three stocks at the end of the first day of trading was -$347. This means that Kim lost money on her investment.
At the end of the first trading day, Kim's total profit on these three equities can be calculated as follows:
1. The total cost of the shares that Kim purchased. Kim purchased 550 shares of each of the three IPOs, so the total number of shares she purchased \(\displaystyle{\displaylines{550 * 3 = 1650}}\).
The offer price for each share was $27, so the total cost of the shares is \(\displaystyle{\displaylines{1650 * $27 = $44,550}}\)
2. The total revenue from selling the shares.
Kim sold
320 shares of stock C, a closing price of $33.43,
550 shares of stock A, a closing price of $26.15,
400 shares of stock B, a closing price of $30.43,
550 shares of stock B, the closing price of $30.15.
The total revenue from selling the shares is
\(\displaystyle{\displaylines{550 * $26.15 + 400 * $30.43 + 320 * $33.43 = $44,203.}}\)
3. Subtracting the total cost from the total revenue finds the total profit.
The total profit is -
\(\displaystyle{\displaylines{$44,203 - $44,550 = -$347.}}\)
Therefore, Kim's total profit on these three stocks at the end of the first day of trading was -$347. This means that Kim lost money on her investment.
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What common tasks are performed by Manufacturing workers? Check all that apply.
preparing meals for factory workers
selling manufactured products
creating advertisements for products
designing products and processes
operating machinery
interpreting instructions
lifting and moving materials
Answer:
4 5 6 7
Explanation:
got it right on edge
Answer:
4. designing products and processes
5. operating machinery
6. interpreting instructions
7. lifting and moving materials
Explanation:
edge 2021 :)
stay safe and good luck <3
Compose two paragraphs that predict the impact this tax cut and increased funding for unemployment insurance will have on the following: the economy as a whole individuals other government programs the government debt Be sure to justify your predictions, use proper grammar, and include topic sentences, an introduction, a conclusion, and information from the video.
Answer:
Extending the cut to payroll taxes will have a positive impact on the economy as a whole. With the continued decrease in the tax rate, people will have more money to spend more on goods and services. This will encourage businesses to hire more workers and will reduce unemployment. The economy will experience a boost, and recovery will take place. This tax cut will add an extra $40 to the average paycheck. People might use the extra income for rent, groceries, or gas.
Increased funding for unemployment insurance will ensure that eligible unemployed individuals will continue to get unemployment compensation. The extended unemployment compensation will lead to more production in the economy, which will help reduce government debt. An increase in production will lead to an increase in employment and output. When production increases, individuals’ incomes also increase, so the government will collect more income taxes to fund repayment of its debt.
Explanation:
PLATO
Answer:
The tax cut and the increased funding of unemployment insurance will benefit the economy as a whole. As unemployment rise, fewer people are going to have money to buy goods therefore, businesses will have less money to hire workers. This will not be fixed if there weren't any unemployment insurance. With unemployment money, people are going to buy more and the economy will boost. This not only benefits individuals but the economy as a whole. However, this may increase government debt and may have decrease funding to other government programs.
Explanation:
This is not from plato or edmentum. I typed it myself
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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_____ allows industries, organizations, and companies to approach business decisions from different perspectives. Arbitration Ergonomics Tolerance Workforce diversity
Answer:
Workforce diversity
Explanation:
Workforce diversity refers to similarities and differences between employers and employees in terms of their race, religion, gender, perspectives and opinions.
Diversity is important for every industry, organization, and company since people have different perspective and views, they approach business problems differently, leading to different solutions. Diversity leads to increase profits, creativity, wide range of skills e.t.c.
1. Looking at Nigeria as a potential emerging market, mention and explain 4 factors you think are preventing Nigeria from becoming an excellent emerging market to invest in? 2. If you were given the chance, resources and power to change Nigeria, which one out of the 4 problems identified above would you try to solve and how would you do it?
do not understand what you are saying
Total Costs (dollars)
8,000
7,000
6,000
5,000
4,000
3,000
2,000
1,000
0
Curve N
Curve M
Curve L
1,000 2,000 3,000 4,000
Quantity
What are the appropriate labels for Curves N and M in the nearby graph?
O Curve N is total cost and Curve M is total fixed cost.
O Curve N is total variable cost and Curve M is total cost.
O Curve N is total cost and Curve M is total variable cost.
Curve N is total variable cost and Curve M is total fixed cost.
The appropriate labels for Curves N and M in the nearby graph is that the Curve N is total cost and Curve M is total variable cost.
Why is the curve as stated about?Because a fixed cost is constant, this is not shown on the graph, however, the movement of the variable cost impacts directly on the total cost as well but it will be higher.
Hence, the appropriate labels for Curves N and M in the nearby graph is that the Curve N is total cost and Curve M is total variable cost.
Therefore, the Option C is correct.
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Which of the following two variables change by more than an initial change in spending?a. rate of returnb. incomec. outputd. interest rate
The correct answer is Option C. Output change by more than an initial change in spending
Output and income are often used interchangeably in macroeconomics, but in this context, output refers to the total amount of goods and services produced in an economy. An initial change in spending can have a multiplier effect on output, as it increases demand for goods and services, leading firms to produce more and hire additional workers. This, in turn, can lead to further increases in income and consumer spending. The multiplier effect can be amplified or dampened by a number of factors, such as the marginal propensity to consume, the availability of resources, and the degree of slack in the economy.
On the other hand, changes in the rate of return and interest rate are influenced by factors such as monetary policy, fiscal policy, inflation, and the overall health of the economy. While changes in spending can indirectly affect these variables, they typically do not change by more than the initial change in spending.
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Which methodology aims for customer satisfaction through early and continuous delivery of useful software components developed by an iterative process with a design point that uses the bare minimum requirements?.
A methodology aims for customer satisfaction through early and continuous delivery of useful software components is an agile methodology.
What is the agile methodology?Agile methodology is the way in which the work and responsibilities are divided into several phases.
It contains stakeholders, and it improves in every stage, and the work move as a cycle, with planning and execution.
Thus, A methodology aims for customer satisfaction through early and continuous delivery of useful software components is an agile methodology.
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According to the unit, what percentage of shoppers used a coupon in 2012?
A. 78%
B. 85%
C. 93%
D. 100%
today's world, 96% of consumers have used a coupon in the past 90 days. JC Penney tried to break consumers of the coupon habit in 2012 and quickly saw a 23% drop in sales for the first three quarters of 2012. If JC Penney couldn't change people's shopping behavior, you probably can't either.n: so i guess its c
Answer:
78%
Explanation:
I take nutrition and wellness, and this was the correct answer for me. Just took the test as well :P
next year's annual dividend divided by the current stock price is called the:
The next year's annual dividend divided by the current stock price is called the "dividend yield."
The dividend yield is a financial ratio that indicates the percentage return an investor can expect to receive in the form of dividends relative to the current price of the stock. It is calculated by dividing the annual dividend per share expected to be paid in the next year by the current stock price and then multiplying the result by 100 to express it as a percentage.The formula for dividend yield isDividend Yield = (Next Year's Annual Dividend / Current Stock Price) x 100The dividend yield is an important metric for investors as it provides insight into the income potential of an investment in relation to its current price. It helps investors assess the attractiveness of a stock's dividend payments relative to its market price and can be compared across different stocks to make investment decisions.
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Contemporary corporate governance started in 1992 with the Cadbury report in the United Kingdom. Cadbury was the result of several high profile company collapses. Corporate governance is concerned primarily with protecting weak and widely dispersed shareholders against self-interested Directors and Managers, Discuss the pillars of good corporate governance citing appropriate industry examples. [20 Marks]
The three pillars of good corporate governance are transparency, accountability, and fairness. Transparency implies that the company must provide sufficient information to stakeholders to enable them to understand the company's financial position, performance, and prospects. This information must be accurate, timely, and easily accessible to all stakeholders.
Accountability means that the company's directors and managers must be accountable to the company's shareholders. This means that they must act in the best interests of the company and its shareholders, and not in their own interests. They must be transparent about their decision-making processes and the reasons behind their decisions. One example of accountability is the use of independent non-executive directors on the board. These directors bring an outside perspective to the board and provide a check on the power of the executive directors.
Fairness means that the company must treat all stakeholders fairly. This includes shareholders, employees, customers, suppliers, and the wider community. For example, companies must pay their employees fairly and provide safe working conditions. They must also ensure that their suppliers are treated fairly and that they operate in an environmentally responsible way. An example of fairness is the Fairtrade movement, which seeks to ensure that farmers in developing countries are paid a fair price for their products.
In summary, the three pillars of good corporate governance are transparency, accountability, and fairness. These pillars are essential to ensure that companies act in the best interests of their shareholders and stakeholders and to build trust in the corporate sector.
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A capital deficiency exists when a partner has a debit balance in their capital account at the point of final cash distribution during liquidation.
true or false
A capital deficiency exists when a partner has a debit balance in their capital account at the point of final cash distribution during liquidation. This statement is true.
During the liquidation process, a partnership's assets are sold off, debts are paid, and any remaining cash is distributed to the partners.
Each partner's capital account reflects their share of ownership in the partnership.
If a partner's capital account has a debit balance, it means they owe more to the partnership than what they have contributed or earned.
A capital deficiency can occur due to losses incurred by the partnership or if a partner has withdrawn more cash or assets than their share entitles them to.
In this situation, the partner with a capital deficiency is responsible for repaying the amount owed to the partnership.
For example, let's say a partner's capital account has a debit balance of $5,000. During liquidation, if the partnership has $10,000 in cash to distribute, the partner with the capital deficiency will not receive any cash until their debit balance is fully repaid.
In conclusion, a capital deficiency in a partner's capital account at the point of final cash distribution during liquidation signifies a true statement.
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The following information appeared in the accounting records of a retail store for the previous year:
Sales $300,000
Purchases $140,000
Inventory January 1 $ 70,000
December 31 $100,000
Sales commissions $ 10,000
The gross margin was
a. $190,000
b. $180,000
c. $160,000
d. $150,000
The gross margin, given details of sales, purchases, and inventory, is $190,000. Option a is correct.
To calculate the gross margin, we need to subtract the cost of goods sold from the total sales. The cost of goods sold can be calculated by adding the beginning inventory to the purchases made during the year and then subtracting the ending inventory.
Beginning inventory = $70,000
Purchases = $140,000
Cost of goods available for sale = $210,000
Ending inventory = $100,000
Cost of goods sold = $110,000
Now, we can calculate the gross margin by subtracting the cost of goods sold from the sales.
Gross margin = Sales - Cost of goods sold
Gross margin = $300,000 - $110,000
Gross margin = $190,000
Therefore, the gross margin for the retail store for the previous year was $190,000. This means that out of the total sales of $300,000, the store was able to cover all its expenses and make a profit of $190,000. Option a is correct.
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The Federal Reserve decreases the discount rate in order to accomplish
which goal?
A. Lowering the prime rate on bank loans
B. Raising the number of treasury securities for sale
C. Increasing the interest rate on credit cards
D. Decreasing the total number of Federal Reserve banks
Answer:
A. Lowering the prime rate on bank loans
Explanation:
Prime rates are the interest rates that the commercial banks charge their most credit-worthy customers, mostly corporates. These customers are judged low-risk clients and get loans at lower interest rates compared to retail customers. If a commercial bank lowers the prime rate, the normal interest rates are also likely to decrease.
The discount rate is the interest rate at which commercial banks will means commercial banks are obtaining loans at an expensive rate. Consequently, they will charge customers a high-interest rate for loans advanced. If the Federal Reserve reduces the discount rate, banks will reduce interest rates on loans. The banks will be accessing credit from the Fed at lower interest rates.
Answer:
a
Explanation:
a p3x
the process of evaluating financial data that change under alternative courses of action is called contribution margin analysis. cost-benefit analysis. incremental analysis. double entry analysis.
The answer is c. incremental analysis.
The incremental analysis involves comparing the costs and benefits of different options or decisions and determining the impact of each alternative on overall financial performance. This type of analysis considers the contribution margin, which is the difference between sales revenue and variable costs, as well as fixed costs and other factors that may affect profitability. A double-entry analysis is a bookkeeping method used to ensure accuracy in financial records, and while it is important for financial analysis, it is not specifically related to evaluating alternative courses of action. Cost-benefit analysis is another type of financial analysis that compares the costs and benefits of different options, but it is typically used in a broader context than incremental analysis.
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How can you create any elegant and artistic presentation of a cake or pastry considering the product and its container?
unscramble the message:
1 4M n07 s4D B|_|7 1 4M n07 h499y 317H3r. 1 4M D399R3$$3|)
Answer:
"I am not sad (b-word) I am not happy either. I am depressed"
Explanation:
Hope this helps?
I will mark you as brainliest!
During the___step of the product development process a business will
likely have a fully functioning prototype of a new product.
A. product and promotion development
B. idea screening
C. post-launch review
D. business analysis
During the option B. idea screening step of the product development process a business will likely have a fully functioning prototype of a new product.
What function does a prototype serve in the creation of a product?New product development often starts with a concept study, then moves on to prototype development, actual productization, production, and post-sale support.
Prototypes are physical depictions of the various stages of development from the initial concept to the finished product. Every stage of the prototyping process provides useful information on how to produce a final design that will best serve the development project's ultimate objectives.
Note that By using prototypes, you can ensure that your final product is both safe and compliant with regulations in your sector. Cost-saving measures - Any alterations you make during the prototyping stage, whether to the product design, the materials used, or the production procedures, may enable you to reduce the price of the finished product.
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Answer: A: product and promotion development
Explanation:
What is descriptive of a market economy?
Answer: A market economy is an economic system in which individuals, rather than the state, own most of the resources. This includes land, labor, and capital. In a market economy, individuals control the use and price of these resources through voluntary decisions made in the marketplace. Key Takeaways
Explanation:
For the question below, write an explanation of the short-run effect (including the determinant of AD or AS that is causing the shift, the line that shifts (AD or AS), the direction of the shift (left or right), and the impact on output and price level (increase or decrease) and submit a properly drawn and labeled aggregate demand and aggregate supply graph for the scenario. Make sure your name and assignment number are written on each page of graphs you submit. All text must be written in the text box provided.
Congress passes a sweeping health care reform bill that provides free medical insurance for all Americans. Once the President signs it into law, the government will provide every American with a policy that will pay up to 80% of every medical bill a patient incurs. This change does not impact consumer income.
Explanation:
The passage of the health care reform bill would shift the aggregate demand (AD) curve to the right in the short run. This is because with the new policy, people would be able to afford more health care services, leading to an increase in the quantity of goods and services demanded at every price level. This would result in an increase in both output and the price level in the short run.
On the other hand, the aggregate supply (AS) curve would remain unchanged since the bill does not affect the costs of production or the available inputs.
Overall, the short-run impact of the health care reform bill would be an increase in output and a higher price level.
Explique la teoría del valor y de un ejemplo con algún bien o servicio de su uso cotidiano. (colombia)
Answer:
En economía, se habla de teorías del valor para indicar el conjunto de concepciones sobre la génesis y determinación del valor, como propiedad de las mercancías distinta del costo y lógicamente antecedente al precio, que constituye su manifestación fenomenal en esta perspectiva.
La economía política siempre ha tratado de responder a la pregunta: ¿de dónde viene el valor? Las respuestas fueron muy divergentes. Van desde la escasez de bienes disponibles, a su utilidad, a la necesidad de remunerar los factores productivos, incluido el capital y considerando su remuneración; - el beneficio - como recompensa por la abstinencia del capitalista, que puede permitirse renunciar al consumo para utilizar la propia riqueza de forma productiva, etc.
Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?
Printing Technology
Telecommunications
Performing Arts
Journalism
Answer:
Journalism
Explanation:
Answer:
journalism
Explanation:
When a site is unsafe, it means a. Your personal information may be used in ways you do not want c. Permission to use that site at school is always allowed b. That site is okay to visit often d. All of the above Please select the best answer from the choices provided A B C D
Answer:A, Your personal information may be used in ways you do not want
Explanation:
If it is a unsafe site than there for your personal information can go places you do not want them to.
When a site is unsafe, it means your personal information may be used in ways you do not want. Thus, option 'A' is the correct option.
What does it mean when a website is unsafe?External connections to websites with phishing, malware, or unwanted software are known as unsafe domains. Phishing is when a website imitates another one in an effort to fool visitors into divulging personal or financial information. When you visit an insecure website, you run the risk of having your personal information compromised and/or having malicious malware installed on your system.
Additionally, you can fall prey to a phishing attack, or someone else might watch your activity or use your resources for their own gain. If the content you're seeking to view is harmful or misleading, a warning will appear. These websites are frequently referred to as phishing or virus sites. If you clicked on a phishing link, the first thing you should do is immediately unplug your device from the internet.
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Why would a business want to help their employees obtain higher education? a. so they will be promoted within the year b. so they will be more effective and useful in the company c. so they will go back to school instead of working a job
B. it will make the employees more effective and useful in the company.
What are the reasons?
Here are some potential reasons:
Increased Skills and Knowledge: When employees have higher education, they gain valuable skills and knowledge that can be applied to their jobs. This can lead to better performance, increased productivity, and better decision-making.
Improved Retention: When employees feel supported and valued by their employer, they are more likely to stay with the company long-term. Offering educational opportunities can be a powerful way to demonstrate this support.
Succession Planning: By investing in their employees' education, a company can prepare them for leadership roles within the organization. This can help ensure that the company has a strong pool of talent to draw from in the future.
Attracting Top Talent: Offering educational opportunities can also be a way to attract top talent to the company. When potential employees see that a company is committed to supporting their growth and development, it can be a compelling reason to choose that company over others.
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Sunland Real Estate Company management is planning to fund a development project by issuing 10-year zero coupon bonds with a face value of $1,000. Assuming semiannual compounding, what will be the price of these bonds if the appropriate discount rate is 9.8 percent?
Answer:
$384.141
Explanation:
Given the following :
Discount rate (r) = 9.8%
Semi-annual compounding
Face value = $1000
Period (t) = 10 years
Price of zero-coupon bond (P) :
Face value / ( 1 + r)^t
r =. 9.8%, compounded semianually
r = (9.8 / 100) = 0.098 / 2 = 0.049
Period (t) = 10 * 2 = 20
P = 1000 / (1 + 0.049)^20
P = 1000 / 1.049^20
P = 1000 / 2.6032
P = 384.14062
P = $384.141 ( 3 decimal places)