Keeping employees informed about and involved in the organization tends to increase affective commitment.
In what way does keeping employees informed and involved in the organization impact affective commitment?When employees feel informed about the organization tends, strategies, and decision-making processes, they develop a stronger sense of belonging and purpose. They are more likely to align their personal values with the organization's mission, leading to higher job satisfaction and a willingness to go above and beyond their job requirements.
Moreover, involving employees in decision-making and providing opportunities for their input and feedback empowers them, creating a sense of ownership and control over their work environment. This involvement nurtures their sense of responsibility and commitment to the organization's success.
When employees are well-informed and involved, they are also more likely to develop a deeper understanding of the organization as a whole, including its challenges and achievements. This broader perspective enhances their cognitive dissonance, enabling them to make informed decisions and contribute to the organization's growth and innovation.
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Mrs. Jones always wanted a white picket fence in front of her house. Mr. Jones, her husband, wants a fence around the entire house including a decently-sized lawn in the front and a garden in the back. The fence border should look like a rectangle (see picture above). He calculated that he would need to fence off an area of 4,000 square feet in order to fit all these things. He wants to appease his wife and at least build the white picket fence in front of the house. He plans to build the rest of the fence with chain link, a cheaper material. Given that a white picket fence costs $7 per foot and a chain link fence costs $4 per foot, what dimensions for the entire area will give the cheapest cost for the entire fence
Answer:
The dimensions for the entire area will give the cheapest cost for the entire fence are 40 feet in front, 100 feet on each side, and 40 feet on bottom.
Explanation:
Since Mrs. Jones always wanted a white picket fence in front of her house, and Mr. Jones, her husband, wants a fence around the entire house including a decently-sized lawn in the front and a garden in the back, and the fence border should look like a rectangle, and I have calculated that he would need to fence off an area of 4,000 square feet in order to fit all these things, and he wants to appease his wife and at least build the white picket fence in front of the house, and he plans to build the rest of the fence with chain link, a cheaper material, given that a white picket fence costs $ 7 per foot and a chain link fence costs $ 4 per foot, to determine what dimensions for the entire area will give the cheapest cost for the entire fence, the following calculation should be performed:
Area of a rectangle = base times height = Z x Y = 4,000
80 x 50 = 4,000
40 x 100 = 4,000
20 x 200 = 4,000
20 x 7 x 2 + 200 x 4 x 2 = X = 280 + 1600 = 1880
40 x 7 x 2 + 100 x 4 x 2 = X = 560 + 800 = 1360
80 x 7 x 2 + 50 x 4 x 2 = X = 1120 + 400 = 1520
Therefore, the dimensions for the entire area will give the cheapest cost for the entire fence are 40 feet in front, 100 feet on each side, and 40 feet on bottom.
The career cluster which provides security and protection for the public is___.
A.Law, Public Safety Corrections, and Security.
B.Hospitality and Tourism.
C.Human Services.
D.Information Technology
Answer:
A.Law, Public Safety Corrections, and Security.
Explanation:
Officers in the Law, Public Safety Corrections, and Security cluster protect properties and citizens' lives. Job titles in this cluster include police officers, security guards, lawyers, correctional officers, and legal assistants.
Works in this cluster revolve around jails, police stations, courts, correctional facilities, and public places where people require security and protection.
Which is a steppingstone towards future education
A. A high school diploma
B. On the job training
C. Vocational courses
D. Technical courses
Answer:
a high school diploma or on the job training
whistle-blowers refer to group of answer choices employees who are simultaneously employed by competing firms and who trade company secrets. employees who blackmail or extort money from their employers. employees who are coerced by their employers to participate in illegal or unethical activities. customers who report unethical or illegal actions of the firms that market the offerings they purchased. employees who report unethical or illegal actions of their employers.
The term "whistle-blowers" refers to "employees who report unethical or illegal actions of their employers". Thus, Option E is correct.
They do this by exposing or reporting such actions to the public or law enforcement authorities.
Whistle-blowers refer to employees who report unethical or illegal actions of their employers. They are the ones who come forward and tell the truth about the activities of their employer. Whistle-blowing may take place both in the public and private sectors of the economy. In addition, whistle-blowers may report activities that violate environmental standards, discrimination or other social issues.
Whistle-blowing may also occur where an employee is being coerced by their employers to participate in illegal or unethical activities. The practice of whistle-blowing is essential in ensuring that firms, and even individuals, comply with the law and ethical standards. Whistle-blowers are often protected by law to avoid reprisals from their employers. They can remain anonymous or have their identities concealed in court proceedings.
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abasi owns a business that manufactures backpacks and totes from recycled billboard canvas. abasi's company is in a growth phase, and she is primarily focused on improving efficiency while maintaining quality. which question represents the balanced scorecard perspective on which abasi is most focused?
If abasi's company is in a growth phase, and she is primarily focused on improving efficiency while maintaining quality. The question that represents the balanced scorecard perspective on which abasi is most focused is :"At what must we excel?"
What is balanced scorecard?
Balanced scorecard can be defined as the process that help companies to receive feedback on their business so as to enables the company to know how they can improve their performance as well as their internal and external operations.
One of the advantage of balanced scorecard is that it can enables companies to keep track of their performance or growth.
Therefore the question is "At what must we excel?".
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HELP PLEASE!!!
what is the outcome when a person defaults on a home loan?
A. the person goes to jail.
B. the bank will make the person work a second job.
C.the bank will take the person's car.
D.the bank will foreclose on the home.
Answer:
D.the bank will foreclose on the home.
Explanation:
The bank may even sue and garnish wages and financial accounts. The bank may even serve a conversion of accetts.
A 1099 form is used in calculating income tax for
A. part-time workers
B. wage-earning employees
C. salaried employees
D. independent contractors
Answer:
Independent contractors
Explanation:
Which Facets Model of Effects is a value that the customer assigns to something after receiving information from their senses?
Perception facets model effect is a value that the customer assigns to something after receiving information from their senses
The organization, identification, and interpretation of sensory information in order to represent and understand the presented information or environment is referred to as perception. All perception involves the transmission of signals through the nervous system, which results from physical or chemical stimulation of the sensory system.
The act or ability to perceive; mental grasp of objects, qualities, etc. through the senses; awareness; comprehension.
Facet model effect- The Facets Model of Effects examines the various aspects of a consumer's reaction to a brand message to determine which strategies will capture their attention.
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What is the difference between a routine and a major decision
Answer: routine decision- the type made every day without much though
planned decision- use more time and energy to make the best choice
Explanation: i really hoped it helped.
A student is graduating from college in six months but will need a loan in the amount of $3,725 for the last semester. the student may receive either an unsubsidized stafford loan or a plus loan. the terms of each loan are: unsubsidized stafford loan: annual interest rate of 4.65%, compounded monthly, with a balance of $3,901.95, at the time of repayment plus loan: annual interest rate of 5.65%, compounded monthly with payment deferred until graduation which loan will have a lower balance and by how much at the time of repayment?
A loan will have a lower balance and by much at the time of repayment $142.13.
What is loan?A loan is any sum of money, a piece of property, or other tangible item that is given to another party with the understanding that it will be paid back, plus interest, at a later date. A loan was the pay with interest.
Calculated the repayment of loan:
Given,
loan in the amount of $3,725
Annual interest rate of 4.65%
compounded monthly, with a balance of $3,901.95
annual interest rate of 5.65%
monthly interest rate is 4.65% ÷ 12
monthly interest rate = 0.3875%.
monthly interest rate is 5.65% ÷ 12
monthly interest rate = 0.4708%.
balance = principal x (1 + monthly interest rate)^ number of compounding periods
balance = $3,725 x \((1 + 0.003875)^6\)
balance = $3,901.95
balance = principal x (1 + monthly interest rate)^ number of compounding periods
balance = $3,725 x \((1 + 0.004708)^6\)
balance = $4,044.08
Amount of loan = $4,044.08 - $3,901.95
Amount of loan = $142.13.
As a result, the significance of the loan will have a lower balance in period of repayment is $142.13.
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The Discount Rate is equal to 1% and the Fed Funds Rate is equal to .5%
At what rate would banks be able to borrow from each other's reserve balances?
How can oligopoly fur when there are network affects and market feedback?
A. Firms will engage in limit pricing.
B. Firms will successfully drive out their competitors when they pick a market leader and match any price changes made by the leader.
C. Firms will invest in excess productive capacity to signal other firms that they can outlast their competitors in a price war.
D. A few firms may be able to capture most of the growth in demand that is caused by positive market feedback.
D. In Oligopoly A few firms may be able to capture most of the growth in demand that is caused by positive market feedback.
Oligopoly can still occur in markets with network effects and market feedback, but the behavior of the firms involved may be influenced by these factors. In an oligopoly, a small number of firms dominate the market and have the ability to control prices and output. In markets with network effects, the value of a product or service increases as more people use it. For example, social networking sites like Facebok become more valuable as more people join and use the platform.
In markets with network effects, the behavior of firms may be influenced by the presence of other firms in the market. For example, a new entrant into a market with strong network effects may have difficulty gaining traction, even if it has a superior product, because users are already entrenched in the existing network. Market feedback, such as customer reviews and ratings, can also influence the behavior of firms in an oligopoly. Firms that receive negative feedback may have to adjust their products or services in order to remain competitive.
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the new slide command on the ribbon lets you choose ________.
The New Slide command on the Ribbon lets you choose slide layouts.
Microsoft PowerPoint is a presentation program. Microsoft PowerPoint is used to create visual presentations of information using slides.
The menu Ribbon is used to accomplish several tasks in PowerPoint. It can be used to create a new slide, insert a picture or change the orientation of slides.
The New Slide command on the Ribbon lets you choose slide layouts.
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Allen Furniture Company is considering offering an inexpensive line of college dorm and apartment furnishings. If they move forward, they will renovate part of their store to accommodate this new stock. Before spending the money to redesign the store, they first want to find out customer interest. In a short response of approximately 100 words, describe some of the steps they should take as they consider this project.
Answer:
Allen Furniture Company should look into conducting a survey to gauge customer interest to find what they look for, need, and find attractive. They could do so by going to college campuses and conducting random interviews. For their apartment furnishings, they could look online to see what kind of product sell and do an analysis of customer interest that way and they could also conduct a survey for people that live in apartments. They could also look into a consultant that specializes in the field and is experienced with what customers like or want.
On June 30, 2009, Sage Company issued 12% bonds with a par value of $750,000 due in 20 years. They were issued at 98 and were callable at 104 at any date after June 30, 2017. Because of lower interest rates and a significant change in the company’s credit rating, it was decided to call the entire issue on June 30, 2018, and to issue new bonds. New 8% bonds were sold in the amount of $1,020,000 at 101; they mature in 20 years. Sage Company uses straight-line amortization. Interest payment dates are December 31 and June 30.
(a) Prepare journal entries to record the redemption of the old issue and the sale of the new issue on June 30, 2018.
(b) Prepare the entry required on December 31, 2018, to record the payment of the first 6 months’ interest and the amortization of premium on the bonds.
Answer:
(a) Prepare journal entries to record the redemption of the old issue and the sale of the new issue on June 30, 2018.
the discount on bonds payable = $750,000 x 2% = $15,000
amortization per coupon = $15,000 / 40 coupons = $375
By June 30, 2018, $375 x 18 = $6,750 of the discount were already amortized. The carrying value of the bonds = $750,000 - ($15,000 - $6,750) = $741,750
loss on redemption of the bonds = redemption value - carrying value = $780,000 - $741,750 = $38,250
Journal entry to record redemption of bonds:
June 30, 2018, bonds redeemed at a loss
Dr Bonds payable 750,000
Dr Loss on redemption of bonds 38,250
Cr Cash 780,000
Cr Discount on bonds payable 8,250
Journal entry to record new issuance of bonds:
June 30, 2018, bonds issued at a premium
Dr Cash 1,030,200
Cr Bonds payable 1,020,000
Cr Premium on bonds payable 10,200
(b) Prepare the entry required on December 31, 2018, to record the payment of the first 6 months’ interest and the amortization of premium on the bonds.
amortization of premium per coupon = $10,200 / 40 = $255
December 31, 2018
Dr Interest expense 40,545
Dr Premium on bonds payable 255
Cr Cash 40,800
what is the differences and similarities between rental goods services and non goods services
Answer and Explanation:
Rented-Goods Services are represented by retailom where consumers can own a good, or use a service for a specified time. As an example of this, we can mention hotel rooms, ski clothes, cars, houses, among others.
Nongoods Services are also represented by retail, but it presents personal services, where consumers can try them, judge them and then decide if they want to own them.
Jill is buying new appliances. The cost of the dishwasher is rs. 559 and the cost of the microwave is rs. 289. What is the total price including the sales tax rate of 8%?.
The total price of the dishwasher and the microwave after the sales tax of 8% will be Rs 915.84
How to calculate the total price?
Cost of the dishwasher = 559
Cost of the microwave = 289
Total cost of the appliances = 559 + 289
= 848
Sales Tax = 8% of 848
= 67.84
Total Cost = Pre-Tax value + Sales tax
= 848 + 67.84
= 915.84
What is sales tax?
The government levies a consumption tax known as a sales tax on the purchase of goods and services. A company is responsible for paying sales taxes in a particular jurisdiction if it has a nexus there. Depending on the local rules, a nexus can be a physical location, a worker, an affiliate, or some other presence.
The total price of the dishwasher and the microwave after the sales tax of 8% will be Rs 915.84
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What is the term used to describe the fluctuation in demand of a certain product in relation to pricing?
Elasticity is a phrase used to describe how the price affects how much a certain product is in demand.
What is elasticity?In neoclassical economic theory, elasticity is a key idea that aids in understanding a variety of economic concepts, including the incidence of indirect taxation, marginal concepts related to the theory of the firm, wealth distribution, and different types of goods related to the theory of consumer choice. When talking about how welfare is distributed, particularly in terms of consumer, producer, or government surpluses, a grasp of elasticity is crucial.
Elasticity is a key notion in many economic theories, and it may be seen in a number of key indicators. These include the elasticity of demand at different prices, the elasticity of supply at different prices, the elasticity of demand at different income levels, the elasticity of replacement between factors of production, the cross-price elasticity of demand, and the elasticity of substitution across time.
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The American Labor movement was considered radical compared to what was happening in Europe. true or false
Answer:
true took the test brainliest please
The amount of the estimated average income for a proposed investment of $80,000 in a fixed asset, giving effect to depreciation (straight-line method), with a useful life of 4 years, no residual value, and an expected total income yield of $36,100, is a.$20,000 b.$9,025 c.$36,100 d.$3,900
To calculate the estimated average income for a proposed investment of $80,000 in a fixed asset with depreciation, we first need to determine the annual depreciation amount. Using the straight-line method, the depreciation amount would be $20,000 ($80,000 divided by 4 years).
Since there is no residual value, the fixed asset will have a total depreciation of $80,000 over the 4-year useful life. Therefore, the book value at the end of the 4th year will be $0.
To determine the estimated average income, we need to subtract the total depreciation from the expected total income yield of $36,100.
Total Depreciation: $80,000 / 4 years = $20,000 per year
Total Depreciation over 4 years: $20,000 x 4 = $80,000
Expected Total Income Yield - Total Depreciation = Estimated Average Income
$36,100 - $80,000 = -$43,900
Since the result is negative, we can conclude that the investment will not yield a positive average income. Therefore, none of the answer choices (a) $20,000, (b) $9,025, (c) $36,100, or (d) $3,900 are correct.
It is important to note that while the investment may not yield a positive average income, it may still be a valuable investment for other reasons such as tax benefits or long-term appreciation.
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Sally has a decision to make about what she will do in the next 2 years. She can go to school or go straight into the work force. If Sally immediately starts working she will eam 20,000 both years and 2. If she goes to school in year 1 she must pay \$5,000, , but she would eam in year 2. If the interest rate is 5%, calculate the present value for Sally if she goes to school and if she does not. Does the investment in school make sense? Does it make sense if the interest rate is 6% or 4%?
Answer:
1(a) PV for Sally if she goes to school = $38,322.00
1(b) PV for Sally if she does not go to school = $37,188.21
1(c) Since the present value for Sally if she goes to school of $38,322.00 is greater than the present value if she does of $37,188.21, the investment in school makes sense.
2(a) PV for Sally if she goes to school = $37,557.85
2(b) PV for Sally if she does not go to school = $36,667.85
2(c) Since the present value for Sally if she goes to school of $37,557.85 is greater than the present value if she does not of $36,667.85, the investment in school makes sense.
3(a) PV for Sally if she goes to school = $39,108.73
3(b) PV for Sally if she does not go to school = $36,667.85
3(c) Since the present value for Sally if she goes to school of $39,108.73 is greater than the present value if she does not of $37,721.89, the investment in school makes sense.
Explanation:
Note: This question is not complete. The complete question is provided before answering the question as follows:
Sally has a decision to make about what she will do in the next 2 years. She can go to school or go straight into the workforce. If Sally immediately starts working, she will earn $20,000 in both years 1 and 2. If she goes to school in year 1, she must pay $5,000, but she would earn $47,500 in year 2. If the interest rate is 5%, calculate the present value for Sally if she goes to school and if she does not. Does the investment in school make sense? Does it make sense if the interest rate is 6% or 4%?
The explanation of the answer is now provided in 3 parts as follows:
To calculate the present value of an amount, the following formula is used:
PV = FV / (1 + r)^n ………………. (1)
Where:
PV = present value of an amount
FV = Future value an amount in a particular year
r = interest rate
n = the year in focus
Therefore, we have:
1(a) If the interest rate is 5%, calculate the present value for Sally if she goes to school
Using equation (1), we have:
PV of amount to pay in Year 1 = $5,000 / (1 + 0.05)^1 = $4,761.90
PV of earnings in Year 2 = $47,500 / (1 + 0.05)^2 = $43,083.90
Present value for Sally if she goes to school = PV of earnings in Year 2 earnings - PV of amount to pay in Year 1 = $43,083.90 - $4,761.90 = $38,322.00
1(b) If the interest rate is 5%, calculate the present value for Sally if she does not go to school
Using equation (1), we have:
PV of Year 1 earnings = $20,000 / (1 + 0.05)^1 = $19,047.62
PV of Year 2 earnings = $20,000 / (1 + 0.05)^2 = $18,140.59
Present value for Sally if she does not go to school = PV of Year 1 earnings + PV of Year 2 earnings = $19,047.62 + $18,140.59 = $37,188.21
1(c.) Does the investment in school make sense?
From parts 1(a) and 1(b) above, since the present value for Sally if she goes to school of $38,322.00 is greater than the present value for Sally if she does not go to school of $37,188.21, the investment in school makes sense.
2(a) If the interest rate is 6%, calculate the present value for Sally if she goes to school
Using equation (1), we have:
PV of amount to pay in Year 1 = $5,000 / (1 + 0.06)^1 = $4,716.98
PV of earnings in Year 2 = $47,500 / (1 + 0.06)^2 = $42,274.83
Present value for Sally if she goes to school = PV of earnings in Year 2 earnings - PV of amount to pay in Year 1 = $42,274.83 - $4,716.98 = $37,557.85
2(b) If the interest rate is 6%, calculate the present value for Sally if she does not go to school
Using equation (1), we have:
PV of Year 1 earnings = $20,000 / (1 + 0.06)^1 = $18,867.92
PV of Year 2 earnings = $20,000 / (1 + 0.06)^2 = $17,799.93
Present value for Sally if she does not go to school = PV of Year 1 earnings + PV of Year 2 earnings = $18,867.92 + $17,799.93 = $36,667.85
2(c.) Does the investment in school make sense?
From parts 2(a) and 2(b) above, since the present value for Sally if she goes to school of $37,557.85 is greater than the present value for Sally if she does not go to school of $36,667.85, the investment in school makes sense.
3(a) If the interest rate is 4%, calculate the present value for Sally if she goes to school
Using equation (1), we have:
PV of amount to pay in Year 1 = $5,000 / (1 + 0.04)^1 = $4,807.69
PV of earnings in Year 2 = $47,500 / (1 + 0.4)^2 = $43,916.42
Present value for Sally if she goes to school = PV of earnings in Year 2 earnings - PV of amount to pay in Year 1 = $43,916.42 - $4,807.69 = $39,108.73
3(b) If the interest rate is 6%, calculate the present value for Sally if she does not go to school
Using equation (1), we have:
PV of Year 1 earnings = $20,000 / (1 + 0.04)^1 = $19,230.77
PV of Year 2 earnings = $20,000 / (1 + 0.04)^2 = $18,491.12
Present value for Sally if she does not go to school = PV of Year 1 earnings + PV of Year 2 earnings = $19,230.77 + $18,491.12 = $37,721.89
3(c.) Does the investment in school make sense?
From parts 3(a) and 3(b) above, since the present value for Sally if she goes to school of $39,108.73 is greater than the present value for Sally if she does not go to school of $37,721.89, the investment in school makes sense.
What is the purpose of credit legislation and what is its impact on individuals, companies, and financial institutions?
Answer:
here ;)
Explanation:
Its purpose is to protect consumers obtaining credit to finance their transactions, ensure that adequate credit is provided, and govern the credit industry in general. In 1968, Congress passed the Consumer Credit Protection Act in part to regulate the consumer credit industry.
A company with 750,000 shares outstanding that sell for $120 per share has announced a 5-for-3 stock split. Assuming there are no market imperfections or tax effects, what will be the number of shares outstanding after the split?
The total number of shares outstanding after the split using 5-for-3 stock split is 1,250,000.
After the stock split, the number of shares outstanding will be 1,250,000. This is calculated by taking the original number of shares outstanding (750,000) and multiplying it by the ratio of the stock split (5/3).
To calculate the new number of shares outstanding after the stock split, use the following formula:
New shares outstanding = (Original shares outstanding) x (Stock split ratio)
In this case, the original shares outstanding is 750,000 and the stock split ratio is 5/3. Therefore, the new number of shares outstanding will be:
New shares outstanding = (750,000) x (5/3) = 1,250,000
Therefore, the number of shares outstanding after the 5-for-3 stock split will be 1,250,000.
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Suppose that the nation of kerblopistan has a money supply of $1,000, a velocity of 2, and a real gdp of $40. What is the price level?.
A price index is a figure whose movement corresponds to changes in the median price level.
Here, The price level = 50.
What means price level?The price level is determined by averaging the current prices for all the goods and services produced in an economy. Price level, in a broader sense, refers to the cost or price of a good, service, or security in the market.A price index is used by economists to gauge the price environment. A price index is a figure whose movement corresponds to changes in the median price level.The cost of goods and services, as well as the purchasing power of money, are significantly influenced by price levels..money supply × velocity of money = price level × Real GDP
price level = \(\frac{money supply × velocity of money}{real GDP.}\)
= 1000 x 2 /40 =50.
the price level =- 50.
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Which transaction caused John to overdraw his account?
By examining the financial figures provided above for John's account, it is clear that check no. 410 for $710.49 was the reason for John's account overdraft. As a result, choice (C) is valid.
What does overdrawing an account mean?A transaction in which the account holder is permitted to take more money than the account's actual balance is referred to as an overdraft from the account. The account balance is negative following a transaction that results in an overdraw.
One can clearly infer from the account statement shown above that an overdraw transaction occurred after Check No. 410 for an amount of $710.49 was drawn since the account's balance was negative for the first time.
Hence, Option (C ) is the accurate one.
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Your question is incomplete, probably the complete question is:
Which transaction caused John to overdraw his account?
(A) The Online Bill Payment of $146.67
(B) Check No. 409 for $100
(C) Check No. 410 for $710.49
(D) The Overdraft Fee of $35
context of Theory Y managers in China, managers who are skilled in the management of people and possessing political and ideological expertise are called
Context of Theory Y managers in China, managers who are skilled in the management of people and possessing political and ideological expertise are called the reds.
People are self-motivated and love the challenge of work, according to theory Y. With this presumption, managers foster a closer working relationship with their staff members and inspire them by giving them the freedom to act independently, take on responsibility, and make decisions.Working hard both physically and mentally comes as naturally to individuals as sleeping or playing. Coercion, control, and punishment threats are important to motivate people to meet organizational goals.What is the Theory Y approach?According to Theory Y, managers should foster an environment at work where workers have the chance to exercise initiative and self-direction. Opportunities for employees to contribute to the success of the company should be provided.
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What type of relationship do a lawyer and a client have?
A) an administrative relationship
B) a labor relationship
C) an agency relationship
D) a tort relationship
Answer:
An Agency relationship but it's D on Edge
Explanation:
The type of relationship a lawyer and a client have is an agency relationship. Thus option (C) is correct.
What is an agency?An agency is a business, firm, or organization that provides a specific service. Sometimes but not always the agencies also work on behalf of another group, business, or person.
Some agencies work for the private sector like an advertising agencies, employment agencies, and travel agencies. Some are government agencies for example they are part of the public sector.
The advertising agencies, add agencies, or creative agencies are firms that focus on creating, planning, and handling advertising. In fact, some employment agencies belong to the government; therefore, they may also be in the public sector.
The type of relationship a lawyer and a client have is an agency relationship. Therefore, option (C) is correct.
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Rising interest rates have made borrowing more costly to consumers. As a result
of the most recent increase in interest rates, borrowing and consumption have
fallen throughout the economy, triggering a contractionary period. Growing
uneasy, citizens have been asking Congress to make an official statement as to
how long this contractionary period is expected to last. Which of the following is
an appropriate response?
Answer:
it depends on the measures taken to ensure that economy is stable.
Answer:
1. it is difficult to say since contractionary periods have varying lengths in different business cycles.
2. shock
3. high unemployment
4. two
5. expansion stage of the business cycle
Explanation:
just took it
if inventories decline by more than analysts predict they will decline, this implies that a. actual investment spending was greater than planned investment spending b. actual investment spending was less than planned investment spending. c. actual investment spending was equal to than planned investment spending. d. there is no relationship between actual investment spending and planned investment spending.
If inventories decline by more than analysts predict they will decline, this implies that actual investment spending was less than planned investment spending.
investment is the willpower of cash to buy of an asset to reap an growth in price over a period of time. investment calls for a sacrifice of a few present asset, including time, cash, or attempt. In finance, the purpose of investing is to generate a go back from the invested asset. The go back may also consist of a advantage (income) or a loss realized from the sale of a property or an funding, unrealized capital appreciation (or depreciation), or funding profits together with dividends, interest, or apartment earnings, or a aggregate of capital benefit and income. The return can also include forex profits or losses because of modifications in the overseas currency trading fees. buyers commonly anticipate higher returns from riskier investments. while a low-risk funding is made, the return is also normally low. further, excessive hazard comes with a chance of excessive losses.
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what is surplus in economics?