The given statement " Super bosses look for the best way to use the talent around them by requiring that people fit into established roles" is False because Super bosses do not force people to fit into established roles.
They instead seek out the best ways to utilize the talent around them. It is factual that super bosses look for the best way to use the talent around them by requiring that people fit into established roles.
Super bosses are known for developing their team members by instilling trust and providing them with a safe working environment where they can take risks and learn from their failures.
They foster a positive workplace culture by allowing their employees to grow and develop by assigning them tasks that they can manage based on their abilities, expertise, and skillset. Super bosses recognize the value of teamwork and believe in the potential of their employees.
They value their employees and see them as the key to their success. Super bosses never force people to fit into established roles. They understand that each employee is unique, with their own set of strengths and weaknesses.
As a result, they seek out the best ways to utilize the talent around them by encouraging and enabling their employees to be the best versions of themselves. Super bosses are known for being flexible and adaptable to changes, which is necessary for the success of any business.
By prioritizing the development of their employees, super bosses ensure that their organizations continue to grow and succeed.
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outline 2 advantages to H&H of using secondary market research
with the aid of industry and individual producer graphs explain how the long run equilibrium in perfect market will be achieved when an economic loss was made in the short run
In a perfectly competitive market, the long-run equilibrium is achieved through the process of entry and exit of firms. When an economic loss is incurred by individual producers in the short run, it signals an imbalance between the market price and the average total cost of production.
When individual producers experience economic losses, some firms will choose to exit the market in the long run. This exit occurs because firms are unable to cover their costs and generate profits. As a result, the supply in the market decreases, shifting the supply curve to the left. The reduction in supply leads to a decrease in the quantity of goods or services available in the market, which in turn puts upward pressure on prices.
As prices rise, the remaining producers who were able to operate at a lower cost may start to earn economic profits. This attracts new firms to enter the market, anticipating the opportunity to make profits. The entry of new firms increases the supply in the market, shifting the supply curve to the right.
The increased supply eventually leads to a decrease in prices, as competition intensifies among producers. This process continues until a long-run equilibrium is reached, where the market price equals the average total cost of production for each firm.
Graphically, this adjustment is represented by the shifting of the supply curve to the left in the short run due to firm exits, followed by a subsequent shift to the right in the long run due to new firm entries. The new long-run equilibrium occurs at the intersection of the demand and supply curves, where price equals average total cost, ensuring that firms earn zero economic profit.
Overall, the long-run equilibrium in a perfect market is achieved through the exit and entry of firms in response to economic losses or profits, respectively, leading to price adjustments and the restoration of equilibrium.
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Match the tasks with the professionals who would complete them.
Answer:
Explanation:
1,3 and 2,4 and 5,6 and thats it
Choosing location in supply chain is
1) one of the main strategic decisions
2) depending on demand & supply forecasting
3 aggregate planning & inventory management
4) all of the above
Choosing location in supply chain is "one of the main strategic decisions". This statement is true. Hence option 1 is correct.
A supply chain is a system of businesses, people, information, and activities that are involved in the delivery of a product or service to a customer. It is a method of efficiently delivering goods and services to customers.
Location refers to the place where a product or service is offered or created. The location of a business might have an impact on its success.Therefore, choosing location in supply chain is one of the main strategic decisions.
The right location can help reduce costs, shorten lead times, improve product quality, and raise profitability. Supply chain success is determined by a variety of factors, but one of the most important is location, hence option 1 is correct.
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What does an organization use to manage its operations across several industries and several markets simultaneously? a. Tactical plans b. Distinctive competence c. SWOT analysis d. Business-level strategy e. Corporate-level strategy
The strategy an organization employs to manage its operations across several industries and several markets simultaneously is called Corporate-level strategy.
What is the Corporate-level strategy?A corporate-level strategy is a decision made to achieve a competitive and strategic advantage by selecting and managing a diverse set of firms that compete in a variety of sectors or product marketplaces.
A business organization is a business environment where business activities take place.
The three levels of strategy utilized in a business organization are:
Business level strategyFunctional level strategyCorporate level strategyTherefore, we can conclude that the Corporate-level strategy is the strategy that an organization employs to manage its operations across several industries.
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A national cola drink company created a catchy mass-media TV advertisement to run over the spring break holiday time. What type of strategy is this campaign considered?
The kind of strategy that the campaign is creating is known as pull strategy.
What is a pull strategy?As an promotion tactice, it is a strategy that is used by firm who aims to increase demand for its products and draw customer to their products.
Hnece, as the create a catchy mass-media TV advertisement to run over the spring break holiday time, then, it is creating a pull strategy.
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Hillary and Stephanie have both borrowed $15,000 from the same bank to buy the same model of a new car. Hillary's credit score is 732 and
Stephanie's credit score is 588. Who is likely to pay a lower finance charge?
Stephanie
Hilary
They will pay the same because they used the same bank
They will pay the same because they bought the same car
Answer:
Call me at (470)343-8439
Explanation:
. Determine the monthly payments of principal and interest for a 20 year loan
e. Determine their total monthly payment, including homeowners' insurance and taxes
f. Determine whether the couple will qualify for the 20 year loan
g. Determine how much of the first payment on the loan is applies to the principal.
In order to determine the monthly payments of principal and interest for a 20-year loan, we can use the loan amount, interest rate, and loan term to calculate the amortized monthly payments.
e) By adding the monthly payments of principal and interest to the homeowners' insurance and property taxes, we can determine the total monthly payment.
f) By considering the couple's income, credit score, and debt-to-income ratio, we can evaluate whether they qualify for the 20-year loan.
g) With an amortization schedule and the loan details, we can determine the specific amount that applies to the principal in the first payment.
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Define the word investing!
Thanks!
Answer:
To put money into Bank business property share accept in hope that you will make a profit. To spend money,time or energy on something that you think is good or useful.Explanation:
If you like my answer than please mark me brainliest thanks
An inheritance of $250,000 is to be divided among Chris, Kelly, and Julie in the following manner: Kelly is to receive (3)/(4) of what Chris gets, while Julie gets (1)/(3) of what Chris gets. How much does Kelly receive?
Kelly will receive $90,000.. Let's denote the amount that Chris receives as "x." The sum of the amounts received by all three individuals should add up to the total inheritance of $250,000:
x + (3/4) * x + (1/3) * x = $250,000
To simplify the equation, we can find a common denominator:
(12/12)x + (9/12)x + (4/12)x = $250,000
(25/12)x = $250,000
To isolate x, we can multiply both sides of the equation by (12/25):
x = ($250,000) * (12/25)
x = $120,000
Now that we know the amount Chris receives, we can calculate how much Kelly gets, which is 3/4 of what Chris receives:
Kelly's amount = (3/4) * $120,000
Kelly's amount = $90,000
Therefore, Kelly will receive $90,000.
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______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
Unlike a printed product, online service information
can be instantaneously ___ by the provider.
Answer: bolt
Explanation:
How does industrial education affect industries?
Answer:
Industrial education will help student to know and understand industry demand. ... First, adaptability is a skill will help students to know and understand industry work and world, such as how to use technology, follow all industry SOP, all new chalanges industry, etc. Second, communication is an important skills to had.
Why did Krispy Kreme decide to manufacture all the donut mix and distribute it to the stores?
a) it made the products more consistent in various stores
b) franchise law demands is kind of central production
c) It is always cheaper to use this method
d) The company was having problems with distributors
Answer:
Option A
Explanation:
In simple words, Krispy Kreme Doughnuts, Inc. is an American doughnut company and coffeehouse chain owned by JAB Holding Company. Krispy Kreme was founded by Vernon Rudolph, who bought a yeast-raised recipe from a New Orleans chef, rented a building in 1937 in what is now historic Old Salem in Winston-Salem, North Carolina, and began selling to local grocery stores.
They make all their dough of the product by themselves so that the neutrality regarding their consistency remains intact thought the country,
What would be the consequences if microbes did not exist?
Answer: a prolonged period of starvation, disease, unrest, civil war, anarchy, and global biogeochemical asphyxiation.
Explanation:
Answer: Answer is below <3
Explanation: The disappearance of microbes would have a similar effect. In the absence of these tiny decomposers, dead organic matter would accumulate in the environment, from our sewage systems to organic matter in each and every ecosystem. The grazing food web supports most of the known energy fluxes in most known ecosystems.
(by the way, the answer above mine is copied off go ogle)
Based on the following data for Privett Company, what is the amount of quick assets? Privett Company. Accounts payable $27,323 Accounts receivable 62,409 Accrued liabilities 6,408 Cash 16,927 Intangible assets 42,996 Inventory 73,562 Long-term investments 114,932 Long-term liabilities 73,806 Marketable securities 33,962 Notes payable (short-term) 20,005 Property, plant, and equipment 666,763 Prepaid expenses 2,004
Select the correct answer. a. $50,889 b. $791,214 c. $1.615,905 d. $113,298
The amount of quick assets is $113,298. Hence, the correct answer is option D.
Quick assets are the assets that can be easily converted to cash within a period of 90 days or less.
The quick assets include marketable securities, accounts receivable, and cash. Let us find out the quick assets from the given data.
Quick Assets = Marketable Securities + Accounts Receivable + Cash
Quick Assets = $33,962 + $62,409 + $16,927
Quick Assets = $113,298
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Businesses are important to a free enterprise system because they?
Answer:
A.provide consumers with goods and services
Multiple choices
A.provide consumers with goods and services
B. make legal decisions related to property rights.
C. prevent entrepreneurs from taking to many risks.
D. enforce economic regulations to protect citizens.
Explanation:
Production of goods and services is done by the private sector in a free enterprise system. A majority of the factors of production belong to the private sector. The government does not actively participate in economic activities.
In the free enterprise system, the private sector produces and distributes goods and services in the economy. In other words, all the goods and services consumed in a free enterprise system are produced by the private sector.
On 13 Combaton has the fo 10 pa v % 50.000 shares ved $500.000 Pretemed amon par value 300.000 shares resued and outstanding 14.500.000 any declared and paid $30,000 of cash dhedend in 2021 The com eclared and paid $150.000 of cash dividend Required: How much ni the TOTAL cash didends that will be distributed to preformed and common stockholders over the two years, assuming the preferred stock is cumulative Please DO NOT use the "S" and "." signs in you answer. For example, if the right answer is Preferred $10,000 and Common $16,000, it should be EXACTLY written as 10000 15000 Preferred Common Activate Windows Go to Settings to activate V cave this response Question 13 of
To calculate the total cash dividends that will be distributed to preferred and common stockholders over the two years, we need to consider the dividends for each year separately.
In 2021, a cash dividend of $30,000 was declared and paid. Since the preferred stock is cumulative, any unpaid dividends from previous years need to be paid first. The preferred stock has a par value of $50 per share, with 10,000 shares issued and outstanding. Therefore, the total amount of dividends for the preferred stockholders in 2021 is $50 per share multiplied by 10,000 shares, which equals $500,000.
For common stockholders, there is no cumulative feature, so they only receive dividends declared for the current year. The total amount of cash dividends paid to common stockholders in 2021 is $30,000.
Therefore, the total cash dividends distributed in 2021 to preferred and common stockholders are $500,000 for the preferred stock and $30,000 for the common stock.
To calculate the total cash dividends over the two years, we need to sum the dividends for each year. Therefore, the total cash dividends to be distributed to preferred and common stockholders over the two years are: Preferred Stock: $500,000
Common Stock: $30,000
Note: Please be aware that there is some missing or unclear information in the given text, such as the percentage mentioned in the first sentence and the number of shares repurchased. If you provide more accurate information, I can assist you with a more precise calculation.
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With what kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily?
A.
the names of all the items on the restaurant menu
B.
finance-related words such as depreciation, capital expenditure, etc.
C.
restaurant-related terms such as banquet, buffet, etc.
D.
marketing terms such as product lifestyle, customer lifetime value, etc.
E.
advertising terms, such as brainstorming, captions, etc.
Answer:
Explanation:
For all Plato users.
Finance-related words such as depreciation, capital expenditure, etc. kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily. Thus, option (a) is correct.
What is a balance sheet?A balance sheet is a financial statement that lists an organization's assets, liabilities, and shareholder equity. One of the three important financial statements a company's evaluation will focus on is the balance sheet. It was the obligations using its current assets.
The terms depreciation, capital outlay, liabilities, assets as well as equity, and revenue should all be understood by someone who works in finance. A person can comprehend the data in a restaurant's balance sheet and make decisions about the restaurant's financial health with the aid of these finance-related terms if they are familiar with them.
As a result, the significance of the kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily are the aforementioned.
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The restructuring of companies like Hewlett-Packard and McGraw Hill were a direct result of ___________ affecting change, by influencing the boards of directors, in response to their concerns related to maximizing the value of their investments.
The activities of the institutional investors was the main factor that caused the restructuring of some companies like Hewlett-Packard and McGraw Hill.
Who are institutional investors?An institutional investors are recognized as a legal entities that participate in trading in the financial markets and helps to invests money on behalf of their clients.
In conclusion, the activities of the institutional investors was the main factor that caused the restructuring of some companies like Hewlett-Packard and McGraw Hill.
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Would the manager in a public company be actively involved in the decisions of the company
which investment option would you recommend based on your analysis using all four capital budgeting tools?
Business investment option would you recommend based on your analysis using all four capital budgeting tools I suggest the following financial choices for the business, taking into account its capital structure and capital budgeting strategies.
Based on the facts from the mini case that was provided. First, the business should establish the right balance of debt and equity finance to optimise its capital structure by doing this.
It will be possible to minimise the cost of capital while yet maintaining a balanced risk profile. To do this, the business might assess the ideal capital structure using methods like the Weighted Average Cost of Capital (WACC). Second, to assess and choose lucrative investment initiatives, the business should put strong capital budgeting processes into practise. To assess the profitability of possible investments, methods like Net Present Value (NPV), Internal Rate of Return (|RR), and Payback Period can be used.
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Is South Korea one of the fastest-growing Asian country
Answer:
yes, it is
Explanation:
It has one of the largest economies in the world
How are production limits used in practice to raise the prices of the following goods or services: Taxi rides?
A. The government requires that each cab has a medallion (a license to operate). Assuming the number of taxis is greater than it would be without regulation, those taxis in the market may charge a lower-than-competitive price.
B. The government requires that each cab has a medallion (a license to operate). Assuming the number of taxis is greater than it would be without regulation, those taxis in the market may charge a higher-than-competitive price.
C. The government requires that each cab has a medallion (a license to operate). Assuming the number of taxis is less than it would be without regulation, those taxis in the market may charge a higher-than-competitive price.
D. The government requires that each cab has a medallion (a license to operate). Assuming the number of taxis is less than it would be without regulation, those taxis in the market may charge a lower-than-competitive price.
The correct answer is C. The government requires that each cab has a medallion (a license to operate). Assuming the number of taxis is less than it would be without regulation, those taxis in the market may charge a higher-than-competitive price.
By limiting the number of taxis through the requirement of medallions, the government creates scarcity in the market. With fewer taxis available, the demand for taxi rides may exceed the supply, allowing the taxi drivers to charge higher prices due to the increased competition among consumers for the limited services.
This limited supply leads to an artificial increase in prices, as taxi drivers can take advantage of the higher demand. However, it's important to note that this approach can have unintended consequences such as reduced availability of taxis during peak hours or in certain areas, potentially leading to inconvenience for consumers.
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Jane has a 30% interest in a cash-basis general partnership. Her adjusted basis in the partnership was $50,000 at the beginning of Year 1. There were no distributions to Jane during the year. On August 1, Year 1, the partnership borrowed $200,000 for the following reasons: Purchase depreciable business equipment $ 30,000 Pay balance on existing note in full 170,000 All of the partners are personally liable for all partnership debts. The partnership incurred a $250,000 loss in Year 1. What amount can Jane claim as a loss from the partnership on her Year 1 individual income tax return
Answer:
30000
Explanation:
because I was a people that wice
what is the double entry system?
Answer: Double-entry bookkeeping, in accounting, is a system of book keeping where every entry to an account requires a corresponding and opposite entry to a different account. The double-entry system has two equal and corresponding sides known as debit and credit. Double entry, a fundamental concept underlying present-day bookkeeping and accounting, states that every financial transaction has equal and opposite effects in at least two different accounts. It is used to satisfy the accounting equation,
proponents of the approach to leadership believe that the most effective leadership behavior depends on the circumstances at hand. multiple choice question. transactional transformational situational servant
The answer to the multiple-choice question is situational.
Proponents of the situational approach to leadership believe that effective leadership behavior depends on the specific circumstances at hand. In other words, there is no one-size-fits-all approach to leadership, as the most effective strategies will vary depending on the situation.
The situational approach to leadership emphasizes the importance of adapting leadership styles to fit the needs of the situation and the individuals being led. Leaders who use this approach must be able to analyze the situation and determine the best course of action, whether that means being more directive or more supportive.
This approach is often contrasted with other leadership styles, such as transactional and transformational. Transactional leadership involves exchanging rewards for performance, while transformational leadership focuses on inspiring and empowering followers to achieve their potential. Servant leadership, on the other hand, emphasizes the leader's responsibility to serve the needs of their followers.
Overall, the situational approach to leadership is considered one of the most effective because it takes into account the specific needs and challenges of each situation. This flexibility allows leaders to adapt their strategies as needed, ensuring that they are able to achieve their goals and support their followers in the most effective way possible.
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.
Lena thinks someone has stolen her identity. She isn’t sure if she should place a fraud alert on her credit report. She doesn’t understand anything about fraud alerts. What true statement could you teach Lena to help her make a more informed decision?
A fraud alert prevents anyone from viewing your credit report.
A fraud alert can stop anyone from opening any new accounts in your name.
When filing a fraud alert, you must first pay for a credit report.
To place a fraud alert, you must contact all three credit reporting agencies.
Answer:
A fraud alert prevents anyone from viewing your credit report
A fraud alert prevents anyone from viewing the credit report is the true statement could you teach Lena to help her make a more informed decision. Thus, option A is correct.
What is credit report?A credit history is a credit record of a borrower's timely debt repayment. A credit report is a record of a borrower's credit history obtained from a variety of sources, such as banks, credit card companies, collection agencies, and governments.
A credit score is essentially a summary of your credit history, whereas your credit report contains all the specifics of the financial history. The credit report will delve much deeper into your lending history, allowing the lender to examine how a person handled borrowed funds.
Therefore, option A is correct.
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George has a monthly income gross of 3500 and his monthly debt payments are 325 car payments 290 student loan payment 930 mortgage payment and 400 in credit card payment what is the total debt to income ratio rounded to the nearest percent
A standard rule of thumb is to preserve your ordinary debt-to-income ratio at or under 43%.
What debt-to-income ratio is too high?Debt-to-income ratio is your monthly debt obligations compared to your gross month-to-month income (before taxes), expressed as a percentage. A excellent debt-to-income ratio is less than or equal to 36%. Any debt-to-income ratio above 43% is regarded to be too lots debt.
What is the easiest debt-to-income ratio for a mortgage?Ideal debt-to-income ratio for a mortgage
In phrases of your front-end and back-end ratios, lenders normally seem to be for the best front-end ratio to be no greater than 28 percent, and the back-end ratio, together with all month-to-month debts, to be no greater than 36 percent.
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https://brainly.com/question/26258146#SPJ4A country has a trade deficit of $20 billion with its trading partners (
year. Which change would cause the country to have a trade surplus the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country increases its imports by $30 billion.
C. The country decreases its exports by $10 billion.
D. The country decreases its imports by $10 billion.
D) The nation reduces its exports by $30 billion, the change would result in a trade deficit the following year for the country that had a trade surplus of $20 billion in one year.
When imports rise faster than exports, a trade deficit occurs. If the country increases its exports by $30 billion, decreases its imports by $10 billion, or increases its imports by $10 billion, it cannot have a trade deficit.
As a result, the country will only experience a trade deficit if its exports decrease by $30 billion while the rest of its exports remain unchanged.
With an example, what is a trade deficit?A country has a trade deficit when its imports exceed its exports over a given time period. A negative balance of trade (BOT) is another name for this situation. There are several ways to determine the balance, including: goods (also called " merchandise”), goods and services, and services and goods.
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Full Question = A country has a trade surplus of $20 billion with its trading partners over a
year. Which change would cause the country to have a trade deficit the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country decreases its imports by $10 billion.
O C. The country increases its imports by $10 billion.
O D. The country decreases its exports by $30 billion.