One way a compensation manager can effectively age data to provide a more accurate market analysis is by adjusting wage data for inflation. Therefore, option b is correct.
Compensation is the total of all the rewards and allowances an employee receives for the work they do. It includes basic salary, bonus, retirement benefits, stock options, health insurance, etc.
Compensation managers create and implement pay plans and policies, monitor market trends, and ensure that an organization's pay structure aligns with the company's goals.
Inflation adjustments are made by compensation managers to reflect the current value of money while comparing salary data from different time periods. Wage rates and salaries are affected by inflation, which means that a salary earned in the past is worth less than the same salary earned today.
As a result, to provide accurate market analysis, a compensation manager must adjust salary data for inflation.
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it's only possible to use the liquidity available now; the future value of the liquidity is affected by
it's only possible to use the liquidity available now; the future value of the liquidity is affected by risk, opportunity costs, and time.
What is liquidity?Liquidity is the effectiveness or simplicity with which an asset or security can be converted into ready cash without affecting its market price. Cash itself is the most liquid asset.
In other words, liquidity refers to the ease with which an asset can be quickly purchased or sold on the market at a price that reflects its true worth.
Because it can be converted into other assets the fastest and most easily, cash is regarded as the asset with the highest level of liquidity. Real estate, fine art, and collectibles are a few examples of tangible assets that are relatively illiquid. Other financial assets, such as stocks and partnership units, fall at various points along the liquidity spectrum.
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The actual cost of the work performed to date is $40k. what is the schedule variance for the project?
The degree of schedule variance reveals whether a project is on or off schedule. To give project managers a status update at the moment of analysis, it is often utilised inside earned value management (EVM).
BCWP-BCWS = SV
What is schedule variance?Whether a project is on or off schedule may be determined by the magnitude of schedule variation. It is frequently used in earned value management to provide project managers with a status update at the time of analysis (EVM).A project that took longer than expected to complete—four months instead of the three months it was supposed to—would be an example of an SV. The project's timeline was off by one month. The real timetable is longer than the anticipated timeline, making this SV undesirable.Project managers may identify whether a project is ahead of time or behind plan and by how much by using schedule variance, which is a component of Earned Value Management. To calculate SV, divide the earned value (EV) by the projected value (PV) of your project: SV = EV - PV.To know more about schedule variance, refer to the following link
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Which is a benefit of collaboration and teamwork?
A.It expands your social network and creates new connections.
B.It makes it more difficult to leave your current job.
C.It makes it easier to do your job since you can have other people do it.
D.It requires more work since you have to explain so much to other people.
Answer:
The Awnser Is A
Explanation:
It's the Best Awnser
llus Patrick is selling a new hair product. He hopes to sell 10 bottles a month if he spends a one-time $100 on advertising. He is selling each bottle for $12. The product costs him $5.00 to make per bottle. What would the planned profit be after one year of sales?
A. $600 B. $740 C. $1050
Answer:
B. $740
Explanation:
In the given scenario we will be analysing the cost of production versus the revenue earned by Patrick. The difference between the two will give our profit
Total number of bottles produced a year = 10 * 12 = 120 bottles
Cost of production = Advertising + manufacturing cost
Cost of production = 100 + (120 * 5) = $700
Revenue = 120 * 12 = $1,440
Profit = 1,440 - 700 = $740
On March 25, 2014, Patton Company sold merchandise on account,$10,000. The applicable sales tax percentage is 8.5%. Record the transaction.
Answer:
Kindly see attached picture
Explanation:
Sales tax percentage= 8.5%
Sales = 10,000
Sales tax payable = 0.085 × 10000 = 850
Accounts payable = 10000 + 850 = 10850
Kindly see attached picture for journal entry
A short-term creditor is primarily interested in the of the borrower. Select an answer and submit. For keyboard navigation, use the up/down arrow keys toa. liquidity b. profitability с. comparability d. solvency
A short-term creditor is primarily interested in the liquidity of the borrower. Thus the correct option is A.
What is a creditor?A creditor is said to be an individual who borrows funds from a financial institution in advance as a loan in order to repay at future date by charging some interest at a fixed rate.
Due to the fact that short-term creditors are primarily concerned with transactions for time periods that are regarded as one year, they are worried about the borrower's liquidity and the amount of cash he has available.
Therefore, option A is appropriate.
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Where do you report a stolen credit card to efta standards or pci standards
A merchant's PCI DSS compliance can be confirmed using the PCI Report on Compliance. The PCI DSS's standards and procedures were created to increase the security of credit card-based transactions and safeguard cardholder data from fraud and other unauthorized uses of their personal data.
To protect cardholders' private information and boost the security of transactions involving credit, debit, and cash cards, the Payment credit card Industry Data Security Standard (PCI DSS) is a well-known set of rules. PCI Compliance is NOT a one-time project but an ongoing practise. Merchants (the Business Owner) are in charge of overseeing the finances of their company's activities.
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Many companies around the globe voluntarily report their efforts in promoting environmental sustainability using the guidelines developed by the ________.
Environmental sustainability is promoted by many companies around the globe, using the guidelines developed by the Global Reporting Initiative.
What is environmental sustainability?Environmental sustainability refers to the capability of our environment to maintain all the biological systems and resources that support the living organisms on our Earth.
Environmental sustainability is important because of how much energy, food and human-made resources we use every day.
Hence, environmental sustainability is promoted using the guidelines developed by the Global Reporting Initiative.
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When property rights are well defined and markets are: competitive market equilibrium violates the conditions for economic efficiency.market equilibrium is consistent with economic efficiency.conditions necessary for economic efficiency no longer apply.quantity supplied will rarely equal the quantity demanded.
Complete Question:
When property rights are well defined and markets are competitive, the
Group of answer choices:
a. market equilibrium violates the conditions for economic efficiency.
b. market equilibrium is consistent with economic efficiency.
c. conditions necessary for economic efficiency no longer apply.
d. quantity supplied will rarely equal the quantity demanded.
Answer:
b. market equilibrium is consistent with economic efficiency.
Explanation:
A property right is the exclusive or sole authority which determines the legal ownership of resources and how these resources are to be used, whether by individuals or government.
Also, a competitive market is a type of market that comprises of numerous producers who compete with each other so as to satisfy or meet the material needs and wants of consumers at a specific period of time.
Hence, when property rights are well defined and markets are competitive, the market equilibrium is consistent with economic efficiency.
This ultimately implies that, when the ownership of resources are well defined and markets are competitive, all benefits from trade between the consumers and producers of goods and services has been maximized, and each units creating more benefit to the consumers than cost have been produced in the economy.
American Airlines paid the television producer to be a part of the show. This is known as ...
List three things that you can do to ensure that you have set healthy boundaries between yourself and others at work.
Answer:
Limited negativity, Laughs, and non-heated arguments
Explanation: you need some negativity it gets boring when someone just constantly agrees with you, and you need arguments to see the other person field of view however they should be calm and well-thought out and not aggressive.
A trader buys a European call option and two European put options with the same strike price of $25. Both options are written on the same stock and have the same maturity. The call costs $2 and the put costs $1.5. Moreover, assume that the risk-free interest rate r = 0. (a) (3.5 pts) For what range of stock prices would this strategy make a positive profit? (b) (1.5 pts) What does the trader have in mind for the future stock price movements if he or she adopts such an investment strategy?
To make a positive profit with the given strategy, the stock price range should be between $23.5 and $26.5.
Here's how we can derive this result:To make a profit, the value of the call should be less than the sum of the values of the two puts. The net premium paid should be less than the payoff generated from the strategy. That is, (Call premium - Put premium) < (Put premium 1 + Put premium 2) - Strike price. Since the trader purchased two put options, the net premium paid will be $1.5 * 2 = $3, and the strike price will be $25.
Therefore, the value of the call option should be less than $4 to be profitable. To find the range of stock prices that could lead to a profit, we need to set up two equations as follows:$2 < $25 - X - $3 $X < $20 ($1.5 + $1.5) < $25 - X - $2 $X < $21In the above equations, X is the stock price. By solving the above two inequalities, we can get the range of X as:$20 < X < $21.
Thus, the strategy would make a profit only if the stock price is between $23.5 and $26.5.The trader may have in mind that the stock price could be volatile or unpredictable, so they chose to buy both the call and two put options. They are probably hoping that the stock price will remain in a certain range, but also not to lose too much if the stock price falls too much. This strategy is known as a collar or fence strategy.
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Write any 4 points regarding the nature of target customers, which in the present times has led to the growing importance of ‘Persuasive function of Promotion'? MARKETING
Answer:
A target customer profile is simply a specific group of customers most likely to respond positively to your promotions, products, and services. 4 points regarding the nature of target customers:
What kind of people we’re looking?Where to find them?What our customers want from our brand, to adapt our value proposition so that our brand is relevant to a specific need or problem?How they compare and choose products to adjust marketing campaigns to make our offering seem the most compelling?Digital marketing has led to the growing importance of ‘Persuasive function of Promotion' because customers can learn about promotions from home and even compare the campaigns.
Explanation:
Persuading function of Promotion is to motivate customers to buy products under promotion due to intense competition among different industries producing similar types of products.
Select the correct answer.
Ahmed has been running a laundry service in his neighborhood for the past eight years. He picks up soiled clothes and delivers washed and ironed clothes at the customers’ doorsteps. A transporter who offers to pick and deliver customer clothes at a cheaper rate than his current transporter approaches him for a business deal. What do you think Ahmed should do in such a case?
A.
immediately discontinue services of the current transport person
B.
continue the services of the current transport person forever
C.
delay the payments of the current transport person so that he willingly discontinues his services
D.
wait until the contract with the current transport person ends before using the new transport person
Answer:
D) wait until the contract has ended
Explain one reason why a business may use social media to promote
Answer:
Social media offers many benefits to business owners, as it allows them to reach out to their customers and to gain the attention of more people/potential customers
Explanation:
The median always falls between the mean and the mode.
a. True
b. False
Answer:
The mode is always less than the median, which is less than the mean, if the data distribution is skewed to the right .
Richard has recently finished college and is about to prepare for his exam to become a certified public accountant. He wants to talk to other accountants to learn how best to prepare for this exam. Which professional organization would be most helpful for him to join?
Answer:
The accountant federation
What tools should you typically use as sources of information when creating a process map?
Actions, activity phases, decision points, functions, inputs/outputs, persons involved, process metrics, and time necessary are important components of process mapping.
What are the process mapping tools?A process map is a tool for planning and management that illustrates the progression of work. Process maps, created with process mapping software, display a sequence of actions that lead to a certain outcome. Flowcharts, process flowcharts, process charts, functional process charts, functional flowcharts, process models, workflow diagrams, business flow diagrams, and process flow diagrams are other names for a process map.
Process mapping helps businesses and organizations become more efficient. Process maps offer an understanding of a process, assist teams in coming up with suggestions for process improvement, better communication, and give documentation of the process. Process mapping will reveal delays, recurrence, and bottlenecks. They aid in establishing the parameters, owners, roles, and metrics for measuring the effectiveness of processes.
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which choice best reflects why some people consistently make bad investmets
You deposit $1000 now and you want the account to have a value as close to $8870 as possible in year 20. Assume the account earns interest at 10% per year. The year in which you must make another deposit of $1000 is
We may utilise the idea of compound interest to determine the year in which you need to make a further deposit of $1,000 to reach a target account balance of $8870 in year 20.
A = P(1 + r)^n A is the value of a future account. initial down payment, P r = periodical interest rate n = the number of cycles We can rewrite the calculation as follows if the starting deposit is $1,000, the interest rate is 10% annually, and we wish to reach an account value of $8870 in year 20: 8870 = 1000(1 + 0.10)^20 When we simplify the equation, we obtain: (1.10)^20 = 8.87 Using the 20th root from each side, we discover: 1.10 ≈ 1.455 We may now determine the year in which you must submit another. deposit: Year = 20 - 1 ≈ 19 In order to have an account value as near to $8870 as possible in year 20, you must make an additional deposit of $1,000 in year 19.
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Nonconstant Dividend Growth Valuation Conroy Consulting Corporation (CCC) has a current dividend of Do $2.00. Shareholders require a 13 % rate of return. Although the dividend has been growing at a rate of 26% per year in recent years, this growth rate is expected to last only for another 2 years (gp.1 - 91.2 26 % ) . After Year 2, the growth rate will stabilize at g 4 % a. What is CCC's stock worth today? Do not round intermediate calculations. Round your answer to the nearest cent b. What is the expected stock price at Year 1? Do not round intermediate calculations. Round your answer to the nearest cent. c. What is the Year 1 expected (1) dividend yield, (2) capital gains yield, and (3) total return? Do not round intermediate calculations. Round your answers to two decimal places Dividend yield: % % Capital gains yield: Total return: d. What is its expected dividend yield for the second year? The expected capital gains yield? The expected total return? Do not round intermediate calculations. Round your answers to two decimal places. Dividend yield: Capital gains yield: Total return:
a. To calculate the current stock price of Conroy Consulting Corporation (CCC), we need to use the nonconstant dividend growth valuation model.
The formula for this model is:
Stock Price = D1 / (r - g)
where:
D1 = Expected dividend in Year 1
r = Required rate of return
g = Growth rate
In this case, the current dividend (Do) is $2.00 and the required rate of return (r) is 13%. The growth rate (g) is 26% for the first two years and 4% thereafter.
To find the expected dividend in Year 1 (D1), we need to calculate the growth of the dividend from Year 0 to Year 1. Since the growth rate is 26%, the expected dividend in Year 1 will be:
D1 = Do * (1 + g) = $2.00 * (1 + 0.26) = $2.52
Now, we can calculate the stock price:
Stock Price = $2.52 / (0.13 - 0.04) = $2.52 / 0.09 = $28.00
Therefore, CCC's stock is worth $28.00 today.
b. To find the expected stock price at Year 1, we use the same formula but with the expected dividend in Year 1 (D1) and the required rate of return (r).
Expected Stock Price at Year 1 = D2 / (r - g)
D2 = Expected dividend in Year 2
To find D2, we need to calculate the growth of the dividend from Year 1 to Year 2. Since the growth rate is 26%, the expected dividend in Year 2 will be:
D2 = D1 * (1 + g) = $2.52 * (1 + 0.26) = $3.18
Now we can calculate the stock price at Year 1:
Expected Stock Price at Year 1 = $3.18 / (0.13 - 0.04) = $3.18 / 0.09 = $35.33
Therefore, the expected stock price at Year 1 is $35.33.
c. To calculate the Year 1 expected (1) dividend yield, (2) capital gains yield, and (3) total return, we need to use the following formulas:
Dividend Yield = D1 / Stock Price at Year 1
Capital Gains Yield = (Expected Stock Price at Year 1 - Stock Price today) / Stock Price today
Total Return = Dividend Yield + Capital Gains Yield
Using the values we calculated earlier:
Dividend Yield = $2.52 / $35.33 = 0.0713 = 7.13%
Capital Gains Yield = ($35.33 - $28.00) / $28.00 = 0.2625 = 26.25%
Total Return = 7.13% + 26.25% = 33.38%
Therefore, the Year 1 expected dividend yield is 7.13%, the capital gains yield is 26.25%, and the total return is 33.38%.
d. To calculate the expected dividend yield, capital gains yield, and total return for the second year, we follow the same steps as in part c:
Dividend Yield = D2 / Expected Stock Price at Year 1
Capital Gains Yield = (Expected Stock Price at Year 2 - Expected Stock Price at Year 1) / Expected Stock Price at Year 1
Total Return = Dividend Yield + Capital Gains Yield
Using the values we calculated earlier:
Dividend Yield = $3.18 / $35.33 = 0.0900 = 9.00%
Capital Gains Yield = ($28.00 - $35.33) / $35.33 = -0.2071 = -20.71%
Total Return = 9.00% - 20.71% = -11.71%
Therefore, the expected dividend yield for the second year is 9.00%, the expected capital gains yield is -20.71% (negative due to decrease in stock price), and the expected total return is -11.71%.
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You are planning to place your money in safe government securities, which currently offer a 4% riskless rate of return. Before making this investment, an entrepreneur approaches you and asks you to purchase her new business venture, fastdrop, a delivery service for legal documents that would produce a single cash inflow of $80,000 at the end of the year. You have determined that 6% is an appropriate risk premium for this investment. How much would you be willing to pay for fast drop?.
The first step is to determine the opportunity cost.
Opportunity cost = Risk free rate + Risk Premium
10% = 4% + 6%
The second step, given the opportunity cost of 10%, is to determine that the economic value of this investment is:
$80,000/1.10 = $72,727
Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. Opportunity costs are by definition invisible, making it simple to ignore them.Making smarter decisions requires an understanding of the possible opportunities lost when a company or person selects one investment over another.
Formula of opportunity cost is:
Opportunity cost = Risk free rate + Risk Premium
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. In 2015, The Avengers: Age of Ultron generated about $191.2 million on its opening weekend. In 2007, Spider Man 3 generated $151.1 on its opening weekend. If the CPI in 2000 was 100, the CPI in 2007 was 113.4, and the CPI in 2015 was 137.6, then _____ is the larger opening-weekend grossing movie, with about _____ million in revenues in 2000 dollars. a. Spider Man 3; $168.6 b. Spider Man 3; $133.6 c. The Avengers: Age of Ultron; $138.9 d. Spider Man 3; $171.3 e. The Avengers: Age of Ultron; $263.2
Answer:
c. The Avengers: Age of Ultron; $138.9
Explanation:
Spider Man 3's opening-weekend revenue in 2000 dollars = $151.1 million / 1.134 = $135.71 million
The Avengers: Age of Ultron's opening-weekend revenue in 2000 dollars = $191.2 million / 1.376 = $138.95 million
The Avengers had a larger opening weekend revenue in both nominal and 2000 dollars.
How can an employee best help to maintain a positive work environment?
ОА.
Avoid interacting with other staff members.
OB.
Focus on the good things.
O C.
Socialize every evening with other staff members.
OD.
Maintain good relations with the management.
Answer:
it is (C)
Explanation:
should i put this in my writings
Answer:
omg that would be awesome tbh
Your credit card has a credit limit of $1,000. Your credit card company reviews your credit line every 6 months.
The time it will take to increase the limit to $1,600 is 2.5 years, when the credit card has a credit limit of $1,000.
What is a credit card?A credit card is a payment card issued to users or cardholders to enable the cardholder to pay a merchant for goods and services based on the cardholder's accrued debt that is promised to the card issuer to pay them for the amounts plus the other agreed charges. The card issuer usually a bank or credit union creates a revolving account and grants a line of credit to the cardholder, from which the cardholder can borrow money for payment to a merchant or as a cash advance.
A credit card is different from a debit card.
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Your question was incomplete, your full question probably was:
Your credit card has a credit limit of $1,000. Your credit card company reviews your credit line every 6 months. They will not increase your credit line more than 10% each 6-month period. Assuming they increase your limit each 6-month period by 10%, how long will it take to increase your limit to $1,600?
Each outsource vendor has its own methods and procedures for its services. TRUE or FALSE
True. Each outsourcing provider has its own systems and procedures for offering services.
These processes must be tailored to the particular needs of the client, as well as the requirements of the service being delivered. They usually differ from one another based on the kind of services being offered, the expertise of the team, the location of the outsourcing provider, the technology being used, and other considerations.
A company should choose the outsourcing vendor that best meets their needs and objectives. If the vendor provides services that are critical to the business, such as IT services, the company must ensure that they have the required expertise to manage the vendor's operations and the necessary systems in place to monitor vendor performance and safeguard against any possible disruptions or issues.
For instance, when outsourcing IT services, a company must guarantee that the vendor's systems are well-aligned with the company's requirements and that any issues that might arise are dealt with quickly and effectively.
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if a firm prices low worldwide in an attempt to build global sales volume as rapidly as possible, even it this means taking large losses initially, what kind of strategy is it pursuing?
Answer: Experience curve pricing
Explanation: The experience curve pricing principle aims to explain the relationship between the unit price of production and marketing and the experience possessed by the marketing and production company or firm on that product. In a bid to acquire more depth in experience in production and marketing, forms tend to sell at prices below the average selling price which may culminate in losses in the early stage
However, with increase in experience in the production and marketing of the product attained as a result of cumulative production, the unit production cost begins to decline.
Inseparability in services refers to the fact that.
Inseparability refers to : The consumer cannot distinguish between the service provider from the service itself.
What Is Service Inseparability?Service inseparability means that the production and consumption of a service can't be separated from the provider of that service. It also requires that a customer is physically participating in the consumption of the service.
The above means every part of the experience is tied together. A customer can't separate the consumption of the service they've purchased from the provider.
Hence, Inseparability means consumer cannot distinguish between the service provider from the service itself.
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What is the research and development department?
Research and development (R&D) activities are characterized as imaginative and methodical labor carried out to add to the body of information, including an understanding of people, culture, and society, and to create new applications based on the knowledge already in existence.
For progress to be meaningful, research is essential. Development efforts would be pointless without research. Depending on the demands that already exist and the desired outcomes, many types of research may be done.
The outcomes will be more accurate and dependable the more rigorous the study design and thorough implementation. By offering market insights and creating new services/products or upgrading existing ones in response, an R&D department's job is to keep a corporation competitive.
The R&D division will play a significant role in how the company expands in the future. A variety of duties will fall under the purview of the R&D division.
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