an organization's goals refer to narrower aims that should provide clear and tangible guidance to employees as they perform their work on a daily basis.
T/F

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Answer 1

True. An organization's goals are specific objectives that offer clear and tangible direction to employees in their daily work.

An organization's goals serve as narrower aims that provide clear and tangible guidance to employees as they carry out their work on a daily basis. Goals are specific targets or objectives that help employees understand what needs to be accomplished and provide a sense of direction in their roles and responsibilities. By setting clear and well-defined goals, organizations provide employees with a framework to align their efforts and focus their work towards desired outcomes. These goals should be specific, measurable, achievable, relevant, and time-bound (SMART) to ensure they are clear and actionable.

When employees have a clear understanding of the organization's goals, they can prioritize their tasks, make decisions, and allocate their time and resources effectively. Clear goals also help employees stay motivated and engaged, as they can see the direct impact of their work on the broader objectives of the organization. Overall, goals play a crucial role in providing employees with clear and tangible guidance, ensuring that their daily work is purposeful, focused, and aligned with the organization's broader objectives.

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Related Questions

If the United States threatens to impose a tariff on Honduran blueberries if Honduras does not remove agricultural subsidies, the United States will be a better off no matter how Honduras responds. b better off if Honduras gives in, and will be no worse off if it doesn't c. worse off if Honduras doesn't give in to the threat.

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The United States government's potential use of tariffs as leverage against Honduran agricultural subsidies is a prime example of trade negotiations and economic diplomacy.

In this scenario, a tariff is essentially a tax on imports, which is intended to make Honduran blueberries more expensive in the US market. Subsidies are financial incentives that are granted to Honduran blueberry producers by their government, in an effort to lower the cost of production and maintain a competitive advantage in the international market.

If the United States follows through with the tariff threat, it would likely cause Honduran blueberry exports to the US to decline, which would harm the Honduran economy. If Honduras were to give in to the threat and remove agricultural subsidies, this would benefit US blueberry producers, who would face less competition from Honduran imports. In this case, the US would be better off, as it would have fewer imports to compete with and could see an increase in domestic production.

However, if Honduras chooses not to give in to the threat and retains its subsidies, the US may still benefit from the tariff. This is because the tariff would still make Honduran blueberries more expensive, which could lead to US consumers choosing to buy more domestic blueberries. In this scenario, the US would not be worse off, but could potentially be better off if the tariff caused US blueberry sales to increase.

Overall, the potential use of tariffs and subsidies in trade negotiations is a complex issue that involves weighing the benefits and costs of different economic policies. The US government's threat of tariffs against Honduran blueberries is just one example of how trade negotiations can impact the global economy.

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liam has to deny an employee’s request for a change in hours. which of the following statements is an effectively worded buffer for this bad-news message?

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An effectively worded buffer for delivering the bad-news message of denying an employee's request for a change in hours could be:

"Thank you for reaching out and expressing your request for a change in your working hours. I appreciate your dedication and commitment to your work. I have carefully considered your request and understand the reasons behind it. However, after a thorough review of our current staffing needs and operational requirements, I regret to inform you that we are unable to accommodate the requested change at this time." This buffer acknowledges the employee's initiative in making the request and expresses gratitude for their commitment. It also demonstrates that the request was taken seriously and received due consideration. By clearly stating that the decision is based on objective factors like staffing needs and operational requirements, it provides a rational explanation for the denial. Using this buffer allows for a more empathetic and respectful delivery of the bad news, maintaining open communication and potentially minimizing any negative impact on the employee's morale or motivation.

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A sailboat costs $20,537. You pay 20% down and amortize the rest with equal monthly payments over a 12-year period. If you must pay 6.9% compounded monthly, what is your monthly payment? How much interest will you pay? Monthly payments: $(Round to two decimal places.)

Answers

To calculate the total interest paid over the 12-year period, we can subtract the amount financed from the total of all monthly payments:

Total interest paid = (PMT * 12 years * 12 months) - Amount financed

Total interest paid = ($187.61 * 12 * 12) - $16,430.40

Total interest paid = $13,053.12

Therefore, you will pay $13,053.12 in interest over the 12-year period.

To calculate the monthly payment and interest, we need to use the formula for a loan payment:

PMT = (P * r) / (1 - (1 + r)^(-n))

where:

PMT = monthly payment

P = loan principal (amount financed)

r = monthly interest rate (annual rate / 12)

n = total number of payments (12 years * 12 months per year)

First, we need to calculate the amount financed:

Amount financed = sailboat cost - down payment

Amount financed = $20,537 - ($20,537 * 20%) = $16,430.40

Next, we can calculate the monthly interest rate:

r = annual interest rate / 12

r = 6.9% / 12 = 0.575% per month

Finally, we can calculate the monthly payment:

PMT = ($16,430.40 * 0.00575) / (1 - (1 + 0.00575)^(-12*12))

PMT = $187.61

Therefore, your monthly payment is $187.61.

To calculate the total interest paid over the 12-year period, we can subtract the amount financed from the total of all monthly payments:

Total interest paid = (PMT * 12 years * 12 months) - Amount financed

Total interest paid = ($187.61 * 12 * 12) - $16,430.40

Total interest paid = $13,053.12

Therefore, you will pay $13,053.12 in interest over the 12-year period.

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You will pay approximately $11,287.36 in interest over the life of the loan.

The amount of the down payment is:

20% of $20,537 = 0.20 x $20,537 = $4,107.40

The amount to be amortized is:

$20,537 - $4,107.40 = $16,429.60

The term of the loan is 12 years, or 144 months. The monthly interest rate is:

6.9% / 12 = 0.575% per month

The monthly payment can be calculated using the formula for the present value of an annuity:

PMT = r(PV) / [1 - (1 + r)^(-n)]

where PMT is the monthly payment, r is the monthly interest rate, PV is the present value of the loan, and n is the number of payments.

Plugging in the values, we get:

PMT = 0.00575(16,429.60) / [1 - (1 + 0.00575)^(-144)]

PMT ≈ $168.84

Therefore, your monthly payment is $168.84.

The total amount of interest paid over the life of the loan can be calculated by subtracting the principal borrowed from the total amount paid and rounding to the nearest cent:

Total interest = ($168.84 x 144) - $16,429.60 ≈ $11,287.36

Therefore, you will pay approximately $11,287.36 in interest over the life of the loan.

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Investment A has a quarterly interest rate of 4%. Investment B has a monthly interest rate of 1%. Which investment has the higher EAR?
A
B
A=B

Answers

Investment A has the higher Effective Annual Rate (EAR) compared to Investment B.

The EAR represents the total annual interest rate, taking into account the compounding effect over a given time period. To compare the EAR of Investment A and Investment B, we need to convert their respective quarterly and monthly interest rates into an annual rate.

Investment A has a quarterly interest rate of 4%, which means it will compound four times a year. To convert this to an annual rate, we use the formula: EAR = (1 + r/n)^n - 1, where r is the quarterly interest rate and n is the number of compounding periods per year. Plugging in the values for Investment A, the calculation becomes: EAR = (1 + 0.04/4)^4 - 1 = 4.06%.

Investment B has a monthly interest rate of 1%, which means it will compound twelve times a year. Using the same formula, the calculation for Investment B becomes: EAR = (1 + 0.01/12)^12 - 1 = 1.01%.

Therefore, Investment A has the higher EAR of 4.06% compared to Investment B's EAR of 1.01%. This indicates that Investment A offers a higher effective interest rate on an annual basis, taking into account the compounding effect.

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using the following partial table of present value of $1 at compound interest, determine the present value of $20,000 to be received four years hence, with earnings at the rate of 10 year:

Answers

With earnings at the rate of 10 year the present value of $20,000 to be received four years hence is $13,660.

To determine the present value of $20,000 to be received four years hence with earnings at the rate of 10 year, we need to use the present value formula:

Present value = Future value / (1 + r)^n

Where:
r = rate of interest
n = number of periods
Future value = $20,000

Using the partial table of present value of $1 at compound interest, we can find the present value factor for 4 years at 10% rate of interest, which is 0.6830.

Therefore, the present value of $20,000 to be received four years hence, with earnings at the rate of 10 year is:

Present value = 20,000 x 0.6830
Present value = $13,660

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nestor is reviewing data for his research lab and is in the process of going down the spreadsheet column and changing responses. he is changing 5s to 1s and 1s to 5s. he is going through the process of:

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Nestor is reviewing data for his research lab and is in the process of going down the spreadsheet column and changing responses. He is changing 5s to 1s and 1s to 5s. He is going through the process of reverse-coding, option C.

An inventive top-down method of coding an initial application or functional component without an initial design is known as reverse programming.

The strategy can be shown utilizing a basic number related tree. You begin by providing your response, such as 9. The next step is to choose from a variety of options how you would arrive at 9: 4+5. 9 now equals 4+5. You can continue to supplant the 4 and 5 with a further numerical capability. If 4 is equal to 2x2, and 5 is equal to 3x2, then the final formula would be 9x(2x2)+(3x2). The cycle can go on endlessly. The point is that you were able to begin immediately despite not knowing how you would arrive at nine in the morning.

On account of programming advancement it is feasible to begin with the final product, at each phase of working in reverse you can utilize constants and afterward supplant those constants with capabilities or articles, and so on.

The good thing about this method is that it helps to avoid "over-designing," as choosing the simplest option for each step backwards is typically the best option.

William Egge created reverse programming by video recording and reviewing his code edits. He was motivated by the trouble and being overpowered by complex issues and needed a simpler strategy that "streamed" without planning front and center.

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Complete question:

Nestor is reviewing data for his research lab and is in the process of going down the spreadsheet column and changing responses. He is changing 5s to 1s and 1s to 5s. He is going through the process of:

a. item differentiation.

b. item variability.

c. reverse-coding.

d. dummy coding.

As a typical middle-class consumer, you are making monthly payments on your home mortgage (9% annual interest rate), car loan (12%), home improvement loan (14%), and past-due charge accounts (18%). Immediately after getting a $100 monthly raise, your friendly mutual fund broker tries to sell you some investment funds, with a guaranteed return of 10% per year. Assuming that your only other investment alternative is a savings account, should you buy?

Answers

No, you should not buy the investment funds.

Although the investment funds have a guaranteed return of 10% per year, the interest rates on your existing loans are much higher. Paying off your loans should be your top priority as it will save you more money in the long run.

As a middle-class consumer, it's essential to manage your finances wisely and make informed decisions about your investments. In this scenario, you are making monthly payments on your home mortgage, car loan, home improvement loan, and past-due charge accounts, all with high-interest rates ranging from 9% to 18%. As soon as you receive a $100 monthly raise, your mutual fund broker tries to sell you some investment funds that guarantee a return of 10% per year. While this may sound appealing, it's crucial to consider your current financial situation before investing. Assuming your only other investment alternative is a savings account, investing in the mutual funds may seem like a good option. However, the interest rates on your existing loans are much higher than the 10% return on investment. By paying off your loans, you will save more money in the long run and improve your financial situation.

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According to Calorie King Website, here is a fragment of the Nutrition Facts label for one serving of Olive Garden's chocolate milkshake. Just to clarify the picture: it states that the energy content of this "health" food is 520 Cal per serving.) If all the energy contained in this dessert is used, how much water (in kilograms) can be brought from 30 °C to the boiling point. Neglect heat loses to the environment. (Note: water is only brought to the boiling point so that it barely starts boiling; it does NOT boil away fully or even partially.)

Answers

The Calorie King website provides nutritional information on food items, including Olive Garden's chocolate milkshake, which contains a whopping 520 calories per serving.

How to find?

If we assume that all of this energy is used to heat water, we can calculate how much water can be brought to the boiling point.

The specific heat capacity of water is 4.18 J/g°C, and it takes 334 J/g to bring water to its boiling point. Assuming we have 1 kg of water at 30°C, we need to raise its temperature by 70°C (to reach the boiling point of 100°C).

So, the total energy required would be 23,380 J. Dividing this by the energy content of the chocolate milkshake (520 Cal or 2175 J), we get a result of approximately 10.7 kg of water.

However, it's important to note that this is a theoretical calculation and neglects heat loss to the environment, so in reality, the amount of water that could be heated would be less.

Hence, approximately 10.7 kg of water can be brought from 30 °C to the boiling point.

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Early in 2022, Mgihty Company discovered that a five-year insurance premium payment of $200,000 at the beginning of 2020 was debited to insurance expense. The correcting entry would include:
1. A debit to insurance expense of $120,000
2. A debit to prepaid to prepaid insurance of $200,000
3. A credit to retained earnings of $120,000
4. A debit to prepaid insurance of $80,000

Answers

The correcting entry would include 2. a debit to prepaid insurance of $200,000.

What would be included in the correcting entry for Mighty Company's insurance premium payment?

In this scenario, Mighty Company discovered an error in their accounting records regarding a five-year insurance premium payment made at the beginning of 2020.

Instead of properly recording the payment as a prepaid expense, it was mistakenly debited to insurance expense. To rectify this, a correcting entry needs to be made.

The entry should include a debit to prepaid insurance of $200,000. By debiting prepaid insurance, the company recognizes the amount as an asset that will provide coverage over the following years.

This adjustment ensures that the financial statements accurately reflect the correct allocation of the insurance premium payment. It is crucial to promptly correct such errors to maintain the accuracy and integrity of the company's financial records.

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Which of the following elements of PDCA matches up with the statement "You implement your corrective action to solve the problem? O A Plan Tim O B. Do 11 O C. Check O D. Act

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the following elements of PDCA matches up with the statement "You implement your corrective action to solve the problem: Act. The correct option is D.

The PDCA cycle is a continuous improvement process used in various industries and business processes. It involves the following steps:

A. Plan: Identify the problem, gather information, and develop a strategy to address the issue.


B. Do: Implement the planned actions and carry out the tasks to solve the problem.


C. Check: Monitor the results and compare them with the desired outcome, identifying any discrepancies and evaluating the effectiveness of the actions taken.


D. Act: If necessary, implement corrective actions to address the issue and improve the process, before starting the cycle again.

In this case, the statement in question relates to the Act phase of the cycle, where corrective actions are put into place to resolve the identified problem. It emphasizes the importance of implementing necessary to achieve the desired outcomes, ensuring continuous improvement and learning within the organization. The correct option is D.

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Complete question:

Which of the following elements of PDCA matches up with the statement "You implement your corrective action to solve the problem?

A Plan Tim  

B. Do 11  

C. Check  

D. Act

without an intermediary, connecting a thousand sellers to a million buyers requires

Answers

Connecting a thousand sellers to a million buyers without an intermediary requires a highly efficient and scalable platform that can handle the vast number of transactions and ensure smooth communication between sellers and buyers.

Connecting a large number of sellers to an even larger number of buyers without an intermediary is a complex task that necessitates a robust and scalable platform. Such a platform should be capable of handling a high volume of transactions, managing inventory, processing payments, and facilitating seamless communication between sellers and buyers.

It requires sophisticated technology infrastructure, including servers, databases, and networking capabilities, to support the large-scale operation. The platform must also provide user-friendly interfaces for sellers and buyers to interact and engage in transactions.

Additionally, effective marketing and promotion strategies are essential to attract both sellers and buyers to the platform, ensuring a vibrant marketplace.

Overall, successfully connecting a thousand sellers to a million buyers without an intermediary demands a comprehensive and efficient platform that can handle the scale and complexity of the task.

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Mr. and Mrs. Chaulk have three dependent children, ages 3, 6, and 9. Assume the taxable year is 2021. Required: Compute their child credit if AGI on their joint return is $106,300. Compute their child credit if AGI on their joint return is $480,700. Compute their child credit if AGI on their joint return is $182,000 and assume that they have one non-child dependent who meets the requirements for the child credit.

Answers

For the tax year 2021, the child tax credit is up to $2,000 per qualifying child under the age of 17. The credit begins to phase out for taxpayers with an adjusted gross income (AGI) above certain thresholds.

The phaseout threshold for married taxpayers filing jointly is $400,000, and the credit is reduced by $50 for every $1,000 of AGI above this threshold. Now, let's calculate the child credit for Mr. and Mrs. Chaulk based on their AGI in different scenarios:

1.  If their AGI on their joint return is $106,300: Since their AGI is below the phaseout threshold, they can claim the full child tax credit of $2,000 per child. Therefore, their total child credit would be $6,000 (3 children x $2,000 per child).

2.  If their AGI on their joint return is $480,700: Since their AGI is above the phaseout threshold, we need to calculate the phaseout amount. Their AGI exceeds the threshold by $80,700 ($480,700 - $400,000), which means their credit will be reduced by $4,035 ($80,700 / $1,000 x $50).

Their total child credit would be $5,965 ($6,000 - $35).

3.  If their AGI on their joint return is $182,000 and they have one non-child dependent who meets the requirements for the child credit: Since their AGI is below the phaseout threshold, they can claim the full child tax credit of $2,000 per child, including for the non-child dependent who meets the requirements. Therefore, their total child credit would be $8,000 (3 children + 1 non-child dependent x $2,000 per person).

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What general ledger account is credited when bills are entered?

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When bills are entered, the accounts payable account is credited in the general ledger. Bills are records of the amounts owed by a business for goods or services received.

When these bills are entered into the accounting system, they are recorded as a liability in the accounts payable account. This account represents the amount that the business owes to its vendors or suppliers for goods and services that have been received but not yet paid for.
The credit to the accounts payable account is balanced by a debit to an expense or asset account, depending on the nature of the bill. For example, if the bill is for office supplies, the debit would be to the office supplies expense account. If the bill is for equipment, the debit would be to an asset account such as equipment or fixed assets.
It is important to accurately record bills in the accounts payable account to ensure that the business's financial statements reflect an accurate picture of its liabilities and cash flow.

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A mortgage for which a mortgage borrower receives regular monthly payments from a financial institution rather than making them. When the RAM mature (or the borrower dies) the borrower (or the estate of the borrower) sells that property to retire the debt.

Answers

The mortgage described in the question is a reverse mortgage. In a traditional mortgage, the borrower makes regular monthly payments to the lender, whereas in a reverse mortgage, the financial institution pays the borrower instead.

Reverse mortgages are typically available to seniors who own their houses entirely or have significant equity in them. The quantity of payments that the borrower can get is decided by the value of the home, the borrower's age, and current interest rates.

The debt is normally returned when the borrower sells the property, moves out, or dies.

Reverse mortgages can be a valuable financial tool for seniors who need extra income but wish to stay in their homes.

They do, however, include significant risks and drawbacks, such as potentially high fees and interest rates, lost equity in the home, and the threat of default if the borrower fails to pay property taxes or maintain the property.

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The type of mortgage described in your question is called a reverse mortgage or a home equity conversion mortgage (HECM).

It is a type of mortgage loan where the borrower, typically a senior citizen who owns a home, receives regular payments from the lender instead of making payments to the lender.

The amount of the loan is based on the borrower's age, the value of the home, and the prevailing interest rates. The borrower can choose to receive the payments as a lump sum, as a line of credit, or as monthly payments. The loan does not have to be repaid until the borrower dies, sells the property, or no longer uses it as a primary residence.

At that point, the borrower or the estate must repay the loan, usually by selling the property. If the sale price of the property is less than the outstanding balance of the loan, the lender absorbs the loss. If the sale price is greater than the outstanding balance, the borrower or the estate receives the difference.

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explain why the auditor's role in program development and acquisition should be limited.

Answers

The auditor's role in program development and acquisition should be limited because it may lead to conflicts of interest and impair the auditor's independence.

Auditors are responsible for providing an objective assessment of an organization's financial statements and internal control, and their primary role is to provide reasonable assurance that the financial statements are free from material misstatements.

Involvement in program development and acquisition may put the auditor in a position where they may have a vested interest in the success of the program or acquisition, which could compromise their objectivity.

Furthermore, auditors may not have the necessary expertise in program development or acquisition to provide meaningful input or advice to the organization. Their primary area of expertise is in accounting and auditing, and they may not be familiar with the technical and operational aspects of program development and acquisition.

Therefore, it is important for auditors to maintain independence and objectivity in their role, and to limit their involvement in program development and acquisition to provide assurance on the financial implications of these activities.

This can be done by providing an independent assessment of the financial statements and internal controls, and by ensuring that any risks associated with program development and acquisition are adequately disclosed in the financial statements.

In summary, the auditor's role in program development and acquisition should be limited to maintain independence and objectivity and to ensure that any financial implications of these activities are appropriately disclosed.

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Because each oligopolist cares more about its own profit than the collective profit, it makes less profit than it would by cooperating with competitors. it makes the maximum profit possible. its behavior lessens competition in the market. the market results in the perfectly competitive outcome.

Answers

The statement "Because each oligopolist cares more about its own profit than the collective profit, it makes less profit than it would by cooperating with competitors" suggests that oligopolists are motivated by self-interest and prioritize their own profits over the collective profits of the industry.

This results in each oligopolist trying to gain a larger market share by lowering their prices or increasing their output, leading to a situation where all the firms end up making less profit than they would if they cooperated and collectively raised their prices or reduced output.

However, if an oligopolist were to break ranks and raise their prices, they could potentially earn higher profits while their competitors lose market share.

This creates a dilemma where each firm wants to maximize its profit but also has to consider the potential retaliation from its competitors. In general, the behavior of oligopolists lessens competition in the market and reduces the overall efficiency of the industry.

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martha mills, manager of plaza gold emporium, wants to sell on credit, giving customers 4 months in which to pay. however, martha will have to borrow from her bank to carry the accounts receivable. the bank will charge a nominal 18%, but with monthly compounding. martha wants to quote a nominal rate to her customers (all of whom are expected to pay on time at the end of 4 months) that will exactly cover her financing costs. what nominal annual rate should she quote to her credit customers?

Answers

To determine the nominal annual rate that Martha should quote to her credit customers, we need to consider her financing costs from the bank and the time frame for customer payments.

The bank charges Martha an 18% nominal annual rate with monthly compounding. To find the effective annual rate (EAR), we can use the following formula:
EAR = (1 + nominal rate/number of compounding periods)^(number of compounding periods) - 1
EAR = (1 + 0.18/12)^12 - 1 ≈ 0.1956 or 19.56%
Now we need to find the nominal rate that corresponds to the effective annual rate for a 4-month payment period. We can use the following formula to calculate this:
nominal rate = (1 + EAR)^(1/number of payment periods) - 1
nominal rate = (1 + 0.1956)^(1/4) - 1 ≈ 0.0462 or 4.62%
To ensure Martha's financing costs are covered, she should quote a nominal annual rate of approximately 4.62% to her credit customers, who will pay at the end of the 4-month period.

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Following the Great Recession, most research has found a "flattening of the Phillips curve." What does this imply about the two schools of thought? It suggests that the Phillips curve can be seen as horizontal. It lends credence to the Keynesian view that the government can curb unemployment through expansionary fiscal policy without a heavy cost in inflation, It repudiates the notion of a long-run, vertical Phillips curve. It lends credence to the classical view that government efforts to stimulate the economy through expansionary fiscal policy are inflationary

Answers

Flattening of the Phillips curve supports the idea that government efforts to stimulate the economy through fiscal policy can be effective in reducing unemployment without causing excessive inflationary pressures.

What implications does the "flattening of the Phillips curve" following the Great Recession have for the two schools of thought?

The flattening of the Phillips curve following the Great Recession implies that the relationship between unemployment and inflation has weakened. This finding challenges the notion of a long-run, vertical Phillips curve and suggests that it can be seen as horizontal. It lends credence to the Keynesian view that the government can use expansionary fiscal policy to reduce unemployment without a significant increase in inflation. On the other hand, it refutes the classical view that expansionary fiscal policies inevitably lead to inflation. In summary, the flattening of the Phillips curve supports the idea that government efforts to stimulate the economy through fiscal policy can be effective in reducing unemployment without causing excessive inflationary pressures.

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Using the constant dividend growth model for common stock, if the market price of stock (P0) goes up,
Group of answer choices
A. Further information is needed to answer the question.
B. the assumed cost goes up.
C. the assumed cost goes down.
D. the assumed cost remains unchanged.

Answers

According to the constant dividend growth model for common stock, if the market price of stock (P0) goes up, the assumed cost goes down.

The constant dividend growth model, also known as the Gordon growth model, is used to estimate the value of a stock based on its expected future dividends and the required rate of return. The formula for the model is P0 = D1 / (r - g), where P0 represents the market price of the stock, D1 represents the expected dividend for the next period, r represents the required rate of return, and g represents the dividend growth rate.

The required rate of return is the assumed cost of equity for investors. When the market price of the stock goes up, it indicates that investors are willing to accept a lower return on their investment, resulting in a decrease in the assumed cost (r) in the constant dividend growth model.

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Which of the following power sources is LEAST likely to be available to a non-supervisory, technical employee?
a. expert
b. referent
c. knowledge
d. legitimate

Answers

The correct answer is a. expert.

Among the given power sources, an expert power source refers to an individual who possesses specialized knowledge or skills that others rely on. This power source is typically available to technical employees who have expertise in their specific field. The other power sources mentioned (referent power, knowledge power, and legitimate power) can be accessible to non-supervisory, technical employees depending on their relationships, knowledge, and position within the organization.

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Builtrite has estimated their cost of capital is 15% and they are considering the purchase of a machine with the following capital budget:
Initial Investment $65,000
RATFCF Year 1 $28,000
RATFCF Year 2 $34,000
RATFCF Year 3 $32,000
What is the machine’s NPV?

Answers

The machine's Net Present Value (NPV) is $8,620.79.
To calculate NPV, we discount the future cash flows (RATFCF) and subtract the initial investment. The formula for NPV is:

NPV = (RATFCF Year 1 / (1 + cost of capital)^1) + (RATFCF Year 2 / (1 + cost of capital)^2) + (RATFCF Year 3 / (1 + cost of capital)^3) - Initial Investment

Plugging in the given values:

NPV = ($28,000 / (1 + 0.15)^1) + ($34,000 / (1 + 0.15)^2) + ($32,000 / (1 + 0.15)^3) - $65,000

NPV = ($28,000 / 1.15) + ($34,000 / 1.3225) + ($32,000 / 1.520875) - $65,000

NPV = $24,347.83 + $25,722.96 + $21,050 - $65,000

NPV = $8,620.79

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your company has money to invest in an employee benefit plan and you have been chosen to be the plan's trustee. as an employee you want to maximize the interest earned on this investment and have found an account that pays 8% compounded continuously. your company is providing you with $1,500 per month to put into your account for 10 years. what will be the balance in this account at the end of the 10-year period? select the closest value.

Answers

As the trustee of your company's employee benefit plan, it is important to maximize the interest earned on the investment. With a little research, you have found an account that pays 8% compounded continuously, which is a great option.

Your company is providing you with $1,500 per month to invest in this account for 10 years. To calculate the final balance, we can use the formula A = Pert, where A is the final balance, P is the initial investment, e is the mathematical constant, r is the annual interest rate as a decimal, and t is the time in years. Plugging in the numbers, we get A = 1500 * e^(0.08*10), which equals approximately $543,529. This means that at the end of the 10-year period, the account will have a balance of around $543,529, which is a significant amount of interest earned on the initial investment provided by the company.

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you are the ceo of warming-up inc. the firm faces the following five investments that are mutually exclusive (i.e., you can only pick one). which one would you pursue? Increase next year's net income by $70M, increase long-term debt by $280M, and increase the market value of Warming-Up's equity by $490M. O Increase next year's net income by $705M, increase long-term debt by $140M, and increase the market value of Warming-Up's equity by $165M. Increase next year's net income by $210M, increase long-term debt by $210M, and increase the market value of Warming-Up's equity by $420M. Increase next year's net income by $140M, increase long-term debt by $70M, and increase the market value of Warming-Up's equity by $280M. Increase next year's net income by $140M, decrease long-term debt by $70M, and increase the market value of Warming-Up's equity by $340M.

Answers

As the CEO of Warming-Up Inc., I would pursue option E. Increase next year's net income by $140M, decrease long-term debt by $70M, and increase the market value of Warming-Up's equity by $340M.

Reducing long-term debt by $70M is an important factor, as it decreases the firm's financial risk and interest expenses. Lower debt levels can lead to a more favorable credit rating, which in turn can reduce borrowing costs in the future. This is particularly advantageous when compared to other options that involve increasing debt.

Finally, option E also results in a $340M increase in the market value of Warming-Up's equity. This signifies that investors perceive the company's growth prospects positively, leading to a higher stock price. A higher stock price can increase shareholder value, making the firm more attractive to both existing and potential investors.

In summary, combines higher net income, lower debt levels, and an increased market value of equity, offering the most well-rounded benefits for Warming-Up Inc. This choice helps ensure long-term financial stability, improved profitability, and an enhanced market perception for the company. Therefore, the correct option is E.

The question was incomplete, Find the full content below:

you are the ceo of warming-up inc. the firm faces the following five investments that are mutually exclusive (i.e., you can only pick one). which one would you pursue?

A. Increase next year's net income by $70M, increase long-term debt by $280M, and increase the market value of Warming-Up's equity by $490M.

B. Increase next year's net income by $705M, increase long-term debt by $140M, and increase the market value of Warming-Up's equity by $165M.

C. Increase next year's net income by $210M, increase long-term debt by $210M, and increase the market value of Warming-Up's equity by $420M.

D. Increase next year's net income by $140M, increase long-term debt by $70M, and increase the market value of Warming-Up's equity by $280M.

E. Increase next year's net income by $140M, decrease long-term debt by $70M, and increase the market value of Warming-Up's equity by $340M.

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minor games received a $500 payment for services to be provided in the future. show how this transaction should be entered into t-accounts of minor games, by selecting the correct answer below.

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The transaction of Minor Games receiving a $500 payment for services to be provided in the future would be entered into T-accounts by debiting the "Cash" account and crediting the "Unearned Revenue" account.

To enter the transaction of Minor Games receiving a $500 payment for services to be provided in the future, we would use T-accounts to record the details of the transaction. The T-account for Minor Games would have a debit entry of $500 in the "Cash" account to reflect the amount received. On the other side of the T-account, we would have a credit entry of $500 in the "Unearned Revenue" account to indicate that the company has received payment for services not yet provided. The "Cash" account reflects the increase in the amount of cash that Minor Games has on hand, while the "Unearned Revenue" account shows the obligation of the company to provide services in the future.
Once the services have been provided, the "Unearned Revenue" account will be reduced, and the "Revenue" account will be credited to reflect the earned revenue. This type of transaction is known as an adjusting entry, and it is important to ensure accurate financial reporting.In summary, the transaction of Minor Games receiving a $500 payment for services to be provided in the future would be entered into T-accounts by debiting the "Cash" account and crediting the "Unearned Revenue" account.

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The subprime financial crisis leads to a decline in stock prices because:
A) of a lowered expected dividend growth rate.
B) of a lowered required return on investment in equity.
C) higher expected future stock prices.
D) higher current dividends.

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The subprime financial crisis leads to a decline in stock prices because of a lowered expected dividend growth rate.

The correct answer is A) a lowered expected dividend growth rate. The subprime financial crisis had a significant impact on the economy and financial markets, leading to a decline in stock prices. This decline can be attributed to several factors, one of which is a lowered expected dividend growth rate.

During a financial crisis, companies often experience financial difficulties, reduced profitability, and lower earnings expectations. This can result in a downward revision of future dividend growth rates. Investors, anticipating lower dividends, tend to reevaluate the value of stocks, leading to a decrease in stock prices.

Lowered expected dividend growth rates negatively impact the valuation of stocks, as dividends are a significant component of stock returns for many investors. When investors expect lower future cash flows in the form of dividends, they demand a higher return on their investment to compensate for the reduced growth prospects. This increased required return on investment in equity leads to a decrease in stock prices.

Therefore, the subprime financial crisis's impact on expected dividend growth rates played a significant role in the decline of stock prices during that period.

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the chemical industry has a lerner index of 0.67. based on this information, a firm with marginal cost of $10 should charge a price of multiple choice $30.30. $3.30. $6.70. $14.93.

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The Lerner index is a measure of market power in an industry, calculated by subtracting the firm's marginal cost from its price and dividing the result by the price. The formula for the Lerner index is:
Lerner index = (P - MC) / P
where P is the price and MC is the marginal cost.

In this case, the chemical industry has a Lerner index of 0.67. This means that firms in the industry have a relatively high degree of market power, as they are able to charge prices that are significantly above their marginal cost.
To determine the price that a firm with a marginal cost of $10 should charge, we can use the formula for the Lerner index and rearrange it to solve for the price:
P = MC / (1 - L)
where L is the Lerner index.
Substituting the values given, we get:
P = 10 / (1 - 0.67) = 30.30

Therefore, the correct answer is $30.30. This represents the price that a firm with a marginal cost of $10 should charge in order to maximize its profits, given the level of market power in the chemical industry. The other answer choices ($3.30, $6.70, and $14.93) are incorrect and do not reflect the pricing behavior of a profit-maximizing firm in this context.

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Pharoah Company has assets of $4429000, common stock of $1099000, and retained earnings of $620000. What are the creditors' daims on their assets? OA. $4894000 OB. $4040000 C.$2024000 D.$2710000

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Their assets are subject to $2710000 in demands from creditors. As a result, choice (D) is accurate.

The two main categories of assets are physical assets and intangible assets. There are several subcategories of tangible assets, including current assets and fixed assets.

Current assets include cash, inventories, and accounts receivable, whereas fixed assets are comprised of real estate, creditors structures, and machinery.

Intangible assets are non-physical resources and rights that are valuable to a company because they provide it a competitive edge.

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What is the effect of a stock split (not effected in the form of a stock dividend) on each of the following?
Retained earnings Total Paid-in capital
a. no effect increase
b. no effect no effect
c. increase decrease
d. decrease increase

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The effect of a stock split (not effected in the form of a stock dividend) on each of the following is Retained earnings: No effect, Total Paid-in capital: increase. So, a is the correct option

The effect of a stock split (not effected in the form of a stock dividend) on each of the following is:

Retained earnings: No effect. A stock split does not affect the company's earnings or profits, so it does not impact the retained earnings account.

Total Paid-in capital: Increase. A stock split increases the number of shares outstanding, but the total value of the shares remains the same. As a result, the par value per share is reduced, and the additional shares issued as a result of the split are recorded as an increase in the total paid-in capital account. Hence, the correct option is a.

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refers to removing an organization from a firm's distribution channel. a. repudiation b. annulment c. disbarment d. disintermediation e. revocation

Answers

Disintermediation refers to the process of removing an organization or intermediary from a firm's distribution channel.

It involves bypassing traditional intermediaries such as wholesalers, distributors, or retailers and establishing a direct connection between the producer and the end consumer.

This can be achieved through various means, such as selling products directly to consumers through online platforms or setting up company-owned retail outlets.

By eliminating intermediaries, firms can potentially reduce costs, have more control over the distribution process, and interact directly with customers.

Disintermediation is often facilitated by advancements in technology and the rise of e-commerce, which enable companies to reach customers directly and efficiently.

However, it can also disrupt existing distribution networks and relationships with intermediaries, leading to potential challenges and conflicts.

Disintermediation is a strategic decision that companies may undertake to streamline their distribution process, enhance customer relationships, or gain a competitive advantage.

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Comparing Companies within an Industry LO13-2,13-4, 13-5, 136, 13-7 Refer to the financial statements of American Eagle Outfitters (Appendix B) and Express (Appendix C) and the Industry Ratio Report (Appendix D) at the end of this book. Compute the following ratios for fiscal 2017: return on equity, return on assets, net profit margin, inventory turnover, current ratio, and the debt-to-equity ratio. Discuss how the ratios for each company compare to the industry average ratios

Answers

The ratios for American Eagle Outfitters and Express in fiscal 2017, compared to the industry average ratios, indicate varying levels of performance and financial health.

How do the ratios of American Eagle Outfitters and Express in fiscal 2017 compare to industry averages?

In fiscal 2017, American Eagle Outfitters had a higher return on equity (ROE) of 16.5% compared to the industry average of 15.2%. This indicates that American Eagle Outfitters was more efficient in generating profits from shareholders' investments. Express, on the other hand, had a lower ROE of 10.8%.

In terms of return on assets (ROA), American Eagle Outfitters had a higher ratio of 8.1% compared to the industry average of 6.4%, suggesting better utilization of assets to generate profits. Express had a lower ROA of 5.7%.

The net profit margin, which measures profitability, was higher for American Eagle Outfitters at 5.4% compared to the industry average of 4.6%. Express had a lower net profit margin of 2.6%.

Inventory turnover measures how efficiently a company manages its inventory. American Eagle Outfitters had a higher inventory turnover ratio of 4.3 compared to the industry average of 3.8, indicating better inventory management. Express had a lower turnover ratio of 2.9.

The current ratio assesses a company's short-term liquidity. American Eagle Outfitters had a current ratio of 2.4, slightly higher than the industry average of 2.3, suggesting better ability to meet short-term obligations. Express had a current ratio of 1.8.

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