File is in the link copy it into excel from sheets
?usp=sharing&ouid=100789843268290570604&rtpof=true&sd=true
Double click on "Sheet 1" at the bottom of your workbook and rename It "Total Sales by Salesperson." • On the left-hand side under "Dimensions" (sometimes labeled as Tables), click on "Salesperson"

Answers

Answer 1

Tableau is a data visualization and business intelligence software. Instructions and guidance for using Tableau to create a vertical bar chart and label the bars correctly. Please follow the steps below:

1. Double-click on "Sheet 1" at the bottom of your workbook and rename it "Total Sales by Salesperson."

2. On the left-hand side, locate the "Dimensions" or "Tables" section, and click on "Salesperson." Drag and drop it to the "Columns" area above the blank sheet.

3. On the left-hand side, find the "Measures" section, and click on "Order Amount." Drag and drop it to the "Rows" area.

4. By default, Tableau will create a vertical bar chart with the "Sum" aggregation. This is the desired calculation for this exercise.

5. To order the bar chart from highest to lowest (descending), locate the "Sort" button (usually represented by an arrow pointing down) in the menu bar at the top of the screen. Click on it to apply descending sorting.

6. To label each bar with its respective amount, click on "Order Amount" in the "Marks" card. Drag and drop it onto the "Label" section of the "Marks" card.

7. Tableau will automatically choose the alignment of the labels. If the labels appear horizontally, click on the "Label" section in the "Marks" card. Under "Label Appearance," click on the drop-down for "Alignment" and choose the option that looks like "<" to display the labels vertically above the bars.

8. To show the mark labels, make sure the "Show mark labels" option is enabled. It might be a toggle button or a checkbox in the interface. Enable it to display the labels.

Learn more about salesperson here:

https://brainly.com/question/32308819

#SPJ11

The complete question is: Double click on "Sheet 1" at the bottom of your workbook and rename It "Total Sales by Salesperson."

• On the left-hand side under "Dimensions" (sometimes labeled as Tables), click on "Salesperson" and drag it to the "Columns" area above the blank sheet.

• On the left-hand side under "Measures", click on "Order Amount" and drag it to the "Rows" area.

• This will create a vertical bar chart.

• The calculation will default to Sum which is what we need for this exercise.

• Order the bar chart from highest to lowest (Descending) by clicking on the "Descending Sort" button (¹) In the menu bar at the top of the screen. P

• Label each bar with its respective amount by clicking on "Order Amount" and dragging and dropping it onto the "Label" Marks card ().

• Tableau automatically chooses if the labels will be horizontal or vertical above the bars. If the labels appear horizontal, click on the "Label" Marks card ([tex]^{T}[/tex]) and under "Label Appearance", click on the drop down for "Alignment" and choose the (< under direction (screenshot below). Show mark labels Label Appearance- Text:


Related Questions

Which of the following is not a characteristic of perfect
competition in the short run?
The equilibrium level of output occurs where marginal cost
equals marginal revenue.
All firms are price takers.

Answers

The characteristic of perfect competition in the short run that is not listed in the options provided is:

Differentiated products.

Perfect competition in the short run assumes that firms are producing homogeneous or identical products. This means that there is no product differentiation among the firms in the market. Each firm produces and sells the same standardized product, and consumers perceive no differences between them. Product differentiation is a characteristic commonly associated with monopolistic competition or other market structures where firms have the ability to distinguish their products through branding, quality, or other attributes.

Therefore, the absence of differentiated products is a characteristic of perfect competition in the short run that is not mentioned in the options.

To know more about monopolistic competition visit:

https://brainly.com/question/29617378

#SPJ11

Give 4 Examples each "Zero rate supplies and Exempted Supplies .

Answers

Exported Goods: Goods that are exported to another country are typically zero-rated for tax purposes. For example, if a company sells electronic devices to a foreign buyer and exports them,

the sale may be zero-rated for tax purposes.

Basic Food Items: In some jurisdictions, certain basic food items such as fruits, vegetables, bread, and milk are zero-rated. This is done to ensure that essential food items are more affordable for consumers.

Prescription Medicines: Prescription drugs or medicines prescribed by a licensed healthcare professional are often zero-rated to make healthcare more accessible and affordable.

Education and Training: Educational services provided by schools, colleges, or training institutions can be zero-rated. This includes tuition fees for primary, secondary, or higher education, as well as vocational training courses.

learn more about   Goods     here:

https://brainly.com/question/12802278

#SPJ11

A 5-year Treasury bond has a 4.75% yield. A 10-year Treasury bond yields 6.9%, and a 10-year corporate bond yields 8.6%. The market expects that inflation will average 3.45% over the next 10 years (IP10 = 3.45%). Assume that there is no maturity risk premium (MRP = 0) and that the annual real risk-free rate, r*, will remain constant over the next 10 years. (Hint: Remember that the default risk premium and the liquidity premium are zero for Treasury securities: DRP = LP = 0.) A 5-year corporate bond has the same default risk premium and liquidity premium as the 10-year corporate bond described. The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the question below.
What is the yield on this 5-year corporate bond? Round your answer to two decimal places.

Answers

The yield on the 5-year corporate bond is 6.27%.

The yield on a bond is the total return that an investor expects to receive from holding the bond to maturity. It is calculated as the sum of the coupon payments and the capital gain or loss. The coupon payments are fixed, while the capital gain or loss depends on the bond's yield to maturity and the price at which the bond is bought.

In this case, we are given the following information:

The yield on a 5-year Treasury bond is 4.75%.

The yield on a 10-year Treasury bond is 6.9%.

The yield on a 10-year corporate bond is 8.6%.

The market expects that inflation will average 3.45% over the next 10 years.

There is no maturity risk premium (MRP = 0).

The annual real risk-free rate, r*, will remain constant over the next 10 years.

We can use this information to calculate the yield on the 5-year corporate bond as follows:

Yield on 5-year corporate bond = Yield on 5-year Treasury bond + Inflation premium + Default risk premium + Liquidity premium

The inflation premium is the difference between the yield on a corporate bond and the yield on a Treasury bond of the same maturity, which is due to the fact that corporate bonds are subject to inflation risk. The default risk premium is the additional yield that investors demand for holding corporate bonds, which is due to the fact that corporate bonds are more likely to default than Treasury bonds. The liquidity premium is the additional yield that investors demand for holding illiquid securities, which is due to the fact that it is more difficult to sell illiquid securities quickly and at a fair price.

We are given that the default risk premium and the liquidity premium for the 5-year corporate bond are the same as those for the 10-year corporate bond. We can use the following information to calculate the default risk premium and the liquidity premium:

Yield on 10-year corporate bond - Yield on 10-year Treasury bond = Default risk premium + Liquidity premium

8.6% - 6.9% = 1.7%

Therefore, the default risk premium and the liquidity premium for the 5-year corporate bond are both 0.85%.

We can now calculate the yield on the 5-year corporate bond as follows:

Yield on 5-year corporate bond = 4.75% + 3.45% + 0.85% + 0.85% = 6.27%

Therefore, the yield on the 5-year corporate bond is 6.27%.

To learn more about treasury bond click brainly.com/question/32014896

#SPJ11

1- Which of the following factors contributes to a strong currency?
Higher rates of inflation
A weak domestic financial market
No record of default on government debt
Stronger foreign economies
2- Suppose the US dollar is quoted in Australia at A$1.2858-74 and the Australian dollar is quoted in US at $0.7763-79.
What is the percent spread for US dollar in US?
0.1159%
0.1157%
0.2096%
0.2100%
3-Relative to the spot price, the forward price
may be less than the spot price.
may be the same as the spot price.
all of the options
may be higher than the spot price.

Answers

A factor that contributes to a strong currency is stronger foreign economies.

When foreign economies perform well, investors are attracted to invest in those countries, leading to an increased demand for their currency. This increased demand strengthens the value of the currency in the foreign exchange market.

Stronger foreign economies imply that the countries are experiencing economic growth, stable financial markets, and higher returns on investment. These factors make their currency more desirable for trade and investment purposes. As a result, the demand for their currency increases, causing its value to rise relative to other currencies.

On the other hand, higher rates of inflation can have a negative impact on a currency's strength. Inflation erodes the purchasing power of the currency, making it less attractive to investors and reducing its value in the foreign exchange market.

Know more about strong currency here:

https://brainly.com/question/29640264

#SPJ11

Module Learning Outcomes The following LOs are achieved by the student by completing the assignment successfully 1. Demonstrate the impact of the environment on marketing decisions and analyses and apply marketing concepts and techniques effectively. 2. Demonstrate knowledge of the concepts and methods of market segmentation, targeting and positioning. 3. Demonstrate understanding and application of the marketing mix. Assignment Objective The objective of the assignment is to demonstrate an in-depth understanding of the structural and procedural components of marketing decision making and how it is undertaken in a comprehensive manner. The assignment is to demonstrate an in-depth understanding of the structural components of strategic marketing analysis and how it is undertaken in a comprehensive manner. Assignment Tasks The assignment is divided into 4 specific tasks. The students should focus on the guidelines appropriate for the assignment along-with its deliverables and the marking rubrics to produce a well thought out report. Assignment Title: "Making Marketing Decision and Strategic Marketing Analysis"

Answers

By successfully completing this assignment, students will demonstrate their ability to apply marketing concepts and techniques effectively and show expertise in strategic marketing analysis and decision making.

The Module Learning Outcomes for the assignment "Making Marketing Decision and Strategic Marketing Analysis" are explained. These outcomes include demonstrating an understanding of the impact of the environment on marketing decisions and analyses, knowledge of market segmentation, targeting, and positioning concepts and methods, and understanding and application of the marketing mix. The objective of the assignment is to showcase a deep understanding of the structural and procedural components of marketing decision making in a comprehensive manner. The assignment is divided into four specific tasks, and students should focus on the guidelines and deliverables to produce a well thought out report.

To know more about marketing analysis visit:

brainly.com/question/30207905

#SPJ11

A manufacturing company, VMTC PLC, makes the product, blitz. Monthly sales for the first five months of 2022 have been estimated as: Month Units January 210 000 February 180 000 March 210 000 April 220 000 May 200 000 Additional Information: i. Actual units sold in 2021 November and December were 190 000 and 220 000, respectively. ii. One unit of blitz requires 2 kg of material at $3.50 per kg. iii. iv. One unit of blitz requires half an hour of direct labour at a rate of $12 per hour. Based on past experience, 60% of cash is received in the month of sale, 25% the following month, 10% two months after and 5% is usually irrecoverable. V. Selling price is $18 per unit. vi. The company intends to have finished stock at the end of each month equivalent to 15% of the following month's budgeted sales. The policy regarding stock of raw materials is to have 25% of the following month's production requirements. vii. Stocks at 2022 January 01 are estimated to be 22 000 units of finished goods and 104 000 kg of raw materials. Produce, for 2022 January, February and March: A. production budget in units. (3 marks) B. raw materials purchased budget. (7 marks) C. a direct labour budget. (3 marks) D. a cash collection schedule for sales. (7 marks) (Total 20 marks)

Answers

The Production budget in units for January, February, and March is 356 500, 315 000, and 346 500, respectively.

A. Production budget in units: To prepare the production budget in units for January, February and March, we should follow these steps:1. To begin, we'll create a sales budget by adding up the projected sales for January, February, and March.2. We will now add the desired ending finished goods inventory for each month to the budgeted sales to get the required production for each month.3. Finally, we'll subtract beginning finished goods inventory for each month from the required production for each month to get the necessary production for each month. Based on the above-mentioned assumptions, the calculation for the Production budget in units for January, February and March is as follows: B. Raw materials purchased budget: The production budget in units is necessary to determine the raw materials budget. One unit of Blitz necessitates 2 kg of material. The purchase of raw materials is based on the anticipated production requirements. The raw materials inventory is calculated based on the following month's requirements less the previous month's inventory balance. C. Direct labour budget: The direct labour budget includes both direct wages and salaries, as well as the related payroll taxes, based on the budgeted production. D. Cash collection schedule for sales: To create the cash collection schedule, we must follow these steps:1. Determine the month in which the sale was made.2. Multiply the anticipated cash collections for that month by the percentage of cash collections that are expected to be received.3. Prepare a table for each month displaying the total cash collections for that month and the cumulative cash collections for that month. The calculation for the Cash collection schedule for sales is as follows: Thus, the Production budget in units for January, February, and March is 356 500, 315 000, and 346 500, respectively. Based on the above-mentioned assumptions, the calculation for the Raw materials purchased budget for January, February, and March is as follows: Direct Labour budget for January, February and March is as follows: Cash collection schedule for sales for January, February and March is as follows:

To know more about budget visit:

https://brainly.com/question/31952035

#SPJ11

The production budget in units, raw materials purchased budget, direct labor budget, and cash collection schedule for sales for VMTC PLC for January, February, and March of 2022 can be calculated as follows: Production Budget in Units January February March Sales in units 210,000 180,000 210,000.

Add: Desired Ending Inventory (15% of following month's sales) 31,500 31,500 31,500 Total Needs 241,500 211,500 241,500. Less: Beginning Inventory (22,000) (26,775) (28,725) Production Needs 219,500 184,725 212,775 Raw Materials Purchased Budget January February March Production needs 219,500 184,725 212,775 Raw material required per unit 2 2 2 Total material needs 439,000 369,450 425,550 Add: Desired Ending Raw Materials Inventory (25% of following month's production needs) 46,188 46,188 53,194 Total Needs 485,188 415,638 478,744 Less: Beginning Raw Materials Inventory (104,000) (150,812) (156,000) Raw Materials Purchased 381,188 264,826 322,744 Direct Labor Budget January February March Production needs 219,500 184,725 212,775 Direct Labor per unit (1/2 hour at $12 per hour) 6 6 6 Total Direct Labor Hours 1,317,000 1,108,350 1,276,650 Direct Labor Cost per hour $12 $12 $12 Total Direct Labor Costs $15,804,000 $13,300,200 $15,319,800 Cash Collection Schedule for Sales January February March Total Sales $3,780,000 $3,240,000 $3,780,000 60% collected in month of sale $2,268,000 $1,944,000 $2,268,000 25% collected in month following sale $945,000 $810,000 $945,000 10% collected 2 months after sale $378,000 $324,000 $378,000 5% is irrecoverable $189,000 $162,000 $189,000.

A production budget in units, a raw material purchase budget, a direct labor budget, and a cash collection schedule for sales can be prepared using the information provided. Based on the calculations above, for January, February, and March of 2022, the production budget for units is 219,500, 184,725, and 212,775, respectively. The raw materials budget for January, February, and March of 2022 is $381,188, $264,826, and $322,744, respectively. The direct labor budget for January, February, and March of 2022 is $15,804,000, $13,300,200, and $15,319,800, respectively. Lastly, the cash collection schedule for sales in January, February, and March of 2022 is $2,268,000, $1,944,000, and $2,268,000, respectively.

To know more about production budget visit:

brainly.com/question/29839485

#SPJ11

John, your group's informal leader, doesn't trust Alicia, the group's communications manager, John feels Alicia tends to overemphasize her own beliefs in group documents, and Alcla belleves John is micromanaging the team. This is a classic case of interorganizational conflict Intergroup conflict Choose the best answers to the following questions Interpersonal conflict Lly and Jessica are both members of the account management group at Calabria. They disagree interorganizational conflict prongoing client communications. Which form of conflict is their team likely to experience as a result?

Answers

The team is likely to experience interpersonal conflict due to and Jessica's disagreement regarding ongoing client communications. What is interpersonal conflict? Interpersonal conflict is a type of conflict that arises between two or more individuals in an organization.

This form of conflict occurs when individuals are unable to agree on a specific issue. Conflicts between co-workers, managers, and subordinates, as well as conflicts between employees and clients, are all examples of interpersonal conflict.In the given scenario, Lly and Jessica are both members of the account management group at Calabria, and they disagree about ongoing client communications. Thus, the team is likely to experience interpersonal conflict as a result.

John, your group's informal leader, doesn't trust Alicia, the group's communications manager, John feels Alicia tends to overemphasize her own beliefs in group documents, and Alcla belleves John is micromanaging the team. This is a classic case of interorganizational conflict Intergroup conflict Choose the best answers to the following questions Interpersonal conflict and Jessica are both members of the account management group at Calabria.

To know more about interpersonal visit:

https://brainly.com/question/29723366

#SPJ11

what is the result of using defusion strategies for managing conflict

Answers

Defusion strategies can be effective in managing conflict by reducing tension, promoting understanding, and facilitating productive communication between parties.

The result of employing defusion strategies is often a more constructive and collaborative approach to conflict resolution. Here are some potential outcomes of using defusion strategies:

Reduced Emotional Reactivity: Defusion techniques aim to help individuals detach themselves from the intense emotions associated with conflict. By gaining distance from these emotions, people can think more clearly and rationally, allowing them to engage in more productive discussions rather than reacting impulsively.

Enhanced Communication: Defusion strategies often involve active listening, empathy, and respectful communication. These techniques help create an atmosphere of trust and understanding, enabling individuals to express their perspectives openly and honestly. By focusing on effective communication, parties can identify common ground and work towards mutually beneficial solutions.

Increased Problem-Solving: Defusion approaches encourage a shift from a confrontational mindset to a problem-solving orientation. Instead of viewing the conflict as a win-lose scenario, individuals can explore options and generate creative solutions that address the underlying issues. This collaborative problem-solving mindset often leads to more sustainable and satisfactory outcomes for all parties involved.

Strengthened Relationships: By utilizing defusion strategies, individuals can avoid damaging their relationships due to unresolved conflict. The emphasis on understanding and empathy helps build stronger connections between people, even in the face of disagreement. It fosters an environment where conflicts can be seen as opportunities for growth rather than threats to the relationship.

Improved Well-being: Conflict can be emotionally draining and negatively impact one's well-being. Defusion strategies aim to alleviate stress and promote psychological well-being by reducing the intensity and duration of conflict. By managing conflicts effectively, individuals may experience a sense of relief, increased self-confidence, and improved overall mental health. Defusion strategies can be effective in managing conflict by reducing tension, promoting understanding, and facilitating productive communication between parties.

It's important to note that the effectiveness of defusion strategies may vary depending on the specific situation, the individuals involved, and their willingness to engage in the process. Additionally, some conflicts may require additional intervention or alternative approaches beyond defusion techniques.

learn more about tension

https://brainly.com/question/31645156

#SPJ11

Swan plc. is considering two investment projects whose cash flows are shown below:
Points in time (yearly interval) 1 2 3 4
Project A (£) -£60,000 £30,000 £22,500 £21,000 £9,000
Project B (£) -£60,000 £7,500 £22,500 £27,500 £30,000
The company’s required rate of return is 15% and two projects are mututally exclusive.
(a) Use the sample payback method to advise the company which project should be taken (if any). Assuming the threshold figure is set to be 3 years.
(b) Use the net present value (NPV) approach to advise the company which project should be taken (if any).

Answers

Project A should be selected by the company as it has a higher NPV than Project B.

a)Use of the sample payback method to advise Swan plc which project to choose:

The payback period is the duration of the investment required to recover the cost of the project. The company's threshold figure is set at 3 years. The payback period for the two projects is calculated as follows:Project A (£)Year 1: -£60,000 + £30,000 = -£30,000Year 2: -£30,000 + £22,500 = -£7,500Year 3: -£7,500 + £21,000 = £13,500Payback period = 2 years + (£7,500 ÷ £21,000) = 2.36 yearsProject B (£)Year 1: -£60,000 + £7,500 = -£52,500Year 2: -£52,500 + £22,500 = -£30,000Year 3: -£30,000 + £27,500 = -£2,500Payback period = 2 years + (£2,500 ÷ £27,500) = 2.09 yearsWe can see from the above calculations that Project B should be selected by the company as it has a shorter payback period than Project A. Since the threshold is set at 3 years, the payback period for Project A is greater than the threshold and the company should not undertake this project. So, Project B should be undertaken.

b) Use the net present value (NPV) approach to advise the company which project should be taken (if any).

The NPV is the present value of the expected cash inflows minus the present value of the cash outflows. The company's required rate of return is 15 percent. The net present value of the two projects is calculated as follows:Project A (£)NPV = -£60,000 + (£30,000 ÷ 1.15) + (£22,500 ÷ (1.15)²) + (£21,000 ÷ (1.15)³) + (£9,000 ÷ (1.15)⁴)NPV = -£60,000 + £26,086 + £18,042 + £14,052 + £5,623NPV = £3,803Project B (£)NPV = -£60,000 + (£7,500 ÷ 1.15) + (£22,500 ÷ (1.15)²) + (£27,500 ÷ (1.15)³) + (£30,000 ÷ (1.15)⁴)NPV = -£60,000 + £6,522 + £18,042 + £19,600 + £19,867NPV = £3,031Since both the NPVs are positive, both projects are acceptable. The project with the higher NPV should be selected by the company. Therefore,

Project A should be selected by the company as it has a higher NPV than Project B.

to know more about project visit :

https://brainly.com/question/32530502

#SPJ11



How can financial ratios such as those covered in this chapter provide protection for creditors?

Maintaining the value of a collateral at a minimum level ensures that the lenders will be able to recover hundred percent of what is owed to them in the event of a default.

Maintaining a required cash flow coverage ratio ensures that the borrower will always have enough cash flow available in the foreseeable future to pay off its obligations as they come due.

High ratios such as current assets ensure that firms have enough liquid assets to pay off their immediate obligations and such assets can be sold at their market value quickly.

Financial ratios such as current ratio, times interest earned, and cash flow coverage act as early warning signs and when these ratio triggers are breached, they draw the lenders' attention who can step in early to take remedial action.

Answers

By monitoring and analyzing financial ratios, creditors can assess the creditworthiness of borrowers and take necessary steps to protect their interests.

These ratios provide valuable insights into a company's financial strength and stability, enabling creditors to make informed decisions regarding lending, monitoring, and potential interventions.

Financial ratios can provide protection for creditors in several ways:

Collateral Protection: Financial ratios, such as the loan-to-value ratio, help ensure that the value of collateral remains at an acceptable level. This protects creditors by providing them with a cushion in case of default. If the collateral's value is maintained, lenders have a higher likelihood of recovering the full amount owed to them.

Cash Flow Coverage: Ratios like the cash flow coverage ratio assess a borrower's ability to generate sufficient cash flow to meet its financial obligations. By maintaining a required cash flow coverage ratio, borrowers demonstrate their capacity to repay debts as they become due. This protects creditors by reducing the risk of default due to insufficient cash flow.

Liquidity: Ratios such as the current ratio and quick ratio measure a company's ability to meet its short-term obligations using its liquid assets. Higher ratios indicate that a firm has enough liquid assets to cover its immediate liabilities. This provides creditors with assurance that the company can fulfill its obligations and, if necessary, sell its assets quickly at market value to repay debts.

Early Warning Signs: Financial ratios act as early warning indicators of a company's financial health. For example, if ratios like the current ratio, times interest earned, or cash flow coverage are breached, it alerts lenders to potential financial difficulties. This allows creditors to intervene early and take appropriate remedial actions to mitigate the risk of default.

To know more about Financial ratios

https://brainly.com/question/21631170

#SPJ11

TJX Co. had the sales of $48,549 million and the costs of goods sold of $34,713 million in 2022. Its accounts receivables were $1,070 million and its inventory was $5,961 million in 2022. How many days on average did it take the company to collect its receivables in 2022? 62.68 days 8.04 days 5.82 days 45.37 days

Answers

To calculate the average number of days it took the company to collect its receivables in 2022, we can use the following formula:

Days Sales Outstanding (DSO) = (Accounts Receivable / (Net Sales / Number of Days))

Where:

Accounts Receivable is the accounts receivable balance

Net Sales is the sales figure

Number of Days is the time period for which we want to calculate DSO

Let's calculate the DSO using the provided data:

Accounts Receivable = $1,070 million

Net Sales = $48,549 million

Number of Days = 365 (assuming a full year)

DSO = (1,070 / (48,549 / 365))

= (1,070 / 133.04)

≈ 8.04 days

Therefore, it took TJX Co. approximately 8.04 days on average to collect its receivables in 2022. The correct answer is 8.04 days.

Learn more about revenue here:

brainly.com/question/13476001

#SPJ11

Administrative expenses include a payment of £165,000 for insurance, which covers the period 1 December 2019 to 30 November 2020.
As Midnight Ltd's year end is 31 March 2020, how much should administrative expenses be reduced by?

Answers

As Midnight Ltd's year-end is March 31, 2020, the company only uses four months of the insurance. The period between 1 December 2019 to 31 March 2020 is four months. To determine how much Midnight Ltd.'s administrative costs should be reduced by, we must first divide the annual cost by 12 and then multiply it by 4.

This would give us the cost of the insurance coverage for the four-month period. After that, we can deduct it from the total administrative expenses paid.Administrative costs are necessary expenses incurred by a firm in order to operate efficiently. This covers expenses such as rent, salaries, office supplies, and insurance coverage.

For Midnight Ltd, the administrative expenses should be reduced by £55,000 (1/3 of the annual cost of £165,000) for the four-month period from 1 December 2019 to 31 March 2020. Thus, administrative expenses should be reduced to £185,000 (i.e., £240,000 - £55,000).

To know more about Midnight Ltd's visit:-

https://brainly.com/question/32533520

#SPJ11

Wilmont-DroneTech Drone Delivery Project. You have been
identified as the Project Manager for Wilmont. For the
Wilmont-DroneTech project, you have been asked to come up with an
overview of the project

Answers


The Wilmont-DroneTech Drone Delivery Project aims to revolutionize the delivery industry by implementing drone technology. As the Project Manager, the key objectives include developing a robust drone delivery system, ensuring regulatory compliance, and achieving efficient and safe deliveries. The project will involve extensive research and development, collaboration with stakeholders, testing and implementation of the drone technology, and continuous monitoring and improvement.


The Wilmont-DroneTech Drone Delivery Project is a transformative initiative that seeks to leverage the potential of drone technology in the delivery sector. As the Project Manager, my role is to oversee the project's execution from start to finish. The primary objective is to develop a comprehensive drone delivery system that can efficiently transport packages from one location to another. This will involve extensive research and development efforts to design and build drones with the necessary capabilities, such as advanced navigation systems, payload capacity, and obstacle avoidance mechanisms.

Additionally, regulatory compliance is a critical aspect of the project. It is essential to ensure that the drone delivery operations adhere to local aviation and safety regulations. This involves obtaining the necessary permits and licenses, establishing protocols for flight operations, and implementing measures to guarantee public safety and privacy.

Collaboration with various stakeholders is another crucial component of the project. Engaging with government agencies, local communities, and potential business partners will help address concerns, gain support, and foster cooperation. Open communication channels and transparency will be maintained throughout the project to ensure a smooth and successful implementation.

Testing and implementation of the drone technology will be conducted in controlled environments initially, followed by real-world scenarios. This iterative process will allow for the identification of any technical issues, operational challenges, or safety concerns. Regular performance evaluations and feedback from users will help refine the drone delivery system and improve its efficiency and reliability.

Continuous monitoring and improvement will be an ongoing effort to ensure the project's success. Regular data analysis, performance metrics, and customer feedback will enable us to optimize the drone delivery system's operations and address any emerging issues promptly. This iterative approach will facilitate continuous learning, adaptation, and innovation.

Learn more about drone technology here : brainly.com/question/28545683

#SPJ11

1 Strongly Disagree 2 Disagree Neithes Agree nor Disagree 1 Communications should emphasize the inevitability of change and how best to cope with or survive it. 2 Managers don't have to do anything about resistance to change because in the long run it won't have any impact. a 3 Managers ability to control change is limited because other forces propel change regardless of managers actions 4 The aim of communication about change is to send clear, unambiguous messages, so organization members understand what is going to happen and what is required of them. 5 Articulating a vision is essential to successful change, top man- agement should do this early in the process. 6 Communication about change needs to foster supportive con ditions and to convey the need for members to be ready to engage in change as it unfolds, often in unpredictable ways Although managers can exert some control over how change unfolds, external factors also affect the process. 7 8 A search for the deepest values of the organization is required, to find a vision that resonates with the organization's members; a vision cannot be provided by a CEO Agree 1 O D D D a 2 D NO D a L U L Strongly Agree 3 4 5 0 Q D Dow n n L 0 L L L C L L a □ a a D D a D L n a L L 9 Organizational change is unpredictable, and resistance mayor may not affect the outcomes, but managers should respond to resistance anyway, as this could address the arguments 10 An appropriate vision for change is most faely to emerge through consultation with the organization's members. P 11 Probably the best way for managers to implement changes to shape stall abilities to succeed in the new conces D 12 Communicating about change involves attending to the varied interests of stakeholders and persuading them of the benefits of change or, if necessary, modifying changes to produce the best outcome in a given situation 13 P It is generally possible for managers to have significant control over how change happen in their organization 14 C Managers should help resoters develop the capacity to cope with particular organizational changes 15 9 Communication about change should ensure that organization members are on the same page" about the values inked to the change and the actions appropriate to those values. 16 A vision for organizational change emerges from the clash of chaotic and unpredictable change forces; a vision cannot be articulated early in a change process. 17 While managers cannot directly control how change happens in an organization, they can nurture staff capabilities, and encourage positive self-organizing Q 3 a a a 0 D 9 C L 14 4 C L C L a a P 9 C C D a D U Q a 0009 a L a 18 Managers should redirect change go around resistance, when that occurs, rather than try to overcome it. a U 19 D 0 To implement change successfully, managers must interpret the change for organizational members and help them to make sense of what is going on. P 20 Visions for organizational change are likely to have a limited impact unless they are consistent with events unfolding outside the organization; change comes less from a vision and more from the influence of external forces. D 21 Communication about change is best done with a persuasive account, to ensure that as many people as possible, inside and i outside the organization, share a common understanding. 0 22 Managers should deal with resistance to change by helping the organization's members understand the changes and what these imply for their own roles. Leaders can C apose a vision for change, as competing stake- holders have different views; effective change management involves navigating these tensions. O 24 Managers can and should overcome resistance to change. 0 O D 10 L D u U P D 9 00 U O 0 Q 9 U L U D D 0 SELF ASSESSMENT Sering Trander your ratings to this tab Add the ratings for each age, and calidate your a Director Coach 10 N 11 14 15 Intal +4-average Navigator . Caretaker 13 24 tok *** average 17 12 18 23 total average average Interpenter 19 21 22 sokah +4-average 9 Natu 16 17 total +4× average

Answers

The provided statements focus on various aspects of change management and communication within an organization. Overall, it emphasizes the importance of effective communication, the role of managers in navigating change, the unpredictability of change, the significance of vision, and the handling of resistance to change. The ratings given to each statement indicate a range of perspectives, from disagreement to agreement, highlighting the complexity and diverse viewpoints associated with managing organizational change.

The self-assessment ratings provided for each statement reflect the individual's perspective on various aspects of change management. The statements cover a wide range of topics, including the role of communication in change, the ability of managers to control change, the importance of vision, and the handling of resistance to change. The ratings indicate the individual's level of agreement or disagreement with each statement.

Based on the ratings, it is apparent that the individual holds diverse perspectives on different aspects of change management. Some statements indicate strong disagreement or disagreement, suggesting skepticism towards certain ideas or approaches. On the other hand, there are statements where the individual leans towards agreement or strong agreement, indicating a belief in the importance of effective communication, vision, and addressing resistance to change.

It is important to note that managing change in organizations is a complex process with no one-size-fits-all approach. Different situations may require different strategies, and the ratings provided reflect the individual's personal viewpoint. Overall, the self-assessment highlights the need for careful consideration and a comprehensive approach to change management, taking into account the varied interests and perspectives of stakeholders.

Learn more about stakeholders here:

https://brainly.com/question/32720283

#SPJ11

Question 1 Analyze the five (5) differences between human capital management (HCM) and human resource management (HRM) (10 marks)

Answers

Human Capital Management (HCM) and Human Resource Management (HRM) are two distinct approaches to managing the workforce within an organization. Here are five key differences between HCM and HRM:

Scope: HCM has a broader scope compared to HRM. It encompasses not only the traditional HR functions like recruitment, training, and compensation but also focuses on developing and maximizing the potential of employees as strategic assets. HCM takes a more holistic approach to managing human capital as a source of competitive advantage. On the other hand, HRM mainly focuses on administrative tasks and compliance with labor laws. Strategic Orientation: HCM is more strategic in nature. It aligns human capital management strategies with the overall business objectives of the organization. HCM emphasizes talent development, succession planning, and creating a culture of continuous learning. HRM, although it has some strategic elements, primarily focuses on day-to-day operational tasks such as payroll, employee relations, and compliance. Employee-Centric Approach: HCM places a greater emphasis on the individual employee as a valuable asset to the organization. It focuses on employee engagement, empowerment, and creating a positive work environment. HCM recognizes the importance of nurturing and developing employees' skills and capabilities. HRM, while also concerned with employee welfare, is more process-driven and focuses on managing employees within established policies and procedures. Technology and Analytics: HCM relies heavily on technology and data analytics to manage and optimize human capital. It uses tools and systems to track employee performance, identify skill gaps, and analyze workforce data for informed decision-making. HRM, while increasingly adopting technology, still relies on traditional methods for HR processes and may not have the same level of analytical capabilities as HCM. Long-Term Perspective: HCM takes a long-term perspective on human capital. It considers the impact of talent management and development on the organization's future success. HCM aims to build a sustainable talent pipeline and invests in employee growth and career advancement. HRM, although it may have some long-term planning elements, tends to focus more on immediate needs and day-to-day operations.

These differences highlight that HCM goes beyond the traditional HRM approach by strategically managing human capital to drive organizational success and foster employee growth and engagement.

learn more about Human Capital Management here:

https://brainly.com/question/30999743

#SPJ11

Explain briefly the traditional automation pyramid. Why has the classical so called "automation pyramid" have the shape of a pyramid and why could that pose a problem to the implementation of Cyber-Physical Production System (CPPS). What will be the main changes if the "Cloud" replaces the "pyramid" and what are the advantages and challenges? Add at least two examples of Cloud applications specifically for Industry 4.
What are the main advantages of applying advanced robotics in a manufacturing system in comparison to the classical industrial robot? Name some examples of applications and how these could support the main principles of a smart factory? Which use cases might be the first where these advanced robotic systems are applied?
Why is AR/VR a core feature of the smart factory and not only a nice gadget to motivate the operators? Which use cases might be the first where virtualisation technologies might be applied? What are the possible challenges of implementation? Add examples of AR/VR applications in at least two industry sectors.

Answers

The traditional automation pyramid represents the hierarchical structure of industrial automation systems, but it can pose challenges for the implementation of Cyber-Physical Production Systems (CPPS).

The traditional automation pyramid is a hierarchical model that represents the structure of a typical industrial automation system. It consists of several layers, with each layer performing specific functions and communicating with the layers above and below it.

The pyramid shape represents the decreasing number of devices and increasing complexity as we move up the layers. However, this pyramid structure can pose challenges for the implementation of Cyber-Physical Production Systems (CPPS), which aim to integrate physical and digital components more closely.

If the "Cloud" replaces the pyramid, the main changes would be the decentralization of control and data storage. In a cloud-based model, data and computing resources are hosted in remote servers, enabling real-time data access, analysis, and collaboration.

Two examples of cloud applications specifically for Industry 4.0 are:

Predictive maintenance: By leveraging cloud computing and data analytics, manufacturers can monitor equipment conditions in real-time, detect anomalies, and predict potential failures. This helps optimize maintenance schedules, reduce downtime, and increase overall equipment effectiveness.

Supply chain management: Cloud-based platforms can enable end-to-end visibility and collaboration across the supply chain. Manufacturers can have real-time access to inventory levels, demand forecasts, and production data, allowing for more efficient planning, inventory optimization, and agile response to market changes.

The main advantages of applying advanced robotics in a manufacturing system, compared to classical industrial robots, are increased flexibility, adaptability, and intelligence. Advanced robotic systems, such as collaborative robots (cobots) and autonomous mobile robots (AMRs), can work alongside human operators, easily reprogrammed for different tasks, and integrate with other smart factory components. They support the main principles of a smart factory, including:

Flexibility: Advanced robots can be quickly reconfigured and programmed for different tasks, allowing for agile production and customization.

Human-robot collaboration: Cobots can work safely alongside human operators, enhancing productivity and efficiency while ensuring worker safety.

Data integration: Advanced robots can generate and communicate data, contributing to real-time monitoring, optimization, and decision-making in the smart factory.

Some examples of applications for advanced robotic systems include autonomous material handling in warehouses, mobile robots for logistics and intralogistics, and collaborative assembly tasks in production lines. These robotic systems can be applied in use cases such as flexible production lines, dynamic material flow control, and efficient order fulfillment.

AR/VR (Augmented Reality/Virtual Reality) is a core feature of the smart factory because it enhances operator performance, improves training and maintenance, and enables remote assistance and collaboration. It goes beyond being just a gadget and becomes an integral part of the production process. Some use cases where virtualization technologies might be applied first include:

Operator training and guidance: AR/VR can provide immersive and interactive training environments, allowing operators to learn complex procedures and troubleshoot equipment virtually before executing tasks in the physical environment.

Remote maintenance and troubleshooting: Through AR/VR, experts can provide real-time guidance and support to on-site technicians, enabling remote diagnosis, virtual annotations, and step-by-step instructions for repairs and maintenance.

The challenges of implementing AR/VR in the smart factory include ensuring seamless integration with existing systems, addressing data security and privacy concerns, and providing user-friendly interfaces and intuitive interactions.

Examples of AR/VR applications in industry sectors are:

Automotive manufacturing: AR can be used to overlay virtual instructions and guidelines on car assembly processes, assisting operators in complex assembly tasks. VR can simulate ergonomic evaluations and assembly line layout planning.

Aerospace industry: AR/VR can support aircraft assembly and maintenance operations by providing real-time visualizations of wiring, component locations, and assembly instructions. It can also aid in training pilots and ground crew in simulated environments.

For more such questions on hierarchical model

https://brainly.com/question/31089376

#SPJ8

In its first year of operations, Donna Corp. earned $46,800 in service revenue. Of that amount, $8,400 was on account and the remainder, $38,400, was collected in cash from customers. The company incurred various expenses totalling $29,600, of which $26,100 was paid in cash. At year end, $3,500 was still owing on account. In addition, Donna prepaid $2,000 for insurance coverage that covered the last half of the first year and the first half of the second year. Donna expects to owe $3,000 of income tax when it files its corporate income tax return after year end. (a) Your answer is correct. Calculate the first year's net income under the accrual basis of accounting. Net income under accrual basis $ 13,200 (b) X Your answer is incorrect. Calculate the first year's net income under the cash basis of accounting. Net income under cash basis 6,800 A

Answers

The correct option is A. Net income under accrual basis  $13,200 and Net income under cash basis $6,800.

Cash Basis Accounting: The cash basis of accounting is a system of accounting where a company records financial transactions only when cash is received or disbursed. Companies that are not obligated to use the accrual accounting method, such as small, private companies, will benefit from using the cash basis of accounting. The cash basis is easier to manage and doesn't necessitate the establishment of a complex accounting system. Cash basis accounting has its own set of limitations, the most significant of which is that it cannot handle fluctuations in the account payable and account receivable accounts. Revenue is recorded when cash is received, and expenses are recorded when they are paid. Because the timing of cash inflows and outflows is not always compatible with the timing of revenue and expense recognition under the accrual method, some small firms prefer to use cash basis accounting. Accrual Basis Accounting: Accrual basis accounting is a system of accounting where transactions are recorded as they occur rather than when cash is received or disbursed.

In other words, transactions are recognised when they occur rather than when cash is exchanged under the accrual accounting method. Both income and expenses are recorded when they are incurred, regardless of when cash is received or disbursed. Accrual basis accounting is the most widely used accounting method among firms. Even though it's more complicated than the cash basis of accounting, it provides a more accurate picture of a company's long-term financial health and profitability.  Calculating the first year's net income under accrual and cash basis of accounting:The calculation of the first year's net income under the accrual and cash basis of accounting can be done as follows:Given,In its first year of operations, Donna Corp. earned $46,800 in service revenue. Of that amount, $8,400 was on account and the remainder, $38,400, was collected in cash from customers. The company incurred various expenses totaling $29,600, of which $26,100 was paid in cash. At year-end, $3,500 was still owing on account. In addition, Donna prepaid $2,000 for insurance coverage that covered the last half of the first year and the first half of the second year. Donna expects to owe $3,000 of income tax when it files its corporate income tax return after year end.(a) Calculation of the first year's net income under the accrual basis of accounting: As per the accrual basis of accounting, revenue is recorded when earned, irrespective of whether it is received or not, and expenses are recorded when incurred, irrespective of whether they are paid or not. Earnings = $46,800Expenses = $29,600Net Income = Earnings - Expenses Net Income = $46,800 - $29,600Net Income = $17,200 Therefore, the first year's net income under the accrual basis of accounting is $17,200.(b) Calculation of the first year's net income under the cash basis of accounting: As per the cash basis of accounting, revenue is recognised when cash is received, and expenses are recognised when cash is disbursed. Earnings = $38,400Expenses = $26,100Net Income = Earnings - Expenses Net Income = $38,400 - $26,100Net Income = $12,300 The first year's net income under the cash basis of accounting is $12,300.Therefore, the correct option is A. Net income under accrual basis  $13,200 and Net income under cash basis $6,800.

To know more about Income  visit :

https://brainly.com/question/14732695

#SPJ11

Chain of command as an element of organizational structure has outlived its relevance and therefore must be de-emphasized in contemporary organizations' structural designs. Advance three (3) arguments each, for and against this assertion.

Answers

The chain of command helps to maintain order and discipline in an organization. Employees understand that there are rules and procedures to follow, and that there are consequences for not following them. This can help to create a more productive and efficient workplace.3. Ensures that decisions are made by those with the most expertise: In the chain of command, decisions are often made by those with the most expertise. This can help to ensure that decisions are made by people who have a good understanding of the situation and can make informed decisions based on their expertise. This can result in better decisions being made for the organization.

Chain of command as an element of organizational structure has outlived its relevance and therefore must be de-emphasized in contemporary organizations' structural designs. Following are the three (3) arguments each, for and against this assertion:Arguments for Chain of command de-emphasizing:1. Can lead to communication delays and inefficiencies:In the chain of command, communication only flows vertically, which can lead to delays in communication and create inefficiencies. This can result in slower decision-making, which can hamper the success of an organization.2. Limits creativity and innovation: The chain of command can be seen as limiting creativity and innovation, as it often stifles new ideas. When the flow of communication is only vertical, there is no room for horizontal or diagonal communication that could lead to new and innovative ideas.3. Does not allow for adaptability: In today's fast-paced world, organizations need to be adaptable and change quickly. The chain of command is often too rigid and does not allow for flexibility. This can be a disadvantage to organizations that need to quickly adapt to changing market conditions and customer needs.Arguments against Chain of command de-emphasizing:1. Provides clear lines of authority and responsibility: The chain of command provides clear lines of authority and responsibility. This can help employees understand their roles and responsibilities and ensure that everyone is working towards the same goals.2. Helps maintain order and discipline:

To know more about consequences visit:

https://brainly.com/question/31038319

#SPJ11

Please answer the question do not different answers
posting it for 2nd time
2. What is menu pricing? Provide a simple example in which menu pricing increases profits compared to separate selling for a monopolist and explain in detail why it is possible to generate larger prof

Answers

Menu pricing refers to a pricing strategy where a business offers a fixed-price menu that includes a combination of products or services at a set price.

It is commonly used in the hospitality industry, such as restaurants or hotels, where customers can choose from a selection of items at a predetermined price point.

For example, let's consider a restaurant that offers individual pricing for each dish on the menu. If a customer orders an appetizer, main course, and dessert separately, the total cost might be $30. However, if the restaurant offers a fixed-price menu that includes an appetizer, main course, and dessert for $25, it becomes menu pricing.

Menu pricing can increase profits for a monopolist by leveraging the concept of price discrimination. Price discrimination involves charging different prices to different customers based on their willingness to pay. By offering a bundled menu at a lower price than the combined individual prices, the monopolist can attract a wider range of customers.

In the given example, menu pricing can generate larger profits because it captures a segment of customers who might not have purchased all three items separately due to budget constraints or value perception. By offering the bundled menu at a slightly lower price, the restaurant entices these customers to choose the menu option, resulting in increased sales volume and potentially higher overall profits.

Additionally, menu pricing allows the monopolist to optimize their product mix and control costs. By predefining the menu items, the restaurant can streamline its operations, manage inventory more efficiently, and reduce waste. This helps to improve cost management and increase profitability.

In summary, menu pricing is a strategy that offers bundled products or services at a set price. By attracting customers who might not have purchased all items individually, a monopolist can increase sales volume and generate larger profits. Furthermore, menu pricing enables better cost management and operational efficiency, contributing to improved profitability.

Learn more about strategy here

https://brainly.com/question/28561700

#SPJ11

A company has the following capital structure: Ordinary share capital 200,000 shares of 25n Share premium account 75,000 It makes a 1 for 5 rights issue at K1.25. What is the balance on the share premium account following the rights issue? 2marks) (b) At 31 December 2011 the capital structure of a company was as follows: K Ordinary share capital 100,000 shares of 50n each Share premium account 50,000 180,000 During 2012 the company made a bonus issue of 1 share for every 2 held, using the share premium account for the purpose, and later issued for cash another 60,000 shares at 80n per share. What is the company's capital structure at 31 December 2012?

Answers

The balance on the share premium account following the rights issue will be K75,000 + K49,000 = K124,000.

The first step is to calculate the total proceeds from the rights issue.

The company is issuing 1 new share for every 5 existing shares, and the issue price is K1.25 per share.

So, the number of new shares issued will be:

200,000 shares / 5 = 40,000 shares

And the total proceeds from the issue will be:

40,000 shares x K1.25 per share = K50,000

This K50,000 will be split between share capital and share premium account in proportion to their current balances.

The share capital will increase by:

40,000 shares x 25n par value per share = K1,000

And the share premium account will increase by:

K50,000 - K1,000 = K49,000

Know more about share premium here:

https://brainly.com/question/31106614

#SPJ11

what is the importance of 1- Accounting accrual basis in the
government and private sector?

Answers

The accrual basis of accounting is important in both the government and private sector for several reasons:

Accurate Financial Reporting: The accrual basis provides a more accurate representation of an entity's financial position, performance, and cash flows. It recognizes revenues when earned and expenses when incurred, regardless of the timing of cash receipts or payments. This ensures that financial statements reflect the economic reality of transactions and provide reliable information for decision-making.

Matching of Revenues and Expenses: The accrual basis allows for the matching of revenues and expenses in the period in which they are related, providing a more meaningful picture of profitability. This is crucial for assessing the financial health and performance of an organization over time.

Long-Term Financial Planning: Accrual accounting enables organizations to project future revenues and expenses based on contractual obligations, commitments, and expected inflows and outflows. This aids in long-term financial planning, budgeting, and resource allocation decisions.

Know more about accrual basis of accounting here:

https://brainly.com/question/30764846

#SPJ11

Question 1: (Total = 10) A time study was conducted at the hamess installation station for the Hyundai assembly line. The time study has highlighted some concerns. You are not confident that this time study is representative enough and would like to analyze the data below. 1.1 Calculate the number of additional time studies required, using the formula provided, to establish a standard time for the current way of working. n = (40/n'sx² - (5x)²) ² 2 ΣΧ Results Cycle Time Calculation 2.05 1 2 4.35 3 3.69 4 2.78 5 4.15 6 1.85 7 2.24 8 3.36 9 2.12 10 3.11 1.2 What would you recommend in order to reduce the current number of additional time studies required? (2) 1.3 Based on your recommendations, explain how this will address muda, muri & mura in an effort to build a robust process (4)

Answers

Calculate the number of additional time studies required using the formula provided, to establish a standard time for the current way of working. n = (40/n'sx² - (5x)²) ² / 2 ΣΧ (10)Cycle Time Calculation: 2.05, 1, 2, 4.35, 3, 3.69, 4, 2.78, 5, 4.15, 6, 1.85, 7, 2.24, 8, 3.36, 9, 2.12, 10, 3.11Based on the formula above, the following will be calculated:ΣΧ = 1 + 2 + 3 + 4 + 5 + 6 + 7 + 8 + 9 + 10 = 55n's = 10(10-1)/2 = 45s² = [(2.05 - 3.013)² + (1 - 3.013)² + (2 - 3.013)² + (4.35 - 3.013)² + (3 - 3.013)² + (3.69 - 3.013)² + (4 - 3.013)² + (2.78 - 3.013)² + (5 - 3.013)² + (4.15 - 3.013)² + (6 - 3.013)² + (1.85 - 3.013)² + (2.24 - 3.013)² + (3.36 - 3.013)² + (2.12 - 3.013)² + (3.11 - 3.013)²] / (16-1) = 1.215

Therefore,n = (40 / 45 x 1.215)² / 2 x 55 ≈ 1.46Based on the calculation, there is a need for two additional time studies, rounding up to 2.1.2. What would you recommend in order to reduce the current number of additional time studies required?In order to reduce the number of additional time studies required, you can recommend conducting a process analysis and redesign or improvement of the current process. This is important to identify non-value-added activities, identify the root causes of the problem and eliminate or minimize the occurrence of muda, muri and mura. The analysis and redesign of the process can also help in optimizing the process performance, simplifying the process, reducing lead time, enhancing process flow, eliminating process variations, improving quality, and customer satisfaction.1.3. Based on your recommendations, explain how this will address muda, muri & mura in an effort to build a robust process.A robust process is one that is effective, efficient, and resilient to changes, uncertainties, and risks. Muda, muri, and mura are some of the wastes that are inherent in a process that does not add value to the customer.

The analysis and redesign of the process can help to address these wastes by identifying their root causes and eliminating or minimizing their occurrence. This can be achieved through various lean techniques, such as value stream mapping, process flow analysis, process simplification, quality improvement, waste elimination, and standardization. By reducing muda, muri, and mura, the process can be made more robust, efficient, and effective, leading to improved performance, reduced lead time, and enhanced customer satisfaction.

To know more about Assembly line visit-

https://brainly.com/question/26948522

#SPJ11

when+the+switch+in+the+figure+is+closed,+the+current+takes+3.00+ms+to+reach+98.0%+of+its+final+value.+if+r+=+11.00+,+what+is+the+inductance?

Answers

The growth rate of current in an inductor is dependent on the time constant L/R. The time required for the current in an inductor to reach 98 percent of its maximum value after the closing of a switch is given by the equation $$I = I_{\max}(1 - e^{-\frac{t}{L/R}})$$We can use the given equation to find the value of inductance, given that the value of resistance is 11.00Ω.

It can be rewritten as:$$\frac{I}{I_{\max}} = 1 - e^{-\frac{t}{L/R}}$$$$\frac{I_{\max}-I}{I_{\max}} = e^{-\frac{t}{L/R}}$$Taking the natural logarithm of both sides of the equation will give us:$$\ln(\frac{I_{\max}-I}{I_{\max}}) = -\frac{t}{L/R}$$Simplifying the equation gives us:$$L = -\frac{Rt\ln(\frac{I_{\max}-I}{I_{\max}})}{1000}$$Where I am the current that is 98% of its final value.

We can now substitute the given values into the equation above. Given that the time constant t is 3.00 ms and the resistance R is 11.00Ω, we can write:$$L = -\frac{11.00\text{ }\Omega\times3.00\text{ ms}\times\ln(\frac{0.98I_{\max}}{I_{\max}})}{1000}$$Simplifying the equation gives us:$$L = -\frac{0.033\text{ }\text{H}}{\ln(0.98)}$$$$\boxed{L = 31.25\text{ }\text{mH}}$$Therefore, the inductance is 31.25 mH.

To know more about Growth Rate visit:

https://brainly.com/question/32256513

#SPJ11

Which of these is an example of a macroeconomic topic?
Please choose the correct answer from the following choices
Answer choices
labor markets
individual decision-making
unemployment
local environmental policy

Answers

Unemployment is an example of a macroeconomic topic.

Supporting Answer: Macroeconomics focuses on the study of the overall economy, including broad economic aggregates and phenomena that affect the entire economy. Unemployment, as a macroeconomic topic, examines the level of joblessness in the economy as a whole, rather than focusing on individual employment decisions. It investigates factors such as labor force participation, unemployment rates, and the impact of unemployment on economic indicators like aggregate demand, inflation, and economic growth. Understanding and addressing unemployment requires analyzing trends and policies at the national or regional level, making it a macroeconomic concern.

Learn more about macroeconomic visit:

brainly.com/question/28489802

#SPJ11

What is the current labor force participation rate? Describe the
trend in the labor force participation rate over the past thirty
years? What does the trend in the labor force participation rate
tell

Answers

The current labor force participation rate can vary and is subject to change. It is recommended to refer to reliable sources such as government statistics or economic research institutions for the most up-to-date information on the labor force participation rate.

However, I can provide information on the general trend in the labor force participation rate over the past thirty years. Please note that the following description is based on historical trends up until my last knowledge update in September 2021.

Over the past thirty years, the labor force participation rate in many developed countries, including the United States, has displayed a notable trend. In the United States, for example, the labor force participation rate had been steadily increasing since the 1960s, driven by factors such as increasing female participation in the workforce. However, in recent years, there has been a decline in the labor force participation rate.

One significant factor contributing to this trend is the aging population. As the baby boomer generation reaches retirement age, a larger proportion of the population is transitioning out of the labor force. Additionally, other factors such as changes in education enrollment patterns, long-term unemployment, and discouragement from seeking employment due to economic conditions can also impact the labor force participation rate.

The trend in the labor force participation rate provides insights into the dynamics of the labor market and broader economic conditions. A declining labor force participation rate can indicate challenges in the economy, such as limited job opportunities or barriers to entry for certain groups. It can also reflect demographic shifts and changes in societal dynamics. Policy and economic decisions are often influenced by the understanding of labor force participation trends to address issues related to employment, workforce development, and economic growth.

Learn more about labor force here

https://brainly.com/question/4664113

#SPJ11

Assuming the Exam scores of a given population are normally distributed with a mean (je) = 500 and a standard deviation (0) = 100. What is the 85th percentile (upper 15%) of the Exam scores? 5014 6014

Answers

To find the 85th percentile of the exam scores, you can use a standard normal distribution table or a statistical calculator. Since the exam scores are normally distributed with a mean of 500 and a standard deviation of 100, you can convert the score to a z-score and then find the corresponding z-value for the 85th percentile

The z-score can be calculated using the formula:

z = (x - μ) / σ

where x is the desired percentile score, μ is the mean, and σ is the standard deviation.

For the 85th percentile, we need to find the z-value that corresponds to an area of 0.85 to the left of it. This means we are looking for the z-value such that P(Z ≤ z) = 0.85.

Using a standard normal distribution table or a calculator, you can find that the z-value corresponding to the 85th percentile is approximately 1.036.

Now, you can use the z-score formula to find the corresponding exam score:

z = (x - μ) / σ

1.036 = (x - 500) / 100

Solving for x, we have:

x - 500 = 1.036 * 100

x - 500 = 103.6

x = 500 + 103.6

x ≈ 603.6

Therefore, the 85th percentile (upper 15%) of the exam scores is approximately 603.6.

To know more about standard deviation:

brainly.com/question/23907081

#SPJ11

The Speedjet Aircraft Corporation has a central materials laboratory. The laboratory has only two users, the Large Plane Department and the Small Plane Department. The following data apply to the coming budget year:
Budgeted costs of operating the materials laboratory for 100,000 to 200,000 technician hours per year:
Fixed costs per year $8,200,000
Variable costs $74 per technician hour
Budgeted long-run usage in hours per year:
Large Plane Department 90,000 technician hours
Small Plane Department 110,000 technician hours
Budgeted amounts are used to calculate the allocation rates.
Actual usage for the year by the Large Plane Department was 70,000 technician hours and by the Small Plane Department was 80,000 technician hours. If a dual-rate cost-allocation method is used, what amount of materials laboratory costs will be budgeted for the Small Plane Department?
a. $14,153,333
b. $9,200,000
c. $12,650,000
d. $10,293,333

Answers

The amount of materials laboratory costs budgeted for the Small Plane Department, using a dual-rate cost-allocation method, will be $12,650,000.

In a dual-rate cost-allocation method, fixed costs are allocated based on the budgeted usage, while variable costs are allocated based on the actual usage. The fixed costs for the materials laboratory are $8,200,000 per year. The variable costs are calculated by multiplying the variable cost rate by the actual usage for each department. The total allocated costs for the Small Plane Department will be the sum of fixed costs and variable costs: Total allocated costs = Fixed costs + Variable costs = $8,200,000 + $5,920,000 = $12,120,000 Therefore, the budgeted amount of materials laboratory costs for the Small Plane Department is $12,650,000 (rounded to the nearest thousand).

learn more about:- Small Plane Department here

https://brainly.com/question/32017696

#SPJ11

Using ABC analysis, which of these should be classified as A item/s based "Annual Usage Cost"? Unit Cost (S) Item A-101 Annual Usage (pcs) Remarks 100,000 A-106 50,000 Only 1 source (in Tibet) A-112 200 A-115 10,000 Will be replaced with new part in 2 months A-119 500 A-122 1,000 A-125 60,000 A-130 1,000 1.50 200.00 100.00 2.00 8.00 19.00 3.00 10.00 Let's say you are playing the stock market and below period 2020 data was provided. For "stock A" you use a 2 month moving average. For "stock B" you use exponential smoothing with (a = 0.3). What is the Forecast in Stock B for January 2021? Stock A Stock B Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 0.11 0.20 0.03 1.20 0.50 0.03 0.10 0.11 0.56 0.78 0.44 0.10 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 14 8 6 9 12 16 14 8 6 4 4 Let's say you are playing the stock market and below period 2020 data was provided. For "stock A" you use a 2 month moving average. For "stock B" you use exponential smoothing with (a = 0.3). What is the Forecast in Stock A for January 2021? Stock B Stock A Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 0.11 0.20 0.03 1.20 0.50 0.03 0.10 0.11 0.56 0.78 0.44 0.10 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 14 8 6 9 12 16 14 8 6 4 14

Answers

The forecast formula for exponential smoothing with a smoothing factor of 0.3 is:F(1) = αA(1) + (1-α) F(0) = 0.3 (14) + 0.7 (4) = 6.20F(2) = αA(2) + (1-α) F(1) = 0.3 (8) + 0.7 (6.20) = 6.14F(3) = αA(3) + (1-α) F(2) = 0.3 (6) + 0.7 (6.14) = 6.20F(4) = αA(4) + (1-α) F(3) = 0.3 (9) + 0.7 (6.20) = 6.46F(5) = αA(5) + (1-α) F(4) = 0.3 (12) + 0.7 (6.46) = 8.14F(6) = αA(6) + (1-α) F(5) = 0.3 (16) + 0.7 (8.14) = 11.00F(7) = αA(7) + (1-α) F(6) = 0.3 (14) + 0.7 (11.00) = 12.91F(8) = αA(8) + (1-α) F(7) = 0.3 (8) + 0.7 (12.91) = 11.54F(9) = αA(9) + (1-α) F(8) = 0.3 (6) + 0.7 (11.54) = 9.68F(10) = αA(10) + (1-α) F(9) = 0.3 (4) + 0.7 (9.68) = 7.48F(11) = αA(11) + (1-α) F(10) = 0.3 (4) + 0.7 (7.48) = 5.94F(12) = αA(12) + (1-α) F(11) = 0.3 (14) + 0.7 (5.94) = 9.06Therefore, the forecast for Stock B for January 2021 is 9.06.

ABC analysis refers to a technique for dividing inventory into three categories based on the level of importance. The categories include A, B, and C. Items classified as A items are typically the most critical, while those classified as C items are typically the least critical. Based on the Annual Usage Cost, item A-101 should be classified as an A item.The Annual Usage Cost is the product of the Unit Cost (S) and the Annual Usage. As a result, we can calculate the Annual Usage Cost for each item in the inventory as follows:A-101: Annual Usage Cost = 100,000 x 1.50 = 150,000A-106: Annual Usage Cost = 50,000 x 200.00 = 10,000,000A-112: Annual Usage Cost = 200 x 100.00 = 20,000A-115: Annual Usage Cost = 10,000 x 8.00 = 80,000A-119: Annual Usage Cost = 500 x 19.00 = 9,500A-122: Annual Usage Cost = 1,000 x 3.00 = 3,000A-125: Annual Usage Cost = 60,000 x 10.00 = 600,000A-130: Annual Usage Cost = 1,000 x 2.00 = 2,000. Based on the Annual Usage Cost, item A-101 has the lowest cost, indicating that it should be classified as an A item.Moving average and exponential smoothing are two of the most often employed methods for analyzing inventory data and making predictions. The following information pertains to these techniques:Moving average: The moving average is a technique for smoothing out data points over time. This is accomplished by averaging several periods' worth of data to create a single value for each period. A two-month moving average implies that each forecast is the average of the two most recent observations.Exponential smoothing: The exponential smoothing technique gives more weight to recent data points and less weight to older data points. The smoothing factor, denoted by "α," determines the weight assigned to each observation. A smoothing factor of 0.3 means that 30% of the current period's actual value and 70% of the prior period's forecast value are used to make the current forecast.Forecast in Stock A for January 2021 is 0.4. The moving average formula for a two-month period is:Forecast for January 2021 = (November 2020 + December 2020)/2 = (0.78 + 0.44)/2 = 0.61

To know more about smoothing factor visit:

https://brainly.com/question/30903943

#SPJ11

Describe the covenants of bonds. How do they affect default
probability?
Analyze how, after you define them, debt ratings relate to
yields and maturities.

Answers

Covenants of bonds influence default probability by establishing contractual agreements between issuers and bondholders to mitigate risks and protect bondholders' interests.

Covenants of bonds are contractual provisions that outline the terms and conditions between bond issuers and bondholders. They have a significant impact on default probability by imposing restrictions and obligations on the issuer. Negative covenants restrict the issuer from taking certain actions that may increase the likelihood of default, such as incurring excessive debt or selling key assets. By doing so, these covenants help safeguard the interests of bondholders and reduce default risk. Affirmative covenants, on the other hand, require the issuer to fulfill specific obligations, such as providing regular financial statements. This transparency and accountability further enhance bondholders' confidence and reduce the probability of default.

Learn more about Covenants of bonds here:

https://brainly.com/question/14987697

#SPJ11

Which of the following factors would decrease the demand for investment funds by businesses? A decrease in business taxes An increase in the cost of acquiring capital goods An increase in the rate of technological change A decrease in the stock of capital goods on hand

Answers

A decrease in business taxes, an increase in the rate of technological change, and a decrease in the stock of capital goods on hand are factors that would increase the demand for investment funds by businesses.

Therefore, the increase in the cost of acquiring capital goods is the factor that would decrease the demand for investment funds by businesses.

The cost of acquiring capital goods refers to the amount of money that businesses have to pay to purchase, upgrade, or repair capital goods such as machinery, equipment, and facilities that are used to produce goods and services.

Capital goods are also called fixed assets because they are not consumed during production and have a useful life of more than one year.

A decrease in business taxes, an increase in the rate of technological change, and a decrease in the stock of capital goods on hand would increase the demand for investment funds by businesses.

When business taxes decrease, businesses have more after-tax income to spend on investments. When the rate of technological change increases, businesses need to invest in new technologies to remain competitive.

When the stock of capital goods on hand decreases, businesses need to replace or expand their existing capital stock to maintain or increase their production capacity.

Therefore, a decrease in business taxes, an increase in the rate of technological change, and a decrease in the stock of capital goods on hand are factors that would increase the demand for investment funds by businesses.

Know more about business taxes here:

https://brainly.com/question/27366426

#SPJ11

Other Questions
canyou please solve number 19 and explain how you got each answer18. Find the average rate of change of f(x) = x + 3x + | from 1 to x. Use this result to find the slope of the seca line containing (1, f(1)) and (2, f(2)). 19. In parts (a) to (f) use the following Pls help me on my history homework For the following 3 questions, consider the memory storage of a 32-bit word stored at memory word 42 in a byte-addressable memory. Question 2 10 pts What is the byte address of memory word 42? (i.e., the address of the first byte of the 32-bit address storing the 32-bit memory word 42) Please, enter the byte address using 8 bits Question 3 10 pts What is the forth byte address that memory word 42 spans? Question 4 10 pts If the data stored at word 42 is OxFF223344, what data is included in the first byte of its memory address considering Big-Endian? explain how an exposure to the commodity asset class affects therisk-return profile of an investor that hold a broadly diversifiedportfolio of financial assets A function from (1,2,3) to (x,y,z,w) is shown below. Chose the statement that correctly describes the functionA. The function is one to one, but is not ontoB. The function is onto, but is not one to oneC. The function is both one to one and ontoD. The function is neither one to one nor onto Q5. Consider the one-dimensional wave equationult = a2uzzwhere u denotes the position of a vibrating string at the point at time t> 0. Assuming that the string lies between z = 10 and r= we pose the boundary conditionsu(0,t) = 0, u(L,t) = 0,=L,that is the string is "fixed" at x= O and "free" at z L. We also assume that the string is set in motion with no initial velocity from the initial position, that is we pose the initial conditionsu(x, 0) = f(x), u(x, 0) = 0.Find u(x, t) that satisfies this initial-boundary value problem.[30 marks] analyzing the income statement, what amount of money is left over at the end of the year from the business once everything is accounted for? $29,707.50 $34,950.00 $92,200 Question 16 0 out of 0. Folkways manufacturers dolls with traditional dress from different areas of the Middle East. Since the company was founded 5 years ago, it has sourced the dolls' clothing from .The average price of a ticket to a baseball game can be approximated by p(x) = 0.03x +0.42x+5.78, where x is the number of years after 1991 and p(x) is in dollars. a) Find p(5). b) Find p(15). c) Find p(15)-p(5). d) Find p(15)-p(5) 15-5 and interpret this result. Change each equation to its equivalent logarithmic form. (a) 75z = 5 (b) e = 5 (c) b = d (a) Find the equivalent equation for 75 = 5. O A. ____ = ____ log O B. _____ = In (___) what process (convection, conduction, radiation) is driving the heat transfer in question Solve the equation below for x by graphing 3x =8_2x find a system of linear equations with three unknowns whose solutions are the points on the line through (1, 1, 1) and (3, 5, 0). Which set of ordered pairs represents a function?{(-2, 0), (-5, -5), (-1, 3), (2, 0) }{(2,0),(5,5),(1,3),(2,0)}{(-3, 9), (3, -9), (-3, -5), (-5, 0)}{(3,9),(3,9),(3,5),(5,0)}{(4, -6), (1, -3), (1, 1), (-2, 9)}{(4,6),(1,3),(1,1),(2,9)}{(-3, -2), (3, -9), (-7, -6), (-3, -3)}{(3,2),(3,9),(7,6),(3,3)} Do the columns of A span R^4? Does the equation Ax=b have a solution for each b in R^4? A = [1 4 18 - 4 0 1 5 - 2 3 2 4 8 -2-9-41 14]Do the columns of A span R^4? Select the correct choice below and fill in the answer box to complete your choice. (Type an integer or decimal for each matrix element.) O A. No, because the reduced echelon form of A is O B. Yes, because the reduced echelon form of A is Does the equation Ax=b have a solution for each b in R^4? O A. No, because the columns of A do not span R^4. O B. No, because A has a pivot position in every row. O C. Yes, because A does not have a pivot position in every row. O D. Yes, because the columns of A span R^4. explain in terms of the charge, electric field, and potential difference how the capacitance of a parallel plate capacitor depends on the area and separation ofthe plates in the equation c - ea/d Angelo wins a lottery of $5 million. She wants to convert this lump-sum windfall into an annuity to live a comfortable life without having to work. An investment banker advises her to invest in a multi-cap international equity fund, which has conventionally returned 6 per cent annually and is expected to deliver similar returns in the future. 1) Suppose today Angelo turns 40 years old and expect to live until 87 years. She also does not intend to leave any money for her heirs, and thus the FV=0 What monthly payments can she expect her windfall from the lottery to deliver if she chooses to invest in the equity fund suggested by her bankers? [4 Marks] ii) If Angelo wants an annuity of $30,000 a month, what return must she expect her investments to generate annually so that she can live comfortably until the age of 95? an emf is induced in response to a change in magnetic field inside a loop of wire. which of the following changes would increase the magnitude of the induced emf? What is the arithmetic mean of the following numbers? 4 , 9 , 6 , 3 , 4 , 2 4,9,6,3,4,2 Assume that n is a positive integer. Compute the actual number of ele- mentary operations additions, subtractions, multiplications, divisions, and comparisons) that are performed when the algorithm segment is executed. I suggest you really think about how many times the inner loop is done and how many operations are done within it) for the first couple of values of i and then for the last value of n so that you can see a pattern. for i:=1 ton-1 forjaton If a[/] > a[i] then do temp = alil ali] = a[1