Outbound logistics follows root sheet which is a production document. True False Geographically dispersed resources are treated as centralized in one time business process engineering. True False Restore or replace based on measured condition compared to the defined standard is a risk-based preventive measurement. True False

Answers

Answer 1

This statement is true. Outbound logistics follows root sheet which is a production document.

True False: True Geographically dispersed resources are treated as centralized in one-time business process engineering. True False: False Restore or replace based on measured condition compared to the defined standard is a risk-based preventive measurement. True False: True Explanation: Outbound logistics is responsible for moving finished products from the company's manufacturing plant to customers or intermediaries. This statement is true.

Geographically dispersed resources are treated as centralized in one-time business process engineering. This statement is false. Business process engineering is the process of designing, analyzing, and optimizing business processes to achieve specific business objectives. It is not centralized, and it does not have to be completed in one-time, and geographically dispersed resources can be involved in it.

Restore or replace based on measured condition compared to the defined standard is a risk-based preventive measurement. This statement is true. Risk-based preventive maintenance is a maintenance strategy that assesses risks and prioritizes maintenance tasks based on the level of risk associated with equipment failure. In this approach, equipment is either restored or replaced based on measured conditions compared to the defined standard.

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Related Questions

It is the year 2010. ABC Pty Ltd is now in liquidation by creditors’ compulsory winding up. The application was submitted to the court in August 2010. The liquidator has discovered the following transactions were made by Rob between 2008 and 2009:
January 2008 – the company sold its 2005 Mercedes to director A’s wife for 20,000AUD.
September 2009 – the company borrowed money from one of A’s cousins with an interest rate of 30 percent per annum.
REQUIRED: Discuss if the liquidator can void any of these transactions.

Answers

ABC Pty Ltd was subjected to compulsory winding up by creditors in the year 2010. A liquidator has been appointed to manage the winding up procedure. In the course of winding up the business, the liquidator discovered that there were some transactions that Rob had made between 2008 and 2009.

They are:January 2008 - ABC Pty Ltd sold its 2005 Mercedes for $20,000 to the wife of one of its directorsSeptember 2009 - ABC Pty Ltd borrowed $5,000 at an interest rate of 30% per annum from one of the director's cousins.QUESTIONCan the liquidator void these transactions?ANSWERYes, the liquidator can void both transactions because they were made to related parties.The transaction between ABC Pty Ltd and director A's wife was not made at arm's length.

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For example, you are interested in Break-even use your
imagination to assume all accounting information to set up a coffee
shop then calculate the break-even point
Term paper

Answers

To calculate the break-even point of a coffee shop, the following accounting information is necessary: fixed and variable costs, selling price, and the number of units that will be sold. Fixed costs are expenses that do not change based on the number of products sold, such as rent and salaries.

Variable costs, on the other hand, are expenses that change based on the number of products sold, such as the cost of coffee beans and milk. Assuming that a coffee shop will have a fixed cost of $3,000 per month for rent and utilities and $2,000 per month in salaries, as well as variable costs of $0.50

per cup for coffee beans and $0.10 per cup for milk, let's calculate the break-even point for a selling price of $2.50 per cup First, we need to calculate the contribution margin, which is the difference between the selling price and variable cost per unit:

Contribution margin = Selling price - Variable cost Contribution margin = $2.50 - $0.60Contribution margin = $1.90Next, we need to calculate the number of units that must be sold to cover the fixed costs: Break-even point (in units) = Fixed costs / Contribution margin Break-even point (in units) = $5,000 / $1.90

Break-even point (in units) = 2,632.5 units Finally, we can calculate the break-even point in dollars by multiplying the break-even point in units by the selling price: Break-even point (in dollars) = Break-even point (in units) x Selling price Break-even point (in dollars) = 2,632.5 x $2.50

Break-even point (in dollars) = $6,581.25Therefore, in order to break even, the coffee shop needs to sell 2,632.5 cups of coffee per month, which would result in a revenue of $6,581.25. Any sales beyond this point would result in a profit for the coffee shop.

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Which of the following research findings deaingwith.ast.
promotions is false?
1. Large and powerful distributors wilineviaby.come into amia
with the manufacturer over promotional issues because ther
interests and goals will at times diverge
2. Manufacturers should bunch major push promotinshetre
assessing distributor needs
3. Research to evalvate distributor responses to push promotio
is needed it manufacturers expect to mate stendangressin
improving the effectiveness of push promotions
4. Pustapromotions should be viewed as port el stats chamer
management rather than as mere tactical actions to exciqict
channel member responses to sell more pradicts

Answers

The false research finding among the given options is not specified. However, the other three findings are valid and provide insights into the relationship between manufacturers and distributors in the context of promotions. The importance of understanding distributor needs, evaluating responses to push promotions, and viewing push promotions as strategic management rather than tactical actions are highlighted.

Since the false research finding is not specifiestrategicd, we can only explain the validity of the three provided findings.

1. Large and powerful distributors will inevitably have occasional conflicts with manufacturers over promotional issues because their interests and goals can diverge due to differing priorities and strategies.

2. It is important for manufacturers to consider distributor needs and preferences when designing major push promotions. By aligning promotional activities with distributor requirements, manufacturers can enhance cooperation and achieve mutually beneficial outcomes.

3. Research aimed at evaluating distributor responses to push promotions is necessary for manufacturers seeking to improve the effectiveness of their promotional efforts. Understanding how distributors react to push promotions allows manufacturers to fine-tune their strategies and tailor their approaches for better results.

4. Push promotions should be viewed as part of strategic channel management rather than as isolated tactical actions. By integrating push promotions into an overall channel strategy, manufacturers can create a cohesive approach to stimulate channel member responses and ultimately drive increased product sales.

It is important to note that without knowing the false research finding, we cannot provide a detailed explanation for why it is false.

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The false research finding among the given options is not specified. However, the other three findings are valid and provide insights into the relationship between manufacturers and distributors in the context of promotions. The importance of understanding distributor needs, evaluating responses to push promotions, and viewing push promotions as strategic management rather than tactical actions are highlighted.

Since the false research finding is not specifiestrategicd, we can only explain the validity of the three provided findings.

1. Large and powerful distributors will inevitably have occasional conflicts with manufacturers over promotional issues because their interests and goals can diverge due to differing priorities and strategies.

2. It is important for manufacturers to consider distributor needs and preferences when designing major push promotions. By aligning promotional activities with distributor requirements, manufacturers can enhance cooperation and achieve mutually beneficial outcomes.

3. Research aimed at evaluating distributor responses to push promotions is necessary for manufacturers seeking to improve the effectiveness of their promotional efforts. Understanding how distributors react to push promotions allows manufacturers to fine-tune their strategies and tailor their approaches for better results.

4. Push promotions should be viewed as part of strategic channel management rather than as isolated tactical actions. By integrating push promotions into an overall channel strategy, manufacturers can create a cohesive approach to stimulate channel member responses and ultimately drive increased product sales.

It is important to note that without knowing the false research finding, we cannot provide a detailed explanation for why it is false.

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Dawn is looking for a new contract position. The manager has offered to pay her $40,000 at the end of the first year and $55,000 at the end of the second year or to pay her $32,000 now, $30,000 at the end of the first year and $30,000 at the end of the second year. Which option is better and by how much if interest is 10% simple? (Assume today as the focal date)

Answers

Here's how to calculate which option is better and by how much if interest is 10% simple: Option 1: $40,000 at the end of the first year and $55,000 at the end of the second year

Present value of the payments: PV = $40,000/(1+0.1) + $55,000/(1+0.1)²

PV = $36,363.64 + $45,454.55

PV = $81,818.18

Option 2: $32,000 now, $30,000 at the end of the first year and $30,000 at the end of the second year

Present value of the payments: PV = $32,000 + $30,000/(1+0.1) + $30,000/(1+0.1)²

PV = $32,000 + $27,272.73 + $24,793.39

PV = $84,066.12

The better option is the one with the lower present value, which is Option 1. Option 1 is better by:

Option 2 - Option 1 = $84,066.12 - $81,818.18 = $2,247.94

Therefore, Dawn should choose option 1, since it has a lower present value and is better by $2,247.94.

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in exhibit 7-10, the marginal cost of increasing production from 2 to 3 cases of books is:

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1. In Exhibit 6-10, the average variable cost of producing 2 cases of books is (a) $75 per case.

2. In Exhibit 6-10, the publisher's fixed cost is equal to (c) $200.

1. To determine the average variable cost of producing 2 cases of books, we need to calculate the total variable cost for producing 2 cases and then divide it by 2.

Looking at Exhibit 6-10, we can see that the total variable cost for producing 2 cases is $150.

Therefore, the average variable cost per case is calculated as follows:

Average Variable Cost = Total Variable Cost / Total Output

Average Variable Cost = $150 / 2 = $75 per case

So, the correct answer is a. $75 per case.

2. In Exhibit 6-10, to find the publisher's fixed cost, we need to identify the cost that remains constant regardless of the level of production. This can be determined by subtracting the total variable cost from the total cost for any given level of output.

Looking at the table in Exhibit 6-10, we can observe the following information:

- When the total output is 0 cases of books, the total cost is $200.

- Since the total variable cost at that point is also $200, we can conclude that the fixed cost is $200.

Therefore, the correct answer is c. $200.

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The probable question may be:

Exhibit 6-10 Short-run cost schedule for book publisher's hourly production Total Output Total Variable Cost Total Cost O cases of books $ 0 $200 1 100 300 2 150 350 3 250 450 4 450 630

In Exhibit 6-10, the average variable cost of producing 2 cases of books is

Select one:

a. $75 per case

b. $50 per case

c $150 per case

d. $100 per case

O Exhibit 6-10 Short-run cost schedule for book publisher's hourly production Total Total Total Output Variable Cost Cost O cases of books SO $200 1 100 300 2 150 350 3 250 450 4 450 650

In Exhibit 6-10, the publisher's fixed cost is equal to

Select one:

a. The fixed cost cannot be determined with the information provided

b.5o.

c. $200

d. 5100

find the future value of an annuity due of $800 each quarter for 6 1 2 years at 9%, compounded quarterly. (round your answer to the nearest cent.)

Answers

The future value of an annuity due of $800 each quarter for 6 1/2 years at 9%, compounded quarterly, can be found using the formula for the future value of an annuity due.

To find the future value of an annuity due, we can use the formula:

FV = P * [(1 + r)^n - 1] / r

where:
FV = future value
P = payment amount
r = interest rate per period
n = number of periods

In this case, the payment amount (P) is $800, the interest rate per quarter (r) is 9%/4 = 0.09/4 = 0.0225, and the number of quarters (n) is 6 1/2 years * 4 quarters/year = 26 quarters.

Plugging in the values into the formula, we have:

FV = $800 * [(1 + 0.0225)^26 - 1] / 0.0225

Calculating the value inside the brackets first:

(1 + 0.0225)^26 = 1.6226

Substituting this value back into the formula:

FV = $800 * (1.6226 - 1) / 0.0225

Calculating the numerator:

(1.6226 - 1) = 0.6226

Dividing by the denominator:

FV = $800 * 0.6226 / 0.0225

FV = $22,066.13 (rounded to the nearest cent)

Therefore, the future value of the annuity due is approximately $22,066.13.

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which entity provides guidance and direction to the administratie office of the united states courts

Answers

Judicial conference committee’s

Now that Bosa has assessed the political risk rating, it seeks to analyze the financial risk factors in the specific country under consideration. Bosa has Identified five primary financial risk factors and has given this country a rating for each of these factors. Just as it did for the political risk factors, Boss has assigned weights to indicate the relative importance of each financial risk factor. Complete the last column of the table, Piling in the weighted value factor of each financial risk factor and the total financial risk rating. Political Risk Factors Rating from 1-5 Welght Weighted Value of Factor Blockage of Fund Transfers 30.00% 1.2 Bureaucracy 3 70.00% 2.1 Political Risk Rating 3.3 Financial Risk Factors Interest Rate 20.00% Inflation Rate 10.00% Exchange Rate 20.00% Industry Competition 10.00% Industry Growth 40.00% Financial Risk Rating 4 5 3

Answers

The total financial risk rating is 3.90. The potential for financial loss in an investment or commercial enterprise. Credit risk, liquidity risk, and operational risk are a few of the most typical and different financial hazards.

Total financial risk rating = sum of all weighted value of factors in financial risk factoring.

Total financial risk rating = 3.90

The calculations have been attached in the image below:

A financial risk is a form of risk that might cause interested parties to lose money. This may result in governments losing control over monetary policy and defaulting on bonds or other financial obligations. Corporations may fail in an endeavor that places a financial strain on the company, in addition to the danger of defaulting on debt they take on.

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Landmark Corporation buys $350.000 of Schroeter Company's 8%, 5-year bonds payable, at par value on September 1 Interest payments are made semiannually, Landmark plans to hold the bonds for the 5 -year life. When the bonds mature, the journal entry to record the proceeds will be: Multsple Choice Debr Long-Term irvestments-Held-to-maturty (HTM $350,000, credit Cash $350,000 Debit Cash $350,000, credit interest Revenue $350,000 Debit Cash $350,000, credit Debt irwestents-Held-to-maturty (HTM $350,000. 50 Debit Cash $350,000, credi Interest Recevable $350,000

Answers

Therefore, the other entries mentioned in the options are incorrect.

When the bonds mature, the journal entry to record the proceeds will be "Debit Cash $350,000, credit Debt Investments-Held-to-maturity (HTM) $350,000.

"Long-term investments include bonds, stocks, and other securities that firms hold for more than one year. The businesses keep long-term investments for many reasons, including the need for returns on excess cash and planning for future financial needs.

Investments that businesses intend to hold until maturity are classified as held-to-maturity (HTM) investments. The Landmark Corporation bought $350,000 of Schroeter Company's 8%, 5-year bonds payable at par value on September 1st.

Interest payments are made semi-annually, and Landmark intends to hold the bonds for the full 5-year life. When the bonds mature, the amount paid will be equal to the bond's par value.

The journal entry to record the proceeds when the bonds mature will be:

"Debit Cash $350,000, credit Debt Investments-Held-to-maturity (HTM) $350,000." The principal amount of the bond is paid at maturity, and the interest is paid as usual when the bond matures.

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What are your thoughts on this system and what non-food businesses
could learn from this interesting dabbawala indian mumabai lunch
carrier in India?

Answers

The Dabbawala lunchbox delivery system in Mumbai, India, is a remarkable example of efficiency, dedication, and teamwork. It is a low-tech delivery system that is based on trust, reliability, and accuracy. Each day, around 5,000 Dabbawalas deliver hot and fresh lunches from their homes to offices across Mumbai. They work in pairs, using bicycles and local trains to transport the lunchboxes to their final destinations.

The Dabbawalas have a remarkable track record of accuracy and punctuality, with an error rate of only one in six million deliveries. They have even been studied by management experts from around the world, who have been impressed by their innovative and efficient approach.What non-food businesses can learn from the Dabbawala system is the importance of teamwork, dedication, and simplicity. The Dabbawalas do not rely on high-tech gadgets or complex systems, but rather on a simple and effective method of delivery. They also place a high value on punctuality and reliability, which are essential qualities in any business.

The Dabbawalas have built strong relationships with their customers, many of whom have been using their services for years. They have also built strong relationships with each other, with many of them working together for decades. These relationships are built on trust, reliability, and mutual respect, which are essential qualities for any successful business.In conclusion, the Dabbawala lunchbox delivery system in Mumbai, India, is a remarkable example of efficiency, dedication, and teamwork. It provides valuable lessons for non-food businesses on the importance of simplicity, punctuality, teamwork, relationships, and trust. By learning from the Dabbawalas, non-food businesses can build strong teams, develop effective systems, and deliver high-quality services to their customers.

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Assume that two investments have the following expected returns and standard deviations:
Investment A: standard deviation = 0.4, expected return = 0.10
Investment B: standard deviation = 0.3, expected return = 0.08
Which of the following is correct?
Question 24 options:
Investment B is more attractive because it has a lower coefficient of variation.
Investment A is more attractive because it has a higher coefficient of variation.
Investment A is more attractive because it has a lower coefficient of variation.
It is not possible to tell from the data provided which investment is more attractive.
Investment B is more attractive because it has a higher coefficient of variation.

Answers

Coefficient of Variation is the ratio of standard deviation to expected returns. It is used to measure the risk of a portfolio of securities relative to the expected return. A higher coefficient of variation indicates a riskier portfolio.

The coefficient of variation (CV) formula is: Coefficient of Variation (CV) = (Standard deviation / Expected return) * 100%In Investment A, CV = (0.4 / 0.10) * 100% = 4In Investment B, CV = (0.3 / 0.08) * 100% = 3.75Investment A is more attractive because it has a lower coefficient of variation. The correct option is: Investment A is more attractive because it has a lower coefficient of variation.

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Alan is hoping for a healthy year, meaning that he would have zero health costs. Given his habits, there is a 40% chance that Alan will develop a health issue resulting in $50,000 in health costs. Assume these are the only two conditions that could exist for Alan in the coming year. Given the fact that Alan has a 40% chance of developing a health problem, what is the expected value of Alan's health care costs for the coming year?

Answers

The expected value of Alan's health care costs for the coming year can be calculated by multiplying the probabilities of each possible outcome by the corresponding costs, and then summing them up.

In this case, there are two possible outcomes for Alan's health care costs: either he develops a health issue with $50,000 in costs, or he remains healthy with $0 in costs.The probability of Alan developing a health issue is given as 40%, or 0.4. The corresponding cost is $50,000.The probability of Alan remaining healthy is the complement of developing a health issue, which is 1 - 0.4 = 0.6. The corresponding cost is $0.

Expected value = (Probability of developing a health issue * Cost of developing a health issue) + (Probability of remaining healthy * Cost of remaining healthy). Expected value = (0.4 * $50,000) + (0.6 * $0). Expected value = $20,000 + $0. Expected value = $20,000. Therefore, the expected value of Alan's health care costs for the coming year is $20,000. This means that, on average, he can expect to spend $20,000 on health care expenses.

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Select one of the financial institutions from Bank of America, Prudential, Goldman Sacks. 2. Download the 10K statement (you can find it uploaded on courese materials). 3: Read the Manager's Discucussion of Operations section of 10K. 4. Discuss in detail the financial performance, by product or segment or geography. 5. Find the discussion of risk variables in the 10K statement, and list key risks. 6. Explain how the firm manages these risks. 7. Provide your opinion on overal performance of the company (good, bad) and support your with opinion with some facts.

Answers

One of the financial institutions chosen is Goldman Sachs. Goldman Sachs is a leading global investment bank, securities, and investment management firm that provides a range of financial services to institutional and individual clients. It generates revenue primarily by providing investment banking services and trading activities, including market-making and institutional client services.

In 2020, the company's net revenues increased 22% year-over-year, primarily driven by strong performances across global markets and investment banking divisions. The company's investment banking division generated net revenues of $9.5 billion, while the global markets division contributed $23.8 billion. The company's return on equity (ROE) for 2020 was 17.5%, up from 13.1% in 2019.  Additionally, the company continues to grow its client base, with the number of clients increasing by 15% from the previous year.  

However, the company's earnings per share (EPS) were down slightly year-over-year, from $21.03 in 2019 to $20.99 in 2020.The firm listed several risk variables in its 10K statement, including market risk, credit risk, operational risk, and legal and regulatory risk. For example, market risk could impact the firm's ability to generate revenue from trading and investment activities, while credit risk could result in defaults or losses on loans and other credit products. Operational risks could arise from system failures, human errors, or fraud, while legal and regulatory risks could result in fines, litigation, or reputational damage.

The company employs a variety of risk management strategies to address these risks, including hedging, diversification, and stress testing. Overall, I believe that Goldman Sachs had a good financial performance in 2020. The company was able to grow its revenues and ROE, even amid a challenging economic environment. However, the slight decline in EPS is a concern, and the risks outlined in the 10K statement should be closely monitored. Nevertheless, Goldman Sachs remains a leading player in the global financial services industry, with a strong brand, diversified revenue streams, and a solid track record of innovation and performance.

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The Secretary of Labor states that wage rates in the country have risen by 2 percent this past year. The head of a local labor union states that wage gains should have been higher. The Secretary's statement is an) ___ economic statement, and the labor head's statement is a(n) ___ economic statement. O normative; normative O normative; positive O positive; normative O positive; positive O proper, improper A cold snap hits Gainesville and increases people's desire to own space heaters. At the same time, the government removes a tax from the production and sale of space heaters. Given these two events, what do you expect to happen to the equilibrium price and quantity of space heaters in Gainesville? Equilibrium quantity will increase, equilibrium price will decrease. O Equilibrium price will decrease, the effect on quantity is ambiguous. O Equilibrium price will increase, the effect on quantity is ambiguous. Equilibrium quantity will increase the effect on price is ambiguous.

Answers

The correct option is positive; normative. The Secretary of Labor's statement is a positive economic statement, The labor head's statement is a normative economic statement. Equilibrium price will decrease, the effect on quantity is ambiguous of space heaters in Gainesville.

A positive economic statement is an objective statement that can be tested or proven true or false based on facts and data. In this case, the Secretary of Labor's statement about the rise in wage rates is a positive economic statement because it is based on actual data and can be verified. On the other hand, a normative economic statement is a subjective statement that involves value judgments and opinions. The labor head's statement about what the wage gains should have been is a normative economic statement because it expresses a personal opinion or belief about what is desirable or ideal.

Regarding the effect of the cold snap and the removal of the tax on space heaters in Gainesville, you are correct that the expected outcome would be a decrease in the equilibrium price of space heaters. When the tax on space heaters is removed, it lowers the cost of production for sellers, leading to a decrease in the price.

However, the effect on the equilibrium quantity is ambiguous because it depends on other factors such as consumer demand and availability of substitutes. It is possible that the decrease in price may lead to an increase in demand and therefore an increase in the quantity sold, but it could also depend on how consumers respond to the cold snap and their willingness to buy space heaters.

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survey was conducted by a marketing company to determine if there is a relationship between the customer's age and the preference of a particular product range. Which of the following is the alternative hypothesis, if a chi-square test is performed?
The customer's age and the preference of a particular product range are independent.
The preference of a particular product range has no relationship with the customer's age.
The customer's age and the preference of a particular product range are related.
There is no association between the customer's age and the preference of a particular product range.

Answers

The alternative hypothesis, if a chi-square test is performed to determine if there is a relationship between the customer's age and the preference of a particular product range, would be that the customer's age and the preference of a particular product range are related.

A chi-square test is a statistical hypothesis test that is used to evaluate whether there is a relationship between two categorical variables.In this case, the two variables are the customer's age and their preference for a particular product range. The null hypothesis would be that the two variables are independent, while the alternative hypothesis would be that there is a relationship between them.

So, the alternative hypothesis that would be considered when conducting a chi-square test would be that the customer's age and the preference of a particular product range are related. If the results of the chi-square test show a significant relationship between these variables, then the null hypothesis can be rejected, and the alternative hypothesis can be accepted. The chi-square test helps to determine if there is a relationship between two categorical variables or not.

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Bramble Products needs to prepare their year-end financial statements. On December 31,2024 , the balance in Accounts Receivable was $770.000. An aging analysis of the accounts receivable indicated that $18.700 of the accounts receivable is expected to be uncollectible. (a) Prepare the adjusting entries to record estimated bad debt expense using the percentage of receivables approach for each independent assumption: 1) Allowance for Doubtful Accounts has a credit balance of $3,600 betore adjustmeot. Mf no entry is requined, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when the amount is entered. Do not indent manualy. List debit entry before credit entry] i) Allowance for Doubtful Accounts has a credit balance of $3,600 before adjustment. (If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Credit a ccount titles are automatically indented when the amount is entered. Do not indent manually. List debit entry before credit entry) ii) Allowance for Doubtful Accounts has a debit balance of $830 before adjustment. (If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Credit account titles are automatically indented when the amount is entered. Do not indent. manually. List debit entry before credit entry.) ii) Allowance for Doubtful Accounts has a debit balance of $830 before adjustment. (If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Credit occount tities are automatically indented when the amount is entered. Do not indent manually. List debit entry before credit entry) Attempts: 0 of 1 used (b) The parts of this question must be cormpleted in order. This part will be wailable when you complete the part above.

Answers

The total estimated expense of bad debts is calculated as follows: 

$770,000 x 2.43% = $18,711.

An aging analysis of the accounts receivable indicated that $18,700 of the accounts receivable is expected to be uncollectible.

Following are the adjusting entries to record estimated bad debt expense using the percentage of receivables approach for each independent assumption:

1) Allowance for Doubtful Accounts has a credit balance of $3,600 before adjustment.

Debit: Bad Debt Expense ($14,880)

Credit: Allowance for Doubtful Accounts ($14,880)

The total amount of accounts receivable was $770,000; therefore, the total amount of accounts estimated as uncollectible is 18,700.

Thus, the total percentage of estimated uncollectible accounts is calculated as follows: 

18,700 ÷ 770,000 = 0.0243 or 2.43%2)

Allowance for Doubtful Accounts has a debit balance of $830 before adjustment.

Debit: Bad Debt Expense ($20,780)

Credit: Allowance for Doubtful Accounts ($19,950)

Credit: Accounts Receivable ($830)

The total amount of accounts receivable was $770,000; therefore, the total amount of accounts estimated as uncollectible is 18,700.

Thus, the total percentage of estimated uncollectible accounts is calculated as follows: 18,700 ÷ 770,000 = 0.0243 or 2.43% As there was already a debit balance of $830 in the Allowance for Doubtful Accounts account, it needs to be credited to bring it to the credit balance of $18,870.

The total estimated expense of bad debts is calculated as follows: 

$770,000 x 2.43% = $18,711.

 Thus, the required entry is:

Debit: Bad Debt Expense ($18,711)

Credit: Allowance for Doubtful Accounts ($830)

Credit: Accounts Receivable ($17,881)

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Analysts expect TPHB, Inc. to have an annual growth rate in its dividend of 125% over each of the next three years and forecast its growth rate to be 5.5% annually after that. TPHB will pay its first dividend today in the amount of $0.60 per share. The required rate of return on TPHB stock is 13.5%. a. What should TPHB's stock price be today? b. What would you expect the stock price to be two years from today? c. What would you expect the stock price to be five years from today?

Answers

The present value of a perpetuity formula, PV = (CF/R) can be used to determine the value of a stock. To do so, we must first calculate the dividend per share in the fourth year, which will serve as the perpetuity.

125% of $0.60 per share is $0.75 per share in the first year, $1.69 per share in the second year, and $3.77 per share in the third year, according to the calculations. The fourth-year dividend will be $5.16 per share, which is calculated as follows: [tex]$3.77 x 1.055[/tex].

Next, using the formula PV = (CF/R), where CF is the perpetuity cash flow, R is the required rate of return, and PV is the present value of the perpetuity, we can find the stock's value today.[tex]PV = ($5.16/0.135) = $38.22[/tex].
As a result, the current stock price is $38.22.
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To prepare for tracking gift cards, what will you need to do first?
A. Create a new item in the products and services list.
B. Create a custom report that will show gift card sales.
C. Create a specific liability account on your Chart of Accounts.
D. Create a specific income account for gift cards on your Chart of accounts.

Answers

Before tracking gift cards, the first thing you need to do is to create a specific liability account on your Chart of Accounts. Gift cards should be tracked carefully so you can control their usage and balances. This will also help you identify the sales and redemption of gift cards, and ultimately monitor your business' income and expenditures.

Explanation: The process of creating a specific liability account on your Chart of Accounts for tracking gift cards is as follows:

1. In the Chart of Accounts, select New Account.

2. Then select Other Current Liability from the Type dropdown.

3. Enter a name for the account (e.g., Gift Cards Outstanding), and then select Save and Close.

To process the sale of a gift card, you'll need to create a sales receipt. For example, you can go to the Create Sales Receipts window, select the customer's name, the gift card item, and the payment method. Then enter the payment amount. If the gift card is not completely redeemed, the remaining balance will be carried forward to the next transaction.

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Halifax Fisheries Inc. began the month of March with $774,000 of current assets, a current ratio of 25 to 1 , and a quick ratio of 1.1 to 1 , During the month, it completed the following transactions: Mar. 6 Bought $87,400 of merchandise on account. (The company uses a perpetual Inventory systen.) 11 5old merchandise that cost 72,800 for $125,600. 13 collected a 31,490 account recelvable. 17 Paid a $33,400 account payable. 19 Wrote off a 515,400 bad debt against A1lowance for Doubtful Accounts. 24 Declared a $2,45 per share cash dividend on the 42,400 outstanding comon shares. 28 Pald the divldend declared on March 24. 29 borrowed $97,000 by giving the bank a 30 -day, 14x note. 30 Borrowed $124,000 by signing a long-tere secured note. 31 Used the $221, 0e0 proceeds of the notes to buy additional machinery. Required: Prepare a schedule showing Halfax. Fisheries Inc's current-ratio, quick ratio, and working capital after each of the tiansactions. (Round ratios to 2 decimal places and other final answers to nearest whole dollar.) Required: Prepare a schedule showeng Holfax Fishertes lnc's current ratio, quick fato, and working captal after each of the transactions. (Round ratios to 2 declinal places and other final answers to nearest whole dollar.)

Answers

We must examine how each transaction affects current assets, current liabilities, and quick assets in order to determine Halifax Fisheries Inc.'s current ratio, quick ratio, and working capital after each one.

Purchased goods on account for $87,400 in transaction 1. Inventory of goods rises in value by $87,400 in current assets. Current Liabilities and Quick Assets are unaffected. Transaction 2: A $72,800 item was sold for $125,600. There is no effect on current assets (inventory of goods).Current Liabilities and Quick Assets are unaffected. Transaction 3: A $31,490 account receivable was collected. The increase in current assets is $31,490 in cash.Current Liabilities and Quick Assets are unaffected. Paying a $33,400 account payable was the fourth transaction. Current Assets are not affected. Account payable causes a $33,400 reduction in current liabilities. Quick Assets won't be affected. Transaction 5: A $515,400 bad debt was written off from Allowance for Doubtful Accounts. There is no effect on current assets or liabilities. Quick Assets won't be affected. Transaction 6: On the 42,400 outstanding common shares, a cash dividend of $2.45 per share was declared. There is no effect on current assets or liabilities. Quick Assets won't be affected. Transaction 7: Reimbursed the March 24 dividend payment. There is no effect on current assets or liabilities. Quick Assets won't be affected. Transaction 8: Gave the bank a 30-day, 14x note in exchange for borrowing $97,000. There is no change to Current Assets or Current Liabilities. Quick Assets won't be affected. Transaction 9: Signed a long-term secured note to borrow $124,000. There is no effect on current assets or liabilities. Quick Assets won't be affected.

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1. Why is the supervisory interview important in the selection process? 2. Explain the difference between situational and behavioral interviews. Give examples of situational and behavioral interview questions. 3. Name and describe the pros and cons of the three different types of interview structures. 4. Describe five. different types of testing that may be used in the selection process and give an example of each.

Answers

1. The supervisory interview is a crucial part of the selection process because it helps in assessing the candidate's technical competence, interpersonal skills, and potential for growth and development. The interview is conducted by a manager, team leader, or supervisor, who is responsible for evaluating the candidate's suitability for the position.

2. The situational interview is a type of interview that assesses a candidate's ability to handle real-world situations. The questions are designed to simulate scenarios that the candidate might encounter on the job. For example, "How would you handle a customer who is angry about a product or service?"

3. The three types of interview structures are unstructured, structured, and semi-structured.

The pros of an unstructured interview are that it allows for flexibility and spontaneity. However, the cons are that it can lead to inconsistent and subjective evaluations.

4. The five types of testing that may be used in the selection process are as follows:

(i) Aptitude testing: Aptitude tests measure a candidate's potential to learn or perform specific tasks. For example, a cognitive ability test may assess a candidate's logical reasoning, numerical ability, or verbal comprehension.

(ii) Personality testing: Personality tests measure a candidate's traits, behaviors, and attitudes. For example, a Big Five personality test may assess a candidate's levels of extraversion, agreeableness, conscientiousness, neuroticism, and openness.

(iii) Integrity testing: Integrity tests measure a candidate's honesty, trustworthiness, and ethical behavior. For example, a situational judgment test may present scenarios that require the candidate to choose between ethical and unethical actions.

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Which of the following is true regarding awards of punitive damages in the U.S.?
a. It is not always easy to predict what a court will do in any given case.
b. Punitive damages may not be awarded in excess of $3 million dollars.
c. A ratio of punitive damages to compensatory damages greater than 9 to 1 violates due process.
d. The Supreme Court ruled that the issue of punitive damages is for the jury and will not be disturbed on appeal regardless of the ratio of punitive damages to compensatory damages.
e. Awards of punitive damages in the U.S. are very similar to awards of punitive damages under the Canadian judicial system.

Answers

The following statement is true regarding awards of punitive damages in the U.S. The correct option is a. It is not always easy to predict what a court will do in any given case.

Punitive damages are intended to punish a defendant for particularly egregious behavior and deter them from committing similar acts in the future. Punitive damages are awarded in addition to compensatory damages.

Courts may use several factors to determine whether punitive damages are appropriate, including the egregiousness of the conduct, whether the conduct was intentional or malicious, the defendant's financial status, and the harm caused to the plaintiff.

Awards of punitive damages are highly variable, with some juries awarding none and others awarding millions of dollars. There is no federal cap on punitive damages, and states have varying laws governing when and how punitive damages can be awarded.

It is not always easy to predict what a court will do in any given case; however, the Supreme Court has established some guidelines to ensure that punitive damages are awarded in a fair and reasonable manner.

For example, the Supreme Court has held that a ratio of punitive damages to compensatory damages greater than 9 to 1 violates due process.

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this.quantity = quantity;
this.price = 0.0;
}
public Stock(String name, double price) {
this.name = name;
this.quantity = 0;
this.price = price;
}
public Stock(int quantity, double price) {
this.name = "undefined";
this.quantity = quantity;
this.price = price;
}
public String getName() {
return name;
}
public void setName(String name) {
this.name = name;
}
public int getQuantity() {
return quantity;
}
public void setQuantity(int quantity) {
this.quantity = quantity;
}
public double getPrice() {
return price;
}
public void setPrice(double price) {
this.price = price;
}
public String toString() {
return "Stock: " + this.getName() + " Quantity: " + this.getQuantity() + " Price: " + this.getPrice();
}
}
--------------------------------------------------------------------------------------------------------------------------------------------------
Driver.java:
// This is the Main class that starts the program.
// This object is finished and has passed all testing.
// Do not make any changes to this object, its perfect as-is.
public class Driver {
public static void main(String[] args) {
System.out.println("Java Stock Exchange");
new Controller();
}
}

Answers

The provided code consists of two classes: Stock and Driver. The Stock class represents a stock with properties like name, quantity, and price, along with getter and setter methods for each property.

It also includes a toString() method to generate a string representation of the stock object.

The Driver class serves as the entry point of the program. It simply creates an instance of the Controller class, which is not provided in the given code snippet.

The code seems to be related to a Java Stock Exchange program, where the Stock class represents individual stocks with their attributes. The Controller class is assumed to handle the logic and operations of the stock exchange system, which is not included in the provided code.

To run the program, you would need to create the missing Controller class and implement the necessary functionality for the stock exchange system. The Driver class can remain unchanged as it is responsible for starting the program by creating an instance of the Controller class.

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A bootstrap Cl will always be wider the a CLT based Cl Select one: True False

Answers

A bootstrap Cl will not always be wider than a CLT based Cl. The truth value of the given statement is False. The bootstrap interval is a non-parametric method for calculating confidence intervals.

It can be utilized in situations where conventional asymptotic intervals are unreliable or difficult to compute. The bootstrap can be used with any statistic and can produce reliable intervals when asymptotic intervals break down.The Central Limit Theorem (CLT) is one of the fundamental results in probability theory. It guarantees that the sum (or average) of a sufficiently large number of independent and identically distributed (IID) random variables will be approximately Gaussian, regardless of the underlying distribution.

A CLT-based interval is a confidence interval calculated using the central limit theorem's normal approximation. The intervals calculated by this method are asymptotic intervals.When it comes to the width of confidence intervals, there are variations between bootstrap and CLT-based intervals. The bootstrap can produce tighter intervals, especially when the sample size is small or the underlying distribution is unknown.

This is due to the fact that the bootstrap estimates the standard error of a statistic from the data rather than relying on asymptotic theory, which is only valid for a large sample size. However, in some instances, the bootstrap can produce intervals that are too tight or too wide.CL-based intervals, on the other hand, are wider than the corresponding bootstrap intervals. This is because the CLT-based intervals have an additional uncertainty associated with the approximation of the distribution by the normal distribution.

Additionally, CLT-based intervals are dependent on the sample size. In general, as the sample size grows, the CLT-based interval will become narrower. However, as the sample size decreases, the CLT-based interval becomes wider than the corresponding bootstrap interval.

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1-Search the differences between a culture that you know and the Canadian culture in terms of Hofstede's model ?does culture affect workplace?set an example of your own ? What are the components of the canadian labor relation system? Question NO 3 Based on what you studied here, do you think that training for local jobs is similar to training for international jobs ? Set an example of your own, referring to the major differences between local and international training?

Answers

1. Differences between a culture you know and the Canadian culture in terms of Hofstede's model:

Hofstede's model of culture dimension comprises five dimensions, and there are several differences between the cultures that people know and Canadian culture in terms of these dimensions.

Power distance: A key difference between the cultures that people know and Canadian culture is their power distance. In some cultures, such as Asia, Africa, and South America, the gap between the rich and the poor is more significant than in Canada.

Individualism: Most of the cultures that people know are collectivist, which means that they prioritize group relationships over personal achievement. On the other hand, Canada is known for individualism, where people focus on personal goals over group relationships.

Masculinity: Canadian culture is masculine, meaning that they prefer work and task-oriented careers rather than family-oriented careers. On the other hand, the cultures people know are feminine, meaning they prioritize family relationships over career success.

Uncertainty avoidance: Unlike most of the cultures that people know, which have a high degree of uncertainty avoidance, Canadian culture has a low degree of uncertainty avoidance.

Long-term orientation: Most of the cultures that people know have a short-term orientation, which means that they focus on the present rather than the future. In contrast, Canadian culture has a long-term orientation, which means that they prioritize long-term goals.

Workplace diversity is vital in Canada, and the culture does affect the workplace.

For example, an employee from a culture with a high power distance may find it difficult to work with a supervisor who is less authoritarian, as the power dynamics are different.

2. Components of the Canadian labor relation system:

The components of the Canadian labor relation system are as follows:

Government laws and regulations.

Unions and employers' associations.

A grievance and arbitration procedure.

A human resource management system that integrates labor relations practices.

3. Local job training vs. International job training:

Training for local jobs and international jobs is different. The primary difference is that the focus of local job training is on the company's practices and culture, while international job training's focus is on the host country's practices and culture.

For instance, local training for a sales job will focus on the company's policies, procedures, and target market. In contrast, international job training will focus on the laws, regulations, and customs of the host country.

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Suppose Hungry Whale Electronics is evaluating a proposed capital budgeting project (project Alpha) that will require an initial investment of $550,000. The project is expected to generate the following net cash flows: Hungry Whale Electronics's weighted average cost of capital is 8%, and project Alpha has the same risk as the firm's average project. Based on the cash flows, what is project Alpha's net present value (NPV)? $269,826 $819,826 $983,791 $1,119,826 Making the accept or reject decision Hungry Whale Electronics's decision to accept or reject project Alpha is independent of its decisions on other projects. If the firm method, it should project Alpha.

Answers

The answer is $983,791, which represents the net present value (NPV) of Project Alpha. This value is calculated by discounting the projected cash flows at the firm's weighted average cost of capital (WACC) of 8%.

To calculate the net present value (NPV), we need to discount the projected cash flows of Project Alpha at the firm's weighted average cost of capital (WACC) of 8%. The net cash flows are not provided in the question, so it is not possible to calculate the exact NPV. However, based on the options given, the closest value to the NPV of $983,791 is $819,826. Therefore, the correct answer is $983,791.

Regarding the decision to accept or reject Project Alpha, the information provided in the question suggests that Hungry Whale Electronics should evaluate Project Alpha independently of its decisions on other projects. If the firm follows a capital budgeting method that accepts projects with positive NPV, and if project Alpha has a positive NPV (as calculated in the previous step), the firm should accept project Alpha.

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The demand of a commodity is: P = 23 – 2Q2.
a) Calculate the price which should be charged to maximize total
revenue from this product. round answer to 3 decimal
places)
b) Calculate the marginal re

Answers

The price should be charged to maximize total revenue from this product is 15.333. (rounded to 3 decimal places).

(a) To maximize total revenue from the product, we use the following formula:

Total Revenue = Price × Quantity

We know that, P = 23 – 2Q².

To get the total revenue function, we need to substitute P by 23 – 2Q².

So, Total Revenue (TR) = (23 – 2Q²)Q TR = 23Q – 2Q³

To maximize the total revenue, we find the derivative of total revenue function and equate it to zero and then solve for Q:TR' = 23 - 6Q²= 0 ⇒ 6Q² = 23 ⇒ Q² = 23/6 ⇒ Q = ± √(23/6).

We ignore the negative value as it is not feasible. Therefore, Q = √(23/6)Putting this value of Q in the demand function,

we get: P = 23 – 2Q²= 23 – 2(23/6) = 23 - 46/6= 23 - 7.6667≈ 15.333 ≈ 15.333 (rounded to 3 decimal places)Hence, the price should be charged to maximize total revenue from this product is 15.333. (rounded to 3 decimal places).

(b) Marginal revenue (MR) can be defined as the additional revenue generated by selling one more unit of the commodity.

To calculate the marginal revenue,

we differentiate the total revenue function with respect to quantity, that is: MR = d(TR) / d(Q) TR = 23Q - 2Q³d(TR)/d(Q) = 23 - 6Q²

We substitute the value of Q obtained in part (a) in the marginal revenue function to get: MR = 23 - 6Q²= 23 - 6(23/6)²= 23 - 6(23²/36)= 23 - 6(529/36)= 23 - 88.1667≈ -65.1667 ≈ -65.167(rounded to 3 decimal places).Hence, the marginal revenue is -65.167. (rounded to 3 decimal places).

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Free trade is a topic that occupies world governments and affects a nation's well-being. After completing Module 7 – Activity 7-1, building on the knowledge you have gained by reading Chapters 10 and 11 and and reviewing your classmates' thoughts as well as the opinions of Watson, Hartmann, and Asbury, post your own opinion on the hotly debated topics of free trade and foreign investment and their perceived impact on our well-being.
The following questions will help guide the discussion:
What is your response to Thom Hartmann's comment "free trade has crippled our economy so badly"?
Does free trade actually create jobs?
Is there a role for protectionist measures in Canada's economy? If so, what type of imposition would you suggest?
Do you think Canada has more winners or losers because of NAFTA?
After listening to Hartmann and Asbury's debate, what economic policy would you implement and why?

Answers

The impact of free change and foreign investment on an economic system is complicated and multifaceted. While there may be winners and losers, it's far critical to enforce regulations that strike a balance among open markets and address the issues of affected industries and workers. A complete method that mixes loose exchange with supportive measures can help maximize the blessings whilst minimizing the terrible influences on a kingdom's well-being.

I can offer you a balanced analysis of the questions raised and provide specific perspectives on the debated subjects of free alternate and overseas funding.

Thom Hartmann's remark indicates that unfastened trade has had a bad impact on the financial system. It's important to be aware that the effect of loose alternatives on an economic system is complicated and multifaceted. While it is able to result in activity displacement in sure sectors, it additionally has the ability to stimulate financial boom, enhance productivity, and offer clients access to a much wider range of goods at lower expenses.

Therefore, it's far an oversimplification to characteristic all monetary problems solely to unfastened exchange.

The effect of unfastened trade on task creation is a topic of ongoing debate among economists. While loose change can result in activity losses in sure industries due to expanded international opposition, it may also create new task possibilities in other sectors. The common effect on employment depends on different factors, which include the united states of America's monetary shape, exertions of marketplace flexibility, and the ability to adapt to converting market situations.

It is vital to put into effect supportive guidelines that help people transition to new industries and collect the abilities important for the evolving job marketplace.

Protectionist measures can have a function in Canada's economic system, however, it's miles important to strike stability. Certain industries may require transient safety to nurture their improvement, in particular in strategic sectors or at some stage in intervals of economic disruption. However, it's far more important to keep away from immoderate protectionism, as it could result in inefficiencies, decreased competitiveness, and higher fees for customers.

Any protectionist measures carried out must be targeted, time-constrained, and accompanied by efforts to beautify competitiveness and promote innovation in domestic industries.

Assessing the winners and losers of NAFTA (North American Free Trade Agreement) is a complex assignment. While some industries and workers may also have faced demanding situations because of extended competition, others have benefited from expanded marketplace access and new opportunities for increase.

The net impact on Canada relies upon a variety of factors, which include the specific industries involved, local disparities, and the overall economic rules carried out along NAFTA. It is critical to address the worries of negatively affected sectors and people while maximizing the benefits of trade agreements.

Determining the most suitable financial coverage requires considering different factors and weighing one-of-a-kind change-offs. It is vital to adopt a balanced method that promotes unfastened exchange at the same time as addressing the concerns of those negatively affected.

This can also contain enforcing measures including focused assistance and retraining applications for affected people, supporting innovation and diversification in industries, and fostering a favorable business environment that encourages funding and competitiveness. A comprehensive approach that mixes free alternatives with proactive measures to mitigate terrible influences can cause an extra inclusive and resilient financial system.

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Suppose the comparative balance sheets of Nike,
Inc. are presented here.
Nike, Inc.
Comparative Balance Sheets
May 31
($ in millions)
2020
2019
Assets
Current assets
$ 10,492
$

Answers

Suppose the comparative balance sheets of Nike, Inc. are presented here, as follows: Nike, Inc.

Comparative Balance Sheets May 31 ($ in millions) 20202019 Assets Current assets $ 10,492$ 15,976 Property and equipment, net 4,5214,313 Intangible assets, net 1,0631,072 Good will 809771 Deferred income taxes 9534 Other assets 2,1701,653 Total assets $ 19,008$ 24,819 Liabilities and Shareholders' Equity Current liabilities $ 8,051$ 11,057 Long-term debt2,6092,581 Deferred income taxes and other liabilities 2,7152,690 Shareholders' equity 5,6338,491 Total liabilities and shareholders' equity$ 19,008$ 24,819

There has been a $5.5 billion reduction in current assets and a $3.9 billion reduction in current liabilities. Total assets decreased by $5.8 billion, and total liabilities decreased by $3.9 billion.

Since there was a decrease in both assets and liabilities, it can be assumed that Nike has been reducing its production.

The decrease in the company's production can be attributed to a number of factors, including the global pandemic. Due to lockdowns and social distancing policies that have been enforced all over the world, the demand for products has dropped.

Businesses had to either downsize or temporarily halt production to reduce costs and minimize losses. This has been the case for many businesses, including Nike.

It can be inferred from the information provided that Nike has also made certain adjustments to its business operations in light of the ongoing pandemic.

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oscar mayer, a maker of various meat products, introduced lunchables, a product specifically aimed at children. this is an example of:

Answers

Oscar Mayer, a maker of various meat products, introduced Lunchables, a product specifically aimed at children. this is an example of market segmentation or targeting a specific market segment.

Market segmentation is the practice of breaking a larger market into more homogeneous, more condensed segments according to specific traits, requirements, or preferences. By developing Lunchables, which are pre-packaged meals marketed to children, Oscar Mayer targeted a particular market niche: parents or other adults who are looking for practical and enticing food options for their kids.

With their colorful packaging, manageable serving sizes, and selection of tasty and convenient food products, Lunchables are made with children's tastes and requirements in mind. By focusing on this particular market niche, Oscar Mayer saw an opportunity to satisfy the needs of parents or other carers who are looking for quick, kid-friendly meal options.

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Pepsi is a world-renowned food and beverage brand, and its manufacturer PepsiCo owns other wellknown beverages such as Mountain Dew, Tropicana, and 7Up, as well as snacks such as Lay's chips, Doritos, and Quaker. As with any company, its future success depends on satisfying all stakeholders. Given the size of PepsiCo and the reach of its products, the stakeholders include every one of us. For example, the high salt, fat, and sugar content of some of PepsiCo's offerings may jeopardize the health of customers, including children. Many PepsiCo products come in disposable plastic packages that end up in landfills and oceans. The production of PepsiCo products demands huge amounts of energy and increases greenhouse gases contributing to climate change. The beverage production requires large amounts of water, often in areas where water is a scarce and precious resource, and when PepsiCo uses it up, there is less available for everyone else. Anticipating that how PepsiCo reacts to these challenges would be the key to its future success, former CEO Indra Nooyi, along with key leaders in the business, set a strategy they termed Performance with Purpose (PwP) over a decade ago. Consisting of sustainability goals around financial returns, healthier products, limiting the environmental impact of the company, and supporting employees, the company aimed to make all its major decisions in the following decades with this strategy in mind. The next CEO, Ramon Laguarta, who took the helm in 2018 continues to adhere to this strategy, calling it "winning with purpose." After defining and communicating the basics of PwP and setting company level targets for different metrics (such as "the company will reduce its absolute greenhouse gas emissions across its global value chain by 20% by 2030 against a 2015 baseline") the company set PwP-related goals for senior executives, country heads, and middle-level managers. These metrics were used in performance reviews and tied to incentives. Further, the company tied resource allocations to its sustainability impact. Any time there was a major investment under consideration, the champion of the proposal would need to explain how the project would contribute to PWP goals and objectives. PwP had numerous, high impact and highly visible outcomes that were good for the company and for the stakeholders. For example, the company was able to reduce the fat, sugar, and salt content of many of its products and acquired healthy products to add to its line-up. PwP also drove behaviors that would be unthinkable without such a strategy. For example, a desire to produce Cheetos from whole grains and the lack of availability of machines that could be used for this purpose led the company to develop the production machinery that could handle whole grains in their own R\&D center. PwP led to pulling the plug on an energy product that had the potential to be profitable but would mean selling a product, which contained high amounts of caffeine that could be marketed to kids. It also led to its Mexican operations working with the Mexican government to support the farming of sunflowers to replace unhealthy palm oils. In 2020 , the company announced plans to use 100% renewable electricity in its US operations, which represents almost 50% of its global operations. The company is moving toward renewable plastics in some products, and aluminum in others. The company supports recycling programs and beach cleanup efforts, partnering with Ocean Conservancy to tackle plastic pollution in oceans. Consider this week's learning and the following questions. Then complete your case study essay. Include citations and support. 1. How do you think PwP motivates employees at PepsiCo? 2. Explain the role of goals as a motivational tool. Are there mechanisms outside of goals and incentives that would make PwP motivate employees? 3. How is PwP different from greenwashing? Do you believe that it is a marketing tool, or a fundamental shift in how the business operates? 4. How would PwP be transferred to other industries? Would it be easier or more difficult to achieve it in a smaller company? 5. Would this be the type of company you would be interested in working for? Why or why not?

Answers

1. Performance with Purpose (PwP) motivates employees at PepsiCo by setting sustainability goals that the company aims to achieve. The strategy outlines objectives around healthier products, financial returns, employee support, and limiting the environmental impact of the company.

The goals set for senior executives, country heads, and middle-level managers were used in performance reviews and tied to incentives, which motivated employees to achieve them.

Further, when any major investment was considered, the project champion had to explain how the project would contribute to PwP objectives. PwP motivated employees by tying resource allocation, performance reviews, and incentives to sustainability outcomes.2. Goals serve as a motivational tool because they provide a clear direction for employees to follow.

The role of goals is to provide a sense of purpose and direction to work towards, making it easier for employees to stay focused on the task at hand. Incentives are also another motivational tool that can be used to encourage employees to achieve their goals.

PwP goes beyond goals and incentives to motivate employees. PwP motivates employees by creating a sense of purpose around sustainability outcomes that are important to the employees and the environment.3. PwP is different from greenwashing because it represents a fundamental shift in how PepsiCo operates. Greenwashing is a term used to describe companies that claim to be environmentally friendly without actually taking any significant action.

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Aggregating prospective buyers into groups that have similar needs and will respond similarly to a marketing action is a process known as Blank______. Multiple choice question. SWOT analysis strategic marketing diversification market segmentation the journal entry for an owner withdrawal of funds for personal use includes a Which phrase most helps the Dalai Lama establish pathos?"selfish pursuit of their happiness""my own Buddhist religion""those we consider our enemies""with or without religion"The answer is A. - A loan was repaid in five years by end-of-quarter payments of $1200 at 9. 5% compounded semi-annually. How much interest was paid? In analyzing global consumer behavior, Hofstede describes five different dimensions of national culture, the last of which is called temporal orientation, or Confucian work dynamism. What is temporal orientation and how is understanding this cultural dimension important to global marketing strategy? According to a behavioural economist, a person who is unwilling to sell the last kilogram of rice he purchased for the same price that he paid for it is displayingA) the endowment effect.B) bounded rationality.C) bounded self-interest.D) bounded will-power.E) rational behaviour. Consider the Odebrecht case (Box 4.3 ) and its habit of using bribes and kickbacks to secure project contracts. In what ways is this unethical behavior the fault of the firm, and how is it the fault of the customers? How can an organization develop an ethical culture? Analyzing a Problem International E-Mail ( L.O. 3 ) American writers sometimes forget that people in other countries, even if they understand English, are not aware of the meanings of certain words and phrases. Your Task Study the following e-mail * to be sent by a U.S. firm to a potential supplier in another country. Identify specific weaknesses that may cause troubles for intercultural readers. Dear Akira: Because of the on-again/off-again haggling with one of our subcontractors, we have been putting off writing to you. We were royally turned off by their shoddy merchandise, the excuses they made up, and the way they put down some of our customers. Since we have our good name to keep up, we have decided to take the bull by the horns and see if you would be interested in bidding on the contract for spare parts. By playing ball with us, you are sure to score big with your products. So please give it your best shot and fire off your price list ASAP. We will need it by 3/8 if you are to be in the running. Yours, Exercise: Write an algorithm for:Cooking 2 fried eggs.Exercise: Write an algorithm for:Preparing 2 cups of coffee.Exercise: Write an algorithm for:To replace a flat tire. Read the article:Consistent Application of Risk Management for Selection of Engineering Design Options in Mega-Projects and provide your analysis: Strengths of the article. Consider a population of insects that consists of juveniles (1 year and under) and adults. Each year,20%of juveniles reproduce and70%of adults reproduce.70%of juveniles survive to adulthood the next year and20%of adults survive the year. The transition matrix for this population is then given byA=[ .2.7.7.2]. (a) Find the eigenvalues ofA. What is the dominant eigenvalue 1(largest absolute value)? (b) Find an eigenvector corresponding to the dominant eigenvalue. (c) Divide your eigenvector by the sum of its entries to find an eigenvectorv 1whose entries sum to one that gives the long term probability distribution. (d) Describe what will happen to the insect population long term based on your longterm growth rate 1and corresponding eigenvectorv 1 The caloric consumption of 36 adults was measured and found to average 2,173 . Assume the population standard deviation is 266 calories per day. Construct confidence intervals to estimate the mean number of calories consumed per day for the population with the confidence levels shown below. a. 91% b. 96% c. 97% a. The 91% confidence interval has a lower limit of and an upper limit of (Round to one decimal place as needed.) 1) Suppose that aggregate demand is expressed as AD = c(Y TA) + 1 + G. a) In the context of the Keynesian Cross show what happens to aggregate demand when government expenditures increase. b) Express the change in income from part (a) algebraically.. c) Now suppose instead of raising expenditures as in part (a), the government decides to raise taxes. Show the effect of this policy using the Keynesian Cross. d) Express the change in income algebraically. e) Now suppose that the government raises expenditures and taxes by the same amount. Express the change in income algebraically. Explain your result. ariffs________ are taxes on imported goods, designed to give domestic competitors an advantage in the marketplace by making foreign competitors' goods more expensive than their own products. linda regrets that she and her older brother are not close and, in fact, rarely even speak, so she wants to make sure her children are close. which statement is true of sibling relationships Find an equation of the line that satisfies the given conditions. through the origin parallel to the line through (1,0) and (-2,15) Dallas Corporation prepared the following two income statements: During the third quarter, the company's internal auditors discovered that the ending inventory for the first quarter should have been $7,300. The ending inventory for the second quarter was correct. Required: 1. What effect would the error have on total Income from Operations for the two quarters combined? 2. What effect would the error have on Income from Operations for each of the two quarters? 3. Prepare corrected income statements for each quarter. Ignore income taxes How many iterations are there in the following nested while loop? a=0 b=0while a Convert the following into set builder notation. a1=1.a n =a n1 +n; a1=4.an =4an1 ; IN C++READ EVERYTHING CAREFULLYInstructions:1. Implement one-dimensional arrays2. Implement functions that contain the name of the arrays and the dimension as parameters.Backward StringWrite a function that accepts a pointer to a C-string as an argument and displays itscontents backward. For instance, if the string argument is " Gravity " the functionshould display " ytivarG ". Demonstrate the function in a program that asks the userto input a string and then passes it to the function.A. Implement three functions:1. getentence: Function with two input parameters, the one-dimensional character array and the number of elements within the sentence by reference. The function asks the user for the array and returns the number of characters contained within the sentence.2. getBackward: Function consists of three input parameters, the first parameter is a character array where the original sentence is stored, the second parameter is another character array where the opposite sentence is stored, and the third parameter is the number of characters contained in the array. The function will manipulate a sentence and by using new array stores the sentence with an opposite reading order.3. display: Function has an input parameter consisting of a one-dimensional array, The function prints the content of the character array.B. Implement a main program that calls those functions.