This might be a 'silent' stakeholder, but it must be protected and enhanced Select one: a. Hotel industry b. Environment c. Board d. Attractions sector

Answers

Answer 1

 Environment might be a 'silent' stakeholder, but it must be protected and enhanced (option b).

1. Start by analyzing the options provided: Hotel industry, Environment, Board, and Attractions sector.

2. Consider each option's relevance to being a 'silent' stakeholder and the potential need for protection and enhancement.

3. The hotel industry (option a) may have stakeholders, but they are typically more vocal and actively involved in decision-making processes.

4. The attractions sector (option d) may have stakeholders such as local communities or tourism organizations, but they are usually acknowledged and engaged with.

5. The board (option c) generally consists of individuals with decision-making power rather than being a stakeholder themselves.

6. The environment (option b) is a crucial 'silent' stakeholder as it does not have a voice but can be significantly impacted by human activities.

7. The environment plays a vital role in sustaining life and ecosystems and requires protection and enhancement for future generations.

8. Human activities such as pollution, deforestation, and climate change can harm the environment and its stakeholders, including wildlife and future generations.

9. Therefore, it is essential to prioritize the protection and enhancement of the environment as a 'silent' stakeholder.

10. Measures like sustainable development, conservation efforts, and reducing carbon emissions can help safeguard the environment and its long-term viability.

11. By actively considering the environment as a stakeholder, we can make informed decisions that balance economic development with environmental sustainability. Thus, the correct option is b.

For more such questions on Environment, click on:

https://brainly.com/question/30194704

#SPJ8


Related Questions

Read each case and determine if you would solve the problem as a Kaizen or as a Project:
1. Eliminating non-necessary materials at the nurses station on the Emergency room.
2. Relocating a service from one emergency room to another room in a different location.
3. Evaluating what services will be offered at each one of the hospitals that the company have.
4. Improving the flow of materials at the distribution center.
5. Designing an incentive program that will pay operators by specific performance metrics.
6. Revising the curriculum and new offerings at the university.
7. Ensuring the cleanliness of the facility.

Answers

Kaizen and Project are two different approaches to continuous improvement management. Kaizen is a continuous process and involves ongoing improvements that increase efficiency and reduce costs by making small and incremental changes. On the other hand, a project is a time-bound effort that involves the deployment of a specific solution to resolve a specific problem.

Below is an overview of each case and whether it requires Kaizen or Project:

1. Eliminating non-necessary materials at the nurses station on the Emergency room: This is a Kaizen problem because it involves a continuous improvement process to eliminate non-necessary items gradually.

2. Relocating a service from one emergency room to another room in a different location: This is a project because it is a one-time change of location that requires project planning and implementation.

3. Evaluating what services will be offered at each one of the hospitals that the company has: This is a project because it requires a one-time planning effort to evaluate services offered at each hospital and make appropriate changes.

4. Improving the flow of materials at the distribution center: This is a Kaizen problem because it involves continuous improvement in material flow that will increase efficiency over time.

5. Designing an incentive program that will pay operators by specific performance metrics: This is a project because it requires a one-time design of the incentive program, including its terms and conditions.

6. Revising the curriculum and new offerings at the university: This is a project because it involves a one-time planning and implementation effort to revise the curriculum and course offerings.

7. Ensuring the cleanliness of the facility: This is a Kaizen problem because it involves continuous improvement in facility cleanliness through daily cleaning, sanitation, and maintenance activities.

In conclusion, Kaizen and project management are two different approaches to continuous improvement management. The decision to choose one over the other depends on the nature of the problem and the goals of the organization.

To know more about improvement visit :

https://brainly.com/question/30257200

#SPJ11

Partial balance sheets and additional information are listed be low for Monaco Company Asset Cash Account Receivable Inventory Liabilities Account payable ​
Monaco Company Partial Balance sheet as of December 31
2021
$40,000
60,000
25,000
$60,000

2020
$20,000
90,000
40,000
$72,000

Additional information for 2021 Net income was 270,000 Depreciation expense was $30,000 Sales totaled $800,000 Cost of goods sold totale d $305,000 What is the amount of cash paid to murchandise suppriers during 2021 : A) $302,000 B) \$ 300,000 C) $317,000 D) $308,000

Answers

The cost of goods sold totaled $305,000, sales totaled $800,000, and depreciation expense was $30,000. The amount of cash paid to merchandise suppliers can be determined by the formula:

Change in Account Payable = COGS - Change in Inventory

Let's calculate the changes in account payable for 2020 and 2021.

Account payable for 2020: $72,000 - $20,000 - $90,000 - $40,000 = $-78,000

(Negative value indicates that the company has paid more than it owed in the previous year)

Account payable for 2021: $60,000 - $40,000 - $60,000 = $-40,000

(Negative value indicates that the company has paid more than it owed)

Change in account payable during 2021 is: $-40,000 - $-78,000 = $38,000

The amount of cash paid to merchandise suppliers during

2021 is $305,000 - $38,000 = $267,000.

However, the amount of cash paid should be higher than $267,000 as the company had $40,000 in cash at the beginning of the year and the net income was $270,000

The amount of cash paid to merchandise suppliers during 2021 is more than $267,000, option C) $317,000 is the correct answer.

To know more about sales visit:

https://brainly.com/question/29436143

#SPJ11

Harriman Inc. is considering the purchase of a new rendering machine for its animation facility. The machine costs $79,000 and is expected to have a useful life of eight years, with a terminal disposal value of $23,000. The plant manager estimates the following savings in cash operating costs are expected to be $23,500 per year. However, additional working capital is needed to maintain the operations of the rendering machine. The working capital must continually be replaced, so an investment of $9,500 needs to be maintained at all times, but this investment is full recoverable (will be "cashed in") at the end of the useful life. Harriman Inc.'s required rate of return is 14%. Ignore income taxes in your analysis. Assume all cash flows occur at year-end except for initial investment amounts. Harriman Inc. uses straight-line depreciation for its machines. (Click the icon to view the present value of $1 factors.) (Click the icon to view the present value annuity of $1 factors.) Required Х Required 1. 2. 3. Calculate NPV. Calculate IRR. Calculate AARR based on net initial investment. Calculate AARR based on average investment. You have the authority to make the purchase decision. Why might you be reluctant to base your decision on the DCF methods?

Answers

Harriman Inc. might be reluctant to base their decision on the DCF (Discounted Cash Flow) method because they do not consider the impact of income taxes and there may be uncertainty or subjective factors that are not accounted for in the analysis.

While the DCF methods such as NPV (Net Present Value), IRR (Internal Rate of Return), and AARR (Average Accounting Rate of Return) provide valuable insights into the financial feasibility of an investment, they have their limitations. In this case, the DCF analysis does not consider income taxes, which could significantly impact the cash flows and profitability of the investment.

Additionally, there might be intangible factors or uncertainties that are not captured in the quantitative analysis, such as changes in technology or market conditions, which could affect the actual returns and benefits of the rendering machine. Therefore, relying solely on DCF methods without considering these factors might lead to an incomplete or inaccurate evaluation of the investment decision.

Learn more about DCF (Discounted Cash Flow) from the given link:

https://brainly.com/question/31577162

#SPJ11

the headquarters of a company may decide to move the production of its product from an existing subsidiary to a new subsidiary. what are some of the reasons a company might choose to do so?

Answers

There can be several reasons why a company may choose to move the production of its product from an existing subsidiary to a new subsidiary. Some of the common reasons include:

Cost considerations: The headquarters may identify cost-saving opportunities by moving production to a new subsidiary. This could involve taking advantage of lower labor costs, favorable tax incentives, or access to cheaper raw materials in the new location. Market proximity: The company may want to establish production closer to its target markets to reduce transportation costs, improve supply chain efficiency, and respond more quickly to customer demands. Operational efficiency: The new subsidiary may offer improved production capabilities, advanced technology, or better infrastructure, leading to enhanced operational efficiency and productivity. Regulatory or legal factors: Changes in regulations, trade policies, or legal requirements in the existing subsidiary's location could prompt the company to seek a new subsidiary in a more favorable regulatory environment.

learn more about:-Cost considerations  here

https://brainly.com/question/15095487

#SPJ11

explain in details with a good example
meaning of critical method and advantages and
disadvantages of critical method in project management scdeduling
and cost

Answers

Critical Method is a project management tool used to aid in the planning, scheduling, and control of large, complex projects. The critical path method (CPM) is a mathematical technique used to schedule a set of project activities to complete the project on time.

CPM is used to determine the duration of a project, how to allocate resources, and which tasks are critical to the completion of the project.There are numerous advantages of critical path method, including the ability to allocate resources more effectively, maximize efficiency, identify the most critical activities, and reduce the amount of time and money spent on unnecessary tasks. The critical path method also provides a systematic and objective approach to project management, which can improve project success rates.

Additionally, it provides a better understanding of the project's risks, and it allows for more accurate forecasting and budgeting. The critical path method also has some disadvantages, including the high cost of implementation, the need for specialized software and training, and the possibility of inaccurate estimates due to human error or unexpected events. It may also be challenging to identify all the project's critical activities, particularly in large, complex projects. Finally, it can be challenging to apply the critical path method to projects that have multiple paths or those that are subject to frequent changes

.In conclusion, the critical path method is a valuable tool in project management, and it is beneficial in scheduling and cost control. However, it is essential to weigh its advantages and disadvantages before deciding to use it in a project.

To know more about management  visit :

https://brainly.com/question/32216947

#SPJ11

A. India's metal sector is facing a huge problem to protect itself as India's ave rage tariff in the sector has gone down and there has been a surge of imports. Downstream industries are getting benefitted from the cheaper imports, but it hurts the Upstream large factories. What will be an ideal tariff and non-tariff policy in this case? B. 'Rules of origin' ( RoO ) is an effective tool under FTAs to reduce the import penetration. Describe the concept behind RoO and give an example how this can be strategically used. C. Write the possible implication of External Commercial Borrowing on India's BoP D. Differentiate between tariffs and quota in terms of their welfare impact E. Should we propose for a single currency as soon as the group of countries form an Economic Union?

Answers

The ideal tariff and non-tariff policy in this case could be as follows.

What are they?

For the metal sector in India to protect itself, it could make use of a variety of tariffs and non-tariff barriers.

These could include setting up technical barriers to trade, which will make it difficult for the cheaper imports to comply with the technical standards required to enter the Indian market.

The ideal tariff policy would depend on the nature of the goods and the objective of the policy.

B. The concept behind RoO is that it is a criterion that helps to establish the source of origin of the goods that are being traded in order to determine the country of origin.

For example, if a FTA is between two countries such as India and China, then RoO would help to identify which country's products are eligible for duty-free treatment.

This way, China's products that do not meet the RoO criteria would not be eligible for duty-free treatment in India, thereby limiting the import penetration.

C. Possible implications of External Commercial Borrowing on India's BoP include an increase in the foreign exchange reserves of the country, increased investment, and better economic growth.

The borrowing would lead to more inflows of foreign currency which would help to strengthen the Indian currency and therefore help the country to repay its debts.

However, if the borrowing is not used prudently, it could lead to an increase in the external debt, which could have an adverse effect on the balance of payments of the country.

D. Tariffs are taxes that are imposed on imported goods to raise their prices and make them less competitive in the domestic market.

On the other hand, a quota is a limit on the quantity of a good that can be imported into a country. Tariffs and quotas both have an impact on the welfare of a country.

Quotas, on the other hand, can be more beneficial to domestic producers, but they can also reduce consumer welfare and increase prices.

E. Whether or not a single currency should be proposed as soon as the group of countries form an Economic Union depends on a number of factors.

Some of these factors include the economic conditions of the countries involved, their monetary policies, and the level of economic integration they have achieved.  

Therefore, it may not be feasible for all Economic Unions to adopt a single currency.

To know more on Quotas visit:

https://brainly.com/question/32106410

#SPJ11

Explain in detail company’s Inventory Cost and Shortage Cost and
effective ways to correct stockouts and diligently control
costs.

Answers

The detail company’s Inventory Cost and Shortage Cost and

effective ways to correct stockouts and diligently control

costs.

What is inventory cost?

inventory cost refers to the costs related to keeping and maintaining inventory. It consists of different elements that go towards the total cost of the inventory, including:

Carrying Costs: These costs include warehousing, rent, utilities, insurance, security, and depreciation. They are incurred to hold and maintain inventory.

Costs associated with placing and receiving orders for inventory are referred to as ordering costs. They cover all expenses related to supplier relationships as well as administrative, paper-related, and communication costs.

Holding costs are expenses related to keeping inventories for a predetermined amount of time. They include the opportunity cost, obsolescence, spoilage, and the cost of managing inventory, such as handling, counting, and tracking. They also include the cost of money tied up in inventory.

Costs associated with stockouts: When demand outpaces supply, a shortage of inventory results. Costs associated with stockouts include lost sales, revenue missed, unhappy customers, potential reputational harm, and the requirement for expedited or emergency delivery to complete orders.

Shortage Cost: A particular kind of inventory cost, shortage costs are expenditures related to stockouts or shortages of goods. The effects and costs of not having enough inventory to meet client demand are quantified. The following elements impact shortfall costs:

Lost Sales: The company loses potential sales revenue when clients are unable to acquire products because of stockouts. Missed chances and a decline in market share may arise from this.

Backordering: If a business permits customers to place backorders for out-of-stock items, managing and filling these orders may incur extra costs, such as communication, order processing, and additional shipping fees.

Costs associated with expediting the process: When inventory is not readily available, a business may occasionally need to speed up the production or procurement phases in order to meet pressing client requests. This may entail paying more for supplies or parts, working longer hours, or paying for expedited shipping.

Customer Dissatisfaction: Stockouts may result in disgruntled customers, which may negatively affect a business's reputation, customer loyalty, and future sales.

Effective Techniques for Cost Control and Stockout Correction:

Accurate Demand Forecasting: Using reliable demand forecasting techniques, historical data, market trends, and consumer insights can aid in more precise demand forecasting. As a result, businesses may optimize inventory levels and prevent stockouts.

Safety Stock: Keeping a safety stock or buffer inventory reduces the risk of stockouts brought on by unforeseen changes in demand or supply. A adequate buffer can be obtained by calculating safety stock levels based on lead times, demand fluctuations, and service level objectives.

Streamlining and automating the procurement and replenishment operations can save lead times and lower the risk of stockouts. Efficient replenishment processes. Implementing vendor-managed inventory (VMI) or just-in-time (JIT) systems can help maintain ideal inventory levels while lowering carrying costs.

Collaboration in the supply chain: Working closely with suppliers and sustaining positive relationships can assist increase the transparency and responsiveness of the supply chain. Faster replenishment, shorter lead times, and early stockout warning systems may be made possible through this collaboration.

Inventory Management Systems: Using enterprise resource planning (ERP) systems or advanced inventory management software can offer real-time visibility into inventory levels, demand patterns, and supply chain information. Better decision-making and proactive stockout management are made possible by these technologies.

Continuous Monitoring and Improvement: Problem areas can be found by periodically evaluating and examining inventory data, demand trends, and stockout situations. Processes for inventory management can be made more efficient and less expensive by putting continuous improvement programs, like lean manufacturing or Six Sigma, into practice.

Collaboration Among Departments: It is crucial for several departments, including sales, marketing, and operations, to effectively communicate with one another. Stockouts resulting from erroneous demand predictions can be avoided by coordinating sales estimates with production and procurement strategies.

By putting these techniques into practice, businesses may decrease stockouts, manage inventory more skillfully, and keep expenses under control. This improves customer happiness, boosts sales, and increases profitability.

Learn more about inventory cost here

brainly.com/question/6640325

#SPJ4

On 2 August 2022, Boris Johnson began a new business, called Starbucks Inc., company delivering high quality coffee and beverages. The following transactions were completed by the business during May: 2 Aug Issued to Boris 10,000 shares of capital stock in exchange for his investment of 3,500,000€ cash. 3 Aug Purchased a store of 1000 square meters for 3,780,000€ paying 780,000 cash and signing a note payable for the balance. The interest rate for the Note payable is 3% on annual terms, and it will be paid at maturity which will be August 3 rd 2025


. 4 Aug Purchased machinery for 1,500,000€ in order to be prepared to deliver the product to its customers, and paid cash. 5 Aug Purchased Equipment for 500.000€, he paid 40% cash and received an invoice stating that the remaining amount would be paid October 6 Aug Hired 5 employees with an average annual salary of 16.000€, the employees will be paid at the end of every month. 7 Aug Signed an insurance contract for 24.000€, and paid cash. 8 Aug Acquired raw materials for an amount of 300.000, the agreed payment terms were on account 30 days. 31 Aug Sold products until raw materials stock was finished for 1.000.000 to different customers, all sales were paid in cash. Plese compleater the exercise using information from Problem 1:
. Adjusting entries.
Salaries earned by Starbucks employees that have not yet been recorded or paid amount to 6.667€.
Depreciation of the building is based on an estimated life of 20 years. The straight-line method is used.
Depreciation of the machines is based on an estimated life of 10 years. The straight-line method is used.
Depreciation of the Equipment is based on an estimated life of 10 years. The straight-line method is used.
Unrecorded Income Taxes Expense accrued in August amounts to 60,000. This amount will not be paid until January 15, 2023.
No interest expense has been recorded or paid.
No insurance expense has been recorded or paid.
student submitted image, transcription available below
2) Post the adjusting entries onto the appropriate ledger T accounts. Calculate and show the ending balance for each T account (The same T accounts that you have used in problem 1).
3) Prepare a trial balance.

Answers

Adjusting entries Salaries earned by Starbucks employees that have not yet been recorded or paid are €6.667.

Depreciation of the building is based on an estimated life of 20 years. The straight-line method is used. 3780000/20=189000

Depreciation Expense of Building = 189000

Depreciation of the machinery is based on an estimated life of 10 years.

The straight-line method is used. 1500000/10 =150000

Depreciation Expense of Machinery = 150000

Depreciation of the Equipment is based on an estimated life of 10 years. The straight-line method is used. 500000/10=50000 Depreciation Expense of Equipment = 50000

Unrecorded Income Taxes Expense accrued in August amounts to €60.000. This amount will not be paid until January 15, 2023.

Income Tax Expense = €60.000

Deferred Tax Liability = €60.000

No interest expense has been recorded or paid. Interest Expense = €0

No insurance expense has been recorded or paid. Insurance Expense = €0Ledger T Accounts

For the year ending December 31, 2022, prepare an income statement, a retained earnings statement, and a balance sheet for Starbucks, Inc. using the T accounts.

Trial balance Particulars Debit Credit Cash €3,520,000

Capital Stock €3,500,000

Building €3,780,000

Accumulated Depreciation of Building €0

Machinery €1,500,000

Accumulated Depreciation of Machinery €0

Equipment €500,000

Accumulated Depreciation of Equipment €0

Raw Materials €300,000

Notes Payable €3,000,000

Interest Payable €0

Salaries Payable €6,667

Insurance Payable €0

Income Taxes Payable €60,000

Sales €1,000,000

Cost of Goods Sold €300,000

Depreciation Expense of Building €189,000

Depreciation Expense of Machinery €150,000

Depreciation Expense of Equipment €50,000

Interest Expense €0

Insurance Expense €0

Salaries Expense €6,667

Income Tax Expense €60,000

Total €11,776,667 €11,776,667

To know more about Insurance visit:

https://brainly.com/question/989103

#SPJ11

Margaret has a project with a $29,000 first cost that returns $4000 per year over its 10 -year life. It has a salvage value of $4000 at the end of 10 years. If the MARR is 13 percent, what is the future worth of this project after 10 years? What is the discounted payback period for this project? Assume the savings are earned at year-end. Click the icon to view the table of compound interest factors for discrete compounding periods when i=13%. The future worth of the project in 10 years is about $ (Type an integer or decimal rounded to two decimal places as needed.) Determine the discounted payback period for the project. Select the correct choice below and, if necessary, fill in the answer box to complete your choice. A. The discounted payback period for the project is year(s), which is less than the life of the project. (Round up to the nearest whole number.) B. The discounted payback period for the project is greater than the life of the project.

Answers

The future worth of the project after 10 years is about $4,139.44. The discounted payback period for the project is 8 years.

Future worth is the worth of an amount of money at some time in the future, after considering the effects of the interest rate.

The formula to find the future worth of the project after 10 years is:

F = P(F/P,i,n) + S(F/P,i,n)

Where

P = Annual worth of the project = $4000

i = MARR = 13%

n = Life of the project = 10 years

S = Salvage value = $4000

Using the compound interest factors for discrete compounding periods, we can find the future worth of the project:

F = P(F/P,i,n) + S(F/P,i,n) = $4000(F/P,13%,10) + $4000(F/P,13%,10) = $4000(9.9243) + $4000(9.9243) = $4,139.44

Hence, the future worth of the project after 10 years is about $4,139.44.

Discounted payback period is the time required for the cumulative discounted cash inflows from a project to equal the initial investment.

The formula to find the discounted payback period for the project is:

Discounted payback period = Number of years before cumulative discounted cash inflows = Initial investment

Here,

Initial investment = $29,000

Cash inflow at year 1 = $4000

Cash inflow at year 2 = $4000(1+0.13)^-1 = $3541.59

Cash inflow at year 3 = $4000(1+0.13)^-2 = $3143.75

Cash inflow at year 4 = $4000(1+0.13)^-3 = $2787.83

Cash inflow at year 5 = $4000(1+0.13)^-4 = $2466.69

Cash inflow at year 6 = $4000(1+0.13)^-5 = $2174.15

Cash inflow at year 7 = $4000(1+0.13)^-6 = $1905.44

Cash inflow at year 8 = $4000(1+0.13)^-7 = $1656.11

Cumulative cash inflow at year 7 = $29,000 – $4000 – $3541.59 – $3143.75 – $2787.83 – $2466.69 – $2174.15 – $1905.44 = $1190.35

Remaining cash inflow in year 8 = $1656.11 – $1190.35 = $465.76

Hence, the discounted payback period for the project is 8 years.

Learn more about the compound interest: https://brainly.com/question/14295570

#SPJ11

What is the harmonic mean of 2,5 , and 8 ? b) You have a portfolio of two stocks in which 25% is invested in stock AB and 75% in stock CD. The price-to earnings ratio (P/E) for stock AB is 18 whereas the price-to earnings ratio (P/E) for stock CD is 75. i) What is the P/E ratio for the portfolio using the weighted arithmetic average? ii) What is the P/E ratio for the portfolio using the harmonic average?

Answers

a) To find the harmonic mean of 2, 5, and 8, we can use the following formula: Harmonic mean = number of values / (1/value1 + 1/value2 + 1/value3)Substituting the given values, we get:

Harmonic mean = 3 / (1/2 + 1/5 + 1/8)Harmonic mean = 3 / (0.5 + 0.2 + 0.125)Harmonic mean = 3 / 0.825Harmonic mean ≈ 3.636

b) i) To find the P/E ratio for the portfolio using the weighted arithmetic average, we need to multiply the P/E ratio of each stock by the percentage of the portfolio invested in that stock, add up the products, and divide by the total percentage of the portfolio invested.

P/E ratio for stock AB = 18P/E ratio for stock CD = 75Percentage of portfolio invested in stock AB = 25%Percentage of portfolio invested in stock CD = 75%Using the formula for weighted arithmetic average, we get: P/E ratio for the portfolio = (18 x 0.25) + (75 x 0.75)P/E ratio for the portfolio = 4.5 + 56.25P/E ratio for the portfolio = 60.75

ii) To find the P/E ratio for the portfolio using the harmonic average, we need to calculate the harmonic mean of the P/E ratios of the two stocks.

P/E ratio for stock AB = 18P/E ratio for stock CD = 75Using the formula for harmonic mean, we get: P/E ratio for the portfolio = 2 / (1/18 + 1/75)P/E ratio for the portfolio = 2 / (0.0555 + 0.0133)P/E ratio for the portfolio = 2 / 0.0688P/E ratio for the portfolio ≈ 29.07.

To Know more about arithmetic average,

https://brainly.com/question/28278424

#SPJ11

The development of Computerized Information Systems could be due to the environment factors. Identify and explain an Information System which could be developed in the market or industry due to the following factors. You are required to discuss how the factor contributes to the development of the identified Information System:
a. Increment of global competition
b. Encouragement the usage of public transport.
c. Rapid usage of E-Commerce
d. Increment of working couples

Answers

The development of Computerized Information Systems (CIS) has been impacted by a wide range of environmental factors. In this context, this essay is aimed at identifying and explaining the information system which could be developed in the market or industry due to the following factors such as increment of global competition.

Encouragement of the usage of public transport, rapid usage of E-Commerce, and an increment of working couples. 1. Increment of Global Competition The development of the Supply Chain Management (SCM) information system can be explained by the increment of global competition in the market.

In today’s world, it is essential for the organization to have strong and effective SCM as the competition is increasing day by day. SCM is a system that manages and coordinates the movement of products and services from the supplier to the consumer.

This system optimizes the product’s flow in a supply chain to achieve maximum customer value and minimize the costs. Therefore, SCM has been developed to face global competition to optimize the production process and product delivery to the customers.

2. Encouragement of the Usage of Public Transport The Intelligent Transport System (ITS) information system is an example of an information system that could be developed due to the encouragement of the usage of public transport. ITS uses advanced technologies to improve transport efficiency, safety, and traffic management.

The system optimizes the use of transportation infrastructures by reducing congestion, emissions, and accidents. This system has been developed to encourage the use of public transport, as it promotes a greener and more sustainable environment.  

To know more about competition visit:

https://brainly.com/question/28189773

#SPJ11

suppose you watch a show about flowers on televison, and you bought a greenhouse in order to grow and sell flowers, then the greenhouse would be counted as when measuring gdp.

Answers

The purchase of a greenhouse for the purpose of growing and selling flowers would indeed be included when measuring GDP (Gross Domestic Product).

GDP is a measure of the total value of goods and services produced within a country during a specific time period. It includes all final goods and services that are produced for consumption, investment, government spending, and exports.

In this scenario, the purchase of a greenhouse falls under the category of investment. Investment refers to the creation or acquisition of new physical assets, such as machinery, buildings, and equipment, that are used in the production of goods and services.

By buying a greenhouse, you are making a capital investment to support your flower-growing business. The greenhouse is a physical asset that will be used in the production process to cultivate and grow flowers. As a result, the purchase of the greenhouse would be considered an investment expenditure, and it would contribute to the GDP of the country.

To summarize, the purchase of a greenhouse for growing and selling flowers would be included in GDP because it represents a capital investment, which is an important component of economic activity and contributes to the overall production of goods and services in a country.

Know more about Gross Domestic Product here:

https://brainly.com/question/32169010

#SPJ11

Historically, the members of the chess club have had an average height of 5 ′
6 ′′
with a standard deviation of 2 ". What is the probability of a player being between 5 ′
4 ′′
and 5' 10"? (Submit your answer as a whole number. For example if you calculate 0.653 (or 65.3\%), enter 65.)

Answers

To find the probability of a player being between 5' 4" and 5' 10" given that the members of the chess club have had an average height of 5'6" with a standard deviation of 2", we need to use the normal distribution function .Let us assume that X is the height of the player, which follows a normal distribution.

 Then, we can write: X  ~ N(μ, σ²)where μ = 5' 6" = 66" (average height of the chess club) and σ = 2" (standard deviation of the chess club).We need to find the probability of the height of a player being between 5' 4" and 5' 10". That is, we need to find P(64 ≤ X ≤ 70).

We can standardize the normal distribution function to get the probability. That is, we can convert the given height values to z-scores using the formula: z = (X - μ) / σUsing the values, we get :

z₁  = (64 - 66) / 2 = -1z₂ = (70 - 66) / 2 = 1 The probability can now be calculated as:

P(64 ≤ X ≤ 70) = P(-1 ≤ z ≤ 1)We can look up the standard normal distribution table or use a calculator to find this probability. Using the calculator, we get :

P(-1 ≤ z ≤ 1) = 0.6826 (rounded to four decimal places).

Therefore, the probability of a player being between 5' 4" and 5' 10" is 68% (rounded to the nearest whole number).  

To know more about probability visit:

https://brainly.com/question/31828911

#SPJ11

Dmitri is a manager at a local pizza parloc, One day, you hear him say to his employees, "We provide the best service of any delivery service in the areal" Dmitri is expressing Jake works as a financial analyst for Walmart. Ha feeis that Walmart has a toxic environment because many of the senior executives share the values of people who are only in business to make money. Jake feeis that business should beneht society - not just making money for shareholders, but also giving money back to the community. When you ask Jake how he determined Walmart's culture, he telis you that he listens to the stories that managers tell everyday in the cafeteria. These stories are and they are a story a belief an assumption a value he assumptions is en artifacts beliefs values assumptions visible invisible invisible

Answers

The first scenario involving Dmitri, the pizza parlor manager, indicates that he is expressing a belief or assumption about the quality of service provided by the establishment. The statement, "We provide the best service of any delivery service in the area," represents a belief held by Dmitri.

In the second scenario, Jake, the financial analyst at Walmart, is using stories shared by managers in the cafeteria to determine the culture of the company. These stories represent artifacts, as they are observable and tangible manifestations of the company's culture.

Beliefs, assumptions, values, and artifacts are all components of organizational culture. Beliefs are the convictions or ideas held by individuals, while assumptions are underlying notions taken for granted. Values represent the principles and standards that guide behavior and decision-making. Artifacts are the observable elements of culture, such as stories, symbols, rituals, or physical objects.

In the context of the scenarios, Dmitri's statement reflects his belief about the quality of service, indicating a particular perception or mindset. On the other hand, Jake's use of stories as indicators of Walmart's culture highlights the role of artifacts in understanding and assessing organizational culture. By paying attention to these cultural components, individuals can gain insights into the values, norms, and beliefs that shape an organization's identity and practices.

To learn more about financial analyst visit: brainly.com/question/31860956

#SPJ11

Some time ago, Tracie purchased 11 acres of land costing $100,000. Today, that land is valued at $65,000. How long has she owned this land if the price of the land has been decreasing by 5.0 percent per year? 9.50 years 11.20 years 8.40 years 10.75 years 7.80 years

Answers

Let's begin solving the problem by using the formula below; $A=P(1+r)^n$.Given: Tracie purchased 11 acres of land costing $100,000 and today, that land is valued at $65,000.

The price of the land has been decreasing by 5.0 percent per year.The value of the land decreases at a rate of 5% per year, which means that the value of the land will be equal to 100% - 5% = 95% of its previous year. So, the value of the land after one year is $65,000 * 95% = $61,750.The formula for the future value of a present value is given as; $A=P(1+r)^n, where A is the future value, P is the present value, r is the interest rate per year expressed as a decimal, and n is the number of years.

To know more about formula visit:

https://brainly.com/question/30333793

#SPJ11

which step in the appraisal process involves communication of the appraiser's opinions and conclusions?

Answers

The step in the appraisal process that involves communication of the appraiser's opinions and conclusions is the Reconciliation Step. This is the last step in the appraisal process, where an appraiser presents their opinion of value derived from their research and analysis.

Appraisal process-

An appraisal process is a methodical approach of determining an estimate of value. It involves research, analysis, and communication of the appraiser's opinions and conclusions.

It can be broken down into different steps, including:

Step 1: Define the problem

Step 2: Preliminary survey and property description

Step 3: Determine the appraisal approach

Step 4: Data collection and analysis

Step 5: Reconciliation of value indications

Step 6: Final appraisal report

Communication of the appraiser's opinions and conclusions happens in the last step of the appraisal process, known as the reconciliation step. In this step, the appraiser presents their opinion of value that is derived from the research and analysis done in the previous steps. The appraiser also needs to explain how they arrived at the opinion of value, describe the scope of work, and provide supporting documentation.

The final report should be clear, concise, and complete. It should be able to support the opinion of value and provide credible evidence to support it. The report should also be in compliance with the Uniform Standards of Professional Appraisal Practice (USPAP). This will ensure that the appraisal report is reliable, accurate, and professional.

To summarize, the step in the appraisal process that involves communication of the appraiser's opinions and conclusions is the Reconciliation Step, which is the last step of the appraisal process.

Learn more about the appraisal process from the given link-

https://brainly.com/question/31645682

#SPJ11

a balance of trade surplus indicates an excess of imports over exports. true false

Answers

The given statement "a balance of trade surplus indicates an excess of imports over exports" is False. A balance of trade surplus indicates an excess of exports over imports.

It is a condition where the country's export value is higher than its import value in a specific period of time. In other words, it occurs when a country's export value exceeds its import value, resulting in a positive trade balance.

A trade surplus is preferred over a trade deficit as it means that a country is earning more money through its exports than it is spending on imports.

This can lead to an increase in foreign currency reserves, which can be used for investment or to pay off debts. The trade surplus can also result in increased employment opportunities and economic growth in the country. Thus, a balance of trade surplus indicates that a country is exporting more goods and services than it is importing.

To know more about surplus visit:

https://brainly.com/question/30622657

#SPJ11

8. What are the typical main functions of a central bank? 9. Identify and describe the tests under which a client can become an elective professional client. In addition, suggest why you would want to have this status. 10. Briefly explain the four-yield curve theories which suggests the curve is not flat.

Answers

8. The typical main functions of a central bank are: - Monetary policy: Formulating and implementing policies to control money supply, interest rates, and inflation.

 - Currency issuance: Managing the issuance and distribution of currency and ensuring its stability.

  - Banker to the government: Acting as a fiscal agent for the government, conducting auctions of government bonds, and managing public debt.

  - Banker to commercial banks: Providing services to commercial banks, such as maintaining reserve requirements and acting as a lender of last resort.

  - Financial stability: Supervising and regulating banks and financial institutions to maintain overall stability in the financial system.

  - Exchange rate management: Managing foreign exchange reserves and influencing exchange rates to support economic goals.

9. The tests for a client to become an elective professional client depend on regulations and may vary between jurisdictions. Generally, a client can qualify as an elective professional client if they meet specific criteria, such as:

  - Sufficient experience: Having a certain level of experience in the financial industry.

  - Sufficient knowledge: Possessing knowledge of the products or services being offered.

  - Sufficient assets: Meeting certain financial thresholds for investment.

  - Requesting professional status: Voluntarily requesting to be treated as a professional client.

Having elective professional client status can offer certain benefits, such as:

  - Access to a wider range of investments and services.

  - Potentially lower costs or fees associated with transactions.

  - Fewer regulatory protections and disclosures, allowing for more flexibility and tailored services.

10. Four yield curve theories that suggest the curve is not flat are:

  - Expectations theory: States that the shape of the yield curve reflects market participants' expectations of future interest rates. If investors expect rates to rise, the curve may be upward sloping.

     - Liquidity preference theory: Argues that investors generally prefer shorter-term investments due to the lower risk and higher liquidity they offer. This preference can lead to an upward sloping yield curve.

     - Market segmentation theory: Suggests that the yield curve is determined by the supply and demand dynamics of different maturity segments of the bond market. If demand is higher for a specific maturity segment, its yield may be lower, causing the curve to slope.

     - Preferred habitat theory: Proposes that investors have preferred maturity segments but may be willing to move outside their preferred "habitat" if compensated with higher yields. This theory suggests that the yield curve can have different shapes depending on the preferences of investors.

These theories challenge the assumption of a flat yield curve and highlight the various factors that can influence its shape.

Learn more about central bank here:

https://brainly.com/question/33035403

#SPJ11

explain this 5 points ( each point explain maximum 50 words)
3.0 SWOT ANALYSIS
(Strengths)
1. open job opportunities
2. complete facility to create a course
3. not compete with other stores
4. workers who can do various fields of work
5. Good relationship with the work department

Answers

Open job opportunities: The company has the potential to create employment opportunities, which can contribute to economic growth and attract skilled individuals to work for the organization.

1. Open job opportunities: By offering job opportunities, the company can contribute to reducing unemployment rates and boosting the local economy. This strength can attract talented individuals who are seeking employment and help the company build a skilled and diverse workforce.

2. Complete facility to create a course: Having a complete facility to create a course allows the company to develop and offer comprehensive educational programs. This strength ensures that the company can design and deliver high-quality courses, attracting students who value a well-rounded learning experience.

3. Not competing with other stores: With no direct competition, the company has a unique advantage in the market. It can capture a larger customer base without facing intense rivalry, giving it an opportunity to establish itself as a prominent player in the industry and potentially enjoy higher profitability.

4. Workers with diverse skill sets: The presence of workers who can handle various tasks and responsibilities benefits the company in multiple ways. It enhances operational efficiency by reducing the need for outsourcing or hiring additional staff, allows for flexibility in resource allocation, and supports a culture of continuous learning and development within the organization.

5. Good relationship with the work department: A positive relationship with the work department promotes effective communication, collaboration, and coordination within the company. It enables smoother operations, minimizes conflicts or delays, and enhances overall productivity and efficiency. Additionally, a good relationship with the work department can contribute to a positive organizational culture and employee satisfaction, leading to higher retention rates and better performance.

To learn more about economic growth click here: brainly.com/question/30280812

#SPJ11

u.s. legislation known as the blank______ makes it a crime for companies to bribe officials of a foreign government in order to obtain or retail business in another country.

Answers

U.S. legislation known as the Foreign Corrupt Practices Act (FCPA) makes it a crime for companies to bribe officials of a foreign government in order to obtain or retain business in another country.

The FCPA was enacted in 1977 and is aimed at combating bribery and corruption in international business transactions. It prohibits U.S. companies, as well as certain foreign companies listed on U.S. stock exchanges, from engaging in corrupt practices abroad. The FCPA's anti-bribery provisions make it illegal to offer, promise, or give anything of value to foreign officials to influence their actions in obtaining or retaining business. The legislation also requires companies to maintain accurate books and records and to have internal controls in place to prevent bribery. The FCPA has had a significant impact on promoting ethical business practices and transparency in international transactions.

learn more about:- Foreign Corrupt Practices Act here

https://brainly.com/question/30626255

#SPJ11

Valuation of Goodwill and Consideration Paid In 2013, the online travel company priceline.com, Inc. acquired KAYAK Corporation, a travel meta-search website. Amounts paid related to the acquisition were as follows (dollars in thousands): The fair values of identifiable assets acquired and liabilities assumed are listed below. Required a. Calculate the acquisition cost for KAYAK. Calculate the amount of acquisition expense reported on priceline.com's income statement in 2013. b. Calculate priceline.com's net credit to additional paid-in capital for this acquisition. Round amounts to the nearest thousand, if necessary. c. Calculate the amount of goodwill mec.

Answers

The consideration paid for the acquisition of KAYAK must be added together in order to determine the acquisition cost: - $1,636,268 was paid in cash as consideration. - $1,674,703 worth of equity instruments issued$375,000 is the contingent consideration.

Cost of transactions: $41,320 Cash paid + Equity instruments issued + Conditional consideration + Transaction charges = $1,636,268 + $1,674,703 + $375,000 + $41,320 = $3,727,291 as the acquisition cost for Kayak. The following costs must be taken into account when determining the acquisition expense reported on Priceline. com's income statement for 2013: Transaction costs equal $41,320 when recorded as an acquisition expenditure on the income statement. For this acquisition, we must subtract the fair value of the identifiable net assets acquired from the acquisition cost in order to determine priceline. com's net credit to extra paid-in capital: Liabilities assumed - Acquired identifiable assets yields the fair value of net assets acquired. = $1,793,525 - $20,525 = $1,773,000 Acquisition cost - Fair value of identified net assets purchased = $3,727,291 - $1,773,000 = $1,954,291 Net credit to extra paid-in capital Finally, we deduct the fair value of identifiable net assets from the acquisition cost to determine the amount of goodwill recognised: Goodwill is calculated as follows: Acquisition cost ($3,727,291) - Fair value of identifiable net assets acquired ($1,773,000) = $1,954,291 As a result, $1,954,291 worth of goodwill was recognised in this acquisition.

learn more about cost here:

https://brainly.com/question/14566816

#SPJ11

A risk-averse manager is considering two projects. The first project involves expanding the market for bologna; the second involves expanding the market for caviar. There is a 10 percent chance of recession and a 90 percent chance of an economic boom. The following table summarizes the profits under the different scenarios. Which project should manager undertake, and why? Project Boom (90%) Recession (10%) Mean Standard Deviation Bologna -$10,000 $12,000 -$7,800 $6,600 Caviar 20,000 -8,000 17,200 8,400 Joint 10,000 4,000 9,400 1,800 Safe (T-Bill) 3,000 3,000 3,000 0

Answers

A risk-averse manager is considering two projects. The first project involves expanding the market for bologna; the second involves expanding the market for caviar.

The following table summarizes the profits under the different scenarios.

Project Boom (90%) Recession (10%) Mean Standard Deviation Bologna [tex]-$10,000 $12,000 -$7,800 $6,600Caviar $20,000 -$8,000 $17,200 $8,400Joint $10,000 $4,000 $9,400 $1,800Safe (T-Bill) $3,000 $3,000 $3,000 $0[/tex]Given the table, the project the manager should undertake is expanding the market for caviar, and the reason for it is because the average profit is greater than 100.

The formula used to calculate this is as follows:

Mean profit of Caviar = [tex]90% * $20,000 + 10% * -$8,000[/tex]

= [tex]$18,000 - $800[/tex]

=[tex]$17,200Since $17,200[/tex] is more than 100, it is safe to say that the manager should undertake the project of expanding the market for caviar.

To know more about risk-averse manager visit:

https://brainly.com/question/33249357

#SPJ11

Present Value for Various Compounding Periods Find the present value of $550 due in the future under each of the following conditions. Do not round intermediate calculations. Round your answers to the nearest cent. 9% nominal rate, semiannual compounding, discounted back 5 years. $ 9% nominal rate, quarterly compounding, discounted back 5 years. $ 9% nominal rate, monthly compounding, discounted back 1 year. $'

Answers

The present value under 9% nominal rate, semiannual compounding is $368.04, 9% nominal rate, quarterly compounding is $365.76 and 9% nominal rate, monthly compounding is $520.71.

PV = [tex]FV / (1 + r/n)^(n*t)[/tex]

Where:

PV = Present Value

FV = Future Value

r = Nominal interest rate

n = Number of compounding periods per year

t = Number of years

1. 9% nominal rate, semiannual compounding, discounted back 5 years:

PV = [tex]$550 / (1 + 0.09/2)^(2*5)[/tex]

PV ≈ $368.04

2. 9% nominal rate, quarterly compounding, discounted back 5 years:

PV = [tex]$550 / (1 + 0.09/4)^(4*5)[/tex]

PV ≈ $365.76

3. 9% nominal rate, monthly compounding, discounted back 1 year:

PV = [tex]$550 / (1 + 0.09/12)^(12*1)[/tex]

PV ≈ $520.71

Learn more about Nominal interest rate here:

brainly.com/question/32615546

#SPJ4

CHANG Corp. has 10-year bonds outstanding that pay a coupon of 9 percent. Assume that these bonds are priced at $890 and coupon payments are made semiannually.
What is the current yield on these bonds?
Group of answer choices
4.50%
9.00%
10.29%
10.11%
10.59%
PreviousNext

Answers

The current yield on the bond is the coupon payment divided by the price of the bond. Here, CHANG Corp. has 10-year bonds outstanding that pay a coupon of 9 percent.

Assume that these bonds are priced at 890 and coupon payments are made semiannually. We need to calculate the current yield on these bonds as follows.

Calculating the annual coupon payment

Annual coupon payment = Coupon rate * Face value of bond

Annual coupon payment = 9% * 1000

Annual coupon payment = 90

Calculating the price of the bond in semiannual installments

Number of semiannual payments = 10 years * 2 semiannual payments per year

Calculate the semiannual coupon payment by dividing the annual coupon payment by 2. In this case, it is $90 / 2 = $45.

Determine the semiannual interest rate by dividing the annual interest rate by 2. For example, if the annual interest rate is 9%, the semiannual interest rate would be 4.5%.

Calculate the present value factor using the formula: Present value factor (n,i%) = 1 - [1 / (1+i%[tex])^n][/tex], where n is the number of semiannual periods and i% is the semiannual interest rate.

Compute the present value of each semiannual coupon payment by multiplying the semiannual coupon payment by the present value factor for the respective number of semiannual periods.

Calculate the present value of the face value of the bond using the same present value factor formula.

Determine the price of the bond by summing the present value of the semiannual coupon payments and the present value of the face value of the bond.

Calculate the current yield on the bonds by dividing the annual coupon payment by the price of the bond.

Convert the current yield into a percentage to obtain the correct option.

Therefore, the sorted paragraph, based on the Brainly platform, would be as follows:

Number of semiannual payments = 20.

Semiannual coupon payment = Annual coupon payment / 2.

Semiannual coupon payment = $90 / 2 = $45.

Semiannual interest rate = 9% / 2 = 4.5%.

Calculate the present value factor (n,i%) using the formula: Present value factor (n,i%) = 1 - [1 / (1+i%)^n].

Calculate the present value of each semiannual coupon payment using the formula: Semiannual coupon payment * Present value factor (n,i%).

Calculate the present value of the face value of the bond using the formula: Face value of bond * Present value factor (n,i%).

Calculate the price of the bond by summing the present value of the semiannual coupon payments and the present value of the face value of the bond.

Calculate the current yield on the bonds by dividing the annual coupon payment by the price of the bond.

Convert the current yield into a percentage to obtain the correct option, which is (E) 10.59%.

To know more about coupon visit:

https://brainly.com/question/32114615

#SPJ11

The economy of Macroland experienced a 4% growth in GDP, a 2% decline in unemployment rate, and a 2% inflation rate. This economy is probably

Answers

The economy of Macroland experienced a 4% growth in GDP, a 2% decline in unemployment rate, and a 2% inflation rate. This economy is probably growing.

The scenario concerning the economy of Macroland, which showed a 4% increase in GDP, a 2% drop in the unemployment rate, and a 2% inflation rate, points to the economy moving in a favourable path.

Hence, this economy is probably in an expansionary phase or is growing.

This is because the factors such as growth in GDP and decrease in unemployment rate are the major indicators of economic growth, while inflation is a measure of rising prices and reduced purchasing power.

The economic growth or expansion can be defined as an increase in the level of economic production or output or real GDP of an economy.

It is usually accompanied by a decline in unemployment and inflation rates. So, the economy is probably growing.

To learn more about the economy from the given link.

https://brainly.com/question/28210218

#SPJ11

what is the balance, or tradeoff, between a lower deductible and a higher premium?

Answers

The tradeoff between a lower deductible and a higher premium is that a lower deductible leads to higher premium payments, while a higher deductible results in lower premium payments.

When choosing an insurance plan, a deductible is the amount the policyholder must pay out of pocket before the insurance coverage kicks in. A lower deductible means the insurance company assumes a larger portion of the risk, resulting in higher premium payments to compensate for that additional coverage. On the other hand, a higher deductible means the policyholder is responsible for a larger portion of the initial costs before insurance coverage applies. Consequently, the insurance company assumes less risk, leading to lower premium payments. Ultimately, the decision between a lower deductible and a higher premium or a higher deductible and a lower premium depends on an individual's financial situation, risk tolerance, and anticipated healthcare needs.

Learn more about premium payments here:

https://brainly.com/question/32245085

#SPJ11

CASE STUDY
NALEDI BRANDS – BUSINESS ETHICS
Naledi Brands is a fast-moving consumer goods (FMCG) company, producing and distributing wheat and maize products in bulk to wholesalers and retailers. The business operates primarily in southern African countries including Namibia, Botswana, Zambia, Mozambique, and Swaziland.
The chief executive officer (CEO) of Naledi Brands recently appointed a chief operating officer (COO) responsible for the general management of all southern African operations.
In an urgent meeting, the group marketing director brought it to the attention of the COO that wholesalers in both Swaziland and Botswana were accusing the business of manipulating prices. The COO launched an internal investigation immediately and involved an internal auditing, compliance, and risk team.
Early into the investigation, the head of the auditing committee came across numerous issues related to dubious business practices. She decided to report without delay to the COO. A serious concern was that a prospective customer overheard a marketing manager of Naledi Brands’ Botswana operation talking to his peer in a competitive company. He disclosed that Naledi Brands was launching a big promotion of a popular maize brand in Botswana and discounted prices. He requested the competitor not to respond with a so-called price ‘war’. In exchange, he undertook to react in the same manner if the competitor were to do a similar promotion in the future. An agreement was reached.
Many other non-compliance issues surfaced:
• Contracts were given to distributors in return for personal favours.
• Sales representatives negotiated with customers to order large quantities of product.
This would result in good commission earnings for the reps to be shared with the procurement managers of the customers.
• Credit notes were issued to customers for damaged packaging. Packaging was in reality never damaged. The sales reps would receive shopping vouchers.
• Company vehicles were used as taxis for extra income.
• Suppliers were ‘forced’ to provide feedstock at ridiculous discounts in exchange for single-source contracts.
• Traditional leaders were offered the usage of company resources for personal gain for distribution storage to be erected in communities.
The CEO was shocked and very upset. He retained an external forensic firm to investigate further as he was of the opinion that only the surface was scratched by the internal audit.
Source: Erasmus, B., Rudansky-Kloppers, S., Strydom, J. (Eds.) (2019). Introduction to
Business Management. 11th edition. Oxford University Press: Cape Town.
1.1. In developing a business ethics and code of conduct policy for Naledi Brands, state what elements you would include.

Answers

Developing a business ethics and code of conduct policy for Naledi Brands would include the following elements: Accountability: It means the company takes responsibility for the choices they make. The leadership team and the Board of Directors are responsible for making sure that the company is always doing the right thing.

Naledi Brands will maintain high ethical standards and comply with all regulations and laws. All employees should be aware of their responsibility to report concerns to the right person or department. Ethics training: Employees and management will be required to complete a business ethics and code of conduct training program.

The training should include an explanation of the company's policies and procedures, information on what is and is not acceptable behavior, and a discussion of ethical dilemmas. decision-making: All employees should be encouraged to make ethical decisions in their daily work.

They should be encouraged to think about the ethical implications of their actions and consider alternative solutions when faced with ethical dilemmas. Compliance: Employees should be made aware of the company's policies and procedures, and should be trained on how to comply with them.

The company will comply with all laws and regulations in the countries it operates in. Transparency:Employees, customers, suppliers, and other stakeholders should have access to information about the company's ethical policies and practices. The company should be transparent about its business practices and decisions.

To know more about leadership visit:

https://brainly.com/question/28487636

#SPJ11

 

The 5 criteria that are necessary for successfully identifying market segments are measurable, accessible, substantial, differentiable, and actionable. How does marketing online make meeting these criteria more (or less) challenging? Discuss

Answers

Marketing online can both enhance and complicate the process of meeting the five criteria necessary for successfully identifying market segments: measurable, accessible, substantial, differentiable, and actionable. Let's explore how each criterion is affected:

1) Measurable:

Online marketing provides a wealth of data and analytics tools that can significantly enhance the measurability of market segments. Marketers can track website traffic, user behavior, engagement metrics, conversion rates, and other key performance indicators (KPIs) more easily.

2) Accessible:

Online platforms have made it easier than ever to reach a broad audience, regardless of geographic location. With digital advertising, marketers can target specific segments based on demographics, interests, behavior, and other parameters.

3) Substantial:

Online marketing has the potential to reach a vast number of people due to the global nature of the internet. This makes it easier to identify and target substantial market segments.

4) Differentiable:

Online marketing provides opportunities for customization and personalization, enabling businesses to tailor their messages and offerings to specific market segments.

5) Actionable:

Online marketing platforms offer various interactive features that can facilitate direct interactions with customers, such as online surveys, live chat support, and social media engagement. These tools enable businesses to gather valuable feedback and insights from their target segments, making market segmentation strategies more actionable.

Learn more about Marketing here : brainly.com/question/27155256
#SPJ11

1. Discuss why international organizations can provide smaller states (like the
Philippines) an opportunity for stronger economic power. (10 pts.)
2. Explain the main purpose of the following international organizations: (15 pts.)
a. United Nations (UN)
b. International Monetary Fund (IMF)
c. World Bank (WB)
3. Define regional economic integration. Why is it important? (10 pts.)
4. Briefly explain the following functions of regional integration. (15 pts.)
a. Creation of enabling environment for private sector development
b. Contribution to peace and security in the region
c. Strengthening of the region’s interactions with other regions of the world

Answers

1. International organizations can provide smaller states (like the Philippines) an opportunity for stronger economic power through several means.

Second, these organizations can help to facilitate free trade between countries, allowing smaller states to access more lucrative markets without the tariffs or other restrictions that might be imposed otherwise. Finally, international organizations often provide technical assistance and expertise in areas such as infrastructure, education, and healthcare, which can help smaller states to build their human capital and compete more effectively in the global economy.

To know more about International visit:

https://brainly.com/question/31944920

#SPJ11

Assuming that you were interested in purchasing an income producing property which types of risk are most important to you? Should they each receive equal weighting when analyzing real estate? Why or why not?

Answers

When it comes to purchasing an income-producing property, several risks come to mind.

However, there are three risks to consider when analyzing real estate.

They include market risk, credit risk, and liquidity risk.

When it comes to the weight to give each of these risks, there isn't an equal weight measure that fits all.

Depending on the investor's specific objectives and overall portfolio, each risk should be assigned a different weight. For instance, the younger the investor, the greater the amount of risk they can afford to take on.

Therefore, an investor with a higher risk appetite would allocate more weight to market risk than a less aggressive investor would.

An investor with a lower tolerance for risk would want to allocate more weight to liquidity and credit risk when evaluating a potential investment property.

In most cases, an investor should try to balance these risks, though it's not necessarily a 1:1:1 ratio.

In most cases, the market risk carries more weight than credit and liquidity risks since it determines the overall potential return on the investment.

In conclusion, understanding these three risks and the impact they have on your investment is crucial. It is best to seek the help of experts when analyzing an investment opportunity to get a detailed analysis of the risks involved and how to mitigate them.

To know more about liquidity visit:

https://brainly.com/question/33481896

#SPJ11

Other Questions
TRUE/FALSE. unilever, a worldwide leader in consumer products, follows a brand strategy in its personal care division with 21 brands (axe, dove, noxzema, ponds, etc.) that operate independently of one another 0.059 and 0.01 which is greater? It is known that 20% of households have a dog. If 10 houses are chosen at random, what is the probability that: a. Three will have a dog - b. No more than three will have a dog. Part 1. True or falseDirection: Read the statements and identify whether True or False. (5 X 1 Mark= 5 Marks)1- Organizational Behavior studies the influence that individuals, groups, and structure have on behavior within organizations.2- Organizations are becoming a more heterogeneous mix of people in terms of gender, age, race, ethnicity, and sexual orientation.3- Self- esteem is the basic need in the Maslows Hierarchy of Needs Theory.4- An individuals patterns of behavior are usually determined by the individuals race.5- There is no such thing as an occupational requirement regarding sexual orientation. antibodies are excluded using rbcs that are homozygous for the corresponding antigen because____. Despite the fact that billions of dollars are spent annually on security. No computer system is immune to attacks or can be considered entirely secure. why it is difficult to defend against today's attackers? What do youthink can be done to stem the flood of attacks? Do companies do enough to secure your data? according to lyubomirsky (2008), the following is not a happiness myth in which people tend to believe: Let S = {(x1, y1),(x2, y2), ,(xn, yn)} be a set of n points where all coordinates are real numbers. A point (xi , yi) is called a Pareto optimal point if for every other (xj , yj ) S, at least one of the following two inequalities hold:xi > xjyi >xj. If we are interested in finding only one Pareto optimal point in S, could you design a worst-case O(n)-time algorithm to find it? You must include an analysis of the O(n) running time of your algorithm. (c) If the points in S are sorted by their x coordinates and each point in S has a unique x coordinate, could you design a worst-case O(n)-time algorithm to find all Pareto optimal points in S ? You must include an analysis of the running time of your algorithm. [9] (a) By showing detail calculation in Boolean simplify the following.: {c}+\mathbf{c} \cdot{d}=? . (Note c,d are Boolean variables) (b) Fill the following table (a and b are Boo Write a essay to Quinn or Rashad,should they protest what happened to Rashad?why or why not? .List employee number and their total sales using subtotalRedo number 1 using ROLL UPRedo Number 1 using CUBE.List employee number, last name, total sales, their rank based on total sales in Desc order.Redo number 4 using DENSE rankList top 25% of employees (EMPLOYEE_NO) and their total sales (highest to lowest). Use NTILE functionRedo number 4 for only employees with rank higher than 4 If you were writing a topically organized document describing in detail themajor skills new parents need, which text feature would most likely help youkeep your points clear and organized?A. Italicized encouragementsB. Flow chart arrowsC. Boldfaced subheadingsD. Numbered steps what information is discovered from gathering demographic data Write notes on: (20 Marks)a) Technology Transfer b) Economic Ratios Audra Smith, President and owner of All-Pro Real Estate Professionals is seeking your assistance in designing a database for her business. One of her employees has experience in developing and implementing Accessbased systems but has no experience in conceptual or logical data modeling. So, at this point Audra only wants you to develop a conceptual data model for her system. You are to use the entity-data diagramming notation with Crows foot symbols. Audra has some very specific needs for her system. There are several aspects of the business that need to be represented in the data model. Of central interest are properties that are listed or sold by the company. Note that a separate division of All-Pro handles raw land, so your system only has to deal with developed property. For all types of properties, Audra wants to keep track of the owner (client), the listing and selling dates, the asking and selling prices, the address of the property, the Multiple Listing Service (MLS) number, and any general comments. In addition, the database should store the client that purchases a property. There are some specialized data that need to be stored, depending on the type of property. For single family houses she wants to store the area (for example UCF or Conway), the size of the house in square feet, the number of bedrooms and baths, the size of the garage (for example, 2 car), and the number of stories. For condominiums, the database should track the name of the complex, the unit number, the size in square feet, the number of bedrooms and baths, and the type of community (coop or condo). For commercial properties, she needs to know the zoning, size in square feet, type (industrial, retail, or office), and the general condition of the property. You will want to use the Supertype/Subtype notation for Property to Property-Type (Single-Family, Condo, Commercial). Audra also wants the database to store information about her real estate agents, such as their name, home address, home phone number, mobile phone number, email address, and their real estate license number. Also, the database should track which agent lists and sells each piece of property. Note that she has a separate system that tracks selling agents and listings from outside brokerages, so you don't have to worry about external agents. However, sometimes a property will be listed and sold by the same All-Pro agent, but other times one All-Pro agent will list a property, and another will sell it. Of course, Audra thinks that it would be good to have the database track information about All-Pro's clients, such as their name, phone number, and street and email addresses. Also, she wants to be able to record comments about the client. AllPro offers referral fees to clients who refer potential customers to the brokerage. The database should store these referral relationships between clients, including the amount and date of the referral payment. Note that only one client can be paid for a referral. In other words, it is not possible for two clients to be paid for referring the same client. Finally, Audra wants to be able to use the database to examine the effectiveness of various advertising outlets. For each outlet, the database should store the name of the outlet (for example, realestate.com or the Orlando Sentinel), the main contact person and their phone number. She also wants to know how much it cost to advertise each property on any outlet used, and when a property was advertised on each outlet used for that property. Keep in mind that a property may be advertised on multiple outlets, and that the cost of advertising on an outlet might vary from property to property. Create an entity relationship diagram that captures Audra's database requirements. The ERD should indicate all entities, attributes, and relationships (including maximum and minimum cardinalities). Also, be sure to indicate primary key attributes. You must draw the ERD using computer software such as Visio, Draw.IO, etc. In addition, you must resolve all M: N (many-to-many) relationships and multi-valued attributes. State any assumptions you make. Remember that your assumptions must be reasonable and must not violate any stated requirements. Think through the entities, and attributes for each entity. Hint: You will have around 7 entities (maybe more). system analysis for the admin page:- add package?- view the consultation report that carried out by the counselor?- edit the list of consultations on the main page.?I need to know how to do these pages:1) view the admin of the consultations report carried out by the cosultant?2) add packages for the consultations?3)edit the list of consultations in the main page? a. Draw the use case diagram for the following situation "To conduct an exam, one student and atleast one teacher are necessary" b. Draw the use case diagram for the following situation "A mechanic does a car service. During that service, it might be necessary to change the break unit." c. Draw the Class diagram for the following situation "An order is made with exactly one waiter, one waiter handles multiple orders" Refer to figure 9-22: suppose the government imposes a tariff on $20 per unit. The amount of revenue collected by the government from the tariff is . You receive the following email from the Help Desk: Dear UoM Email User, Beginning next week, we will be deleting all inactive email accounts to create space for more users. You are required to send the following information to continue using your email account. If we do not receive this information from you by the end of the week, your email account will be closed. You can also use the link www. uofmauthentichelpdesk.com/form mentioned in the email to complete the form "Name (first and last): "Email Login: "Password: "Date of birth: "Alternate email: Please contact the Helpdesk Team with any questions. Thank you for your immediate attention. end the message- a) What are the problems (or unusual) with this email (give all possible reasons)? b) What should you do if you receive such an email? A __________ structure provides one alternative path of execution. a. sequence b. single-alternative decision c. one-path alternative d. single-execution decision