true or false international strategies are complex and therefore produce greater uncertainty for the firm.

Answers

Answer 1

The statement international strategies are complex and therefore produce greater uncertainty for the firm is true as This is because of expanding into international markets.

It involves dealing with different legal systems, regulations, cultures, currencies, and political environments, which can all create uncertainty and risk for the firm. International expansion may also require significant investment in resources such as market research, transportation, logistics, and infrastructure, which can be costly and may not always produce a guaranteed return on investment.

Additionally, international strategies require firms to adapt their products and services to local markets, which can be challenging and time-consuming. All of these factors contribute to the greater complexity and uncertainty associated with international strategies.

To know more about international strategies here

https://brainly.com/question/31427230

#SPJ4


Related Questions

which of the basic organizational functions records all financial activity from billing customers to paying employees? multiple choice marketing accounting production research question 27 of 30 total 27

Answers

Accounting is the basic organizational function that records all financial activity from billing customers to paying employees.

Accounting involves the process of identifying, measuring, recording, and communicating financial information. This includes maintaining records of all transactions, preparing financial statements, and ensuring compliance with relevant laws and regulations. The accounting department is responsible for managing financial resources and providing accurate and timely financial information to support decision-making within the organization. Without effective accounting practices, a company would not be able to accurately track its financial performance or make informed business decisions.

Learn more about Accounting: https://brainly.com/question/13310721

#SPJ11

Which of the following is an unusual employee benefit, as discussed in the Business News Daily article?
a. "All of the other answers are correct."
b. Three pints of ice cream every day
c. Student loan paydown assistance
d. A focus on family

Answers

Three pints of ice cream every day is an unusual employee benefit, as discussed in the Business News Daily article. Option A is correct

Business News Daily is an online publication that provides news, insights, and resources for small businesses and entrepreneurs. It covers a wide range of topics including finance, marketing, technology, management, and more. The publication also provides a platform for experts to share their knowledge and advice with readers.

An online publication is a website or digital platform that publishes news, articles, and other types of content for public consumption. Unlike traditional print publications, online publications are accessed via the internet, typically through a web browser or mobile app. Online publications often cover a wide range of topics, from breaking news and politics to lifestyle and entertainment, and can be either free or require a subscription for access to certain content.

To learn more about  employee benefit,,   here

https://brainly.com/question/12143528

#SPJ4

vcutter enterprises purchased equipment for $93,000 on january 1, 2024. the equipment is expected to have a five-year life and a residual value of $5,700. using the double-declining-balance method, depreciation for 2024 and the book value on december 31, 2024, would be:

Answers

Answer:

Under the double-declining-balance method, the annual depreciation expense is calculated as a percentage of the book value of the asset at the beginning of the year, and the percentage is double the straight-line rate.

The straight-line rate is calculated as 1 / useful life, which in this case is 1/5 = 0.20 or 20%. Double that rate gives us the double-declining-balance rate of 2 x 20% = 40%.

So, for the first year, the depreciation expense would be:

Depreciation expense = Book value at beginning of year x Double-declining-balance rate

Depreciation expense = $93,000 x 40%

Depreciation expense = $37,200

The book value at the end of the first year would be:

Book value = Cost - Accumulated depreciation

Book value = $93,000 - $37,200

Book value = $55,800

For the second year, the depreciation expense would be:

Depreciation expense = Book value at beginning of year x Double-declining-balance rate

Depreciation expense = $55,800 x 40%

Depreciation expense = $22,320

The book value at the end of the second year would be:

Book value = Cost - Accumulated depreciation

Book value = $93,000 - $37,200 - $22,320

Book value = $33,480

The book value on December 31, 2024, would be the same as the book value at the end of the second year, which is $33,480.

Therefore, the depreciation for 2024 would be $37,200 and the book value on December 31, 2024, would be $33,480.

Roy contracts to sell his Double-R Ranch to Sam on May 1. On April 20, Roy tells Sam that he will not go through with the deal. Sam files a suit against Roy. Sam can recover
a. the cost of any ranch that would suit him.
b. the cost of a similar, nearby ranch.
c. the Double-R Ranch.
d. nothing.

Answers

Sam and Roy have a deal for Roy to sell his Double-R Ranch on May 1. Roy informs Sam that he will not complete the transaction on April 20. Sam accuses Roy in court. Sam is able to get back the Double-R Ranch. Option c is Correct.

When one party to a contract gives notice that they do not plan to comply, the other party is expected to mitigate damages, which means they must make reasonable measures to stop additional losses as a result of the breach.

Nominal damages are intended to penalise a wrongdoer and serve as a warning to prevent future instances of the same behaviour. In general, liquidated damages clauses are not enforceable. For the violation of a contract to nominate someone or something to a higher office, nominal damages are given. Option c is Correct.

Learn more about Ranch party Visit: brainly.com/question/31255346

#SPJ4

Suppose you are borrowing money at a 10% annual nominal interest rate. To pay as little as possible, which one of the following compounding frequencies should you prefer?
Group of answer choices
a. weekly
b. monthly
c daily
d annually

Answers

Assume you are taking out a loan with a nominal interest rate of 10% per year. If you want to pay as little as possible, everyday is one of the following compounding frequencies. Option c is Cotrrect.

You should choose a daily compounding frequency if you want to pay as little as possible on a loan with a nominal interest rate of 10% annually. This is due to the fact that interest compounds more often the more it will accrue and raise your overall debt over time.

Daily compounding, in contrast to less frequent compounding frequency like monthly, weekly, or annually, implies that interest is computed and applied to the loan balance every day. This might result in a cheaper overall interest expense.  Option c is Cotrrect.

Learn more about nominal interest Visit: brainly.com/question/25816355

#SPJ4

Describe the circumstances that will result in a tragedy of the commons.

Answers

A tragedy of the commons occurs when a shared resource, such as a grazing pasture or fishery, is overused and depleted because individuals or groups act in their own self-interest instead of considering the well-being of the community as a whole.

This can happen when there is no clear ownership or regulation of the resource, leading to a "free-for-all" mentality where individuals compete to extract as much benefit as possible without concern for the long-term consequences.
In such circumstances, each individual may reason that they can gain the most by exploiting the resource as much as possible before someone else does, leading to a race to the bottom where everyone loses. As the resource becomes depleted, it becomes more difficult for any individual to benefit from it, but they may still continue to extract as much as possible, leading to its complete collapse. To prevent tragedies of the commons, it is necessary to establish clear ownership, regulation, and incentives for sustainable use of shared resources. This can involve creating property rights, establishing quotas or limits on usage, or promoting cooperation and communication among users.

to know about tragedy of the commons visit:

https://brainly.com/question/29221557

#SPJ11

What does the current ratio inform you about a company.

Answers

The current ratio describes the relationship between a company's assets and liabilities. So, a higher ratio means the company has more assets than liabilities.

A current ratio shows the capacity of your business to produce money to meet its momentary commitments. For instance, with an ongoing proportion of 4 methods the organization could take care of its ongoing liabilities multiple times over. A decrease in this proportion can be owing to an expansion in momentary obligation, a lessening in current resources, or a blend of both.

The current ratio estimates an organization's capacity to pay current, or present moment, liabilities (obligation and payables) with its current, or present moment, resources (money, stock, and receivables).

Learn more about current ratio:

https://brainly.com/question/28214599

#SPJ4

the chief executive of telecommco, a large telecommunications company, wants to restructure the organization so that product leaders would have more power than the executives in charge of each region. the regional executives try to prevent this restructuring because it would weaken their power and possibly reduce their salaries in the long term. the product leaders also put up some resistance because they feel that things work just fine the way they are. this action by the regional executives is primarily an example of resistance due to which of the following? multiple choice negative valence of change breaking routines not-invented-here syndrome fear of the unknown

Answers

The resistance by the regional executives is primarily an example of resistance due to the fear of the unknown.

They fear that the restructuring would weaken their power and reduce their salaries in the long term. They are comfortable with the current system and are unsure of how the proposed changes would affect them. The product leaders, on the other hand, resist the restructuring due to the not-invented-here syndrome, as they feel that things work just fine the way they are. Overall, resistance to change is common in organizations, and it is important for leaders to understand the underlying reasons behind it to effectively manage and implement change.

To learn more about executives, visit:

https://brainly.com/question/29758081

#SPJ11

Describe one benefit for RDM of having a good CSR program.

Answers

One benefit of having a good Corporate Social Responsibility (CSR) program for Research Data Management (RDM) is that it enhances the organization's reputation and brand image.

One benefit of having a good Corporate Social Responsibility (CSR) program for Research Data Management (RDM) is that it enhances the organization's reputation and brand image. A robust CSR program can demonstrate an organization's commitment to sustainability, ethical practices, and community involvement, which can attract customers, investors, and collaborators who share those values. For RDM, this can be particularly important as stakeholders increasingly expect research organizations to not only produce high-quality research but also to demonstrate responsible data management practices. A good CSR program can showcase an organization's efforts to protect data privacy, ensure data security, and promote data sharing for the greater good. Furthermore, a strong CSR program can help foster a culture of ethical behavior and social responsibility within the organization, which can ultimately lead to better decision-making, increased employee satisfaction, and improved relationships with stakeholders.

For more such questions on Research Data Management

https://brainly.com/question/29310787

#SPJ11

in 1982, a chemical company owned a lake and used both the lake and surrounding woodland as a dumping ground for millions of gallons of toxic waste chemicals. in 1989, the chemical company sold the property to its vice president, who built an office park. in 2001, the vice president sold the development to an investor, who tore down the offices and built an amusement park. the investor borrowed half of the $500,000 purchase price from a bank. in 2004, the epa informed the investor that the amusement park was built on a toxic dump and that the lake was a bubbling stew of deadly chemicals. clean-up costs would be nearly $1 billion. based on these facts, who is responsible for the clean-up under sara?

Answers

Under SARA (Superfund Amendments and Reauthorization Act), the current owner or operator of a property is typically responsible for the clean-up of hazardous waste.

In this case, the investor who built the amusement park and currently owns the property would likely be responsible for the clean-up costs. However, they may also have legal recourse to pursue the previous owners (the chemical company and the vice president) for any liability they may have had in the hazardous waste disposal. Based on the given facts, under the Superfund Amendments and Reauthorization Act (SARA) of 1986, the potentially responsible parties for the cleanup of the toxic waste site are:

The chemical company that originally dumped the toxic waste chemicals in the lake and surrounding woodland in 1982. The vice president who purchased the property from the chemical company and built an office park in 1989. The investor who bought the property from the vice president, demolished the offices, and built an amusement park in 2001. Under SARA, all parties involved in the generation, transportation, or disposal of hazardous substances may be held responsible for cleanup costs.

To know more about Superfund Amendments and Reauthorization Act visit :

https://brainly.com/question/29854691

#SPJ11

marquis decides to bank with first national bank (fnb). he opens a checking account by making a $1,000 cash deposit. as a result of this transaction, the bank's reserves

Answers

As a result of Marquis' transaction, the bank's reserves will increase by $1,000.

When Marquis makes a $1,000 cash deposit, the bank receives the deposit and adds it to its reserves. The bank can then use a portion of these reserves to make loans or other investments, while still maintaining a required level of reserves as mandated by regulations. The increase in reserves is due to the fact that the deposit is a liability of the bank, and the bank is required to hold a certain percentage of deposits as reserves.

It's important to note that the increase in reserves does not mean that the bank has more money to lend out immediately. The bank still needs to follow lending regulations and ensure that it has sufficient reserves to cover potential withdrawals or other obligations. However, the increase in reserves does provide the bank with more flexibility to make loans and investments in the future.

Learn more about “ bank's reserves “ visit here;

https://brainly.com/question/16196841

#SPJ4

What is the importance of the triple constraints / the scope triangle?.

Answers

The triple restrictions are useful for project management since they provide as a visual reminder of how decisions will affect various aspects of your project. The cost, schedule, and budget of a project must be carefully planned, managed, carried out, and tracked.

Everyone participating can now more clearly grasp how each constraint on the triangle interacts with the others thanks to the triple constraint theory. As a result, it will be simpler for you and your team to respond to changes as they occur. The success of the project depends on its expenses, timeline, and scope, according to the Triple Constraints of Project Management.

To learn more about management, click here.

https://brainly.com/question/29023210

#SPJ4

Which of the following steps in the systems definition process aims to eliminate obviously nonsensible projects?A) defining the system goals and scopeB) forming the project teamC) assessing the project feasibilityD) planning the project

Answers

The correct option is C. Assessing the project feasibility aims to eliminate obviously nonsensible projects in the systems definition process.

Feasibility refers to the assessment of the practicality and viability of a proposed business idea or project. It involves evaluating the potential risks and rewards of the venture and determining if it is financially, technically, and operationally feasible.

A feasibility study typically involves analyzing various factors such as the market demand for the product or service, the competitive landscape, the available resources and infrastructure, the legal and regulatory requirements, and the financial projections. The purpose of a feasibility study is to provide the stakeholders with valuable insights into the strengths, weaknesses, opportunities, and threats of the proposed venture. It helps them make informed decisions about whether to pursue the project, modify it, or abandon it altogether.

To learn more about Feasibility visit here:

brainly.com/question/30839666

#SPJ4

the table below lists annual consumer price index and inflation rates for a country over the period 2005-2010. assume the year 2005 is used as the base year.year cpi inflation rate2005 1002006 115 b2007 125 c2008 140 d2009 a 10 10 160 erefer to table 24-1. what belongs in space c?

Answers

Option c: 12%. In the table below, which shows the annual consumer price index and inflation rates for each nation from 2005 to 2010, 2008 140 12% belongs in space d.

Increased costs for the goods and services that people buy represent an inflation rate. It is calculated as the rate at which those prices are changing. Prices tend to increase over time, but they can also decrease. The rate at which prices increase over a specific time period is known as the inflation rate.

For instance, if the cost of goods and services in frugality is now $103 while it was $100 previously, the inflation rate is also $3. More jobs and higher stipends boost household inflows and consumer spending, which boosts aggregate demand and gives businesses the green light to raise the pricing of their goods and services. When this occurs across a significant number of industries and businesses, inflation rates rise.

To learn more about  inflation rates, here:

https://brainly.com/question/31551021

#SPJ4

Complete question:

table 24-1 the table below lists annual consumer price index and inflation rates for a country over the period 2005-2010. assume the year 2005 is used as the base year. year consumer price index inflation rate 2005 100 2006 115 b 2007 125 c 2008 140 d 2009 a 10% 2010 160 e refer to table 24-1. what belongs in space d? group of answer choices

154

40%

12%

15%

refer to the above figures for the typical firm in a competitive market. which of the following describes the long-run competitive equilibrium? responses a when market demand is at d2, the typical firm produces q2.when market demand is at d 2 , the typical firm produces q 2 . b when market demand is at d3, the typical firm produces q3.when market demand is at d 3 , the typical firm produces q 3 . c when market demand is at d2, the typical firm produces q3.when market demand is at d 2 , the typical firm produces q 3 . d when market demand is at d3, the typical firm produces q2.

Answers

In a competitive market, firms are price-takers and must accept the market price. The long-run competitive equilibrium occurs when the market price is such that the typical firm earns zero economic profit, which means that the firm is covering all of its costs including opportunity costs. This occurs at the point where the market demand intersects the long-run average cost curve, which is represented by the point where the firm produces q3 in response to market demand d3. Therefore, the correct answer is b: when market demand is at d3, the typical firm produces q3. In this situation, the firm is producing the quantity that minimizes its long-run average cost and is earning zero economic profit. Any deviation from this quantity would result in the firm not being able to cover all of its costs in the long run, and the market would eventually adjust back to this equilibrium.

which of the following represents the best reason a manufacturer of high-end products might consider selling products in a warehouse club?

Answers

Option a: The manufacturer overestimated demand or has a great deal of returned merchandise from other retailers represents the best reason a manufacturer of high-end products might consider selling products.

Demand in economics refers to a consumer's willingness and desire to purchase a product or service at a particular price. When the price of a product or service increases, demand usually decreases. As the price of a product increases, so does the quantity required.

Consumers and businesses are very familiar with the concept of demand. Because the demand makes sense and arises organically in the process of almost every day. For example, if the price of a product is low, buyers watching it will buy more of the product. When prices rise, such as at the turn of the season, consumers may buy less or stop buying altogether.

To learn more about demand, here:

https://brainly.com/question/30402955

#SPJ4

Complete question:

1. Which of the following represents the best reason a manufacturer of high-end products might consider selling products in the warehouse club?

The manufacturer overestimated demand or has a great deal of returned merchandise from other retailers

The manufacturer underestimated demand or has a great deal of returned merchandise from other retailers

The opportunity cost of attending university is likely to include all except which of the following?
a) the cost of haircuts received during the school term
b) the income you forgo in order to attend classes
c) tuition fees
d) the cost of required textbooks

Answers

The opportunity cost of attending university encompasses various factors that represent potential benefits given up while pursuing higher education. However, among the options provided, the cost of haircuts received during the school term (option a) is not part of the opportunity cost.

Option b, the income you forgo to attend classes, is a significant component of the opportunity cost. When students attend university, they often give up full-time employment or limit their work hours, which results in lost potential earnings.

Option c, tuition fees, is another element of the opportunity cost. To attend university, students usually have to pay for their education, which could be spent on alternative investments or consumption if they decided not to pursue higher education.

Lastly, option d, the cost of required textbooks, contributes to the opportunity cost. Purchasing textbooks is necessary for most university courses, and the funds spent on them could be allocated to other uses if a student chose not to attend university.

In summary, the opportunity cost of attending university consists of the income forgone to attend classes, tuition fees, and the cost of required textbooks. However, the cost of haircuts during the school term is not part of the opportunity cost, as it is an unrelated personal expense.

For more such questions on Opportunity cost.

https://brainly.com/question/13036997#

#SPJ11

for year 20x1, zero motorcycles earns $30mm of ebit. if the firm's tax rate is 30% and it pays 10% interest on $100mm of debt, what is its ni for 20x1? assume the firm's taxable income is equal to its ebt.

Answers

Net income (NI) is calculated by taking EBIT and subtracting taxes and interest payments. In this case, the NI can be calculated as follows:

EBIT - Taxes - Interest Payments = NI

30,000,000 - (30,000,000 x 0.30) - (100,000,000 x 0.10) = 21,000,000

Therefore, the firm’s NI for 20x1 is $21,000,000. This calculation is based on the assumption that the firm’s taxable income is equal to its EBT. The two figures should be the same because a company’s EBT is equal to its pre-tax income minus any operating expenses. Once the operating expenses have been subtracted, the remaining sum will be the same as the taxable income.

To know more about Net income, click here:

https://brainly.com/question/15570931

#SPJ4

A recreational watersports dealer reduced the price of its new jet skis by $1,000 in hopes of generating more sales. However, the lower price only resulted in a few more sales of the jet skis. This represents an elastic demand situation. T/F?

Answers

The given statement "A recreational watersports dealer reduced the price of its new jet skis by $1,000 in hopes of generating more sales. However, the lower price only resulted in a few more sales of the jet skis. This represents an elastic demand situation" is false.

This situation represents an inelastic demand situation. The elasticity of demand is a measure of how sensitive the quantity demanded of a good or service is to changes in its price.

Inelastic demand means that the quantity demanded of a good or service is not very responsive to changes in its price. If the price of a jet ski is reduced by $1,000 and the resulting increase in sales is only a few units, it implies that consumers are not very sensitive to price changes and will still buy the product regardless of the price change. This is an indication of inelastic demand.

In contrast, if the price reduction had resulted in a significant increase in sales, it would have been an elastic demand situation. In an elastic demand situation, consumers are highly sensitive to price changes and a small reduction in price can lead to a significant increase in sales.

Therefore, the statement in the question is false, and the situation represents an inelastic demand scenario. The price reduction did not lead to a significant increase in sales, indicating that consumers are not very sensitive to price changes in the case of jet skis.

To know more about price refer here:

https://brainly.com/question/29976014#

#SPJ11

which investment would you select under the payback method?multiple choice 1investment ainvestment bif the inflow in the fifth year for investment a was $25,000,000 instead of $25,000, would your answer change under the payback method?

Answers

Under the payback method, the investment that would be selected is the one with the shortest payback period. The payback period is the time it takes for the investment to recoup its initial cost from the cash inflows it generates. So, if we have two investment options, and investment A has a payback period of 2 years while investment B has a payback period of 4 years, we would select investment A since it would recoup its initial cost in a shorter period.

Now, if the inflow in the fifth year for investment A was $25,000,000 instead of $25,000, the payback period would be affected. If the inflow increased, the payback period would be shorter, and if the inflow decreased, the payback period would be longer. Therefore, if the inflow increased to $25,000,000, the payback period would be shorter, and investment A would be an even more attractive option under the payback method.
However, it's important to note that the payback method has limitations and should not be the only factor considered when making investment decisions. It does not take into account the time value of money, the risk of the investment, or the potential for future cash flows beyond the payback period. Therefore, it's essential to evaluate investments using other methods, such as net present value or internal rate of return, to make informed decisions.

for more such questions on  investment

https://brainly.com/question/25790997

#SPJ11

Zeke was good friends with four guys on his track team in high school, and he's kept in touch with them in the decade since they graduated. Each year they get together at least once over the holidays, and they make a point to wear the running shoes they wore for their last high school meet even though they're completely beaten up and barely fit. The shoes serve which symbolic function to Zeke and his friends. a Emblematic b Role Acquisition c Ritualistic d Expressiveness e Connectedness

Answers

The symbolic function that the running shoes serve to Zeke and his friends is most likely the Ritualistic function.

Ritualistic function refers to the role that a ritual or ceremony plays in a culture or society. It is concerned with the ways in which rituals reinforce social relationships, values, and beliefs. Rituals may be performed to mark important events, such as births, weddings, and funerals, or to celebrate religious or cultural holidays. They may also be used to signal the beginning or end of a particular stage of life or to mark the transition from one social role to another. In this way, rituals play an important role in shaping the way that individuals understand and interact with the world around them.

The act of getting together over the holidays and wearing their old, beaten-up running shoes from high school is a symbolic ritual that reinforces the strong bonds of friendship and camaraderie they developed as teammates on the track team.

To learn more about  Role Acquisition  here

https://brainly.com/question/30930469

#SPJ4

janet sells a share of harper short at $9.80 per share, and at some future date covers her short position (gets out of his short position) when harper is trading at $14.70. what is janet's profit or loss on the trade?

Answers

Since the question states that she covered her position at a higher price, we can conclude that Janet made a profit of $4.90 per share, or $490 if she sold 100 shares.

To calculate Janet's profit or loss on the trade, we need to consider the difference between the selling price and the covering price. Janet sold a share of Harper short at $9.80 and covered her position when Harper was trading at $14.70, which means the difference is $14.70 - $9.80 = $4.90 per share. If Janet sold one share, her profit would be $4.90. However, we don't know how many shares Janet sold, so we need to take that into account. If Janet sold 100 shares, her profit would be $490 (100 shares x $4.90 per share). On the other hand, if Janet covered her position at a price lower than the selling price, she would have incurred a loss instead of a profit.

To learn more about share, visit:

https://brainly.com/question/13642744

#SPJ11

which of the following belong to the five cs of pricing? (select all that apply.) multiple select question. corporations company objectives consistency costs channel members

Answers

The five Cs of pricing are important factors to consider when setting prices for products or services. These Cs include:

Customer value: Understanding the value that customers place on the product or service.Costs: Taking into account the costs involved in producing and delivering the product or service.Competition: Understanding the competitive landscape and the pricing strategies of competitors.Channel members: Considering the impact of intermediaries, such as distributors and retailers, on pricing.Company objectives: Ensuring that pricing aligns with the company's overall objectives and strategies.

Therefore, the correct options are: company objectives, consistency, costs, and channel members.

Learn more about Cs of pricing

https://brainly.com/question/28215606

#SPJ4

If the portfolio variance were equal to zero, the amount of risk would be _____.
a.unity
b.a positive number greater than 1
c.negative always
d.zero

Answers

If the portfolio variance were equal to zero, the amount of risk would be zero.

Portfolio variance is a measure of the dispersion of returns of a portfolio. If the portfolio variance were equal to zero, it would mean that there is no variability in the returns of the portfolio. In other words, all the investments in the portfolio have the same return. This would result in a risk-free portfolio because there is no uncertainty or variability in the returns. Therefore, the amount of risk would be zero.

In finance, risk is defined as the potential for loss or variability of returns. Investors are always looking for ways to minimize risk while maximizing returns. Diversification is a strategy that can help reduce risk by investing in a variety of assets that are not highly correlated with each other. By spreading investments across different assets, investors can reduce the impact of any one asset's poor performance on their overall portfolio.

To learn more about portfolio variance visit:

brainly.com/question/17120935

#SPJ11

a(n) model is a method for deciding among alternative systems based on a system of ratings for selected objectives. data definition scorecard case scoring object

Answers

A scoring model is a simple way to choose between various systems using a system of ratings for particular purposes. Using scoring models, different systems are given a single grade based on how well they achieve the chosen goals.

It evaluates how well a company is performing at every level, from CEOs to operational staff to data workers. It gauges performance using quantifiable metrics. It evaluates the business processes that are both internally and externally focused.

Determining a decision, acquiring data, and weighing potential solutions are all steps in the decision-making process. The four key business metrics that are measured by the balanced scorecard are learning and growth, business operations, clients, and finances.

To learn more about company, click here.

https://brainly.com/question/30532251

#SPJ4

The Grossman‐Stiglitz paradox implies that there will always be room for active management.
a. true
b. false

Answers

b. False. While the Grossman-Stiglitz paradox does suggest that active management may face significant challenges in generating abnormal returns, it does not necessarily imply that there will always be room for active management in the investment industry.

The Grossman-Stiglitz paradox suggests that in an efficient market, it is difficult for investors to consistently earn abnormal returns, since all available information is already reflected in stock prices. This implies that it is difficult for active managers to outperform the market over the long term, since they must not only overcome transaction costs and management fees but also generate returns that exceed the market's average return.

Therefore, the Grossman-Stiglitz paradox does not necessarily imply that there will always be room for active management. In fact, many investors have turned to passive investing strategies such as index funds and exchange-traded funds (ETFs), which seek to track the performance of a particular market index rather than trying to beat it. Passive investing has become increasingly popular in recent years, due in part to the belief that active management is unlikely to consistently outperform the market.

Learn More about investment industry here :-

https://brainly.com/question/30210262

#SPJ11

which type of title search method only goes back as far as when the last title search was performed and assumes the last search was done accurately, legally, and that any issues were resolved? unset starred question abstract of title title certificate title commitment torrens system

Answers

The title search method that only goes back as far as when the last title search was performed and assumes the last search was done accurately, legally, and that any issues were resolved is called a title commitment. A title commitment is a document provided by a title company that outlines the current state of ownership and any liens or encumbrances on a property. It is based on the most recent title search and assumes that any issues found in the previous search have been resolved.

This is different from an abstract of title, which is a historical summary of all the recorded documents and transactions related to a property. An abstract of title may go back many decades or even centuries, depending on the age of the property. It is a more comprehensive search that provides a complete picture of the property's ownership history.

In summary, if you need a quick and relatively inexpensive way to check the current state of ownership and any liens or encumbrances on a property, a title commitment may be the right choice. If you need a more comprehensive search that goes back many years, an abstract of title may be more appropriate. And if you're buying property in a country with a Torrens system, a title certificate may be necessary to prove ownership.

To know more about commitment visit:-

https://brainly.com/question/31372942

#SPJ11

this year, leron and sheena sold their home for $952,000 after all selling costs. under the following scenarios, how much taxable gain does the home sale generate for leron and sheena? assume that the couple is married filing jointly. note: leave no answer blank. enter zero if applicable. b. leron and sheena bought the home one year ago for $765,000 and lived in the home until it sold.

Answers

 The taxable gain for Leron and Sheena's home sale is calculated by subtracting the cost basis (what they paid for the home plus any improvements) from the selling price (minus any selling costs). In this scenario, their cost basis would be $765,000.
So the taxable gain would be:
$952,000 (selling price) - $765,000 (cost basis) = $187,000

However, if Leron and Sheena lived in the home for at least 2 of the past 5 years before selling, they may be able to exclude up to $500,000 of the gain from their taxable income (or $250,000 if only one spouse meets the ownership and use requirements). It's important to consult with a tax professional for specific advice on your situation.

I'm happy to help you with your question. Based on the given information, Leron and Sheena sold their home for $952,000 after all selling costs and bought it one year ago for $765,000. Since they lived in the home until it sold, we can calculate their taxable gain as follows:
Taxable Gain = Selling Price - Purchase Price
Taxable Gain = $952,000 - $765,000
Taxable Gain = $187,000
Since Leron and Sheena are married filing jointly and did not meet the two-year ownership and use requirement, the entire gain of $187,000 is considered taxable.

To know more about calculated  visit:-

https://brainly.com/question/30151794

#SPJ11

Customer relationship management (CRM) is a process and system by which companies
Select one:
a. get new customers
b. keep the customers they already have
c. grow the business by increasing their share of customers' purchases
d. A and C
e. All of the above

Answers

The correct answer is d. Customer relationship management (CRM) refers to the strategies and techniques used by companies to manage and analyze customer interactions and data throughout the customer lifecycle, with the aim of improving customer retention and driving sales growth.

CRM helps companies get new customers, but more importantly, it helps companies keep the customers they already have by providing personalized experiences and addressing their needs and concerns.

Additionally, CRM allows businesses to grow by increasing their share of customers' purchases through upselling and cross-selling. Therefore, options A and C are incorrect, while option D is correct. Option E is incorrect because it includes option A, which is not entirely accurate.

Learn more about Customer relationship management (CRM)

https://brainly.com/question/15884631

#SPJ4

project november requires an initial investment of $500,000. the present value of operating cash flows is $550,000. project december requires an initial investment of $750,000. the present value of operating cash flows is $810,000. a. compute the profitability index for each project. b. if the the projects are mutually exclusive, does the profitability index rank them correctly? for the toolbar, press alt f10 (pc) or alt fn f10 (mac).

Answers

The profitability index for Project December is 1.08

The profitability index (PI) for Project November is calculated as:

PI = Present value of operating cash flows / Initial investment

PI = $550,000 / $500,000

PI = 1.1

The profitability index for Project November is 1.1

The profitability index (PI) for Project December is calculated as:

PI = Present value of operating cash flows / Initial investment

PI = $810,000 / $750,000

PI = 1.08

The profitability index for Project December is 1.08.

If the projects are mutually exclusive, the profitability index ranks them correctly if the project with the higher profitability index is selected. In this case, Project November has a higher profitability index of 1.1, compared to Project December's profitability index of 1.08. Therefore, if the projects are mutually exclusive, Project November should be selected over Project December.

To know more about Investment visit:

https://brainly.com/question/28876290

#SPJ4

Other Questions
What is the best approach to managing a patient with decent blood glucose levels during the day but high night time blood glucose who takes lispro before meals and glargine at night? What four groups were dominant and came to make up the bulk of coal deposits during the carboniferous period What is it referred to when a witness is questioned on the witness stand by the attorney who called theindividual as a witness?O a. pro se representationb. cross examinationO c. direct examinationO d. re-cross examination which of the following factors is unique to b2b markets and is not typically found in b2c markets? a. the use of professional purchasers b. the element of derived demand c. having more buyers for the product d. having a more complicated purchasing process e. having the requirement of standardized procedures Which of the following federal laws specifically deals with cleanup of abandoned hazardous waste sites?a. Clean Air Actb. Clean Water Actc. Safe Drinking Water Actd. Resource Conservation and Recovery Acte. Comprehensive Environmental Responsibility Compensation and Liability Act pulse oximetry measures the ratio i660/i940 of the detected intensities at the two wavelengths. assume that both wavelengths enter the finger with the same intensity. what is the ratio if the hemoglobin is completely deoxygenated, corresponding to an oxygen saturation of 0 % ? suppose that there is only one provider of electrical services in a state. because this provider experiences economies of scale, the government does not want to break it into smaller pieces, but it does want the provider to supply the efficient quantity. which of the following policy options might most effectively enable the government to achieve its objectives in this situation? regulate the pricing behavior of the firm. take no action. turn the company into a public enterprise. enact antitrust laws to increase competition. given the following balance sheet and income statement data for the year ended december 31, what is the final figure for the numerator in the formula for the days' cash on hand? line item description amount cash $300,000 short-term investments 430,000 accounts receivable 830,000 total operating expenses 640,000 depreciation expense 120,000 because DNA polymerase can not add the first nucleotide at the new replication fork alone, what does it need? what is the output of an in-order traversal of these nodes, where the recursive algorithm is add left / subtree to result string add self to string add right \ subtree to result string Which type of pollution is not linked to coal-burning power plant emissions?. chaleff says that followers should be morally strong and work to do the right thing. the best followers in his typology are A 4-A current is maintained in a simple circuit with a total resistance of 2 . How much energy is delivered in forty five seconds? Approximately what percentage of the energy from sunlight is converted into gross primary production?. how does mrs.bales insistence on not telling mrs.wright about her preserves contribute to the overall meaning of the text? how can i define Thermal (Internal) Energy? Social Security pays benefits to people who cannot work because they have a medical condition that is expected to last at least one year or result in death. Although some government programs provide money to people with partial disabilities or short-term disabilities, Social Security does not. 21 In addition to disability payments to the worker, certain members of an employee's family, such as spouses over sixty-two and dependent children, may qualify for benefits based on the person's work history. The Social Security Administration uses a five-step process to decide if a worker is dis-abled and eligible to collect benefits. Highlights in HRM 2 outlines this process. What is average medical radiation exposure per year? an emaciated older adult with dementia develops a large pressure ulcer after refusing to change position for extended periods. the family blames the nurses and threatens to sue. which is considered when determining the source of blame for the pressure ulcer? Which of these ions triggers exocytosis of synaptic vesicles.