Andre is rated against each of coworkers on certain performance dimensions. his company uses which evaluation method to rate him?

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Answer 1

Andre's company uses the 360-degree feedback method to evaluate and rate him against his coworkers on certain performance dimensions. This method allows for a comprehensive assessment by gathering feedback from different sources, providing a well-rounded perspective on Andre's performance.

Andre's company uses a performance evaluation method to rate him against his coworkers on certain performance dimensions.

One common evaluation method used by companies is the 360-degree feedback method. This method involves collecting feedback from various sources such as supervisors, peers, and subordinates to provide a comprehensive assessment of an individual's performance.
In this method, Andre's coworkers would provide feedback on his performance, highlighting his strengths and areas for improvement. This feedback can be gathered through surveys, interviews, or feedback forms.

The feedback is then compiled and analyzed to assess Andre's performance on the specified dimensions.

The advantage of the 360-degree feedback method is that it provides a more holistic view of an individual's performance, incorporating perspectives from multiple stakeholders. This can help identify blind spots, enhance self-awareness, and promote professional growth and development.

In conclusion, Andre's company uses the 360-degree feedback method to evaluate and rate him against his coworkers on certain performance dimensions. This method allows for a comprehensive assessment by gathering feedback from different sources, providing a well-rounded perspective on Andre's performance.

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emmitt had the following final balances after the first year of operations: assets, $35,000; stockholders' equity, $14,400; dividends, $2,200; and net income, $9,100. what is the amount of emmitt's liabilities? multiple choice $9,300 $20,600 $17,800 $35,000

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The amount of Emmitt's liabilities is $20,600.

The amount of Emmitt's liabilities can be calculated by using the basic accounting equation: Assets = Liabilities + Stockholders' Equity.

Rearranging the equation, we can find the liabilities by subtracting the stockholders' equity from the assets.

Liabilities = Assets - Stockholders' Equity
Liabilities = $35,000 - $14,400
Liabilities = $20,600

To find the amount of Emmitt's liabilities, we can use the basic accounting equation, which states that Assets = Liabilities + Stockholders' Equity.

We are given the values of assets ($35,000) and stockholders' equity ($14,400). We can rearrange the equation to solve for liabilities: Liabilities = Assets - Stockholders' Equity. By substituting the given values, we find that Liabilities = $35,000 - $14,400 = $20,600. Therefore, the amount of Emmitt's liabilities is $20,600.

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_______ means that in most states, unless there is a specific agreement or discrimination of some sort has occurred, an employee can be summarily fired for any reason or for no reason at all.

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The term you are looking for is "at-will employment."

In most states, unless there is a specific agreement or discrimination involved, an employee can be fired at-will, meaning they can be terminated for any reason or even for no reason at all.

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The term that describes the situation where an employee can be fired without cause or reason in most states, unless there is a specific agreement or discrimination, is known as "at-will employment."

At-will employment is a legal doctrine that is prevalent in the employment laws of many states in the United States. It means that an employer has the right to terminate an employee at any time, for any reason, or for no reason at all, as long as there is no specific agreement or illegal discrimination involved. Similarly, the employee has the freedom to resign from their position without providing a reason.

The at-will employment doctrine is based on the principle of contractual freedom, allowing both employers and employees to have flexibility in the employment relationship. It grants employers the authority to make personnel decisions according to their own judgment and business needs, without being bound by strict requirements for cause or reason for termination. However, there are limitations to at-will employment, such as laws prohibiting discrimination based on protected characteristics like race, gender, religion, disability, or age. In such cases, an employer cannot terminate an employee for discriminatory reasons.

It's important to note that while at-will employment is the default rule in many states, there are exceptions and additional employment protections provided by federal and state laws. These laws may offer certain safeguards for employees, such as protection against wrongful termination or retaliation in specific circumstances.

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On January 1, 2020, Jacob Inc. purchased a commercial truck for $48,000 and uses the straight-line depreciation method. The truck has a useful life of eight years and an estimated residual value of $8,000. On December 31, 2021, Jacob Inc. sold the truck for $43,000. What amount of gain or loss should Jacob Inc. record on December 31, 2021

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Jacob Inc. should record a gain of $5,000 on December 31, 2021.

To calculate the gain or loss on the sale of the truck, we need to compare the proceeds from the sale to the truck's book value on December 31, 2021.

First, let's determine the annual depreciation expense. The truck's depreciable cost is the original cost minus the estimated residual value, which is $48,000 - $8,000 = $40,000. The annual depreciation expense is calculated by dividing the depreciable cost by the useful life of the truck, which is $40,000 / 8 = $5,000 per year.

Since Jacob Inc. owned the truck for two years, the accumulated depreciation on December 31, 2021, is $5,000 x 2 = $10,000.

The truck's book value on December 31, 2021, is the original cost minus the accumulated depreciation, which is $48,000 - $10,000 = $38,000.

The gain or loss is calculated by subtracting the book value from the proceeds from the sale: $43,000 - $38,000 = $5,000.

Therefore, On December 31, 2021, Jacob Inc. should report a gain of $5,000.

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A newspaper reporter asked an SRS of 100 r .d in a large city for their opinion about them esi ;nts . . ayors 10b performance. Usmg the results from the the C% confidence interval for the proportional, .d . th . h n o all res1 ents m e city w o approve of the mayo, . b . 0 56 r S JO performance 1s . 5 to 0.695. What is the val ue of C

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The value of C in the C% confidence interval is 95. Therefore, the correct option is D. The calculation is shown in the attached image below.

A C% confidence interval is a range of values that is constructed based on a sample from a population, with the property that if the sampling process were repeated multiple times, the calculated interval would contain the true population parameter a certain percentage (C%) of the time. The confidence interval is typically expressed in the format of "Estimate ± Margin of Error."

Thus, the ideal selection is option D.

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The complete question might be:

5) A newspaper reporter asked a SRS of 100 residents in a large city for their opinion about the mayor's job performance. Using the results from the sample, the C% confidence interval for the proportion of all residents in the city who approve of the mayor's job performance is 0.565 to 0.695. What is the value of C? * A) 82 B) 86 C) 90 D) 95 E) 99

The basic logic behind using _____ is that a company can shield itself from the adverse effects of business cycles, unexpected competition, and other economic fluctuations.

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The basic logic behind using diversification is that a company can shield itself from the adverse effects of business cycles, unexpected competition, and other economic fluctuations.

Diversification involves spreading investments across different industries, markets, and asset classes. By doing so, a company reduces its exposure to risks associated with any single investment or sector.

To implement diversification, a company can allocate its resources to various products, services, or geographical locations. This strategy allows the company to benefit from the performance of multiple sectors or markets, rather than relying on the success of just one. If one sector or market experiences a downturn, the company can potentially offset the losses with gains from other areas.

Additionally, diversification can help a company capitalize on new opportunities. By exploring different industries or markets, a company can discover untapped customer segments or emerging trends. This adaptability can be crucial in the face of unexpected competition or changing economic conditions.

In summary, diversification is a strategic approach that helps companies protect themselves from economic fluctuations and maximize their potential for growth by spreading investments across different areas.

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Having too many internal metrics puts the focus on what a company already knows and fails to put the focus on the unpredictably dynamic external marketplace. Which pitfall of marketing dashboards does this represent?

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Having too many internal metrics in marketing dashboards represents the pitfall of "information overload." When a company focuses solely on the metrics it already knows, it fails to recognize the importance of monitoring the external marketplace, which is constantly changing and unpredictable.



Information overload can lead to decision paralysis, as managers are bombarded with excessive data that may not be directly relevant to their marketing goals. This can hinder the company's ability to adapt to the dynamic nature of the market and respond effectively to emerging trends or competitor strategies.



To avoid this pitfall, marketing dashboards should strike a balance between internal and external metrics, allowing companies to track both their internal performance and the external market conditions. By keeping a pulse on the external marketplace, companies can make data-driven decisions that align with customer needs and preferences.

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On April 1, 2020 Everjoy Company purchased $60,000 of Miller Corporation's 8% bonds at a purchase price of 105. At the time of purchase the market rate of interest was 6%. Everjoy Company, whose year end is December 31, expects to hold the bonds until their maturity date 5 years from the date of purchase. Interest on the bonds will be paid every April 1 and October 1 until maturity. What is the carrying value (amortized cost) of the bond that Everjoy Company would report on October 1, 2020? Answer: \$

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The carrying value (amortized cost) of the bond that Everjoy Company would report on October 1, 2020, is $63,000.

The carrying value of a bond is the purchase price plus any accrued interest and minus any discount or plus any premium amortized over the bond's life. Since the bond was purchased at a premium (105% of face value), the premium needs to be amortized over the bond's life. In this case, the bond has a 5-year life, so each year 1/5th of the premium needs to be amortized. Therefore, on October 1, 2020 (6 months after the purchase date), the amortized cost would be $63,000 ($60,000 + 1/5 * $3,000 premium amortization).

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wilson incorporated owns equipment for which it originally paid $70 million and has recorded accumulated depreciation on the equipment of $12 million. due to adverse economic conditions, wilson's management determined that it should assess whether an impairment should be recognized for the equipment. the estimated future cash flows to be provided by the equipment total $60 million, and its fair value at that point totals $50 million. under these circumstances, wilson would report:

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Wilson Incorporated would report an impairment loss of $50 million for the equipment, as its carrying amount exceeds its recoverable amount due to adverse economic conditions.

An impairment loss is recognized when the carrying amount of an asset exceeds its recoverable amount. In this case, the carrying amount of the equipment is calculated as the original cost minus accumulated depreciation, which is $70 million - $12 million = $58 million. The recoverable amount is determined as the higher of the estimated future cash flows or the fair value, which is $60 million. Since the carrying amount ($58 million) exceeds the recoverable amount ($60 million), an impairment loss needs to be recognized.

The impairment loss is calculated as the difference between the carrying amount and the recoverable amount, which is $58 million - $60 million = -$2 million. However, the impairment loss is limited to the fair value of the asset, so the impairment loss to be recognized is $50 million (the fair value of the equipment).

Therefore,  Wilson Incorporated would report an impairment loss of $50 million for the equipment, as its carrying amount exceeds its recoverable amount due to adverse economic conditions.

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1. What are three examples of devices that could be attacked by computer viruses?
2. What are the risks related to suing electronic health records in hospitals and medical facilities?
Each question must be 150 words. Thank you.

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1. There are several devices that could be attacked by computer viruses Computer systems, Mobile devices, and Internet of Things (IoT) devices.

2. Risks related to using electronic health records in hospitals and medical facilities Electronic health records (EHRs) are digital versions of patient medical records that are Data breaches, Malpractice claims, and Inaccurate data.

1. There are several devices that could be attacked by computer viruses Computer systems, Mobile devices, and Internet of Things (IoT) devices.

Here are three examples:

Computer systems: Computer systems are perhaps the most vulnerable devices when it comes to cyber-attacks. Since computers are interconnected and often used for online activities such as banking, shopping, and social media, they are more likely to be targeted by hackers and other malicious actors. Ransomware attacks, for example, are designed to encrypt data on a computer system and demand a ransom payment from the victim before they can regain access.

Mobile devices: Smartphones and tablets are becoming increasingly popular targets for cybercriminals. These devices are often used for personal and business purposes and can store a significant amount of sensitive data such as contact information, financial data, and passwords. Cybercriminals use malware and other tactics to steal this information and use it for malicious purposes.

Internet of Things (IoT) devices: IoT devices such as smart home devices, medical devices, and industrial control systems are also vulnerable to cyber-attacks. These devices are often connected to the internet and use unsecured protocols, making them easy targets for hackers. IoT devices can be compromised to launch attacks on other systems or used to steal data.

2. Risks related to using electronic health records in hospitals and medical facilities Electronic health records (EHRs) are digital versions of patient medical records that are Data breaches, Malpractice claims, and Inaccurate data.

They are used by hospitals and medical facilities to manage patient care, track medications, and test results, and facilitate communication between healthcare providers. Although EHRs have many benefits, they also come with several risks.

Here are some risks related to using EHRs in hospitals and medical facilities:

Data breaches: EHRs can be compromised by cybercriminals, resulting in the exposure of patient data. Data breaches can be caused by a variety of factors, such as weak passwords, unsecured networks, or malicious software. Data breaches can lead to identity theft, financial loss, and other negative consequences for patients and healthcare providers.

Malpractice claims: EHRs can be used as evidence in malpractice claims. If a healthcare provider fails to document an important detail in a patient’s medical record, it can be used against them in a malpractice claim.

Inaccurate data: EHRs can be subject to errors, such as incorrect data entry or incomplete records. These errors can lead to misdiagnosis, improper treatment, or other negative consequences for patients.

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Consider a portfolio of 10% stock X and 90% stock Y. What is the (population) standard deviation of portfolio returns

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The standard deviation of portfolio returns for a portfolio consisting of 10% stock X and 90% stock Y can be calculated using the weighted average of the individual stock standard deviations.

To calculate the standard deviation of the portfolio returns, we need to consider the weights of the two stocks and their respective standard deviations.

Let's assume that stock X has a standard deviation of σX and stock Y has a standard deviation of σY. Since stock X represents 10% of the portfolio and stock Y represents 90% of the portfolio, we can calculate the weighted standard deviation as follows:

Portfolio Standard Deviation = [tex]√[(weight of X * σX)^2 + (weight of Y * σY)^2 + 2 *[/tex] (weight of X * weight of Y * σX * σY * correlation coefficient)]

In this case, since we don't have information about the correlation coefficient between the two stocks, we assume they are uncorrelated, which simplifies the equation:

Portfolio Standard Deviation = √[(0.1 * σX)^2 + (0.9 * σY)^2]

By plugging in the values of the stock standard deviations, we can calculate the portfolio's standard deviation of returns.

It's important to note that the standard deviation provides a measure of the risk or volatility of the portfolio returns. A higher standard deviation indicates greater variability in the returns, implying higher risk.

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________ is the process during which the changes of a system are implemented in a controllable manner by following a predefined model, with some reasonable modifications.

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Change management is the process during which the changes of a system are implemented in a controllable manner by following a predefined model, with some reasonable modifications.

The change management  involves planning, organizing and executing changes to systems, processes or organizational structures to minimize disruption and maximize positive outcomes.

The structured approach and incorporating modifications as needed change management aims to ensure that changes are implemented smoothly with minimal resistance and negative impact on operations.

It focuses on managing people, communication and stakeholder engagement to facilitate successful change implementation.

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[the following information applies to the questions displayed below.] the following transactions occur for the wolfpack shoe company during the month of june: a. provide services to customers for $25,000 and receive cash. b. purchase office supplies on account for $15,000. c. pay $6,000 in salaries to employees for work performed during the month. !g

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In June, Wolfpack Shoe Company had the following transactions, They provided services to customers and received $25,000 in cash. They purchased office supplies on account for $15,000. They paid $6,000 in salaries to employees for work performed during the month.

These transactions reflect the company's cash inflows and outflows. The $25,000 cash received from providing services represents revenue generated by the company. The purchase of office supplies for $15,000 on account means that the company acquired supplies but has yet to pay for them.

Lastly, the payment of $6,000 in salaries indicates the cost of labor for the work performed by employees. In summary, Wolfpack Shoe Company earned $25,000 in revenue, incurred an expense of $6,000 for salaries, and purchased office supplies for $15,000 on account during the month of June.

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a student wants to test if the correlation between market value and total mileage of vehicles is different than zero. select the answer choice with the correct hypotheses.

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The correct hypotheses to test if the correlation between market value and total mileage of vehicles is different than zero are:

Null hypothesis (H0): There is no correlation between market value and total mileage of vehicles.
Alternative hypothesis (H1): There is a correlation between market value and total mileage of vehicles.


To test if the correlation between market value and total mileage of vehicles is different than zero, we need to set up the null and alternative hypotheses.

The null hypothesis (H0) states that there is no correlation between market value and total mileage of vehicles. The alternative hypothesis (H1) states that there is a correlation between market value and total mileage of vehicles.

By testing these hypotheses, we can determine whether there is evidence to support the claim that there is a correlation between market value and total mileage of vehicles.

The hypothesis testing process involves collecting data, calculating a correlation coefficient, and using statistical tests to determine if the correlation is statistically significant.

If the p-value associated with the test is less than a predetermined significance level (e.g., 0.05), we reject the null hypothesis and conclude that there is a correlation between market value and total mileage of vehicles.

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How is the fair value allocation of an intangible asset allocated to expense when the asset has no legal, regulatory, contractual, competitive, economic, or other factors that limit its life

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The fair value allocation of an intangible asset is allocated to expense through the process of amortization. In this case, when the asset has no limiting factors, the allocation is typically done evenly over its estimated useful life.

This means that the expense is recognized in a systematic manner over the period that the asset is expected to contribute to the company's operations. This ensures that the costs associated with the asset are properly matched with the revenue it generates.

So, to summarize, the fair value allocation of an intangible asset with no limiting factors is allocated to expense through amortization, which is recognized evenly over its estimated useful life.

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suppose an economy described by the solow model is in a steady state with population growth n of 1.8 percent per year and technological progress g of 1.8 percent per year. total output and total capital grow at 3.6 percent per year. suppose further that the capital share of output is 1313 . a. using the growth-accounting equation to divide output growth into three sources—capital, labor, and total factor productivity—determine how much output growth can be attributed to each source. (indicate your answer to the tenths place.)

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The output growth attributed to each source is as follows:

Capital: 1.1268 (to the tenths place)
Labor: 1.2434 (to the tenths place)
Total Factor Productivity (TFP): 1.8 (to the tenths place)

To determine the output growth attributed to each source (capital, labor, and total factor productivity), we can use the growth-accounting equation. The growth-accounting equation is given by:

Output Growth = Capital Share x Capital Growth + Labor Share x Labor Growth + TFP Growth

In this case, we know that the capital share of output is 0.313 (or 31.3%), and the total output and total capital grow at 3.6 percent per year. The population growth (labor growth) is given as 1.8 percent per year, and the technological progress (TFP growth) is also 1.8 percent per year.

Let's calculate the output growth attributed to each source:

Output Growth = 0.313 x 3.6 + (1 - 0.313) x 1.8 + 1.8

Output Growth = 1.1268 + 1.2434 + 1.8

Output Growth = 4.1702

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what major dimension sets apart international finance from domestic finance? group of answer choices foreign exchange and political risks market imperfections expanded opportunity set

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The major dimension that sets apart international finance from domestic finance is foreign exchange and political risks.

In international finance, businesses and investors need to consider the risks associated with currency fluctuations and political instability in different countries. This is not a concern in domestic finance, where the currency is stable and the political environment is more predictable.

The foreign exchange risk refers to the potential for losses due to changes in currency exchange rates, while political risks refer to the uncertainty and potential impact on investments caused by political events or policies.

By understanding and managing these risks, businesses and investors can navigate the complexities of international finance successfully.

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sales revenue $ 136,200 expenses cost of goods sold 55,000 depreciation expense 18,500 salaries expense 31,000 rent expense 10,300 insurance expense 5,100 interest expense 4,900 utilities expense 4,100 net income $ 7,300

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The given net income is $7,300, but based on the calculations, the net income is $6,300.

Based on the given information, we can calculate the net income by subtracting the total expenses from the sales revenue.
Total Expenses = Cost of Goods Sold + Depreciation Expense + Salaries Expense + Rent Expense + Insurance Expense + Interest Expense + Utilities Expense

Total Expenses = $55,000 + $18,500 + $31,000 + $10,300 + $5,100 + $4,900 + $4,100
Total Expenses = $129,900

Net Income = Sales Revenue - Total Expenses
Net Income = $136,200 - $129,900
Net Income = $6,300

The calculated net income is $6,300 as opposed to the stated net income of $7,300. It's possible that there might be some additional income or expenses not mentioned in the question. Without further information, it's difficult to determine the exact reason for the discrepancy.

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The given net income is $7,300, but based on the calculations, the net income is $6,300.

Based on the given information, we can calculate the net income by subtracting the total expenses from the sales revenue.

Total Expenses = Cost of Goods Sold + Depreciation Expense + Salaries Expense + Rent Expense + Insurance Expense + Interest Expense + Utilities Expense

Total Expenses = $55,000 + $18,500 + $31,000 + $10,300 + $5,100 + $4,900 + $4,100

Total Expenses = $129,900

Net Income = Sales Revenue - Total Expenses

Net Income = $136,200 - $129,900

Net Income = $6,300

The calculated net income is $6,300 as opposed to the stated net income of $7,300.

It's possible that there might be some additional income or expenses not mentioned in the question. Without further information, it's difficult to determine the exact reason for the discrepancy.

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what+is+the+apr+on+a+20+year,+$400,000+loan+at+5%,+plus+3+points?

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The APR (Annual Percentage Rate) on a 20-year, $400,000 loan at 5% plus 3 points would depend on the specific terms and calculation method used by the lender.

The APR represents the true cost of borrowing, including both the interest rate and any additional fees or points charged by the lender. In this case, the interest rate is stated as 5% and there are 3 points added to the loan. Points are upfront fees paid to the lender at closing, with each point typically equal to 1% of the loan amount. In this scenario, 3 points are added to the loan, which means an additional 3% of the loan amount will be paid upfront. To calculate the APR, the lender's specific formula and the timing of interest payments (monthly, annually) would need to be known. The APR takes into account the interest rate, points, and other loan costs to provide a standardized measure of the loan's cost over its full term. Since the calculation of APR involves additional factors and assumptions, the specific APR on this loan cannot be determined without more information.

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Economists will always disagree in which area of economics because it is based on value judgments and opinions:

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Economists may often disagree in the area of macroeconomics because it is based on value judgments and opinions. Macroeconomics deals with the study of the overall economy, including factors such as inflation, unemployment, and economic growth.

These topics are complex and can be influenced by various factors, making it difficult for economists to reach a consensus.

Additionally, macroeconomic policies can have significant impacts on society, and different economists may have different value judgments or opinions on how these policies should be implemented.

As a result, disagreements can arise in this area of economics.

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page(s) 203-204 6.3. when do price floors matter? suppose the equilibrium price for medicinal (isopropyl) alcohol is $7 per pint. what would be the lowest possible binding price floor on a pint?

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In the context of price floors, they matter when they are set above the equilibrium price in a market. Price floors are typically implemented to ensure that the price of a good or service does not fall below a certain .

If the equilibrium price for medicinal (isopropyl) alcohol is $7 per pint, the lowest possible binding price floor on a pint would be set at $7 or higher. Setting a price floor below the equilibrium price would not have any practical effect since it would not impact the market dynamics. However, if a price floor is set at or above $7, it would create a legally enforced minimum price, potentially leading to a surplus if the floor exceeds the equilibrium price, as suppliers are unable to sell all their products at the mandated price.level, often to protect producers or maintain a minimum standard.

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Monopolies are typically created because increasing competition discourages new businesses from entering the industry the industry has high barriers to entry that prevent many businesses from entering the industry there is a lack of business interest in an industry the government promotes the establishment of monopolies

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Monopolies are typically created due to a combination of factors, but they are not typically formed because increasing competition discourages new businesses from entering the industry. In fact, monopolies often arise when there are high barriers to entry that prevent many businesses from effectively competing in the industry.

These barriers to entry can include factors such as significant capital requirements, exclusive access to key resources or technologies, strong brand loyalty, or legal restrictions. When these barriers exist, it becomes difficult for new competitors to enter the market and challenge the existing dominant firm.

While a lack of business interest in an industry can contribute to the establishment of a monopoly, it is usually not the primary driver. In some cases, monopolies may be created or supported by government policies or regulations, either intentionally or unintentionally, but this is not always the case.

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(true or false?) common stock has an infinite maturity and higher-priority claim to assets and earnings than bondholders.

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Answer: False

Explanation:

_________ has/have helped firms to concentrate on their core business. multiple choice scheduling erp lean production outsourcing supply chains

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Outsourcing has helped firms to concentrate on their core business.

By outsourcing non-core activities, companies can delegate those tasks to specialized service providers, allowing them to focus their resources, time, and expertise on their core business functions. This enables firms to enhance their efficiency, reduce costs, and improve their overall performance by leveraging the expertise and economies of scale offered by outsourcing partners.

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hayley wants to be the best manager possible . she knows what it means to manage her staff and she knows the right way to itshe also wants to be cautious that she does not put herself in the position that it is her way or no way what type of manager is hayley aspiring to be?

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The statement "information from early work sections impacts later work sections" relates to the iterative methodology.

In an iterative methodology, the work is divided into smaller sections or iterations, and each iteration involves a cycle of planning, executing, and evaluating. The key characteristic of an iterative approach is that it allows for feedback and adjustments based on the results of previous iterations.

As the workplace progresses through iterations, information and insights gained from early work sections are used to inform and influence the subsequent iterations. The feedback and learning from previous sections impact the planning and execution of later sections, allowing for improvements and refinements along the way.

This iterative process allows for flexibility, adaptation, and continuous improvement as the project or task evolves. It recognizes that the initial plan may need to be adjusted based on the insights and knowledge gained during the iterative cycles.


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A project under consideration has an internal rate of return of 15% and a beta of 0.9. The risk-free rate is 5%, and the expected rate of return on the market portfolio is 15%. a. What is the required rate of return on the project? (Do not round intermediate calculations. Enter your answer as a whole percent.) b. Should the project be accepted? Yes No c. What is the required rate of return on the project if its beta is 1.90? (Do not round intermediate calculations. Enter your answer as a whole percent.) d. Should the project be accepted? Yes No This is the last question in the assignment. To submit, use Alt + S. To access other questions, proceed to the question map button.

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a. The required rate of return on the project is 12%.

b. Yes, the project should be accepted.

c. The required rate of return on the project with a beta of 1.90 is 23%.

d. No, the project should not be accepted.

The required rate of return on the project can be calculated using the Capital Asset Pricing Model (CAPM) formula: Required rate of return = Risk-free rate + Beta * (Expected rate of return on the market portfolio - Risk-free rate). Plugging in the given values: Required rate of return = 5% + 0.9 * (15% - 5%) = 5% + 0.9 * 10% = 5% + 9% = 14%.

b. No, the project should not be accepted because the required rate of return (14%) is lower than the internal rate of return (15%), indicating that the project's return does not compensate for the associated risk.

c. Using the same CAPM formula, with a beta of 1.90: Required rate of return = 5% + 1.90 * (15% - 5%) = 5% + 1.90 * 10% = 5% + 19% = 24%.

d. Yes, the project should be accepted because the required rate of return (24%) is higher than the internal rate of return (15%), indicating that the project's return compensates for the associated risk.

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A 7-year zero-coupon bond has a face value of $1,000. If its YTM changes from 3.4% to 5.5%, what is the resulting percentage change in its price

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The resulting percentage change in the price of the 7-year zero-coupon bond when the YTM changes from 3.4% to 5.5% is approximately 29.61%.

To calculate the resulting percentage change in the price of a 7-year zero-coupon bond when the yield to maturity (YTM) changes from 3.4% to 5.5%, we can use the bond pricing formula for zero-coupon bonds.

The bond pricing formula is:

Price = Face Value / (1 + YTM)^n

Where:

Price = Current price of the bond

Face Value = $1,000 (the face value of the bond)

YTM = Yield to Maturity (expressed as a decimal)

n = Number of years to maturity

First, let's calculate the price of the bond at the initial YTM of 3.4% (0.034 as a decimal):

Price_initial = 1000 / (1 + 0.034)^7

Now, calculate the price of the bond at the new YTM of 5.5% (0.055 as a decimal):

Price_new = 1000 / (1 + 0.055)^7

Now, we can find the percentage change in price:

Percentage Change in Price = (Price_new - Price_initial) / Price_initial * 100

Calculate the values:

Percentage Change in Price = (Price_new - Price_initial) / Price_initial * 100

Percentage Change in Price = ((1000 / (1 + 0.055)^7) - (1000 / (1 + 0.034)^7)) / (1000 / (1 + 0.034)^7) * 100

Now, compute the result:

Percentage Change in Price ≈ 29.61%

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A contractor manufacturing company purchased a production equipment for $450,000 to meet the specific needs of a customer that had awarded a 4-year contract with the possibility of extending the contract for another 4 years. The company plans to use the MACRS depreciation method for this equipment as a 7-year property for tax purposes. The combined income tax rate for the company is 24%, and it expects to have an after-tax rate of return of 8% for all its investments. The equipment generated a yearly revenue of $90,000 for the first 4 years. The customer decided not to renew the contract after 4 years. Consequently, the company decided to sell the equipment for $220,000 at the end of 4 years. Answer the following questions. (a) Show before tax cash flows (BTCF) from n-0 to 4 (
(b) Calculate depreciation charges (c) Compute depreciation recapture or loss (d) Find taxable incomes and income taxes (e) Show after-tax cash flows (ATCF). (1) Determine either after tax NPW or after tax rate of return for this investment and indicate if the company obtained the expected after-tax rate of return

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The calculations and analyses include before-tax cash flows, depreciation charges, depreciation recapture or loss, taxable incomes and income taxes, after-tax cash flows, and the determination of after-tax NPW or after-tax rate of return to assess the investment's performance.

What are the key calculations and analyses to be performed for the contractor manufacturing company's investment scenario?

In this scenario, a contractor manufacturing company purchased production equipment for $450,000 to fulfill a specific customer's needs under a 4-year contract, with a possibility of extension for another 4 years. The company intends to use the MACRS depreciation method over a 7-year period for tax purposes.

The combined income tax rate for the company is 24%, and they expect an after-tax rate of return of 8% for all investments. Over the initial 4 years, the equipment generates annual revenue of $90,000. However, the customer decides not to renew the contract, leading the company to sell the equipment for $220,000 at the end of 4 years. The following questions need to be answered:

(a) Show before-tax cash flows (BTCF) from n-0 to 4.

(b) Calculate depreciation charges.

(c) Compute depreciation recapture or loss.

(d) Find taxable incomes and income taxes.

(e) Show after-tax cash flows (ATCF).

(1) Determine either after-tax NPW (Net Present Worth) or after-tax rate of return for this investment and indicate if the company achieved the expected after-tax rate of return.

To answer these questions, the before-tax cash flows, depreciation charges, taxable incomes, income taxes, and after-tax cash flows need to be calculated. Additionally, the after-tax NPW or after-tax rate of return should be determined to evaluate if the company achieved the expected return on investment.

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The primary objective of the early share leader, usually the market pioneer, in a growth market is ____________.

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The primary objective of the early share leader, usually the market pioneer, in a growth market is to establish and solidify its position as the dominant player in the market.

This includes capturing a significant market share, building brand loyalty, and gaining a competitive advantage over potential competitors. Pioneers profit from being early adopters because they create a new market or product category and get a sizable initial market share advantage. When a company enters a market first, it typically has the advantage of developing strong brand recognition and consumer loyalty before competitors do so. The chance to evaluate the new item's market price as well as more time to develop its good or service are two additional advantages.


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the+annual+interest+rate+is+5%.+cash+flows+of+$100+are+repeating+once+a+year,+for+several+years.+clearly,+this+is+an+annuity!+but+there+are+different+ways+to+calculate+its+value.

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The present value of the annuity can be calculated using the formula for the present value of an ordinary annuity.

To calculate the value of the annuity, we can use the formula for the present value of an ordinary annuity. The formula is:

PV = C * (1 - (1 + r)^(-n)) / r

Where PV is the present value of the annuity, C is the cash flow per period, r is the interest rate per period, and n is the total number of periods.

In this case, the annual interest rate is 5% and the cash flows are $100 per year. Plugging these values into the formula, we have:

[tex]PV = 100 * (1 - (1 + 0.05)^{(-n)}) / 0.05[/tex]

The term (1 + 0.05)^(-n) represents the discount factor, which decreases as the number of periods increases. The discount factor reflects the time value of money, as the cash flows further in the future are worth less in today's dollars.

By rearranging the formula, we can solve for n:

(1 + 0.05)^(-n) = 1 - (PV * 0.05) / 100

Taking the logarithm of both sides, we can solve for n:

-n * log(1 + 0.05) = log(1 - (PV * 0.05) / 100)

n = -log(1 - (PV * 0.05) / 100) / log(1 + 0.05)

Once we have the value of n, we can calculate the present value of the annuity.

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which of the following statements is true of information systems? information systems are involved in tracking employee payroll, taxes, benefits and timesheets. information systems are inadequate at tracking movable assets, off-site resources and inventories. organizations avoid developing their own information systems to handle their back-office information needs. organizations avoid moving information system functions to service providers or outsourcing them.

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Information systems are involved in tracking employee payroll, taxes, benefits, and timesheets. However, organizations may develop their own systems and outsource functions based on their specific needs and preferences.

The statement "Information systems are involved in tracking employee payroll, taxes, benefits, and timesheets" is true. Information systems play a crucial role in managing various aspects of employee data, including payroll processing, tax calculations, benefits administration, and tracking employee work hours through timesheets.

However, the other statements provided are not universally true. Information systems can be designed to track movable assets, off-site resources, and inventories, depending on the specific needs of the organization. Many organizations do develop their own information systems to handle their back-office information needs, as it allows for customization and control over their internal processes. Similarly, organizations may choose to outsource certain information system functions to service providers to take advantage of specialized expertise and cost efficiencies.

Overall, the role and capabilities of information systems can vary depending on the organization's requirements and strategic decisions.

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