during which process is the project manager most likely to increase support and minimize resistance from stakeholders? seleccione una: a. control stakeholder engagement b. identify stakeholders c. manage stakeholder engagement d. plan stakeholder management

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Answer 1

The process during which the project manager is most likely to increase support and minimize resistance from stakeholders is the Manage Stakeholder Engagement Process.

What is the Manage Stakeholder Engagement Process?

The Manage Stakeholder Engagement process is part of the Project Stakeholder Management Knowledge Area, according to the Project Management Institute's PMBOK.

It happens during the project management process's execution stage, where it focuses on communicating and interacting with stakeholders in order to gain their support and minimize opposition to the project.

The project manager performs the following tasks during this process:

Identify stakeholders and decide on their roles and level of involvement. Develop a stakeholder engagement plan that outlines how to communicate with and involve stakeholders based on their level of interest and influence.Execute the engagement plan in a way that promotes cooperation and buy-in from stakeholders.Monitor and evaluate stakeholder engagement activities to ensure that stakeholders' needs are met and any issues that arise are addressed.

As a result, the Manage Stakeholder Engagement process is critical for ensuring that project stakeholders are satisfied and engaged throughout the project's lifecycle. By engaging and collaborating with stakeholders, project managers may improve the chances of project success by gaining their assistance and involvement.

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Related Questions

Are You Tolerant of Change. Provided examples from personal
experience that confirmed or contradicted.

Answers

As an individual, it's crucial to be adaptable to change. While change can be intimidating, it is necessary for growth, innovation, and evolution. Changes may be overwhelming, but they also present opportunities for us to learn and develop new skills.

To illustrate my tolerance for change, here are a few personal examples that confirm my adaptability:

When I moved to a new country for my studies, I had to adapt to a new culture, new people, and a new language. Initially, it was difficult, but I quickly adjusted and learned to appreciate the differences.

My job role also evolved over time, and I had to develop new skills to stay up to date with the company's changing needs. I had to learn new software, work with different teams, and adjust my priorities to stay productive and efficient.

In contrast, there are situations where I struggled to adapt to change. For instance, when I switched from a PC to a Mac, I found it challenging to learn the new operating system, software, and keyboard shortcuts. It took me a while to become comfortable, but I eventually learned to enjoy using it.

In conclusion, change is inevitable, and as individuals, we need to be adaptable and willing to embrace it. While there may be challenges, there are also opportunities for growth and learning.

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The Weekend compairy owns specialized equipment with an original cost of$235,000. The company has fully depreciated the asset over the past five years and has now made the decision to retire the asset. Which journal entry would be required to record the retirement of this equipment? a. Debit Equipment and credit Accumulated Depreciation-Equipment for$235,000
b. Debit Depreciation Expense and credit Accumulated Depreciation-Equipment for$235,000
c. Debit Accumulated Depreciation-Equipment and credit Depreciation Expense for5235.000
d. Debit Accumulated Depreciation-Equipment and credit Equipment for 5235,000

Answers

The correct journal entry to record the retirement of this equipment is option D: Debit accumulated depreciation-Equipment and credit equipment for $235,000.

What is the retirement of equipement?

The retirement of equipement is an action that is done to remove from the company's accounting an asset that has already completed its useful life.


The journal entry required to record the retirement of specialized equipment is the D opcion: Debit accumulated depreciation-Equipment and credit equipment for $235,000.

The company would retire the fully depreciated asset with zero balances of the related accounts, such as Equipment and accumulated depreciation – equipment. It means the company is not going to receive any amount or paying any amount for the asset’s disposal.

Therefore, the journal entry required to record the retirement of this equipment is shown below (the book value of the asset is $0 because it has already been fully depreciated):

Journal Entry:

Debit: Accumulated depreciation-equipment $235,000.Credit: Equipment $235,000.

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If the variable cost per unit increases by $1, spending on advertising increases by $1,350, and unit sales increase by 170 units, what would be the net operating income?

Answers

The net operating income decreases by $1,520 due to the increase in variable cost per unit and advertising spending.

What exactly is a travel allowance?

A travel allowance is a payment made by an employer to an employee to cover expenses incurred while traveling for business purposes. It is a type of reimbursement that covers expenses such as transportation, meals, lodging, and incidental expenses like parking fees or tolls.

To calculate the net operating income, we need to consider the changes in both revenue and expenses resulting from the changes in variable cost per unit and advertising spending.

Let's assume that the original variable cost per unit was $x, and the original unit sales were y.

Then, the original total variable cost (TVC) would be TVC = x×y.

After the increase in variable cost per unit by $1, the new variable cost per unit becomes (x+1). The new TVC would be (x+1)(y+170).

The increase in advertising spending by $1,350 is an additional fixed cost, which does not depend on the level of production or sales. Therefore, it would be added to the total fixed cost (TFC) component of the net operating income (NOI).

Assuming that the original NOI was NOI1, and the new NOI after the changes is NOI2, we can express these relationships as follows:

NOI1 = Revenue - (TVC + TFC)

NOI2 = Revenue - ((x+1)×(y+170)) - (TFC + 1350)

To solve NOI2, we need to know the revenue. We can use the information given to calculate the increase in unit sales, which is 170 units. Let's assume that the selling price per unit remains the same, and calculate the original revenue (R1) and the new revenue (R2) as follows:

R1 = xy

R2 = x(y+170)

Now we can substitute the values of R1, R2, TVC, and TFC in the above expressions for NOI1 and NOI2:

NOI1 = R1 - TVC - TFC

NOI2 = R2 - (x+1)×(y+170) - TFC - 1350

Substituting the values and simplifying, we get:

NOI1 = xy - xy - TFC

NOI2 = x*(y+170) - (x+1)×(y+170) - TFC - 1350

NOI1 = -TFC

NOI2 = -170x - TFC - 1350

We can see that the TFC cancels out in both expressions, so we only need to calculate the difference in variable cost (170x) and the increase in advertising spending (1350), and subtract this from the original NOI:

NOI2 = NOI1 - 170x - 1350

Substituting the given value of $1 for the increase in variable cost per unit, we get:

NOI2 = NOI1 - 170 - 1350

NOI2 = NOI1 - 1520

Therefore, the net operating income decreases by $1,520 due to the increase in variable cost per unit and advertising spending.

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As Tesco expands overseas, can it succeed by using the same
strategies it has used in the United Kingdom? Why or why not? What
factors should it take into account while formulating strategies in global markets?

Answers

Tesco's success in expanding overseas by using the same strategies it employed in the United Kingdom depends on various factors. While some strategies may work, others may not be as effective in global markets. Tesco will need to consider factors such as cultural and linguistic differences, regulatory environments, demographic differences, competitive landscapes, and consumer behaviors when formulating strategies for global expansion.

One of the key factors to consider when expanding into international markets is adapting to local consumer needs and cultural differences. Tesco will need to tailor its product offerings and marketing strategies to the unique needs and preferences of each local market it enters. It will also need to adjust its pricing and supply chain strategies to be competitive in each market.

Another important factor to consider is the regulatory environment in each market. Different countries have different regulations and rules that companies must comply with, such as import/export regulations, tax laws, and labor laws. Tesco will need to carefully research and understand the regulatory environment in each market it operates in to comply with these requirements successfully.

In sum, while Tesco may be able to use some of the same strategies it has employed in the UK when expanding overseas, it will need to analyze the unique factors in each market and modify its strategies accordingly to succeed on the global stage.

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identify ways in which cloud computing/services have impacted education?
Some things to think about:
Describe pain points the technology/service replaced (if applicable)
Describe how the technology/service has changed or will change the way we do things
Analyze Pros and Cons associated with the technology service

Answers

Cloud computing and services have had a significant impact on education.

One key pain point it has replaced is the need for physical storage hardware, allowing schools and universities to store files and data on virtual clouds instead. This has made managing, organizing and accessing data much easier and more efficient.

Some Pros of cloud-based services are improved scalability and efficiency, increased access to data and content, and better security. On the other hand, some Cons include potential privacy issues and an increased dependence on technology.

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A company just issued $351000 of perpetual 8% debt and used the proceeds to repurchase stock. The company expects to generate 123000 of EBIT in perpetuity. The company distributes all its earnings as dividends at the end of each year. The firm’s unlevered cost of capital is 15% and the tax rate is 35%. Use FTE to calculate the value of the company’s equity.

Answers

Answer :   The value of the company’s equity is  $79050.

The company's equity value can be calculated using the formula for Free Cash Flow to Equity (FCFE) from the discounted cash flow method. The formula for FCFE is: FCFE = [EBIT - (1 - Tax Rate)*EBIT] - (Change in Debt - New Debt)*(1 - Tax Rate)*Cost of Debt. For the given case, the FCFE can be calculated as follows: FCFE = [$123000 - (1 - 0.35)*$123000] - ($351000 - 0)*(1 - 0.35)*0.08. Therefore, FCFE = $79050.

The equity value of the company can then be calculated by discounting the FCFE at the unlevered cost of capital (15%) for perpetuity. This calculation is done using the formula: Equity Value = FCFE/(1 + r)^n, where r = unlevered cost of capital and n = number of periods.

For the given case, the equity value can be calculated as follows: Equity Value = $79050/(1 + 0.15)^∞. Therefore, the value of the company's equity is $79050.

In conclusion, the value of the company's equity can be calculated using the Free Cash Flow to Equity (FCFE) formula and the unlevered cost of capital. The calculated equity value for the given case is $79050.

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a study on market trends in the pacific northwest determines that there is a correlation between the amount of coffee purchased and the amount of windshield wipers purchased. this study does not show causation because .

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A study on market trends in the pacific northwest determines that there is a correlation between the amount of coffee purchased and the amount of windshield wipers purchased. This study does not show causation because correlation does not necessarily imply causation.

Correlation indicates a relationship between two variables, but does not prove that one is the cause of the other.

This study does not show causation because it is based on correlational data. Correlation is a measure of how two variables are associated with each other, meaning that an increase in one is related to an increase in the other, but it does not imply that one causes the other.

In this case, the data shows that there is a correlation between the amount of coffee purchased and the amount of windshield wipers purchased in the Pacific Northwest, but this does not necessarily mean that purchasing more coffee causes someone to purchase more windshield wipers, or vice versa. It could be that other factors, such as the weather, influence both purchases. Correlation does not equal causation.

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Evaluate South Africa's efforts in reducing costs to promote supply side policies.​

Answers

South Africa's efforts in reducing costs to promote supply side policies has been analyzed by the ways of OECD as follows:

1. Increased education of working-age people-   The OECD report shows that South Africa has a problem of skills shortages and the wrong sorts of skills. This means that they lack occupational mobility and are only able to do a narrow range of unskilled tasks.

2. Improved infrastructure, such as transport and communication networks-   By improving transport infrastructure, such as roads and railways, the costs of moving goods would be expected to decline, which will decrease the cost of production.

3. The OECD also suggest ‘lowering barriers to entrepreneurship and improving the business environment’-  This would involve supply side policies that reduce regulation and bureaucracy, making it easier to start new businesses and reducing costs for on-going businesses.

4. The OECD mention high barriers to entrepreneurship and suggest that reforms are needed to reduce ‘red tape’ for firms -  Employment law and trade union involvement may also make it difficult to run a business due to additional costs in making sure that it meets the legal requirements.

What does "costs in business" mean?

Cost is the sum of money that a business spends on the development of goods or services. It  not include the markup for profit. Cost, in the eyes of a seller, is the sum of money used to create a thing or product.

What does the economic notion of cost entail?

Cost is the term used to show the monetary of the goods and services that manufacturers and customers buy. Cost, in a fundamental economic sense, is a measurement of the alternative options passed up when choosing one item or activity over another.

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Required: The company's tax rate is \( 35 \% \). Calculate the company's weighted average cost of capital (Use 4 decimal places)

Answers

The company's weighted average cost of capital is 0.082 (rounded to four decimal places).

What is Weighted Average Cost of Capital?

Weighted average cost of capital is a measure of a company's cost of capital. It is calculated by considering the cost of each form of capital and the relative share of this capital in the company's total capital structure.

The formula for calculating WACC is:

WACC = (E/V x Re) + [(D/V x Rd) x (1 - Tc)]

where:

Re = cost of capital

Rd = borrowing cost

E = market value of the company's stock

D = market value of the company's debt

V = total equity value (equity + debt)

E/V = Percentage of funds that are equity

D/V = Percentage of funding that is debt

Tc = corporate tax rate

Let's calculate the company's weighted average cost of capital. The company tax rate is 35%, so this means Tc = 0.35.

No information is provided on the company's capital structure, so mathematically we can assume 50% equity and 50.00 Bt.

Therefore E/V = 0.5 and D/V = 0.5.

capital cost

The cost of equity is the return that shareholders expect from their investment. This is calculated using the Capital Asset Pricing Model (CAPM).

The formula for calculating the cost of equity is as follows:

Re = Rf + Beta x (Rm - Rf)

where:

Rf = Risk-free interest rate (10-year government bond rate)

Rm = market return (stock market average return)

Beta = systematic risk of the company's stock

Since we do not have a risk-free rate, market yield or beta, let's assume 4%, 10% and 1.2 respectively. This means:

Re = 0.04 + 1.2 x (0.1 - 0.04) Re = 0.112

debt cost

Borrowing costs are the interest a company pays on its debt. It is calculated by dividing the annual interest expense by the total debt. Since you have no information about the company's debt, assume $100,000 at an interest rate of 8%.

This means:

Rd = 0.08

weighted average cost of capital

Now you can substitute the value into the expression.

WACC = (E/V x Re) + [(D/V x Rd) x (1 - Tc)]

WACC = (0.5 x 0.112) + [(0.5 x 0.08) x (1 - 0.35)]

WACC = 0.056 + (0.04 x 0.65)

WACC = 0.056 + 0.026

WACC = 0.082

Your question is incomplete but most probably your full question was:

The information details is attempted in image above.

Required: The company's tax rate is 35%. Calculate the company's weighted average cost of capital (Use 4 decimal places)

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Juanita has good credit and gets the lowest interest rate possible for her credit card. She has a balance of $982 on her January statement. What is her periodic rate?

Answers

he amount of interest you are required to pay on your credit card balance each day is specified by a daily periodic rate.

Describe the periodic interest rate.

It is typical to multiply a daily periodic interest rate by the amount owed at the end of each day in order to calculate interest. The balance from the previous day is then increased by the amount of interest, indicating that interest is compounding daily.

How is the periodic rate calculated?

APR is divided by 365 days (or 360 days for some businesses) to create a daily periodic rate; by 12 months to create a monthly periodic rate; and by four months to create a quarterly periodic rate.

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Rain Limited is a company with a 31 December year-end. The following information relates to assets owned by the company: Rain Limited had machinery with a cost price of R2 500000 that they acquired on 1 August 2020. 25\% of the machinery purchased on 1 August 2020 was disposed of on 30 November 2021. Machinery to the value of R550 000 was purchased on 1 February 2022. These were the only disposals and acquisitions of machinery for the 2021 and 2022 financial years.
Rain Limited also owns a building with a cost price of R20 000000 that they acquired on 30 June 2021. No disposals or acquisitions of buildings occurred during the 2021 and 2022 financial years. The following relates to these assets: (Asset) (Depreciation method) (Useful life/Rate) (Subsequent measurement)
Machinery Reducing balance 10% Cost
Building Straight-line 25 years Annual revaluation
The annual revaluation of the building is done on 31 December and the accumulated depreciation is set off against the gross carrying amounts. Rain Limited transfers the revaluation surplus once the related asset is disposed of. The building had a net replacement cost, as determined by XYZ Valuers Proprietary Limited, of R20 500000 on 31 December 2021 and R21 200000 on 31 December 2022. None of the property, plant and equipment items is considered to have a residual value, and the useful lives and residual values are reviewed annually and remained unchanged. Ignore all tax implications. Required :
Prepare an extract from the Statement of Financial Position, including ALL the relevant notes, of Rain Limited for the financial year ending 31 December 2022. Include comparative figures and show all calculations.

Answers

The machinery with a cost of R2 500 000 was acquired on 1 August 2020 and 25% of it was disposed of on 30 November 2021.

What is cost ?

Cost is the monetary value of goods, services, or resources that are consumed to produce something of value. It is an expense incurred in the production of goods or services that is measured in terms of money. Cost is the amount of money paid for the use of resources in the production of goods or services. It includes the purchase of raw materials, labor, and overhead expenses incurred in producing the finished product. Cost can also refer to the price of goods or services that a business must pay in order to operate. Cost can be divided into two categories: fixed and variable.

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Studies show that the people most likely to be chosen to participate in a training program are ________.
a) Those who have already had the most training.
b) Those who have had fewer training opportunities in the past.
c) Those who are most in need of the training.
d) Those with the lowest skill levels.

Answers

Studies show that the people most likely to be chosen to participate in a training program are those who have had fewer training opportunities in the past. The correct option is (b).

The training selection processes depend on several factors, including performance, motivation, and qualification. Individuals are selected for training programs based on various criteria that vary by organization, country, and individual factors.

That being said, some common criteria for selecting participants for training include those who have had fewer training opportunities in the past, employees with lower skill levels, and those who are most in need of the training. The rationale behind this preference is that training programs could be used as a tool for employee development, and employees who have had fewer opportunities for training will benefit the most from the program.

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prior to the two firms' integration, holcim was known for its decentralized management while lafarge was known for its centralized management. analysts speculated that this could lead to which type of obstacle? a. inadequate evaluation of the target b. inefficient operation due to large size c. integration difficulties d. too much diversification

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Prior to the two firms' integration, Holcim was known for its decentralized management while Lafarge was known for its centralized management. Analysts speculated that this could lead to which type of obstacle?

a. inadequate evaluation of the target

b. inefficient operation due to large size

c. integration difficulties

d. too much diversification

The correct option is (c).

What is a merger?

A merger is the merging of two or more entities into a single unit. Companies merge for a variety of reasons, including expanding their business, reducing costs, and increasing profits.

When two companies merge, one usually takes control of the other, and the target company's stock is retired in most cases. It can be friendly, with both companies working together to create a better entity, or hostile, with one company attempting to take over the other.

Therefore, the speculated obstacle prior to the two firms' integration could lead to integration difficulties. The integration of two companies is not an easy task. There are many moving parts to consider, and merging two companies is a complex process.

Integration is often difficult due to different systems, cultures, and priorities. Integration difficulties include everything from business model alignment to IT systems integration to workforce management.

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Top research:
Double taxation, methods and" reasons for tax evasion
and to "combat tax evasion
Not less than 5 pages

Answers

Double taxation is a term that refers to imposition of two or more taxes on the same income, asset, or financial transaction. Methods and reasons for tax evasion: including underreporting income, overstating deductions, hiding assets, failing to file a tax return, and using offshore accounts.

The main reasons for tax evasion are to reduce the amount of taxes owed and to avoid legal penalties, such as fines and imprisonment. Tax evasion can also be used as a form of protest against perceived unfairness in the tax system.

Combatting tax evasion : There are several ways to combat tax evasion, including increasing penalties and enforcement efforts. Addressing the issue of tax havens is therefore a key part of efforts to combat tax evasion.

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. you have an opportunity to invest $100,000 now in return for $80,000 in one year and $30,000 in two years. if your cost of capital is 9%, what is the npv of this investment?

Answers

The NPV of this investment is -$1,884.11

The present value of an investment is calculated by subtracting the sum of the present values of all future cash inflows from the initial investment. The formula for calculating the net present value (NPV) of an investment is also provided, where r is the discount rate, CFt is the net cash flow, and t is the time period.

Using the given formula, the NPV of the investment can be calculated by plugging in the values for the initial investment and future cash flows, as well as the given cost of capital of 9%.

After performing the calculations, the NPV is found to be -$1,884.11. This means that the investment is expected to result in a loss of $1,884.11 when the cost of capital is 9%.

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What is Good faith laws and legislation in English and French criminal
law.articles texts
Conclusive judgments issued by the French and English Court of
Cassation regarding good faith in criminal law

Answers

Good faith laws in criminal law refer to the concept of acting in good faith or with an honest belief that one's actions are legal and justified.

In English criminal law, this concept is known as the defense of honest belief, while in French criminal law, it is referred to as the defense of error in good faith (erreur sur la légalité).The defense applies when a defendant acted in good faith but still committed an offense unknowingly.

The French and English Court of Cassation has issued several conclusive judgments regarding good faith in criminal law, emphasizing the importance of the defendant's subjective belief and the need for a reasonable and honest effort to ensure the legality of one's actions.

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a company pays its employees $4,200 each friday, which amounts to $840 per day for the five-day work week that begins on monday. if the monthly accounting period ends on thursday and the employees worked through thursday, the amount of salaries earned but unpaid at the end of the accounting period is: multiple choice $840. $2,520. $1,680. $4,200. $3,360.

Answers

The amount of salaries earned but unpaid at the end of the accounting period is $2,520.

When the employees receive their salary on Friday, they get paid $4,200. However, the monthly accounting period ends on Thursday, and the employees work through Thursday. Therefore, the employees have worked for 4 days, from Monday to Thursday inclusive. Thus, the total salaries for these 4 days is:$840 × 4 = $3,360

Therefore, the amount of salaries earned but unpaid at the end of the accounting period is the remaining day, which is Friday's salary:$4,200 - $3,360 = $840. However, the salaries earned on Thursday need to be paid out as well, as the accounting period ends on Thursday. Therefore, the amount of salaries earned but unpaid at the end of the accounting period is:$840 + $1,680 = $2,520Therefore, the correct answer is $2,520.

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Anywhere Hospital recently experienced negative publicity in the local community because of some unethical actions taken by a few of its employees concerning protected health information. The hospital subsequently took disciplinary action against those employees. Hospital administration has asked you to serve as part of a task group to address ethical issues in the workplace. The work product your task force produces will be used to prevent recurrence of these unethical actions. What areas will you recommend the task force to focus upon?

Answers

Policies and Procedures, Training and Education, Culture and Leadership By focusing on these areas, the task force can help prevent recurrence of unethical actions in the workplace and ensure that the hospital operates in a legal, ethical, and responsible manner.

As part of the task group, I would recommend focusing on the following areas to prevent recurrence of unethical actions in the workplace:

Policies and Procedures: The task force should review the hospital's existing policies and procedures concerning protected health information and identify any gaps or weaknesses that may have contributed to the unethical actions of the employees. The policies and procedures should be updated, if necessary, to ensure that they are comprehensive and effective in preventing unethical actions.Training and Education: The hospital should provide regular training and education to all employees on the importance of ethics in the workplace, particularly in relation to protected health information. The training should emphasize the legal and ethical responsibilities of employees in handling protected health information and the consequences of violating those responsibilities.Culture and Leadership: The hospital should foster a culture that values ethical behavior and encourages employees to report any unethical actions they witness. The hospital leadership should lead by example and demonstrate a commitment to ethical behavior. The hospital should also establish clear channels for employees to report any ethical concerns or violations, and ensure that employees feel safe and supported when doing so.Monitoring and Auditing: The hospital should establish a system for monitoring and auditing employee compliance with ethical standards and policies. This system should include regular audits of employee behavior, as well as mechanisms for investigating and addressing any reported ethical violations.Consequences and Accountability: The hospital should establish clear consequences and accountability for unethical actions, including disciplinary action for employees who violate ethical standards. The consequences should be enforced consistently and fairly across all levels of the organization.

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Do you believe that the mindset of corporate America is
conductive to the type of work and family arrangements?

Answers

Yes, I believe that the mindset of corporate America is conducive to the type of work and family arrangements. Corporate America has realized the importance of work-life balance and has been implementing policies and programs to support it.

The mindset of corporate America has shifted from a rigid, traditional work structure to a more flexible one. Companies are now offering more flexible work arrangements, such as telecommuting, job sharing, and flextime. This allows employees to manage their work schedules and family responsibilities more efficiently.

Also, companies have been offering more family-friendly benefits like parental leave, childcare assistance, and eldercare support.Corporate America has realized that a healthy work-life balance leads to more productive and satisfied employees.

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Basic Bond Valuation: Complex Systems has an outstanding issue of $1,000-par-value bonds with a 12% coupon interest rate. The issue pays interest annually and has 16 years remaining to its maturity date. A. If bonds of similar risk are currently earning a 10% rate of return, how much should the Complex Systems bond sell for today? B. Describe the two possible reasons why the rate on similar-risk bonds is below the coupon interest rate on the Complex Systems bond. C. If the required return were at 12% instead of 10%, what would the current value of Complex Systems' bond be? Contrast this finding with your findings in part A and discuss.

Answers

A. If bonds of similar risk are currently earning a 10% rate of return, the Complex Systems bond should be sold today for $667.64.

B. Two possible reasons are that interest rates may have declined since the Complex Systems bond was issued and there may be default risk associated with the Complex System’s bond.

C. If the required return were at 12% instead of 10%, the current value of Complex Systems' bond would be $1000.

A. If bonds of similar risk are currently earning a 10% rate of return, the price of Complex System’s bond can be calculated as follows:

Price of bond = (Coupon payment / (Required Rate of Return – Coupon Rate)) * [1 – 1 / (1 + Required Rate of Return)n)]

Where Coupon payment is $120, which is the 12% of $1000, Required Rate of Return is 10%, n is 16 years.

So, substituting the values in the formula, we get:

Price of bond = ($120 / (10% – 12%)) * [1 – 1 / (1 + 10%)16)]

Price of bond = $667.64

Therefore, the Complex System’s bond should sell for $667.64 today.

B. The two possible reasons why the rate on similar-risk bonds is below the coupon interest rate on the Complex Systems bond are as follows:

The interest rates may have declined since the Complex Systems bond was issued, and the bonds issued after that will have a lower coupon rate. For example, if the market interest rate is now 10%, then the bond that offers a coupon rate of 10% or less will be issued at par value. So, the bond issuer will have to offer a coupon rate higher than 10% if he wants to issue bonds at par value.

There may be some default risk associated with the Complex System’s bond, making the required rate of return on this bond higher than the rate on similar-risk bonds. The higher the default risk, the higher the required rate of return. Thus, if the market perceives that there is a higher risk that Complex System will default on its bond payments than the other bond issuers, the required rate of return on the Complex System bond will be higher than on the other bonds.

C. If the required return were at 12% instead of 10%, the price of the Complex System’s bond can be calculated as follows:

Price of bond = ($120 / (12% – 12%)) * [1 – 1 / (1 + 12%)16)]

Price of bond = $1,000

Therefore, if the required return is 12%, then the bond will sell at par value, i.e., $1,000.

In part A, the required rate of return was less than the coupon rate of the Complex System bond, and therefore, it was selling at a discount to its par value. However, when the required rate of return is the same as the coupon rate, the bond will sell at par value.

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Even though he is not a manager, Mr. Klein is the one to see in the company when there is something you need. He will get it quickly and can avoid the red tape that often delays action. Mr. Klein is also the one to see if you need advice or help. Mr. Klein is an important member of the firm's Multiple Choice formal structure. informal organization. purchasing ment bureaucratic structure.

Answers

Mr. Klein is an important member of the firm's informal organization.

Informal organizations are characterized by an organic structure, meaning that decisions are not based on an individual’s position in the organizational hierarchy. Instead, decisions are based on personal relationships and informal agreements between individuals. This allows decisions to be made quickly and often without the need for red tape or bureaucratic structures.

Additionally, this informal network is beneficial when someone needs advice or help, since decisions can be made more quickly without needing to go through the formal hierarchy. In this way, Mr. Klein is an invaluable resource to the firm, since he is able to provide help and assistance in a timely manner without needing to go through multiple levels of bureaucracy.

So, it can be concluded that Mr Klein is a member of the informal organization of the firm.

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Symon's Sausage Corporation is trying to choose between the following two mutually exclusive design projects: Year Project I Project II0 -$ 65,000 -$ 49,8001 31,500. 24,9002 31,500. 24,9003 31,500. 24,900 a-1. If the required return is 10 percent, what is the profitability index for each project? (Do not round intermediate calculations and round your answers to 3 decimal places, e. G. , 32. 161. ) Profitability Index Project | Project II a-2. If the company applies the profitability index decision rule, which project should the firm accept? O Project 1 O Project II

Answers

Divide the present value of the cash inflows by the initial investment to determine the profitability index for each project:

Profitability Index Project I = (PV of cash inflows ÷ Initial investment)

= [(31,500 ÷ 1.1) + (31,500 ÷ 1.21) + (31,500 ÷ 1.331)] ÷ 65,000

= 0.550

Profitability Index Project II = (PV of cash inflows ÷ Initial investment)

= [(24,900 ÷ 1.1) + (24,900 ÷ 1.21) + (24,900 ÷ 1.331)] ÷ 49,800

= 0.543

The corporation should select Project I if the profitability index choice rule is used since it has a higher profitability index of 0.550 than Project II, which has a profitability index of 0.543. If there are just a few investment funds available, the project with the greatest profitability index should be approved, according to the profitability index decision rule.

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explain 2 advantages and 2 disadvantages of authority when meeting
the aims of organisation

Answers

2 advantages of authority when meeting the aims of organisation are helps to maintain order and facilitates decision making. 2 disadvantages of authority when meeting the aims of organisation are can lead to abuse of power and limits creativity.

Authority is a very important concept in management and it refers to the power or right of a person to make a decision, give orders, and enforce obedience. In this context, it is important to note that authority can have both advantages and disadvantages when it comes to meeting the aims of an organization. Here are two advantages and two disadvantages of authority when meeting the aims of an organization:

Advantages of authority are helps to maintain order in the organization by ensuring that everyone knows their roles and responsibilities. This helps to prevent confusion and conflict, which can hinder the progress of the organization. Authority facilitates decision making in the organization by giving the person in charge the power to make decisions quickly and efficiently. This helps to ensure that the organization can respond to changing circumstances and make decisions that are in the best interests of the organization.

Disadvantages of authority can lead to abuse of power if the person in charge uses their power to advance their own interests or to suppress the interests of others. This can lead to resentment and conflict within the organization. Authority can limit creativity by restricting the ability of employees to make decisions and take risks. This can stifle innovation and prevent the organization from adapting to changing circumstances.

In conclusion, while authority can be useful in helping organizations achieve their aims, it can also have disadvantages that can hinder progress. Therefore, it is important for organizations to strike a balance between using authority and promoting a culture of collaboration and creativity.

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The manager at Z-Mart, a retail supermarket, must decide on the number of sweaters to purchase for the winter season. Based on past demand data and weather forecasts for the year, management has forecast demand to be normally distributed, with a mean of 700 and a standard deviation of 200 . Each sweater costs ₹500 and retails for ₹850. Any unsold sweaters at the end of the season are disposed of for₹350. Assume that it costs₹50to hold a sweater in inventory for the season. (a) How many sweaters should the manager order to maximize expected profits?

Answers

To maximize expected profits, the manager should order 673 sweaters. This can be calculated using the following formula:

Expected Profit = (Demand x Retail Price) - (Order Quantity x Purchase Price) - (Inventory x Holding Cost) - (Shortage x Disposal Cost)

Substituting the given values, we get:

Expected Profit = (700 x 850) - (Order Quantity x 500) - (Inventory x 50) - (Max(0, Order Quantity - Demand) x 350)

We can find the optimal order quantity by taking the derivative of this formula with respect to Order Quantity and setting it equal to zero. Solving for Order Quantity, we get 673.

Therefore, the manager should order 673 sweaters to maximize expected profits.

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Individual will be more effective is a team if they are allowed to play the roles they are most skilled. Identify and explain any three of these roles?

Answers

Teamwork is essential for a successful workplace, and allowing team members to play the roles they are most skilled at is an important part of this. Three roles that individuals can take on in a team setting are leader, analyst, and supporter.

Leader: The leader is responsible for guiding the team toward the completion of the project. They are usually the most experienced member of the team and are responsible for delegating tasks, resolving conflicts, and keeping everyone on task.

Analyst: The analyst is responsible for gathering and analyzing data and providing insights into the project. They are typically very detail-oriented and are often the first to spot potential issues and risks with the project.

Supporter: The supporter is responsible for providing moral and emotional support to the team. They are often the glue that holds the team together and helps to ensure that everyone is working together and getting along.

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You are bearish on ML Stock and decide to short sell the stock. You sell 1500 shares at
$40/
share. For short sales, you are required to post an initial margin of
50%
, and pay in maintenance margin if the margin level drops below
30%
. a) What is the amount of cash you need to deposit in your account to meet the initial margin requirement? b) Within one day after you sell short, the stock climbs to
$45/
share. What is your margin rate? c) How high can the stock rise in price before you get a margin call? d) The stock rises to
$56/
share. How much cash will you need to deposit in your account to bring the margin rate up to
30%
?

Answers

Answer : a) This amount would be $30,000 , b) the margin rate would be 1.1 %, c The stock can rise up to $60/share before you get a margin call d) To bring the margin rate up to 30%, you would need to deposit an amount of cash equal to $69,000 in your account.

To meet the initial margin requirement, you need to deposit an amount of cash equal to 50% of the total cost of the 1500 shares. This amount would be $30,000 ($40/share x 1500 shares = $60,000 x 50% = $30,000). The margin rate would be calculated as follows:  (Market Value of the Security - Maintenance Margin Requirement) / Initial Margin Requirement


In this case, the market value of the security would be $45/share x 1500 shares = $67,500. The maintenance margin requirement is 70% of the initial margin requirement which is $21,000. So, the margin rate would be ($67,500 - $21,000) / $30,000 = 1.1 .The stock can rise up to $60/share ($60/share x 1500 shares = $90,000) before you get a margin call. To bring the margin rate up to 30%, you would need to deposit an amount of cash equal to ($90,000 - $21,000) / 30% = $69,000 in your account.

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which of the following is not a defense to negligence? (a) contributory negligence (b) comparative negligence (c) violation of reasonable person standard (d) assumption of risk

Answers

The defense to negligence that is not a defense is a violation of the reasonable person standard. The correct option is (c).

What is negligence?

Negligence is an act or conduct that falls below the standard of care established by the law for the protection of others against unreasonable risk of harm.

It is a type of tort, which means it's a civil wrong, not a crime. When someone is injured because of another person's negligence, the injured person can sue the negligent party for damages. Legal cases involving negligence are common in areas such as personal injury law, medical malpractice, and product liability.

The following are defenses to negligence:

Contributory negligence

Comparative negligence

Assumption of risk.

Contributory negligence:

When the plaintiff's conduct contributes to his or her injury, it is referred to as contributory negligence. When the plaintiff's negligence contributes to the injury, the defendant can avoid liability. Contributory negligence is only a complete defense in jurisdictions that follow the contributory negligence rule.

Comparative negligence:

Comparative negligence is a defense in which the plaintiff's recovery is reduced by the percentage of their own negligence that contributed to the accident. The defendant is not completely relieved of liability in jurisdictions that follow the comparative negligence rule.

Assumption of risk:

Assumption of risk is a defense in which the plaintiff's injury was caused by their consent to a known risk. The defendant is not completely relieved of liability in jurisdictions that follow the assumption of risk rule. The plaintiff's assumption of risk is only a defense if the plaintiff knew the risks associated with the activity and willingly participated in it.

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Numerous behavioral genetic studies have demonstrated that individual differences in psychological traits develop under the influence of both genetic and environmental factors. These studies have also suggested that genetic factors do not influence a trait in a deterministic way. This implies that environmental factors influence a human being trait more than genetic factors. List seven environmental factors that influence human being behaviors and briefly explain how one of these factors can do that?

Answers

While the search results provide some background on the nature versus nurture debate and studies related to the influence of genetic and environmental factors on human behavior, they do not provide a list of specific environmental factors that influence human behavior.

However, some common environmental factors that could influence human behavior include:

Family upbringing and parenting stylesAccess to education and opportunities for learningRelationships with peers and social support networksExposure to stressors or traumatic eventsCultural and societal norms and expectationsAvailability of resources, both material and socialPhysical environment, such as access to green spaces or living in an urban area

To illustrate, let's take family upbringing as an example of an environmental factor that can influence human behavior. Family environments can vary widely in terms of parenting styles, household dynamics, and experiences growing up. Studies have shown that children who grow up in families with warm, supportive parenting tend to have better mental health outcomes and social skills compared to those who grow up in families with harsh or inconsistent parenting styles.

Additionally, children who experience abuse or neglect in childhood are more likely to develop mental health problems and engage in risky behaviors later in life. These differences can be attributed to the environmental factors that shape children's experiences growing up, rather than solely genetic factors.

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6. Draiman Corporation has bonds on the market with14.5 years to maturity, a YTM of 5.3 percent, a par value of $1,000, and a current price of $987. What must the coupon rate be on these bonds?

Answers

The coupon rate on the bonds by Draiman Corporation, given the years to maturity and the par value is 5. 17 %.

How to find the coupon rate ?

You can find the coupon rate by using a spreadsheet. The relevant function is the PMT function.

Rate = 5. 30%

NPER = 14. 5 years

FV = 1, 000

PV = $ 987 current value

The Coupon amount would be $ 51. 69

As a rate the Draiman Corporation bonds coupon would be:

= Coupon payment / 1, 000 par value

= 51. 69 / 1, 000

= 5. 17 %

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Discsuss about the influences of cultural to consumer behaviour.
Why does Ikea need to redesign their products for each
country/culture? (10 marks)
ANSWER:

Answers

The influence of cultural on consumer behavior is highly significant. Different cultures exhibit different values, beliefs, and attitudes, which affect their buying decisions. The major ways in which culture influences consumer behavior include social norms, beliefs, and values, and cultural symbols and language.

Factors which affect consumer behavior

The ways in which these factors affect consumer behavior are discussed below:

Social norms:

Social norms are the unwritten rules that define how people behave in a given society. These norms are highly influential in shaping consumer behavior.

For example, in some cultures, it is normal for people to purchase high-end luxury goods to display their wealth and social status.Beliefs and values: Beliefs and values refer to the guiding principles that individuals use to make decisions. In some cultures, people believe in living a simple life with minimal possessions, while others emphasize the importance of material possessions.

Cultural symbols and language:

Cultural symbols and language are important in shaping consumer behavior.

For example, certain colors may be associated with different meanings in different cultures. Similarly, the way a product is advertised and promoted may differ depending on the language spoken in a particular culture.

Therefore, companies need to be aware of these cultural factors when developing their marketing strategies.

Ikea needs to redesign their products for each country/culture because cultural factors play a significant role in consumer behavior. Ikea is a multinational company with a presence in several countries worldwide. Each of these countries has its unique culture, which affects consumer behavior.

For example, furniture designs that are popular in Sweden may not be popular in Japan, and vice versa. Therefore, Ikea needs to adapt its product designs to suit the cultural preferences of each country. By doing so, Ikea can appeal to the local market and increase its sales.

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