how can managers effectively plan when the external environment is continually changing?
A. They should set general, but rigid plans. B. They should continue to follow the set organizational plans as persistence will eventually pay C. They should be ready to change directions if environmental conditions warrant D. They should discontinue formal planning.

Answers

Answer 1

Managers can effectively plan when the external environment is continually changing by being ready to change directions if environmental conditions warrant. This is the best approach among the options provided.

In a dynamic and ever-changing external environment, rigid plans or sticking to set organizational plans may not be effective. Managers need to be flexible and adaptable to respond to changes in the environment. By being ready to change directions, managers can adjust their plans and strategies based on the evolving circumstances. This allows them to stay proactive, seize opportunities, mitigate risks, and align their actions with the current realities of the external environment. It enables organizations to maintain competitiveness and navigate through uncertainties effectively.

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Related Questions

3.08 free trade and barriers
Pls help

Answers

Free trade is a policy in which countries allow goods and services to move freely across borders without tariffs, quotas, or other barriers to trade.

Why do people argue for free trade ?

Proponents of unrestricted commercial activity contend that it stimulates economic expansion, increases effectiveness, and lowers the prices for buyers. They acknowledge that permitting nations to concentrate on producing goods and services they can manufacture with maximum proficiency will heighten productivity and advance the standard of living.

Those who are in opposition to unrestrained trade claim that it precipitates unemployment, most notably within industries that cannot compete globally. They also assert that free trade causes environmental dilapidation and amplified inequity, specifically affecting developing countries, which may lack the means necessary to contest fairly.

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what might an airport or courthouse consider installing to prevent intruders from following or tailgating an employee into the building? (5 points)barrierboundaryperimetermantrap

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An airport or courthouse might consider installing a mantrap in order to prevent intruders from following or tailgating an employee into the building. A mantrap is a security device that consists of two interlocking doors that control access to a secure area. The correct option is d.

When an employee enters the mantrap, the first door will close behind them, and then the second door will open only after they have been identified and cleared for access. This prevents unauthorized individuals from following the employee into the secure area.  Another option that an airport or courthouse might consider is installing barriers or boundaries around the perimeter of the building. These physical barriers can include walls, fences, or even landscaping features that create a clear boundary between public and private space.

This can deter intruders from attempting to enter the building, as they will be less likely to attempt to breach a physical barrier.  Overall, there are a variety of options that an airport or courthouse can consider when it comes to preventing intruders from following or tailgating employees into the building. By implementing a combination of physical barriers and access control measures such as mantraps, these facilities can enhance their security and reduce the risk of unauthorized access.  The correct option is d.

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a ________ provides distribution channels, such as an online shop or a web retailer.
content provider distributor consumer clearinghouse

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A distributor provides distribution channels, such as an online shop or a web retailer. Distributors play a crucial role in the supply chain by facilitating the movement of products or services from manufacturers or producers to end consumers.

A distributor acts as an intermediary between the producer or manufacturer and the end consumer, providing distribution channels through which products or services can be made available to customers. Distributors can operate in various forms, such as online shops, web retailers, wholesalers, or retailers.

The primary function of a distributor is to acquire products or services from the manufacturer or producer and make them accessible to consumers. They manage inventory, handle logistics, and often provide additional services such as marketing, sales, and customer support. Distributors play a vital role in connecting products with consumers, ensuring efficient and effective distribution, and expanding the reach of products in the market.

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daniel and spencer work at the same company. they often go to lunch together, and they meet to play tennis after work at least once a week. this describes a .

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The description provided indicates a social relationship between Daniel and Spencer.

While they work at the same company, their interactions extend beyond the professional setting. Going to lunch together and playing tennis after work on a regular basis indicates a level of camaraderie and friendship. These shared activities suggest that Daniel and Spencer enjoy each other's company and engage in socializing outside of work hours. Building social relationships with colleagues can have several benefits, such as fostering a positive work environment, enhancing teamwork and collaboration, and promoting employee well-being. By engaging in activities together, Daniel and Spencer are likely strengthening their bond and creating a supportive network within the workplace.

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assume you have taken out a balloon mortgage loan for $2,500,000 to finance the purchase of a commercial property. the loan has a term of 5 years, but amortizes over 25 years. calculate the balloon payment at maturity (year 5) if the interest rate on this loan is 4.5%. a. $5,637.99 b. $13, 895.82 c. $2,196,447.59 d. $2,495,479.19

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The interest rate on this loan is 4.5% Option C. $2,196,447.59.

A balloon mortgage loan is a type of loan that offers lower monthly payments in the initial years of the loan term but requires the borrower to pay off the remaining principal balance in a lump sum payment at the end of the loan term.

Given the loan amount of $2,500,000 and an interest rate of 4.5%, and a loan term of 5 years, the monthly payment can be calculated using the amortization formula:

P = (r(PV))/(1 - [tex](1 + r)^{(-n)}[/tex])

Where

P = monthly payment,

r = monthly interest rate (4.5%/12 = 0.375%),

PV = loan amount ($2,500,000), and n = number of payments (25 years x 12 months = 300 payments).

Plugging in these values, the monthly payment comes out to be $12,657.34.

However, since this is a balloon mortgage loan, the remaining principal balance after 5 years (60 payments) will need to be paid off in a lump sum payment.

The remaining principal balance at year 5 can be calculated using the same amortization formula, but with n = remaining number of payments (240 payments):

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

Plugging in the values, the remaining principal balance after 5 years comes out to be $2,196,447.59. This is the amount of the balloon payment due at the end of the loan term.

Therefore, the correct answer is (c) $2,196,447.59.

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methods for ppe disposal are standard across facilities, if you are familiar with the procedures at one facility you can assume they are the same at a different facility. True or False?

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False. While many facilities follow similar guidelines for PPE disposal, it is not safe to assume that the procedures are the same at different facilities. Always familiarize yourself with the specific protocols at each facility to ensure proper disposal and reduce the risk of contamination or infection.

While there may be general guidelines for PPE disposal, the specific procedures can vary between facilities depending on factors such as the type of PPE being used and the materials it is made from. It is important to follow the guidelines and procedures provided by each facility to ensure proper disposal and minimize the risk of contamination or harm to individuals and the environment. Therefore, assuming that the procedures at one facility are the same as another can be risky and potentially dangerous.

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A subsidiary of Dunder Inc., a U.S. company, was located in a foreign country. The functional currency of this subsidiary was the Stickle (§) which is the local currency where the subsidiary is located. The subsidiary acquired inventory on credit on November 1, 2020, for §160,000 that was sold on January 17, 2021 for §207,000. The subsidiary paid for the inventory on January 31, 2021. Currency exchange rates between the dollar and the Stickle were as follows:November 1, 2020$0.21=§1December 31, 2020$0.22=§1January 1, 2021$0.24=§1January 31, 2021$0.25=§1Average for 2021$0.27=§1What amount would have been reported for this inventory in Dunder's consolidated balance sheet at December 31, 2020?$35,200.Current rate method: §160,000 × $0.22 = $35,200Which method of translating a foreign subsidiary's financial statements is correct if it is assumed that the parent's net investment is exposed to foreign exchange risk?

Answers

If the parent's net investment is exposed to foreign exchange risk, the most appropriate method of translating a foreign subsidiary's financial statements would be the current rate method.

What does it entail?

Under this method, all balance sheet items are translated using the exchange rate at the balance sheet date, and all income and expense items are translated using the exchange rate at the time of the transaction.

This method reflects the most current exchange rates and thus, any gains or losses from fluctuations in exchange rates are reflected in the parent's consolidated financial statements.

This method also provides a clearer picture of the subsidiary's financial position and performance at the time of consolidation.

However, it should be noted that this method can result in significant fluctuations in reported earnings due to changes in exchange rates.

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an automobile windshield manufacturer wants to verify that, on average, their process is producing windshields of an appropriate average thickness. the best tool to determine this information is a(n):

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The best tool to determine whether an automobile windshield manufacturer's process is producing windshields of appropriate average thickness is a statistical process control chart.

Statistical process control (SPC) is a method for monitoring, controlling, and improving a manufacturing process by tracking key variables over time. An SPC chart is a graph that shows the average value and the range of variation for a particular process variable. By tracking these variables over time, manufacturers can identify trends and patterns in their processes and make adjustments to improve quality and reduce waste. In the case of the automobile windshield manufacturer, an SPC chart would be used to track the thickness of windshields over time. The chart would show the average thickness of the windshields, as well as the range of variation in thickness. By monitoring the chart, the manufacturer could identify any trends or patterns that suggest the process is not producing windshields of an appropriate average thickness and take corrective action to improve the process.

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ron buys 522 shares of narcissus, inc., common stock in a cash account on monday, march 19. he deposits cash in the account sufficient to cover the trade on march 20. how soon would he be able to withdraw those shares?

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In general, after purchasing shares in a cash account, it takes two business days (T+2) for the trade to settle. In this case, Ron bought the shares on Monday, March 19, so the settlement date would be Wednesday, March 21.

Once the trade has settled, Ron would be able to withdraw the shares at any time. However, he should keep in mind any restrictions or fees that may apply to the account or the shares themselves. For example, some brokerages may require a holding period before shares can be sold or transferred out of the account.  

There may be transaction fees or taxes to consider. Ron should consult with his brokerage or financial advisor to understand the specific rules and procedures that apply to his account and shares.

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jacqueline is required to cover 40% of the cost of her disability insurance, with her employer funding the remaining 60% of premium costs. after becoming disabled, jacqueline receives a benefit from her group policy of $10,000 per month. how much of this monthly benefit will be included as taxable income on jacqueline's tax return?

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if Jacqueline paid her premiums with pre-tax dollars, $6,000 of her $10,000 monthly disability insurance benefit would be included as taxable income on her tax return.

The taxable amount of Jacqueline's monthly disability insurance benefit will depend on whether she paid the premiums with pre-tax or after-tax dollars.
If Jacqueline paid her premiums with after-tax dollars, then the entire $10,000 monthly benefit would be tax-free.
If Jacqueline paid her premiums with pre-tax dollars, then the portion of the benefit that is taxable would be calculated using the following formula:
Taxable benefit = (Total premiums paid by employer) / (Total premiums paid by both employer and employee) x (Monthly disability benefit)
Assuming that the employer paid 60% of the premium costs and Jacqueline paid 40%, the calculation would be:
Taxable benefit = (0.6 x Monthly premium) / (Monthly premium) x (Monthly disability benefit)
Taxable benefit = 0.6 x $10,000
Taxable benefit = $6,000
Therefore, if Jacqueline paid her premiums with pre-tax dollars, $6,000 of her $10,000 monthly disability insurance benefit would be included as taxable income on her tax return.


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reserpine and chlorpromazine have both been used to treat symptoms associated with:

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Reserpine and chlorpromazine have both been used to treat symptoms associated with mental disorders, specifically schizophrenia and other psychotic disorders.

Reserpine and chlorpromazine are medications that have historically been used in the treatment of mental disorders. Reserpine, derived from the root of the Rauwolfia plant, was initially used to manage high blood pressure but was later found to have antipsychotic properties. It was commonly prescribed for the treatment of schizophrenia and other psychotic disorders.

Chlorpromazine, on the other hand, is a phenothiazine antipsychotic medication that was developed in the 1950s. It became one of the first widely used antipsychotic drugs and was effective in reducing hallucinations, delusions, and agitation in patients with schizophrenia.

Both reserpine and chlorpromazine work by modulating the levels of certain neurotransmitters, such as dopamine, in the brain. By blocking or reducing the activity of dopamine receptors, these medications help alleviate the symptoms associated with psychotic disorders.

It's important to note that the use of reserpine as an antipsychotic has significantly declined due to its adverse side effects and the availability of newer antipsychotic medications. Chlorpromazine is still occasionally used, but it has also been largely replaced by newer-generation antipsychotics with improved efficacy and tolerability profiles.

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A Min Company operates at 80% capacity. At this level, they produce 1,000 units, fixed costs are $15,000, and 10,000 direct labor hours.
The Fixed cost per direct labor hour at 80% is?

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At 80% capacity, A Min Company produces 1,000 units, has fixed costs of $15,000, and utilizes 10,000 direct labor hours.

To analyze the situation, let's calculate the company's production capacity and its variable costs.

Production Capacity:

If 1,000 units are produced at 80% capacity, we can calculate the total production capacity using the following formula:

Total Production Capacity = (Actual Production / Capacity Utilization)

Total Production Capacity = (1,000 units / 0.8) = 1,250 units

Variable Costs per Unit:

To calculate the variable costs per unit, we divide the total variable costs by the total production capacity:

Variable Costs per Unit = (Total Variable Costs / Total Production Capacity)

Given that the variable costs are not provided in the information, we cannot calculate the variable costs per unit without that specific data.

At 80% capacity, A Min Company produces 1,000 units, has fixed costs of $15,000, and utilizes 10,000 direct labor hours. Without information about variable costs, we cannot determine the variable costs per unit or make further calculations.

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which kinds of goals need to be met for a successful venture in corporate entrepreneurship? (check all that apply.)

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In order to have a successful venture in corporate entrepreneurship, several goals must be met. These include: Innovation, growth potential, Resource allocation, Sustainability and Alignment with corporate strategy.



1. Innovation: The venture should introduce a new idea or product that fills a gap in the market or solves a problem in a new way. This requires creativity and a willingness to take risks.
2. Growth potential: The venture should have the potential for growth and expansion in the long-term. This can be achieved by analyzing market trends and customer demand.
3. Resource allocation: Adequate resources should be allocated to the venture, including funding, staff, and time. This ensures that the venture can operate effectively and achieve its goals.
4. Sustainability: The venture should be able to sustain itself over the long-term, including generating revenue and maintaining a competitive edge.
5. Alignment with corporate strategy: The venture should align with the overall corporate strategy, goals, and values. This ensures that the venture contributes to the overall success of the organization.
By achieving these goals, a successful venture in corporate entrepreneurship can be established, which benefits the organization as a whole.

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intuitive decision making is most likely to be appropriate in all of the following situations except:

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Intuitive decision making may not be appropriate in situations that require a more rational and objective analysis of the situation to make an informed decision.

Intuitive decision making is a type of decision-making approach that relies on instincts and feelings rather than logical analysis. It is usually considered appropriate in situations where there is not enough time to collect all the necessary information and where the consequences of the decision are not significant. However, intuitive decision making may not be appropriate in situations where the consequences of the decision are significant and where a more objective and analytical approach is needed. For instance, in situations where a decision may impact the safety of individuals, the environment, or the financial well-being of a company, a more rational and evidence-based approach is required. Therefore, intuitive decision making may not be appropriate in situations that require a more rational and objective analysis of the situation to make an informed decision.

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in the run, a monopolistically competitive firm will charge a price equal to the average total cost per unit produced. true or false

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False. A monopolistically competitive firm will not necessarily charge a price equal to the average total cost per unit produced. In a competitive market, firms set prices based on the marginal cost of production, meaning the cost of producing one additional unit of a good or service.

However, in a monopolistically competitive market, firms have some market power and can set prices above marginal cost. The firm will charge a price that maximizes its profits, which is where marginal revenue equals marginal cost. This means that the firm will charge a price that is higher than the marginal cost of production, but not so high that it will lose customers to competitors. Therefore, the price charged by a monopolistically competitive firm may be higher or lower than the average total cost per unit produced, depending on the specific market conditions and the firm's pricing strategy.

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the 1930fordney-mccumber act raised u.s. tariffs to historically high levels. group startstrue or false

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The 1930 fordney-mccumber act raised U.S tariffs to historically high levels. group starts - True.

The statement is correct. The Fordney-McCumber Tariff Act of 1930 raised U.S. tariffs to historically high levels. The act was implemented with the aim of protecting American industries by imposing high tariffs on imported goods, thereby making foreign products more expensive and less competitive in the U.S. market. This protectionist policy was a response to the economic challenges faced by the United States in the aftermath of World War I. The Fordney-McCumber Act is often associated with a wave of increased protectionism during the 1920s and is considered one of the contributing factors to the contraction of global trade during the Great Depression.

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omsen corp. is experiencing rapid growth. dividends are expected to grow at 25 percent per year during the next three years, 15 percent over the following year, and then 6 percent per year indefinitely. the required return on this stock is 10 percent, and the stock currently sells for $79 per share. what is the projected dividend for the coming year?

Answers

The projected dividend for the coming year of Omsen Corp. can be determined by calculating the dividends based on the expected growth rates.

First, let's calculate the dividends for the next four years:

Year 1 dividend = Current dividend × (1 + growth rate) = $79 × 0.25 = $19.75

Year 2 dividend = Year 1 dividend × (1 + growth rate) = $19.75 × 0.25 = $24.69

Year 3 dividend = Year 2 dividend × (1 + growth rate) = $24.69 × 0.25 = $30.86

Year 4 dividend = Year 3 dividend × (1 + growth rate) = $30.86 × 0.15 = $35.49

After the fourth year, the dividends are expected to grow at a constant rate of 6 percent per year indefinitely. To calculate the expected dividend for the coming year (Year 5) and beyond, we can use the constant growth formula:

Expected dividend in Year 5 and beyond = Year 4 dividend × (1 + constant growth rate) / (required return - constant growth rate)

= $35.49 × 1.06 / (0.10 - 0.06)

= $35.49 × 1.06 / 0.04

= $942.40

Therefore, the projected dividend for the coming year (Year 1) of Omsen Corp. is $19.75 per share.

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Which type of business market tends to have the most complex buying procedures? a. Reseller b. Institutional c. Retailer d. Government e. Producer.

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The type of business market that tends to have the most complex buying procedures is the government market (Option d).

The government market involves the procurement of goods and services by governmental entities at various levels, such as federal, state, and local governments. Government buying procedures are often complex due to the need for transparency, accountability, and adherence to specific regulations and laws.

Government contracts typically involve extensive documentation, competitive bidding processes, compliance with various requirements, and strict evaluation criteria.

The involvement of multiple stakeholders, lengthy decision-making processes, and the need to ensure fair and equitable procurement practices contribute to the complexity of government buying procedures. Therefore, among the given options, the government market is generally associated with the most complex buying procedures.

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A(n) _____ structure should be introduced where employees perform tasks with high variability and low analyzability.Select one:a. team-basedb. formalizedc. organicd. mechanistice. simple

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A(n) organic structure should be introduced where employees perform tasks with high variability and low analyzability. Option C

This type of structure emphasizes flexibility and adaptability in response to changes in the environment, which is particularly important for tasks that are difficult to standardize or automate.

In a relational structure, employees work closely together in teams or groups, and communication and collaboration are emphasized. This allows for the exchange of ideas and the pooling of resources, which can lead to more creative problem-solving and innovation.

In contrast, a more rigid, hierarchical structure may be more appropriate for tasks with low variability and high analyzability. In this type of structure, tasks are more standardized and routine, and decision-making is centralized. This can lead to greater efficiency and consistency, but may be less adaptable to changing circumstances.

Overall, the choice of organizational structure should be based on the nature of the tasks being performed and the goals of the organization. For tasks with high variability and low analyzability, a relational structure that emphasizes flexibility and collaboration may be the most effective approach. Option C

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netflux is selling for $105 a share. a netflux call option with one month until expiration and an exercise price of $116 sells for $2.30 while a put with the same strike and expiration sells for $13.10. a. what is the market price of a zero-coupon bond with face value $116 and 1-month maturity? (round your answer to 2 decimal places.)

Answers

the market price of a zero-coupon bond with face value $116 and 1-month maturity is $126.80.

Using the put-call parity formula, we can find the market price of a zero-coupon bond with face value $116 and 1-month maturity:
Put price + Exercise price = Call price + Bond price
$13.10 + $116 = Call price + Bond price
Call price = $2.30 (given in the question)
Therefore,Bond price = $13.10 + $116 - $2.30 = $126.80
So the market price of a zero-coupon bond with face value $116 and 1-month maturity is $126.80.

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a portfolio consists of $17,800 in stock a and $29,900 invested in stock b. the expected return on these stocks is 10.20 percent and 13.80 percent, respectively. what is the expected return on the portfolio? multiple choice 11.54% 10.58% 13.13% 12.00% 12.46%

Answers

The expected return on the portfolio can be calculated using the weighted average of the expected returns of stock A and stock B based on their respective amounts in the portfolio:

Expected return on portfolio = (amount in stock A / total portfolio amount) x expected return of stock A + (amount in stock B / total portfolio amount) x expected return of stock B
Plugging in the given values, we get:

Expected return on portfolio = (17,800 / (17,800 + 29,900)) x 10.20% + (29,900 / (17,800 + 29,900)) x 13.80%

Expected return on portfolio = 0.372 x 10.20% + 0.628 x 13.80%

Expected return on portfolio = 3.799% + 8.685%

Expected return on portfolio = 12.484%

Therefore, the expected return on the portfolio is 12.484%, which is closest to 12.46%.

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T/F : planners need to think about internet bandwidth during negotiations with hotels.

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The statement "planners need to think about internet bandwidth during negotiations with hotels." is false.

Planners generally do not need to think about internet bandwidth specifically during negotiations with hotels.

While internet access is an important consideration for events and conferences, it is typically the responsibility of the venue or hotel to provide sufficient internet connectivity for their guests.

When negotiating with hotels, planners may discuss the availability and quality of internet services as part of the overall package, but the specific bandwidth requirements are not typically a major point of negotiation.

Hotels are expected to provide a reliable and adequate internet connection to meet the needs of their guests, including event attendees.

If a planner has specific requirements for high-bandwidth activities such as streaming or conferencing, it may be worth discussing these needs with the hotel to ensure they can accommodate such demands. However, this is more of an exception rather than a general rule.

Overall, while internet access is an important factor to consider when selecting a venue, negotiating internet bandwidth during the negotiation process with hotels is not a common practice for most event planners.

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gerhard company has 300 units costing $10 per unit in beginning inventory. during the year, the company purchases an additional 1,000 units costing $20 per unit and sells 1,200 units. the company has used the lifo inventory method for the past 5 years. if the company had purchased at least 1,200 units, cogs would have been multiple choice question. $2,000 lower. $1,000 higher. $1,000 lower. $2,000 higher.

Answers

If the company had purchased at least 1,200 units, cogs would have been $2,000 higher. So, correct option is D.

Under the LIFO (Last-In, First-Out) inventory method, the most recent inventory purchases are assumed to be the first to be sold. In this case, Gerhard Company had 1,000 units purchased at $20 per unit, and 300 units purchased at $10 per unit, in the inventory.

When the company sold 1,200 units, it would be assumed that the 1,000 units purchased at $20 per unit and 200 units from the beginning inventory would be sold, leaving 100 units of the beginning inventory and 800 units of the current inventory.

Now, if the company had purchased at least 1,200 units, the cost of goods sold (COGS) would have been calculated by including the cost of 200 units from the beginning inventory and 1,000 units from the current inventory, which would have totaled to $20,000 ($2,000 higher than actual COGS).

Therefore, the answer to the multiple-choice question would be option D.

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reviewing morale and work behavior is one good way to measure schedule performance
T/F

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False. Reviewing morale and work behavior is not an effective way to measure schedule performance. Schedule performance is typically measured by comparing planned versus actual timelines, milestones, and deliverables.

Reviewing morale and work behavior is not a direct or accurate method for measuring schedule performance. Schedule performance refers to the evaluation of a project's progress and adherence to the planned timeline and milestones. It involves comparing the planned schedule with the actual progress made in completing tasks, activities, or deliverables. Measuring schedule performance requires tracking and analyzing factors such as task duration, completion dates, resource allocation, and any deviations from the original plan. By monitoring these objective indicators, project managers can assess whether the project is on track, ahead of schedule, or behind schedule. Morale and work behavior, on the other hand, are subjective aspects related to the attitudes, motivation, and behavior of individuals or teams within the project. While these factors may indirectly impact schedule performance, they do not provide a direct measure of how well the project is progressing in terms of meeting timelines and milestones. To accurately assess schedule performance, project managers typically rely on quantitative measures such as Gantt charts, project management software, progress reports, and milestone tracking.

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In NIMS, when do managers plan and prepare for the demobilization process?
At the same time they begin mobilizing resources.
Information and Intelligence Management
Emergency Operations Centers (EOC'S)

Answers

In  National Incident Management System, managers plan and prepare for the demobilization process at the same time they begin mobilizing resources. This ensures that demobilization is considered and planned for from the early stages of an incident.

When an incident occurs and resources are mobilized, it is essential to have a plan in place for demobilizing those resources once their operational objectives have been achieved or are no longer needed. Effective demobilization involves systematically and safely releasing resources, coordinating their return to their home agencies or reassignment to other incidents.

By planning and preparing for demobilization concurrently with resource mobilization, managers can ensure a smooth and efficient transition from the response phase to the demobilization phase. This includes assessing resource needs, identifying demobilization priorities, establishing demobilization procedures, and communicating demobilization plans to relevant personnel. Considering demobilization early in the incident management process allows for better resource allocation, cost management, and overall incident coordination.

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missy corp. issues two bonds with 25-year maturities. both bonds are callable at $1,050. the first bond is issued at a deep discount with a coupon rate of 4.5% and a price of $680 to yield 7.32%. the second bond is issued at par value with a coupon rate of 8.85%. a) what is the yield to maturity of the par bond? why is it higher than the yield of the discount bond?

Answers

The yield to maturity of the par bond can be calculated as the discount rate that equates the present value of its future cash flows (coupon payments and the par value) to its current market price.

Given that the par bond has a 25-year maturity, a coupon rate of 8.85%, and is issued at par value, the yield to maturity would be equal to the coupon rate of 8.85%.

The yield to maturity of the par bond is higher than the yield of the discount bond because the coupon rate of the par bond is higher. The coupon payments of the par bond are larger relative to its price, resulting in a higher yield to maturity. In contrast, the discount bond is issued at a lower price and has a lower coupon rate, making its yield to maturity lower. Yield to maturity reflects the overall return an investor can expect to earn from a bond, considering its price, coupon rate, and time to maturity.

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A same-size _____ shows changes from last year to this year as a percentage of last year's amounts.

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A same-size percentage change chart shows changes from last year to this year as a percentage of last year's amounts.

A same-size percentage change chart, also known as a year-on-year percentage change chart or a comparative percentage chart, is a visual representation that compares the changes in values or quantities between two consecutive years.

It is used to analyze and present the relative growth or decline of different variables over time.

The chart compares the values of various representation , such as sales figures, revenue, population, or any other measurable quantity, from one year to the next. The percentage change is calculated by taking the difference between the values of the two years and expressing it as a percentage of the previous year's value.

By using the same-size representation change chart, it becomes easier to observe and compare the relative changes in different variables, regardless of their initial magnitudes. This chart is particularly useful for identifying trends, understanding growth rates, and evaluating the performance of various factors or indicators over time.

Typically, the chart consists of a horizontal axis representing the different variables being compared, and a vertical axis representing the percentage change from the previous year. Each variable is represented by a bar or line that shows the percentage change in value.

Overall, the same-size percentage change chart provides a clear and concise visual representation of the relative changes between two consecutive years, allowing for easy comparison and analysis of the data.

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schmitt received $10,000 cash and an automobile with an adjusted basis of $15,000 and a fair market value of $5,000 from a partnership. schmitt's basis in the partnership before the distribution was $5,000. what amount, if any, was schmitt's recognized gain?

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Schmitt's recognized gain from the partnership distribution is $0.

When a partner receives a distribution from a partnership, the partner's basis in the distributed property is generally equal to the partnership's basis in the property at the time of distribution. In this case, Schmitt received $10,000 cash and an automobile with a fair market value of $5,000, for a total value of $15,000. Since the automobile has an adjusted basis of $15,000, the partnership's basis in the automobile is also $15,000. Therefore, Schmitt's basis in the distributed property is $20,000 ($5,000 before the distribution plus $15,000 for the automobile). Since the total value of the distribution is $15,000, Schmitt has no recognized gain.

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please answer the questions relating to prediction markets.which statement is the prime reason individuals trade in prediction markets?online prediction markets allow users to escape online gambling prohibitions.prediction markets allow users to speculate on future forecasts.prediction markets allow users increased security for their finances compared to normal stock markets.prediction markets promise higher returns than the average stock trading system.which of the markets described is not an example of a prediction market?an online system allows users to predict electoral outcomes across the globe.a national program for university statistics students allows them to place bets using fake money to buy sharesin college football teams.the recording industry association of america (the riaa), the trade industry representing the americanmusic business, uses an internal system among employees to speculate about future record sales.several large investment firms collectively decide to purchase large amounts of sugar when the price is lowin order to drive up its price on the world market, and then sell when the price is high.

Answers

Prediction markets allow users to speculate on future forecasts. Investment firms purchase sugar at low prices to drive up prices. Thus, options d and b are correct.

The main reason people trade in markets for predictions is that they allow users to bet on future projections. Prediction markets, often referred to as speculation markets, info markets, choice markets, concept futures, and options, or occurrence derivatives, are publicly accessible marketplaces. In order to raise the price of sugar on the global market, many major investment corporations jointly resolve to buy a lot of it while it is cheap and sell it when it is expensive

Therefore, options D and B are correct

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The question is incomplete, Complete question probably will be  is:

Which statement is the prime reason individuals trade in prediction markets?

A. Prediction markets allow users increased security for their finances compared to normal stock markets

B. Online prediction markets allow users to escape online gambling prohibitions

C. Prediction markets promise higher returns than the average stock trading system

D. Prediction markets allow users to speculate on future forecasts

Which of the markets described is NOT an example of a prediction market?

A. A national program for university statistics students allows them to place bets using fake money to buy shares in college football teams

B. Several large investment firms collectively decide to purchase large amounts of sugar when the price is low in order to drive up its price on the world market, and then sell when the price is high

C. The Recording Industry Association of America (the RIAA), the trade industry representing the American music business, uses an internal system among employees to speculate about future record sales

D. An online system allows users to predict electoral outcomes across the globe

the current ratio is a good proxy for a firm's: group of answer choices degree of leverage efficiency liquidity profitability

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The current ratio is a financial ratio that measures a company's ability to pay off its short-term liabilities with its current assets. It is calculated by dividing a company's current assets by its current liabilities.

The current ratio is often used as a measure of a company's liquidity, as it provides an indication of the company's ability to pay its debts in the short term. A high current ratio indicates that a company has a relatively large amount of current assets compared to its current liabilities. This suggests that the company is able to meet its short-term obligations with ease. A low current ratio, on the other hand, suggests that a company may struggle to meet its short-term obligations and may have difficulty paying its debts on time. While the current ratio is primarily used as a measure of liquidity, it can also provide some insight into a company's efficiency and profitability. For example, a high current ratio may indicate that a company is efficient in managing its working capital, which could lead to improved profitability over the long term.

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