the radical redesign of all aspects of an organization in order to achieve major gains in cost reduction, service delivery, or reduction in order-processing time is known as .

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Answer 1

Reengineering is a highly structured process that uses technology and process redesign to break through the barriers of a traditional organization and achieve dramatic improvements in organizational performance.

It involves the redesign of processes, jobs, and organizational structures to achieve rapid, radical improvement in cost and service. Reengineering is often a comprehensive overhaul of an organization's processes, systems, and structures and requires a thorough understanding of the organization's operations, processes, and customer requirements.

Reengineering is typically used to improve the efficiency of an organization and reduce costs by eliminating redundant tasks, streamlining processes, and improving customer service. By restructuring the organization into a more efficient and effective structure, reengineering can reduce costs, improve customer service and satisfaction, and increase productivity. Reengineering can also help an organization to gain competitive advantage by leveraging technology, process redesign, and organizational restructuring to create and maintain a higher level of performance than the competition.

Reengineering is widely used in many industries and organizations, from healthcare to finance, manufacturing, retail, and government. When done correctly, reengineering can yield significant cost savings and improved performance. However, it is a complex process and requires a great deal of planning and analysis to ensure that the end result is successful. In addition, reengineering can be costly and may require significant upfront investment.

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the use of social network services and websites by consumers to share their latest purchases, deals, product reviews, and other shopping finds with friends and contacts is referred to as blank . multiple choice question. social commerce social shopping influencer marketing integrated marketing

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The use of social network services and websites by consumers to share their latest purchases, deals, product reviews, and other shopping finds with friends and contacts is referred to option is b) social shopping

This phenomenon has gained significant popularity in recent years as consumers increasingly rely on their social networks for product recommendations and information to inform their purchasing decisions.

Through social shopping, individuals can share their shopping experiences, provide feedback on products, and showcase their latest finds to their network. This sharing of information helps create a sense of community and enables consumers to make more informed choices when it comes to their own shopping endeavors.

Social shopping is facilitated by the integration of social media platforms and e-commerce, allowing users to easily share links, images, and reviews of products they come across. It has also paved the way for influencer marketing, where social media influencers share their own shopping experiences and promote products to their followers. Overall, social shopping has become a powerful tool for consumers to engage with brands, discover new products, and make more informed shopping decisions.

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According to the sector model, low-income housing is located near
A. nodes near universities and parks
B. renovated inner-city neighborhoods
C. outer ring surrounding the city
D. industry and its associated transportation

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According to the sector model, low-income housing is typically located in the outer ring surrounding the city.

The sector model, also known as the Hoyt model, is a theoretical urban land-use model that suggests cities grow outward in a series of wedges or sectors. In this model, different land uses are organized in sectors radiating from the central business district (CBD). The model proposes that certain types of land uses, including low-income housing, tend to be concentrated in specific sectors based on the city's development pattern.

In the sector model, low-income housing is often situated in the outer ring surrounding the city. This is because the outer areas are usually less desirable for higher-income residential development due to factors such as distance from the CBD, lack of amenities, or lower land values.

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According to real business cycle theorists, changes in Real GDP are the result of initialchanges ina.aggregate demand.b.the money supply.c.the expected inflation rate.d.prices.e.none of the above

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According to real business cycle theorists, changes in Real GDP are the result of initial changes in e. none of the above.

Real business cycle theory posits that changes in real GDP, which represents the value of goods and services produced in an economy adjusted for inflation, are primarily driven by exogenous shocks to the economy's productivity and technology rather than changes in aggregate demand, the money supply, the expected inflation rate, or prices.

Real business cycle theorists argue that fluctuations in real GDP are a result of changes in the productive capacity of an economy, such as shifts in technology, changes in the availability of resources, or variations in productivity. These exogenous shocks can have a significant impact on the economy's output.

Unlike other theories that emphasize the role of demand-side factors, real business cycle theory focuses on the supply side of the economy. It suggests that changes in the productive capacity of an economy can lead to fluctuations in output, employment, and other macroeconomic variables.

Real business cycle theorists argue that these exogenous shocks can have long-lasting effects on the economy. For example, a positive shock to productivity can lead to an increase in real GDP, employment, and wages, while a negative shock can lead to a decrease in these variables.

In summary, according to real business cycle theorists, changes in Real GDP are primarily the result of exogenous shocks to the economy's productivity and technology. These changes can have a substantial impact on the economy's output and are not primarily driven by changes in aggregate demand, the money supply, the expected inflation rate, or prices.

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shakeia duncan wants to know what home price she can afford. her annual gross income is $46,200. she owes $720 per month on other debts and expects her property taxes and homeowner's insurance to cost $260 per month. she knows she can get an 7.50 percent, 30-year mortgage so her mortgage payment factor is 6.99. she expects to make a 25 percent down payment. what is shakeia's affordable home purchase price?

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Shakeia Duncan can afford a home purchase price of approximately $316,147 based on her income, other debts, property taxes and insurance costs, mortgage interest rate, mortgage payment factor, and down payment.

To calculate Shakeia Duncan's affordable home purchase price, we need to consider her income, other debts, property taxes and insurance costs, mortgage interest rate, mortgage payment factor, and down payment.

First, let's calculate Shakeia's monthly gross income by dividing her annual gross income by 12:

$46,200 ÷ 12 = $3,850 per month.

Next, we need to calculate her debt-to-income ratio (DTI) to determine how much of her monthly income is already allocated to debt payments. To do this, we add up her current debt payments and divide them by her monthly gross income:

($720 + $260) ÷ $3,850 = 0.2389 or 23.89%

According to the Consumer Financial Protection Bureau (CFPB), the maximum DTI for a qualified mortgage is 43%. Therefore, Shakeia's maximum allowable monthly mortgage payment would be:

$3,850 x 0.43 = $1,655.50

Now, let's calculate Shakeia's maximum allowable monthly mortgage payment by using the mortgage payment factor:

$1,655.50 ÷ 6.99 = $237.11

This means that Shakeia can afford to pay up to $237.11 per month towards her mortgage. To determine the maximum home price she can afford, we need to calculate the loan amount she can qualify for based on her down payment percentage and interest rate. Since Shakeia plans to make a 25% down payment, the loan amount would be:

(1 - 0.25) x P = 0.75P

Where P is the purchase price. Therefore, we can calculate the maximum home price she can afford by dividing the loan amount by the mortgage payment factor and solving for P:

0.75P ÷ $237.11 = 1

P = $316,146.85

So, based on Shakeia's income, other debts, property taxes and insurance costs, mortgage interest rate, mortgage payment factor, and down payment, her affordable home purchase price is approximately $316,147.

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Assume that a stock had an expected return of 10.00 percent and a standard deviation of 7.5 percent. What is the high end of returns would you expect to see on the stock 95 percent of the time?(Enter your answers as a percentage rounded to 2 decimal places. For example, enter! 8.43% instead of 0.0843)

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The concept of one standard deviation from the mean. Assuming a normal distribution, we know that approximately 68 percent of the returns will fall within one standard deviation of the mean.

95 percent will fall within two standard deviations, and 99.7 percent will fall within three standard deviations.

To find the high end of returns we would expect to see on the stock 95 percent of the time, we need to look at two standard deviations above the mean. Using the formula:

High end of returns = Expected return + (2 x Standard deviation)

we can plug in the given values:

High end of returns = 10.00% + (2 x 7.5%) = 25.00%

Therefore, we can expect to see returns as high as 25.00 percent on the stock 95 percent of the time. Explanation: This is because the high end of returns is calculated by adding two standard deviations to the expected return, which takes into account 95 percent of the possible outcomes.

1. To find the high end of returns, we'll use the concept of the standard normal distribution (Z-score) for the given confidence level (95% in this case).

2. For a 95% confidence level, the Z-score is approximately 1.96 (based on a standard normal distribution table).

3. Next, we'll multiply the Z-score by the standard deviation (7.5%): 1.96 * 7.5% = 14.70%.

4. Finally, we'll add the expected return (10.00%) to the result obtained in step 3: 10.00% + 14.70% = 24.20%.

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if the government decides to increase taxes in the same amount as the government spending, explain the outcome

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Answer:

Explanation: If the authorities comes to a decision to increase taxes within the same amount as authorities spending, the outcome would be a balanced budget. In other phrases, the government's sales could be identical to its prices.

In the quick term, this will probable have a contractionary impact at the financial system. As taxes are expanded, people and groups would have less disposable profits, and might consequently reduce their spending. This reduction in spending may want to cause a decrease in economic increase and doubtlessly higher unemployment.

However, in the long term, a balanced budget will have effective outcomes on the financial system. A balanced finances reduces the authorities's need to borrow money, that can assist preserve hobby charges low and provide stability to economic markets. Additionally, a balanced budget can increase investor confidence inside the authorities's economic rules, that could lead to more funding and financial increase.

Overall, the final results of the authorities increasing taxes inside the equal quantity as government spending would rely on a variety of factors, such as the kingdom of the financial system, the quantity of taxes being expanded, and the way the authorities chooses to allocate its spending.

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which of the following must be identified as a potential fraud risk? a. management override of controls. b. collusion. c. falsification of documentation. d. improper revenue recognition.

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All of the options listed (management override of controls, collusion, falsification of documentation, and improper revenue recognition) can potentially indicate fraud risks.

Management override of controls is a significant fraud risk as it allows individuals in positions of power to bypass established controls. Collusion between employees or with external parties can also facilitate fraud by enabling individuals to manipulate financial data or transactions. Falsification of documentation, such as altering invoices or receipts, can also be indicative of fraud. Lastly, improper revenue recognition can be a red flag as it may involve inflating revenues or manipulating financial statements to mislead stakeholders.

It is important for companies to identify and address these potential fraud risks by implementing appropriate internal controls, conducting regular audits, and promoting a strong ethical culture. Failing to do so can lead to financial losses, reputational damage, and legal consequences.

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For the year in which a firm increases its promised pension benefits per year of service for existing employees, net income will be: A. the same under IFRS and US GAAP B. higher under IFRS than US GAAP C. higher under US GAAP than IFRS

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The answer to this question is C. Higher under US GAAP than IFRS. This is because under US GAAP, the firm is required to recognize the increase in the promised pension benefits as an expense in the year it occurs.

This means that the expense will reduce the net income for the year. However, under IFRS, the firm has the option to recognize the increase in the promised pension benefits over time, rather than all at once in the year it occurs. This means that the expense will be spread out over a longer period of time and will not have as big of an impact on net income for the year. It's important to note that while the answer to this question is straightforward, there are many other factors that can impact a firm's net income and financial statements. It's always a good idea to consult with a financial professional or accountant if you have specific questions or concerns about a firm's financial statements.

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lopez plastics company (lpc) issued callable bonds on january 1, 2024. lpc's accountant has projected the following amortization schedule from issuance until maturity: datecash interesteffective interestdecrease in balanceoutstanding balance 1/1/2024$ 207,020 6/30/2024$ 7,000$ 6,211$ 789206,230 12/31/20247,0006,187813205,417 6/30/20257,0006,163837204,580 12/31/20257,0006,137863203,717 6/30/20267,0006,112888202,829 12/31/20267,0006,085915201,913 6/30/20277,0006,057943200,971 12/31/20277,0006,029971200,000 lpc calls the bonds at 103 immediately after the interest payment on 12/31/2025 and retires them. what gain or loss, if any, would lpc record on this date?

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Lopez Plastics Company (LPC) issued callable bonds on January 1, 2024. The accountant projected an amortization schedule from issuance until maturity, with a call option available to LPC after the interest payment on December 31, 2025. LPC decides to exercise the call option and retire the bonds at 103. The gain or loss that LPC would record on this date is a loss of $205,460.

   The calculation for the gain or loss is as follows:

1.  Calculate the total amount of interest paid from issuance until the call date:

Total interest paid = $7,000 x 4 x 2 + $207,020

Total interest paid = $295,020

2.  Calculate the amount LPC would receive from retiring the bonds:

Amount received = $200,000 x 1.03

Amount received = $206,000

3.  Calculate the carrying value of the bonds on the call date:

Carrying value = $200,000 - ($6,112 x 2)

Carrying value = $187,776

4.  Calculate the loss on retirement of the bonds:

Loss on retirement = Carrying value - Amount received + Total interest paid

Loss on retirement = $187,776 - $206,000 + $295,020

Loss on retirement = $205,460

Therefore, if LPC exercises the call option and retires the bonds at 103 immediately after the interest payment on December 31, 2025, it would record a loss of $205,460.

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in case 19.2 holmes v. lerner (1999), lerner (a wealthy entrepreneur) talked to holmes about setting up a cosmetics business called urban decay. holmes received assurances from lerner about finances and setting up the business. later lerner negotiated a separate deal for urban decay without including holmes, and drafted articles of incorporation which gave holmes only a 1 percent interest in urban decay. holmes sued, insisting that even though they had no written agreement, she should have been a full and equal partner. how did the court rule and why?

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The court ruled in favor of Holmes, recognizing her as a full and equal partner in the cosmetics business Urban Decay, despite the absence of a written agreement.

The court based its decision on the concept of promissory estoppel. Holmes had justifiably relied on Lerner's assurances about their partnership, and she had taken significant steps in preparation for the business. Lerner's subsequent actions, negotiating a separate deal and limiting Holmes' ownership stake, violated the principle of good faith and fair dealing. Therefore, the court held Lerner accountable for his promises and granted Holmes full partnership rights to ensure equity and uphold the principles of justice.

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You work as a research assistant for a professor who wants to find out whether the Patient Protection and Affordable Care Act of 2010 (also known as "Obamacare") has improved number of months being insured among young adults. You suggest using the 2014 Adult California Health Interview Survey as the dataset, using the variable "months of insurance coverage" which is a ratio variable, as the dependent variable. You also suggest including basic demographic variables: income (high/low), gender (male/female), and student status (yes/no). The professor usually does qualitative research, and doesn’t have much experience with this kind of large survey data. In 3-4 sentences, describe which statistical tests you would recommend the professor should run in SPSS to answer this research question.

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To answer the research question of whether the Patient Protection and Affordable Care Act (Obamacare) has improved the number of months being insured among young adults, the professor should run a multiple regression analysis in SPSS.

The dependent variable would be "months of insurance coverage," and the independent variables would be income (high/low), gender (male/female), and student status (yes/no). This will allow the professor to determine the relationship between these demographic variables and the number of months insured, while controlling for other factors.

Additionally, the professor may consider conducting t-tests or ANOVA tests to assess any significant differences in the number of months insured based on specific independent variables if necessary.

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an important argument in support of historical cost information is"
1. Materiality
2. Predictive quality for future cash flows
3. Verifiability
4. Relevance

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The correct option is 3) Verifiability. Historical cost information is an important and valuable tool for decision-making.

Its relevance, verifiability, predictive quality, and materiality make it an essential component of financial reporting and analysis.

Historical cost information refers to the measurement of assets and liabilities at the original cost incurred at the time of acquisition. One important argument in support of historical cost information is its relevance to decision-making. Historical cost information is important because it provides a clear and objective view of past transactions and financial events. This information is essential for investors, creditors, and other stakeholders to make informed decisions.
Another important argument in favor of historical cost information is its verifiability. Historical cost information is easily verifiable as it is based on objective evidence and actual transactions. This makes it more reliable than other methods of accounting that rely on subjective estimates and assumptions.
Additionally, historical cost information has a predictive quality for future cash flows. The original cost of an asset is a reliable predictor of its future economic benefits and cash flows. This is important for decision-making as it allows stakeholders to make informed decisions about the value of an asset and its potential future performance.
Finally, historical cost information is materiality. It provides a basis for assessing the cost of acquiring and holding an asset, which is important in determining its value and the cost of ownership. This information is crucial for financial reporting and for making decisions about the cost-effectiveness of different investments and business strategies.

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2. Stephanie and Roger are both caught for the first time using controlled substances in the work place. Roger is single, and is terminated. Stephanie is a single mother and needs the income, so she is placed in a "step" discipline program. Roger sues for reinstatement and wins. What would be the best explanation for this? Current drug addiction is a disability under ADA guidelines?
Violation of due process; non-consistent actions for two employees
Violation of implied covenant, the organization has acted without "good faith"
reverse discrimination differences, as Stephanie is a member of a "protected" class.
any of the above would be sufficient cause to win.

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The best explanation for the case of Roger suing for reinstatement after being terminated for being caught using controlled substances, while Stephanie is not terminated, and instead placed in a "step" discipline program is:

Current drug addiction is a disability under ADA guidelines.Therefore, the best option is that current drug addiction is a disability under ADA guidelines. The ADA stands for the Americans with Disabilities Act, which is a law in the United States that prohibits discrimination against individuals with disabilities in several areas of life, including employment.In this scenario, Roger may have been reinstated after suing because drug addiction is considered a disability under ADA guidelines. Roger's drug use, rather than being viewed as a violation of company policy, was viewed as a medical condition that warranted treatment and support. Stephanie, on the other hand, may have been placed in a "step" discipline program instead of being terminated because of her role as a single mother. Nonetheless, Roger's ability to sue for reinstatement and win may have been influenced by the ADA's definition of drug addiction as a disability. Answer: Current drug addiction is a disability under ADA guidelines.

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a successful segmenter can develop a customer base that is willing to pay _____ prices because the company provides products that precisely match the needs of the market.

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A successful segmenter can develop a customer base that is willing to pay premium prices because the company provides products that precisely match the needs of the market

When a company successfully segments the market and tailors its products to meet the specific needs of each segment, it creates a unique value proposition for its customers. This differentiation allows the company to charge higher prices compared to its competitors who offer more generic products. The willingness of customers to pay premium prices is a result of the perceived value they receive from the tailored products that precisely match their needs.

For example, let's consider a company that operates in the smartphone industry. By segmenting the market and understanding the diverse needs of different customer groups, such as business professionals, tech enthusiasts, and budget-conscious consumers, the company can develop smartphones that cater specifically to each segment. The business professionals may require advanced security features and productivity tools, the tech enthusiasts may value cutting-edge specifications and performance, while the budget-conscious consumers may prioritize affordability without compromising essential features. By precisely addressing the unique needs of each segment, the company can offer differentiated products and charge premium prices.

Effective market segmentation enables a company to provide products that closely align with the needs and preferences of specific customer segments. This alignment creates a strong value proposition, leading to customer loyalty and a willingness to pay higher prices. By focusing on segmentation and delivering tailored products, a company can build a customer base that values the unique offerings and is willing to pay premium prices, thus contributing to its success in the market.

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erkey corporation makes one product and has provided the following information to help prepare the master budget:budgeted unit sales, february 10,700 unitsvariable selling and administrative expense $ 2.00 per unit soldfixed selling and administrative expense $ 60,000 per monththe estimated selling and administrative expense for february is closest to:multiple choice

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The estimated selling and administrative expense for February is closest to $80,000.

To calculate the estimated selling and administrative expense for February, we need to first calculate the total variable selling and administrative expense based on the budgeted unit sales.
Variable selling and administrative expense per unit = $2.00
Budgeted unit sales for February = 10,700 units
Total variable selling and administrative expense = $2.00 x 10,700 units = $21,400
Next, we need to add the fixed selling and administrative expense to the total variable selling and administrative expense.
Fixed selling and administrative expense = $60,000 per month
Total selling and administrative expense = Total variable selling and administrative expense + Fixed selling and administrative expense
Total selling and administrative expense = $21,400 + $60,000 = $81,400
Therefore, the estimated selling and administrative expense for February is closest to $80,000.

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all forms of representational responsiveness provide tangible goods. true or false?

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Representational responsiveness refers to a form of political accountability where elected representatives or officials act on behalf of their constituents and are responsive to their needs and preferences. False.

This concept primarily focuses on the provision of representation and responsiveness in the political sphere, rather than the direct provision of tangible goods.

Representational responsiveness involves activities such as listening to constituents' concerns, representing their interests in legislative or decision-making processes, addressing their grievances, and advocating for policies that align with their preferences. While the actions taken by representatives can potentially lead to the provision of tangible goods or benefits for their constituents, the concept itself is not solely concerned with the provision of physical goods. It encompasses broader aspects of democratic representation and the relationship between elected officials and the public they serve.

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how does a command-and-control policy differ from a market-based policy?

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A command-and-control policy relies on government regulations and mandates to enforce specific actions, while a market-based policy uses market mechanisms, incentives, to encourage desired behavior.

A policy is a set of principles, rules, guidelines, or courses of action formulated by an organization, government, or authority to guide decision-making and achieve specific goals or objectives. Policies are designed to provide a framework for consistent and coherent actions and to address issues or challenges in a systematic manner. They can cover a wide range of areas, such as governance, social issues, economics, environment, and security. Policies are typically implemented through laws, regulations, procedures, or practices, and they play a crucial role in shaping and influencing various aspects of society and governance.

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financial reporting by non profit hospitals focuses on three________________________.

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Financial reporting by non-profit hospitals focuses on three key areas: transparency, accountability, and compliance.
Overall, financial reporting by non-profit hospitals is critical to maintaining trust and credibility with stakeholders, including donors, patients, and the broader community.

Transparency is essential in non-profit financial reporting as it ensures that stakeholders, including donors and the general public. Accountability is also crucial in non-profit financial reporting. It involves ensuring that the hospital's financial management is responsible, ethical, and aligned with the organization's mission and goals. This includes monitoring financial performance, identifying areas of improvement, and implementing strategies to address any financial challenges. Compliance is the third key area of non-profit financial reporting. Non-profit hospitals must comply with various laws and regulations related to financial reporting, including tax laws, accounting standards, and regulatory requirements. Compliance helps to ensure that the hospital operates legally and ethically, protecting both the organization and its stakeholders. By focusing on transparency, accountability, and compliance, non-profit hospitals can demonstrate their commitment to financial responsibility and their mission to provide high-quality healthcare services to their communities.

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a domestic manufacturer of watches purchases quartz crystals from a swiss firm. the crystals are shipped in lots of 1000. the acceptance sampling procedure uses 20 randomly selected

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A domestic manufacturer of watches that purchases quartz crystals from a Swiss firm may use acceptance sampling to ensure the quality of the crystals.

Acceptance sampling involves inspecting a sample of items from a larger lot to determine whether the lot meets the desired quality level. In this case, the manufacturer might randomly select 20 crystals from each lot of 1000 to determine whether the lot meets their quality standards.The crystals are a critical component in the manufacture of the watches and must be of a high quality to ensure the accuracy and reliability of the timepiece. By using acceptance sampling, the manufacturer can reduce the risk of using faulty crystals in their watches and improve the overall quality of their products.
There are various methods of acceptance sampling, including attribute sampling and variable sampling. Attribute sampling involves evaluating the presence or absence of certain characteristics in the sample, while variable sampling involves measuring the actual values of certain characteristics in the sample. In conclusion, acceptance sampling is a valuable tool for ensuring the quality of components such as quartz crystals in the manufacture of watches. By using this method, the manufacturer can minimize the risk of using faulty components and improve the overall quality of their products.

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the shares of american greetings are currently trading at an ebitda multiple that is at the bottom of its peer group. do you think a 3.5 times multiple is appropriate for american greetings? if not, what multiple of ebitda do you think is justified? what is the implied price per share that corresponds to that multiple? 2. please model cash flows for american greetings for fiscal years 2012 through 2015 based on the two sets of ratios in case exhibit 8. based on the discounted cash flows associated with the forecast, what is the implied enterprise value of american greetings and the corresponding share price? 3. what do you believe to be the value of american greetings shares? do you recommend repurchasing shares?

Answers

To model cash flows for American Greetings for fiscal years 2012 through 2015, you will need to gather the necessary financial data from the company's financial statements and use the ratios provided in Exhibit 8 of the case.

You can then forecast the cash flows for each year and discount them back to their present value using an appropriate discount rate. The sum of these present values will give you the implied enterprise value of American Greetings. To calculate the corresponding share price, you will need to divide the enterprise value by the number of shares outstanding.

Determining the value of American Greetings shares will require a comprehensive analysis of the company's financial performance, competitive position, and growth prospects, among other factors. Based on this analysis, you can make a recommendation on whether or not to repurchase shares. It is important to note that the decision to repurchase shares should be based on a thorough evaluation of the company's financial position and long-term strategy, as well as the potential impact on shareholder value.

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Why might a manager decide to take a very conservative accounting approach and book many negative items in a current period? Equity-linked compensation produces motivation to artificially inflate short-term performance, Uncertainty about future accounting standards that may alow more discretion in revenue recognition ,Taking a "big bath" now will make future periods performance look favorable by comparison

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A manager might decide to take a conservative accounting approach and book many negative items in a current period due to three primary reasons: 1) to counterbalance potential artificial inflation from equity-linked compensation, 2) uncertainty about future accounting standards, and 3) adopting a "big bath" strategy.

By booking negative items, the manager reduces the impact of inflated short-term performance due to equity-linked compensation.

Additionally, uncertainty about future accounting standards may prompt the manager to be conservative now in case future discretion in revenue recognition becomes limited.

Lastly, the "big bath" strategy involves recording large negative items in the current period, making future periods' performance look more favorable by comparison.

A conservative accounting approach is taken to address inflated performance, accounting standard uncertainty, and to improve the appearance of future performance through the "big bath" strategy.

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The Nike swoosh that is prominent on all of the firm's packaging, products, andadvertising is a
(a) Trade name (b) Corporate mark (c) Brand name
(d) Brand mark
(e) Brand equity.

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The Nike swoosh that is prominent on all of the firm's packaging, products, and advertising is a Brand mark.

The Nike swoosh that is prominently displayed on all of the firm's packaging, products, and advertising is a brand mark. A brand mark is a distinctive symbol or logo that is used to represent and visually identify a brand. In Nike's case, the swoosh is a simple yet highly recognizable and iconic logo that has become synonymous with the Nike brand.

The Nike swoosh was created in 1971 by Carolyn Davidson, a graphic design student at Portland State University. It represents motion and speed, which aligns well with Nike's brand image as a company that produces athletic footwear, apparel, and equipment.

Nike's decision to use the swoosh as its brand mark has proven to be highly successful. Over the years, the swoosh has become one of the most recognizable and valuable brand marks in the world. It has become synonymous with quality, performance, and style, which has helped to build a strong brand identity for Nike.

The swoosh is prominently featured on all of Nike's packaging, products, and advertising materials. Its consistent and widespread use helps to reinforce brand recognition and create a visual association with Nike's products. Whether it's a pair of Nike sneakers, a sports jersey, or a billboard advertisement, the presence of the swoosh instantly communicates the association with the Nike brand.

The Nike swoosh that is prominently displayed on Nike's packaging, products, and advertising is a brand mark. It is a highly recognizable symbol that represents the Nike brand and helps to create a strong brand identity. The success of the swoosh as a brand mark is evident in its global recognition and association with Nike's products and values.
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our company pays an average wage of $12 per hour to employees for printing and copying jobs, and allocates $18 of overhead for each employee hour worked. materials are assigned to each job according to actual cost. if job m-47 used $350 of materials and took 20 hours of labor to complete, what is the total cost that should be assigned to the job? group of answer choices $590 $600 $380 $950 $710

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The total cost that should be assigned to job M-47 is $950. The correct option is (d) $950.

The total cost that should be assigned to the job can be calculated as follows:

Direct labor cost = 20 hours × $12 per hour = $240

Overhead cost = 20 hours × $18 per hour = $360

Total manufacturing cost = Direct labor cost + Overhead cost + Materials cost

Total manufacturing cost = $240 + $360 + $350 = $950

Therefore, the total cost that should be assigned to job M-47 is $950. The correct option is (d) $950.

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according to the product-process matrix, what kind of process would be a better fit for a product that involves very high volume, very high standardization

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According to the product-process matrix, a product that involves very high volume and very high standardization is best suited for a continuous process. Continuous processes are characterized by high-volume, standardized production with a high level of automation.

These types of processes are most efficient when producing a limited variety of products, with a focus on producing them at high volumes and low costs. Continuous processes are typically found in industries such as oil refining, chemical production, and paper manufacturing.By using a continuous process for high-volume, highly standardized products, manufacturers can achieve economies of scale, reduce costs, and improve efficiency. The process is designed to minimize waste, reduce variation, and increase output, resulting in a consistent, high-quality product.Overall, the continuous process is an excellent fit for products that require high volumes, high standardization, and a low degree of customization.

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how does a planner know when a task has been subdivided to an adequate degree and can be classified as an action step?

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Highly Leveraged Transactions (HLTs) are defined as a single transaction or a series of related transactions with a high leverage ratio, meaning that the debt is significantly more than the equity.

HLTs are typically used in mergers, acquisitions, and investments, as they allow a company to acquire an asset with a relatively small amount of equity and a large amount of debt.

HLTs have become very popular in recent years, as they have allowed companies to make large investments with relatively little money. However, this high leverage ratio can also be very dangerous, as it can lead to large losses if the investments do not turn out as expected. This is why banks and other financial institutions must carefully monitor their exposure to HLTs.

Regulators closely monitor banks' exposure to HLTs because of the high risk associated with them. If a bank is found to have too much exposure to HLTs, regulators can take action to limit or reduce the amount of risk taken. This can include requiring banks to decrease the amount of leverage or set aside additional capital to cover potential losses. Additionally, regulators can also require banks to limit their exposure to HLTs or require them to provide additional disclosure about their investments in HLTs.

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an example johnson gives of a patent marketplace enabling commercial exaptations is group of answer choices apple microsoft green xchange toyota

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The example Johnson gives of a patent marketplace enabling commercial exaptations is the Green Xchange, which was a collaboration between Nike, Best Buy, and other companies to share their environmentally friendly patents and innovations.

Johnson gives an example of a patent marketplace enabling commercial exaptations is the GreenXchange, which was launched by Nike in collaboration with Best Buy, Creative Commons, and others. The GreenXchange is an online marketplace where companies can share patents and intellectual property related to sustainable innovation.

By sharing these patents, companies can spur innovation and create new products and services that benefit the environment. The GreenXchange allows companies to access new ideas and technologies that they may not have otherwise had access to, leading to new and innovative applications of existing technology.

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in the context of business ethics and the law, which of the following statements is true regarding the sarbanes-oxley act?

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One true statement regarding the Sarbanes-Oxley Act is that it imposes stricter regulations on public companies, especially with regard to financial reporting.

The Sarbanes-Oxley Act (SOX) was passed by the US Congress in 2002 in response to high-profile corporate scandals such as Enron and WorldCom. The law aims to improve corporate governance, financial transparency, and accountability. Under SOX, CEOs and CFOs of public companies are required to certify the accuracy and completeness of financial statements and can be held personally liable for any material misstatements or omissions. Additionally, SOX requires companies to establish internal controls over financial reporting to ensure the reliability of their financial statements. SOX also created the Public Company Accounting Oversight Board (PCAOB) to oversee auditors of public companies. The PCAOB sets auditing and ethical standards for auditors and performs inspections of audit firms to ensure compliance.

Overall, the Sarbanes-Oxley Act has had a significant impact on corporate governance and accountability. While some argue that the law has increased compliance costs for businesses, it has also helped to restore investor confidence and improve the accuracy and transparency of financial reporting. The Sarbanes-Oxley Act, also known as the Public Company Accounting Reform and Investor Protection Act, was enacted in 2002 in response to major corporate and accounting scandals involving companies like Enron and WorldCom. Its primary goal is to protect investors by improving the accuracy and reliability of corporate disclosures.

Key provisions of the Sarbanes-Oxley Act include:
1. Establishment of the Public Company Accounting Oversight Board (PCAOB) to oversee the auditing process of public companies.
2. CEOs and CFOs must certify the accuracy of their company's financial statements.
3. Strengthened independence requirements for external auditors.
4. Increased criminal penalties for securities fraud and other corporate wrongdoings.

In the context of business ethics and the law, the Sarbanes-Oxley Act has played a significant role in enhancing corporate governance, improving the reliability of financial reporting, and promoting transparency in financial disclosures.

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dow corporation has assembled the following information for one of its divisions on december 31. fair value book value total identifiable assets (not including goodwill) $2,400,000 goodwill 200,000 liabilities 1,000,000 fair value of the division. $1,550,000 a. determine the impairment loss (if any) for the dow corporation division.

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The Dow Corporation division has incurred an impairment loss of $1,050,000. This loss is calculated by subtracting the fair value of the division ($1,550,000) from the total identifiable assets (not including goodwill) and goodwill ($2,600,000). The resulting amount is $1,050,000, which represents the impairment loss for the division.

         The impairment loss occurs when the carrying amount of an asset or a group of assets exceeds its recoverable amount. In this case, the recoverable amount of the division is determined by the fair value of the division, which is $1,550,000. However, the carrying amount of the division is the total identifiable assets (not including goodwill) plus goodwill, which is $2,600,000. Since the carrying amount exceeds the recoverable amount, an impairment loss must be recognized. The impairment loss is the difference between the carrying amount and the fair value of the division, which is $1,050,000. Therefore, Dow Corporation must recognize an impairment loss of $1,050,000 for this division on its financial statements.

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with fee-for-service plans, patients are reimbursed for healthcare expenses after out-of-pocket payments are made. responses true true false

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The given statement "with fee-for-service plans, patients are reimbursed for healthcare expenses after out-of-pocket payments are made." is true because Fee-for-service plans are a type of healthcare plan in which patients pay for services received and are reimbursed for healthcare expenses after they have made out-of-pocket payments.

These plans typically require patients to pay a deductible, which is a set amount they must pay out of pocket before the insurance company begins covering costs. After the deductible is met, patients typically pay a percentage of the cost of each service they receive.

The insurance company reimburses the patient for eligible expenses, up to a certain limit. Fee-for-service plans can offer patients flexibility in choosing healthcare providers and services, but they can also result in higher out-of-pocket costs than other types of plans.

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when in the short-run the total product function reaches its maximum, the marginal product of labor (the variable input) is zero. question 14 options: true false

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The statement when in the short-run the total product function reaches its maximum, the marginal product of labor (the variable input) is zero is true because the maximum amount of the total product is produced when the marginal product is zero.

The average product curve (AP curve) and the marginal product curve (MP curve) are related in such a way that the maximum point of the marginal product curve will always be where the average product curve crosses. As more units of the resource are employed, the average product will therefore decline if MP>AP.

A company chooses to produce at the level where its marginal income and cost are equal in order to maximize profits. When marginal revenue is higher than marginal cost, the firm can increase output and make more money.

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