which function of a company must have the highest level of internal innovation in order for the company to have a competitive advantage? a. marketing b. research and development c. design d. finance

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Answer 1

The function of research and development must have the highest level of internal innovation in order for the company to have a competitive advantage.

This is because research and development is responsible for creating new products, improving existing ones, and discovering new technologies that can give the company a unique selling proposition in the market. Without continuous innovation in this area, the company may fall behind its competitors and lose its competitive edge. While marketing, design, and finance are important functions of a company, they are not directly responsible for driving innovation in the same way that research and development is.

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you find a zero coupon bond with a par value of $10,000 and 19 years to maturity. the yield to maturity on this bond is 4.7 percent. assume semiannual compounding periods. what is the price of the bond? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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Therefore, the price of the zero-coupon bond is approximately $5,025.17.

To calculate the price of the zero-coupon bond, we can use the present value formula:

Price = Par Value / (1 + Yield/2)^(Number of Years to Maturity * Compounding Periods per Year)

In this case, the par value is $10,000, the yield to maturity is 4.7% (0.047), and there are 19 years to maturity with semiannual compounding periods (2 compounding periods per year).

Plugging these values into the formula:

Price = $10,000 / (1 + 0.047/2)^(19 * 2)

Calculating the intermediate steps:

Price = $10,000 / (1 + 0.0235)^(38)

Price = $10,000 / (1.0235)^38

Price = $10,000 / 1.99144615

Finally, calculating the price:

Price ≈ $5,025.17

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the general formula for calculating the desired fiscal stimulus is

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The general formula for calculating the desired fiscal stimulus varies and depends on economic conditions and policy goals.

The formula for calculating the desired fiscal stimulus is not a fixed or universal equation. It varies based on the specific economic conditions, policy goals, and the approach taken by policymakers.

The desired fiscal stimulus is determined by considering factors such as the state of the economy, the level of unemployment, inflationary pressures, and the overall goals of the government.

In general, fiscal stimulus refers to the use of government spending and taxation policies to boost economic activity. The specific measures and amount of stimulus can vary widely depending on the economic situation.

For example, during periods of recession or economic downturn, policymakers may seek to increase government spending and reduce taxes to stimulate consumer spending and business investment.

The calculation of the desired fiscal stimulus involves analyzing economic indicators, such as GDP growth, employment levels, inflation rates, and consumer and business confidence.

Economic models and forecasts are often used to estimate the potential impact of fiscal stimulus measures on the economy and determine the appropriate level of government intervention.

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which act requires developers engaged in the sale or leasing of 100 or more lots to provide potential clients with a property report prior to purchasing or leasing?

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The act that requires developers engaged in the sale or leasing of 100 or more lots to provide potential clients with a property report prior to purchasing or leasing is the Interstate Land Sales Full Disclosure Act (ILSA).

It was enacted by the United States Congress in 1968 to facilitate regulation of interstate land sales, and to protect consumers from fraud and abuse in the sale or lease of undeveloped land.

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Final answer:

The Interstate Land Sales Full Disclosure Act (ILSFDA) requires developers selling or leasing 100 or more non-exempt lots to provide a property report to potential clients before any contract or agreement is signed. This report contains essential information about the property to ensure transparency and protect consumers.

Explanation:

The act you are referring to is the Interstate Land Sales Full Disclosure Act (ILSFDA). The ILSFDA is a federal law in the United States that was enacted in 1968. The objective of the ILSFDA is to prevent fraudulent practices in the sale or lease of lots in interstate land sales. When a developer is engaged in the sale or leasing of 100 or more non-exempt lots, the law mandates that they provide a property report to potential buyers or lessees before the signing of a contract or agreement.

This property report is an important document as it contains vital information about the property, including legal title, existing liens, type of title evidence, roads, availability of facilities like water, sewage etc. The intention behind the requirement of this disclosure is to ensure transparency and to protect consumers from deceit and fraud in real estate transactions.

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Regarding the CIA and public relations, it is fair to say that ________.
A) the agency takes public relations very seriously
B) the agency no longer pursues public relations initiatives
C) the Gillette Amendment prohibits public relations activities
D) the agency has come under fire for its use of public relations

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D) the agency has come under fire for its use of public relations.

It is fair to say that the CIA (Central Intelligence Agency) has faced criticism and scrutiny regarding its use of public relations initiatives.

agency has been known to engage in public relations activities to shape public perception, manage its image, and promote its agenda. However, these efforts have not always been without controversy.

In the past, the CIA has faced accusations of using public relations to manipulate public opinion, disseminate misleading information, and conceal or justify its actions. Instances such as the agency's involvement in covert operations, intelligence gathering, and its relationship with the

While the CIA may still engage in public relations activities to some extent, it is important to note that the agency's use of public relations has been subject to criticism and controversy over the years.

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If China has a comprative advantage over the U.S. in the production of furniture, then O A. the opportunity cost of producing furniture in the U.S. is lower than in China O B. only the China will gain from trade in cars between China and the U.S. O The U.S. will have a trade deficit with the China OD. the opportunity cost of producing furniture in China is lower than in the U.S. Insert appropriate prompt, input type, and other instructions here.

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If China has a comparative advantage over the U.S. in the production of furniture, then the opportunity cost of producing furniture in China is lower than in the U.S. This means that China can produce furniture at a lower cost than the U.S. due to factors such as cheaper labor and more efficient production processes. The correct option is D.


This does not necessarily mean that the U.S. will have a trade deficit with China. Trade between countries is not a zero-sum game, meaning that both countries can benefit from trade even if one has a comparative advantage in a particular product. By specializing in the production of furniture, China can sell it to the U.S. at a lower price than if the U.S. were to produce it domestically, which in turn benefits U.S. consumers who can purchase the furniture at a lower price.

The U.S. can also specialize in the production of goods in which it has a comparative advantage, such as technology or agriculture, and sell them to China at a lower price. In conclusion, if China has a comparative advantage over the U.S. in the production of furniture, it means that China can produce furniture at a lower cost than the U.S. due to factors such as cheaper labor and more efficient production processes. The correct option is D.

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from the lessee's viewpoint, what type of lease exists in this case? operating lease direct-financing lease

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The lease that exists from the lessee's viewpoint is operating lease.an operating lease would be suitable from the lessee's viewpoint as it allows for short-term or non-permanent use of the asset without assuming the risks associated with ownership.

An operating lease is a type of lease in which the lessee only uses the asset for a limited period of time and does not take ownership of it. This type of lease is typically used for assets that are expected to become technologically obsolete or are rapidly depreciating. In an operating lease, the lessor is responsible for the maintenance and repair of the asset, and the lessee pays rent for the use of the asset. The lessee may also have the option to renew the lease or terminate it at the end of the lease term. An operating lease is different from a direct-financing lease in which the

lessee takes ownership of the asset at the end of the lease term.

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If you have scheduled receipts of $25,000 per month, 10 percent vacancy and collection losses, and operating expenses of $12,500, what is the monthly net operating income (NOI)? $10,000 e$12,500 $25,000 None of the above

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To calculate the monthly net operating income (NOI), we need to subtract the vacancy and collection losses and operating expenses from the scheduled receipts.  

Vacancy and collection losses are 10% of $25,000 = $2,500.  So, the effective gross income (EGI) would be $25,000 - $2,500 = $22,500.  Subtracting the operating expenses of $12,500 from the EGI, we get:  NOI = $22,500 - $12,500 = $10,000  Therefore, the answer is $10,000.

Net operating income (NOI) is a measure of a company's profitability that takes into account its operating revenues and expenses. It is calculated by subtracting operating expenses from operating revenues, and is often used as a performance metric in industries such as real estate, where it is used to evaluate the income potential of a property.

NOI is an important indicator of a company's financial health, as it measures the income generated from core business activities without factoring in one-time or non-recurring expenses. A positive NOI indicates that a company is generating enough revenue to cover its operating costs, while a negative NOI may suggest that the company is not generating enough revenue to sustain its operations.

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if the price level increases from 110.0 to 115.0, the quantity of:
-real gdp supplied will increase
-real gdp supplied will decrease
-potential gdp will decrease
-real gdp demanded will increase
-potential gdp will increase

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If the price level increases from 110.0 to 115.0, the quantity of real GDP supplied will decrease. An increase in the price level, also known as inflation, generally leads to a decrease in the quantity of real GDP supplied.

This phenomenon is associated with the concept of the aggregate supply curve, which represents the relationship between the price level and the quantity of real GDP supplied in the economy.

When the price level increases, the cost of production for businesses rises. This can be due to higher input costs, such as wages, raw materials, and energy expenses.

As a result, businesses may reduce their level of production to maintain profitability or avoid losses. This decrease in production leads to a decrease in the quantity of real GDP supplied in the economy.

It is important to note that the potential GDP, which represents the economy's maximum sustainable level of production, is not directly affected by changes in the price level.

Potential GDP is determined by factors such as the availability of resources, technology, and the level of productive capacity in the economy. Changes in the price level do not alter these underlying factors and, therefore, do not impact potential GDP.

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when setting your organization’s strategy, you take into account its______________ , which is its capability to transform inputs into products or services.

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When setting your organization's strategy, you take into account its production capacity, which is its capability to transform inputs into products or services.

The production capacity of an organization refers to its ability to convert raw materials, labor, and other inputs into finished goods or services. When developing a strategy, it is essential to take into account the organization's production capacity, as this will help determine the amount and type of products or services that can be offered to the market. By analyzing the production capacity, organizations can identify their strengths and weaknesses and make informed decisions about how to allocate resources, improve efficiency, and optimize production processes. This, in turn, can help organizations achieve their objectives and remain competitive in their respective industries.

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generally, the most important category on the statement of cash flows is cash flows from group of answer choices operating activities. investing activities. financing activities. significant noncash activities.

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Generally, the most important category on the statement of cash flows is cash flows from operating activities.

Cash flows from operating activities provide crucial information about the cash generated or used by a company's core operations. This section of the statement of cash flows includes cash flows resulting from revenue-generating activities, such as sales of goods or services, payments to suppliers, salaries and wages, taxes, and other operating expenses.

Analyzing cash flows from operating activities helps stakeholders understand a company's ability to generate cash from its primary operations. It provides insights into the company's profitability, efficiency, and overall financial health. Positive cash flows from operating activities indicate that the company's core operations are generating sufficient cash to cover expenses and potentially invest in growth opportunities.

While cash flows from investing activities and financing activities are also important, the operating activities section is considered most critical as it reflects the company's day-to-day operational performance and ability to sustain its business operations.

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fancyfoods restaurant decided to introduce an all-you-can-eat buffet on tuesdays and wednesdays to increase business. they found that they acquired a whole new set of customers, most of whom were very big eaters. after a time, they increased the price of the buffet. fancyfoods suffered from the problem of

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It seems like the options for the problem are missing. However, based on the given information, Fancyfoods restaurant might be suffering from the problem of price discrimination.

Price discrimination occurs when a firm charges different prices to different groups of consumers for the same product or service. In this case, Fancyfoods restaurant introduced an all-you-can-eat buffet to attract a new set of customers, most of whom were big eaters. Later, they increased the price of the buffet, which might have led to the original customers paying more while the new set of customers continued to pay the original price.

This strategy of charging different prices to different customers can be profitable for firms, but it can also be seen as unfair to customers who are charged a higher price for the same product or service.

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The monthly demand for a product is normally distributed with mean of 1400 units and standard deviation of 300 units.
1. Find the probability that demand in a given month is between 1128 and 1833 units.
The potential answers are:
A: 23.8%
B: 71.3%
C: 94.7%
D: 45.3%
E: 74.3%
2. If at the beginning of a month 2035 units are stocked, what is the probability that demand exceeds this amount (experiencing stock-out)?
The potential answers are:
A: 5.1%
B: 1.7%
C: 3.7%
D: 23.3%
E: 45.2%
3. If we want to set the probability of stock-out at 6%, how many units shall we have in stock at the beginning of the month?
The potential answers are:
A: 2553
B: 1577
C: 1867
D: 1967
E: 1711

Answers

A: 23.8%  B: 1.7% The number of units required to set the probability of stock-out at 6% is 1900 units

1. Probability of demand being between 1128 and 1833 units The formula for standard normal distribution is given by:

(Z = (X - μ) / σ)Here, μ = 1400, σ = 300So, we get Z1 = (1128 - 1400) / 300 = -0.907Z2 = (1833 - 1400) / 300 = 1.443

Now, referring to the standard normal distribution table we get:

p (0 < Z < 1.443) = 0.4251p (0 < Z < -0.907) = 0.1814

So, the probability of demand being between 1128 and 1833 units is given as:p = 0.4251 - 0.1814 = 0.2437 ≈ 24.37%A: 23.8%

2. Probability of demand exceeding 2035 unitsThe formula for standard normal distribution is given by:

(Z = (X - μ) / σ)

Here, μ = 1400, σ = 300So, we get Z = (2035 - 1400) / 300 = 2.117

Now, referring to the standard normal distribution table we get:

p (Z > 2.117) = 0.0162So, the probability of demand exceeding 2035 units is given as:

p = 0.0162 ≈ 1.62%Answer: B: 1.7%3. Number of units required to set the probability of stock-out at 6%

Let x be the number of units required.The formula for standard normal distribution is given by:

(Z = (X - μ) / σ)Here, μ = 1400, σ = 300 and Z = 0.25 + 1.5 = 1.75 (From Z-Table)So, we get x as:

x = μ + σ * Z = 1400 + 300 * 1.75 = 1900

Thus, the number of units required to set the probability of stock-out at 6% is 1900 unitsAnswer: Not available in options.

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the following information is for a closed economy: refer to the information. if government now spends $80 billion at each level of gdp and taxes remain at zero, the equilibrium gdp:group of answer choiceswill rise to $700.will rise to $600.will rise to $500.may either rise or fall.

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If the government now spends $80 billion at each level of GDP and taxes remain at zero, the equilibrium GDP may either rise or fall.

The equilibrium GDP is the level of GDP where aggregate demand equals aggregate supply. In a closed economy, aggregate demand consists of consumption, investment, government spending, and net exports. The equilibrium GDP can be affected by changes in any of these components.

In this case, if the government increases its spending by $80 billion and taxes remain at zero, it will lead to an increase in government spending component of aggregate demand. Depending on the initial levels of consumption, investment, and net exports, this increase in government spending can have different effects on the equilibrium GDP.

If the increase in government spending is greater than the decrease in other components of aggregate demand, such as consumption or investment, then the equilibrium GDP will rise. However, if the decrease in other components is greater than the increase in government spending, then the equilibrium GDP will fall.

Therefore, without information on the initial levels of consumption, investment, and net exports, we cannot determine with certainty whether the equilibrium GDP will rise to $700, $600, $500, or experience a different outcome.

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question 2 2. the global economy is one based heavily on the use of debt and principles of monetary leverage. discuss the pros and cons of using debt and leverage from the biblical worldview.

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Debt and leverage, from a biblical worldview, have both pros and cons. Pros include the potential for economic growth and investment, while cons include the risks of financial bondage and exploitation.

From a biblical perspective, debt and leverage can have both positive and negative implications. On one hand, debt can be used as a tool for economic growth and investment. It allows individuals and businesses to access capital for starting or expanding enterprises, which can lead to job creation and overall prosperity. Leverage, when used responsibly, can amplify returns on investments and generate wealth.On the other hand, debt can also lead to financial bondage and exploitation. The Bible warns against the dangers of excessive borrowing and the accompanying burden of repayment. Proverbs 22:7 states, "The borrower is slave to the lender." Debt can result in dependency and the loss of financial freedom.Furthermore, leveraging too much can increase financial vulnerability during economic downturns, as seen in the 2008 global financial crisis. Excessive reliance on debt and leverage can create systemic risks that affect not only individuals but also entire economies.

Debt and leverage, while offering potential benefits such as economic growth and investment amplification, also come with risks and pitfalls. A biblical perspective encourages responsible stewardship, cautioning against excessive borrowing and highlighting the importance of financial freedom and independence.

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if a perpetuity has a price of $750 and an annual interest payment of $35, the interest rate is

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Annual cash flows x interest rate equals present value of perpetuity. At 7%: 100/0.07 = $1428.57 is the present value of perpetuity.

The bond costs $2,000 in its price (P). By dividing the interest payment by the yield, it can be calculated as follows: P = $100 0.05, or P = $2,000.

The cost of borrowing money each year, including fees, is stated as an annual percentage rate (APR). The annual percentage rate (APR) is a more comprehensive indicator of the cost to you of borrowing money because it includes both interest rates and application costs.

The following equation can be used to determine interest rates: Interest equals P x R x N. where P represents the main sum.

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a company provided the following data: sales $428,982 beginning inventory $48,580 ending inventory $23,120 gross profit $191,219 what amount of inventory must have been purchased during the year?

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the amount of inventory purchased during the year was $212,303. Purchases = Cost of Goods Sold + Ending Inventory - Beginning Inventory. This calculation allows us to determine the impact of inventory on a company's financial statements, including its income statement and balance sheet.

To determine the amount of inventory purchased during the year, we need to use the formula:
Beginning Inventory + Purchases - Ending Inventory = Cost of Goods Sold We have the values for Beginning Inventory ($48,580), Ending Inventory ($23,120), and Gross Profit ($191,219), but we need to calculate Purchases.
Rearranging the formula, we get:
Purchases = Cost of Goods Sold + Ending Inventory - Beginning Inventory
We can calculate the Cost of Goods Sold by subtracting Gross Profit from Sales:
Cost of Goods Sold = Sales - Gross Profit = $428,982 - $191,219 = $237,763
Now, substituting the values in the formula, we get:
Purchases = $237,763 + $23,120 - $48,580 = $212,303
Therefore, the amount of inventory purchased during the year was $212,303.
In summary, the company purchased $212,303 worth of inventory during the year, calculated using the formula: Purchases = Cost of Goods Sold + Ending Inventory - Beginning Inventory. This calculation allows us to determine the impact of inventory on a company's financial statements, including its income statement and balance sheet. By tracking inventory purchases, companies can manage their cash flow and ensure they have enough inventory to meet customer demand without overstocking and incurring unnecessary costs.

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the company's net income for the year was $18 and it did not sell or retire any property, plant, and equipment during the year. cash dividends were $4. the net cash provided by (used in) investing activities for the year was:

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The net cash provided by (used in) investing activities for the year would be zero. Since the company did not sell or retire any property, plant, and equipment during the year, there were no cash inflows or outflows from investing activities related to those assets.

Assets are any valuable resources that an individual or business owns or controls. They can take many forms, such as physical property, financial investments, intellectual property, or human resources. The primary function of assets is to provide economic value to the owner, either through direct use or by generating income or profit.

Physical assets include real estate, vehicles, equipment, and inventory. Financial assets include stocks, bonds, cash, and other securities. Intellectual property includes patents, trademarks, copyrights, and other intangible assets. Human resources include the skills, knowledge, and expertise of employees. Assets are important for both individuals and businesses. They provide a measure of financial stability and security, and they can be used as collateral to secure loans or financing.

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because of issues of rivalry and excludability, greenhouse gas emissions can best be called a negative private good.falsetrue

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False. Greenhouse gas emissions can be classified as a negative externality, which is a type of market failure that arises when the actions of one individual or firm impose costs on others who are not compensated for those costs.

Negative externalities are characterized by a lack of rivalry (one person's consumption does not diminish another's) and excludability (it is difficult to exclude non-payers from enjoying the benefits of the good). In the case of greenhouse gas emissions, they are a negative externality because the emissions impose costs on society in the form of environmental damage and public health problems, but those costs are not borne by the emitters themselves.

Therefore, greenhouse gas emissions are not a private good at all, but rather a public bad. Private goods are those that are both rivalrous and excludable, meaning that they can be consumed by one person at a time and that it is possible to prevent non-payers from enjoying the benefits of the good.

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A call option has a premium of $3.50 with a strike of $50. The stock currently is priced at $52. The time value of the call option is $ Blank 1. Fill in the blank, read surrounding text. .
Give your answer to two decimal places.

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The time value of an option represents the portion of its premium that is attributed to the potential for further price movements before expiration. In this case, we are given a call option with a premium of $3.50 and a strike price of $50, while the stock is currently priced at $52.

To determine the time value, we first need to calculate the intrinsic value of the option. The intrinsic value of a call option is the difference between the stock price and the strike price. In this scenario, the intrinsic value is $2 ($52 - $50).

Next, we can find the time value by subtracting the intrinsic value from the total premium. In this case, the total premium is $3.50. Therefore, the time value can be calculated as follows:

Time value = Total premium - Intrinsic value

Time value = $3.50 - $2 = $1.50

Hence, the time value of the call option in question is $1.50.

The time value is essential to options traders as it reflects the potential for the option to gain value before expiration. It represents the market's expectation of future price movements and the opportunity for the option holder to profit from those movements. Generally, the higher the time value, the more time remaining until expiration, and the greater the potential for the option to generate a profit. Conversely, as the option approaches expiration, the time value diminishes, and the option becomes increasingly influenced by its intrinsic value.

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the senior executive team at aes, a 14 billion usd energy company, agreed to take pay cuts because several employees of the firm lied to the epa about water quality at an aes owned water treatment plant in oklahoma. this is an example of a. employees passing the responsibility to management. b. leadership shirking responsibility. c. leadership as role models. d. a regulatory solution.

Answers

The example given by the senior executive team to take pay cuts is an example of c. leadership as role models.

How is this leadership as role models ?

When the senior leadership team of AES opted for reduced salaries in light of employee misconduct, it sent a powerful message to the rest of the organization about ethics and accountability.

This kind of action can be incredibly impactful in instilling positive behavior and encouraging a sense of responsibility within a company culture. In essence, by taking ownership of their employees' actions, this executive team demonstrated true leadership that puts the greater good first. Ensuring ethical conduct should always be a top priority for those in positions of power.

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Suppose that a developing country receives more machinery and capital equipment as foreign entrepreneurs increase the amount of investment in the economy. As a result, the economy will move up along the long-run aggregate supply curve and potential real GDP will rise. the long-run aggregate supply curve will shift to the left and potential real GDP will fall. the economy will move down along the long-run aggregate supply curve and potential real GDP will fall. O the long-run aggregate supply curve will shift to the right and potential real GDP will rise.

Answers

The long-run aggregate supply curve will shift to the right and potential real GDP will rise. This is because when a developing country receives more machinery and capital equipment as foreign entrepreneurs increase the amount of investment in the economy, it leads to an increase in productivity and efficiency in the economy.

This, in turn, causes the long-run aggregate supply curve to shift to the right, meaning that the economy can produce more output at every price level. As a result, potential real GDP will increase, reflecting the increased productive capacity of the economy. Increased foreign investment in the form of machinery and capital equipment will increase the productive capacity of the developing country. This means that the country will be able to produce more goods and services with the same amount of resources, resulting in an increase in potential real GDP.

This increase in potential real GDP will cause the long-run aggregate supply curve to shift to the right. Therefore, the correct answer is that the long-run aggregate supply curve will shift to the right and potential real GDP will rise.

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An increase in the value of the yen against the U.S. dollar can cause the Japanese automaker, Toyota, to either _____________ on its U.S.

Answers

An increase in the value of the yen against the U.S. dollar can cause the Japanese automaker, Toyota, to either raise prices on its U.S. exports or absorb the higher costs of production.

When the yen strengthens against the dollar, it becomes more expensive for Toyota to manufacture cars in Japan and sell them in the United States. This is because the cost of Japanese yen-denominated inputs increases, making the production cost of each vehicle higher. To maintain profit margins, Toyota may need to increase the price of its U.S. exports. However, increasing prices could lead to a decline in demand for Toyota vehicles in the U.S., as customers may turn to cheaper alternatives from competitors. Alternatively, Toyota may choose to absorb the higher production costs and keep prices steady.

This strategy could maintain Toyota's competitiveness in the U.S. market, but it could also result in lower profit margins. In the long term, Toyota may need to consider shifting production to the United States or sourcing inputs from other countries to mitigate the impact of currency fluctuations on its operations.

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park company is considering an investment of $35,500 that provides net cash flows of $14,200 annually for four years. what is the investment's payback period?

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The investment's payback period is 2.5 years.To calculate the payback period, we need to determine the amount of time it takes for the initial investment to be recovered from the net cash flows generated by the investment.

In this case, the initial investment is $35,500, and the net cash flows are $14,200 per year for four years.To determine the payback period, we divide the initial investment by the annual net cash flow and then round up to the nearest period if necessary.$35,500 ÷ $14,200 = 2.5 years
Therefore, the payback period for the investment is 2.5 years.

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quizle twhat percentage of employers are viewing online profiles of job candidates prior to hiring decisions?

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According to a survey conducted by CareerBuilder in 2018, 70% of employers use social media to screen job candidates before hiring.

This percentage has been steadily increasing over the years as social media becomes more integrated into our daily lives. Employers are looking to see if candidates' online presence aligns with their professional persona and if they have any red flags, such as inappropriate photos or comments, controversial opinions, or discriminatory language.

It's important for job seekers to be mindful of their online activity and to keep their profiles clean and professional. This includes setting privacy settings to limit who can view their content, removing any potentially damaging posts, and highlighting their professional achievements and skills on their profiles. In today's digital age, a strong online presence can be just as important as a strong resume in landing a job.

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as an engineer you want to buy a large set of equipment for $2,000,000 (2 million) with the expectation that this will be recovered in 10 years. the company has marr based on real or inflation free interest rate (i) of 12% per year. if the inflation rate is 7.143%. how much money must the company make each year to justify this purchase?

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To justify the purchase of the equipment, the company must generate an annual revenue equal to the present worth of the investment at the given MARR of 12% per year.

Since the inflation rate is also given, we need to use the real or inflation-free interest rate to calculate the present worth of the investment. First, we need to calculate the real interest rate:

Real interest rate = (1 + nominal interest rate) / (1 + inflation rate) - 1
Real interest rate = (1 + 0.12) / (1 + 0.07143) - 1
Real interest rate = 0.0446 or 4.46%
Next, we can use the present worth formula to calculate the amount of revenue the company must generate each year:
Present worth = Annual revenue / (1 + real interest rate)^n
Where n is the number of years, which in this case is 10.
$2,000,000 = Annual revenue / (1 + 0.0446)^10
Annual revenue = $2,000,000 * (1 + 0.0446)^10
Annual revenue = $2,000,000 * 1.559
Annual revenue = $3,118,000
Therefore, the company must generate $3,118,000 each year to justify the purchase of the equipment at a MARR of 12% per year and an inflation rate of 7.143%.

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mass communication involves a. the industrial production of message b. the multiple distribution of messages c. technological devices d. all of these

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Mass communication involves all of the options mentioned: the industrial production of messages, the multiple distribution of messages, and the use of technological devices.

a. The industrial production of messages refers to the process of creating and crafting messages for mass consumption. This includes activities such as writing, editing, filming, recording, designing, and producing content for mass media platforms.

b. The multiple distribution of messages involves disseminating these messages to a large audience through various channels. These channels can include print media, broadcasting, digital platforms, social media, and other communication channels that allow for widespread distribution.

c. Technological devices play a crucial role in mass communication. The advancements in technology have revolutionized the way messages are created, transmitted, and consumed.

Devices such as computers, smartphones, cameras, microphones, televisions, radios, and the internet enable the production, distribution, and reception of mass communication messages.

Therefore, mass communication encompasses all of these elements, combining the industrial production of messages, the multiple distribution of messages, and the use of technological devices to reach and engage a large audience.

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if materials are stored, recording the purchase at ______ cost provides information on price variances earlier than if the company waits until the materials are used.

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By recording the purchase at standard cost when materials are stored, companies can gain early visibility into price variances and take appropriate actions to manage costs effectively.

if materials are stored, recording the purchase at standard cost provides information on price variances earlier than if the company waits until the materials are used.

by recording the purchase at standard cost, the company establishes a predetermined cost for the materials based on expected prices. this allows for a comparison between the standard cost and the actual cost incurred when the materials are used. the difference between the standard cost and the actual cost represents a price variance, which provides insight into any deviations from the expected prices.

by recording the purchase at standard cost at the time of acquisition, the company can identify and analyze price variances earlier in the process. this allows for timely monitoring and investigation of any price fluctuations or discrepancies, which can help identify potential cost-saving opportunities or supply chain issues.

on the other hand, if the company waits until the materials are used to record the actual cost, any price variances may only be identified at a later stage, such as during the production process or at the time of inventory reconciliation. this delay in recording and analyzing price variances can result in a lag in identifying and addressing any cost-related issues.

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In organizations that operate significant nonaccounting information systems, such as manufacturers, a reporting arrangement wherein the chief information officer reports to the chief executive officer is more common and effective.

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The statement suggests that in organizations that heavily rely on non-accounting information systems, such as manufacturers, it is more common and effective for the Chief Information Officer (CIO) to report directly to the Chief Executive Officer (CEO).

This arrangement can be beneficial for several reasons. Firstly, it ensures that the CIO, who is responsible for overseeing and managing the organization's information systems, has direct access to the CEO, who holds the ultimate decision-making authority. This facilitates effective communication, collaboration, and alignment of information technology (IT) strategies with the overall business goals and objectives.

Additionally, given the increasing importance of technology and data in modern organizations, having the CIO report to the CEO highlights the strategic significance of IT within the organization. It acknowledges that IT decisions and initiatives are integral to the organization's success and should be aligned with its overall strategic direction.

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is fifth bank currently over or under capitalized for on-balance-sheet assets in order to be considered well capitalized according to basel iii?

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Firstly, a bank's capitalization refers to the amount of capital it has available to absorb potential losses. The more capital a bank has, the better equipped it is to handle financial challenges.

Secondly, Basel III is a global regulatory framework designed to improve the stability of the banking system. One of the key components of Basel III is capital adequacy, which requires banks to maintain a certain level of capital relative to their risk-weighted assets.

Therefore, in order to determine whether Fifth Bank is over or under-capitalized for on-balance-sheet assets, you would need to analyze its financial statements and compare its capital levels to the regulatory requirements set by Basel III. It's important to note that different regulatory bodies may have slightly different standards for capital adequacy, so it's possible that Fifth Bank may be considered well-capitalized according to some measures but not others.

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assume that a project you are managing is nearing completion and will be closing soon. project closing can have a significant impact on the members of the project team. describe the approach you would take to address the needs of your team members during this difficult period in the life of the project.

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Communicate the project closure timeline and plans as early as possible to team members to give them time to prepare and adjust.

Provide support and resources to help team members transition to new roles or responsibilities, such as training or job placement assistance.

Recognize and acknowledge the contributions and achievements of team members during the project closure process.

Offer emotional support and encourage team members to express their feelings and concerns.

Develop a plan for post-project follow-up and support, such as regular check-ins or alumni events, to help team members stay connected and engaged with the project and each other.  

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