hannah stood up to her supervisor who tried to convince her discriminate against another employee who has a mobility impairment. throughout the conversation, she firmly and confidently addressed her concerns about his proposal without retreating. which term best describes the attribute she displayed?

Answers

Answer 1

Hannah's assertiveness allowed her to address her supervisor's proposal effectively, express her concerns, and stand up for the rights of her colleague with a mobility impairment. The term best describes the attribute she displayed is Assertiveness

Hannah displayed assertiveness in her response to her supervisor. Assertiveness is a communication skill that allows individuals to express their thoughts, feelings, and opinions openly and honestly, while still respecting the rights and beliefs of others. In this situation, Hannah was able to voice her concerns regarding her supervisor's proposal to discriminate against an employee with a mobility impairment.



By standing up to her supervisor, she demonstrated her commitment to fairness and equality in the workplace. This is an essential quality for creating a positive work environment and maintaining strong professional relationships. Assertiveness enables people to resolve conflicts and address difficult situations in a respectful and productive manner.



Hannah's firm and confident approach in addressing her concerns highlights her ability to remain composed under pressure. By not retreating, she effectively communicated her stance on the matter and demonstrated her willingness to advocate for what she believes is right. This attribute is essential for promoting a culture of inclusion and ensuring that all employees are treated fairly, regardless of their abilities or circumstances.

 

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Related Questions

A proposed project will cost $1,000 two years from today. Beginning at the end of year five, $300 in annual benefits will be received, continuing until the end of year nine. What is the project's present (year 0) worth at MARR = 5%? A. -$50. B. $111. C. -$94. D. $161. E. none of the above o

Answers

If at the end of year five, $300 in annual benefits will be received, continuing until the end of year nine, the project's present worth at MARR = 5% is - D. $161.

Hence, option D. is the right choice.

How to find?

Given that,

Interest rate = 5%, we convert it to 0.05.

Now, we substitute the value of I-

PW= -1000/(1.05) + 300/(1.05)+ 300/(1.05)+ 300/(1.05)+ 300/(1.05)+ 300/(1.05).

By solving we get-

PW= -907.02+ 235.05+223.86+213.20+203.5+193.38

PW= -907.02+ 1068.96

= -161.94.

Hence, the current Project worth(PW) is $161.

What purpose does the MARR serve?

A tool for assessing prospective investments is the minimum acceptable rate of return (MARR), often known as the hurdle rate. The minimal return necessary for a proposed investment to be deemed viable is determined by the hurdle rate.

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f the real interest rate in the economy is 8%, for what expected returns will the firm decide to make the investment? multiple choice any investment project with a positive expected return. only investment projects where the expected return is equal to 8% only investment projects where the expected returns greater than 8% only investment projects where the expected returns less than 8%

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The only investment projects that would make sense for the firm are those where the expected returns are greater than 8%. This would ensure that the investment generates enough return to cover the cost of borrowing and earn a profit.

If the real interest rate in the economy is 8%, the firm will only decide to make investment projects where the expected returns are greater than 8%. This is because the firm needs to ensure that the investment will generate enough returns to cover the cost of borrowing and earn a profit. Investment projects with a positive expected return may not necessarily be sufficient as the return may not be high enough to justify the risk and cost of borrowing.

Investment projects with an expected return equal to 8% may be considered, but they would not provide any additional return to cover the risk and cost of borrowing. It is important to note that the firm should also consider other factors such as the level of risk associated with the investment project and the availability of financing before making any investment decisions.

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18. Project Evaluation. In the previous problem, suppose your required return on the project is 10 percent and your pretax cost savings are $145,000 per year. Will you accept the project? What if the pretax cost savings are only $105,000 per year?

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Based on the given information and assuming a required return of 10%, both scenarios with pretax cost savings of either $145,000 or $105,000 per year result in a positive NPV, indicating that the project is acceptable.

To determine if the project is acceptable, we need to calculate the NPV of the project using the given information.

Assuming the initial cost is $800,000 and the project life is 10 years, the annual cash inflow is the pretax cost savings of either $145,000 or $105,000 per year. We also know the required return on the project is 10%.

Using the formula for NPV, we have:

For pretax cost savings of $145,000 per year:

NPV = -$800,000 + [(145,000 / (1+0.10)^1) + (145,000 / (1+0.10)^2) + ... + (145,000 / (1+0.10)^10)]

NPV = -$800,000 + [145,000 x (7.721 + 6.992 + ... + 1.386)]

NPV = -$800,000 + [145,000 x 39.366]

NPV = $1,625,570

Since the NPV is positive, the project is acceptable.

For pretax cost savings of $105,000 per year:

NPV = -$800,000 + [(105,000 / (1+0.10)^1) + (105,000 / (1+0.10)^2) + ... + (105,000 / (1+0.10)^10)]

NPV = -$800,000 + [105,000 x (7.721 + 6.992 + ... + 1.386)]

NPV = -$800,000 + [105,000 x 28.017]

NPV = $295,985

Since the NPV is positive, the project is still acceptable.

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Name the 7 major reasons for where TNCs invest

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Answer:

Apple, McDonald's, Coca-Cola, Nike, and Amazon. They all operate in multiple countries around the world

QUESTION 8 A monopolist faces two consumer groups: senior and young. The demand curve of the senior customers is P = 50 - Qs. The demand curve of the young customers is P = 40 - Qy. The marginal cost of supplying any customer is $10. If the monopolist can price discriminate between the two groups, what price will senior customers be charged? O Py = $10 Py = $20 Py = $30

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The senior customers will be charged $30 per unit and the young customers will be charged $25 per unit.

To maximize profits, the monopolist will charge each group a different price based on their willingness to pay. The monopolist will charge the senior customers a higher price since their demand is more inelastic than that of young customers. The marginal revenue (MR) for each group can be calculated by taking the derivative of the respective demand functions:
[tex]MR_s = 50 - 2Q_s[/tex]
[tex]MR_y = 40 - 2Q_y[/tex]
To find the profit-maximizing quantity, we set MR equal to marginal cost (MC) and solve for Q:
[tex]50 - 2Q_s = 10[/tex]
[tex]40 - 2Q_y = 10[/tex]
Solving for Q, we get:
[tex]Q_s = 20[/tex]
[tex]Q_y = 15[/tex]
Therefore, the monopolist will sell 20 units to senior customers and 15 units to young customers. To determine the price, we plug the quantity back into the respective demand function:
[tex]P_s = 50 - 20 = 30[/tex]
[tex]P_y = 40 - 15 = 25[/tex]
Therefore, the senior customers will be charged $30 per unit and the young customers will be charged $25 per unit. This price discrimination strategy allows the monopolist to extract more consumer surplus and increase their profits compared to charging a uniform price.

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When average total cost is at its minimum: a. marginal cost is equal to average total cost b. average variable cost plus average fixed cost is declining with increases in output c. marginal cost is equal to average variable cost d. average total cost is equal to average variable cost e. average variable cost is declining with increases in output

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When average total cost is at its minimum, the marginal cost is equal to average total cost. This is because the marginal cost curve intersects the average total cost curve at its lowest point.

At this point, the cost of producing an additional unit of output is equal to the average total cost of all units produced so far.

The concept of average total cost is important in determining the minimum cost of production for a firm. When the average total cost is at its minimum, the firm is producing at the most efficient level, meaning it is minimizing its costs. The marginal cost is the additional cost of producing one more unit of output, while the average total cost is the total cost per unit of output. At the minimum point of average total cost, the marginal cost curve intersects it, as it is the point where the cost of producing an additional unit of output is equal to the average total cost of all units produced so far.

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In the early history of corporations, what was the primary purpose of shares? To raise capital and provide a return on that investment To encourage innovation To allow outsiders to control a corporation's major decisions To implement social good by a corporation

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The primary purpose of shares in the early history of corporations was to raise capital and provide a return on that investment. Here option A is the correct answer.

Shares represent ownership in a corporation, and by selling shares, a corporation could raise funds to finance its operations and expansion. Shareholders would then receive a portion of the profits in the form of dividends or the appreciation of the value of their shares.

While some early corporations were created to achieve social good, such as the East India Company's mission to establish trade in Asia, the primary motivation for creating corporations was often to generate profit for shareholders. In fact, early corporations, such as the Dutch East India Company, were formed primarily to pursue commercial interests and expand trade.

The concept of shares as a means of encouraging innovation or allowing outsiders to control a corporation's major decisions emerged later in history, as corporations became more complex and sophisticated. Today, shares are still primarily used to raise capital and provide a return on investment, although some corporations may also offer shares to employees as a form of compensation or use them as a means of attracting and retaining talent.

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Complete question:

In the early history of corporations, what was the primary purpose of shares?

A - To raise capital and provide a return on that investment

B - To encourage innovation

C - To allow outsiders to control a corporation's major decisions

D - To implement social good by a corporation

A man bought a machine for $ 884577 six years ago. It has a salvage value of $ 37642 four years from now. He sold it now for $ 146905. What is the sunk cost or the value of the machine that the man lost if the depreciation method used is a Sinking Fund method with an interest of 21%?

Answers

The sunk cost or the value of the machine that the man lost is $2,735,286.23.

To determine the sunk cost or the value of the machine that the man lost using the Sinking Fund depreciation method with an interest rate of 21%, follow these steps:

1. Calculate the future value of the salvage value: FV = PV * (1 + r)^n, where PV is the present value, r is the interest rate, and n is the number of years.
  FV = 37642 * (1 + 0.21)^4 = 37642 * 2.5076 = 94337.16

2. Calculate the total future value of the machine: FV total = 884577 * (1 + 0.21)^6 = 884577 * 4.0349 = 3568295.39

3. Calculate the amount to be depreciated: Depreciated amount = FV total - FV salvage = 3568295.39 - 94337.16 = 3473958.23

4. Calculate the annual depreciation: Annual depreciation = Depreciated amount / 6 = 3473958.23 / 6 = 578993.04

5. Calculate the current book value of the machine after 6 years of depreciation: Book_value = 884577 - (6 * 578993.04) = 884577 - 3473958.23 = -2588381.23

6. Calculate the sunk cost: Sunk cost = Book value - Sold value = -2588381.23 - 146905 = -2735286.23

The sunk cost or the value of the machine that the man lost is $2,735,286.23.

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what happened when the government of malawi recently again began to provide fertilizer for its farmers? what does that say about the world bank and international monetary fund (imf) policy?

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When the government of Malawi recently began providing fertilizer to its farmers again, it led to increased agricultural productivity, This development in Malawi raises questions about the effectiveness of World Bank and IMF policies in addressing the unique needs of countries.

When the government of Malawi recently began providing fertilizer to its farmers again, it led to increased agricultural productivity, resulting in improved food security and economic growth. This decision came after the country experienced a devastating famine in 2002, leading the government to prioritize agriculture and deviate from the World Bank and International Monetary Fund (IMF) policies.



This development in Malawi raises questions about the effectiveness of World Bank and IMF policies in addressing the unique needs of individual countries. It highlights the importance of considering local contexts and specific circumstances when implementing economic policies, as strict adherence to international recommendations may not always be the best course of action.



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Imagine that you are the ruler of a small kingdom in China during the Warring States Period. As king, it is your responsibility to bring in the best people to help you administer the government as effectively as possible. To select your chief adviser, you call in a Confucian scholar, a Legalist, and a Daoist to debate the nature and purpose of government. The debate goes like this: YOU: I have called you all here before me to debate the nature of government, so I can decide which of you will become my chief adviser. Let me begin with this question: What is the guiding principle of a good government?

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Imagine that you are the ruler of a small kingdom in China during the Warring States Period. As king, it is your responsibility to bring in the best people to help you administer the government as effectively as possible. To select your chief adviser, you call in a Confucian scholar, a Legalist, and a Daoist to debate the nature and purpose of government. The debate goes like this: YOU: I have called you all here before me to debate the nature of government, so I can decide which of you will become my chief adviser. Let me begin with this question: What is the guiding principle of a good government?

CONFUCIAN SCHOLAR: The guiding principle of a good government is benevolent rule.

The ruler must lead by example, promoting virtue and morality, and treat his subjects with kindness and respect. In this way, the people will be inspired to act with similar benevolence and cultivate their own moral character.

LEGALIST: Respectfully, Your Majesty, the guiding principle of a good government is strong rule. The ruler must exercise strict control over the people through a system of rewards and punishments, and use his power to maintain order and stability in the kingdom. Only then can the people be kept in line and the state protected from external threats.

DAOIST: Your Majesty, I believe the guiding principle of a good government is natural rule. The ruler must avoid interfering with the natural flow of events, and instead seek to align his actions with the natural order of things. By cultivating inner virtue and wisdom, the ruler can become a model for his subjects and inspire them to follow their own natural course in life.

YOU: Thank you for your insightful answers. It is clear that each of you has a different perspective on the nature of government. I will consider your arguments carefully before making my decision.

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Grant, a young Newfoundlander, has just graduated from high school and is deciding what todo with the rest of his life, which lasts two periods (like everyone else’s). His main decision iswhether to stay in Newfoundland or migrate to Toronto.If he stays in Newfoundland, he will earn Y0 in period one and Y1 in period 2. If he moves toToronto, he will incur a moving cost of M (in the first period), and will be unemployed (withzero earnings) for the first period. In his second period in Toronto, he will earn YT. The interestrate at which money can be borrowed or invested is r.a) On a carefully labelled diagram, illustrate Grant’s migration decision, that is, show hisearnings paths as a function of time, depending on whether he lives in Newfoundland or Toronto.b) Show that he will move to Toronto if:(YT – Y1) > (1+r)(Y0 + M)What is the economic intuition underlying this result? How does an increase in the interest rateaffect the migration decision? Why?c) As a potential labour economist, Grant realizes that he needs to have estimates of YT and Y1 inorder to make a wise migration decision. He reads in the newspaper that average earnings ofNewfoundlanders in Toronto are YT*, while Newfoundlanders earn an average of Y1*, if theystay in Newfoundland. (Both refer to second period earnings) With reference to the result in b),discuss the potential error that Grant may make by using YT* and Y1* as the basis of his estimateof the return to migration.

Answers

a) The migration decision of Grant can be illustrated with a diagram showing his earnings paths over time, based on whether he decides to stay in Newfoundland or migrate to Toronto.

If he stays in Newfoundland, his earnings will be Y0 in the first period and Y1 in the second period. On the other hand, if he moves to Toronto, he will have to pay a moving cost of M in the first period and will be unemployed, so his earnings will be zero in the first period. In the second period, he will earn YT.

b) Grant will decide to move to Toronto if (YT - Y1) > (1+r)(Y0 + M), where r is the interest rate at which money can be borrowed or invested. The economic intuition behind this result is that he will only move to Toronto if the potential gain from earning a higher income in Toronto in the second period is greater than the cost of moving and the forgone earnings in the first period. An increase in the interest rate would make borrowing more expensive, so the cost of moving would be higher, making it less likely for Grant to move to Toronto.

c) Grant may make a potential error if he uses YT* and Y1* as the basis of his estimate of the return to migration. The reason for this is that average earnings may not be representative of what he could actually earn, and there may be a lot of variation in earnings among individuals. Additionally, the cost of living may be different in Toronto compared to Newfoundland, so even if the average earnings are higher, the cost of living may offset any potential gain. Therefore, Grant may need to gather more specific information about job opportunities and cost of living in Toronto to make a wise migration decision.

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what is the master glossary definition of interest cost? interest cost includes interest on obligations having interest rates, interest on certain types of payables, and interest related to a lease. with respect to obligations having interest rates, interest cost includes amounts resulting from periodic of discount or premium and issue costs on debt.

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The "Interest-cost" is defined as total amount of interest expense that an entity incurs during a specific period of time, usually a fiscal year or a quarter.

The "interest-cost" includes interest paid on any obligations, such as bonds or loans, that have an interest rate associated with them. Interest cost may also include interest on certain types of payables, such as accounts payable or taxes owed, and interest related to a lease.

In the case of obligations having interest rates, interest cost includes any amounts resulting from periodic or discount or premium and issue costs on debt.

For example, if a company issues a bond at a discount, the interest cost for that bond would include both the periodic interest payments and the amortization of the discount over the life of the bond.

The interest cost is calculated based on the effective interest rate of the debt instrument over its term. This means that the interest cost takes into account any costs or discounts associated with the issuance of the debt and reflects the true cost of borrowing over the life of the debt.

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The given question is incomplete, the complete question is

What is the master glossary definition of interest cost?

francois's motorcycles are distributed through only one distributorship in each major country. he feels this will result in his brand name being associated with high quality. what type of distribution intensity is francois using?

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Francois is using exclusive distribution, which is a distribution strategy where the manufacturer or supplier only allows one distributorship in each major country to sell their products.

This approach is often used by high-end brands to maintain control over the distribution of their products and ensure that they are associated with exclusivity and high quality.

By limiting the number of distributors, Francois can ensure that his brand image is consistent and not diluted by other channels. Additionally, exclusive distribution can create a sense of scarcity and demand for the products,

which can lead to higher prices and increased profitability. Overall, this distribution intensity strategy can be an effective way to establish a strong brand image and maintain control over the distribution of products.

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how many possible intersection points are there in the following cases? a. 2 decision variables and 5 inequalities copyright 201 cengage learning. all rights reserved. may not be copied, scanned, or duplicated, in whole or in part. due to electronic rights, some third party content may be suppressed from the ebook and/or echapter(s). editorial review has deemed that any suppressed content does not materially affect the overall learning experience. cengage learning reserves the right to remove additional content at any time if subsequent rights restrictions require it 7.4 linear programming iii: the simplex method 269 b. 2 decision variables and 10 inequalities c. 5 decision variables and 12 inequalities d. 25 decision variables and 50 inequalities e. 2000 decision variables and 5000 inequalities

Answers

The number of possible intersection points in linear programming problems depends on the number of decision variables and inequalities involved.

In general, the maximum number of intersection points is the product of the number of decision variables and the number of inequalities.

a. For 2 decision variables and 5 inequalities, the maximum number of intersection points is 2 x 5 = 10.

b. For 2 decision variables and 10 inequalities, the maximum number of intersection points is 2 x 10 = 20.

c. For 5 decision variables and 12 inequalities, the maximum number of intersection points is 5 x 12 = 60.

d. For 25 decision variables and 50 inequalities, the maximum number of intersection points is 25 x 50 = 1250.

e. For 2000 decision variables and 5000 inequalities, the maximum number of intersection points is 2000 x 5000 = 10,000,000.

It's important to note that not all of these intersection points may be feasible solutions to the linear programming problem, and it may require additional analysis to determine which points are optimal.

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1. Between Latent and Manifest conflict, which is better for B2Brelationship and why. (Short answer/ Marketing)

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Neither latent nor manifest conflict is ideal for B2B relationships. Latent conflict refers to underlying tensions or issues that have not yet surfaced, while manifest conflict is when these tensions become overt and may even result in open conflict.

Instead, B2B relationships should strive for open communication, clear expectations, and proactive problem-solving. By addressing potential conflicts before they escalate, businesses can foster stronger and more productive relationships with their partners and customers. This requires a willingness to listen, compromise, and work together towards common goals.In short, avoiding conflict altogether is not realistic or desirable in B2B relationships, but the focus should be on resolving issues in a constructive and collaborative way rather than allowing them to fester or escalate.

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if one person's consumption of a good diminishes other people's use of the good, the good is said to be a. rival in consumption. b. a common resource. c. a club good. d. excludable.

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If one person's consumption of a good diminishes other people's use of the good, the good is said to be (a) rival in consumption.

This means that the consumption of the good by one individual reduces the availability or usefulness of the good to others.

For example, if one person eats an apple, the apple is no longer available for anyone else to eat.

In contrast, a non-rival good, such as a public park, can be used by many people simultaneously without diminishing its availability or usefulness to others.

The other options listed in the question are different categories of goods based on their characteristics.

A common resource is a good that is rival in consumption but non-excludable, meaning that it is difficult to prevent individuals from using the good.

Examples of common resources include fisheries or forests. A club good is a good that is excludable but non-rival in consumption, meaning that it can be restricted to a certain group of people without diminishing its availability or usefulness to others.

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When was Title VII included in the Civil Rights Act of 1964?
1990
1964
1967
1972

Answers

Title VII was included in the Civil Rights Act of 1964, which was signed into law by President Lyndon B. Johnson on July 2, 1964.

Title VII is a landmark piece of civil rights legislation that prohibits employment discrimination on the basis of race, color, religion, sex, or national origin. The law applies to employers with 15 or more employees, including federal, state, and local governments.

Title VII created the Equal Employment Opportunity Commission (EEOC) to enforce the law and investigate complaints of discrimination. The inclusion of Title VII in the Civil Rights Act was a significant milestone in the ongoing struggle for equal rights and opportunities for all Americans.

It has helped to shape the landscape of modern employment law and continues to be a vital tool in the fight against workplace discrimination.

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which of the following is not one of the reasons why net income differs from cash flows from operations under the indirect method of calculating cash flows? a. sale or repurchase of capital stock b. changes in working capital accounts c. gains and losses related to the sale of plant, property and equipment d. non-cash items, such as depreciation and amortization

Answers

The "sale or repurchase of capital stock" is not a factor that affects cash flows from operations under the indirect method. The correct option is A.

Net income and cash flows from operations under the indirect method can differ due to various factors, including changes in working capital accounts, gains and losses related to the sale of plant, property, and equipment, and non-cash items such as depreciation and amortization.

However, the sale or repurchase of capital stock does not affect cash flows from operations under the indirect method. This is because the sale or repurchase of a capital stock involves transactions with owners, which are classified as financing activities and are reported in the cash flows from the financing section of the statement of cash flows.

The indirect method of calculating cash flows from operations starts with net income and adjusts it for non-cash items and changes in working capital accounts to arrive at the cash flows from operations.

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n which design phase of the SDLC are all functional features of the system chosen for development in analysis described independently of any computer platform?A) Logical designB) Physical designC) Conceptual designD) High level design

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which design phase of the SDLC are all functional features of the system chosen for development in analysis described independently of any computer platform is Logical design.

In the logical design phase of the systems development life cycle (SDLC), the functional features of the system are described independently of any computer platform or technology. This phase focuses on the development of a logical system design that meets the requirements identified during the analysis phase. It includes identifying the processing requirements, inputs, outputs, and data flows of the system. The logical design phase is followed by the physical design phase, where the logical design is translated into a physical system design that can be implemented using specific hardware and software technologies.

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03-003 - Definition of a database

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A database is an organized collection of data that is stored and accessed electronically. It is designed to allow for efficient storage, retrieval, and management of data, and can be used for a wide variety of applications, from small personal projects to large enterprise systems.

Databases typically consist of one or more tables, each of which contains a set of related data organized into rows and columns. Data within a database is often organized according to a schema, which defines the structure of the data and the relationships between different tables.

Databases can be used for a wide range of purposes, including transaction processing, data warehousing, and business analytics. They are used in many different industries and domains, including finance, healthcare, e-commerce, and education.

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Why would a company distribute its earnings through dividends to common stockholders? Sample Answer

Answers

A company may distribute its earnings through dividends to common stockholders for several reasons paying dividends to common stockholders can be a way for companies to reward their shareholders, attract and retain investors, improve their image and reputation, and reduce excess cash on their balance sheets

Attract and Retain Investors: Companies may use dividends as a way to attract and retain investors. Paying regular dividends can signal to investors that the company is financially stable and generating consistent profits. This can help to build investor confidence and attract new investors. Reward Shareholders: Dividends can be a way for companies to reward their shareholders for their investment. Companies may choose to pay a portion of their earnings to shareholders as a way to give back and acknowledge their contribution to the company's success. Tax Efficiency: Dividends can be an efficient way to distribute earnings to shareholders because they are taxed at a lower rate than other types of income. This can be especially beneficial for individual investors who are in a lower tax bracket. Positive Image: Paying dividends can help to improve a company's image and reputation. Investors may view a company that pays regular dividends as being financially stable and well-managed. Reduce Excess Cash: Companies may use dividends as a way to reduce excess cash on their balance sheets. Rather than letting cash sit idle, companies may choose to distribute it to shareholders as dividends.

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decision point: choosing your target market the communication process begins with selecting a target audience -- the group with whom take-a-ride will be communicating. which target market would be the most likely to find the bike-share program valuable, and thus be the most profitable for the firm? select an option from the choices below and click submit. charleston residents charleston college students tourists

Answers

In the case of a bike-share program, the most likely target market to find the service valuable would be residents of Charleston. Option C

Charleston is a popular tourist destination, but tourists are likely to only use the bike-share program once or twice during their visit, while residents would have a consistent need for transportation. College students may also find the program valuable, but they tend to be a transient market and may not provide the long-term profitability that a resident market would.
Furthermore, Charleston is a city with a strong emphasis on outdoor recreation and health, which aligns with the benefits of a bike-share program. This presents an opportunity for Take-a-Ride to tap into this market and promote their program as a sustainable and healthy mode of transportation.
Therefore, targeting residents of Charleston would be the most profitable option for Take-a-Ride. They can tailor their communication strategy to this group, highlighting the convenience and cost-effectiveness of the program, as well as its contribution to a healthier and more sustainable community. By choosing the right target market, Take-a-Ride can maximize its profitability and ensure the success of the bike-share program.So, option C is correct.

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What are 6 reasons that companies globalize?1) Improve the ....2) Reduce .... 3) Improve ....4) Understand ....5) Improve ....6) Attract and retain ....

Answers

improve supple chain
reduce costs and exchange risk
improve operations
understand markets
improve products
attract and retain global talent

Present Worth Analysis is used to compare two alternatives. Alternative A has a useful life of 9 years and Alternative B has a useful life of 15 years. Each alternative can be continued with equal replacement at the end of its useful life. The MINIMUM time horizon for the analysis is most nearly: a. 3 years b. 15 yearsc. 45 years d. There is no minimum time horizon. Any analysis duration can be used.

Answers

The MINIMUM time horizon for the analysis is most nearly is (c) 45 years.

The minimum time horizon for the Present Worth Analysis is the LCM (Least Common Multiple) of the useful lives of the two alternatives, in order to ensure that both alternatives have completed at least one full cycle of replacement.

The useful life of Alternative A is 9 years and the useful life of Alternative B is 15 years. The LCM of 9 and 15 is 45 years. Therefore, the minimum time horizon for the analysis is 45 years.

This means that the analysis should cover at least 45 years in order to compare the two alternatives accurately. Any duration less than 45 years would not capture the full cycle of replacements for both alternatives, and may lead to incorrect conclusions.

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select all that apply what are the key events with notes payable? (check all that apply.) multiple select question. recording the use of the funds recording principal paid recording interest paid establishing the note recording interest received accruing interest incurred but not paid

Answers

The following events are key events with notes payable:Recording the use of the funds, Recording

principal paid, Recording interest paid, Establishing the note,Accruing interest incurred but not paid.

Recording the use of the funds: This event involves recording the transaction that gave rise to the note payable, such as borrowing money from a lender or purchasing goods or services on credit.

Recording principal paid: This event involves recording the payment of the principal amount borrowed or owed on the note payable.

Recording interest paid: This event involves recording the payment of interest due on the note payable. This entry reduces the cash account and records the corresponding decrease in the interest expense account.

Establishing the note: This event involves recording the initial issuance of the note payable.

Accruing interest incurred but not paid: This event involves recording the interest expense that has been incurred but not yet paid on the note payable.

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landor appliance corporation makes and sells electric fans. each fan regularly sells for $38. the following cost data per fan is based on a full capacity of 168,000 fans produced each period. direct materials $ 9 direct labor $ 10 manufacturing overhead (80% variable and 20% unavoidable fixed) $ 10 a special order has been received by landor for a sale of 30,000 fans to an overseas customer. the only selling costs that would be incurred on this order would be $3 per fan for shipping. landor is now selling 138,000 fans through regular channels each period. assume that direct labor is an avoidable cost in this decision. what should landor use as a minimum selling price per fan in negotiating a price for this special order? multiple choice $29 per fan $30 per fan $27 per fan $32 per fan

Answers

Landor should use a minimum selling price of $27 per fan in negotiating a price for the special order. Option (C) is the closest answer choice to this calculation.


In order to determine the minimum selling price per fan for the special order, we need to calculate the relevant costs that would be incurred for producing and selling those 30,000 fans.


Direct materials and the unavoidable fixed portion of manufacturing overhead are irrelevant in this decision since they would be incurred regardless of whether or not the special order is accepted. The variable portion of manufacturing overhead, on the other hand, is relevant since it would change based on the production of additional fans.

Thus, the relevant costs for producing and selling 30,000 fans are:


Direct labor: $10 per fan
Variable manufacturing overhead: 80% of $10 = $8 per fan
Shipping cost: $3 per fan

Total relevant cost per fan: $10 + $8 + $3 = $21

In order to make a profit, Landor should add a markup to the relevant cost. Assuming a markup of 30%, the minimum selling price per fan for the special order would be:  $21 + (30% of $21) = $27.30

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markham company has completed its sales budget for the first quarter of year 2. projected credit sales for the first four months of the year are shown below: january $ 30,000 february $ 36,000 march $ 45,000 april $ 48,000 the company's past records show collection of credit sales as follows: 40% in the month of sale and the balance in the following month. the total cash collection from receivables in march is expected to be:

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In the month of sale and the balance in the following month. The total cash collection from receivables in march is expected to be: $39,600.

What is sale?

Sale is the process of selling goods and services to customers in exchange for money. It is a commercial activity which involves the transfer of ownership of a product or service from a seller to a buyer in exchange for money. It is a key component of the marketing mix, as it is the process through which companies generate revenue. Sales can involve a wide range of activities, including promotions, discounts, market research, and advertising. Companies use sales to reach their target customers and persuade them to purchase their products or services.

March Cash Collection = 40% of March Sales + 60% of February Sales

                           = 40% of $45,000 + 60% of $36,000

                           = $18,000 + $21,600

                           = $39,600

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Question 6 [11 points] The supply of gazebos bas given by P=2.0.50 centand a given by 14. Aspecte tax or per inte typened and that is the supply cut so P1+0.50 *) Solve for the equilibrium price and quantity before and after the Equilibrium price before tax-30 equilibrium quantity before tako Equilibrium price after tax 50 Equilibrium quantity w b) Draw the demand curve and we supply Curves Demand

Answers

Equilibrium price before tax: $2.00
Equilibrium quantity before tax: 14
Equilibrium price after tax: $2.50
Equilibrium quantity after tax: 13


In microeconomics, the equilibrium price and quantity occur where the supply and demand curves intersect. The demand curve shows the quantity of a product that consumers are willing and able to purchase at a given price, while the supply curve shows the quantity of the product that producers are willing and able to supply at a given price.
In this question, the given supply function is P=2.0+0.50Q, where P is the price and Q is the quantity supplied. The demand curve is not given explicitly but can be inferred from the equilibrium price and quantity. Before the tax, the equilibrium price is $2.00 and the equilibrium quantity is 14. After the tax, the supply curve shifts up by $0.50, so the new supply curve is P=2.50+0.50Q. The new equilibrium price is $2.50 and the new equilibrium quantity is 13.
b)To draw the demand and supply curves, we can plot the price and quantity pairs for different prices using the given equations. The demand curve would typically slope downward, showing that consumers are willing to buy more of a product at lower prices. The supply curve would typically slope upward, showing that producers are willing to supply more of a product at higher prices.

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T/F? The two components that are required in order to carry out asset valuation are (1) the stream of expected cash flows and (2) the required rate of return.

Answers

The given statement “The two components that are required in order to carry out asset valuation are (1) the stream of expected cash flows and (2) the required rate of return” is true.

These components are essential in determining the value of an asset, as they help to estimate the present value of future cash flows generated by the asset and assess the risk associated with it.

The expected cash flows represent the anticipated future cash inflows and outflows associated with the asset, while the required rate of return, often referred to as the discount rate or the cost of capital, represents the minimum rate of return that an investor or company requires to justify investing in the asset.

These two components are used in various valuation methods, such as discounted cash flow (DCF) analysis, to determine the present value or intrinsic value of an asset.

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Assume that banks are always fully loaned and people hold no cash. Given a required reserve ratio of 10%, an infusion of $100 billion in reserves will result in a maximum of:

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Assume that banks are always fully loaned and people hold no cash. Given a required reserve ratio of 10%, an infusion of $100 billion in reserves will result in a maximum of $1000 billion.

How to solve for the reserve

If the required reserve ratio is 10%, an infusion of $100 billion in reserves will result in a maximum potential increase in the money supply of:

$100 billion / 0.10 = $1000 billion

This is because the required reserve ratio is the percentage of deposits that banks are required to hold in reserve, and the remaining percentage can be loaned out. In this case, the $100 billion infusion can support up to 10 times its value in new loans, which is $1000 billion.

Therefore, the maximum potential increase in the money supply is $1000 billion.

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